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It's about time: A multistate semicontinuous time mark–recapture model to evaluate seasonal survival and movement rates of juvenile Coho Salmon in a small coastal watershed

Objective Many mark–recapture models assume that releases and recaptures are discrete events, and researchers often aggregate continuous recapture data (e.g., passive integrated transponder [PIT] detections) into coarse temporal scales to satisfy this assumption. This temporal discretization could result in parameter biases by ignoring the individual heterogeneity in the time susceptible to mortality after recapture and the conditions experienced (e.g., temperature and predation risk) before and after recapture. Our objectives were to (1) estimate the amount of bias in survival and emigration rates due to different temporal discretization durations when recapture events occur continuously and (2) apply this semicontinuous model to estimate rates of early emigration and overwinter survival for Coho Salmon Oncorhynchus kisutch in a coastal California watershed. Methods We developed a semicontinuous time multistate mark–recapture model to separately estimated emigration and survival rates throughout the year. We used weekly time-varying occasions paired with discrete spatial states and conducted extensive simulation trials to explore potential model bias. We then applied the model to an existing 4-year dataset of Coho Salmon PIT tag detections. Result Our simulations indicated that that the amount of bias in survival and movement rates decreased as the temporal discretization duration decreased. The confidence interval of the bias estimates included zero with a duration of 8 days, indicating that this duration was sufficiently short to model movement and survival. Results from our Coho Salmon analysis suggest that overwinter survival rate ranged from 0.72 to 0.83, which is higher than previous estimates for Coho Salmon in this region. We estimate that a substantial proportion of smaller juveniles (0.21–0.28 annually) move to downstream nonnatal rearing habitats before the spring smolt migration. Conclusion Our semicontinuous modeling approach can be implemented relatively easily and used to analyze continuous detection data to accurately estimate survival and movement rates. Our analysis of Coho Salmon PIT tag detections implies that previous low estimates of apparent overwinter survival of Coho Salmon were partially due to high movement rates to alternative rearing locations. This contrasts with conclusions from the previous research that suggested that overwinter survival was a major limiting factor for population recovery and implies that species recovery may be improved by considering multiple emigration patterns in the design of future research, monitoring, and restoration projects.

California↗

Functional turnover in a prairie-river fish community over 130 years

Objective In many Great Plains rivers, functional turnover—the change in proportional dominance of members in biological communities that fill certain ecological roles—has occurred due to impoundment and habitat alteration. The Powder River of Montana and Wyoming remains one of the few unregulated prairie rivers, but long-term monitoring is limited, so we analyzed changes over time at the functional, assemblage, and species levels. Methods We used fish sampling data from 43 different sources collected from 1893 to 2022 to analyze trends in fish communities. Result Across the main-stem Powder River, Sand Shiner Miniellus stramineus and Channel Catfish Ictalurus punctatus substantially increased in abundance, whereas Sturgeon Chub Macrhybopsis gelida decreased. While most other species did not show significant changes in relative abundance (although the always rare Lake Chub Couesius plumbeus may have been extirpated), significant functional turnover occurred in the upper river due to increases in generalist feeders, predators, omnivores, and cavity-guarding species, with declines in benthic feeders, invertivores, and pelagic broadcast spawners, among others. Community and functional changes were more substantial in the upper river than in the lower river, possibly due to augmented streamflow from a major tributary. Conclusion Functional turnover within the upper river was substantial despite the relative stability of most individual species, even when the Sand Shiner—the most significantly increasing species—was excluded from analysis. This suggests small but consistent increases and decreases within functional groups, which cumulatively are likely impacting the ecosystem. We hypothesize a complex set of mechanisms causing these changes that offer avenues for future work. The collation of data from disparate studies and the resampling of even a limited number of historical fish collection locations can greatly aid in identifying potential fish community changes in systems where monitoring is limited.

Montana, Wyoming↗

Survey optimization for invasive Burmese pythons informed by camera traps

The Burmese python ( Python bivittatus ) is an invasive predator responsible for broad mammal declines in South Florida, United States. Despite their large size, pythons remain cryptic and require multifaceted approaches for detection. We evaluated a novel technique by deploying camera traps at known locations of radiotagged pythons in the Florida Keys. We estimated daily detection probabilities of snakes and plotted diel activity patterns. Our results suggest camera traps can effectively survey pythons but seasonality and camera trigger mechanisms affect utility. Pythons were most detectable with time-lapse camera traps and more detectable in winter. The diel activity pattern of pythons peaked midday through early afternoon, indicating an optimal survey time for other search methods. Artificial intelligence can alleviate photo volume, so we recommend a combination of motion detection and time-lapse with shorter time (1 min) intervals for python-specific surveys and where camera traps are deployed to monitor mammals to improve passive python detection.

Florida↗

Feathers and flu: Identifying data gaps in avian influenza host dynamics to prioritize wildlife conservation

Highly pathogenic avian influenza viruses (HPAIV) have had disastrous, worldwide effects on wild birds and domestic poultry since the emergence of the A/goose/Guangdong/1/1996 (Gs/GD/96) lineage. The currently circulating H5N1 clade 2.3.4.4b has an expanded set of susceptible hosts, including many migratory wild birds, and is associated with higher transmission rates, increased susceptibility among wild bird hosts, and a greater number of wildlife reservoirs. Certain wild bird life-history strategies and behaviors have been suggested to explain avian hosts’ susceptibility and exposure to HPAIV. These biological traits include gregariousness, such as colonial nesting and mixed flock foraging, predation or scavenging on wild birds, and association with aquatic habitats. Variation in host infection responses (e.g., infectability, shedding rates and duration, mortality rate, antibody development) informs the overall infection risk across avian species, yet the specific role of biological traits is often inconsistent and unclear across taxa. Moreover, the interactions and potential compounding effects among these biological traits remain largely unknown. To develop a more holistic understanding of cumulative risk across bird species, we integrate existing information on infection risk factors (i.e., susceptibility, immunological response, and behavioral traits) into a qualitative multivariate analysis. This approach enabled us to examine how infection risk factors relate to biological traits (e.g., phylogeny, physiology, behavior, species range) and to begin disentangling their complex interactions. We quantified and summarized these risk factors across host species and qualitatively ranked species by their viral responses along a proposed HPAIV response continuum, guided by expectations of traits and metrics associated with competence or vulnerability to HPAIV. In doing so, we aimed to better understand how viral responses and biological traits synergistically interact to influence cumulative risk across wild bird species. This work broadly expands on the previous avian influenza literature, which has focused on Anseriformes and Charadriiformes as primary viral reservoirs. We tie our findings to effective disease management responses with links to risk components, including descriptions of potential surveillance strategies applied to research and One Health goals, as well as a fuller understanding of how resources may be better deployed for rapid response when spillovers do inevitably occur. Additionally, we identified numerous areas where vital epidemiological information is lacking to best characterize the spread of these viruses. Ultimately, this improved understanding will help identify and inform disease management needs and decision making.

Wildlife Monographs↗

Population ecology of breeding Pacific common eiders on the Yukon-Kuskokwim Delta, Alaska

Populations of Pacific common eiders (Somateria mollissima v-nigrum) on the Yukon-Kuskokwim Delta (YKD) in western Alaska declined by 50–90% from 1957 to 1992 and then stabilized at reduced numbers from the early 1990s to the present. We investigated the underlying processes affecting their population dynamics by collection and analysis of demographic data from Pacific common eiders at 3 sites on the YKD (1991–2004) for 29 site-years. We examined variation in components of reproduction, tested hypotheses about the influence of specific ecological factors on life-history variables, and investigated their relative contributions to local population dynamics. Reproductive output was low and variable, both within and among individuals, whereas apparent survival of adult females was high and relatively invariant (0.89 ± 0.005). All reproductive parameters varied across study sites and years. Clutch initiation dates ranged from 4 May to 28 June, with peak (modal) initiation occurring on 26 May. Females at an island study site consistently initiated clutches 3–5 days earlier in each year than those on 2 mainland sites. Population variance in nest initiation date was negatively related to the peak, suggesting increased synchrony in years of delayed initiation. On average, total clutch size (laid) ranged from 4.8 to 6.6 eggs, and declined with date of nest initiation. After accounting for partial predation and non-viability of eggs, average clutch size at hatch ranged from 2.0 to 5.8 eggs. Within seasons, daily survival probability (DSP) of nests was lowest during egg-laying and late-initiation dates. Estimated nest survival varied considerably across sites and years (mean = 0.55, range: 0.06–0.92), but process variance in nest survival was relatively low (0.02, CI: 0.01–0.05), indicating that most variance was likely attributed to sampling error. We found evidence that observer effects may have reduced overall nest survival by 0.0–0.36 across site-years. Study sites with lower sample sizes and more frequent visitations appeared to experience greater observer effects. In general, Pacific common eiders exhibited high spatio-temporal variance in reproductive components. Larger clutch sizes and high nest survival at early initiation dates suggested directional selection favoring early nesting. However, stochastic environmental effects may have precluded response to this apparent selection pressure. Our results suggest that females breeding early in the season have the greatest reproductive value, as these birds lay the largest clutches and have the highest probability of successfully hatching. We developed stochastic, stage-based, matrix population models that incorporated observed spatio-temporal (process) variance and co-variation in vital rates, and projected the stable stage distribution () and population growth rate (λ). We used perturbation analyses to examine the relative influence of changes in vital rates on λ and variance decomposition to assess the proportion of variation in λ explained by process variation in each vital rate. In addition to matrix-based λ, we estimated λ using capture–recapture approaches, and log-linear regression. We found the stable age distribution for Pacific common eiders was weighted heavily towards experienced adult females (≥4 yr of age), and all calculations of λ indicated that the YKD population was stable to slightly increasing (λmatrix = 1.02, CI: 1.00–1.04); λreverse-capture–recapture = 1.05, CI: 0.99–1.11; λlog-linear = 1.04, CI: 0.98–1.10). Perturbation analyses suggested the population would respond most dramatically to changes in adult female survival (relative influence of adult survival was 1.5 times that of fecundity), whereas retrospective variation in λ was primarily explained by fecundity parameters (60%), particularly duckling survival (42%). Among components of fecundity, sensitivities were highest for duckling survival, suggesti

Alaska↗

Techniques for capturing bighorn sheep lambs

Low lamb recruitment is a major challenge facing managers attempting to mitigate the decline of bighorn sheep ( Ovis canadensis ), and investigations into the underlying mechanisms are limited because of the inability to readily capture and monitor bighorn sheep lambs. We evaluated 4 capture techniques for bighorn sheep lambs: 1) hand-capture of lambs from radiocollared adult females fitted with vaginal implant transmitters (VITs), 2) hand-capture of lambs of intensively monitored radiocollared adult females, 3) helicopter net-gunning, and 4) hand-capture of lambs from helicopters. During 2010–2012, we successfully captured 90% of lambs from females that retained VITs to ≤1 day of parturition, although we noted differences in capture rates between an area of high road density in the Black Hills (92–100%) of South Dakota, USA, and less accessible areas of New Mexico (71%), USA. Retention of VITs was 78% with pre-partum expulsion the main cause of failure. We were less likely to capture lambs from females that expelled VITs ≥1 day of parturition (range = 80–83%) or females that were collared without VITs (range = 60–78%). We used helicopter net-gunning at several sites in 1999, 2001–2002, and 2011, and it proved a useful technique; however, at one site, attempts to capture lambs led to lamb predation by golden eagles ( Aquila chrysaetos ). We attempted helicopter hand-captures at one site in 1999, and they also were successful in certain circumstances and avoided risk of physical trauma from net-gunning; however, application was limited. In areas of low accessibility or if personnel lack the ability to monitor females and/or VITs for extended periods, helicopter capture may provide a viable option for lamb capture.

Colorado;New Mexico;South Dakota↗

Raptor abundance and northern bobwhite survival and habitat use

Predation risk has a profound influence on prey behavior and habitat use. The Rio Grande Plains ecoregion of Texas, USA, provides a unique opportunity to investigate changes in prey behavior because the ecoregion experiences a high influx of raptors every year during autumn migration. We used an 8-year data set (2000&ndash;2008) of radiocollared northern bobwhites ( Colinus virginianus ) and raptor abundance to test the hypothesis that bobwhites responded to increased raptor abundance via changes in woody-cover use at the home-range scale. Bobwhite survival was negatively correlated with raptor abundance, with red-tailed hawks ( Buteo jamaicensis ), and northern harriers ( Circus cyaneus ) accounting for 51% of the variability in bobwhite survival ( P &thinsp;<&thinsp;0.010). However, we documented no change in the amount of woody cover used by bobwhites in their home range between the raptor migration (6.6%&thinsp;&plusmn;&thinsp;0.5%; n &thinsp;=&thinsp;73 bobwhites) and non-migration periods (7.1%&thinsp;&plusmn;&thinsp;0.4%; n &thinsp;=&thinsp;105 bobwhites; P &thinsp;=&thinsp;0.490). In addition, bobwhites that survived the raptor migration period used similar amounts of woody cover within their home range (6.3%&thinsp;&plusmn;&thinsp;0.6%, n &thinsp;=&thinsp;58 bobwhites) compared with those dying during the migration period (6.8%&thinsp;&plusmn;&thinsp;0.4%, n &thinsp;=&thinsp;100 bobwhites; P &thinsp;=&thinsp;0.530). Our data suggest that bobwhites do not alter their use of woody cover at the home-range scale in response to increasing raptor abundance, but this does not preclude increased use of woody cover at the point-of-use scale.

Texas↗

Developing nondestructive techniques for managing conflicts between fisheries and double-crested cormorant colonies

Double-crested cormorants ( Phalacrocorax auritus ) have been identified as the source of significant mortality to juvenile salmonids ( Oncorhynchus spp.) in the Columbia River Basin. Management plans for reducing the size of a large colony on East Sand Island (OR, USA) in the Columbia River estuary are currently being developed. We evaluated habitat enhancement and social attraction as nondestructive techniques for managing cormorant nesting colonies during 2004&ndash;2007. We tested these techniques on unoccupied plots adjacent to the East Sand Island cormorant colony. Cormorants quickly colonized these plots and successfully raised young. Cormorants also were attracted to nest and raised young on similar plots at 2 islands approximately 25&thinsp;km from East Sand Island; 1 island had a history of successful cormorant nesting whereas the other was a site where cormorants had previously nested unsuccessfully. On a third island with no history of cormorant nesting or nesting attempts, these techniques were unsuccessful at attracting cormorants to nest. Our results suggest that some important factors influencing attraction of nesting cormorants using these techniques include history of cormorant nesting, disturbance, and presence of breeding cormorants nearby. These techniques may be effective in redistributing nesting cormorants away from areas where fish stocks of conservation concern are susceptible to predation, especially if sites with a recent history of cormorant nesting are available within their foraging or dispersal range. Published 2015. Wiley Periodicals, Inc. This article is a US Government work and, as such, is in the public domain in the United States of America.

Oregon, Washington↗

Polar bear attacks on humans: Implications of a changing climate

Understanding causes of polar bear (Ursus maritimus) attacks on humans is critical to ensuring both human safety and polar bear conservation. Although considerable attention has been focused on understanding black (U. americanus) and grizzly (U. arctos) bear conflicts with humans, there have been few attempts to systematically collect, analyze, and interpret available information on human-polar bear conflicts across their range. To help fill this knowledge gap, a database was developed (Polar Bear-Human Information Management System [PBHIMS]) to facilitate the range-wide collection and analysis of human-polar bear conflict data. We populated the PBHIMS with data collected throughout the polar bear range, analyzed polar bear attacks on people, and found that reported attacks have been extremely rare. From 1870–2014, we documented 73 attacks by wild polar bears, distributed among the 5 polar bear Range States (Canada, Greenland, Norway, Russia, and United States), which resulted in 20 human fatalities and 63 human injuries. We found that nutritionally stressed adult male polar bears were the most likely to pose threats to human safety. Attacks by adult females were rare, and most were attributed to defense of cubs. We judged that bears acted as a predator in most attacks, and that nearly all attacks involved ≤2 people. Increased concern for both human and bear safety is warranted in light of predictions of increased numbers of nutritionally stressed bears spending longer amounts of time on land near people because of the loss of their sea ice habitat. Improved conflict investigation is needed to collect accurate and relevant data and communicate accurate bear safety messages and mitigation strategies to the public. With better information, people can take proactive measures in polar bear habitat to ensure their safety and prevent conflicts with polar bears. This work represents an important first step towards improving our understanding of factors influencing human-polar bear conflicts. Continued collection and analysis of range-wide data on interactions and conflicts will help increase human safety and ensure the conservation of polar bears for future generations.

Wildlife Society Bulletin↗

An historical overview and update of wolf-moose interactions in northeastern Minnesota

Wolf (Canis lupus) and moose (Alces americanus) populations in northeastern Minnesota, USA, have fluctuated for decades and, based on helicopter counts, moose numbers declined to a new low from 2006 to about 2012. Other steep declines were found in 1991 and 1998 during periods when moose counts were done with ®xed-wing aircraft; these declines also appeared to be real. Winter wolf numbers, monitored in part of the moose range, had been increasing since about 2002 to the highest population in decades in 2009. However, from 2009 to 2016, wolves decreased precipitously, and the moose-population decline leveled off from 2012 to 2017. Calf:population ratios from 1985 to 1997 and from 2005 to 2016 were inversely related to wolf numbers in the wolf-study area the previous winter both as wolves increased and decreased in abundance. Similarly, log annual growth rates of moose numbers were negatively correlated with counts of wolves in the prior year. Other factors such as nutrition and parasites, and possibly climate change, likely have been involved in the recent moose decline. However, wolves, as in other areas, appear to have contributed to the decline in the northeastern Minnesota moose population at least in part through predation on calves, supporting earlier reports. Published 2018. This article is a U.S. Government work and is in the public domain in the USA.

Minnesota↗

Estuaries as nurseries for the jacks Caranx ignobilis and Caranx melampygus (Carangidae) in Hawaii

Estuaries provide juvenile nursery habitat for many species of fish that inhabit marine environments as adults. In Hawaii, some juvenile Caranx ignobilis and Caranx melampygus occupy estuaries opportunistically before moving to nearshore ocean habitats. This study examined the extent and nature of estuarine habitat available in the lower Hanalei River of Kauai, the relative abundance and distribution of jacks in the estuary, and their diets. Salinity measurements indicated that the upstream extent of saltwater ranged from the mouth to nearly 5 km upriver and was strongly influenced by the variable river discharge. Juvenile jacks between 80 and 310 mm FL were observed on underwater transects over the full range of mixohaline conditions. Hand-operated seine collections produced overall catch rates of ???0.64 fish/haul for each of these species. The two jacks ate much the same spectrum of food items. C. ignobilis was somewhat more piscivorous than C. melampygus, as determined by measures of frequency of predation and number and bulk of prey. Data for length at age, incorporating daily otolith increment counts from these estuarine juveniles and previous counts from non-estuarine specimens, were fitted to a lifetime von Bertalanffy growth model. The results greatly extended the age range of the model and suggested that growth rates were not much different between estuarine and non-estuarine fish. ?? 2002 Elsevier Science Ltd. All rights reserved.

Estuarine, Coastal and Shelf Science↗

The Geology of Gaspra

The surface of Gaspra can be divided into several facets separated by ridges. Superimposed on the facets and ridges are two populations of craters. Type 1 craters are crisply defined and constitute a production function of impact origin. Type 2 craters are mostly irregular shallow depressions and probably of various origins. Some of the type 2 craters may have formed by impact and be remnants of a crater population that predates the type 1 population. The number of type 1 craters suggests that they started to accumulate 2 × 10 7 to 3 × 10 8 years ago. The freshest craters have a depth/diameter ratio of 1:7, as compared with 1:5 typically observed on other bodies. The craters appear to have become shallower with age at a rate of 10 -6 to 10 -7 m/year. The shallow depth of newly formed craters and the progressive degradation with age are ascribed to downslope movement of poorly coherent surface materials, the movement being aided by seismic shaking as a result of impact. The surface shows subtle color differences. The most prominent differences are observed around craters on ridges, where the surface has a stronger 1-μm absorption than elsewhere. The contrast is not observed around craters on the facets. The color differences are attributed to alteration of the materials brought to the surface. The unaltered material is estimated to be located at least 50 m below the surface on the facets. Only on the ridges is unaltered material at a shallow enough depth to be excavated by the observed craters. The rate of degradation of craters, the rounded form of the ridges, the depth of altered material on the facets, and the presence of old degraded craters all suggest that Gaspra is covered with a regolith a few tens to several tens of meters thick.

Icarus↗

Does Ferocactus wislizeni (Cactaceae) have a between-year seed bank?

Field and laboratory experiments at Tumamoc Hill, Tucson, Arizona, U.S.A., demonstrated that Ferocactus wislizeni, a common perennial cactus in the northern Sonoran Desert, has a between-year seed bank. In laboratory studies, F. wislizeni seeds lost dormancy during storage at room temperature and had a light requirement for germination. Field experiments suggested that as much as 2% of the annual seed crop might escape post-dispersal predation even when unprotected; where suitable safe sites exist, a higher percentage might escape. Germination of seed recovered monthly from above- and below-ground components of an artificial seed bank showed that seeds can survive at least 18 months in and on the soil. Seed banks enable F. wislizeni to take advantage of favorable rains and temperatures throughout the growing season, thus increasing the number of opportunities for germination. Moreover, seed banks enable F. wislizeni to respond hugely when the climate seems especially favorable, thus producing the large cohorts necessary to compensate for high seedling mortality. (C) 2000 Academic Press.

Journal of Arid Environments↗

Top-level carnivores and ecosystem effects: Questions and approaches

Top-level carnivores comprise a diverse array of taxa and occur in most natural ecosystems. This chapter considers three main questions: What are the ecological and evolutionary effects of top-level carnivores, how general are they, and under what conditions do they occur? To answer these questions one first must determine whether a food web is under top-down control, and ultimately, the species, systems, and circumstances for which top-down control exists. For systems affected by top-down forces, the cascading effect of carnivory on autotrophs is expected to vary with the order of trophic complexity. Given this conceptual framework, three more specific questions are explored. First, how general are the direct and indirect effects of top-level carnivores? Second, what is the breadth of trophic influence from the direct impact of carnivory? Broadly ranging effects are expected for systems in which (1) top-level carnivores occupy odd-numbered trophic levels and (2) the food web is strongly linked. (3) what are the evolutionary consequences of trophic cascades on species lower in the food web? These questions can best be answered via manipulative or natural experiments in which the presence or absence of carnivores varies in space or time. Natural experiments are advocated as the only practical means of addressing these questions for many species and systems, in particular those in which the key players are large and highly mobile, or those in which the manipulation of predators has legal, political, or social ramifications.

Linking Species and Ecosystems↗

“Good” and “bad”: Human perceptions of and interactions with urban wildlife

Urban environments offer habitat for many species of animals. Although some of those are ubiquitous and/or undesirable, others are native and in some cases, of conservation value. In many cases, urban wildlife populations are a source of enjoyment for human residents, who sometimes invest considerable amounts in attracting them to yards and public spaces. Their presence there can serve an important educational role that helps protect non-urban habitats and species. Nonetheless, urban wildlife must survive what has been termed a “landscape of fear.” Although some of the urban wildlife that do well in this environment are benign, other populations – sometimes of a species that, in other locations, is iconic and desirable – can become problematic. Some species can serve as vectors that carry important zoonosis, such as the plague or diseases that affect other wildlife. Others can create noise or olfactory nuisances and degrade structures or usability of public spaces. Some pose hazards at busy airports, whereas still others may present an envenomation or predation risk on unwary humans. Here, we review the role that reptiles, birds, and mammals play in urban environments and discuss how urban wildlife rehabilitation centers help address some related issues. We close by looking ahead and trying to predict how global patterns such as increased urbanization and population growth may affect urban wildlife and its value for conservation.

Book chapter↗

Variables affecting resource subsidies from streams and rivers to land and their susceptibility to global change stressors

Stream and river ecosystems provide subsidies of emergent adult aquatic insects and other resources to terrestrial food webs, and this lotic–land subsidy has garnered much attention in recent research. Here, we critically examine a list of biotic and abiotic variables—including productivity, dominant taxa, geomorphology, and weather—that should be important in affecting the nature of these subsidy dynamics between lotic and terrestrial ecosystems, especially the pathway from emergent aquatic insects to terrestrial predators. We also explore how interactions between these variables can lead to otherwise unexpected patterns in the importance of aquatic subsidies to terrestrial food webs. Utilizing a match-mismatch framework developed previously, we identify how these variables and interactions may be affected by a broad suite of stressors in addition to contaminants: climate change, land-use conversion, damming and water abstraction, and species invasions and extinctions. These stressors may all act to modify and potentially exacerbate the effects of contaminants on subsidies. The available literature on many variables is sparse, despite strong theoretical underpinnings supporting their importance for lotic–land subsidies. Notably, these understudied variables include those related to physical geomorphology and the structure of the stream/river and floodplain/riparian zone as well as species-specific interactions between aquatic and terrestrial organisms. We suggest that more explicit characterization of these variables and more research directly linking broad-scale stressors to subsidy resource–consumer interactions can help provide a more mechanistic understanding to lotic–land subsidy dynamics within a changing environment.

Book chapter↗

Reproduction

Lake charr Salvelinus namaycush are typically fall spawners although one ecotype has populations that spawn during spring and fall (siscowets in Lake Superior). Lake charr are iteroparous (reproduce more than once in a lifetime) with group-synchronous ovarian development and typically spawn once per year. However, lake charr may not reproduce every year, a phenomenon known as skipped spawning. Free embryos are active on spawning reefs, make diurnal vertical movements from spawning substrate, and feed exogenously much earlier than previously assumed. The abundance of food and predators strongly affects the rate of development, yolk sac absorption, and duration of residence on spawning sites. The necessity for, and timing of, gas bladder inflation, and mechanisms for inflation without access to the surface, need further study. The low survival of free embryos due to thiamine deficiency has likely contributed to the lack of recruitment of lake charr in the Laurentian Great Lakes for decades. Thiaminase, a thiamine-degrading enzyme, appears to be the causal agent for thiamine deficiency in Great Lakes lake charr.

Great Lakes↗

Trophic ecology

The trophic ecology of lake charr Salvelinus namaycush morphotypes from small and large lakes within their native and introduced ranges is reviewed over the past 50 years. The lake charr is an apex predator in most habitats it occupies, where it plays a significant role in defining food webs. While often considered piscivores, lake charr feed on a range of aquatic prey throughout their life history, including zooplankton, benthic invertebrates, and fish, as well as terrestrial insects, mammals, birds, amphibians, and reptiles. Lake charr diets that vary within morphotypes among lakes and among sympatric morphotypes reflect differences in habitat use, prey availability, and individual preferences. Temporal variability in diet can result from seasonal prey pulses, thermal barriers, and long-term prey dynamics. Lake charr adapt quickly to consume invasive prey fishes, and often decimate native prey fishes and other piscivores in lakes into which they are introduced. Salient research topics in lake charr trophic ecology include: (1) how best to quantify spatial and temporal trophic niche space; and, (2) how changing environmental conditions, such as invasive species and lake warming, will influence lake charr feeding and broader lake food-web dynamics.

Book chapter↗