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At least 1,189 records · Page 66Linked to original sources

Landslide susceptibility revealed by LIDAR imagery and historical records, Seattle, Washington

Light detection and ranging (LIDAR) data were used to visually map landslides, headscarps, and denuded slopes in Seattle, Washington. Four times more landslides were mapped than by previous efforts that used aerial photographs. The mapped landforms (landslides, headscarps, and denuded slopes) were created by many individual landslides. The spatial distribution of mapped landforms and 1308 historical landslides show that historical landslide activity has been concentrated on the mapped landforms, and that most of the landslide activity that created the landforms was prehistoric. Thus, the spatial densities of historical landslides on the landforms provide approximations of the landforms' relative susceptibilities to future landsliding. Historical landslide characteristics appear to be closely related to landform type so relative susceptibilities were determined for landslides with various characteristics. No strong relations were identified between stratigraphy and landslide occurrence; however, landslide characteristics and slope morphology appear to be related to stratigraphic conditions. Human activity is responsible for causing about 80% of historical Seattle landslides. The distribution of mapped landforms and human-caused landslides suggests the probable characteristics of future human-caused landslides on each of the landforms. The distribution of mapped landforms and historical landslides suggests that erosion of slope-toes by surface water has been a necessary condition for causing Seattle landslides. Human activity has largely arrested this erosion, which implies that landslide activity will decrease with time as hillsides naturally stabilize. However, evaluation of glacial-age analogs of areas of recent slope-toe erosion suggests that landslide activity in Seattle will continue for the foreseeable future. ?? 2006 Elsevier B.V. All rights reserved.

Engineering Geology↗

Drivers, dynamics and impacts of changing Arctic coasts

Arctic coasts are vulnerable to the effects of climate change, including rising sea levels and the loss of permafrost, sea ice and glaciers. Assessing the influence of anthropogenic warming on Arctic coastal dynamics, however, is challenged by the limited availability of observational, oceanographic and environmental data. Yet, with the majority of permafrost coasts being erosive, coupled with projected intensification of erosion and flooding, understanding these changes is critical. In this Review, we describe the morphological diversity of Arctic coasts, discuss important drivers of coastal change, explain the specific sensitivity of Arctic coasts to climate change and provide an overview of pan-Arctic shoreline change and its multifaceted impacts. Arctic coastal changes impact the human environment by threatening coastal settlements, infrastructure, cultural sites and archaeological remains. Changing sediment fluxes also impact the natural environment through carbon, nutrient and pollutant release on a magnitude that remains difficult to predict. Increasing transdisciplinary and interdisciplinary collaboration efforts will build the foundation for identifying sustainable solutions and adaptation strategies to reduce future risks for those living on, working at and visiting the rapidly changing Arctic coast.

Alaska↗

Off-road vehicles affect nesting behaviour and reproductive success of American Oystercatchers Haematopus palliatus

As human populations and associated development increase, interactions between humans and wildlife are occurring with greater frequency. The effects of these interactions, particularly on species whose populations are declining, are of great interest to ecologists, conservationists, land managers and natural resource policy-makers. The American Oystercatcher Haematopus palliatus , a species of conservation concern in the USA, nests on coastal beaches subject to various forms of anthropogenic disturbance, including aircraft overflights, off-road vehicles and pedestrians. This study assessed the effects of these human disturbances on the incubation behaviour and reproductive success of nesting American Oystercatchers at Cape Lookout National Seashore, on the Atlantic coast of the USA. We expanded on-going monitoring of Oystercatchers at Cape Lookout National Seashore by supplementing periodic visual observations with continuous 24-h video and audio recording at nests. Aircraft overflights were not associated with changes in Oystercatcher incubation behaviour, and we found no evidence that aircraft overflights influenced Oystercatcher reproductive success. However, Oystercatchers were on their nests significantly less often during off-road vehicle and pedestrian events than they were during control periods before the events, and an increase in the number of off-road vehicles passing a nest during incubation was consistently associated with significant reductions in daily nest survival (6% decrease in daily nest survival for a one-vehicle increase in the average number of vehicles passing a nest each day; odds ratio = 0.94; 95% confidence interval (CI) 0.90, 0.98) and hatching success (12% decrease in hatching success for a one-vehicle increase in the average number of vehicles passing a nest each day; odds ratio = 0.88; 95% CI 0.76, 0.97). Management of vehicles and pedestrians in areas of Oystercatcher breeding is important for the conservation of American Oystercatchers.

International Journal of Avian Science↗

Long-duration drought variability and impacts on ecosystem services: A case study from Glacier National Park, Montana

Instrumental climate records suggest that summer precipitation and winter snowpack in Glacier National Park (Glacier NP), Montana, vary significantly over decadal to multidecadal time scales. Because instrumental records for the region are limited to the twentieth century, knowledge of the range of variability associated with these moisture anomalies and their impacts on ecosystems and physical processes are limited. The authors developed a reconstruction of summer (June–August) moisture variability spanning a.d. 1540–2000 from a multispecies network of tree-ring chronologies in Glacier NP. Decadal-scale drought and pluvial regimes were defined as any event lasting 10 yr or greater, and the significance of each potential regime was assessed using intervention analysis. Intervention analysis prevents single intervening years of average or opposing moisture conditions from ending what was otherwise a sustained moisture regime. The reconstruction shows numerous decadal-scale shifts between persistent drought and wet events prior to the instrumental period (before a.d. 1900). Notable wet events include a series of three long-duration, high-magnitude pluvial regimes spanning the end of the Little Ice Age ( a.d. 1770–1840). Though the late-nineteenth century was marked by a series of >10 yr droughts, the single most severe dry event occurred in the early-twentieth century ( a.d. 1917–41). These decadal-scale dry and wet events, in conjunction with periods of high and low snowpack, have served as a driver of ecosystem processes such as forest fires and glacial dynamics in the Glacier NP region. Using a suite of paleoproxy reconstructions and information from previous studies examining the relationship between climate variability and natural processes, the authors explore how such persistent moisture anomalies affect the delivery of vital goods and services provided by Glacier NP and surrounding areas. These analyses show that regional water resources and tourism are particularly vulnerable to persistent moisture anomalies in the Glacier NP area. Many of these same decadal-scale wet and dry events were also seen among a wider network of hydroclimatic reconstructions along a north–south transect of the Rocky Mountains. Such natural climate variability can, in turn, have enormous impacts on the sustainable provision of natural resources over wide areas. Overall, these results highlight the susceptibility of goods and services provided by protected areas like Glacier NP to natural climate variability, and show that this susceptibility will likely be compounded by the effects of future human-induced climate change.

Montana↗

A burning story: The role of fire in the history of life

Ecologists, biogeographers, and paleobotanists have long thought that climate and soils controlled the distribution of ecosystems, with the role of fire getting only limited appreciation. Here we review evidence from different disciplines demonstrating that wildfire appeared concomitant with the origin of terrestrial plants and played an important role throughout the history of life. The importance of fire has waxed and waned in association with changes in climate and paleoatmospheric conditions. Well before the emergence of humans on Earth, fire played a key role in the origins of plant adaptations as well as in the distribution of ecosystems. Humans initiated a new stage in ecosystem fire, using it to make the Earth more suited to their lifestyle. However, as human populations have expanded their use of fire, their actions have come to dominate some ecosystems and change natural processes in ways that threaten the sustainability of some landscapes. ?? 2009 by American Institute of Biological Sciences.

BioScience↗

Different time and energy budgets of Lesser Snow Geese in rice-prairies and coastal marshes in southwest Louisiana

Many bird species use human-made habitats and an important issue is whether these are equally suitable foraging habitats as are historical, natural habitats. Historically, Lesser Snow Geese (Chen caerulescens caerulescens, hereafter Snow Geese) wintered in coastal marshes in Louisiana but began using rice-prairies within the last 60 years. Time spent feeding was used as an indicator of habitat suitability and time and energy budgets of Snow Geese were compared between rice-prairies and coastal marshes in southwest Louisiana. Composite diets of Snow Geese have a lower energy density in the rice-prairies than in coastal marshes; thus, we predicted that Snow Geese would spend relatively more time feeding in rice-praires to obtain existence energy. However, time spent feeding was higher in coastal marshes and thus, not proportional to energy density of composite diets. Snow Geese in coastal marshes ingested less apparent metabolizable energy than did Snow Geese in rice-prairies. In rice-prairies, juveniles spent more time feeding than did adults; however, time spent feeding was similar between age classes in coastal marshes. Undeveloped foraging skills probably cause juvenile Snow Geese to forage less efficiently in coastal marshes than in rice-prairies. These findings are consistent with recent trends in Snow Goose numbers, which increased in rice-prairies but remained stable in coastal marshes.

Waterbirds↗

Relating net nitrogen input in the Mississippi River Basin to nitrate flux in the Lower Mississippi River--A comparison of approaches

A quantitative understanding of the relationship between terrestrial N inputs and riverine N flux can help guide conservation, policy, and adaptive management efforts aimed at preserving or restoring water quality. The objective of this study was to compare recently published approaches for relating terrestrial N inputs to the Mississippi River basin (MRB) with measured nitrate flux in the lower Mississippi River. Nitrogen inputs to and outputs from the MRB (1951 to 1996) were estimated from state-level annual agricultural production statistics and NO y (inorganic oxides of N) deposition estimates for 20 states that comprise 90% of the MRB. A model with water yield and gross N inputs accounted for 85% of the variation in observed annual nitrate flux in the lower Mississippi River, from 1960 to 1998, but tended to underestimate high nitrate flux and overestimate low nitrate flux. A model that used water yield and net anthropogenic nitrogen inputs (NANI) accounted for 95% of the variation in riverine N flux. The NANI approach accounted for N harvested in crops and assumed that crop harvest in excess of the nutritional needs of the humans and livestock in the basin would be exported from the basin. The U.S. White House Committee on Natural Resources and Environment (CENR) developed a more comprehensive N budget that included estimates of ammonia volatilization, denitrification, and exchanges with soil organic matter. The residual N in the CENR budget was weakly and negatively correlated with observed riverine nitrate flux. The CENR estimates of soil N mineralization and immobilization suggested that there were large (2000 kg N ha −1 ) net losses of soil organic N between 1951 and 1996. When the CENR N budget was modified by assuming that soil organic N levels have been relatively constant after 1950, and ammonia volatilization losses are redeposited within the basin, the trend of residual N closely matched temporal variation in NANI and was positively correlated with riverine nitrate flux in the lower Mississippi River. Based on results from applying these three modeling approaches, we conclude that although the NANI approach does not address several processes that influence the N cycle, it appears to focus on the terms that can be estimated with reasonable certainty and that are correlated with riverine N flux.

Journal of Environmental Quality↗

Materials and energy flows in the earth science century : summary of a workshop held by the USGS [in Reston] in November 1998

For the 21st century, the USGS and many others throughout government, academia, and the private sector carry a hopeful vision of better solutions to the problems of depleting natural resources and creating excessive wastes. For this effort, investigators are engaging in whole system views of the human condition using the tools of materials and energy flow accounting and industrial ecology.

Circular↗

Extended abstracts from the Coastal Habitats in Puget Sound (CHIPS) 2006 Workshop

Puget Sound is the second largest estuary in the United States. Its unique geology, climate, and nutrient-rich waters produce and sustain biologically productive coastal habitats. These same natural characteristics also contribute to a high quality of life that has led to a significant growth in human population and associated development. This population growth, and the accompanying rural and urban development, has played a role in degrading Puget Sound ecosystems, including declines in fish and wildlife populations, water-quality issues, and loss and degradation of coastal habitats. In response to these ecosystem declines and the potential for strategic large-scale preservation and restoration, a coalition of local, State, and Federal agencies, including the private sector, Tribes, and local universities, initiated the Puget Sound Nearshore Ecosystem Restoration Project (PSNERP). The Nearshore Science Team (NST) of PSNERP, along with the U.S. Geological Survey, developed a Science Strategy and Research Plan (Gelfenbaum and others, 2006) to help guide science activities associated with nearshore ecosystem restoration. Implementation of the Research Plan includes a call for State and Federal agencies to direct scientific studies to support PSNERP information needs. In addition, the overall Science Strategy promotes greater communication with decision makers and dissemination of scientific results to the broader scientific community. On November 14–16, 2006, the U.S. Geological Survey sponsored an interdisciplinary Coastal Habitats in Puget Sound (CHIPS) Research Workshop at Fort Worden State Park, Port Townsend, Washington. The main goals of the workshop were to coordinate, integrate, and link research on the nearshore of Puget Sound. Presented research focused on three themes: (1) restoration of large river deltas; (2) recovery of the nearshore ecosystem of the Elwha River; and (3) effects of urbanization on nearshore ecosystems. The more than 35 presentations covered a wide range of ongoing inter-disciplinary research, including studies of sediment geochemistry of aquatic environments, sediment budgets, tracking fish pathways, expansion of invasive forams, beach and nearshore sedimentary environments, using influence diagrams as a decision support tool, forage fish, submarine groundwater, and much, much more. The primary focus within these themes was on developing information on the physical, chemical, and biological processes, as well as the human dimensions, associated with the restoration or rehabilitation of the nearshore environment. The workshop was an excellent opportunity for USGS scientists and collaborators who are working on Puget Sound coastal habitats to present their preliminary findings, discuss upcoming research, and to identify opportunities for interdisciplinary collaboration. A compilation of extended abstracts from workshop participants, this proceedings volume serves as a useful reference for attendees of the workshop and for those unable to attend. Taken together, the abstracts in this report provide a view of the current status of USGS multidisciplinary research on Puget Sound coastal habitats.

Open-File Report↗

Special considerations for specimen collections that may be involved in law enforcement cases

Causes of mortality in wildlife include natural conditions—such as the viral, bacterial, and fungal diseases discussed in other chapters of this manual—and human intervention. Direct human intervention in wildlife deaths may be associated with individual human actions, such as gunshot or poisonings, or with institutions, such as wind farms or mining operations. Mortality that can be directly attributed to humans may be considered a crime based on the animal(s) affected and (or) the agent used. Wildlife laws were established to protect our nation’s wildlife resources and assist in conserving healthy populations of native wildlife. A variety of laws pertain to wildlife, such as the Migratory Bird Treaty Act, which makes it illegal, except as permitted, to capture, kill, or possess a portion or all of any migratory bird, a member of the group that includes the vast majority of wild birds present in the United States. Similar to pathogens that can spread unchecked through a wild population, a person or an institution that illegally kills wildlife may continue this practice indefinitely or until the illegal activities are detected and addressed. Convicting the perpetrator of a crime, however, requires that certain practices and procedures be followed so that a solid legal case can be constructed. As with any crime, investigation of the event is led by law enforcement personnel who are well-versed in the applicable laws, oversee the collection of evidence, and pursue persons or entities of interest. These individuals are uniquely qualified and trained to maintain the integrity of evidence, evaluate suspects to effectively prosecute the case, and effect the penalties of the law. The investigation of direct crimes against humans may involve teams of 5–10 law enforcement agents and specialists—each with a certain focus such as blood spatter, fingerprints, or ballistics—in processing a crime scene. In contrast, investigations of crimes against wildlife generally involve markedly fewer wildlife law enforcement agents, and in many instances of unlawful wildlife death, only one law enforcement agent is available to process an entire crime scene and work on a case. Thus, the assistance of individuals familiar with the geographical area, the endemic animal populations, and the local ecology can be very important for building an effective case. The aims of this chapter are to 1) help biologists or field personnel recognize the signs that indicate a crime may have been committed, and 2) to give readers a basic understanding of how a wildlife crime scene is processed. This chapter is not intended to give readers the tools to investigate a crime scene alone, but will hopefully make them a valuable asset to law enforcement agents who respond to the scene. An effectively processed case, resulting in prosecution of a suspect, supports the law as a deterrent to future acts that could endanger the conservation of wildlife.

Techniques and Methods↗

Refining capture-recapture recruitment estimation methods for Atlantic sturgeon

The Atlantic sturgeon Acipenser oxyrinchus oxyrinchus was once of great commercial importance in many coastal rivers of the eastern USA. Over the 19th and 20th centuries, most historical stocks of Atlantic sturgeon were depleted by human activities. Estimating recruitment for the remaining populations is challenging due to sampling constraints, limited age data, and natural variability. However, recruitment estimates could inform recovery efforts. The objectives of this study were to compare 2 modeling approaches to estimate recruitment of age-1 Atlantic sturgeon and provide an updated index of abundance across more than a decade of sampling in the Altamaha River, Georgia. First, we constructed capture histories of river-resident juveniles, using capture-mark-recapture data collected from 2008 to 2020, and assigned ages based on length-frequency analysis. Second, we compared more traditional Huggins closed population models and a recent nonlinear extension of Huggins models—vector generalized additive models (VGAMs)—to estimate abundance of age-1 fish. Both model types indicated similar yearly age-1 abundance estimates (Huggins: 163 in 2017 to 3839 in 2010; VGAM: 312 in 2020 to 4448 in 2010), but the VGAMs provided more direct interpretation for factors that might affect capture probability (e.g. sampling effort, temperature, fish length). This study indicates that the age-1 Altamaha River Atlantic sturgeon population has remained relatively stable over the past decade and provides a long-term baseline which will better enable managers to assess the effects of either future restoration actions or environmental disturbances on the population.

Georgia↗

Assessing societal vulnerability of U.S. Pacific Northwest communities to storm-induced coastal change

Progressive increases in storm intensities and extreme wave heights have been documented along the U.S. West Coast. Paired with global sea level rise and the potential for an increase in El Niño occurrences, these trends have substantial implications for the vulnerability of coastal communities to natural coastal hazards. Community vulnerability to hazards is characterized by the exposure, sensitivity, and adaptive capacity of human-environmental systems that influence potential impacts. To demonstrate how societal vulnerability to coastal hazards varies with both physical and social factors, we compared community exposure and sensitivity to storm-induced coastal change scenarios in Tillamook (Oregon) and Pacific (Washington) Counties. While both are backed by low-lying coastal dunes, communities in these two counties have experienced different shoreline change histories and have chosen to use the adjacent land in different ways. Therefore, community vulnerability varies significantly between the two counties. Identifying the reasons for this variability can help land-use managers make decisions to increase community resilience and reduce vulnerability in spite of a changing climate.

Oregon, Washington↗

Approaches to the conservation of coastal wetlands in the Western Hemisphere

Coastal wetlands rank among the most productive and ecologically valuable natural ecosystems on Earth. Unfortunately, they are also some of the most disturbed. Because they are productive and can serve as transportation arteries, coastal wetlands have long attracted human settlement. More than half of the U.S. population currently lives within 80 km of its coasts, and one estimate places 70% of all humanity in the coastal zone. Human impacts to coastal wetlands include physical alteration of hydrological processes; the introduction of toxic materials, nutrients, heat, and exotic species; and the unsustainable harvest of native species. Between 1950 and 1970, coastal wetland losses in the U.S. averaged 8 100 ha/year. In Central and South America, development pressures along the coastal zone rank among the most serious natural resource problems in the region..... Here, we (1) briefly describe coastal wetland avifauna, (2) discuss the threat of global warming on coastal wetlands, (3) use several Western Hemisphere wetlands as site-specific examples of development pressures facing these habitats, and (4) provide synopses of nongovernmental and governmental approaches to wetland conservation. Overall, we provide a socio-economic context for conservation of coastal wetlands in the Western Hemisphere. We suggest that efforts aimed at conserving sites of particular importance for their biological diversity should be pursued within a framework of wise use that addresses the broader issues of human population growth and economic development.

The Wilson Bulletin↗

Red-backed vole brain promotes highly efficient in vitro amplification of abnormal prion protein from macaque and human brains infected with variant Creutzfeldt-Jakob disease agent.

Rapid antemortem tests to detect individuals with transmissible spongiform encephalopathies (TSE) would contribute to public health. We investigated a technique known as protein misfolding cyclic amplification (PMCA) to amplify abnormal prion protein (PrP TSE ) from highly diluted variant Creutzfeldt-Jakob disease (vCJD)-infected human and macaque brain homogenates, seeking to improve the rapid detection of PrP TSE in tissues and blood. Macaque vCJD PrP TSE did not amplify using normal macaque brain homogenate as substrate (intraspecies PMCA). Next, we tested interspecies PMCA with normal brain homogenate of the southern red-backed vole (RBV), a close relative of the bank vole, seeded with macaque vCJD PrP TSE . The RBV has a natural polymorphism at residue 170 of the PrP-encoding gene (N/N, S/S, and S/N). We investigated the effect of this polymorphism on amplification of human and macaque vCJD PrP TSE . Meadow vole brain (170N/N PrP genotype) was also included in the panel of substrates tested. Both humans and macaques have the same 170S/S PrP genotype. Macaque PrP TSE was best amplified with RBV 170S/S brain, although 170N/N and 170S/N were also competent substrates, while meadow vole brain was a poor substrate. In contrast, human PrP TSE demonstrated a striking narrow selectivity for PMCA substrate and was successfully amplified only with RBV 170S/S brain. These observations suggest that macaque PrP TSE was more permissive than human PrP TSE in selecting the competent RBV substrate. RBV 170S/S brain was used to assess the sensitivity of PMCA with PrP TSE from brains of humans and macaques with vCJD. PrP TSE signals were reproducibly detected by Western blot in dilutions through 10 -12 of vCJD-infected 10% brain homogenates. This is the first report showing PrP TSE from vCJD-infected human and macaque brains efficiently amplified with RBV brain as the substrate. Based on our estimates, PMCA showed a sensitivity that might be sufficient to detect PrP TSE in vCJD-infected human and macaque blood.

PLoS ONE↗

A stream sediment geochemical survey of the Ganga River headwaters in the Garhwal Himalaya

This study models geochemical and adjunct geologic data to define provinces that are favorable for radioactive-mineral exploration. A multi-element bed-sediment geochemical survey of streams was carried out in the headwaters region of the Ganga River in northern India. Overall median values for uranium and thorium (3.6 and 13.8 ppm; maxima of 4.8 and 19.0 ppm and minima of 3.1 and 12.3 ppm respectively) exceed average upper crustal abundances (2.8 and 10.7 ppm) for these radioactive elements. Anomalously high values reach up to 8.3 and 30.1 ppm in thrust zone rocks, and 11.4 and 22.5 ppm in porphyroids. At their maxima, these abundances are nearly four- and three-fold (respectively) enriched in comparison to average crustal abundances for these rock types. Deformed, metamorphosed and sheared rocks are characteristic of the main central thrust zone (MCTZ). These intensively mylonitized rocks override and juxtapose porphyritic (PH) and proterozoic metasedimentary rock sequences (PMS) to the south. Granitoid rocks, the major protoliths for mylonites, as well as metamorphosed rocks in the MCT zone are naturally enriched in radioelements; high values associated with sheared and mylonitized zones are coincident with reports of radioelement mineralization and with anomalous radon concentrations in soils. The radioelement abundance as well as REE abundance shows a northward enrichment trend consistent with increasing grade of metamorphism indicating deformation-induced remobilization of these elements. U and Th illustrate good correlation with REEs but not with Zr. This implies that zircon is not a principal carrier of U and Th within the granitoid-dominant thrust zone and that other radioelement-rich secondary minerals are present in considerable amounts. Thus, the relatively flat, less fractionated, HREE trend is also not entirely controlled by zircon. The spatial correlation of geologic boundary zones (faults, sheared zones) with geochemical and with geophysical (Rn) anomalies infers ore mineralization by hydrothermal processes generated during multiple episodes of deformation and thrusting. The geologic setting of the anomalies also suggests that crystalline rocks (MCT Zone) along the nearly 2500 km length of the LesserHimalayan belt, where in the vicinity of thrust and fault zones, have potential for radioelement mineralization. Zones of higher concentrations of radioelements delineated by this study and locations of anomalous radon discharge determined by other investigations may indicate a potential health hazard over the long term. However, the low human population density precludes direct manifestation of health effects attributable to chronic exposure to these radioelements; however, the magnitude of natural concentrations suggests the need for more detailed studies and monitoring.

Geochemical Journal↗

An uncertain future for a population of desert tortoises experiencing human impacts

We evaluated the status of a population of Mojave Desert Tortoises ( Gopherus agassizii ), a threatened species, in the El Paso Mountains of the northwestern Mojave Desert in California, USA. The study area lies north of and adjacent to a designated critical habitat unit for the species, is adjacent to a state park, and is a short distance from the Desert Tortoise Research Natural Area. We randomly sampled 373 1-ha plots from a 239.1-km 2 area in the mountain range to determine demographic attributes of the population, vegetation associations, predator presence, and human uses. Live and dead G. agassizii and sign (burrows, scats, tracks) occurred on 35.7% of plots. Densities of adults were higher than in adjacent critical habitat, and threats (traumatic injuries, infectious and other diseases) were similar to those reported elsewhere in the geographic range. Signs of human use were evident on 98.4% of plots. We used a multimodel approach to determine distribution of G. agassizii in relation to vegetation, anthropogenic, and predator variables. Vegetation, predators, trash, mining activity, and vehicles were important factors affecting the distribution and intensity of tortoise sign. We concluded that this population is in a downward trend, like other populations in the western Mojave Desert. The high death rate of adults, low population density, high human visitor use, and ongoing decline in the adjacent critical habitat unit indicate that a viable population is unlikely to persist in the study area. The future for the population found in the El Paso Mountains might depend on survival in the adjacent roadless El Paso Mountains Wilderness Area.

California↗

Interactions of water quality and integrated groundwater management: Examples from the United States and Europe

Groundwater is available in many parts of the world, but the quality of the water may limit its use. Contaminants can limit the use of groundwater through concerns associated with human health, aquatic health, economic costs, or even societal perception. Given this broad range of concerns, this chapter focuses on examples of how water quality issues influence integrated groundwater management. One example evaluates the importance of a naturally occurring contaminant Arsenic (As) for drinking water supply, one explores issues resulting from agricultural activities on the land surface and factors that influence related groundwater management, and the last examines unique issues that result from human-introduced viral pathogens for groundwater-derived drinking water vulnerability. The examples underscore how integrated groundwater management lies at the intersections of environmental characterization, engineering constraints, societal needs, and human perception of acceptable water quality. As such, water quality factors can be a key driver for societal decision making.

Book chapter↗

Management of vampire bats and rabies: Past, present, and future

Rabies virus transmitted via the bite of common vampire bats ( Desmodus rotundus ) has surpassed canine-associated cases as the predominant cause of human rabies in Latin America. Cattle, the preferred prey of D. rotundus , suffer extensive mortality from vampire bat associated rabies, with annual financial losses estimated in the tens of millions of dollars. Organized attempts to manage or curtail vampire bat populations and rabies virus transmission have been conducted since the early 1900s, when vampire bat-associated rabies cases in humans and livestock were first recognized. However, these attempts largely failed, as the distribution of vampire bat populations expanded geographically with the intensification of livestock production, and the incidence of vampire bat rabies (VBR) increased. Current methods of control rely primarily on culling vampire bat populations using poisons (vampiricides) that are transferred from bat to bat after topical application. Despite widespread use of vampiricides for the last 50 years, little evidence exists to demonstrate their effectiveness in reducing the incidence of VBR. Culling may further result in dispersion of bats, which could have an unintended consequence of spreading VBR. New methods to manage VBR are being developed or considered, including topical rabies vaccine that transfer among bats, much like vampiricides or a transmissible vaccine that would spread naturally among bats. Vaccination of vampire bats against rabies could lower the incidence of VBR and prevent viral transmission to cattle and humans without the animal welfare concerns and potential negative effects of culling. However, this approach would not deter vampire bat bites, and some form of population reduction (e.g., fertility control) would likely also be needed. An integrated strategy to reduce both the incidence of VBR and the abundance of vampire bats would be ideal for protecting both human and animal health.

Book chapter↗