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At least 1,711 records · Page 95Linked to original sources

Patton's tracks in the Mojave Desert, USA: An ecological legacy

Recovery of soil properties from World War II-era military training exercises in the Mojave Desert was measured approximately 55 years following disturbance. Tracks from military vehicles were still visible, particularly in areas of desert pavement. Soil penetrability was much lower in visible tracks than outside the tracks. Soils in tracks had fewer rocks in the top 10cm of the soil profile than adjacent untracked soils. Larger particles (> 4.8mm) formed a moderately well-developed pavement outside of the tracks, while smaller, loose particles ( h 4.8mm) dominated the surface of the tracks. The time required to restore the desert pavement is likely to be measured in centuries. Based on biomass estimates, the cyanobacterial component of biological soil crusts had recovered 46-65% in tracks, compared to outside the tracks. Overall recovery of lichen cover has been much slower. Under plant canopies, cover of Collema tenax was not significantly different between areas inside and outside the tracks; however, recovery of Catapyrenium squamulosum was only 36%. In plant interspaces with less favorable moisture and temperature conditions, C. tenax showed a 6% recovery and C. squamulosum a 3% recovery. Assuming recovery of the biological soil crust is linear, and complete only when the most sensitive species ( C. squamulosum ) has fully recovered in the most limiting microhabitats (plant interspaces), it may require almost two millennia for full recovery of these areas.

Arid Land Research and Management↗

Evaluation of reproductive status in Atlantic Tripletail by traditional and nonlethal approaches

Reproductive biology information is an important tool for fishery management actions such as the identification of spawning areas and the development of protective size limits, bag limits, and seasons. Such information for the management of Atlantic Tripletail Lobotes surinamensis is currently limited, particularly in the western Atlantic Ocean, as information regarding the reproductive biology of this species is sparse in the published literature. To this end, we determined the reproductive status of tripletail and compared the results of a nonlethal sampling method, plasma vitellogenin (VTG) analysis, with those of two traditional (lethal) methods, gonadosomatic index (GSI) and gonad histology. A total of 223 (122 male and 101 female) tripletail were sampled over 2 years near Jekyll Island, Georgia. Gonad histology indicated that 107 (94%) of the male tripletail were in the spawning-capable reproductive phase. Female tripletail were found in all reproductive phases, but only nine (8.9%) were in the spawning-capable phase. Plasma VTG was strongly related to GSI in females ( R 2 = 0.832, n = 77), and female GSI differed significantly among reproductive phases ( p < 0.0001). The estimated length at which 50% (L50) of female tripletail reached maturity was 463 mm; however, the L50 for male tripletail could not be determined because of the lack of immature fish within the study sample. Our study provides valuable information for the management of tripletail and indicates that a nonlethal approach (plasma VTG) may be useful for differentiating developing and spawning-capable females from males and from females in other reproductive phases.

Georgia↗

Reduction of elemental selenium to selenide: Experiments with anoxic sediments and bacteria that respire Se-oxyanions

A selenite-respiring bacterium, Bacillus selenitireducens , produced significant levels of Se(-II) (as aqueous HSe − ) when supplied with Se(0). B. selenitireducens was also able to reduce selenite [Se(IV)] through Se(0) to Se(-II). Reduction of Se(0) by B. selenitireducens was more rapid in cells grown on colloidal sulfur [S(0)] or Se(IV) as their electron acceptor than for cell lines grown on fumarate. In contrast, three cultures of selenate-respiring bacteria, Sulfurospirillum barnesii , B. arsenicoselenatis , and Selenihalanaerobacter shriftii either were unable to reduce Se(0) to Se(-II) or had only a very limited capacity to achieve this reduction. Biological reduction of Se(0) to Se(-II) was observed during incubation of estuarine sediment slurries, while no such activity was noted in formalin-killed controls. The majority of the Se(-II) produced was found in the sediments as a solid precipitate of FeSe, rather than in solution as HSe − . These results demonstrate that certain anaerobic bacteria have the capacity to reduce Se(0) to Se(-II), providing a possible biological explanation for the occurrence of the selenide species in some sedimentary rocks.

Geomicrobiology Journal↗

Evaluating the adequacy of a reference site pool for ecological assessments in environmentally complex regions

Many advances in the field of bioassessment have focused on approaches for objectively selecting the pool of reference sites used to establish expectations for healthy waterbodies, but little emphasis has been placed on ways to evaluate the suitability of the reference-site pool for its intended applications (e.g., compliance assessment vs ambient monitoring). These evaluations are critical because an inadequately evaluated reference pool may bias assessments in some settings. We present an approach for evaluating the adequacy of a reference-site pool for supporting biotic-index development in environmentally heterogeneous and pervasively altered regions. We followed common approaches for selecting sites with low levels of anthropogenic stress to screen 1985 candidate stream reaches to create a pool of 590 reference sites for assessing the biological integrity of streams in California, USA. We assessed the resulting pool of reference sites against 2 performance criteria. First, we evaluated how well the reference-site pool represented the range of natural gradients present in the entire population of streams as estimated by sites sampled through probabilistic surveys. Second, we evaluated the degree to which we were successful in rejecting sites influenced by anthropogenic stress by comparing biological metric scores at reference sites with the most vs fewest potential sources of stress. Using this approach, we established a reference-site pool with low levels of human-associated stress and broad coverage of environmental heterogeneity. This approach should be widely applicable and customizable to particular regional or programmatic needs.

California↗

Ecological resistance in urban streams: the role of natural and legacy attributes

Urbanization substantially changes the physicochemical and biological characteristics of streams. The trajectory of negative effect is broadly similar around the world, but the nature and magnitude of ecological responses to urban growth differ among locations. Some heterogeneity in response arises from differences in the level of urban development and attributes of urban water management. However, the heterogeneity also may arise from variation in hydrologic, biological, and physicochemical templates that shaped stream ecosystems before urban development. We present a framework to develop hypotheses that predict how natural watershed and channel attributes in the pre-urban-development state may confer ecological resistance to urbanization. We present 6 testable hypotheses that explore the expression of such attributes under our framework: 1) greater water storage capacity mitigates hydrologic regime shifts, 2) coarse substrates and a balance between erosive forces and sediment supply buffer morphological changes, 3) naturally high ionic concentrations and pH pre-adapt biota to water-quality stress, 4) metapopulation connectivity results in retention of species richness, 5) high functional redundancy buffers trophic function from species loss, and 6) landuse history mutes or reverses the expected trajectory of eutrophication. Data from past comparative analyses support these hypotheses, but rigorous testing will require targeted investigations that account for confounding or interacting factors, such as diversity in urban infrastructure attributes. Improved understanding of the susceptibility or resistance of stream ecosystems could substantially strengthen conservation, management, and monitoring efforts in urban streams. We hope that these preliminary, conceptual hypotheses will encourage others to explore these ideas further and generate additional explanations for the heterogeneity observed in urban streams.

Freshwater Science↗

An approach to urban waterway assessment using holistic values and reciprocity

Current aquatic ecosystem assessment methods and tools often focus on physical, chemical, and biological indicators of ecosystem health. This approach to ecosystem assessment is not always straightforward to execute in urban environments and ignores potential connectivity between social and environmental outcomes. During a workshop at the Symposium on Urbanization and Stream Ecology in Brisbane, Australia in 2023 (SUSE6), we developed an approach to urban aquatic ecosystem assessment that incorporates a holistic perspective. Specifically, our approach considers both environmental (biological, chemical, and physical integrity) and social (community connection, human safety, resource use) values of urban waterways. This approach is inclusive of Indigenous perspectives, such as the concept of reciprocity, whereby consideration of both the environment and society leads to a healthy ecosystem. To highlight how this holistic assessment approach could be used, we present real-world examples that included assessing both environmental and societal values informed by reciprocity or balanced perspectives. This approach can be broadly applied and adapted to specific aquatic ecosystem conditions and projects, providing an inclusive, community-centered approach for assessing the health of waterways in urban environments.

Freshwater Science↗

A multidisciplinary framework to derive global river reach classifications at high spatial resolution

Projected climate and environmental change are expected to increase the pressure on global freshwater resources. To prepare for and cope with the related risks, stakeholders need to devise plans for sustainable management of river systems, which in turn requires the identification of management-appropriate operational units, such as groups of rivers that share similar environmental and biological characteristics. Ideally, these units are of a manageable size, and are biotically or abiotically distinguishable across a variety of river types. Here, we aim to address this need by presenting a new global river classification framework (GloRiC) to establish a common vocabulary and standardized approach to the development of globally comprehensive and integrated river classifications that can be tailored to different goals and requirements. We define the GloRiC conceptual framework based on five categories of variables: (1) hydrology; (2) physiography and climate; (3) fluvial geomorphology; (4) water chemistry; and (5) aquatic biology. We then apply the framework using hydro-environmental attributes provided by a seamless high-resolution river reach database to create initial instances of three sub-classifications (hydrologic, physio-climatic, and geomorphic) which we ultimately combine into 127 river reach types at the global scale. These supervised classifications utilize a mix of statistical analyses and expert interpretation to identify the classifier variables, the number of classes, and their thresholds. In addition, we also present an unsupervised, multivariable k-means statistical clustering of all river reaches into 30 groups. These first-of-their-kind global river reach classifications at high spatial resolution provide baseline information for a total of 35.9 million kilometers of rivers that have been assessed in this study, and are expected to be particularly useful in remote or data-poor river basins. The GloRiC framework and associated data are primarily designed for broad and rapid applicability in assessments that require stratified analyses of river ecosystem conditions at global and regional scales; smaller-scale applications could follow the same conceptual framework yet use more detailed data sources.

Environmental Research Letters↗

Stoichiometric ecotoxicology for a multisubstance world

Nutritional and contaminant stressors influence organismal physiology, trophic interactions, community structure, and ecosystem-level processes; however, the interactions between toxicity and elemental imbalance in food resources have been examined in only a few ecotoxicity studies. Integrating well-developed ecological theories that cross all levels of biological organization can enhance our understanding of ecotoxicology. In the present article, we underline the opportunity to couple concepts and approaches used in the theory of ecological stoichiometry (ES) to ask ecotoxicological questions and introduce stoichiometric ecotoxicology, a subfield in ecology that examines how contaminant stress, nutrient supply, and elemental constraints interact throughout all levels of biological organization. This conceptual framework unifying ecotoxicology with ES offers potential for both empirical and theoretical studies to deepen our mechanistic understanding of the adverse outcomes of chemicals across ecological scales and improve the predictive powers of ecotoxicology.

BioScience↗

Envisioning, quantifying, and managing thermal regimes on river networks

Water temperatures fluctuate in time and space, creating diverse thermal regimes on river networks. Temporal variability in these thermal landscapes has important biological and ecological consequences because of nonlinearities in physiological reactions; spatial diversity in thermal landscapes provides aquatic organisms with options to maximize growth and survival. However, human activities and climate change threaten to alter the dynamics of riverine thermal regimes. New data and tools can identify particular facets of the thermal landscape that describe ecological and management concerns and that are linked to human actions. The emerging complexity of thermal landscapes demands innovations in communication, opens the door to exciting research opportunities on the human impacts to and biological consequences of thermal variability, suggests improvements in monitoring programs to better capture empirical patterns, provides a framework for suites of actions to restore and protect the natural processes that drive thermal complexity, and indicates opportunities for better managing thermal landscapes.

Washington↗

Conceptualizing ecological responses to dam removal: If you remove it, what's to come?

One of the desired outcomes of dam decommissioning and removal is the recovery of aquatic and riparian ecosystems. To investigate this common objective, we synthesized information from empirical studies and ecological theory into conceptual models that depict key physical and biological links driving ecological responses to removing dams. We define models for three distinct spatial domains: upstream of the former reservoir, within the reservoir, and downstream of the removed dam. Emerging from these models are response trajectories that clarify potential pathways of ecological transitions in each domain. We illustrate that the responses are controlled by multiple causal pathways and feedback loops among physical and biological components of the ecosystem, creating recovery trajectories that are dynamic and nonlinear. In most cases, short-term effects are typically followed by longer-term responses that bring ecosystems to new and frequently predictable ecological condition, which may or may not be similar to what existed prior to impoundment.

BioScience↗

Bile salts as semiochemicals in fish

Bile salts are potent olfactory stimuli in fishes; however the biological functions driving such sensitivity remain poorly understood. We provide an integrative review of bile salts as semiochemicals in fish. First, we present characteristics of bile salt structure, metabolism, and function that are particularly relevant to chemical communication. Bile salts display a systematic pattern of structural variation across taxa, are efficiently synthesized, and are stable in the environment. Bile salts are released into the water via the intestine, urinary tract, or gills, and are highly water soluble. Second, we consider the potential role of bile salts as semiochemicals in the contexts of detecting nearby fish, foraging, assessing risk, migrating, and spawning. Lastly, we suggest future studies on bile salts as semiochemicals further characterize release into the environment, behavioral responses by receivers, and directly test the biological contexts underlying olfactory sensitivity.

Chemical Senses↗

Summary of first daily ring formation in otoliths of freshwater fishes in the continental United States

Daily ring counts in young-of-the-year fishes are important for estimating important vital rates, such as growth, mortality, and timing of hatch. To accurately estimate some of these rates, the timing of the first daily ring must be estimated accurately. Variation in the timing of the first daily ring can be attributed to many factors, including biology of the species and experience of laboratory personnel. The amount of variation and the degree of differences, however, have not been quantified, hindering the utility of daily ring information to provide accurate estimates of spawning and hatching times. We conducted a review of studies for freshwater fishes in the continental United States to quantify variation in daily ring validation studies as it relates to timing of the first ring. We found 40 studies representing 12 orders, 15 families, and 35 species. Most studies investigated rings in the sagittae, although the lapilli and asterisci were also used for a few species. Variation in the timing of the first ring formation was evident, but not consistent among otolith types or groups of fishes. The first daily ring in sagittae varied from 31 d before hatch to 150 d after hatch. First daily ring formation in lapilli was consistent within families but formed before hatch in some families of fish and after hatch in other families. The first daily ring in asterisci were near universally formed after hatch, with the exception of one species of sturgeon (family Acipenseridae). Only three of the nine species where replicate studies existed were found to exhibit consistent first ring formation timing. Such findings suggest that differences among laboratories and personnel may play a larger role than differences among species or populations when inconsistent first ring formation timing results occur. For most species, error surrounding differences in timing formation is about 1 week, except for Salmoniformes, where error was up to a 150-d difference. Incorporating species biology along with uncertainty in temporal estimates based on otolith chronology would aid interpretation of results in field situations.

continental United States↗

Genetic population substructure in bison at Yellowstone National Park

The Yellowstone National Park bison herd is 1 of only 2 populations known to have continually persisted on their current landscape since pre-Columbian times. Over the last century, the census size of this herd has fluctuated from around 100 individuals to over 3000 animals. Previous studies involving radiotelemetry, tooth wear, and parturition timing provide evidence of at least 2 distinct groups of bison within Yellowstone National Park. To better understand the biology of Yellowstone bison, we investigated the potential for limited gene flow across this population using multilocus Bayesian clustering analysis. Two genetically distinct and clearly defined subpopulations were identified based on both genotypic diversity and allelic distributions. Genetic cluster assignments were highly correlated with sampling locations for a subgroup of live capture individuals. Furthermore, a comparison of the cluster assignments to the 2 principle winter cull sites revealed critical differences in migration patterns across years. The 2 Yellowstone subpopulations display levels of differentiation that are only slightly less than that between populations which have been geographically and reproductively isolated for over 40 years. The identification of cryptic population subdivision and genetic differentiation of this magnitude highlights the importance of this biological phenomenon in the management of wildlife species.

Journal of Heredity↗

Case studies in groundwater contaminant fate and transport

A case study of groundwater contamination is a detailed study of a single site contaminated with a chemical or mixture that is known to be a problem at many sites. The goal of case studies is to provide insights into the physical, chemical, and biological processes controlling migration, natural attenuation, or remediation of common groundwater contaminants. Ideally, processes occurring at a case study site are representative of other sites so that knowledge gained from these intensive studies can be applied at thousands of sites where fewer data are available. Several characteristics of case studies contribute to their value. First, they may have tens to hundreds of monitoring wells, compared to fewer than ten wells at some contaminated sites. Second, some case studies continue for many years or even decades, providing insights into temporal progression of slow processes. Third, analytical methods prohibitively expensive for routine use or under development may be tested at case study sites. Finally, the ongoing characterization typical of case study sites builds a foundation of knowledge that facilitates sophisticated experimental design and testing of new methods. This article is divided into sections based on the contaminant type because the chemical and biological processes required for remediation vary for each contaminant. Most importantly, some contaminants can be biodegraded whereas metals and radionuclides cannot be destroyed but can be immobilized or rendered less toxic. The emphasis is on case studies of natural processes that control the fate and transport of contaminants in groundwater rather than on active remediation methods. The principles learned from these studies may form the basis for design of remedial strategies. The organic contaminants are divided into: petroleum hydrocarbons, fuel oxygenates, coal tar and wastes from manufactured gas plants, and chlorinated solvents. The inorganic contaminants covered are metals and radionuclides, arsenic, and nitrate. Case studies of mixed waste plumes from landfills are also described. Experimental sites where contaminants have been introduced into an aquifer as an emplaced source or a controlled release may not meet the above definition of case studies, but some are included because the overall goal is to impart lessons learned from detailed field studies. It is impossible to cover all case studies in this short format. Conversely, focusing on one or two does not convey the breadth of research results in entire range of case studies. Instead, the strategy is to describe the evolution of knowledge for each contaminant class while providing citations of relevant case studies. Much of the progress in understanding of the fate of contaminants in groundwater is based on laboratory studies; thus whenever possible, papers that included both field and laboratory results have been included among the citations. Two topics of growing importance have not been covered. These are the fate of pharmaceuticals in groundwater and discharge of contaminant plumes to surface water. These topics merit coverage in the future as knowledge grows and case studies increase in number.

Environmental Science↗

Near-surface geophysics: Environmental applications

The field of geophysics encompasses a broad and diverse compilation of methodologies that employs principles of physics to characterize properties of earth materials within the subsurface. While geophysical methods have a long history in resource exploration and studies of Earth’s interior, the subdiscipline of “near-surface geophysics” has evolved in recent decades for examination of the shallow, near-surface environment for a range of purposes ranging from archaeological or forensic investigations to assessment of geologic, hydrologic, biologic, and geochemical properties and processes. “Environmental geophysics” are near-surface geophysical studies and methods that focus on understanding natural systems (e.g., watershed hydrology, groundwater–surface water connections, biophysical processes) as well as research pertaining to anthropogenic impacts and land management, (e.g., contamination and remediation, saltwater intrusion, agricultural practices). This field can be further subdivided into subdisciplines focused on specific topics and applications, such as water resources and hydrology (hydrogeophysics) or biologic and microbial processes (biogeophysics). Studies in environmental geophysics span a range of scales, from pore-scale laboratory tests to watershed-scale or regional field experiments. Methods vary by the nature of physics employed, the specific measurement acquired, and how that data is ultimately processed and analyzed to produce interpretable results. There exists further diversity in the acquisition logistics, geometry, and timing of data collection. Geophysical data can be collected in boreholes (one-dimensional, 1-D, vertical profiles), along survey lines (two-dimensional, 2-D, cross-sections), or in dense sensor arrays or gridded profiles (three-dimensional, 3-D, models). Regarding the temporal aspect, studies can conduct one-time geophysical surveys to obtain detailed imaging of subsurface structure or use timelapse and continuous monitoring to investigate variations in subsurface properties over time. The cumulation of all possible permutations of these factors (method, acquisition geometry, survey design, and target application) results in an immense diversity among environmental geophysical studies. Nevertheless, this field remains unified in the pursuit of understanding natural and human-impacted near-surface environments through geophysical investigations. Here we highlight some key references within environmental geophysics. Resources on geophysical theory, acquisition logistics, processing and inversion workflows, and example case studies are categorized into the most common geophysical classes within Geophysical Methods. Lastly, example references for the dominant types of applications in environmental geophysical studies are catalogued in Environmental Applications.

Book chapter↗

Improved abundance trajectories with Bayesian population dynamics model: Case study with a Hawaiian honeycreeper

Many wildlife monitoring programmes collect annual data on population abundance. The resulting abundance estimates fluctuate over time partly because of true population change and partly because of observation error. These two components of variation can be separated by fitting the estimates to a population dynamics model within a Bayesian state-space modelling framework. By constraining the population trajectory to be biologically realistic, more precise estimates can be obtained. Independent biological knowledge can be incorporated through choice of model structure and by specifying informative prior distributions on demographic parameters. We illustrate the approach using a 31-year point transect study of the Hawai’i ’ākepa ( Loxops coccineus ). We fitted five models, each making different assumptions about how population change, recruitment and/or adult survival varied over time. Overall, the ’ākepa geometric mean growth rate was 1.02, indicating an increasing population over the 31-year time series, although there were periods of slow decline potentially associated with low recruitment and more rapid recovery associated with pulses of high recruitment. Abundance estimates derived from the population models were substantially more precise than the ‘raw’ point transect estimates: 95% credible interval (CrI) was on average 51.7% (s.d. = 14.1%) narrower.

Hawaii↗

A system dynamics model to understand the integrated ecological and human dimension aspects of wildlife health and disease management

Chronic wasting disease (CWD) presents an ongoing challenge for the management of deer populations and sustaining harvest opportunities across North America. Existing disease models often fail to fully capture the complex interplay between disease dynamics, host ecology, and socio-economic factors. We developed a comprehensive system dynamics (SD) model that integrates demographic, epidemiological, ecological, and socio-economic processes within a single model to more fully characterize the complex network of causal feedbacks throughout the system. The model was calibrated using a Bayesian approach that incorporates prior knowledge to generate biologically interpretable outcomes, even with sparse data. For estimating the joint posterior distribution of model parameters, we leveraged time series of deer abundance, harvest composition, genetic profiles, CWD surveillance, and hunter demographics and behavior. Model outputs reproduced key system behaviors, including observed CWD prevalence trends, deer population dynamics, and hunter license purchasing patterns. Model predictions were most sensitive to parameters governing initial deer population size and recruitment. While model predictions generally aligned with observed data, discrepancies in early CWD detection and overestimation of the reactivation of long-inactive hunters reflect data limitations and modeling challenges. Key results suggest that indirect transmission is necessary to explain observed prevalence, that transmission is moderately density-dependent, and that observed population-level genetic shifts driven by CWD may play a role in transmission and progression. The SD modelling approach enabled estimation of difficult-to-measure parameters and identified potential leverage points for management—such as prioritizing increasing participation in antlerless harvest of existing hunters over the recruitment of new hunters. This integrated modeling approach offers a flexible foundation for adaptive wildlife disease management and emphasizes the value of unifying biological and human dimension processes to better inform effective, evidence-based policy.

BioRxiv↗

Negative frequency-dependent foraging behaviour in a generalist herbivore (Alces alces) and its stabilizing influence on food-web dynamics

1. Resource selection is widely appreciated to be context‐dependent and shaped by both biological and abiotic factors. However, few studies have empirically assessed the extent to which selective foraging behaviour is dynamic and varies in response to environmental conditions for free‐ranging animal populations. 2. Here, we assessed the extent that forage selection fluctuated in response to different environmental conditions for a free‐ranging herbivore, moose (Alces alces), in Isle Royale National Park, over a 10‐year period. More precisely, we assessed how moose selection for coniferous versus deciduous forage in winter varied between geographic regions and in relation to (a) the relative frequency of forage types in the environment (e.g. frequency‐dependent foraging behaviour), (b) moose abundance, (c) predation rate (by grey wolves) and (d) snow depth. These factors are potentially important for their influence on the energetics of foraging. We also built a series of food‐chain models to assess the influence of dynamic foraging strategies on the stability of food webs. 3. Our analysis indicates that moose exhibited negative frequency dependence, by selectively exploiting rare resources. Frequency‐dependent foraging was further mediated by density‐dependent processes, which are likely to be predation, moose abundance or some combination of both. In particular, frequency dependence was weaker in years when predation risk was high (i.e. when the ratio of moose to wolves was relatively low). Selection for conifers was also slightly weaker during deep snow years. 4. The food‐chain analysis indicates that the type of frequency‐dependent foraging strategy exhibited by herbivores had important consequences for the stability of ecological communities. In particular, the dynamic foraging strategy that we observed in the empirical analysis (i.e. negative frequency dependence being mediated by density‐dependent processes) was associated with more stable food web dynamics compared to fixed foraging strategies. 5. The results of this study indicated that forage selection is a complex ecological process, varying in response to both biological (predation and moose density) and abiotic factors (snow depth) and over relatively small spatial scales (between regions). This study also provides a useful framework for assessing the influence of other aspects of foraging behaviour on the stability of food web dynamics.

Michigan↗