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At least 1,639 records · Page 91Linked to original sources

Plague circulation in small mammals elevates extinction risk for the endangered Peñasco least chipmunk

Wildlife diseases are a major concern for species survival around the world. Vector-borne diseases, in particular, are problematic for both humans and wildlife. Plague is an introduced disease to North America where many species have low natural resistance to infection by the causative bacterium, Yersinia pestis . Plague in the United States is often associated with large-scale epizootic events that impact rodent populations. However, we need more information regarding the effects of plague at enzootic levels and in species that rarely if ever experience epizootic events. New Mexico is a state that experiences regular epizootic plague events in several species of rodents but comparatively less is known about enzootic plague impacts within rodent communities in New Mexico. The Peñasco least chipmunk ( Neotamias minimus atristriatus ) is state-listed as endangered in New Mexico and is a candidate for listing under the federal Endangered Species Act. It likely has been extirpated from the southern portion of its range and is now observed only at high elevations in isolated areas in the White Mountains. We evaluated plague presence in the more abundant small mammal species associated with these chipmunks. We used an F1 antigen plague-specific vaccine and a placebo injection to test whether plague was present and reducing survival in western deer mouse ( Peromyscus sonoriensis ) and vole ( Microtus spp.) populations in the Lincoln National Forest. The effect of plague on survival differed among years and sites. Monthly apparent survival was up to 60 % higher for rodents given the vaccine compared to those given a placebo. Our results suggest that plague is likely impacting the small mammal community in the Lincoln National Forest and is even present at higher elevation sites where the Peñasco least chipmunk was most recently extirpated. Because least chipmunks are highly susceptible to plague, our results suggest that this disease may be an important factor in the population decline of the Peñasco least chipmunk.

New Mexico↗

Effects of disease, dispersal, and area on bighorn sheep restoration

We simulated population dynamics of bighorn sheep ( Ovis canadensis ) inhabiting six discrete habitat patches in the Badlands ecosystem, South Dakota. Modeled populations were subjected to a range of potential management actions and rates of disease-causing infection. Simulated disease varied in severity from mild (∼12% mortality) to severe (∼67% mortality), with infections imposed once, at regular intervals, or with a fixed probability each year. In the absence of disease, 200-year extinction rates were uniformly low and insensitive to changes in colonization rate or area of suitable habitat. A single infection, accompanied by change in the area of suitable habitat or colonization rate, resulted in extinction rates of up to 40%, and large changes in average population size (up to 10-fold with changes in area; 4-fold with changes in colonization rate). Simulations with multiple infections, which are probably most realistic, generally resulted in extinction rates that exceeded 20% over a 200-year period. Model results clearly showed that efforts directed toward reducing the frequency or severity of disease are of highest priority for improving the success of attempts to restore bighorn sheep populations. Increases in areas of suitable habitat or improvements to corridors between existing habitat patches were far less likely to improve persistence of simulated sheep populations than reductions in the impact of disease. Although theory predicts that enhanced movements may exacerbate effects of disease, increased colonization rates resulted in relatively small but consistent increases in persistence and average population size for all combinations of parameters we examined.

Restoration Ecology↗

Body shape is related to the attempt rate and passage success of brook trout at in-stream barriers

The ability to move between habitats has important implications for fitness in many species. In-stream barriers such as culverts can impede movements of riverine fishes and thus reduce connectivity between habitats. The ability of fish to overcome barriers is related to the features of the environment and the barrier itself, but also to physiological, morphological and behavioural traits of the fish. Among these, body shape varies among and within species, and influences swimming ability, a key component of passage performance through culverts. We conducted an experimental study on wild brook trout ( Salvelinus fontinalis ) to assess the effects of individual body shape on attempt rate and passage success through culverts on six streams. A more streamlined body shape was associated with an increased motivation to enter and ascend the culverts, and, to a lesser extent, with the probability of successful passage once an attempt was staged. Motivation and successful passage were also influenced by the density of conspecifics below the culvert, time of day, fish body size and water velocity. Policy implications. While fish body shape is expected to influence swimming performance, our research shows the most important effect of body shape to be on an individual's motivation to stage passage attempts at culverts. This study points to an important connection between behaviour and morphological traits that influence passage success and suggests that in-stream barriers may be an important agent of selection on behaviour and morphology in wild fish populations.

Journal of Applied Ecology↗

Demography of an apex predator at the edge of its range: impacts of changing sea ice on polar bears in Hudson Bay

Changes in the abundance and distribution of wildlife populations are common consequences of historic and contemporary climate change. Some Arctic marine mammals, such as the polar bear ( Ursus maritimus ), may be particularly vulnerable to such changes due to the loss of Arctic sea ice. We evaluated the impacts of environmental variation on demographic rates for the Western Hudson Bay (WH), polar bear subpopulation from 1984 to 2011 using live-recapture and dead-recovery data in a Bayesian implementation of multistate capture–recapture models. We found that survival of female polar bears was related to the annual timing of sea ice break-up and formation. Using estimated vital rates (e.g., survival and reproduction) in matrix projection models, we calculated the growth rate of the WH subpopulation and projected population responses under different environmental scenarios while accounting for parametric uncertainty, temporal variation, and demographic stochasticity. Our analysis suggested a long-term decline in the number of bears from 1185 (95% Bayesian credible interval [BCI] = 993–1411) in 1987 to 806 (95% BCI = 653–984) in 2011. In the last 10 yr of the study, the number of bears appeared stable due to temporary stability in sea ice conditions (mean population growth rate for the period 2001–2010 = 1.02, 95% BCI = 0.98–1.06). Looking forward, we estimated long-term growth rates for the WH subpopulation of ~1.02 (95% BCI = 1.00–1.05) and 0.97 (95% BCI = 0.92–1.01) under hypothetical high and low sea ice conditions, respectively. Our findings support previous evidence for a demographic linkage between sea ice conditions and polar bear population dynamics. Furthermore, we present a robust framework for sensitivity analysis with respect to continued climate change (e.g., to inform scenario planning) and for evaluating the combined effects of climate change and management actions on the status of wildlife populations.

Hudson Bay↗

Walrus areas of use in the Chukchi Sea during sparse sea ice cover

The Pacific walrus Odobenus rosmarus divergens feeds on benthic invertebrates on the continental shelf of the Chukchi and Bering Seas and rests on sea ice between foraging trips. With climate warming, ice-free periods in the Chukchi Sea have increased and are projected to increase further in frequency and duration. We radio-tracked walruses to estimate areas of walrus foraging and occupancy in the Chukchi Sea from June to November of 2008 to 2011, years when sea ice was sparse over the continental shelf in comparison to historical records. The earlier and more extensive sea ice retreat in June to September, and delayed freeze-up of sea ice in October to November, created conditions for walruses to arrive earlier and stay later in the Chukchi Sea than in the past. The lack of sea ice over the continental shelf from September to October caused walruses to forage in nearshore areas instead of offshore areas as in the past. Walruses did not frequent the deep waters of the Arctic Basin when sea ice retreated off the shelf. Walruses foraged in most areas they occupied, and areas of concentrated foraging generally corresponded to regions of high benthic biomass, such as in the northeastern (Hanna Shoal) and southwestern Chukchi Sea. A notable exception was the occurrence of concentrated foraging in a nearshore area of northwestern Alaska that is apparently depauperate in walrus prey. With increasing sea ice loss, it is likely that walruses will increase their use of coastal haul-outs and nearshore foraging areas, with consequences to the population that are yet to be understood.

Alaska;Chukotka↗

Shifting species interactions in terrestrial dryland ecosystems under altered water availability and climate change

Species interactions play key roles in linking the responses of populations, communities, and ecosystems to environmental change. For instance, species interactions are an important determinant of the complexity of changes in trophic biomass with variation in resources. Water resources are a major driver of terrestrial ecology and climate change is expected to greatly alter the distribution of this critical resource. While previous studies have documented strong effects of global environmental change on species interactions in general, responses can vary from region to region. Dryland ecosystems occupy more than one-third of the Earth's land mass, are greatly affected by changes in water availability, and are predicted to be hotspots of climate change. Thus, it is imperative to understand the effects of environmental change on these globally significant ecosystems. Here, we review studies of the responses of population-level plant-plant, plant-herbivore, and predator-prey interactions to changes in water availability in dryland environments in order to develop new hypotheses and predictions to guide future research. To help explain patterns of interaction outcomes, we developed a conceptual model that views interaction outcomes as shifting between (1) competition and facilitation (plant-plant), (2) herbivory, neutralism, or mutualism (plant-herbivore), or (3) neutralism and predation (predator-prey), as water availability crosses physiological, behavioural, or population-density thresholds. We link our conceptual model to hypothetical scenarios of current and future water availability to make testable predictions about the influence of changes in water availability on species interactions. We also examine potential implications of our conceptual model for the relative importance of top-down effects and the linearity of patterns of change in trophic biomass with changes in water availability. Finally, we highlight key research needs and some possible broader impacts of our findings. Overall, we hope to stimulate and guide future research that links changes in water availability to patterns of species interactions and the dynamics of populations and communities in dryland ecosystems.

Biological Reviews↗

Improving the ability of a BACI design to detect impacts within a kelp‐forest community

Distinguishing between human impacts and natural variation in abundance remains difficult because most species exhibit complex patterns of variation in space and time. When ecological monitoring data are available, a before‐after‐control‐impact (BACI) analysis can control natural spatial and temporal variation to better identify an impact and estimate its magnitude. However, populations with limited distributions and confounding spatial‐temporal dynamics can violate core assumptions of BACI‐type designs. In this study, we assessed how such properties affect the potential to identify impacts. Specifically, we quantified the conditions under which BACI analyses correctly (or incorrectly) identified simulated anthropogenic impacts in a spatially and temporally replicated data set of fish, macroalgal, and invertebrate species found on nearshore subtidal reefs in southern California, USA. We found BACI failed to assess very localized impacts, and had low power but high precision when assessing region‐wide impacts. Power was highest for severe impacts of moderate spatial scale, and impacts were most easily detected in species with stable, widely distributed populations. Serial autocorrelation in the data greatly inflated false impact detection rates, and could be partly controlled for statistically, while spatial synchrony in dynamics had no consistent effect on power or false detection rates. Unfortunately, species that offer high power to detect real impacts were also more likely to detect impacts where none had occurred. However, considering power and false detection rates together can identify promising indicator species, and collectively analyzing data for similar species improved the net ability to assess impacts. These insights set expectations for the sizes and severities of impacts that BACI analyses can detect in real systems, point to the importance of serial autocorrelation (but not of spatial synchrony), and indicate how to choose the species, and groups of species, that can best identify impacts.

Ecological Applications↗

Heterogeneity of recreationists in a park and protected area

Limited information and resources have caused many parks and protected areas (PPAs) to functionally manage recreationists as a single homogeneous group, despite potential negative social and ecological consequences. We aimed to evaluate the homogeneity of recreationists at the Valentine National Wildlife Refuge (NWR) by 1) quantifying frequencies of consumptive (i.e., hunting), intermediate-consumptive (i.e., fishing), and non-consumptive recreational-activity groups (e.g., wildlife viewing), and 2) evaluating sociodemographic differences among these groups. We used onsite surveys to determine that Valentine NWR supports heterogeneous groups of recreationists. The intermediate-consumptive group was most frequent (77% of all parties). All three recreational-activity groups varied in party size, distance traveled, household income, population type (urban or rural residence), and vehicle type (two-wheel or four-wheel drive). Tracking and accounting for diverse recreationists will equip managers with the ability to sustain recreational activities while also preserving ecological systems.

Nebraska↗

Vector-borne diseases on Fire Island, New York (Fire Island National Seashore Science Synthesis Paper)

This paper discusses eleven tick-borne and five mosquito-borne pathogens that are known to occur at FIlS, or could potentially occur. The potential for future occurrence, and ecological factors that influence occurrence, are assessed for each disease. Lyme disease is the most common vector-borne disease on Fire Island. The Lyme spirochete, Borrelia burgdorferi, is endemic in local tick and wildlife populations. Public education, personal precautions against tick bite, and prompt treatment of early-stage infections can help manage the risk of Lyme disease on Fire Island. The pathogens that cause Human Monocytic Ehrlichiosis and Tularemia have been isolated from ticks or wildlife on Fire Island, and conditions suggest that other tickborne diseases (including Babesiosis, Rocky Mountain Spotted Fever, and Human Granulocytic Ehrlichiosis) might also occur, but these are far less common than Lyme disease, if present. West Nile Virus (WNV) is the primary mosquito- borne human pathogen that is known to occur on Fire Island. Ecological conditions and recent epizootiological events suggest that WNV occurs in foci that can shift from year to year. Therefore, a surveillance program with appropriate responses to increasing epizootic activity can help manage the risk of WNV transmission on Fire Island.

Technical Report↗

Introgression, phylogeography, and genomic species cohesion in the eastern North American white oak syngameon

Hybridization and interspecific gene flow play a substantial role in the evolution of plant taxa. The eastern North American white oak syngameon, a group of approximately 15 ecologically, morphologically and genomically distinguishable species, has long been recognised as a model system for studying introgressive hybridization in temperate trees. However, the prevalence, genomic context and environmental correlates of introgression in this system remain largely unknown. To assess introgression in the eastern North American white oak syngameon and population structure within the widespread Quercus macrocarpa , we conducted a rangewide survey of Q. macrocarpa and four sympatric eastern North American white oak species. Using a Hyb-Seq approach, we assembled a dataset of 3412 thinned single-nucleotide polymorphisms (SNPs) in 445 enriched target loci including 62 genes putatively associated with various ecological functions, as well as associated intronic regions and some off-target intergenic regions (not associated with the exons). Admixture analysis and hybrid class inference demonstrated species coherence despite hybridization and introgressive gene flow (due to backcrossing of F1s to one or both parents). Additionally, we recovered a genetic structure within Q. macrocarpa associated with latitude. Generalised linear mixed models (GLMMs) indicate that proximity to range edge predicts interspecific admixture, but rates of genetic differentiation do not appear to vary between putative functional gene classes. Our study suggests that gene flow between eastern North American white oak species may not be as rampant as previously assumed and that hybridization is most strongly predicted by proximity to a species' range margin.

Molecular Ecology↗

Distribution of invasive ants and methods for their control in Hawai'i Volcanoes National Park

The first invasive ants were detected in Hawai`i Volcanoes National Park (HAVO) more than 80 years ago. Ecological impacts of these ants are largely unknown, but studies in Hawai`i and elsewhere increasingly show that invasive ants can reduce abundance and diversity of native arthropod communities as well as disrupt pollination and food webs. Prior to the present study, knowledge of ant distributions in HAVO has primarily been restricted to road- and trail-side surveys of the Kīlauea and Mauna Loa Strip sections of the park. Due to the risks that ants pose to HAVO resources, understanding their distributions and identifying tools to eradicate or control populations of the most aggressive species is an important objective of park managers. We mapped ant distributions in two of the most intensively managed sections of the park, Mauna Loa Strip and Kahuku. We also tested the efficacy of baits to control the Argentine ant ( Linepithema humile ) and the big-headed ant ( Pheidole megacephala ), two of the most aggressive and ecologically destructive species in Hawai`i. Efficacy testing of formicidal bait was designed to provide park managers with options for eradicating small populations or controlling populations that occur at levels beyond which they can be eradicated. Within the Mauna Loa Strip and Kahuku sections of HAVO we conducted systematic surveys of ant distributions at 1625 stations covering nearly 200 km of roads, fences, and transects between August 2008 and April 2010. Overall, 15 ant species were collected in the two areas, with 12 being found on Mauna Loa Strip and 11 at Kahuku. Cardiocondyla kagutsuchi was most widespread at both sites, ranging in elevation from 920 to 2014 m, and was the only species found above 1530 m. Argentine ants and big-headed ants were also found in both areas, but their distributions did not overlap. Surveys of Argentine ants identified areas of infestation covering 560 ha at Mauna Loa Strip and 585 ha at Kahuku. At both sites, upper boundaries of big-headed ants coincided with lower boundaries of Argentine ants. Significantly, Wasmannia auropunctata (little fire ant) was not detected during our surveys. Formicidal baits tested for controlling Argentine ants included Xstinguish TM (containing fipronil at 0.01%), Maxforce ® (hydramethylnon 1.0%), and Australian Distance ® (pyriproxyfen 0.5%). Each bait was distributed evenly over four 2500 m 2 replicate plots. Applications were repeated approximately four weeks after the initial treatment. Plots were subdivided into 25 subplots and ants monitored within each subplot using paper cards containing tuna bait at approximately one week intervals for about 14 weeks. All treatments reduced ant numbers, but none eradicated ants on any of the plots. Xstinguish TM produced a strong and lasting effect, depressing ant abundance below 1% of control plot levels within the first week and for about eight weeks afterward. Maxforce ® was slower to attain maximum effectiveness, reducing ants to 8% of control levels after one week and 3% after six weeks. Australian Distance ® was least effective, decreasing ant abundance to 19% of control levels after one week with numbers subsequently rebounding to 40% of controls at four weeks and 72% at 10 weeks. In measurements of the proportion of bait cards at which ants were detected, Xstinguish TM clearly out-performed Maxforce ® , reaching a minimum detection rate of 3% of bait cards at one week compared to a low of 19% for Maxforce ® two weeks following the second treatment. Although ant abundances were dramatically reduced on Xstinguish TM plots, it is not currently registered for use in the USA. Our results suggest that ant abundance can be greatly reduced using registered baits, but further research is needed before even small-scale eradication of Argentine ants can be achieved. Formicidal baits tested to control big-headed ants included Amdro ® (hydramethylnon 0.75%), Xstinguish TM (fipronil 0.01%), Extinguish ® Plus (a blend of hydramethylnon 0.365% and S- methoprene 0.25%), and Australian Distance ® Plus (hydramethylnon 0.365% and pyriproxyfen 0.25%). Application methods were the same as used for Argentine ants, with baits being applied on two occasions (approximately four weeks apart) on four 2500 m 2 replicate plots. All four baits reduced populations to below 2% of control plot levels within one week of treatment. Amdro ® was particularly effective as no ants were detected on two of the four Amdro ® plots immediately following treatment. Suppression was long-lived in three of the treatments; Amdro ® , Australian Distance ® Plus, and Extinguish ® Plus all maintained ant abundances at levels less than 1% of control plots over 12 weeks of study. In contrast, ant abundances in Xstinguish TM plots rose to 7% of control plots after four weeks and 20% after 10 weeks. Our results corroborate other recent studies indicating that small populations of big-headed ants can be controlled in natural areas using products registered in the USA.

Hawaii↗

Spatial ecology and resource selection of eastern box turtles

Eastern box turtles ( Terrapene carolina carolina ) are widely distributed throughout the eastern United States. Although once common throughout much of its distribution, the species has experienced declines in local populations. Understanding resource selection is important for the conservation of this species; however, few data exist on resource selection for eastern box turtles in the southeastern United States. We estimated home range and resource selection for 100 individual turtles in the Blue Ridge, Ridge and Valley, and Cumberland Plateau and Mountains physiographic regions in Tennessee, USA, from 2016 to 2018. We used step‐selection functions to investigate eastern box turtle resource selection during May–August 2017 and May–August 2018 at 2 spatial scales. We classified vegetation type, measured vegetation composition and structure, recorded time since fire, and measured coarse woody debris abundance at 1,225 used telemetry locations and 1,225 associated available points. Home range sizes averaged 9.3 ha ± 3.0 (SE) using minimum convex polygon analysis, 8.25 ha ± 2.88 using 95% kernel density analysis, and 1.50 ha ± 0.56 using 50% kernel density analysis. Box turtles selected areas with greater visual obstruction at the 0–0.25‐m level, greater amounts of 10‐hour and 100‐hour fuels (timelag categories used in fire‐danger ratings), and greater litter depths compared to available locations. Box turtles were more likely to select areas with greater cover of brambles and coarser woody debris and were less likely to select areas with less vegetation cover. Vegetation type and time since last fire did not affect selection. Our data suggest that management activities that encourage greater understory vegetation cover, greater visual obstruction at the 0–0.25‐m level, and greater bramble cover will enhance habitat quality for eastern box turtles.

Journal of Wildlife Management↗

Using landscape ecology to test hypotheses about large-scale abundance patterns in migratory birds

The hypothesis that Neotropical migrant birds may be undergoing widespread declines due to land use activities on the breeding grounds has been examined primarily by synthesizing results from local studies. Growing concern for the cumulative influence of land use activities on ecological systems has heightened the need for large—scale studies to complement what has been observed at local scales. We investigated possible landscape effects on Neotropical migrant bird populations for the eastern United States by linking two large—scale inventories designed to monitor breeding—bird abundances and land use patterns. The null hypothesis of no relation between landscape structure and Neotropical migrant abundance was tested by correlating measures of landscape structure with bird abundance, while controlling for the geographic distance among samples. Neotropical migrants as a group were more sensitive to landscape structure than either temperate migrants or permanent residents. Neotropical migrants tended to be more abundant in landscapes with a greater proportion of forest and wetland habitats, fewer edge habitats, larger forest patches, and with forest habitats well dispersed throughout the scene. Permanent residents showed few correlations with landscape structure and temperate migrants were associated with habitat diversity and edge attributes rather than with the amount, size, and dispersion of forest habitats. The association between Neotropical migrant abundance and forest fragmentation differed among physiographic strata, suggesting that landscape context affects observed relations between bird abundance and landscape structure. Finally, associations between landscape structure and temporal trends in Neotropical migrant abundance were counter to those observed in space. Trends in Neotropical migrant abundance were negatively correlated with forest habitats. These results suggest that extrapolation of patterns observed in some landscapes is not likely to hold regionally, and that conservation policies must consider the variation in landscape structure associations observed among different types of bird species and in physiographic strata with varying land use histories.

Ecology↗

Impacts of drought and crayfish invasion on stream ecosystem structure and function

Drought and seasonal drying can be important disturbance events in many small streams, leading to intermittent or isolated habitats. Many small streams contain crayfish populations that are often keystone or dominant species in these systems. I conducted an experiment in stream mesocosms to examine the effects of drought and potential ecological redundancy of a native and invasive crayfish species. I examined the effects of drought (drought or control) and crayfish presence (none, native crayfish Orconectes eupunctus or invasive crayfish Orconectes neglectus ) on stream mesocosm structure and function (leaf breakdown, community metabolism, periphyton, sediment and chironomid densities) in a fully factorial design. Each mesocosm contained a deep and shallow section, and drought treatments had surface water present (5-cm depth) in deep sections where tiles and leaf packs were placed. Drought and crayfish presence did not interact for any response variable. Drought significantly reduced leaf breakdown, and crayfish presence significantly increased leaf breakdown. However, the native and invasive crayfish species did not differ significantly in their effects on leaf breakdown. Drought significantly reduced primary production and community respiration overall, whereas crayfish presence did not significantly affect primary production and community respiration. Neither drought nor crayfish presence significantly affected periphyton overall. However, drought significantly reduced autotrophic index (AI), and crayfish presence increased AI. Inorganic sediment and chironomid density were not affected by drought, but both were significantly reduced by crayfish presence. O. eupunctus reduced AI and sediment more than O. neglectus did. Neither drought nor crayfish species significantly affected crayfish growth or survival. Drought can have strong effects on ecosystem function, but weaker effects on benthic structure. Crayfish can have strong effects on ecosystem structure and function regardless of drought. In stream mesocosms, native and invasive crayfish species appeared largely ecologically redundant, although subtle differences in crayfish effects could cascade throughout the food web, and further research is needed to address this question.

River Research and Applications↗

Are we falling short on restoring oysters at a regional scale?

Across coastal areas of the northern Gulf of Mexico, the Deepwater Horizon oil spill resulted in significant ecological injury, and over 8 billion USD directed to restoration activities. Oyster restoration projects were implemented with regional goals of restoring oyster abundance, spawning stock, and population resilience. Measuring regional or large-scale ecosystem restoration outcomes challenges traditional project-specific monitoring and outcome reporting. We examine the outcomes of oyster restoration at the project-level and discuss potential pathways to measure progress toward region-level goals. An estimated 15 km 2 of oyster habitat was restored across 11 different estuaries with 62 individual reef footprints created, ranging in size from ~0.2 to 1.45 km 2 . Individual sites were distributed across the salinity gradient, and all reefs were subtidal. One-year post-restoration, mean total oyster density across all sites was 53.0 ± 60.7 ind m −2 of which 38.4 ± 42.2 ind m −2 were adult (>25 mm shell height) oysters. Recent data (2018/2019) available for all sites indicates reduced densities of total oysters (44.6 ± 70.9 ind m −2 ) and adult oysters (14.6 ± 21.6 ind m −2 ). These data provide insight into project specific outcomes, suggesting an overall enhancement in oyster abundance compared to pre-restoration, but fall short of informing outcomes at the regional-level that incorporate cumulative effects on adjacent and connected reef populations, or inform overall resiliency of the regional oyster resource. Developing regional outcome benchmarks that enable assessment of cumulative and synergistic impacts of individual projects may benefit from broader spatial and temporal monitoring requirements that can better inform development of regional tools or models. Such tools would enable cumulative effects analyses examining net resource change, resilience and assess impacts of restoration activities on regional resource status.

northern Gulf of Mexico↗

A genetic discontinuity in moose ( Alces alces ) in Alaska corresponds with fenced transportation infrastructure

The strength and arrangement of movement barriers can impact the connectivity among habitat patches. Anthropogenic barriers (e.g. roads) are a source of habitat fragmentation that can disrupt these resource networks and can have an influence on the spatial genetic structure of populations. Using microsatellite data, we evaluated whether observed genetic structure of moose ( Alces alces ) populations were associated with human activities (e.g. roads) in the urban habitat of Anchorage and rural habitat on the Kenai Peninsula, Alaska. We found evidence of a recent genetic subdivision among moose in Anchorage that corresponds to a major highway and associated infrastructure. This subdivision is most likely due to restrictions in gene flow due to alterations to the highway (e.g. moose-resistant fencing with one-way gates) and a significant increase in traffic volume over the past 30 years; genetic subdivision was not detected on the Kenai Peninsula in an area not bisected by a major highway. This study illustrates that anthropogenic barriers can substructure wildlife populations within a few generations and highlights the value of genetic assessments to determine the effects on connectivity among habitat patches in conjunction with behavioral and ecological data. .

Alaska↗

Intraspecific variation in gill morphology of juvenile Nile perch, Lates niloticus , in Lake Nabugabo, Uganda

Several studies have demonstrated intraspecific variation in fish gill size that relates to variation in dissolved oxygen (DO) availability across habitats. In Lake Nabugabo, East Africa, ecological change over the past 12 years has coincided with a shift in the distribution of introduced Nile perch such that a larger proportion of the population now inhabits waters in or near wetland ecotones where DO is lower than in open waters of the lake. In this study, we compared gill size of juvenile Nile perch between wetland and exposed (open-water) habitats of Lake Nabugabo in 2007, as well as between Nile perch collected in 1996 and 2007. For Nile perch of Lake Nabugabo [<20 cm total length (TL)], there was a significant habitat effect on some gill traits. In general, fish from wetland habitats were characterized by a longer total gill filament length and average gill filament length than conspecifics from exposed habitats. Nile perch collected from wetland areas in 2007 had significantly larger gills (total gill filament length) than Nile perch collected in 1996, but there was no difference detected between Nile perch collected from exposed sites in 2007 and conspecifics collected in 1996.

Lake Nabugabo↗

Modeled distribution shifts of North American birds over four decades based on suitable climate alone do not predict observed shifts

As climate change alters the global environment, it is critical to understand the relationship between shifting climate suitability and species distributions. Key questions include whether observed changes in population abundance are aligned with the velocity and direction of shifts predicted by climate suitability models and if the responses are consistent among species with similar ecological traits. We examined the direction and velocity of the observed abundance-based distribution centroids compared with the model-predicted bioclimatic distribution centroids of 250 bird species across the United States from 1969 to 2011. We hypothesized that there is a significant positive correlation in both direction and velocity between the observed and the modeled shifts. We then tested five additional hypotheses that predicted differential shifting velocity based on ecological adaptability and climate change exposure. Contrary to our hypotheses, we found large differences between the observed and modeled shifts among all studied bird species and within specific ecological guilds. However, temperate migrants and habitat generalist species tended to have higher velocity of observed shifts than other species. Neotropical migratory and wetland birds also had significantly different observed velocities than their counterparts, which may be due to their climate change exposure. The velocity based on modeled bioclimatic suitability did not exhibit significant differences among most guilds. Boreal forest birds were the only guild with significantly faster modeled-shifts than the other groups, suggesting an elevated conservation risk for high latitude and altitude species. The highly idiosyncratic species responses to climate and the mismatch between shifts in modeled and observed distribution centroids highlight the challenge of predicting species distribution change based solely on climate suitability and the importance of non-climatic factors traits in shaping species distributions.

Science of the Total Environment↗