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At least 1,135 records · Page 63Linked to original sources

Direct and indirect responses of tallgrass prairie butterflies to prescribed burning

Fire is an important tool in the conservation and restoration of tallgrass prairie ecosystems. We investigated how both the vegetation composition and butterfly community of tallgrass prairie remnants changed in relation to the elapsed time (in months) since prescribed fire. Butterfly richness and butterfly abundance were positively correlated with the time since burn. Habitat-specialist butterfly richness recovery time was greater than 70 months post-fire and habitat-specialist butterfly abundance recovery time was approximately 50 months post-fire. Thus, recovery times for butterfly populations after prescribed fires in our study were potentially longer than those previously reported. We used Path Analysis to evaluate the relative contributions of the direct effect of time since fire and the indirect effects of time since fire through changes in vegetation composition on butterfly abundance. Path models highlighted the importance of the indirect effects of fire on habitat features, such as increases in the cover of bare ground. Because fire return intervals on managed prairie remnants are often less than 5 years, information on recovery times for habitat-specialist insect species are of great importance. ?? 2010 Springer Science+Business Media B.V.

Journal of Insect Conservation↗

Towards a refined definition of “tidal influence” for the coastal wetland sciences

The astronomical tide relates to lunar (and to a lesser extent solar) influences on rising and falling water bodies, and is a key control of many coastal processes. However, tides manifest along coastal margins in different ways to muddle application beyond Sir Isaac Newton’s first descriptions. Here, we argue that tide, or specifically “tidal,” has not been adequately defined for the coastal wetland sciences to facilitate contemporary interdisciplinary distinction for rapidly changing coastlines and future climate adaptation planning. We provide a brief history of the tidal concept, and we describe tides in a diversity of uncommonly recognized marginal coastal environments. Common astronomical tide manifestations are described through hydrographic examples, then expanded to include those tidal environments exposed additionally to fluvial, meteorological (wind), or groundwater influences. Our expanded definition of “tidal” is intended to be a forward-looking construct as environments will inevitably change with sea-level rise, water extraction, and anthropogenic flow alteration. Our definition of wetland tidal influence, which we broaden, includes those “wetlands affected by astronomic water level fluctuations within coastally restricted environments causing frequent or infrequent surface inundation or groundwater tidal variation that affects the biogeochemistry of the soil (e.g., ion exchange capacity, oxygen state, mineralization processes)”. Astronomic water level fluctuations are often amplified or dampened by non-astronomical events, such as wind. Expanding the definition of what is considered tidal by the scientific community is critical for improved understanding of coastal wetland function and the suite of ecosystem services they provide people and society, including climate mitigation opportunity, management, and adaptation.

Wetlands↗

Geochemical sourcing of runoff from a young volcanic watershed to an impacted coral reef in Pelekane Bay, Hawaii

Runoff of sediment and other contaminants from developed watersheds threatens coastal ecosystems and services. A sediment geochemical sourcing study was undertaken on a sediment-impacted coral reef flat to identify terrestrial sediment sources and how these changed over time. Geochemical signatures were identified for watershed soils that formed on Hawaiian basaltic and alkalic lavas using relatively immobile compatible (Ni, Sc) and incompatible (Nb, REE , Th) elements quantified by ICP-MS in total decompositions of the fine fraction of surface soils. Some soils also contained ash from late-erupting cinder cones that added alkalic geochemical signatures, resulting in distinctive mixed signatures near these geologic features. Sediment was collected in Pelekane Bay using sediment traps during winter 2010–2011 and a sediment core in order to geochemically source runoff entering the bay. Geochemical signatures in trapped sediment showed that runoff predominantly originated from the lower watershed along a highway corridor rather than from the upper watershed or areas with alkalic lavas. Soil in the highway corridor also contained Zn above levels of concern for aquatic organisms and anthropogenic Pb, indications that runoff control measures could reduce the exposure of the reef community to potentially toxic metals and other road-associated contaminants. The upper portion of a 60-yr long sediment record from Pelekane Bay was disturbed by tsunamigenic waves from the Tohoku earthquake , and the remainder was likely subject to mixing by winter waves that averaged out geochemical variations. On average, watershed regions with basaltic soils were the predominant source of runoff to the bay over the past 60 years. By linking sediment runoff to geographic regions or features in watersheds, geochemical sourcing can provide insights that allow resource managers to direct runoff mitigation and soil conservation efforts to areas where they will be most effective.

Hawaii↗

Dealing with incomplete and variable detectability in multi-year, multi-site monitoring of ecological populations

An ecological monitoring program should be viewed as a component of a larger framework designed to advance science and/or management, rather than as a stand-alone activity. Monitoring targets (the ecological variables of interest; e.g. abundance or occurrence of a species) should be set based on the needs of that framework (Nichols and Williams 2006; e.g. Chapters 2&ndash;4). Once such monitoring targets are set, the subsequent step in monitoring design involves consideration of the field and analytical methods that will be used to measure monitoring targets with adequate accuracy and precision. Long-term monitoring programs will involve replication of measurements over time, and possibly over space; that is, one location or each of multiple locations will be monitored multiple times, producing a collection of site visits (replicates). Clearly this replication is important for addressing spatial and temporal variability in the ecological resources of interest (Chapters 7&ndash;10), but it is worth considering how this replication can further be exploited to increase the effectiveness of monitoring. In particular, defensible monitoring of the majority of animal, and to a lesser degree plant, populations and communities will generally require investigators to account for imperfect detection (Chapters 4, 18). Raw indices of population state variables, such as abundance or occupancy (sensu MacKenzie et al. 2002), are rarely defensible when detection probabilities are < 1, because in those cases detection may vary over time and space in unpredictable ways. Myriad authors have discussed the risks inherent in making inference from monitoring data while failing to correct for differences in detection, resulting in indices that have an unknown relationship to the parameters of interest (e.g. Nichols 1992, Anderson 2001, MacKenzie et al. 2002, Williams et al. 2002, Anderson 2003, White 2005, K&eacute;ry and Schmidt 2008). While others have argued that indices may be preferable in some cases due to the challenges associated with estimating detection probabilities (e.g. McKelvey and Pearson 2001, Johnson 2008), we do not attempt to resolve this debate here. Rather, we are more apt to agree with MacKenzie and Kendall (2002) that the burden of proof ought to be on the assertion that detection probabilities are constant. Furthermore, given the wide variety of field methods available for estimating detection probabilities and the inability for an investigator to know, a priori, if detection probabilities will be constant over time and space, we believe that development of monitoring programs ought to include field and analytical methods to account for the imperfect detection of organisms.

Book chapter↗

Adverse outcome pathway and risks of anticoagulant rodenticides to predatory wildlife

Despite a long history of successful use, routine application of some anticoagulant rodenticides (ARs) may be at a crossroad due to new regulatory guidelines intended to mitigate risk. An adverse outcome pathway for ARs was developed to identify information gaps and end points to assess the effectiveness of regulations. This framework describes chemical properties of ARs, established macromolecular interactions by inhibition of vitamin K epoxide reductase, cellular responses including altered clotting factor processing and coagulopathy, organ level effects such as hemorrhage, organism responses with linkages to reduced fitness and mortality, and potential consequences to predator populations. Risk assessments have led to restrictions affecting use of some second-generation ARs (SGARs) in North America. While the European regulatory community highlighted significant or unacceptable risk of ARs to nontarget wildlife, use of SGARs in most EU member states remains authorized due to public health concerns and the absence of safe alternatives. For purposes of conservation and restoration of island habitats, SGARs remain a mainstay for eradication of invasive species. There are significant data gaps related to exposure pathways, comparative species sensitivity, consequences of sublethal effects, potential hazards of greater AR residues in genetically resistant prey, effects of low-level exposure to multiple rodenticides, and quantitative data on the magnitude of nontarget wildlife mortality.

Environmental Science & Technology↗

The challenge of retarding erosion of island biodiversity through phytosanitary measures: An update on the case of Puccinia psidii in Hawai'i

Most rust fungi are highly host specific, but Puccina psidii has an extremely broad host range within Myrtaceae and gained notoriety with a host jump in its native Brazil from common guava ( Psidium guajava ) to commercial Eucalyptus plantations. When detected in Hawaiʻi in April 2005, the first invasion outside the neotropics/subtropics, there was immediate concern for ʻōhiʻa (Metrosideros polymorpha). ʻŌhiʻa composes 80% of native forest statewide, providing stable watersheds and habitat for most Hawaiian forest birds and plants. Within months, rust spores spread statewide on wind currents, but ʻōhiʻa was found to be only a minor host, showing very light damage. The primary host was nonnative rose apple ( Syzygium jambos ), severely affected at a landscape scale, but the epiphytotic subsided as rose apple was largely defoliated or killed within several years. The limited and stable host range in Hawaiʻi (versus elsewhere) led the local conservation community to explore possibilities for excluding new genetic strains of P. psidii . Although national/international phytosanitary standards require strong scientific justification for regulations involving an infraspecific taxonomic level, hopes were buoyed when genetic studies showed no apparent genetic variation/evolution in Hawaiʻi's rust strain. A sophisticated genetic study of P. psidii in its home range is near completion; genetic variation is substantial, and host species strongly influences rust population structure. To prevent introduction of new strains, the Hawaiʻi Department of Agriculture is moving ahead with establishing stringent measures that restrict entry of Myrtaceae into Hawaiʻi. Meanwhile, P. psidii poses a major threat to Myrtaceae biodiversity worldwide.

Hawai'i↗

Assessing effects of sediment delivery to coral reefs: A Caribbean watershed perspective

Coral reefs in the western Atlantic and Caribbean are deteriorating primarily from disease outbreaks, increasing seawater temperatures, and stress due to land-based sources of pollutants including sediments associated with land use and dredging. Sediments affect corals in numerous ways including smothering, abrasion, shading, and inhibition of coral recruitment. Sediment delivery resulting in deposition and water quality deterioration can cause degradation at the spatial scale of corals or entire reefs. We still lack rigorous long-term studies of coral cover and community composition before, during and after major sediment stress, and evidence of recovery after watershed management actions. Here we present an overview of the effects of terrestrial sediments on corals and coral reefs, with recent advances in approaches to watershed assessment relevant to the delivery of sediments to these ecosystems. We present case studies of northeastern Caribbean watersheds to illustrate challenges and possible solutions and to draw conclusions about the current state of knowledge of sediment effects on coral reefs. With a better understanding of erosion and the pathways of sediment discharge to nearshore reefs, there is the increased potential for management interventions.

Frontiers in Marine Science↗

Multilevel learning in the adaptive management of waterfowl harvests: 20 years and counting

In 1995, the U.S. Fish and Wildlife Service implemented an adaptive harvest management program (AHM) for the sport harvest of midcontinent mallards ( Anas platyrhynchos ). The program has been successful in reducing long-standing contentiousness in the regulatory process, while integrating science and policy in a coherent, rigorous, and transparent fashion. After 20 years, much has been learned about the relationship among waterfowl populations, their environment, and hunting regulations, with each increment of learning contributing to better management decisions. At the same time, however, much has been changing in the social, institutional, and environmental arenas that provide context for the AHM process. Declines in hunter numbers, competition from more pressing conservation issues, and global-change processes are increasingly challenging waterfowl managers to faithfully reflect the needs and desires of stakeholders, to account for an increasing number of institutional constraints, and to (probabilistically) predict the consequences of regulatory policy in a changing environment. We review the lessons learned from the AHM process so far, and describe emerging challenges and ways in which they may be addressed. We conclude that the practice of AHM has greatly increased an awareness of the roles of social values, trade-offs, and attitudes toward risk in regulatory decision-making. Nevertheless, going forward the waterfowl management community will need to focus not only on the relationships among habitat, harvest, and waterfowl populations, but on the ways in which society values waterfowl and how those values can change over time.

Wildlife Society Bulletin↗

Effects of salinity on freshwater fishes in coastal plain drainages in the southeastern U.S.

This review focuses on the influence of salinity on freshwater fishes in coastal rivers and estuaries of the southeastern U.S. Influences of salinity on freshwater fish species can be explained partly through responses evidenced by behavior, physiology, growth, reproduction, and food habits during all aspects of life history. Factors influencing the rate of salinity change affect the community structure and dynamics of freshwater fishes in brackish environments. Our understanding of the relation between salinity and the life history of freshwater fishes is limited because little ecological research has been conducted in low-salinity habitats that we consider an “interface” between freshwater streams and the estuary proper. Much of the available data are descriptive in nature and describe best general patterns, but more specific studies are required to better determine the influence of salinity on freshwater fishes. Improved understanding of the influence of human-induced changes on the productivity and viability of these important systems will require a new research focus.

Reviews in Fisheries Science↗

Plant community trajectories following livestock exclusion for conservation vary and hinge on initial invasion and soil-biocrust conditions in shrub steppe

Adjustments or complete withdrawal of livestock grazing are among the most common conservation actions in semiarid uplands, but outcomes can vary considerably with ecological context. Invasion by exotic annual grasses and the excessive wildfire they promote are increasing threats to semiarid shrub-steppe, and plant-community response to livestock exclusion in these areas may be complicated by the rapid colonization ability of invaders. We evaluated vegetation-community changes over 14-year interval (2007–2021) in a shrub-steppe landscape where a >100-year history of livestock grazing had been terminated in 1996. Field surveys revealed that bare-soil exposure decreased >20% over the 14 years owing to biomass accumulation, but this was primarily due to large increases in exotic annual “cheatgrass” ( Bromus tectorum , +1.8-fold) and the litter it produces (+1.5-fold). Soil biocrusts increased 11.9% and perennial bunchgrasses increased 3% over the 14 years. These community changes varied at the patch scale and entailed inverse relationships of (1) both cheatgrass and biocrusts to plant-community basal cover, (2) cheatgrass to both biocrusts and perennial grasses, and (3) biocrusts to cheatgrass and litter. The spatiotemporal variability in vegetation constituted changes in plant-community states, according to cluster analysis. The modeled probability of a community transitioning to a cheatgrass state was (1) strongly and positively related to the initial (2007) cover of cheatgrass in hotspots where initial cheatgrass cover was >20%, and (2) negatively related to biocrust cover where initial biocrust cover was >4% of ground area. The decision space for this landscape can be framed as a shifting from acceptance towards resisting further degradation by removing livestock and their trampling of soil surfaces and utilization of perennial herbs. However, cheatgrass appears to be the most impactful agent of change and continued invasion appears imminent. Active restoration may help resist further degradation and direct change towards tolerable conditions.

Colorado↗

Maintaining and restoring sustainable ecosystems in southern Nevada

Managers in southern Nevada are challenge with determining appropriate goals and objectives and developing viable approaches for maintaining and restoring sustainable ecosystems in a time of rapid socio-ecological and environmental change. Sustainable or "healthy" ecosystems supply clean air, water and habitat for a diverse array of plants and animals. As described in Chapter 1, sustainable ecosystems retain characteristic processes like hydrological flux and storage, geomorphic processes, biogeochemical cycling and storage, biological activity and productivity, and population regeneration and reproduction over the normal cycle of disturbance events (modified from Chapin and others 1996 and Christensen and others 1996). Ecological restoration of stressed or disturbed ecosystems in an integral part of managing for sustainable ecosystems. The Society of Ecological Restoration International (SERI) defines ecological restoration as the process of assisting the recovery of an ecosystem that has been degraded, damaged, or destroyed (SERI 2004). Many of the southern Nevada's ecosystems are being subjected to anthropogenic stressors that span global, regional, and local scales (Chapter 2)., and are crossing ecological thresholds to new alternative states (Chapter 4 and Chapter 5). These alternative states often represent novel communities with disturbance regimes that differ significantly from historic conditions. Past management and restoration goals often focused on returning ecosystems to pre-disturbance conditions (Harris and others 2006). This approach assumes stable or equilibrium conditions and ignores changes in ecosystems processes due to land uses, increases in CO 2 concentrations, and climate change. A more realistic approach is to base management and restoration goals on the current potential of an ecosystem to support a given set of ecological conditions, and on the likelihood of future change due to warming climate (Harris and others 2006). This approach requires understanding ecosystem resilience to anthropogenic disturbance and climate change, the alternative states that exist for ecosystems, and the factors that result in threshold crossing (Bestelmeyer and others 2009; Hobbs and Harris 2001; Stingham and others 2003; Whisemnant 1999). It also requires the ability to predict how climate is likely to influence ecosystems in the future (Harris and others 2006). This chapter addresses the restoration aspects of Sub-goal 1.3 in the SNAP Science Research Strategy which is to restore and sustain proper function of southern Nevada's watersheds and landscapes (able 1.3; Turner and others 2009). The effects of global, regional and local stresses on southern Nevada ecosystems are presented in Chapter 2. Here, we discuss appropriate objectives and develop guidelines for maintaining and restoring southern Nevada ecosystems. We then discuss the differences in ecological resilience to stress and disturbance and resistance to invasive species in southern Nevada ecosystems and describe restoration and management approaches for the different ecosystem types. We conclude with knowledge gaps and management implications.

Nevada↗

Origin of the 17 July 1998 Papua New Guinea tsunami: Earthquake or landslide

The tsunami that struck Papua New Guinea on 17 July 1998 shortly after a M w 7.0 earthquake ( Figure 1 ) was one of the deadliest tsunamis in this century. At least 2,200 people died from this event, essentially destroying an entire generation in some communities. In the months following the tsunami, several international survey teams collected data in an attempt to better understand the cause of this event. Elevations of waterline marks and displaced debris measured by the first International Tsunami Survey Team (ITST; Kawata et al., 1999 ) indicated an average runup of 10 m occurring over a 25 km length of coastline in the vicinity of Sissano Lagoon ( Figure 2 ). The maximum runup from this event was approximately 15 m. Tsunami runup heights of this size are commonly associated either with earthquakes of much larger magnitude or with “tsunami earthquakes” as defined by Kanamori ( 1972 ) and later discussed by Kanamori and Kikuchi ( 1993 ). Even for tsunami earthquakes, however, runup heights of 10-15 m seem only to occur for earthquakes M w > 7.5. Because these runup heights appear anomalously high for a M 7 earthquake, other sources have been postulated for the tsunami, including a submarine landslide or mass flow. Earlier this year, the bathymetry north of Papua New Guinea was surveyed by the Japan Marine Science and Technology Center (JAMSTEC) and the South Pacific Applied Geoscience Commission (SOPAC). In a report describing the preliminary results from these cruises ( Tappin et al. , 1999 ), bathymetric images are presented that show evidence both of a 40-km-long fault scarp and of collapse features within an approximately 10-km-wide bathymetric amphitheater ( Figure 2 ). The report suggests that a landslide was the sole cause for the tsunami. In this paper, I revisit the common assumption that local tsunami runup scales directly with moment magnitude and demonstrate that the tsunami generated by the earthquake cannot be disregarded to explain the runup observations.

Seismological Research Letters↗

Modeling morphodynamics of coastal response to extreme events: What shape are we in?

This review focuses on recent advances in process-based numerical models of the impact of extreme storms on sandy coasts. Driven by larger-scale models of meteorology and hydrodynamics, these models simulate morphodynamics across the Sallenger storm-impact scale, including swash, collision, overwash, and inundation. Models are becoming both wider (as more processes are added) and deeper (as detailed physics replaces earlier parameterizations). Algorithms for wave-induced flows and sediment transport under shoaling waves are among the recent developments. Community and open-source models have become the norm. Observations of initial conditions (topography, land cover, and sediment characteristics) have become more detailed, and improvements in tropical cyclone and wave models provide forcing (winds, waves, surge, and upland flow) that is better resolved and more accurate, yielding commensurate improvements in model skill. We foresee that future storm-impact models will increasingly resolve individual waves, apply data assimilation, and be used in ensemble modeling modes to predict uncertainties.

Annual Review of Marine Science↗

Pre-restoration woody species crown and vegetation community mapping using high-resolution uncrewed aerial system imagery, Palmyra Atoll

The terrestrial management plan for Palmyra Atoll includes large-scale removal of coconut ( Cocos nucifera ) as part of native forest restoration and contaminant remediation that will leave soils and vegetation communities profoundly altered. To inform those efforts and provide baseline data for restoration monitoring, woody stem crowns and vegetation communities at Palmyra Atoll were mapped using existing datasets and manual photointerpretation of high-resolution aerial imagery collected using uncrewed aerial systems. Coconut palm, grand devil's claws ( Pisonia grandis ), and numerous other species were delineated as either individual crowns, crown portions, or species patches. The extent of land area at high tide was also delineated based on vegetation patterns, topographic indicators, and deposition lines of vegetation litter and flotsam. Finally, in a novel “bottom-up” approach to vegetation community mapping, crown maps were used to delineate U.S. National Vegetation Classification System vegetation communities and other management areas. Of the more than 44,000 mapped crowns, coconut was by far the most abundant species, comprising nearly half of the mapped stems. By establishing a quantitative baseline for current habitat conditions, this project facilitates the integration of contaminant remediation recovery activities with habitat restoration planning, implementation, and monitoring at Palmyra Atoll. Results illustrate the appropriateness of the mapping approach for plant species-level censuses and cover estimation over relatively small areas to aid in inventory and monitoring and to facilitate management planning. The relatively simple mapping methods used in this study are appropriate for resource managers with limited human and computational resources to support automated mapping.

Pacific Science↗

U.S. Geological Survey science for the Wyoming Landscape Conservation Initiative—2014 annual report

This is the seventh report produced by the U.S. Geological Survey (USGS) for the Wyoming Landscape Conservation Initiative (WLCI) to detail annual activities conducted by the USGS for addressing specific management needs identified by WLCI partners. In FY2014, there were 26 projects, including a new one that was completed, two others that were also completed, and several that entered new phases or directions. The 26 projects fall into several categories: (1) synthesizing and analyzing existing data to identify current conditions on the landscape and using the data to develop models for projecting past and future landscape conditions; (2) monitoring indicators of ecosystem conditions and the effectiveness of on-the-ground habitat projects; (3) conducting research to elucidate the mechanisms underlying wildlife and habitat responses to changing land uses; (4) managing and making accessible the large number of databases, maps, and other products being developed; and (5) coordinating efforts among WLCI partners, helping them use USGS-developed decision-support tools, and integrating WLCI outcomes with future habitat enhancement and research projects. The new (completed) project was the development and publication of a public outreach piece for visitors of Fossil Butte National Monument. The final product was a USGS Fact Sheet that capitalized on previously collected elk-monitoring data to interpret the ecology of the Monument&rsquo;s elk population and the importance of the Monument&rsquo;s habitats to this highly visible wildlife species. One of the completed projects entailed developing and evaluating a synthetic approach to high-resolution satellite imagery for use in effectiveness monitoring, which culminated in a journal article. The other completed project was a coalescing of two similar tasks under data and information management that pertain to Web application development and the development of outreach and graphic products into a single integrated project that focuses on developing and maintaining/upgrading Web applications and other tools for visualizing, mapping, and using geospatial data. Major accomplishments for FY2014 included several publications, including Part B of an energy resources map that (with Part A) depicts coal, wind, oil, gas, oil shale, uranium, and solar energy production in the WLCI region. Two published works associated with sage-grouse included a Wildlife Monograph on prioritizing species&rsquo; habitats across large landscapes, multiple seasons, and novel areas (using sage-grouse in Wyoming as an example), and a USGS Data Series report that includes both the data used in the habitat-prioritization models and the habitat prioritization models developed for sage-grouse. Our Science Team also published a framework for conducting large, collaborative projects that rely on geospatial data, and a paper that describes the efficacy of fusing satellite data collected at various resolutions for measuring and monitoring vegetation changes. These products are all invaluable tools for maximizing the efficiency and effectiveness of managing species of concern, conducting future landscape-scale assessments, and monitoring status and trends of landscape conditions. Other highlights of FY2014 included a renewed effort to gather and analyze wildlife and habitat status and trend data for the WLCI Interagency Monitoring Database (IAMD) to assess long-term trends and cumulative effects associated with land-use and climate changes. Water-monitoring efforts included drilling four new groundwater-monitoring wells in the Green and New Fork River basins near the proposed Normally Pressured Lance Formation energy development, and continued data collection at established water-monitoring sites. Three additional wells were sampled as part of the Wyoming Groundwater Monitoring Network, bringing the total to 19 Network wells sampled in the WLCI region since 2010. Combined, these water-monitoring efforts can help to identify potential changes in water quality or levels that may result from land-use changes. Major terrestrial monitoring accomplishments included processing satellite imagery from 1985&minus;2010 to develop a historical perspective of long-term vegetation changes, which can serve as a basis for monitoring current and future trends in sagebrush steppe. Such data are crucial tools for agencies tasked with sage-grouse management and conservation. The USGS WLCI Science Team also continued monitoring and testing methods for evaluating WLCI habitat treatments designed to promote aspen regeneration and enhance sage-grouse habitat, and to assess how those treatments influence invasive species distributions and ungulate herbivory. Highlights included analyzing field data collected to elucidate the relationships between sage-grouse habitat use and the proximity of energy infrastructure, and using new instruments to measure productivity responses of aspen woodlands to various factors. Numerous FY2014 accomplishments specifically addressed agency needs to manage and conserve Wyoming&rsquo;s wildlife species of concern. A pygmy rabbit habitat model and Wyoming distribution map were completed to identify factors associated with rabbit habitat occupancy. Previous work on sage-grouse population dynamics was expanded to better understand the factors that drive long-term viability of sage-grouse populations and to develop a tool that helps to identify key factors limiting sage-grouse persistence in Wyoming. Field work and data analyses continued for elucidating the relationships between sagebrush songbird abundance and productivity, the intensity of energy development, and community dynamics of nest predators. For the mule deer study, mixed mountain shrublands important to migrating and wintering mule deer were mapped and delivered to WLCI partners. Additionally, the relationships between energy development and crucial winter habitat for mule deer were evaluated, and a new phase of work was implemented to better understand relationships between plant phenology and mule deer migration movements. Finally, initial analyses of data collected to evaluate fish-community composition in relation to habitat quality indicate that water quality, as measured by concentrations of hydrocarbons, water temperature, and others parameters, has been diminished in subwatersheds with higher levels of energy development. Overall, the outcomes and products of these wildlife studies contribute significantly to the information and tools needed for addressing effects of land-use changes on Wyoming&rsquo;s species of concern. Finally, capabilities of the WLCI Web site and the USGS ScienceBase infrastructure were maintained and upgraded to help ensure access to and efficient use of all the WLCI data, products, assessment tools, and outreach materials that have been developed. Of particular note is the completion of three Web applications developed for mapping (1) the 1900&minus;2008 progression of oil and gas development;(2) the predicted distributions of Wyoming&rsquo;s Species of Greatest Conservation Need; and (3) the locations of coal and wind energy production, sage-grouse distribution and core management areas, and alternative routes for transmission lines within the WLCI region. Collectively, these applications tools provide WLCI planners and managers with powerful tools for better understanding the distributions of wildlife species and potential alternatives for energy development.

Wyoming↗

Research in thermal biology: Burning questions for coldwater stream fishes

With the increasing appreciation of global warming impacts on ecological systems, in addition to the myriad of land management effects on water quality, the number of literature citations dealing with the effects of water temperature on freshwater fish has escalated in the past decade. Given the many biological scales at which water temperature effects have been studied, and the growing need to integrate knowledge from multiple disciplines of thermal biology to fully protect beneficial uses, we held that a survey of the most promising recent developments and an expression of some of the remaining unanswered questions with significant management implications would best be approached collectively by a diverse research community. We have identified five specific topic areas of renewed research where new techniques and critical thought could benefit coldwater stream fishes (particularly salmonids): molecular, organism, population/species, community and ecosystem, and policy issues in water quality. Our hope is that information gained through examination of recent research fronts linking knowledge at various scales will prove useful in managing water quality at a basin level to protect fish populations and whole ecosystems. Standards of the past were based largely on incipient lethal and optimum growth rate temperatures for fish species, while future standards should consider all integrated thermal impacts to the organism and ecosystem. ?? Taylor and Francis Group, LLC.

Reviews in Fisheries Science↗

Where has turtle ecology been, and where is it going?

Over 9000 articles have been published on turtles and tortoises (excluding sea turtles) since 1950 according to the Web of Science, including over 8000 contained in a personal bibliography that we analyze in this paper. Research had a slow start from 1900 to 1950, with mostly anecdotal additions to our knowledge until the contributions of F. Cagle and A. Carr took turtle research to new levels as the cofathers of turtle ecology in the middle of the last century. Books written in 1939, 1952, and 1972 that compiled existing literature on turtles in the United States and Canada set the stage for growing interest in turtles. The first global compilation of turtle species did not become available until 1961. Publication frequency increased in the 1960s and especially the 1970s as interest in turtles grew, and a wave of turtle biologists emerged from doctoral degree programs. We briefly review the contributions of scientists who published extensively on turtle ecology in those and later decades up to the present. We also review advances in our knowledge of various topics, including the global distribution of turtle research efforts; changes in our perceptions of turtle species diversity over time; turtle community ecology; sex ratios, sex-determination, and climate change; overwintering behavior; sexual size dimorphism and sexual dichromatism; analyses of population genetics; turtles and vocalization; and the emergence of turtle conservation biology efforts. We conclude with a discussion of future opportunities and challenges for working with turtles.

Herpetologica↗

The users, uses, and value of Landsat and other moderate-resolution satellite imagery in the United States-Executive report

Moderate-resolution imagery (MRI), such as that provided by the Landsat satellites, provides unique spatial information for use by many people both within and outside of the United States (U.S.). However, exactly who these users are, how they use the imagery, and the value and benefits derived from the information are, to a large extent, unknown. To explore these issues, social scientists at the USGS Fort Collins Science Center conducted a study of U.S.-based MRI users from 2008 through 2010 in two parts: 1) a user identification and 2) a user survey. The objectives for this study were to: 1) identify and classify U.S.-based users of this imagery; 2) better understand how and why MRI, and specifically Landsat, is being used; and 3) qualitatively and quantitatively measure the value and societal benefits of MRI (focusing on Landsat specifically). The results of the survey revealed that respondents from multiple sectors use Landsat imagery in many different ways, as demonstrated by the breadth of project locations and scales, as well as application areas. The value of Landsat imagery to these users was demonstrated by the high importance placed on the imagery, the numerous benefits received from projects using Landsat imagery, the negative impacts if Landsat imagery was no longer available, and the substantial willingness to pay for replacement imagery in the event of a data gap. The survey collected information from users who are both part of and apart from the known user community. The diversity of the sample delivered results that provide a baseline of knowledge about the users, uses, and value of Landsat imagery. While the results supply a wealth of information on their own, they can also be built upon through further research to generate a more complete picture of the population of Landsat users as a whole.

Open-File Report↗