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Tools for quantifying isotopic niche space and dietary variation at the individual and population level.

Ecologists are increasingly using stable isotope analysis to inform questions about variation in resource and habitat use from the individual to community level. In this study we investigate data sets from 2 California sea otter ( Enhydra lutris nereis ) populations to illustrate the advantages and potential pitfalls of applying various statistical and quantitative approaches to isotopic data. We have subdivided these tools, or metrics, into 3 categories: IsoSpace metrics, stable isotope mixing models, and DietSpace metrics. IsoSpace metrics are used to quantify the spatial attributes of isotopic data that are typically presented in bivariate (e.g., δ 13 C versus δ 15 N) 2-dimensional space. We review IsoSpace metrics currently in use and present a technique by which uncertainty can be included to calculate the convex hull area of consumers or prey, or both. We then apply a Bayesian-based mixing model to quantify the proportion of potential dietary sources to the diet of each sea otter population and compare this to observational foraging data. Finally, we assess individual dietary specialization by comparing a previously published technique, variance components analysis, to 2 novel DietSpace metrics that are based on mixing model output. As the use of stable isotope analysis in ecology continues to grow, the field will need a set of quantitative tools for assessing isotopic variance at the individual to community level. Along with recent advances in Bayesian-based mixing models, we hope that the IsoSpace and DietSpace metrics described here will provide another set of interpretive tools for ecologists.

Journal of Mammalogy↗

Legacy and current‐use contaminants in sediments alter macroinvertebrate communities in southeastern US Streams

Sediment contamination of freshwater streams in urban areas is a recognized and growing concern. As a part of a comprehensive regional stream‐quality assessment, stream‐bed sediment was sampled from streams spanning a gradient of urban intensity in the Piedmont ecoregion of the southeastern United States. We evaluated relations between a broad suite of sediment contaminants (metals, current‐use pesticides, organochlorine pesticides, polychlorinated biphenyls, brominated diphenyl ethers, and polycyclic aromatic hydrocarbons), ambient sediment toxicity, and macroinvertebrate communities from 76 sites. Sediment toxicity was evaluated by conducting whole‐sediment laboratory toxicity testing with the amphipod Hyalella azteca (for 28 d) and the midge Chironomus dilutus (for 10 d). Approximately one‐third of the sediment samples were identified as toxic for at least one test species endpoint, although concentrations of contaminants infrequently exceeded toxicity benchmarks. Ratios of contaminant concentrations relative to their benchmarks, both individually and as summed benchmark quotients, were explored on a carbon‐normalized and a dry‐weight basis. Invertebrate taxa measures from ecological surveys tended to decline with increasing urbanization and with sediment contamination. Toxicity test endpoints were more strongly related to sediment contamination than invertebrate community measures were. Sediment chemistry and sediment toxicity provided moderate and weak, respectively, explanatory power for the similarity/dissimilarity of invertebrate communities. The results indicate that current single‐chemical sediment benchmarks may underestimate the effects from mixtures of sediment contaminants experienced by lotic invertebrates.

Alabama, Georgia, South Carolina, North Carolina, ↗

Water and the South Florida environment

Ecological problems are a major concern to Florida as well as to the Nation. National attention was focused on these problems in September 1968, when the Port Authority of Dade County began to con- struct a jetport for supersonic aircraft on a 39-square-mile tract 6 miles north of Everglades National Park and on the east edge of the Big Cypress Swamp. Conservation groups and citizens raised questions as to the effects of a regional jetport and the attendant satellite growth on the water resources and biological communities of the National Park. The Department of the Interior began studies to investigate the situation. One study, Leopold (1969), reported on the unfavorable ecological effects of the attendant satellite growth. Then Secretary of the Interior, Walter J. Hickel, directed the U.S. Geological Survey to study the water resources of the Big Cypress to determine which parts of the Big Cypress contribute the major part of the water necessary to maintain adequate water supplies for Everglades National Park. This was done in a report by Klein and others (1970). At about the same time, the Departments of interior and Transportation, the State of Florida, and the Dade County Port Authority con-curred in assigning to the Secretary of the Interior certain responsibilities for planning, developing, and coordinating an ecological study of south Florida. A primary objective of the ecological study is to provide information that will assist in the formulation of land-use policy consistent with the protection of the environment of Everglades National Park, the adjacent estuaries, and the public water supplies. The part of the investigation describing the surface-water and ground-water resources of south Florida was assigned to the Geological Survey. The quantity and quality of surface water and ground water and their interrelation with estuarine and marine waters are here considered. Also considered are the problems, present or future, related to the hydrologic environment that involve human, animal, and plant life. Changes taking place, apparent trends, and projections for the future are also considered, as well as alternatives for water management. The Geological Survey effort began in January 1971, when aerial photography and selected qualitative hydrologic data were obtained. However, most of the information upon which this report Is based was obtained by the Geological Survey in cooperative programs with several local, State, and Federal agencies since about 1940. The long-term support of the U.S. Army Corps of Engineers, the National Park Service, U.S. Navy, Florida Department of Natural Resources, Central and Southern Florida Flood Control District, Dade, Broward, Palm Beach and Collier Counties, Miami and Miami Beach, Ft. Lauderdale, Naples and others in the collection of data is gratefully acknowledged. A prolonged drought throughout south Florida from September 1970 to May 1971 accentuated the importance and timeliness of the study. The drought brought about a readvance of sea-water intrusion in many coastal areas, which necessitated restrictions on water use. The effect of drought on the regional water supply, continued population growth and increased water demands, and deterioration of the water quality in many of the canals and waterways of the urban areas accentuated the need for improved water management and land-use planning. As a result of the water crisis, the Governor of Florida called a special conference in September 1971. The conference, attended by foremost scientific and government personnel, proposed creation of an agency that would develop and implement comprehensive land and water-use plans for south Florida that would minimize environmental degradation.

Florida↗

Interaction strength and harvest intensity mediate predator–prey dynamics on coral reefs

Understanding predator–prey relationships is fundamental to our knowledge of the stability and resilience of ecological systems. These dynamics are shaped by both ecological factors, like interaction strength, and anthropogenic factors, like harvest intensity, which can have large-scale implications for community structure. However, few studies have focused on the combined impact of these effects and their contribution to phenomena like prey release within two-species frameworks. In this study, we investigate the interactive impact of interaction strength and harvest pressure on two trophic levels in a predator–prey system using a mathematical modeling approach. Our results reveal that interaction strength plays a crucial role in shaping population dynamics, with high interaction strength leading to a predator-dominated system and low interaction strength enabling coexistence between species. The addition of predator harvest into the system reveals complex and counterintuitive behavior not seen in unharvested systems, likely due to the destabilizing impacts of harvest at some interaction strengths. Specifically, the inclusion of harvest on the predator can induce a range of behaviors, such as prey release and predator decline, that alter the equilibrium abundance of both predator and prey populations. Interestingly, predator–prey systems with intermediate to high interaction strengths achieve maximum total abundance with low harvest levels rather than in scenarios with no harvest pressure, as prey populations benefit greatly from reduced predation mortality associated with predator harvest. We gain insights into the complex interplay between predator–prey interactions and human activities in shaping community composition and abundances across trophic levels. This study provides potential mechanisms that may explain the observed variation in numerical prey release in trophically complex systems in which predators and prey are both extracted, like coral reef fisheries. Results highlight the need for resource management to consider the wide range of factors that shape ecosystem dynamics to develop effective strategies that safeguard the long-term health of complex ecosystems and the human communities that they support.

Ecosphere↗

The influence of global climate change on the scientific foundations and applications of Environmental Toxicology and Chemistry: Introduction to a SETAC international workshop

This is the first of seven papers resulting from a Society of Environmental Toxicology and Chemistry (SETAC) international workshop titled “The Influence of Global Climate Change on the Scientific Foundations and Applications of Environmental Toxicology and Chemistry.” The workshop involved 36 scientists from 11 countries and was designed to answer the following question: How will global climate change influence the environmental impacts of chemicals and other stressors and the way we assess and manage them in the environment? While more detail is found in the complete series of articles, some key consensus points are as follows: (1) human actions (including mitigation of and adaptation to impacts of global climate change [GCC]) may have as much influence on the fate and distribution of chemical contaminants as does GCC, and modeled predictions should be interpreted cautiously; (2) climate change can affect the toxicity of chemicals, but chemicals can also affect how organisms acclimate to climate change; (3) effects of GCC may be slow, variable, and difficult to detect, though some populations and communities of high vulnerability may exhibit responses sooner and more dramatically than others; (4) future approaches to human and ecological risk assessments will need to incorporate multiple stressors and cumulative risks considering the wide spectrum of potential impacts stemming from GCC; and (5) baseline/reference conditions for estimating resource injury and restoration/rehabilitation will continually shift due to GCC and represent significant challenges to practitioners.

Environmental Toxicology and Chemistry↗

Range-wide salamander densities reveal a key component of terrestrial vertebrate biomass in eastern North American forests

Characterizing the population density of species is a central interest in ecology. Eastern North America is the global hotspot for biodiversity of plethodontid salamanders, an inconspicuous component of terrestrial vertebrate communities, and among the most widespread is the eastern red-backed salamander, Plethodon cinereus . Previous work suggests population densities are high with significant geographic variation, but comparisons among locations are challenged by lack of standardization of methods and failure to accommodate imperfect detection. We present results from a large-scale research network that accounts for detection uncertainty using systematic survey protocols and robust statistical models. We analysed mark–recapture data from 18 study areas across much of the species range. Estimated salamander densities ranged from 1950 to 34 300 salamanders ha −1 , with a median of 9965 salamanders ha −1 . We compared these results to previous estimates for P. cinereus and other abundant terrestrial vertebrates. We demonstrate that overall the biomass of P. cinereus , a secondary consumer, is of similar or greater magnitude to widespread primary consumers such as white-tailed deer ( Odocoileus virginianus ) and Peromyscus mice, and two to three orders of magnitude greater than common secondary consumer species. Our results add empirical evidence that P. cinereus , and amphibians in general, are an outsized component of terrestrial vertebrate communities in temperate ecosystems.

Biology Letters↗

Use of risk assessment to evaluate effects and plan remediation of abandoned mines

A framework of risk assessment is elaborated for the evaluation of the effects of abandoned mines and mills. Steps in this process include environmental description, identification and characterization of sources, assessment of exposure, assessment of effects, risk characterization, and risk management of remediation. The development and use of ecological end-points for remediation is discussed in terms of the chemical constituents, toxicity tests and the biological community.

Conference Paper↗

The ecology of Humboldt Bay, California, an estuarine profile

Synthesizes data on the ecological relationships and functions of the estuary, including information on physical aspects of the bay environment; describes the biotic communities and their relationships; provides management considerations in terms including environmental concerns; and identifies research and management information gaps. Portions of the bay are managed as a national wildlife refuge. Management issues for this ecosystem include loss of habitat and degradation of the environment by additional industrial development and nonpoint source pollution. -from Authors

California↗

An integrated multi-criteria scenario evaluation web tool for participatory land-use planning in urbanized areas: The Ecosystem Portfolio Model

Land-use land-cover change is one of the most important and direct drivers of changes in ecosystem functions and services. Given the complexity of the decision-making, there is a need for Internet-based decision support systems with scenario evaluation capabilities to help planners, resource managers and communities visualize, compare and consider trade-offs among the many values at stake in land use planning. This article presents details on an Ecosystem Portfolio Model (EPM) prototype that integrates ecological, socio-economic information and associated values of relevance to decision-makers and stakeholders. The EPM uses a multi-criteria scenario evaluation framework, Geographic Information Systems (GIS) analysis and spatially-explicit land-use/land-cover change-sensitive models to characterize changes in important land-cover related ecosystem values related to ecosystem services and functions, land parcel prices, and community quality-of-life (QoL) metrics. Parameters in the underlying models can be modified through the interface, allowing users in a facilitated group setting to explore simultaneously issues of scientific uncertainty and divergence in the preferences of stakeholders. One application of the South Florida EPM prototype reported in this article shows the modeled changes (which are significant) in aggregate ecological value, landscape patterns and fragmentation, biodiversity potential and ecological restoration potential for current land uses compared to the 2050 land-use scenario. Ongoing refinements to EPM, and future work especially in regard to modifiable sea level rise scenarios are also discussed.

Environmental Modelling and Software↗

Coastal development

As a focal point of global urbanization, the coastal zone faces multiple pressures from human activities, land-sea interactions and natural disasters. Over the past five years, population, communities and infrastructure in coastal zones have consistently grown, alongside gradual economic recovery. Coastal pollution has become more complex owing to climate change and the coronavirus disease (COVID-19) pandemic, necessitating enhanced monitoring and control measures. Public participation has been diversified but still faces difficulties in awareness-raising, policy strengthening, equity and comprehensiveness. For the coastal zone, integrated management will continue to be needed in order to achieve a balance between economic performance and ecological environment. Climate change will be a key factor to consider in every aspect of coastal zone development. To build inclusive, safe and disaster-resilient communities while reducing negative environmental impacts and achieving a sustainable coastal economy, greater emphasis must be placed on green-grey infrastructure, ecosystem-based approaches, institutional integration and sociocultural aspects. In addition, urgent breakthroughs are needed in areas such as data collection, technology synthesis, integrated land-sea management, transboundary cooperation and policies and technical innovations related to natural and nature-based features and nature-based solutions.

Report↗

Pollinator communities vary with vegetation structure and time since management within regenerating timber harvests of the Central Appalachian Mountains

Native pollinator populations across the United States are increasingly threatened by a multitude of ecological stressors. Although the drivers behind pollinator population declines are varied, habitat loss/degradation remains one of the most important threats. Forested landscapes, where the impacts of habitat loss/degradation are minimized, are known to support robust pollinator populations in eastern North America. Within heavily forested landscapes, timber management is already implemented as a means for improving forest health and enhancing wildlife habitat, however, little is known regarding the characteristics within regenerating timber harvests that affect forest pollinator populations. In 2018-19, we monitored insect pollinators in 143 regenerating (≤ 9 growing seasons post-harvest) timber harvest sites across Pennsylvania. During 1,129 survey events, we observed over 9,100 bees and butterflies, 220 blooming plant taxa, and collected over 2,200 pollinator specimens. Bee and butterfly abundance were positively associated with season-wide floral abundance and negatively associated with dense vegetation that inhibits the growth of understory floral resources. Particularly in late summer, few pollinators were observed in stands > 6 years post-harvest, with models predicting five times more bees in 1-year-old harvests than in 9-year-old harvests. Pollinator species diversity was positively associated with floral diversity and percent forb cover, and negatively associated with percent tall (>1m) sapling cover. These results suggest that regenerating timber harvests promote abundant and diverse pollinator communities in the Appalachian Mountains, though pollinator abundance declined quickly as woody stems regenerated. Ultimately, our findings contribute to a growing body of literature suggesting that dynamic forest management producing an even mix of age classes would benefit forest pollinator populations in the Central Appalachian Mountains.

Pennsylvania↗

Ecological resilience indicators for salt marsh ecosystems

Salt marshes are coastal ecosystems within the intertidal zone, characterized by hypoxic, saline, soil conditions and low biodiversity. Low diversity arises from frequent disturbance and stressful conditions (i.e., high salinity and hypoxia), where vegetative reproduction and low competition result in mostly monotypic stands, with some differences in plant community influenced by flooding regime (described below). While there are several types of salt marshes in the Northern Gulf of Mexico (NGoM), ranging from low to high salt marshes and salt flats (Tiner, 2013), Spartina alterniflora–dominated salt marshes in the Coastal and Marine Ecological Classification Standard (CMECS) Low and Intermediate Salt Marsh Biotic Group (FGDC, 2012) are the most extensive and are the focus of this project. These salt marshes are classified as “Gulf Coast Cordgrass Salt Marsh” (CEGL004190; USNVC, 2016). Within the NGoM region, some salt marsh areas are dominated by other species such as Spartina patens and Juncus roemerianus, which both occupy higher elevations in high-precipitation zones (e.g., Louisiana, Alabama, Mississippi, and Florida). In lower precipitation regions (southern Texas), hypersaline conditions often develop yielding communities of succulent salt marsh plants (Batis and Salicornia spp.). In climatic zones with warmer winter temperatures, temperate salt marshes naturally transition to mangrove (generally in the southern Gulf of Mexico range) or, in areas with lower precipitation, to salt flats (generally in western part of the study area).

Gulf of Mexico↗

Soil texture and precipitation seasonality influence plant community structure in North American temperate shrub steppe

In drylands, the coexistence of grasses and woody plants has been attributed to soil‐water resource partitioning. Soil texture and precipitation seasonality can influence the amount and distribution of water in the soil, and their interaction may play an important role in determining the relative importance of grasses and woody plants. We investigated the influence of this interaction on plant functional types across a broad range of precipitation regimes and soil textures in western North America by analyzing plant‐cover data collected at 2,084 plots that included the widespread shrub big sagebrush ( Artemisia tridentata Nutt.). We characterized how the significance of the inverse‐texture effect varies across soil conditions by quantifying relationships between precipitation and foliar cover on finer‐ vs. coarser‐textured soils across a range of potential texture divisions represented by sand content. We found evidence of the inverse‐texture effect for every plant functional type (except for cheatgrass) that we examined with at least one component of precipitation (annual, warm, or cold season), and provide the first evidence for this effect in locations with cold‐season‐dominated precipitation regimes. The texture and precipitation combinations that exhibited the inverse‐texture effect varied with plant functional type, presumably because of effects of soil texture on water availability at different soil depths with season. Furthermore, we found an inverse‐texture effect that was remarkably similar for shrub cover with cold‐season precipitation and grass cover with warm‐season precipitation. These results provide new insight into how the inverse‐texture effect interacts with precipitation seasonality to influence plant functional type composition in drylands, and further suggest that quantifying the soil‐texture division at which the inverse‐texture effect is relevant under a given set of environmental conditions may provide support for the effect across dryland plant communities.

Arizona, California, Colorado, Idaho, Montana, New↗

Effects of watershed and in-stream liming on macroinvertebrate communities in acidified tributaries to an Adirondack lake

Liming techniques are being explored as a means to accelerate the recovery of aquatic biota from decades of acid deposition in many regions. The preservation or restoration of native sportfish populations has typically been the impetus for liming programs, and as such, less attention has been given to its effects on other biological assemblages such as macroinvertebrates. Furthermore, the differing effects of various lime application strategies such as in-stream and watershed applications are not well understood. In 2012, a program was initiated using in-stream and aerial (whole-watershed) liming to improve water quality and Brook Trout ( Salvelinus fontinalis ) recruitment in three acidified tributaries of a high-elevation Adirondack lake in New York State. Concurrently, macroinvertebrates were sampled annually between 2013 and 2016 at 3 treated sites and 3 untreated reference sites to assess the effects of each liming technique on this community. Despite improvements in water chemistry in all three limed streams, our results generally suggest that neither liming technique succeeded in improving the condition of macroinvertebrate communities. The watershed application caused an immediate and unsustained decrease in the density of macroinvertebrates and increase in the proportion of sensitive taxa. These changes were driven primarily by a one-year 71 percent reduction of the acid-tolerant Leuctra stoneflies and likely represent an initial chemistry shock from the lime application rather than a recovery response. The in-stream applications appeared to reduce the density of macroinvertebrates, particularly in one stream where undissolved lime covered the natural substrate. The close proximity of our study sites to the in-stream application points (50 and 1230 m) may partly explain these negative effects. Our results are consistent with prior studies of in-stream liming which indicate that this technique often fails to restore macroinvertebrate communities to a pre-acidification condition, especially at distances <1.5 km downstream of the lime application point. The inability of either liming technique to improve the condition of macroinvertebrate communities may be partly explained by the persistence of acidic episodes in all three streams. This suggests that in order to be effective, liming programs should attempt to eliminate even temporary episodes of unsuitable water chemistry rather than just meeting minimal criteria the majority of the time. Because watershed liming produced a more stable water chemistry regime than in-stream liming, this technique may have greater future potential to eliminate toxic episodes and accelerate the recovery of acid-impacted macroinvertebrate communities.

New York↗

Long-term multidecadal data from a prairie-pothole wetland complex reveal controls on aquatic-macroinvertebrate communities

Interactions between climate and hydrogeologic settings contribute to the hydrologic and chemical variability among depressional wetlands, which influences their aquatic communities. These interactions and resulting variability have led to inconsistent results in terms of identifying reliable predictors of aquatic-macroinvertebrate community composition for depressional wetlands. This is especially true in the Prairie Pothole Region of North America where, in addition to pronounced climate variability, studies are often confounded by fish introductions. We used environmental monitoring data collected over a 24-year period from a complex of sixteen depressional wetlands and structural equation modeling techniques that incorporated theoretical and empirical relationships outlined in the Wetland Continuum to identify key environmental (climate and hydrogeologic setting) and biotic (competition and predation) drivers of aquatic-macroinvertebrate community composition for prairie-pothole wetlands. Uplands in the study area were primarily native prairie, thus, embedded wetlands were impacted minimally by agricultural influences. Additionally, study wetlands were predominately fishless. In the absence of the overwhelming influence of fishes, major drivers influencing aquatic-macroinvertebrate communities were revealed through the use of data spanning multidecadal-long climate cycles. We found variables related to the placement of wetlands along axes of the Wetland Continuum, e.g., hydrogeologic setting (relative wetland elevation) and hydroclimatic setting (proportion of wetland ponded), to be influential drivers of within-wetland habitat characteristics, such as the proportion of open-water area, which in turn was the strongest predictor of macroinvertebrate community composition. In contrast, predatory invertebrate and salamander abundance and non-predatory invertebrate biomass (i.e., predation and competition) were found to have minimal influence on community composition.

North Dakota↗

Selection of roosting habitat by forest bats in a diverse forested landscape

Many studies of roost selection by forest-dwelling bats have concentrated on microhabitat surrounding roosts without providing forest stand-level preferences of bats; thus, those studies have provided only part of the information needed by managers. We evaluated diurnal summer roost selection by the bat community at the forest-stand level in a diversely forested landscape in the Ouachita Mountains of central Arkansas. Over a 6-year period, we evaluated 428 roost locations for 162 individual bats of 6 species. Using Euclidean distance analysis and individual bat as the experimental unit, all 6 species were selective (P < 0.05) in their choice of roosting habitat. Five of six species preferred (P < 0.05) to roost in or near mature (???50 years old), mixed pine-hardwood forest that had undergone recent partial harvest, midstory removal, and burning; 41.3% of roosts were located in that habitat but it comprised an average of only 22.8% of available habitat. Five of six species also preferred older (???100 years old), relatively unmanaged, mixed pine-hardwood forest. Although 19.9% of roosts from all species were located in 50- to 99-year-old, second-growth forests of mixed pine-hardwood (average of 21.0% of available habitat), that habitat was preferred by no species of bat. In partially harvested stands, unharvested buffer strips (greenbelts) surrounding ephemeral streams were used at differing levels by each species; most (90%) eastern pipistrelle (Pipistrellus subflavus) roosts were in greenbelts whereas few (2.7%) Seminole bat (Lasiurus seminolus) roosts were in greenbelts. Older forests, thinned mature forests with reduced midstories, and greenbelts retained in harvested areas were all important roosting habitats for the bat community in the Ouachita Mountains. Our results demonstrate the importance of open forest conditions and a diversity of stand types to bat communities of the southeastern U.S.

Forest Ecology and Management↗

Long-term effects of a lock and dam and greentree reservoir management on a bottomland hardwood forest

We investigated the long-term effects of a lock and dam and greentree reservoir management on a riparian bottomland hardwood forest in southern Arkansas, USA, by monitoring stress, mortality, and regeneration of bottomland hardwood trees in 53 permanent sampling plots from 1987-1995. The lock and dam and greentree reservoir management have altered the timing, depth, and duration of flooding within the wetland forest. Evaluation of daily river stage data indicates that November overbank flooding (i.e. 0.3 m above normal pool) of 1 week duration occurred only 10 times from 1950 to 1995 and four of these occurrences were the result of artificial flooding of the greentree reservoir. Results of the vegetation study indicate that the five most common dominant and co-dominant species were overcup oak, water hickory, Nuttall oak, willow oak, and sweetgum. Mortality of willow oak exceeded that of all other species except Nuttall oak. Nuttall oak, willow oak, and water hickory had much higher percentages of dead trees concentrated within the dominant and co-dominant crown classes. Probit analysis indicated that differences in stress and mortality were due to a combination of flooding and stand competition. Overcup oak appears to exhibit very little stress regardless of crown class and elevation and, with few exceptions, had a significantly greater probability of occurring within lower stress classes than any other species. Only 22 new stems were recruited into the 5 cm diameter-at-breast height size class between 1990-1995 and of these, three were Nuttall oak, three were water hickory, and one was sweetgum. No recruitment into the 5 cm diameter-at-breast height size class occurred for overcup oak or willow oak. The results of the study suggest that the forest is progressing to a more water-tolerant community dominated by overcup oak. A conservative flooding strategy would minimize tree stress and maintain quality wildlife habitat within the forested wetland.The long-term effects of a lock and dam and greentree reservoir management on a riparian bottomland hardwood forest in southern Arkansas, USA, were investigated by monitoring stress, mortality, and regeneration of bottomland hardwood trees in 53 permanent sampling plots from 1987-1995. Results of the study suggest that the forest is progressing to a more water-tolerant community dominated by overcup oak.

Forest Ecology and Management↗

Historic range of variability in landscape structure in subalpine forests of the Greater Yellowstone Area, USA

A measure of the historic range of variability (HRV) in landscape structure is essential for evaluating current landscape patterns of Rocky Mountain coniferous forests that have been subjected to intensive timber harvest. We used a geographic information system (GIS) and FRAGSTATS to calculate key landscape metrics on two ???130,000-ha landscapes in the Greater Yellowstone Area, USA: one in Yellowstone National Park (YNP), which has been primarily shaped by natural fires, and a second in the adjacent Targhee National Forest (TNF), which has undergone intensive clearcutting for nearly 30 years. Digital maps of the current and historical landscape in YNP were developed from earlier stand age maps developed by Romme and Despain. Maps of the TNF landscape were adapted from United States Forest Service Resource Information System (RIS) data. Key landscape metrics were calculated at 20-yr intervals for YNP for the period from 1705-1995. These metrics were used to first evaluate the relative effects of small vs. large fire events on landscape structure and were then compared to similar metrics calculated for both pre- and post-harvest landscapes of the TNF. Large fires, such as those that burned in 1988, produced a structurally different landscape than did previous, smaller fires (1705-1985). The total number of patches of all types was higher after 1988 (694 vs. 340-404 before 1988), and mean patch size was reduced by almost half (186 ha vs. 319-379 ha). The amount of unburned forest was less following the 1988 fires (63% vs. 72-90% prior to 1988), yet the number of unburned patches increased by nearly an order of magnitude (230 vs. a maximum of 41 prior to 1988). Total core area and mean core area per patch decreased after 1988 relative to smaller fires (???73,700 ha vs. 87,000-110,000 ha, and 320 ha vs. 2,123 ha, respectively). Notably, only edge density was similar (17 m ha-1 after 1988) to earlier landscapes (9.8-14.2 m ha-1). Three decades of timber harvesting dramatically altered landscape structure in the TNF. Total number of patches increased threefold (1,481 after harvest vs. 437 before harvest), and mean patch size decreased by ???70% (91.3 ha vs. 309 ha). None of the post-harvest landscape metrics calculated for the TNF fell within the HRV as defined in YNP, even when the post-1988 landscape was considered. In contrast, pre-harvest TNF landscape metrics were all within, or very nearly within, the HRV for YNP While reference conditions such as those identified by this study are useful for local and regional landscape evaluation and planning, additional research is necessary to understand the consequences of changes in landscape structure for population, community, ecosystem, and landscape function.

Landscape Ecology↗