Geology Reports⌕ Search

SEARCH · Geology Reports

Results for “Population and Environment”

Search indexed USGS publications on groundwater, aquifers, geologic maps, mineral resources and earthquakes. Explore source records by subject and place.

Quote a phrase for an exact phrase match. Source license links do not imply unrestricted reuse.

At least 1,225 records · Page 68Linked to original sources

Deepwater Program: Lophelia II, continuing ecological research on deep-sea corals and deep-reef habitats in the Gulf of Mexico

The deep sea is a rich environment composed of diverse habitat types. While deep-sea coral habitats have been discovered within each ocean basin, knowledge about the ecology of these habitats and associated inhabitants continues to grow. This report presents information and results from the Lophelia II project that examined deep-sea coral habitats in the Gulf of Mexico. The Lophelia II project focused on Lophelia pertusa habitats along the continental slope, at depths ranging from 300 to 1,000 meters. The chapters are authored by several scientists from the U.S. Geological Survey, National Oceanic and Atmospheric Administration, University of North Carolina Wilmington, and Florida State University who examined the community ecology (from microbes to fishes), deep-sea coral age, growth, and reproduction, and population connectivity of deep-sea corals and inhabitants. Data from these studies are presented in the chapters and appendixes of the report as well as in journal publications. This study was conducted by the Ecosystems Mission Area of the U.S. Geological Survey to meet information needs identified by the Bureau of Ocean Energy Management.

Gulf of Mexico↗

Water-quality study of Tulpehocken Creek, Berks County, Pennsylvania, prior to impoundment of Blue Marsh Lake

Blue Marsh Lake is planned as a multipurpose impoundment to be constructed on Tulpehocken Creek near Bernville, Berks County, Pennsylvania. Prior to construction, samples of water, bed material, and soil were collected throughout the impoundment site to determine concentrations of nutrients, insecticides, trace metals, suspended sediment, and bacteria. Analyses of water suggest the Tulpehocken Creek basin to be a highly fertile environment. Nitrogen and phosphorus concentrations near the proposed dam site had median values of 4.5 and 0.13 mg/L, respectively. Suspended sediment discharges average between 100 and 200 tons (90.7 to 181.4 metric tons) per day during normal flows but may exceed 10,000 tons (9,070 metric tons) per day during storm runoff. Highest yields were measured during winter and early spring. Concentrations range from 3 mg/L to more than 500 mg/L. Bed material samples contain trace quantities of aldrin, DDT, DDD, DDE, dieldrin, and chlordane. Polychlorinated biphyenyls (PCB's) ranged from 10 to 100 μg/kg. Soils at the impoundment site are of average fertility. However, the silt loam texture is ideal for attachment and growth of aquatic plants. Bacteria populations indicative of recent fecal contamination are prevalent in the major inflows to the proposed lake. Fecal Coliform exceeded the standards recommended by the Federal Water Pollution Administration Committee on Water Quality Criteria for public water supply in 29 percent of the monthly samples, and exceeded the recommended public bathing waters standard in 83 percent of the samples collected from June to September. Arsenic from an industrial waste was found in the water, suspended sediment, and bed material of Tulpehocken Creek in concentrations of 0 to 30 μg/l, 2 to 879 μg/l, and 1 to 79 μg/g, respectively. It represents a potential environmental hazard; however, the measured concentrations are less than that known to be harmful to man, fish, or wildlife, according to published water quality criteria.

Pennsylvania↗

Influences of environmental settings on aquatic ecosystems in the Apalachicola-Chattahoochee-Flint River basin

The watershed boundary of the Apalachicola-Chattahoochee-Flint (ACF) River basin defines an aquatic ecosystem whose water quality is the result of complex interactions of natural and human influences on land and water resources. Topics relating to the basin's environmental setting-its physical, biological, and cultural characteristics-are summarized to provide an understanding of factors that influence water quality and the health of aquatic ecosystems. The ACF River basin lies partly in southwestern Georgia, southeastern Alabama, and northwestern Florida and covers 19,800 square miles in the Blue Ridge, the Piedmont, and the Coastal Plain Provinces. The basin includes the drainages of the Chattahoochee River and the Flint River, which meet to form the Apalachicola River. The Apalachicola River flows into the Gulf of Mexico at Apalachicola Bay. Basin hydrology and water quality are influenced by 16 mainstem reservoirs, 13 of which are on the Chattahoochee River. Ground water in the basin is contained in six aquifers-the surficial aquifer system, the Floridan aquifer system, the Claiborne aquifer, the Clayton aquifer, the Providence aquifer, and the crystalline-rock aquifer. Physiography, climate, and hydrology of the ACF River basin provide natural conditions that support a rich and abundant diversity of plants and animals. Although most of the ACF River basin has been altered by human activities, the basin's environment is noteworthy for its remaining biological diversity and the role it plays in sustaining biological productivity in Apalachicola Bay. The Bay produces 90 percent of Florida's and 13 percent of the Nation's oyster harvest; and functions as a nursery for penaeid shrimp, blue crabs, and a variety of fin fish. The diversity of the basin's aquatic fauna is noteworthy because the basin is home to (1) the largest number of fish species among Gulf Coast drainages east of the Mississippi River, (2) the largest assemblage of freshwater fish in Florida, (3) the largest number of mollusc species among western Florida drainages, and (4) the highest species density of amphibians and reptiles on the continent north of Mexico. Population of the ACF River basin in 1990 was estimated at 2.6 million. Nearly 90 percent of the total population lived in Georgia, and nearly 60 percent lived in the Metropolitan Atlanta area. The 1990 basin population is projected to increase by 15 percent to 3.0 million by the year 2000, and by 30 percent to 3.4 million by 2010. The largest increases in populations are projected for the Metropolitan Atlanta area. In 1972-76, approximately 59 percent of the basin was covered by forest, 29 percent was agricultural, 5 percent was wetland, 4 percent was urban, and 3 percent was water or barren land. Most of the original land cover of the basin has been transformed by human activity. Timber is the basin's largest cash crop and most forests consist of second-growth stands or large acreages of planted pine. The dominant agricultural land use in the Piedmont Province is pasture and confined feeding for dairy, livestock, and poultry production. Row-crop agriculture, orchards, and silviculture are most common in the Coastal Plain Province. The top five crops in order from most to least acres harvested in 1990 were peanuts, corn, soybeans, wheat, and cotton. The water in the basin is used for public and industrial supply, irrigation, power generation, navigation, and recreation. Although most public-supply withdrawals in the Blue Ridge and Piedmont Provinces are from surface-water sources, with the exception of counties near or immediately below the Fall Line, all publicly supplied water in the Coastal Plain is withdrawn from ground-water sources. Ground water supplied 18 percent of the basin's population served by public supply. Total water withdrawn in the ACF River basin in 1990 was 2,098 million gallons per day (Mgal/d), of which Georgia withdrew 82 percent and Florida and Alabama each withdrew 9 percent. Power generation is the single largest water use. Sixteen of the basin's 22 power generating plants are located along the mainstem of the Chattahoochee River. The U.S. Army Corps of Engineers maintains a navigation channel from the mouth of the Apalachicola River to Columbus, Ga., on the Chattahoochee River and to Bainbridge, Ga., on the Flint River. Water quality in the basin is influenced by the operation of 137 municipal wastewater-treatment facilities. In 1990, 354 Mgal/d of municipal wastewater was discharged within the ACF River basin. Eighty-eight percent of the wastewater was discharged into the Chattahoochee River basin, 10.6 percent into the Flint River basin, and 1.4 percent into the Apalachicola River basin. Two-thirds of the 938 stream miles in the Georgia portion of the ACF River basin having water quality that does not meet or only partially meets the designated-use criteria in the Chattahoochee River basin. The Chattahoochee River is the most heavily-used water resource both in the ACF River basin and in Georgia. Urban runoff or unknown nonpoint sources are cited as the causes of water-quality regulations in 72 percent of violations. The remaining causes primarily are combined sewer overflows in the Atlanta area, and discharges from municipal or industrial treatment facilities with inadequate treatment capabilities or operational deficiencies.

Alabama, Florida, Georgia↗

Birds and polycyclic aromatic hydrocarbons

Polycyclic aromatic hydrocarbons (PAH) are present throughout the global environment and are produced naturally and by activities of humans. Effects of PAH on birds have been determined by studies employing egg injection, egg immersion, egg shell application, single and multiple oral doses, subcutaneous injection, and chemical analysis of field-collected eggs and tissue. The four-to six-ring aromatic compounds are the most toxic to embryos, young birds, and adult birds. For embryos, effects include death, developmental abnormalities, and a variety of cellular and biochemical responses. For adult and young birds, effects include reduced egg production and hatching, increased clutch or brood abandonment, reduced growth, increased organweights, and a variety of biochemical responses. Trophic level accumulation is unlikely. Environmental exposure to PAH in areas of high human population or habitats affected by recent petroleum spills might be sufficient to adversely affect reproduction. Evidence of long-term effects of elevated concentrations of environmental PAH on bird populations is very limited and the mechanisms of effect are unclear.

Avian and Poultry Biology Reviews↗

Vegetation of wetlands of the prairie pothole region

Five themes dominate the literature dealing with the vegetation of palustrine and lacustrine wetlands of the prairie pothole region: environmental conditions (water or moisture regime, salinity), agricultural disturbances (draining, grazing, burning, sedimentation, etc.), vegetation dynamics, zonation patterns, and classification of the wetlands.The flora of a prairie wetland is a function of its water regime, salinity, and disturbance by man. Within a pothole, water depth and duration determines distribution of species. In potholes deep enough to have standing water even during droughts, the central zone will be dominated by submersed species (open water). In wetlands that go dry during periods of drought or annually, the central zone will be dominated by either tall emergent species (deep marsh) or midheight emergents (shallow marsh), respectively. Potholes that are only flooded briefly in the spring are dominated by grasses, sedges, and forbs (wet meadow). Within a pothole, the depth of standing water in the deepest, usually central, part of the basin determines how many zones will be present. Lists of species associated with different water regimes and salinity levels are presented.Disturbances due to agricultural activities have impacted wetlands throughout the region. Drainage has eliminated many potholes, particularly in the southern and eastern parts of the region. Grazing, mowing, and burning have altered the composition of pothole vegetation. The composition of different vegetation types impacted by grazing, haying, and cultivation is presented in a series of tables. Indirect impacts of agriculture (increased sediment, nutrient, and pesticide inputs) are widespread over the region, but their impacts on the vegetation have never been studied.Because of the periodic droughts and wet periods, many palustrine and lacustrine wetlands undergo vegetation cycles associated with water-level changes produced by these wet-dry cycles. Periods of above normal precipitation can raise water levels high enough to drown out emergent vegetation or produce 'eat outs' due to increases in the size of muskrat populations that accompany periods of high water. The elimination of emergents creates a lake marsh dominated by submersed vegetation. During the next drought when the marsh bottom is exposed by receding water levels (a drawdown), seeds of emergents and mudflat annuals in the soil (the seed bank) germinate (the dry marsh stage). When the marsh refloods, ending the dry marsh stage, the emergents survive and spread vegetatively. This is the regenerating marsh. This stage continues until high water again eliminates the emergents, starting the next degenerating stage.Zonation patterns are conspicuous because each zone often is dominated by a single species that has a lifeform different from those in adjacent zones. The species composition of each zone is a function of its environment (water or moisture regime, salinity, and disturbance history). Within a zone it may take a year or more for species composition to adjust to a change of environmental conditions. These lags sometimes result in abnormal zonation patterns, particularly after a change in water level.Classification of prairie wetlands is more difficult than for most other wetland type, because of these vegetation cycles. Early attempts to classify prairie wetlands did not take the dynamic nature of their vegetation into account. Stewart and Kantrud (1971) developed a classification system for prairie potholes that recognized different phases of vegetation zones dominated by deep marsh species. It used the composition of the vegetation in the deepest part (zone) of a pothole as an indicator of its water-level regime and water chemistry. The application of the national wetland classification system of Cowardin et al. (1979) to potholes is also discussed, and lists of species that characterize the various dominance types associated with the subclasses in this system are presented.

Book chapter↗

Effects of spring environment on nesting phenology and clutch size of Black Brant

We studied the effects of timing of spring snowmelt on nesting phenology, nest site selection, and clutch size of Black Brant (Branta bernicla nigricans) breeding at the Tutakoke river colony, Yukon-Kuskokwim Delta, Alaska. In late springs, brant nested later: however, time between peak arrival at Tutakoke and nest initiation (6 to 12 days) was similar in early and late springs. Nest initiation was more synchronized in late springs than early springs. Height of nests relative to spring meltwater levels was lower in late springs than early springs, indicating that the interval between snowmelt and nest initiation was shorten reduced availability of nest sites and increased nesting synchrony in late years may result in greater competition for available nest sites and reduced site fidelity. Clutch size was greater in late springs than in early springs. This increase in clutch size may result from greater accumulation of endogenous reserves on spring staging areas in late springs, or from demographic changes in the breeding population.

Condor↗

Landsat mapping of local landscape change: The satellite-era context

To set the stage for a vulnerability analysis, investigators must describe and understand the geographic context, including physical characteristics of the landscape and the political and socioeconomic milieu of the population (Jianchu et al . 2005). Vulnerability studies focus on a particular place, at a specific time through its three dimensions, exposure, sensitivity, and adaptive capacity; therefore, understanding place is essential to analyzing vulnerability. Land-use studies are essential to understanding place because they generalize human activities on the physical landscape. Essentially, land use indicates past human decisions and actions, environmental constraints, and, in some cases, gives insight into subsequent change. Like vulnerability, land use is particular to a place at a certain time, and the analysis of that land use can be used as a baseline for future change and its implications. Vulnerability and land use are linked by the concept of place and are fundamental to contemporary research on human–environment interactions. Although the literature on land use, land-use change, and climate change is extensive, the land-use component of vulnerability is usually conceptualized as a feedback mechanism to climate change: forest cutting releases carbon dioxide, which increases atmospheric carbon dioxide concentrations, which increases radiative forcing, which changes climate, and which ultimately changes land cover and subsequent land use (e.g. DeFries and Bounoua 2004; Jianchu et al . 2005; Salinger et al . 2005; Watson 2005). Moreover, land use is rarely specifically identified as a component of vulnerability.

Book chapter↗

Longer rorqual whale mothers produce more female offspring

Multiple hypotheses have arisen that predict how mammals with the ability to adapt fetal sex ratios should invest in male versus female offspring to maximize inclusive fitness, but large wild-population datasets necessary for testing these hypotheses are challenging to collect. We used whaling data ( n = 209 254 sexed fetuses from seven rorqual whale species) to test whether mothers with more resources to invest in offspring produce more male or female offspring. We first modelled fetal sex misidentification in the data and estimated that missexing occurred for fetuses under 30–120 cm across five of seven species. Using Bayesian generalized linear mixed models and a size-restricted dataset to account for misidentification, we estimated a 90% posterior probability that longer mothers have more female offspring overall, ranging from 77% for humpback whales to 99% for sei whales. Our results likely reflect both the difficulty of excluding small males from competition in aquatic environments and the exceptionally high costs of gestation and lactation in baleen whales.

Proceedings of the Royal Society B↗

Epigenetics in captivity: Restoring wild phenotypes in captive-reared salmonids

Captive rearing is a common practice for the stocking, conservation, and supplementation of fish species worldwide, but captive-reared fish can exhibit altered phenotypes leading to reduced fitness in nature compared to wild conspecifics. In salmonids, certain studies have found limited genetic differentiation between wild and captive-reared fish. However, documented changes in gene expression in hatchery fish have led scientists to investigate epigenetic mechanisms, such as DNA methylation, as a source of these differences. In this binational collaborative piece, we synthesize the knowledge and efforts of academics and government scientists to highlight how interactions between captive rearing and the epigenome elicit parallel phenotypic changes across salmonid species. We examine the known and potential links between DNA methylation and the phenotypic effects of captive rearing including changes in behavior, color, gut microbiomes, and developmental abnormalities. We review efforts to minimize these phenotypic and epigenetic effects including attempts to modify the hatchery environment and rearing protocols. We provide a framework to integrate epigenetic considerations into hatchery rearing protocols by weighing the heritable nature of DNA methylation with the goals of different captive rearing programs and explore whether minimizing the phenotypic and epigenetic effects of captive rearing is worthwhile. We examine heritability and persistence of epigenetic effects, and we propose the exploitation of heritable bet-hedging as an epigenetic buffer to increase post-release survival. We also suggest novel applications of epigenomic biomarkers as a non-lethal method for post-release monitoring. Ultimately, collaborative multi-disciplinary research across species is needed to understand the comprehensive effects of captive rearing, reduce the ecological impacts of captive fish in the wild, and increase population resilience. Integrating epigenetics into fish hatchery management will provide new opportunities for optimizing and improving captive rearing.

Evolutionary Applications↗

Yucca Mountain as a Radioactive-Waste Repository

Yucca Mountain straddles the west boundary of the Nevada Test Site in an arid, remote, and thinly populated region of southwestern Nevada. It is the potential site of a monitored geologic repository for the Nation’s commercial and military spent nuclear fuel, high-level radioactive waste derived from reprocessing of uranium and plutonium, surplus plutonium, and other nuclear-weapons materials. (Collectively, these radioactive materials are known as high-level waste [HLW] and are to be distinguished from the low-level radioactive waste to be stored at the recently opened Waste Isolation Pilot Plant in southeastern New Mexico.) Tens of thousands of metric tons of HLW is presently stored at more than a hundred sites in 40 States (fig. 1). The fundamental rationale for a geologic repository for radioactive materials is to securely isolate them from the environment and its occupants to the greatest extent possible.

Nevada↗

Morphodynamics of snow barchans at Concordia Station, Antarctica

Barchans are crescent-shaped dunes that form and migrate under unimodal wind regimes in areas of low sediment availability. While sand barchan morphodynamics has been extensively studied, snow barchans remain poorly documented. Here, using hourly time-series images taken near Concordia Station, Antarctica, we measure the sizes (lengths 0.3 m to 13 m, widths 0.4 m to 7.5 m) and migration rates (0.13 m h −1 to 3.5 m h −1 ) of 44 populations of snow barchans during 2017–2022. We compare this dataset with established height–velocity and length-width relationships for sand barchans in both air and water. Our results show that snow barchans follow the same scaling as sand barchans, allowing us to estimate a characteristic sintering (bonding of snow particles) time of about one day. This sintering process limits the size of snow barchans when active, reduces their aspect ratios, and, once wind falls below the transport threshold, explains their preservation over a few years. During wind events, migrating barchans are too small to maintain their shape and orientation, making them highly responsive to fluctuations in wind direction. Thus, studying snow barchans improves understanding of an elementary bedform encountered in multiple environments and also of the surface properties of snow on different timescales, offering insights into snow accumulation and wind-blown snow in ice cores.

Geomorphica↗

Effect of substrate size on sympatric sand darter benthic habitat preferences

The western sand darter, Ammocrypta clara , and the eastern sand darter, A. pellucida , are sand-dwelling fishes that have undergone range-wide population declines, presumably owing to habitat loss. Habitat use studies have been conducted for the eastern sand darter, but literature on the western sand darter remains sparse. To evaluate substrate selection and preference, western and eastern sand darters were collected from the Elk River, West Virginia, one of the few remaining rivers where both species occur sympatrically. In the laboratory, individuals were given the choice to bury into five equally available and randomly positioned substrates ranging from fine sand to granule gravel (0.12–4.0 mm). The western sand darter selected for coarse and medium sand, while the eastern sand darter was more of a generalist selecting for fine, medium, and coarse sand. Substrate selection was significantly different ( p = 0.02) between species in the same environment, where the western sand darter preferred coarser substrate more often compared to the eastern sand darter. Habitat degradation is often a limiting factor for many species of rare freshwater fish, and results from this study suggest that western and eastern sand darters may respond differently to variations in benthic substrate composition.

West Virginia↗

Water-quality assessment of the Upper Mississippi River Basin, Minnesota and Wisconsin: Polychlorinated biphenyls in common carp and walleye fillets, 1975-95

Spatial and temporal distribution of polychlorinated biphenyls (PCBs) in common carp ( Cyprinus carpio ) and walleye ( Stizostedion vitreum ) fillets from rivers in the Upper Mississippi River Basin upstream of the outlet of Lake Pepin are summarized. PCB concentrations in common carp and walleye fillets collected from rivers in the UMIS during 1975-95 by the Minnesota Fish Contaminant Monitoring Program (MFCMP) and the Wisconsin Department of Natural Resources (WDNR) were analyzed. PCBs in fish tissue are of concern because PCBs are potentially toxic, teratogenic, and are linked to poor fetal development and endocrine disruption in fish and other animals including humans, that consume fish. This summary was part of an analysis of historical data for the Upper Mississippi River (UMIS) study unit of the National Water-Quality Assessment (NAWQA) Program. The UMIS study unit is a 47,000 square-mile basin that includes the drainage of the Mississippi River upstream of the outlet of Lake Pepin and encompasses the Twin Cities metropolitan area. PCB concentrations for individual samples at all sites ranged from 0.07 to 33.0 milligrams per kilograms (mg/kg) for common carp and from 0.07 to 9.8 mg/kg for walleye during 1975-95. During 1975-79 and 1980-87, 10 and 4 percent of walleye samples and 45 and 36 percent of common carp samples, respectively, exceeded the U.S. Food and Drug Administration guideline of 2 mg/kg PCB in fish tissue. PCB concentrations in individual common carp and walleye samples were below 2 mg/kg after 1987. Median PCB concentrations at individual sites and within stream segments were generally greatest in common carp and walleye from Mississippi River segments in the TCMA during 1975-79 and 1980-87. There was a significant difference among lipid-normalized PCB (LNPCB) concentrations in common carp, considering all stream segments combined, during all three time periods (1975-79, 1980-87, and 1988-95). LNPCB concentrations in common carp and walleye at those stream segments upstream or outside the TCMA were generally lower than those in UMR segments within the TCMA. The spatial distribution of PCB and LNPCB concentrations in common carp and walleye correspond with historical point- and non point-source PCB inputs in the densely populated TCMA, and concentrations in fish were greater in areas that historically had elevated PCB concentrations in bed sediment. Median PCB concentrations in common carp and walleye at individual sites were greatest during 1975-79 and 1980-87, and least during 1988-95 at most sites. Most of the river segments exhibited over 80 percent decline in median PCB concentrations in common carp and walleye between the 1975-79 and 1988-95 time periods. The results from these temporal analyses were similar to those of other studies in the United States and in Minnesota and Wisconsin that reported a significant downward trend in PCB concentrations in fish. Although, PCB concentrations have decreased during 1975-95, low concentrations of PCBs still remain in the aquatic environment despite the fact that PCBs were banned nearly 20 years ago.

Minnesota, Wisconsin↗

Host vs. pathogen evolutionary arms race: Effects of exposure history on individual response to a genetically diverse pathogen

Introduction: Throughout their range, bighorn sheep ( Ovis canadensis ) populations have seen significant disease-associated declines. Unfortunately, understanding of the underlying epidemiological processes driving the disease dynamics in this species has hindered conservation efforts aimed at improving the health and long-term viability of these populations. Individual response to pathogen exposure emerges from dynamic interactions between competing evolutionary processes within the host and pathogen. The host’s adaptive immune system recognizes pathogens and mounts a defensive response. Pathogens have evolved strategies to overcome adaptive immune defenses including maintaining high genetic diversity through rapid evolution. The outcomes of this evolutionary warfare determine the success of pathogen invasion of the host and ultimately the success of conservation efforts. Methods: During an epizootic dominated by a single strain, we explore these host-pathogen dynamics by examining the variation in effects of pathogen invasion on captive bighorn sheep with differing histories of exposure to genetically diverse strains of Mycoplasma ovipneumoniae (Movi). We monitored clinical signs of disease and sampled animals and their environment to detect spread of Movi among 37 bighorn sheep separated into nine pens based on known exposure Results: We documented Movi transmission within and across pens and we detected Movi DNA in air, water, and invertebrate samples. Higher levels of antibody to Movi prior to the epizootic were associated with a lower likelihood of presenting clinical signs of pneumonia. Nonetheless, higher antibody levels in symptomatic individuals were associated with more severe progressive disease, increased probability and speed of pneumonia-induced mortality, and reduced likelihood of returning to a healthy state. Bighorn sheep with previous exposure to a strain other than the predominant epizootic strain were more likely to recover. Discussion: Our results indicate that Movi-strain variability was sufficient to overwhelm the adaptive host immunological defenses. This outcome indicates, in free-ranging herds, past exposure is likely insufficient to protect bighorn sheep from infection by new Movi strains, although it influences the progression of disease and recovery within the herd. Therefore, given Movi-strain variability and the lack of immunological protection from past exposure, focusing management efforts on minimizing the introduction of Movi into bighorn herds, through separation of domestic and bighorn sheep and avoidance of management activities that create commingling of bighorn sheep carrying differing Movi strains, will likely be the most effective approach for reducing the effects of disease and achieving bighorn sheep conservation goals.

Idaho, Oregon, South Dakota, Washington↗

The effects of wastewater reuse on smallmouth bass (Micropterus dolomieu) relative abundance in the Shenandoah River Watershed, USA

Municipal and industrial wastewater effluent is an important source of water for lotic systems, especially during periods of low flow. The accumulated wastewater effluent flows—expressed as a percentage of total streamflow (ACCWW%)—contain chemical mixtures that pose a risk to aquatic life; fish may be particularly vulnerable when chronically exposed. Although there has been considerable focus on individual-level effects of exposure to chemical mixtures found in wastewater effluent, scaling up to population-level effects remains a challenging component needed to better understand the potential consequences of exposure in wild populations. This may be particularly important under a changing climate in which wastewater reuse could be essential to maintain river flows. We evaluated the effects of chronic exposure to wastewater effluent, as measured by ACCWW%, on the relative abundance of young-of-year (YOY), juvenile, and adult smallmouth bass ( Micropterus dolomieu ) populations in the Shenandoah River Watershed (USA). We found that increases in ACCWW% in the previous year and during the prespawn period were negatively correlated with the relative abundance of YOY, resulting in an average 41% predicted decrease in abundance (range = 0.5%–94% predicted decrease in abundance). This lagged effect suggests that adult fish reproductive performance may be compromised by chemical exposure during periods of high ACCWW%. No relationships between ACCWW% and juvenile or adult relative abundance were found, suggesting that negative effects of ACCWW% on YOY abundance may be offset due to compensatory mechanisms following higher ACCWW% exposure. Understanding the effects of wastewater effluent exposure at multiple levels of biological organization will help in the development of management strategies aimed at protecting aquatic life. Environ Toxicol Chem 2024;43:1138–1148. © 2024 The Authors. Environmental Toxicology and Chemistry published by Wiley Periodicals LLC on behalf of SETAC. This article has been contributed to by U.S. Government employees and their work is in the public domain in the USA.

Virginia↗

Factors affecting post-control reinvasion by seed of an invasive species, Phragmites australis , in the central Platte River, Nebraska.

Invasive plants, such as Phragmites australis , can profoundly affect channel environments of large rivers by stabilizing sediments and altering water flows. Invasive plant removal is considered necessary where restoration of dynamic channels is needed to provide critical habitat for species of conservation concern. However, these programs are widely reported to be inefficient. Post-control reinvasion is frequent, suggesting increased attention is needed to prevent seed regeneration. To develop more effective responses to this invader in the Central Platte River (Nebraska, USA), we investigated several aspects of Phragmites seed ecology potentially linked to post-control reinvasion, in comparison to other common species: extent of viable seed production, importance of water transport, and regeneration responses to hydrology. We observed that although Phragmites seed does not mature until very late in the ice-free season, populations produce significant amounts of viable seed (>50 % of filled seed). Most seed transported via water in the Platte River are invasive perennial species, although Phragmites abundances are much lower than species such as Lythrum salicaria , Cyperus esculentus and Phalaris arundinacea . Seed regeneration of Phragmites varies greatly depending on hydrology, especially timing of water level changes. Flood events coinciding with the beginning of seedling emergence reduced establishment by as much as 59 % compared to flood events that occurred a few weeks later. Results of these investigations suggest that prevention of seed set (i.e., by removal of flowering culms) should be a priority in vegetation stands not being treated annually. After seeds are in the seedbank, preventing reinvasion using prescribed flooding has a low chance of success given that Phragmites can regenerate in a wide variety of hydrologic microsites.

Nebraska↗

Genetic strategies for lake trout rehabilitation: a synthesis

The goal of lake trout rehabilitation efforts in the Great Lakes has been to reestablish inshore lake trout ( Salvelinus namaycush ) populations to self-sustaining levels. A combination of sea lamprey control, stocking of hatchery-reared lake trout, and catch restrictions were used to enhance remnant lake trout stocks in Lake Superior and reestablish lake trout in Lakes Michigan, Huron, Erie, and Ontario. Genetic diversity is important for the evolution and maintenance of successful adaptive strategies critical to population restoration. The loss of genetic diversity among wild lake trout stocks in the Great Lakes imposes a severe constraint on lake trout rehabilitation. The objective of this synthesis is to address whether the particular strain used for stocking combined with the choice of stocking location affects the success or failure of lake trout rehabilitation. Poor survival, low juvenile recruitment, and inefficient habitat use are three biological impediments to lake trout rehabilitation that can be influenced by genetic traits. Evidence supports the hypothesis that the choices of appropriate lake trout strain and stocking locations enhance the survival of lake trout stocked into the Great Lakes. Genetic strategies proposed for lake trout rehabilitation include conservation of genetic diversity in remnant stocks, matching of strains with target environments, stocking a greater variety of lake trout phenotypes, and rehabilitation of diversity at all trophic levels.

Journal of Great Lakes Research↗

Implications of tree expansion in shrubland ecosystems for two generalist avian predators

Shrublands globally have undergone structural changes due to plant invasions, including the expansion of native trees. Removal of native conifer trees, especially juniper ( Juniperus spp .), is occurring across the Great Basin of the western U.S. to support declining sagebrush ( Artemisia spp.) habitats and associated wildlife species, such as greater sage-grouse ( Centrocercus urophasianus ). One justification for conifer removal is that it may improve survival of sagebrush-associated wildlife by reducing the abundance of avian predators. However, the relationship between conifer expansion and predator distributions has not been explicitly evaluated. Further, although structural characteristics of habitat are important for generalist predators, overall prey abundance may also affect habitat use by predators. We examined habitat use of common ravens ( Corvus corax ) and red-tailed hawks ( Buteo jamaicensis ), two generalist predators whose populations are increasing in western North America, to variation in structural characteristics and prey distributions in sagebrush habitat that has experienced conifer expansion. Structural characteristics of habitat were important predictors of habitat use for both ravens and red-tailed hawks, whereas measures of prey abundance were unimportant for both species likely because generalist predators can use a wide variety of food resources. Ravens, but not red-tailed hawks, responded positively to increasing cover of juniper and the probability of habitat use was highest (> 0.95) where juniper cover within 100 m was > 20%. Habitat use by red-tailed hawks, but not ravens, was greater near cliffs but was not associated with juniper cover. Our study suggests that the removal of conifer in similar environments may lower the probability of habitat use for ravens, a common predator with significant impacts on many prey species. Therefore, we suggest conifer removal may improve sage-grouse reproductive success and survival depending on responses to conifer removal from other predators. Our results may be reflective of similar changes in rangeland ecosystems around the world undergoing expansion of conifer and other woody vegetation. Though species identities differ from sagebrush habitats, generalist avian predators in other habitats may have similar relationships with structural resources.

Idaho↗