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At least 1,603 records · Page 89Linked to original sources

Updated decision analysis to inform multi-species salmonine management in Lake Michigan

The recreational fishery for salmonine species in Lake Michigan (lake trout, Chinook salmon, coho salmon, steelhead, and brown trout) is largely maintained through stocking. Decisions about how many of each species to stock require an understanding of how to maintain a sustainable balance of predators (salmonine species) to prey (alewife) in the lake. The current models used to make these decisions can estimate the ratio of Chinook salmon to alewife in the lake. However, the Lake Michigan Committee’s new stocking strategy aims to incorporate the other salmonine species into this predator-prey ratio. We used structured decision making to evaluate potential stocking strategies. We worked with fishery stakeholders and members of the Lake Michigan Committee, conducted participatory modeling to forecast outcomes of stocking scenarios using updated information on fish movement and feeding, and evaluated the risk of these stocking strategies. Most of the stocking practices we evaluated resulted in a high risk of large declines in alewife abundance, negatively affecting future salmon fisheries. The forecasts were substantially more pessimistic than those resulting from a similar analysis conducted a decade earlier, apparently due to more recent alewife assessments indicating lower alewife productivity (recruits per spawner). Alewife recruitment dynamics is an area of substantial uncertainty, with apparently large consequences for management; decision makers on Lake Michigan would benefit from greater understanding of alewife recruitment dynamics to reduce this uncertainty when accounting for risks.

Lake Michigan↗

Capelin on the rebound: Using seabird diets to track trends in forage fish populations

Capelin are cold-water forage fish that respond rapidly to fluctuating ocean temperatures. They are prized food for seabirds and other marine predators in Alaska. Researchers have monitored seabird diets at Middleton Island for decades to make connections between changes in abundance of predators and their prey. During a prolonged marine heatwave in the Gulf of Alaska, seabird diets and limited trawl surveys showed that capelin populations collapsed from record high abundance during the 2007–2013 cool period (Hatch 2013) to record lows in 2016 (Arimitsu et al. 2021). Capelin occurrence in diets had previously oscillated out of phase with Pacific sand lance numbers during cold and warm years (Sydeman et al. 2017), however, the occurrence of both prey species in seabird diets fell below average during 2014–2022 (Fig. 1). Following a period of cooler ocean temperatures in the Gulf of Alaska, during 2023 we began to see signs of capelin stock recovery, with a moderate increase in occurrence in spring and summer seabird diets (Fig. 1, Hatch et al. 2023). Continued monitoring of seabird diets can help track capelin populations and other key forage fish to inform ecosystem-based management in 2024 and beyond.

Alaska↗

A review of the ecology and conservation biology of Sali (Micronesian Starling, Aplonis opaca guami) on Guam

The accidental introduction of the Brown Treesnake (BTS, Boiga irregularis ) to Guam following World War II led to the extinction, extirpation, or severe decline of most of Guam’s native avifauna. One forest bird species that managed to persist is the cavity-nesting Såli (Micronesian Starling, Aplonis opaca guami ), a once-ubiquitous native omnivore whose current Guam distribution is restricted primarily to urbanized areas in the northern half of the island, with a second much smaller population on Cocos Island off southern Guam. Såli on Guam breed year-round and are habitat generalists with large home ranges. Besides arthropods and small vertebrates, they consume fruit from a wide range of native and introduced plant species and are key seed dispersers within the local ecosystem. Såli on Guam suffer extremely high post-fledging mortality due to predation by BTS and cats, leading to a population age structure strongly skewed towards adult birds. Other threats include habitat loss and degradation, extreme weather events, and sea level rise. Key management activities aimed at restoring this species include predator control, while non-native ungulate removal and vegetation management may be undertaken to support broader ecological recovery. This species account on Såli provides a review of the literature on this species, synthesizing information on habitat use, life history, and demographics to provide a biological foundation for future recovery efforts.

Micronesica↗

Final report to the Gulf Coast Joint Venture: Black Skimmer and Gull-billed Tern

Many bird species are of conservation concern across the Northern Gulf of Mexico from stressors such as human disturbance, predation, and habitat loss due to directional environmental change (e.g., increased sea-level rise and storm frequency and intensity, human infrastructure, changes in land use). Consequently, managers need decision-support tools that can help to answer important conservation questions for different species (e.g., which areas and how much area should be targeted by management actions to meet a particular species’ needs). The Black Skimmer ( Rynchops niger ; hereafter Skimmer) and Gull-billed Tern ( Gelochelidon nilotica ; hereafter Tern) are designated as U.S. Fish and Wildlife Service (USFWS) Species of Conservation Concern and Gulf Coast Joint Venture (GCJV) Priority Species with nesting habitats in the USFWS Gulf Coast Biological Planning Units (BPU; Tirpak et al. 2017). They are also representative of a variety of other beach and barrier-island nesting birds whose Gulf Coast nesting habitats are threatened by directional environmental change. The Skimmer has breeding pair targets in six GCJV Initiative Areas (IA), and the Tern has breeding pair targets in five GCJV IAs. Our goal was to inform GCJV management scenarios that efficiently and simultaneously achieve both species’ targets by prioritizing sites where management actions (e.g., maintain existing habitat or change habitat, geomorphology [landmass area, landmass elevation], predator management, human and dog restrictions) could be implemented.

Final Report↗

Quantifying sea otter abundance, distribution, habitat use, and foraging intake in Cook Inlet, Alaska

Following near extirpation from the fur trade, sea otters ( Enhydra lutris ) have returned to occupy lower Cook Inlet since the 1950s, or earlier, with numbers increasing to ~11,000 and ~9,000 on the west and east side, respectively, by 2017. Northward range expansion on the west side has been negligible for decades with few animals found north of Kamishak Bay, while northward expansion on the east side has been more pronounced in recent decades. The reasons for these contrasting distribution patterns are not certain. Possible explanations for lack of expansion on the west side included 1) poor sea otter habitat north of Kamishak Bay; 2) adequate habitat north of Kamishak Bay but no incentive for sea otters to move north because of abundant food in Kamishak Bay, and/or sea otters discouraged from moving north of Kamishak Bay; 3) seasonal ice formation; or 4) seasonal presence of killer whales. This project was designed to document current sea otter abundance and distribution in lower Cook Inlet, including seasonal variation, and evaluate drivers of habitat use and foraging conditions, including how these overlap with Bureau of Ocean Energy Management (BOEM) Lease Sale blocks. We found that the probability of sea otter presence in lower Cook Inlet was significantly related to depth and distance from shore with the highest probabilities of sea otter presence in areas ~7–8 kilometers (km) from shore in water ~20–30 meters (m) deep. Historical survey data suggest sea otter distribution has not changed dramatically since 2002, and while we detected significant seasonal changes including due to presence of heavy sea ice, the seasonal changes were modest and primarily related to locations with consistent winter ice formation on the west side of lower Cook Inlet. Overall, throughout the year, sea otters appeared to be utilizing most of the habitat within the 40-m depth contour on the east side of lower Cook Inlet, including Kachemak Bay. Sea otters on the west side reside largely within Kamishak Bay. Because of the shallow bathymetry of lower Cook Inlet, sea otters consistently occurred farther offshore than in many other areas of Alaska. The presence of sea otters, including females with pups, in these offshore waters indicates that sea otters can forage productively in these open water areas. Importantly, we documented that sea otters, including females with pups, occurred in most of the eastern BOEM lease blocks including the original Lease Sale 244 blocks 7064, 7114, 6162, 6310, 6360, 6410, 6458 and 6457. The relinquishments for these 7 leases were effective September 17, 2024: OCS-Y-02434 (block # 7064), OCS-Y-02435 (7114), OCS-Y-02436 (6162), OCS-Y-02438 (6357), OCS-Y-02442 (6407), OCS-Y02446 (6457), OCS-Y-02447 (6458) https://www.boem.gov/sites/default/files/documents/environment/Map%20of%20Active%20Leases%20 Cook%20Inlet%20OCS_0.pdf Regarding differential northward expansion on the east and west side of lower Cook Inlet, we found that wind and water circulation patterns make winter sea ice more prominent on the west side, but this had minimal effects on sea otter distribution. In addition, although there have been observations of killer whale ( Orcinus orca ) predation on sea otters in Cook Inlet, we did not see behavioral or distributional evidence that it was prevalent enough to have strong effects on sea otter habitat use. Benthic surveys using a remotely operated vehicle (ROV) indicated that epibenthic substrate and biological community heterogeneity differed between areas with and without otters, suggesting that these factors may explain the current distribution of otters within lower Cook Inlet. However, ROV surveys cannot assess infaunal prey abundance, making assessments of the role of prey availability difficult. The existence of a healthy Pacific razor clam ( Siliqua patula ) fishery along western lower Cook Inlet along the Lake Clark coast north of Kamishak Bay suggests there may still be a resource base for eventual expansion of sea otters into this area. Our shore-based forage observations indicated that sea otters exist near carrying capacity densities relative to nearshore prey resources. However, our distribution model suggests the bulk of the population lives offshore beyond our ability to observe their feeding activity. The fact that sea otters are a consistent presence in offshore areas suggests that prey resources in these areas were relatively abundant in comparison to nearshore prey resources, making foraging in offshore areas, with water depths of 0–40 m, energetically profitable. Prey types in these offshore areas of lower Cook Inlet likely included epifauna such as crabs and large urchins, in addition to infaunal clams based on the soft substrate habitat types that characterize lower Cook Inlet. Collectively, our results suggest that sea otters occupy most areas of lower Cook Inlet with appropriate benthic habitat types and prey resources, which includes areas within BOEM Lease Sale blocks. With the exception of the Lake Clark coast, sea otters may be approaching a food- and habitat-limited distribution and carrying capacity, suggesting that the current status of sea otters in lower Cook Inlet is likely to remain similar in the absence of significant changes to prey, habitat, predation, or anthropogenic disturbance.

Alaska↗

Consumption of rainbow smelt by walleye and salmonine fishes in eastern Lake Erie

At present, rainbow smelt appear to represent a key component of the eastern Lake Erie fish community as they are the dominant prey for virtually every open water predator, and are harvested directly by an important Ontario commercial fishery. In response to concern over the status of rainbow smelt in eastern Lake Erie, our objective was to quantify some primary top down forces of rainbow smelt mortality that include walleyes (Stizostedion vitreum), five stocked salmonine fishes, and the commercial fishery. This objective was to satisfy a need to understand whether consumption by the major fish predators was significant relative to the measured commercial harvest of rainbow smelt. Achieving this knowledge may provide fisheries managers with an improved basis for managing the rainbow smelt resource through adjustments to stocking policies and/or commercial fishing quotas.

Book chapter↗

Ground-nesting marine birds and potential for human disturbance in Glacier Bay National Park

Glacier Bay National Park and Preserve contains a diverse assemblage of marine birds that use the area for nesting, foraging and molting. The abundance and diversity of marine bird species in Glacier Bay is unmatched in the region, due in part to the geomorphic and successional characteristics that result in a wide array of habitat types (Robards and others, 2003). The opportunity for proactive management of these species is unique in Glacier Bay National Park because much of the suitable marine bird nesting habitat occurs in areas designated as wilderness. Ground-nesting marine birds are vulnerable to human disturbance wherever visitors can access nest sites during the breeding season. Human disturbance of nest sites can be significant because intense parental care is required for egg and hatchling survival, and repeated disturbance can result in reduced productivity (Leseberg and others, 2000). Temporary nest desertion by breeding birds in disturbed areas can lead to increased predation on eggs and hatchlings by conspecifics or other predators (Bolduc and Guillemette, 2003). Human disturbance of ground-nesting birds may also affect incubation time and adult foraging success, which in turn can alter breeding success (Verhulst and others, 2001). Furthermore, human activity can potentially cause colony failure when disturbance prevents the initiation of nesting (Hatch, 2002). There is management concern about the susceptibility of breeding birds to disturbance from human activities, but little historical data has been collected on the distribution of ground-nesting marine birds in Glacier Bay. This report summarizes results obtained during two years of a three-year study to determine the distribution of ground-nesting marine birds in Glacier Bay, and the potential for human disturbance of those nesting birds.

Conference Paper↗

Common ravens in the southwestern United States, 1968-92

The common raven ( Corvus corax ) is a large black passerine bird found throughout the northern hemisphere including western and northern North America. Ravens are scavengers that frequently feed on road-killed animals, large dead mammals, and human refuse. They kill and eat prey including rodents, lambs (Larsen and Dietrich 1970), birds, frogs, scorpions, beetles, lizards, and snakes. They also feed on nuts, grains, fruits, and other plant matter (Knight and Call 1980; Heinrich 1989). Their recent population increase is of concern because ravens eat agricultural crops and animals whose populations may be depleted. Ravens are closely associated with human activities, frequently visiting solid-waste landfills and garbage containers at parks and food establishments, being pests of agricultural crops, and nesting on many human-made structures. In two recent surveys in the deserts of California (FaunaWest Wildlife Consultants 1989; Knight and Kawashima 1993), ravens were more numerous in areas with more human influences, and were often indicators of the degree to which humans affect an area. Annual Breeding Bird Surveys (BBS) conducted nationwide by the U.S. Fish and Wildlife Service (USFWS) indicated that raven populations in several parts of the country significantly increased during 1965-79 (Robbins et al. 1986). This increase concerns resource managers because ravens feed on agricultural crops and animal species of interest to humans. For instance, in the deserts of the southwestern United States, ravens prey on young desert tortoises ( Gopherus agassizii ; Berry 1985; Fig. 1), which in the Mojave and Colorado deserts are listed as a threatened species by the USFWS (Federal Register 1990). Because of high levels of raven predation on tortoises, the Bureau of Land Management has taken action to reduce this predation (BLM 1990, 1994). We report here on a 24-year trend in raven abundance along roadsides in the deserts of the southwestern United States and surrounding regions, where increasing raven populations interest resource management agencies (BLM 1990; USFWS 1994). Our analysis of BBS 1968-92 data focuses on arid lands and neighboring habitats in California, Nevada, Utah, and Arizona. We used data from 137 39.2-km (24.5-mi) routes within the following BBS strata: Great Basin Desert; mountain highlands of Arizona; Sonoran-Colorado Desert; Mojave Desert; basins and ranges, including portions of the northern Mojave and Great Basin deserts; Central Valley; and southern California grasslands, California foothills (southern California routes only), and Los Angeles ranges combined into one (coastal southern California).

Book chapter↗

The sterile-male-release technique in Great Lakes sea lamprey management

The parasitic sea lamprey (Petromyzon marinus) has been a serious pest since its introduction into the Great Lakes, where it contributed to severe imbalances in the fish communities by selectively removing large predators (Smith 1968; Christie 1974; Schneider et al.1996). Since the 1950s, restoration and maintenance of predator-prey balance has depended on the Great Lakes Fishery Commission (GLFC) sea lamprey management program. Initially, management relied primarily on stream treatments with a selective lampricide to kill larvae, on barriers to migration, and on trapping to remove potential spawners (Smith and Tibbles 1980). By the late 1970s, however, it was clear that the future of sea lamprey management lay in development of a larger array of control strategies, including more alternatives to lampricide applications (Sawyer 1980). Since then the only new alternative to chemical control to reach operational status is the release of sterilized male sea lampreys. Research on the concept began at the USGS, Hammond Bay Biological Station in Millersburg, MI (HBBS) during the 1970s (Hanson and Manion 1980). Development and evaluation continued through the 1980s, leading to the release of sterilized males in Great Lakes tributaries since 1991 (Twohey et al. 2003a). The objectives of this paper are 1) to review the implementation and evaluations of sterile-male-release technique (SMRT) as it is being applied against sea lampreys in the Great Lakes, 2) to review our current understanding of its efficacy, and 3) to identify additional research areas and topics that would increase either the efficacy of SMRT or expand its geographic potential for application.

Report↗

Evaluation of management practices in wetland meadows at Grays Lake National Wildlife Refuge, Idaho, 1997-2000

We assessed the relative values of 4 management practices (idle, late season grazing, fall prescribed burning, and rotation of idle and summer grazing) to biotic resources of the grassland-wetland meadow ecosystem at Grays Lake during 1997-2000. Three replicates of each treatment were randomly assigned to 12 experimental units that bordered the deep emergent marsh. Biotic factors examined included the breeding bird community and abundance, nesting activity and nest success, small mammal abundance, plant community, and annual plant biomass production. Fall burns achieved treatment objectives, removing most residual vegetation across a range of cover types. Objectives for grazing treatments were mostly attained; however, vegetation use levels were insufficient for consistent attainment of treatment objectives. Savannah sparrow, American coot, Canada goose, sandhill crane, mallard, and yellow-headed blackbird were the most common bird species present. Densities of 2 bird species (savannah sparrow and red-winged blackbird) were related to year effect only. The effect of unit on densities of redhead, lesser scaup, ruddy duck, sora, long-billed curlew, and common snipe likely reflects habitat differences among units. Densities of 6 species (eared grebe, canvasback, American coot, American avocet, willet, and common yellowthroat) were related to both year and unit effects. Treatment affected densities of 6 of the 29 species examined (mallard, northern shoveler, cinnamon teal, blue-winged teal, American crow, and yellow-headed blackbird); we found no common trend in response to treatments among those species. Overall, idled habitat did not stand out to be a valuable treatment, whereas grazing tended to have positive responses for a number of species. Burning was more likely to result in reduced bird densities than other treatments. We also describe the distribution of species observations among 8 different habitat types. Of the 23 nesting species sampled in the experimental units, the most common were American coot, sandhill crane, Canada goose, American avocet, mallard, and cinnamon teal. Daily survival rates (DSRs) of dabbling duck nests (all species pooled) were negatively affected by fall grazing. We detected no effects of treatments on DSRs of Canada geese or sandhill crane nests. DSRs for sandhill crane nests were higher in 1998 than in 1999 or 2000 and were slightly higher than that in 1997. DSRs for coot nests were affected by both year and treatment; within-treatment differences among years were extensive, In 1998, when all units were idled, DSRs for coot nests were higher in units assigned to idle treatment than those assigned to fall-grazed or rotation treatment. DSRs for coot nests did not differ among treatment blocks in 1997 (all units idled) or 1999 (first year after treatments). We speculate that compaction of residual vegetation by snowpack reduced any differences between idle and treated units and thus lessened the value of idle habitat for most nesting birds. Nesting densities and nest success rates of Canada geese, dabbling ducks, and sandhill cranes were lower those that reported from Steel's (1952) study in 1949-1950, but differences in habitats and areas searched relative to our study make comparisons difficult. Nest success rates of sandhill cranes also were lower than those reported by Drewien (1973). Declines in nest success probably are related to changes in predator community. We captured 5 species of small mammals (meadow vole, montane vole, deer mouse, vagrant shrew, and ermine). Populations of meadow and montane voles irrupted in 1998 then crashed in spring 1999; the most marked changes were in montane vole numbers. Capture rates of ermine and observation rates for striped skunks and raptors suggested a numerical response (higher recruitment) by these predators to higher prey abundance and possibly distributional shifts (movement into areas of more abundant microtines). We did not detect differences

Report↗

Highly variable rates of survival to metamorphosis in wild boreal toads (Anaxyrus boreas boreas)

Life history theory suggests that long‐lived, pond‐breeding amphibians should have low and highly variable early life‐stage survival rates, but this theoretical expectation is often untested and the causes of variation are usually unknown. We evaluated the impact of hydroperiod, presence of a pathogen ( Batrachochytrium dendrobatidis [Bd]), presence of a potential predator (cutthroat trout Oncorhychus clarki stomias) , and whether animals had been reintroduced into a site on survival of early life stages of boreal toads ( Anaxyrus boreas boreas ). We used a multistate mark‐recapture framework to estimate survival of boreal toad embryos from egg to metamorphosis at four sites over 5 years. We found substantial spatial and temporal variation in survival to metamorphosis and documented some evidence that monthly tadpole survival was lower in sites with Bd, without trout, and at permanent sites. Our results support theories of amphibian life history, aid in the management of this species of conservation concern, and contribute to our knowledge of the ecology of the species. Additionally, we present methodology that allows practitioners to account for different lengths of time between sampling periods when estimating survival probabilities which is especially applicable to organisms with distinct biological stages.

Population Ecology↗

Effects of dissolved carbon dioxide on the physiology and behavior of fish artificial streams

A new technology for treating waters contaminated with acid mine drainage involves the dissolution of limestone particles using carbon dioxide at pressures above ambient. Because of the fish health risks associated with episodes of high carbon dioxide levels in treated waters, we subjected three species of fish, brook trout ( Salvelinus fontinalis ), slimy sculpin ( Cottus cognatus ), and blacknose dace ( Rhinichthys atratulus ), to 24 h exposures of elevated dissolved carbon dioxide (CO 2 ) at three levels, ranging from 1.0 (low) to 6.3 (high)%, under laboratory conditions. We measured blood physiological variables as well as behavior, including feeding responses, before, during, and after exposure. Physiological responses differed by species, but all species had elevated hematocrits after 1 h of exposure. Brook trout hematocrits were higher at medium and high levels of CO 2 than in a control group (0.0% CO 2 ) after 24 h of exposure. Slimy sculpin hematocrits were higher in medium- and high-level exposure groups than in controls after 1 h, but not after 24 h, of exposure. Blacknose dace hematocrits were higher in all three exposure groups than in controls after 1 h but only in medium-level exposure groups after 24 h. Brook trout plasma glucose was significantly higher in medium- and high-level exposure groups after 1 h, and in the high-level group after 24 h, than in controls. Slimy sculpin plasma glucose was not significantly different in elevated CO 2 exposure groups from that of controls throughout exposure. Branchial ventilation was significantly greater in all species at elevated CO 2 during exposure, indicating stress; however, no difference was observed between treatment and control groups of blacknose dace after 24 h, indicating acclimation. Pectoral fin beats and cough rates were not consistently related to CO 2 exposure throughout the study. Brook trout had the longest lasting reaction to stress at lower levels of CO 2 among the three species tested. Many of the 11 observed behavioral variables, related to swimming, feeding, social, and illness factors, were affected by elevations of dissolved CO 2 . Two to seven behavioral variables (18–64% of those measured) were affected by treatment level of dissolved CO 2 with a trend by species for the number of variables affected: brook trout>blacknose dace>slimy sculpin. However, behavioral sensitivity to treatment level was greatest in blacknose dace. Recovery to pre-treatment activity rates for most behavior patterns (including feeding) was observed 24 h after cessation of exposure in all three species. Recovery was independent of treatment level, was most rapid in blacknose dace, and was slowest in brook trout. Overall, slimy sculpin was least affected behaviorally by elevated CO 2 . Although all three species showed stress response and changes in behavior at moderate levels of CO 2 (≥2%), brook trout and blacknose dace showed evidence of ability to avoid harmful CO 2 levels by swimming out of affected waters, whereas the slimy sculpin showed minimal behavioral changes despite remaining in place during exposure. Thus, predation risk and other sources of mortality seem minimal in the event of technological malfunction at a stream treatment site involving the use of CO 2 under pressure.

Environmental Toxicology↗

Episodic Holocene eruption of the Salton Buttes rhyolites, California, from paleomagnetic, U-Th, and Ar/Ar dating

In the Salton Trough, CA, five rhyolite domes form the Salton Buttes: Mullet Island, Obsidian Butte, Rock Hill, North and South Red Hill, from oldest to youngest. Results presented here include 40 Ar/ 39 Ar anorthoclase ages, 238 U- 230 Th zircon crystallization ages, and comparison of remanent paleomagnetic directions with the secular variation curve, which indicate that all domes are Holocene. 238 U- 230 Th zircon crystallization ages are more precise than but within uncertainty of 40 Ar/ 39 Ar anorthoclase ages, suggesting that zircon crystallization proceeded until shortly before eruption in all cases except one. Remanent paleomagnetic directions require three eruption periods: (1) Mullet Island, (2) Obsidian Butte, and (3) Rock Hill, North Red Hill, and South Red Hill. Borehole cuttings logs document up to two shallow tephra layers. North and South Red Hills likely erupted within 100 years of each other, with a combined 238 U- 230 Th zircon isochron age of: 2.83 ± 0.60 ka (2 sigma); paleomagnetic evidence suggests this age predates eruption by hundreds of years (1800 cal BP). Rock Hill erupted closely in time to these eruptions. The Obsidian Butte 238 U- 230 Th isochron age (2.86 ± 0.96 ka) is nearly identical to the combined Red Hill age, but its Virtual Geomagnetic Pole position suggests a slightly older age. The age of aphyric Mullet Island dome is the least well constrained: zircon crystals are resorbed and the paleomagnetic direction is most distinct; possible Mullet Island ages include ca. 2300, 5900, 6900, and 7700 cal BP. Our results constrain the duration of Salton Buttes volcanism to between ca. 5900 and 500 years.

Geochemistry, Geophysics, Geosystems↗

The story of a Yakima fold and how it informs Late Neogene and Quaternary backarc deformation in the Cascadia subduction zone, Manastash anticline, Washington, USA

The Yakima folds of central Washington, USA, are prominent anticlines that are the primary tectonic features of the backarc of the northern Cascadia subduction zone. What accounts for their topographic expression and how much strain do they accommodate and over what time period? We investigate Manastash anticline, a north vergent fault propagation fold typical of structures in the fold province. From retrodeformation of line- and area-balanced cross sections, the crust has horizontally shortened by 11% (0.8–0.9 km). The fold, and by inference all other folds in the fold province, formed no earlier than 15.6 Ma as they developed on a landscape that was reset to negligible relief following voluminous outpouring of Grande Ronde Basalt. Deformation is accommodated on two fault sets including west-northwest striking frontal thrust faults and shorter north to northeast striking faults. The frontal thrust fault system is active with late Quaternary scarps at the base of the range front. The fault-cored Manastash anticline terminates to the east at the Naneum anticline and fault; activity on the north trending Naneum structures predates emplacement of the Grande Ronde Basalt. The west trending Yakima folds and west striking thrust faults, the shorter north to northeast striking faults, and the Naneum fault together constitute the tectonic structures that accommodate deformation in the low strain rate environment in the backarc of the Cascadia Subduction Zone.

Washington↗

Community food webs

Community food webs describe the feeding relationships, or trophic interactions, between the species of an ecological community. Both the structure and dynamics of such webs are the focus of food web research. The topological structures of empirical food webs from many ecosystems have been published on the basis of field studies and they form the foundation for theory concerning the mean number of trophic levels, the mean number of trophic connections versus number of species, and other food web measures, which show consistency across different ecosystems. The dynamics of food webs are influenced by indirect interactions, in which changes in the level of a population in one part of the food web may have indirect effects throughout the web. The mechanisms of these interactions are typically studied microcosm experiments, or sometimes in-field experiments. The use of mathematical models is also a major approach to understanding the effects of indirect interactions. Both empirical and mathematical studies have revealed important properties of food webs, such as keystone predators and trophic cascades.

Book chapter↗

Global review of the effects of small carnivores on threatened species

The absences of large carnivores from many ecosystems, human-induced landscape changes, and resource supplementation have been theorized to increase the abundance of small carnivore species around the world. Overabundant and/or unconstrained small carnivores can have significant effects on specific prey species that, in some cases, can cascade through entire ecosystems. Here, we review the effects of small carnivores on threatened species. We focus on four well-studied families (Procyonidae, Mephitidae, Mustelidae, and Herpestidae) and emphasize that this is a global conservation issue with consequences for biodiversity. We review and compare the impacts that small carnivores can have on a variety of prey taxa including small mammals, nesting avian and reptilian species, and rare invertebrates. We differentiate between native and exotic small carnivores because this is often an important distinction in terms of the impact severity and range of effects. In addition to direct lethal effects (i.e. predation), small carnivores can also impact threatened species as disease vectors and through competition or overexploitation, which can disrupt communities via ecological release or extinction. Furthermore, we explore other case studies in which small carnivores have had positive effects on threatened species and discuss studies that reveal other taxa responsible for exerting stronger negative effects on threatened prey. We offer some concluding remarks about global small carnivore conservation and emphasize the need for decision-analytic approaches and robust analyses that can improve our assessment of how populations of threatened species can be affected. To date, indirect effects are especially difficult to measure in the field and many studies have provided only anecdotal or correlative results, signalling a need for improving our scientific methodologies and management approaches.

Book chapter↗

Brown trout as an invader: A synthesis of problems and perspectives in western North America

Brown trout are one of the most pervasive and successful invaders worldwide and are ubiquitous across the Intermountain West, USA (IMW). This species is the foundation of extremely popular and economically significant sport fisheries despite well-established negative effects on native fishes and ecosystems, resulting in very challenging, and often opposing, conservation and management goals. Herein, we review the direct (e.g., competition and predation) and indirect (e.g., disease vectors) pathways through which brown trout across the IMW have posed a threat to native species. We discuss the importance of brown trout as economically and culturally important fisheries, especially in novel tailwater ecosystems created by damming. To this end, we surveyed 24 experts from eight states across the IMW to document the relevance of novel brown trout fisheries in 51 tailwaters and found brown trout are thriving in these novel ecosystems, which are often unsuitable for native fishes. We discuss the challenging interplay between protecting native species and managing novel brown trout fisheries. Notably, the future of exotic brown trout in the IMW is shifting as the prestige of native fisheries is growing and many non-native eradication efforts have occurred. The future of exotic brown trout in the IMW, will depend on the nexus of public sentiment and policy, the effectiveness of eradication efforts, and the effect of climate change on both the native fishes and exotic brown trout. Regardless, because brown trout are pervasive and have a broad distribution through the IMW, populations of this species will likely persist at least in some locations into the future.

Book chapter↗

Sinoatrial contracaeciasis in Johnny Darters ( Etheostoma nigrum ) and Plains Topminnow ( Fundulus sciadicus ) from the South Platte drainage, Colorado

Intra-sinoatrial nematodes were incidentally recognized in wild-caught Colorado Johnny Darters ( Etheostoma nigrum , JD) in 2020–2021 and in Colorado Plains Topminnow ( Fundulus sciadicus , PTM) in 2023-2024. PTM and JD were evaluated histologically. Nematodes dissected from PTM were used for morphologic evaluation and molecular identification. The first and second internal transcribed spacers (ITS1 and ITS2) of ribosomal DNA were sequenced. Sinoatrial nematodes were found in two of 1232 JD (0.2%) and nine of 110 PTM (8.2%). Worms caused dilation or aneurysm of the sinus venosus. One JD had severe sinus venosus phlebitis. Morphologic, histologic and molecular features were diagnostic for Contracaecum spp. This is the first identification of larval Contracaecum in PTM, the first record of an intravascular nematode in this species, and the first documentation of vascular localization of Contracaecum larvae in JD. Vascular pathology could result in increased susceptibility to predation and favour the completion of the nematode life cycle. Parasites could become detrimental to population survival, especially those that are stressed by ecological and anthropogenic factors.

Colorado↗