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At least 919 records · Page 51Linked to original sources

Trade-offs of predation and foraging explain sexual segregation in African buffalo

1. Many studies have investigated why males and females segregate spatially in sexually dimorphic species. These studies have focused primarily on temperate zone ungulates in areas lacking intact predator communities, and few have directly assessed predation rates in different social environments. 2. Data on the movement, social affiliation, mortality and foraging of radio-collared African buffalo (Syncerus caffer) were collected from 2001-06 in the Kruger National Park, South Africa. 3. The vast majority of mortality events were due to lion (Panthera leo) predation, and the mortality hazard associated with being an adult male buffalo in a male-only 'bachelor' group was almost four times higher than for adult females in mixed herds. The mortality rates of adult males and females within mixed herds were not statistically different. Mortality sites of male and female buffalo were in areas of low visibility similar to those used by bachelor groups, while mixed herds tended to use more open habitats. 4. Males in bachelor groups ate similar or higher quality food (as indexed by percentage faecal nitrogen), and moved almost a third less distance per day compared with mixed herds. As a result, males in bachelor groups gained more body condition than did males in breeding herds. 5. Recent comparative analyses suggest the activity-budget hypothesis as a common underlying cause of social segregation. However, our intensive study, in an area with an intact predator community showed that male and female buffalo segregated by habitat and supported the predation-risk hypothesis. Male African buffalo appear to trade increased predation risk for additional energy gains in bachelor groups, which presumably leads to increased reproductive success. ?? 2008 The Authors.

Journal of Animal Ecology↗

Assessing the population impacts and cost‐effectiveness of a conservation translocation

Managers often move, or translocate, organisms into habitats that are assumed to be suitable, however the consequences of these translocations are usually not rigorously assessed. Robust assessment of these management experiments should consider impacts to both donor and recipient populations and compare the cost‐effectiveness of translocations to other actions. Here we evaluate translocations of a federally listed fish species, humpback chub within a tributary to the Colorado River in its Grand Canyon reach (Arizona, USA). We analyze mark‐recapture data with multistate models to estimate vital rates (growth, survival, and movement) for the donor and recipient populations while accounting for substantial temporal variation in vital rates. We then use stochastic matrix projections to quantify the impact of translocations on adult population size. Lastly, we compare costs of translocations to another, legally required management action, non‐native fish removal, by modifying an existing bioeconomic model. We estimate that six of eight translocations during the study period positively impacted adult abundance and that the overall population impact was positive. Population projections suggest that each chub translocated per year increases the equilibrium adult population size by 1.2 (95% CI: 0.4 – 2.2) adults, lessening the need for non‐native fish removal. Continuation of translocations at the current rate is expected to save managers ~$50,000 per year by decreasing the annual probability of removals from 0.26 to 0.15. Further savings and decreases in removals could be attained by avoiding translocations in years when there has been no winter/spring runoff and modifying the number of translocated individuals based on estimates of juvenile production in the lower LCR. Synthesis and applications . Translocations that increase the abundance of a rare species can sometimes be viewed as a hedge against future declines that might necessitate more costly interventions. Quantifying population benefits and economic costs of management actions like translocations and comparing alternative actions can lead to cost effective conservation that is more easily sustained.

Arizona↗

Interspecific exchange of avian influenza virus genes in Alaska: The influence of trans-hemispheric migratory tendency and breeding ground sympatry

The movement and transmission of avian influenza viral strains via wild migratory birds may vary by host species as a result of migratory tendency and sympatry with other infected individuals. To examine the roles of host migratory tendency and species sympatry on the movement of Eurasian low-pathogenic avian influenza (LPAI) genes into North America, we characterized migratory patterns and LPAI viral genomic variation in mallards ( Anas platyrhynchos ) of Alaska in comparison with LPAI diversity of northern pintails ( Anas acuta ). A 50-year band-recovery data set suggests that unlike northern pintails, mallards rarely make trans-hemispheric migrations between Alaska and Eurasia. Concordantly, fewer (14.5%) of 62 LPAI isolates from mallards contained Eurasian gene segments compared to those from 97 northern pintails (35%), a species with greater inter-continental migratory tendency. Aerial survey and banding data suggest that mallards and northern pintails are largely sympatric throughout Alaska during the breeding season, promoting opportunities for interspecific transmission. Comparisons of full-genome isolates confirmed near-complete genetic homology (>99.5%) of seven viruses between mallards and northern pintails. This study found viral segments of Eurasian lineage at a higher frequency in mallards than previous studies, suggesting transmission from other avian species migrating inter-hemispherically or the common occurrence of endemic Alaskan viruses containing segments of Eurasian origin. We conclude that mallards are unlikely to transfer Asian-origin viruses directly to North America via Alaska but that they are likely infected with Asian-origin viruses via interspecific transfer from species with regular migrations to the Eastern Hemisphere.

Alaska↗

Migration delays caused by anthropogenic barriers: modeling dams, temperature, and success on migrating salmon smolts

Disruption to migration is a growing problem for conservation and restoration of animal populations. Anthropogenic barriers along migration paths can delay or prolong migrations, which may result in a mismatch with migration-timing adaptations. To understand the interaction of dams (as barriers along a migration path), seasonally changing environmental conditions, timing of Atlantic salmon ( Salmo salar ) downstream migration, and ultimate migration success, we used 10 years of river temperature and discharge data as a template upon which we simulated downstream movement of salmon. Atlantic salmon is a cool-water species whose downstream migrating smolts must complete migration before river temperatures become too warm. We found that dams had a local effect on survival as well as a survival effect that was spatially and temporally removed from the encounter with the dam. While smolts are delayed by dams, temperatures downstream can reach lethal or near-lethal temperatures; as a result, the match between completion of migration and the window of appropriate migration conditions can be disrupted. The strength of this spatially and temporally removed effect is at least comparable to the local effects of dams in determining smolt migration success in the presence of dams. We also considered smolts from different tributaries, varying in distance from the river mouth, to assess the potential importance of locally adapted migration timing on the effect of barriers. Migration-initiation temperature affected modeled smolt survival differentially across tributaries, with the success of smolts from upstream tributaries being much more variable across years than that of smolts with a shorter distance to travel. As a whole, these results point to the importance of broadening our spatial and temporal view when managing migrating populations. We must consider not only how many individuals never make it across migration barriers, but also the spatially and temporally removed consequences of delays at the barriers for those individuals that successfully navigate them.

Ecological Applications↗

Body size and condition influence migration timing of juvenile Arctic grayling

Freshwater fishes utilising seasonally available habitats within annual migratory circuits time movements out of such habitats with changing hydrology, although individual attributes of fish may also mediate the behavioural response to environmental conditions. We tagged juvenile Arctic grayling in a seasonally flowing stream on the Arctic Coastal Plain in Alaska and recorded migration timing towards overwintering habitat. We examined the relationship between individual migration date, and fork length (FL) and body condition index (BCI) for fish tagged in June, July and August in three separate models. Larger fish migrated earlier; however, only the August model suggested a significant relationship with BCI. In this model, 42% of variability in migration timing was explained by FL and BCI, and fish in better condition were predicted to migrate earlier than those in poor condition. Here, the majority (33%) of variability was captured by FL with an additional 9% attributable to BCI. We also noted strong seasonal trends in BCI reflecting overwinter mass loss and subsequent growth within the study area. These results are interpreted in the context of size and energetic state-specific risks of overwinter starvation and mortality (which can be very high in the Arctic), which may influence individuals at greater risk to extend summer foraging in a risky, yet prey rich, habitat. Our research provides further evidence that heterogeneity among individuals within a population can influence migratory behaviour and identifies potential risks to late season migrants in Arctic beaded stream habitats influenced by climate change and petroleum development.

Alaska↗

Neonatal antipredator tactics shape female movement patterns in large herbivores

Caring for newborn offspring hampers resource acquisition of mammalian females, curbing their ability to meet the high energy expenditure of early lactation. Newborns are particularly vulnerable, and large herbivores have evolved a continuum of neonatal anti-predator tactics, ranging from immobile hider to highly mobile follower offspring. How these tactics constrain female movements around parturition is unknown, particularly within the current context of increasing habitat fragmentation and earlier plant phenology caused by global warming. Using a analysis across 54 populations of 23 species of large herbivores, we show that mothers adjust their movements to variation in resource productivity and heterogeneity according to their offspring’s neonatal tactic. Mothers with hider offspring are unable to exploit environments where the variability of resources occurs at a broad scale, which might alter resource allocation compared to mothers with follower offspring. Our findings reveal that the overlooked neonatal tactic plays a key role for predicting how species are coping with environmental variation.

Nature Ecology & Evolution↗

Aquatic pollution increases use of terrestrial prey subsidies by stream fish

Stream food webs are connected with their riparian zones through cross-ecosystem movements of energy and nutrients. The use and impact of terrestrial subsidies on aquatic consumers is determined in part by in situ biomass of aquatic prey. Thus, stressors such as aquatic pollutants that greatly reduce aquatic secondary production could increase the need for and reliance of stream consumers on terrestrial resource subsidies. To test this hypothesis, we surveyed stream fish, their diets and resource availability in 16 subalpine streams over a regional gradient of trace metals known to strongly impact aquatic insect communities (i.e. fish prey) in the Colorado Rocky Mountains, USA. Fish increased their reliance on terrestrial insect prey as stream metals increased. Relative biomass of terrestrial insects in stomach contents of Brook and Brown Trout increased with respect to aquatic insect biomass and total stomach contents. Drifting insect biomass showed a declining trend for aquatic, but not terrestrial insects, over the metal gradient. Trout densities were unrelated to metal concentrations in streams where we found fish. Synthesis and applications . Our results indicate that diets of aquatic consumers can become more terrestrial as aquatic stressors that limit in situ food production increase and that these subsidies may compensate for loss of aquatic resources. This work implies an important connection between preserving aquatic–terrestrial linkages and management of fish populations in stressed watersheds. Specifically, intact riparian zones and aquatic–terrestrial linkages are likely to be important for maintaining trout production in streams with moderate metal contamination.

Colorado↗

Spawning site fidelity and apparent annual survival of walleye (Sander vitreus) differ between a Lake Huron and Lake Erie tributary

Fidelity to spawning habitats can maximise reproductive success of fish by synchronising movements to sites of previous recruitment. To determine the role of reproductive fidelity in structuring walleye Sander vitreus populations in the Laurentian Great Lakes, we used acoustic telemetry combined with Cormack–Jolly–Seber capture–recapture models to estimate spawning site fidelity and apparent annual survival for the Tittabawassee River in Lake Huron and Maumee River in Lake Erie. Walleye in spawning condition were tagged from the Tittabawassee River in Lake Huron and Maumee River in Lake Erie in 2011–2012. Site fidelity and apparent annual survival were estimated from return of individuals to the stream where tagged. Site fidelity estimates were higher in the Tittabawassee River (95%) than the Maumee River (70%) and were not related to sex or fish length at tagging. Apparent annual survival of walleye tagged in the Tittabawassee did not differ among spawning seasons but was higher for female than male walleye and decreased linearly as fish length increased. Apparent annual survival of walleye tagged in the Maumee River did not differ among spawning seasons but was higher for female walleye than male walleye and increased linearly as fish length increased. Greater fidelity of walleye tagged in the Tittabawassee River than walleye tagged in the Maumee River may be related to the close proximity to the Maumee River of other spawning aggregations and multiple spawning sites in Lake Erie. As spawning site fidelity increases, management actions to conserve population structure require an increasing focus on individual stocks.

Lake Erie, Lake Huron↗

Hydrogeology and hydrology of the Punta Cabullones wetland area, Ponce, southern Puerto Rico, 2007-08

The U.S. Geological Survey, in cooperation with the Municipio Autónomo de Ponce and the Puerto Rico Department of Natural and Environmental Resources, conducted a study of the hydrogeology and hydrology of the Punta Cabullones area in Ponce, southern Puerto Rico. (Punta Cabullones is also referred to as Punta Cabullón.) The Punta Cabullones area is about 9 square miles and is an ecological system made up of a wetland, tidal flats, saltflats, mangrove forests, and a small fringing reef located a short distance offshore. The swales or depressions between successive beach ridges became development avenues for saline to hypersaline wetlands. The Punta Cabullones area was designated by the U.S. Fish and Wildlife Service as a coastal barrier in the 1980s because of its capacity to act as a buffer zone to ameliorate the impacts of natural phenomenon such as storm surges. Since 2003, Punta Cabullones has been set aside for preservation as part of the mitigation effort mandated by Federal and State laws to compensate for the potential environmental effects that might be caused by the construction of the Las Américas Transshipment Port. Total rainfall measured during 2008 within the Punta Cabullones area was 36 inches, which is slightly greater than the long-term annual average of 32 inches for the coastal plain near Ponce. Two evapotranspiration estimates, 29 and 37 inches, were obtained for the subarea of the Punta Cabullones area that is underlain by fan-delta and alluvial deposits by using two variants of the Penman semi-empirical equation. The long-term water stage and chemical character of the wetland in Punta Cabullones are highly dependent on the seasonal and annual variations of both rainfall and sea-wave activity. Also, unseasonal short-term above-normal rainfall and sea-wave events resulting from passing storms may induce substantial changes in the water stage and the chemical character of the wetland. In general, tidal fluctuations exert a minor role in modifying the water quality and stage of the wetland in Punta Cabullones. The role of the tidal fluctuations becomes important during those times when the outlets/inlets to the sea are not blocked by a sand bar and is allowed to freely flow into the wetland interior. The salinity of the wetland varies from brackish to hypersaline. The hypersaline conditions, including the occurrence of saltflats, within the Punta Cabullones wetland area result from a high evapotranspiration rate. The hypersaline conditions are further enhanced by a sand bar that blocks the inlet/outlet of the wetland’s easternmost channel, particularly during the dry season. Groundwater in Punta Cabullones mostly is present within beds of silisiclastic sand and gravel. During the study period, the depth to groundwater did not exceed 4 feet below land surface. The movement and direction of the groundwater flow in Punta Cabullones are driven by density variations that in turn result from the wide range of salinities in the groundwater. The salinity of the groundwater decreases within the first 60 to 100 feet of depth and decreases outward from a mound of hypersaline groundwater centered on piezometer nest PN2. The main groundwater types within the Punta Cabullones area vary from calcium-bicarbonate type in the northernmost part of the study area to a predominantly sodium-potassium-chloride groundwater type southward. According to stable-isotope data, groundwater within the study area is both modern meteoric water and seawater highly affected by evaporation. The chemical and stable-isotopic character of local groundwater is highly influenced by evapotranspiration because of its shallow depth. Equivalent freshwater heads indicate groundwater moves away from a mound centered on piezometer nest PN2, in a pattern similar to the spatial distribution of groundwater salinity. Vertical groundwater flow occurs in Punta Cabullones due to local differences in density. In the wetland subarea of Punta Cabullones, groundwater and surface water are hydraulically coupled. Locally, surface-hypersaline water sinks into the aquifer, providing recharge and serving as a mechanism to redistribute salt throughout the study area. The evapotranspiration in the wetland subarea is estimated at about 11 million gallons per day (Mgal/d) that is equivalent to about 12,586 acre-feet per year. The balance of evapotranspiration, in excess of the about 0.5 Mgal/d of groundwater flow within the wetland, is supplied by saline to hypersaline surface water that may include seawater and meteoric water highly affected by evaporation with dissolved salts. In one of the extreme scenarios in which no groundwater is intercepted by pumpage at the Restaurada well field, the amount of saline to hypersaline water in the wetland consumed by evapotranspiration is about 10.5 Mgal/d. In the opposite extreme in which the entire regional groundwater flow is intercepted by pumpage in the Restaurada well field, the entire evapotranpiration requirement is met by saline to hypersaline water. Hydrologic, isotopic, and chemical data indicate that all of, or a large portion of, the historical groundwater flow to Punta Cabullones is being captured by the Puerto Rico Aqueducts and Sewer Authority pumpage at the Restaurada well field at a rate of about 2 Mgal/d. As a consequence, seawater intrusion into the aquifer at the Punta Cabullones area seems to be occurring, while the current pumpage at the Restaurada well field is sustained by storage depletion of the aquifer.

Puerto Rico↗

Hydrologic assessment of three drainage basins in the Pinelands of southern New Jersey, 2004-06

The New Jersey Pinelands is an ecologically diverse area in the southern New Jersey Coastal Plain, most of which overlies the Kirkwood-Cohansey aquifer system. The demand for groundwater from this aquifer system is increasing as local development increases. Because any increase in groundwater withdrawals has the potential to affect streamflows and wetland water levels, and ultimately threaten the ecological health and diversity of the Pinelands ecosystem, the U.S. Geological Survey, in cooperation with the New Jersey Pinelands Commission, began a multi-phase hydrologic investigation in 2004 to characterize the hydrologic system supporting the aquatic and wetland communities of the New Jersey Pinelands area (Pinelands). The current investigation of the hydrology of three representative drainage basins in the Pinelands (Albertson Brook, McDonalds Branch, and Morses Mill Stream basins) included a compilation of existing data; collection of water-level and streamflow data; mapping of the water-table altitude and depth to the water table; and analyses of water-level and streamflow variability, subsurface gradients and flow patterns, and water budgets. During 2004-06, a hydrologic database of existing and new data from wells and stream sites was compiled. Methods of data collection and analysis were defined, and data networks consisting of 471 wells and 106 surface-water sites were established. Hydrographs from 26 water-level-monitoring wells and four streamflow-gaging stations were analyzed to show the response of water levels and streamflow to precipitation and recharge with respect to the locations of these wells and streams within each basin. Water-level hydrographs show varying hydraulic gradients and flow potentials, and indicate that responses to recharge events vary with well depth and proximity to recharge and discharge areas. Results of the investigation provide a detailed characterization of hydrologic conditions, processes, and relations among the components of the hydrologic cycle in the Pinelands. In the Pinelands, recharge replenishes the aquifer system and contributes to groundwater flow, most of which moves to wetlands and surface water where natural discharge occurs. Some groundwater flow is intercepted by supply wells. Recharge rates generally are highest during the non-growing season and are inversely related to evapotranspiration. Analysis of subsurface hydraulic gradients, water-table fluctuations, and streamflow variability indicates a strong linkage between groundwater and wetlands, lakes and streams. Gradient analysis indicates that most wetlands are in groundwater discharge areas, but some wetlands are in groundwater recharge areas. The depth to the water table ranges from zero at surface-water features up to about 10 meters in topographically high areas. Depth to water fluctuates seasonally, and the magnitude of these fluctuations generally increases with distance from surface water. Variations in the permeability of the soils and sediments of the aquifer system strongly affect patterns of water movement through the subsurface and the interaction of groundwater with wetlands, lakes and streams. Mean annual streamflow during 2004-06 ranged from 83 to 106 percent of the long-term mean annual discharge, indicating that the data-collection period can be considered representative of average conditions. Measurements of groundwater levels, stream stage, and stream discharge and locations of start-of-flow are illustrated in basin-wide maps of water-table altitude, depth to the water table, and stream base flow during the period. Water-level data collected along 15 hydrologic transects that span the range of environments from uplands through wetlands to surface water were used to determine hydraulic gradients, potential flow directions, and areas of recharge and discharge. These data provide information about the localized interactions of groundwater with wetlands and surface water. Wetlands were categorized with r

New Jersey↗

Long-term assessments are critical to determining persistence and shoreline protection from oyster reef nature-based coastal defenses

Nature-based coastal defense using bivalve reefs provides a potentially self-sustaining approach for regions facing high coastal land loss, relative sea level rise and increasing frequency and intensity of storms. Success of such nature-based coastal defense depends on the reef-building species' life history, habitat requirements, and ability to thrive through short-term and longer-term environmental variation, yet few projects have reported on outcomes beyond the first few years. In coastal Louisiana, USA, Crassostrea virginica (oyster) is an ecosystem engineer, creating self-sustaining, vertically accreting reefs that also provide ecosystem services. Here, we examine the short (< 3 years) and medium (> 10 years) term outcomes of experimental reefs constructed in 2009 for nature-based coastal defense in a Louisiana, USA estuarine lake. Oyster reef density, demography, along with adjacent salt marsh, and shoreline movement were compared at six fringing shoreline reefs and paired reference sites over the first three years post-construction (2009–2011), and a decade later (2019–2020). Oyster density measured in 2019–2020 (< 60 ind m −2 ) was less than 10% of density measured during 2009–2011 (> 1000 ind m −2 ). This density difference largely reflected a lack of new recruits and small oysters (< 75 mm shell height) in later samples, with adult oyster densities similar between 2011, 2019 and 2020. Lack of smaller oysters in recent sampling likely reflected the impact of multiple extended low salinity events in this region in recent years, including the record-breaking low salinity in 2019. No differences in shoreline characteristics were detected in marsh vegetation, soil properties or nutrient concentrations between reef and reference sites during early and later years. Similarly, shoreline erosion at both reef and reference sites immediately post-construction, and 10 years later, was high (~1 m y −1 ) indicating a lack of shoreline protection from these reefs. These findings highlight the need to consider both current and future conditions, including the effect of extreme years, when implementing nature-based coastal defense. On the other hand, the persistence of reproductive-sized oysters on the reef 10 years post creation, indicate reef resilience and potential for reef development and shoreline benefits, should better site conditions return in future years. Determining restoration success within variable and dynamic environments requires frequent monitoring which is required to understand responses to short and longer-term environmental variation.

Louisiana↗

Assessment of spatial genetic structure to identify populations at risk for infection of an emerging epizootic disease

Understanding the geographic extent and connectivity of wildlife populations can provide important insights into the management of disease outbreaks but defining patterns of population structure is difficult for widely distributed species. Landscape genetic analyses are powerful methods for identifying cryptic structure and movement patterns that may be associated with spatial epizootic patterns in such cases. We characterized patterns of population substructure and connectivity using microsatellite genotypes from 2,222 white-tailed deer ( Odocoileus virginianus ) in the Mid-Atlantic region of the United States, a region where chronic wasting disease was first detected in 2009. The goal of this study was to evaluate the juxtaposition between population structure, landscape features that influence gene flow, and current disease management units. Clustering analyses identified four to five subpopulations in this region, the edges of which corresponded to ecophysiographic provinces. Subpopulations were further partitioned into 11 clusters with subtle ( F ST ≤ 0.041), but significant genetic differentiation. Genetic differentiation was lower and migration rates were higher among neighboring genetic clusters, indicating an underlying genetic cline. Genetic discontinuities were associated with topographic barriers, however. Resistance surface modeling indicated that gene flow was diffuse in homogenous landscapes, but the direction and extent of gene flow were influenced by forest cover, traffic volume, and elevational relief in subregions heterogeneous for these landscape features. Chronic wasting disease primarily occurred among genetic clusters within a single subpopulation and along corridors of high landscape connectivity. These results may suggest a possible correlation between population substructure, landscape connectivity, and the occurrence of diseases for widespread species. Considering these factors may be useful in delineating effective management units, although only the largest features produced appreciable differences in subpopulation structure. Disease mitigation strategies implemented at the scale of ecophysiographic provinces are likely to be more effective than those implemented at finer scales.

Maryland, Pennsylvania, Virginia↗

Early treatment of white-nose syndrome is necessary to stop population decline

Since its introduction to North America, white-nose syndrome has been associated with declines greater than 90% in several bat species, prompting the development of treatments to reduce disease-related mortality. As treatment application is scaled up, predicting responses at the population level will help in the development of management plans. We develop a model allowing for the implementation of multiple treatment scenarios in bat populations at risk of severe mortality from white-nose syndrome. Our model allows for variation in over 10 parameters, including effectiveness of treatment, treatment-related disturbance, number of individuals treated, number of hibernacula treated, herd immunity and movement among hibernacula. Additionally, the model allows treatments to be applied to individuals, the hibernaculum or a combination of the two. We simulated treatments for populations of 1000, 10,000 and 100,000 individuals, with the distribution of individuals within hibernacula based on field surveys of Myotis lucifugus . When treatments are applied to individuals, we found that treatment success was most influenced by the number of bats effectively treated, the magnitude of disturbance and the year of first treatment relative to initial mortality. For treatments applied to hibernacula, we found year of first treatment relative to initial mortality, magnitude of disturbance and effectiveness of treatment to be the best predictors of success. Treatments have the potential to mitigate white-nose syndrome-related mortality, but application of treatments after initial mass mortality seems to be of limited benefit. Unknowns surrounding influential treatment parameters, such as disturbance to hibernating bats, created substantial variation across outcomes and highlight the importance of obtaining field estimates of parameters associated with treatments. Synthesis and applications : While treatment applications can increase survival from white-nose syndrome, their potential is strongly diminished when not applied before or during the early epidemic stages. Once the disease is established, increasing survival and reproduction through methods other than disease treatments could be a better option. In the United States, most areas yet to reach the late epidemic or established stage are in the west where bats do not aggregate in large colonies and treating a substantial number of individuals will be difficult.

Journal of Applied Ecology↗

Evaluation of acoustic telemetry grids for determining aquatic animal movement and survival

Acoustic telemetry studies have frequently prioritized linear configurations of hydrophone receivers, such as perpendicular from shorelines or across rivers, to detect the presence of tagged aquatic animals. This approach introduces unknown bias when receivers are stationed for convenience at geographic bottlenecks (e.g., at the mouth of an embayment or between islands) as opposed to deployments following a statistical sampling design. We evaluated two-dimensional acoustic receiver arrays (grids: receivers spread uniformly across space) as an alternative approach to provide estimates of survival, movement, and habitat use. Performance of variably-spaced receiver grids (5–25 km spacing) was evaluated by simulating (1) animal tracks as correlated random walks (speed: 0.1–0.9 m/s; turning angle standard deviation: 5–30 degrees); (2) variable tag transmission intervals along each track (nominal delay: 15–300 seconds); and (3) probability of detection of each transmission based on logistic detection range curves (midpoint: 200–1500 m). From simulations, we quantified i) time between successive detections on any receiver (detection time), ii) time between successive detections on different receivers (transit time), and iii) distance between successive detections on different receivers (transit distance). In the most restrictive detection range scenario (200 m), the 95 th percentile of transit time was 3.2 days at 5 km grid spacing, 5.7 days at 7 km, and 15.2 days at 25 km; for the 1500 m detection range scenario, it was 0.1 days at 5 km, 0.5 days at 7 km, and 10.8 days at 25 km. These values represented upper bounds on the expected maximum time that an animal could go undetected. Comparison of the simulations with pilot studies on three fishes (walleye Sander vitreus , common carp Cyprinus carpio , and channel catfish Ictalurus punctatus ) from two independent large lake ecosystems (lakes Erie and Winnipeg) revealed shorter detection and transit times than what simulations predicted. By spreading effort uniformly across space, grids can improve understanding of fish migration over the commonly employed receiver line approach, but at increased time cost for maintaining grids.

Methods in Ecology and Evolution↗

Combining citizen science species distribution models and stable isotopes reveals migratory connectivity in the secretive Virginia rail

Stable hydrogen isotope (δD) methods for tracking animal movement are widely used yet often produce low resolution assignments. Incorporating prior knowledge of abundance, distribution or movement patterns can ameliorate this limitation, but data are lacking for most species. We demonstrate how observations reported by citizen scientists can be used to develop robust estimates of species distributions and to constrain δD assignments. We developed a Bayesian framework to refine isotopic estimates of migrant animal origins conditional on species distribution models constructed from citizen scientist observations. To illustrate this approach, we analysed the migratory connectivity of the Virginia rail Rallus limicola , a secretive and declining migratory game bird in North America. Citizen science observations enabled both estimation of sampling bias and construction of bias-corrected species distribution models. Conditioning δD assignments on these species distribution models yielded comparably high-resolution assignments. Most Virginia rails wintering across five Gulf Coast sites spent the previous summer near the Great Lakes, although a considerable minority originated from the Chesapeake Bay watershed or Prairie Pothole region of North Dakota. Conversely, the majority of migrating Virginia rails from a site in the Great Lakes most likely spent the previous winter on the Gulf Coast between Texas and Louisiana. Synthesis and applications . In this analysis, Virginia rail migratory connectivity does not fully correspond to the administrative flyways used to manage migratory birds. This example demonstrates that with the increasing availability of citizen science data to create species distribution models, our framework can produce high-resolution estimates of migratory connectivity for many animals, including cryptic species. Empirical evidence of links between seasonal habitats will help enable effective habitat management, hunting quotas and population monitoring and also highlight critical knowledge gaps.

Journal of Applied Ecology↗

The contribution of road-based citizen science to the conservation of pond-breeding amphibians

Roadside amphibian citizen science (CS) programmes bring together volunteers focused on collecting scientific data while working to mitigate population declines by reducing road mortality of pond‐breeding amphibians. Despite the international popularity of these movement‐based, roadside conservation efforts (i.e. “big nights,” “bucket brigades” and “toad patrols”), direct benefits to conservation have rarely been quantified or evaluated. As a case study, we used a population simulation approach to evaluate how volunteer intensity, frequency and distribution influence three conservation outcomes (minimum population size, population growth rate and years to extinction) of the spotted salamander ( Ambystoma maculatum ), often a focal pond‐breeding amphibian of CS and conservation programmes in the United States. Sensitivity analysis supported the expectation that spotted salamander populations were primarily recruitment‐driven. Thus, conservation outcomes were highest when volunteers focused on metamorph outmigration as opposed to adult in‐migration—contrary to the typical timing of such volunteer events. Almost every volunteer strategy resulted in increased conservation outcomes compared to a no‐volunteer strategy. Specifically, volunteer frequency during metamorph migration increased outcomes more than the same increases in volunteer effort during adult migration. Small population sizes resulted in a negligible effect of volunteer intensity. Volunteers during the first adult in‐migration had a relatively small effect compared to most other strategies. Synthesis and applications . Although citizen science (CS)‐focused conservation actions could directly benefit declining populations, additional conservation measures are needed to halt or reverse local amphibian declines. This study demonstrates a need to evaluate the effectiveness of focusing CS mitigation efforts on the metamorph stage, as opposed to the adult stage. This may be challenging, compared to other management actions such as road‐crossing infrastructure. Current amphibian CS programmes will be challenged to balance implementing evidence‐based conservation measures on the most limiting life stage, while retaining social and community benefits for volunteers.

Journal of Applied Ecology↗

Survey protocols drive heterogeneity in occupancy estimates that cannot be standardized using post hoc analyses

Site occupancy models are widely used to estimate species distributions from presence–nondetection data, yet for mobile animals, the true proportion of sites occupied varies in time. Thus, true occupancy and estimates generated from different protocols are affected by temporal characteristics of survey design. Here we tested whether we could standardize occupancy estimates across different sampling protocols with a post hoc statistical test. Using an individual-based movement model of Wood Thrush ( Hylocichla mustelina ), we simulated point count surveys across 3000 populations under 90 spatially and temporally variable sampling protocols. For each simulation, we fit a standard occupancy model, then used minute-level detections to truncate surveys and generate occupancy estimates across increasing survey lengths. We fit asymptotic models to these series to estimate intercepts (instantaneous occupancy) and asymptotes (longer-term occupancy) and evaluated how well they approximated true instantaneous, daily and seasonal occupancy. We were unable to recover instantaneous or seasonal occupancy from any approach. Both standard occupancy models and asymptotic regression (the top-performing asymptotic model) most closely approximated daily occupancy; although asymptotic regression produced slightly less biased estimates, it showed substantially greater variability, resulting in greater overall error. Our results show that post hoc analytical approaches cannot, at present, reliably standardize occupancy estimates across heterogeneous survey designs. Instead, ensuring biologically informative and comparable estimates will depend on standardized survey protocols. Practical implication : Monitoring programs using presence–nondetection data should prioritize consistent survey protocols when estimating occupancy for mobile species, with a focus on daily occupancy as the most attainable and useful metric. Although the highest accuracy and precision were achieved under the most intensive survey protocols, for point counts of Wood Thrush and similar species, four consecutive 15–20 min surveys provide near-optimal precision and can be completed in a single visit, making them well suited for estimating relative occupancy under logistical constraints. Three 20-min surveys spaced ~24 h apart closely approximate daily occupancy while maintaining reasonable precision. Developing similar protocols for other species and survey methods will be critical to ensuring comparable occupancy estimates across space and time.

Ecological Solutions and Evidence↗

Space use, forays, and habitat selection in California Spotted Owls (Strix occidentalis occidentalis): New insights from high resolution GPS tracking

Our current understanding of the relationship between imperiled species and forest management can benefit from global positioning system (GPS) technologies. Fauna of lateseral stage forests have historically been difficult to detect and track in rugged terrain, leading to challenges in movement characterization and conservation. We investigated movement of California Spotted Owls ( Strix occidentalis occidentalis ) using automated GPS loggers affixed to 15 owls in the northern Sierra Nevada, California. We used >17,000 locations from individual owls to characterize homerange size, movement distances, and roosting and foraging habitat selection at four spatio-temporal scales (landscape, home range, foray, nightly) during the breeding season (April–August). Additionally, we assessed owl use of Protected Activity Centers (PACs), which are designated by the U.S.D.A. Forest Service to protect nesting and roosting habitat. Our results corroborated some previous findings about habitat requirements of California Spotted Owls, while also revealing new nuances in space use and habitat selection. Roosting and foraging owls selected stands with high canopy cover and large trees at multiple spatio-temporal scales, with foraging owls showing strongest selection at the largest (landscape) scale investigated. Although owls selected for PACs while foraging and roosting, PACs protected less than one quarter of foraging space use (volume of use) and fewer than half of observed roosts during the breeding season. Female owl home ranges were double the size of male home ranges, and distances travelled from the nest by females were 1.3 times greater than distances travelled by males, with non-breeding females travelling farthest and visiting up to six PACs during a single breeding season. Foraying behavior of this sort has not been documented previously in California Spotted Owls. Our findings support protection of later seral stage forest attributes for roosting and foraging California Spotted Owls. Given their selection for later seral forest attributes, strongest evidence of foraging habitat selection at the landscape scale, long distances travelled by owls and limited habitat protection afforded by PACs, habitat connectivity across the landscape is likely an important component for owl conservation, and distribution of current protected areas may be inadequate for this wide-ranging species.

California↗