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At least 1,153 records · Page 64Linked to original sources

The use of NOAA AVHRR data for assessment of the urban heat sland effect

A vegetation index and a radiative surface temperature were derived from satellite data acquired at approximately 1330 LST for each of 37 cities and for their respective nearby rural regions from 28 June through 8 August 1991. Urban–rural differences for the vegetation index and the surface temperatures were computed and then compared to observed urban–rural differences in minimum air temperatures. The purpose of these comparisons was to evaluate the use of satellite data to assess the influence of the urban environment on observed minimum air temperatures (the urban heat island effect). The temporal consistency of the data, from daily data to weekly, biweekly, and monthly intervals, was also evaluated. The satellite-derived normalized difference (ND) vegetation-index data, sampled over urban and rural regions composed of a variety of land surface environments, were linearly related to the difference in observed urban and rural minimum temperatures. The relationship between the ND index and observed differences in minimum temperature was improved when analyses were restricted by elevation differences between the sample locations and when biweekly or monthly intervals were utilized. The difference in the ND index between urban and rural regions appears to be an indicator of the difference in surface properties (evaporation and heat storage capacity) between the two environments that are responsible for differences in urban and rural minimum temperatures. The urban and rural differences in the ND index explain a greater amount of the variation observed in minimum temperature differences than past analyses that utilized urban population data. The use of satellite data may contribute to a globally consistent method for analysis of urban heat island bias.

Journal of Applied Meteorology and Climatology↗

Tracking animals in freshwater with electronic tags: past, present and future

Considerable technical developments over the past half century have enabled widespread application of electronic tags to the study of animals in the wild, including in freshwater environments. We review the constraints associated with freshwater telemetry and biologging and the technical developments relevant to their use. Technical constraints for tracking animals are often influenced by the characteristics of the animals being studied and the environment they inhabit. Collectively, they influence which and how technologies can be used and their relative effectiveness. Although radio telemetry has historically been the most commonly used technology in freshwater, passive integrated transponder (PIT) technology, acoustic telemetry and biologgers are becoming more popular. Most telemetry studies have focused on fish, although an increasing number have focused on other taxa, such as turtles, crustaceans and molluscs. Key technical developments for freshwater systems include: miniaturization of tags for tracking small-size life stages and species, fixed stations and coded tags for tracking large samples of animals over long distances and large temporal scales, inexpensive PIT systems that enable mass tagging to yield population- and community-level relevant sample sizes, incorporation of sensors into electronic tags, validation of tag attachment procedures with a focus on maintaining animal welfare, incorporation of different techniques (for example, genetics, stable isotopes) and peripheral technologies (for example, geographic information systems, hydroacoustics), development of novel analytical techniques, and extensive international collaboration. Innovations are still needed in tag miniaturization, data analysis and visualization, and in tracking animals over larger spatial scales (for example, pelagic areas of lakes) and in challenging environments (for example, large dynamic floodplain systems, under ice). There seems to be a particular need for adapting various global positioning system and satellite tagging approaches to freshwater. Electronic tagging provides a mechanism to collect detailed information from imperilled animals and species that have no direct economic value. Current and future advances will continue to improve our knowledge of the natural history of aquatic animals and ecological processes in freshwater ecosystems while facilitating evidence-based resource management and conservation.

Animal Biotelemetry↗

Rapid Holocene deposition in the Mackenzie Trough and Barrow Canyon areas in the western Arctic Ocean

The Arctic Ocean and terrestrial environment have recently been reported to be changing drastically, but it is unclear whether these changes are similar to natural variations in the past or how sudden and large the changes are compared to natural variations. This premise served as motivation to collect sediment cores during the summer of 2022 at four sites on the Canadian continental shelf and Alaskan upper continental slope to reconstruct changes in the marine and terrestrial environments to provide a comprehensive picture of the ocean environment during the preindustrial period before anthropogenic influences. We dated the sediments based on the 137 Cs radioactivity of bulk sediments and the 14 C concentrations of mollusk shells. The 137 Cs radioactivity shows a distinct onset corresponding to 1950 Common Era (CE) and the most prominent peak corresponding to 1963 CE. Multiple peaks appeared above the most prominent one, coinciding with nuclear power plant accidents in 1986 and 2011. Inventories of excess 210 Pb in all cores exceed the estimated supply of excess 210 Pb from atmospheric deposition, likely due to the scavenging supply of excess 210 Pb. By comparing 137 Cs and radiocarbon conventional ages, we estimated the local radiocarbon reservoir age value of each site. Using these local radiocarbon reservoir age and the conventional ages of mollusk shell samples, we established the age-depth models by the Bayesian method. The optimal ΔR values were 598, 511, 65, and –60 years at the MT1, MT2, BC2, and BC2-2 sites, respectively. The cores consist of clayey silts continuously deposited with uniquely high sedimentation rates of 0.17 to 0.74 cm y −1 . Variation in the Ca/Ti ratio indicates ~ 20, ~ 30, 50–60, 100–125, and 300-year cycles, likely attributed to the variation in the Aleutian Low that controls the Bering Strait inflow of Pacific waters influencing our core sites. These sediments will be used for further high-resolution, multi-proxy studies with forthcoming results.

western Arctic Ocean↗

Geological and geochemical characterization of the Lower Cretaceous Pearsall Formation, Maverick Basin, south Texas: A future shale gas resource?

As part of an assessment of undiscovered hydrocarbon resources in the northern Gulf of Mexico onshore Mesozoic section, the U.S. Geological Survey (USGS) evaluated the Lower Cretaceous Pearsall Formation of the Maverick Basin, south Texas, as a potential shale gas resource. Wireline logs were used to determine the stratigraphic distribution of the Pearsall Formation and to select available core and cuttings samples for analytical investigation. Samples used for this study spanned updip to downdip environments in the Maverick Basin, including several from the current shale gas-producing area of the Pearsall Formation. The term shale does not adequately describe any of the Pearsall samples evaluated for this study, which included argillaceous lime wackestones from more proximal marine depositional environments in Maverick County and argillaceous lime mudstones from the distal Lower Cretaceous shelf edge in western Bee County. Most facies in the Pearsall Formation were deposited in oxygenated environments as evidenced by the presence of biota preserved as shell fragments and the near absence of sediment laminae, which is probably caused by bioturbation. Organic material is poorly preserved and primarily consists of type III kerogen (terrestrial) and type IV kerogen (inert solid bitumen), with a minor contribution from type II kerogen (marine) based on petrographic analysis and pyrolysis. Carbonate dominates the mineralogy followed by clays and quartz. The low abundance and broad size distribution of pyrite are consistent with the presence of oxic conditions during sediment deposition. The Pearsall Formation is in the dry gas window of hydrocarbon generation (mean random vitrinite reflectance values, R o = 1.2–2.2%) and contains moderate levels of total organic carbon (average 0.86 wt. %), which primarily resides in the inert solid bitumen. Solid bitumen is interpreted to result from in-situ thermal cracking of liquid hydrocarbon generated from original type II kerogen that was prevented from expulsion and migration by low permeability. The temperature of maximum pyrolysis output ( T max ) is a poor predictor of thermal maturity because the pyrolysis (S2) peaks from Rock-Eval analysis are ill defined. Vitrinite reflectance values are consistent with the dry gas window and are the preferred thermal maturity parameter. A Maverick Basin Pearsall shale gas assessment unit was defined using political and geologic boundaries to denote its spatial extent and was evaluated following established USGS hydrocarbon assessment methodology. The assessment estimated a mean undiscovered technically recoverable natural gas resource of 8.8 tcf of gas and 3.4 and 17.8 tcf of gas at the F95 and F5 fractile confidence levels, respectively. Significant engineering challenges will likely need to be met in determining the correct stimulation and completion combination for the successful future development of undiscovered natural gas resources in the Pearsall Formation.

AAPG Bulletin↗

Integrated uranium system in the Marysvale volcanic field, west-central Utah

Uranium in the Marysvale volcanic field is known to occur in several geologic environments and is thought to occur in others. These known and hypothetical occurrences are of various kinds, ranging in derivation from rhyolite magma, through porphyry-type deposits, hydrothermal vein deposits, dispersed hydrothermal deposits, and, after secondary transport in ground and surface water, roll–front or sedimentary–trap deposits in basin-fill sediments. To date, only the hydrothermal vein environment has been productive, but billions of pounds of uranium were available in all other environments, and if proper conditions existed, significant concentrations probably formed by other processes. The intracaldera fill of the Mount Belknap caldera and sediment-filled basins adjoining the Tushar Mountains are especially favorable exploration targets for the undiscovered uranium believed to exist.

Utah↗

Morphology and genetics of Lythrum salicaria from latitudinal gradients of the Northern Hemisphere grown in cold and hot common gardens

The aim of this project was to compare the phenotypic responses of global populations of Lythrum salicaria in cold/dry and hot/humid environments to determine if phenotypic plasticity varied between the native and invasive ranges, and secondarily if this variation was linked to genetic diversity. Common garden studies were conducted in Třeboň, Czech Republic, and Lafayette, Louisiana, USA (cold/dry vs. hot/humid garden, respectively), using populations from latitudinal gradients in Eurasia and North America. Lythrum salicaria seeds collected from the same maternal plants across these latitudinal gradients were germinated and grown in Třeboň and Lafayette. Tissue masses (above-, below-ground, inflorescence and total) of these individuals were assessed at the end of each growing season (2006–2008). Worldwide field measurements of L . salicaria height were made by volunteers from 2004–2016. Biomass and height data were analyzed using the General Linear Model framework and multivariate techniques. Molecular markers (amplified fragment length polymorphisms) of individuals used in the common garden study were analyzed using traditional genetic diversity metrics and Bayesian clustering algorithms in STRUCTURE. Reaction norms were developed from differences in maternal plant responses in Třeboň versus Lafayette. In the common garden studies, stem/leaf, root and total biomass generally were highest for individuals grown from seeds collected in the southern part of the range in the cold garden, particularly by the third year of the study. In contrast, inflorescence biomass in the cold garden was higher by the third year in individuals from mid-latitude populations. As measured by volunteers, plants were taller in Eurasia than in North America moving from north to south with the pattern switching southward of 40°N latitude. Genetic diversity was similar between native and non-native invasive populations regardless of geographical origin of the seed and was not significantly different in the GLM Select model (p > 0.05). Reaction norm slopes showed that Eurasia had larger values than North America for reaction norms for above-ground and total biomass. Plants from the seeds of mother plants from Turkey had wide variation in total biomass when grown in Třeboň versus Lafayette; this variation in response within certain populations may have contributed to the lack of population-level differences in plasticity. These results indicate no loss of genetic diversity for L . salicaria during its North American invasion, nor reduction in plastic tissue allocation responses to a varying environment, which may help explain some of its invasive qualities and which could be of adaptive value under changing future environments.

PLoS ONE↗

Age and growth of stocked juvenile Shoal Bass in a tailwater: Environmental variation and accuracy of daily age estimates

Otolith microanalysis is often used to assess population age structure and growth of fishes during their early stages. Shoal Bass Micropterus cataractae is a recently described species of conservation concern and little is known regarding factors affecting their recruitment. In 2004, Georgia Department of Natural Resources (GADNR) and the US National Park Service (NPS) stocked Shoal Bass marked with oxytetracycline (OTC) in the Chattahoochee River near Atlanta, Georgia in an effort to restore this population, creating known-age fish to examine the effect of environment on daily age accuracy. We obtained samples of stocked juvenile (<150 mm) Shoal Bass from standard monitoring that occurred approximately 30–60 days after stocking in the Chattahoochee River to 1) validate daily rings for estimating age, hatch dates, and growth rates for stocked age-0 Shoal Bass, and 2) evaluate the effect of habitat (location) on age bias. Shoal Bass otoliths were examined for OTC marks and daily rings were counted in reference to OTC marks to assess age estimation accuracy. Age estimation accuracy ranged from -2 to -25 days and was influenced by the environment where Shoal Bass were captured, with greater inaccuracy in colder water temperatures. Fish collected from locations with colder temperatures displayed closer spacing of daily rings, potentially leading to greater underestimation of age. Growth rates of stocked Shoal Bass, corrected for age estimation error, ranged from 0.5 mm/day to 0.8 mm/day. This study demonstrates the effect of environmental variability on age inaccuracy and subsequent interpretation of results. Incorporating methods to assess age estimation accuracy is needed to understand interspecific differences in recruitment among black bass species in the variety of natural and human-modified environments they inhabit.

Georgia↗

Modeling chronic wasting disease transmission risk in mule deer related to habitat characteristics

Chronic wasting disease (CWD) is a prion disease of cervids that spreads to uninfected individuals through direct transmission (contact with infected individuals), vertical transmission (from mother to offspring), or indirect transmission (exposure to contaminated environments). The risk of indirect transmission is unevenly distributed on the landscape, and risk levels are expected to be controlled by patterns of habitat use by infected and uninfected individuals as well as environmental properties that alter the length of time prions remain infectious and available for uptake. Despite evidence from controlled or laboratory studies identifying environmental properties likely to affect patterns of CWD prion locations on the landscape, it remains difficult to connect mechanisms to realized increased or decreased risk of disease transmission, and few studies have attempted to detect patterns of different CWD risk in different environments. Using data from GPS-collared mule deer in Wyoming that were CWD-tested annually, we constructed models predicting annual probability of disease transmission contingent on environmental properties extracted from GPS use points. We compared models that emphasized different pathways of disease transmission by including or excluding sets of covariates that described deer density, habitat selection, and covariates expected to affect prion persistence in the environment. Results indicated that key habitat characteristics often selected by mule deer, such as proximity to secondary roads, were also associated with higher risk of testing positive for CWD, which supports the hypothesis that disease risk was correlated to patterns of habitat use by deer. We also found increased risk associated with spatial properties that were not selected-for by deer, such as areas where topography collects moisture, suggesting that prion retention mechanisms also play a role in risk. Incorporating these spatially-varying risk factors into our understanding of CWD transmission and outbreak progression can support managers in designing data collection and disease management strategies.

Wyoming↗

Migration strategies supporting salmonids in Arctic Rivers: A case study of Arctic Cisco and Dolly Varden

Amphidromous fish such as Dolly Varden (Salvelinus malma) and Arctic Cisco (Coregonus autumnalis) have distinct life histories that facilitate their success in Arctic environments. Both species spawn in freshwater and make annual migrations between marine, brackish, or freshwater environments. Dolly Varden rear for one or more years in freshwater before migrating to sea whereas Arctic Cisco migrate to sea during their first summer. By contrast, Pacific salmon (Oncorhynchus spp.) spawn in freshwater, but once they smolt and go to sea they remain there until they mature and return to spawn. Salmon migrate at variable ages depending on species. Arctic marine environments offer productive food resources during summer, but during winter they are too cold for salmonids that lack antifreeze proteins. To avoid the cold sea during winter, Dolly Varden return to freshwater while Arctic Cisco overwinter in brackish estuaries. The lack of migration back to freshwater for overwintering helps explain why Pacific salmon success is limited in Arctic waters and suggests major increases in success will not be realized until Arctic seas provide suitable overwinter conditions. In this paper we contrast these migration strategies, discuss potential changes in a warming Arctic, and highlight information needs especially for juvenile fish.

Alaska↗

Using semipermeable membrane devices (SPMDs) to assess the toxicity and teratogenicity of aquatic amphibian habitats

Environmental contamination has been suspected of being partially responsible for recent declines in amphibian populations. It is often not feasible to identify all of the compounds in an environment, nor the concentrations in which they are present. SPMDs are passive sampling devices that uptake lipophilic compounds from the environment in a manner similar to aquatic organisms. The extracts from the SPMDs, therefore, contain a composite sample of the compounds that are present in the environment. In this paper, we outline the methods from studies in which we have used extracts from SPMDs in toxicity tests on amphibian larvae. Using SPMD extracts makes it possible to establish potential links between amphibian deformities and declines and environmental contamination by lipophilic compounds.

ASTM Special Technical Publication↗

Harvest, survival, growth, and movement of five strains of hatchery-reared rainbow trout in Virginia streams

Catchable-size (minimum length 17.8 cm) rainbow trout ( Salmo gairdneri ) of five genetically distinct strains were harvested by anglers at significantly different rates when the fish were stocked into four put-and-take trout streams in southwestern Virginia. Fish from Standard Winter (SW) and Ennis (EN) strains were caught easily; 85.7 and 93.2% of their respective total harvests occurred during the first 2 d of the fishing season. Sand Creek (SC), Fish Lake (FL), and McConaughy (MC) strains were harvested more uniformly over the first 3 weeks of fishing; 64.6, 58.4, and 43.4% of their respective total harvests occurred during the first 2 d. The average total harvests of SC (47.7%) and SW (46.7%) strains were similar and ranked highest among the five strains; however, no strain showed statistical superiority in all four streams. Harvest of the MC strain was consistently and significantly lower than the other four strains within each stream and averaged 25.6%. Average harvests of FL (42.8%) and EN (39.5%) strains were intermediate. Significant environmental (stream) influences and genotype-environment interactions were evident. No significant differences in tendency to move downstream were found. Fish of the EN, SW, and SC strains were significantly more vulnerable to fishing with bait (versus artificial lures) than fish from FL and MC strains. Differences in natural mortality rate, growth, and downstream movement among strains in a fifth, unfished, stream were not significant. Condition factor ( K ) decreased significantly for all five strains in an unfished stream. The MC strain appeared to be poorly suited for put-and-take streams, while SW and SC strains performed about equally well and are worthy of further evaluation in stocked stream environments. Managers should select strains (other than SW or SC) for future evaluation in put-and-take streams based on hatchery performance, but should give consideration to potential masking or damping effects of natural environments.

North American Journal of Fisheries Management↗

Effects of snowpack, temperature, and disease on the demography of a wild population of amphibians

Understanding the demographic consequences of interactions among pathogens, hosts, and weather conditions is critical in determining how amphibian populations respond to disease and in identifying site-specific conservation actions that can be developed to bolster persistence of amphibian populations. We investigated population dynamics in Boreal Toads ( Anaxyrus boreas ) relative to abiotic (fall temperatures and snowpack) and biotic (the abundance of another anuran host and disease) characteristics of the local environment in Wyoming, USA. We used capture–recapture data and a multistate model where state was treated as a hidden Markov process to incorporate disease state uncertainty and assess our a priori hypotheses. Our results indicated that snowpack during the coldest week of winter is more influential to toad survival, disease transition probabilities, and the population-level prevalence of the amphibian chytrid fungus ( Batrachochytrium dendrobatidis ) in the spring, than temperatures in the fall or the presence of another host. As hypothesized, apparent survival at low (i.e., <25 cm) snowpack (0.22; confidence interval [CI] = 0.15–0.31) was lower than apparent survival at high snowpack (90.65; CI = 0.50–0.78). Our findings highlight the potential for local environmental factors, like snowpack, to influence disease and host persistence, and demonstrate the ecological complexity of disease effects on population demography in natural environments. This work further emphasizes the need for improved understanding of how climate change may influence the relationships among pathogens, hosts, and their environment for wild animal populations challenged by disease.

Wyoming↗

A comparison of artificial incubation and natural incubation hatching success of gopher tortoise (Gopherus polyphemus) eggs in southern Mississippi

Recent studies have found that Gopher Tortoise, Gopherus polyphemus, populations in southern Mississippi exhibit low recruitment, due in part to very low hatching success of their eggs. We sought to determine if the cause(s) of this low hatching success was related to egg quality (intrinsic factors), unsuitability of the nest environment (extrinsic factors), or a combination of the two. In 2003, hatching success was monitored simultaneously for eggs from the same clutches that were incubated in the laboratory and left to incubate in nests. A subset of randomly chosen eggs from each clutch was incubated in the laboratory under physical conditions that were known to be conducive to successful hatching to estimate the proportion of eggs that were capable of hatching in a controlled setting. Hatching success in the laboratory was compared with that of eggs incubated in natural nests to estimate the proportion of eggs that failed to hatch presumably from extrinsic factors. Laboratory hatching success was 58.8%, suggesting that roughly 40% of the eggs were intrinsically incapable of hatching even when incubated under controlled conditions. Hatching success in natural nests, 16.7%, was significantly lower than hatching success in the laboratory, suggesting that approximately 42.1% of eggs were capable of hatching but failed to hatch due to some extrinsic aspect(s) of the nest environment. Thus, the low hatching success of Gopher Tortoise eggs in southern Mississippi appears to be attributable to a combination of intrinsic (egg quality) and extrinsic (nest environment) factors.

Mississippi↗

Assessment and monitoring of recreation impacts and resource conditions on mountain summits: Examples from the Northern Forest, USA

Mountain summits present a unique challenge to manage sustainably: they are ecologically important and, in many circumstances, under high demand for recreation and tourism activities. This article presents recent advances in the assessment of resource conditions and visitor disturbance in mountain summit environments, by drawing on examples from a multiyear, interdisciplinary study of summits in the northeastern United States. Primary impact issues as a consequence of visitor use, such as informal trail formation, vegetation disturbance, and soil loss, were addressed via the adaption of protocols from recreation ecology studies to summit environments. In addition, new methodologies were developed that provide measurement sensitivity to change previously unavailable through standard recreation monitoring protocols. Although currently limited in application to the northeastern US summit environments, the methods presented show promise for widespread application wherever summits are in demand for visitor activities.

Maine, Vermont, New Hampshire, New York, Massachus↗

Characterization of the habitat of Lythrum salicaria L. in floodplain forests in western Turkey—Effects on stem height and seed production

Lythrum salicaria (purple loosestrife) is an invasive wetland perennial in North America native to Eurasia. Because light environment may limit the species’ distribution, information on the relationship of forest canopy coverage to relative height and seed set in its native environment could give insight into its control in North America. This study examined the effect of various light environments related to forest canopy structure on seed set and stem height in L. salicaria in three biogeographical regions of Turkey spanning latitudes from 36 to 39° N. In Turkey, Lythrum salicaria grows in discrete patches in the canopy gaps of riverine forests, which often are dominated by Populus alba . The mean number of seeds per individual and stem height increased with decreasing canopy coverage (10437±284 to 20652±664 seeds individual −1 and 116±2 to 173±2 cm, respectively). A number of insect seed herbivores were noted on these Turkish populations, most notably a seed predator ( Nanophyes marmoratus ), which destroyed all seeds in infested capsules. Our study suggested that the light characteristics associated with canopy gaps influenced the seed set and height of L. salicaria . Other factors likely played a role, such as insect herbivores, soil fertility, and competition with other species, which may also be affected by the light levels provided at various levels of canopy coverage.

Wetlands↗

Opportunities and challenges for incorporating lithium-ion batteries into geophysical power systems

Batteries play a critical role at seismic and other geophysical stations in ensuring that the equipment receives uninterrupted power to make continuous observations of the Earth. Often sited in remote environments under a wide range of environmental conditions, these stations have almost ubiquitously used conventional lead‐acid batteries. However, recent advances in rechargeable lithium‐ion battery technology have led to the development of lithium‐iron phosphate (LFP) batteries that can replace lead‐acid batteries in energy storage systems. In the past three years, LFP battery production has grown over an order of magnitude, reducing their cost and increasing their availability. In this article, we examine the benefits and challenges associated with incorporating several types of LFP batteries into the power systems of geophysical stations. We review how fundamental differences in battery chemistry enable LFP batteries to weigh less than half of comparable lead‐acid batteries and may have longer service lives but have the added complexity of being managed by an integrated battery monitoring system (BMS) microcontroller. Through a controlled heat chamber experiment, we demonstrate that LFP batteries can be ideally suited for use in high‐temperature environments by offering longer service lives than lead‐acid batteries. However, for safety reasons, the BMS prevents most LFP batteries from being charged at temperatures <0°C, which complicates their use in colder regions and can lead to equipment damage if the charging system is not appropriately designed for this battery type. Finally, we address some of the unique challenges associated with adopting lithium batteries, including unexpected substantial (≤14 W) power consumption from the BMS, safety concerns, and shipping restrictions. It is our goal to help inform station operators and geophysicists about potential benefits and issues that can arise from using LFP batteries at seismic and geophysical stations in a range of environments.

Seismological Research Letters↗

Intercontinental convergence of stream fish community traits along geomorphic and hydraulic gradients

Community convergence across biogeographically distinct regions suggests the existence of key, repeated, evolutionary mechanisms relating community characteristics to the environment. However, convergence studies at the community level often involve only qualitative comparisons of the environment and may fail to identify which environmental variables drive community structure. We tested the hypothesis that the biological traits of fish communities on two continents (Europe and North America) are similarly related to environmental conditions. Specifically, from observations of individual fish made at the microhabitat scale (a few square meters) within French streams, we generated habitat preference models linking traits of fish species to local scale hydraulic conditions (Froude number), Using this information, we then predicted how hydraulics and geomorphology at the larger scale of stream reaches (several pool-riffle sequences) should quantitatively influence the trait composition of fish communities. Trait composition for fishes in stream reaches with low Froude number at low flow or high proportion of pools was predicted as nonbenthic, large, fecund, long-lived, nonstreamlined, and weak swimmers. We tested our predictions in contrasting stream reaches in France (n = 11) and Virginia, USA (n = 76), using analyses of covariance to quantify the relative influence of continent vs. physical habitat variables on fish traits. The reach-scale convergence analysis indicated that trait proportions in the communities differed between continents (up to 55% of the variance in each trait was explained by "continent"), partly due to distinct evolutionary histories. However, within continents, trait proportions were comparably related to the hydraulic and geomorphic variables (up to 54% of the variance within continents explained). In particular, a synthetic measure of fish traits in reaches was well explained (50% of its variance) by the Froude number independently of the continent. The effect of physical variables did not differ across continents for most traits, confirming our predictions qualitatively and quantitatively. Therefore, despite phylogenetic and historical differences between continents, fish communities of France and Virginia exhibit convergence in biological traits related to hydraulics and geomorphology. This convergence reflects morphological and behavioral adaptations to physical stress in streams. This study supports the existence of a habitat template for ecological strategies. Some key quantitative variables that define this habitat template can be identified by characterizing how individual organisms use their physical environment, and by using dimensionless physical variables that reveal common energetic properties in different systems. Overall, quantitative tests of community convergence are efficient tools to demonstrate that some community traits are predictable from environmental features.

Virginia↗

Interaction of beaver and elk herbivory reduces standing crop of willow

Populations of beaver and willow have not thrived in riparian environments that are heavily browsed by livestock or ungulates, such as elk. The interaction of beaver and elk herbivory may be an important mechanism underlying beaver and willow declines in this competitive environment. We conducted a field experiment that compared the standing crop of willow three years after simulated beaver cutting on paired plants with and without intense elk browsing (∼85% utilization rate). Simulated beaver cutting with intense elk browsing produced willow that was small (biomass and diameter) and short, with far fewer, but longer, shoots and a higher percentage of dead biomass. In contrast, simulated beaver cutting without elk browsing produced willow that was large, tall, and leafy, with many more, but shorter, shoots (highly branched) and a lower percentage of dead biomass. Total stem biomass after three years was 10 times greater on unbrowsed plants than on browsed plants. Unbrowsed plants recovered 84% of their pre-cut biomass after only two growing seasons, whereas browsed plants recovered only 6%. Thus, the interaction of beaver cutting and elk browsing strongly suppressed the standing crop of willow. We predict that a lack of willow suitable as winter food for beaver can cause beaver populations to decline, creating a feedback mechanism that reduces beaver and willow populations. Thus, intense herbivory by ungulates or livestock can disrupt beaver–willow mutualisms that naturally occur in less competitive environments.

Ecological Applications↗