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The impact of climate change on coastal ecosystems

In this chapter we stress two important features of coasts and coastal ecosystems. First, these are dynamic systems which continually undergo adjustments, especially through erosion and re-deposition, in response to a range of processes. Many coastal ecosystems adjust naturally at a range of time scales and their potential for response is examined partly by reconstructing how such systems have coped with natural changes of climate and sea level in the geological past. Second, coasts have changed profoundly through the 20th Century due to the impacts of human development (such as urbanisation, port and industrial expansion, shore protection, and the draining and conversion of coastal wetlands), with these development-related drivers closely linked to a growing global population and economy. It remains a challenge to isolate the impacts of climate change and sea-level rise from either the natural trajectory of shoreline change, or the accelerated pathway resulting from other human-related stressors. There exists a danger of overstating the importance of climate change, or overlooking significant interactions of climate change with other drivers.

Book chapter↗

Results of a workshop concerning assessment of the functions of bottomland hardwoods

The U.S. Environmental Protection Agency (EPA) is authorized under Section 404 of the Clean Water Act (33 U.S.C. 1344) to participate in the regulation of the discharge of dredged or fill material into waters of the United States. This regulatory authority is exercised in partnership with the U.S. Army Corps of Engineers, which has responsibility for permit issuance, and in consultation with the U.S. Fish and Wildlife Service and the National Marine Fisheries Service. Through amendments to the original statute, a series of legal actions and court decisions, and the development of operating guidance among the responsible agencies, Section 404 has evolved into the primary mechanism afforded Federal authorities for the protection of wetlands. EPA recognizes the importance of wetlands in achieving the goals of the Clean Water Act, which are to protect and maintain the chemical, physical, and biological integrity of the Nation’s waters. EPA Administrator Lee Thomas has identified wetlands protection as among the highest of Agency priorities. EPA recognizes that bottomland hardwood (BLH) wetlands have vital and unique attributes that, if lost, would severely impact the physical, chemical, and biological integrity of the Nation's waters. As part of a broad program to better protect the Nation's wetlands, EPA has therefore identified bottomland hardwood wetlands as a priority resource requiring special attention on a national basis. Recognizing the importance of implementing an effective, nationally consistent, and scientifically defensible regulatory program, EPA, in October 1984, issued Interim Operating Guidance to its field personnel for implementing the Section 404 regulatory program in bottomland hardwood wetlands. With the goal of improving and finalizing that guidance, EPA is sponsoring a series of workshops designed to answer key questions concerning BLH wetlands, based on the best scientific and technical information currently available. The first two workshops were directed toward summarizing existing scientific and technical knowledge concerning the functions of BLH ecosystems, the characteristics that are important to each function, and the impact of various development activities on those characteristics. The first workshop, which was held in St. Francisville, Louisiana, in December, 1984, examined a wetland zonation concept as a framework for gaining a greater understanding of BLH structure and function. The workshop set out to determine whether characterization of BLH resources as a series of relatively distinct zones, defined by concomitant variation in hydrologic regime, soils, and vegetation, might provide the basis for a useful and scientifically sound regulatory framework. For examp1e, if certain zones are of particular importance to one or more wetland functions that the Clean Water Act was intended to protect, then the zonation concept might be useful from the perspective of how various activities should be regulated. Discussions during the first workshop, however, indicated that the zonation concept provides, at best, only an incomplete picture of the structure and function of BLH ecosystems. In many cases, BLH functions are not limited to or closely correlated with particular zones and, furthermore, many factors other than zone are important determinants of BLH functions. With these responses in mind, the second workshop, held at Lake Lanier, Georgia, in July, 1985, was designed to elicit information on two questions. First, if zones are not an adequate framework for understanding the functions of BLH systems, what characteristics (predictors) can be used to assess the extent to which a particular site performs these functions? And second, what are the impacts of various development activities that often occur in BLH ecosystems on those characteristics and thus on the functions themselves? At the second workshop, individual workgroups dealing with particular subject areas (e.g., hydrology, water quality, fisheries, wildlife, ecosystem processes, and cultural/recreational/economic resources) were able to identify site characteristics that are important determinants of the performance of various functions. For example, the Hydrology Workgroup identified flood storage as one of three major hydrologic functions that BLH ecosystems perform. The workgroup then identified the most important characteristic (e.g., surface area of the site, soil saturation, and others) that determine flood storage and the likely impact of several common activities (e.g., conversion to soybean production and levee construction) on these characteristics. Some of the workgroups also provided estimates of the aggregate impact of activities, acting through all of the characteristics, on certain functions. The workgroups also identified key characteristics that could be used to identify high-value wetlands for various functions. In addition, the workgroups pointed out a number of topics needing further examination and discussion. First, all of the workgroups identified the need to develop the technical basis and information sources to address the problem of cumulative impacts in the regulatory process. Second, most of the workgroups noted the important of contextual variables in assessing the function of a particular site. For example, the location of a BLH site in relationship to other tracts of habitat is an important variable for many wildlife species. Similarly, the extent to which a site retains or transforms contaminants is depended not only on the characteristics of the site, but also on its position in a watershed relative to contaminant inputs. And finally, several of the workgroups pointed out that assessing the impact of an activity on a function is not as simple as "adding up" the impact on individual characteristics, but may depend instead on complex interactions among characteristics. Addressing these questions, as summarized in the objectives and discussions that follow, was the focus of the third workshop, the results of which are described in this report.

Report↗

Assessment of the role of bottomland hardwoods in sediment and erosion control

Drainage and clearing of bottomland hardwoods have long been recognized by the U.S. Environmental Protection Agency (EPA) and the U.S. Fish and Wildlife Service (Service) as important impacts of Federal water projects in the lower Mississippi River Valley. More recently, the water quality impacts of such projects (e.g., increases in sediments, nutrients, and pesticides) have also become of concern. In 1984, in an effort to better define problems concerning wetland losses and water degradation, EPA initiated a cooperative project with the Western Energy and Land Use Team (now the National Ecology Research Center) of the Service. Three phases of the project were identified: 1. To collect existing literature and data; 2. To select, develop, and test the utility of methods to quantify the relationships between land use, cover types, soils, hydrology, and water quality (as represented by sediment); and 3. To apply selected methodologies to several sites within the Yazoo Basin of Mississippi to determine the, potential effectiveness of various management alternatives to reduce sediment yield, increase sediment deposition, and improve water quality. Methods development focused on linking a simulation of water and sediment movement to a computerized geographic information system. We had several objectives for the resulting model. We desired that it should: 1. Estimate the importance of bottomland and hardwoods as a cover type that performs the functions of erosion and sediment control, 2. Simulate effects of proportions of ' various cover types and their specific spatial configurations, 3. Be applicable to moderately large spatial areas with minimal site-specific calibration, 4. Simulate spatial patterns of sediment loss-gain over time, and 5. Represent both sediment detachment and transport. While it was recognized that impacts and management alternatives could be sorted roughly into landscape measures and channel measures, the decision was made to focus study efforts mainly on landscape measures. Landscape measures include altered drainage and flooding patterns, altered cover types (e.g., conversion of bottomland hardwoods to agricultural crops, reforestation of cropland to bottomland hardwoods, and creation of riparian buffer strips), altered cropping and tillage patterns, altered routing of water, and creation of buffer strips along wetlands and channel margins. Channel measures include vegetative bank stabilization, grade control structures, and regulation of channel water volume and velocity. During the first year of the study, EPA decided not to fund the third phase of the project. This required considerable rescoping of the project with the result that application of the sediment mobilization, routing, and deposition models to various management alternatives and portions of the Yazoo Basin was somewhat restricted. We believe, however, that this report will provide a good understanding of the various modes of sediment mobilization, transport, and deposition within the Yazoo Basin, as well as of the role of bottomland hardwoods. The model developed in this study could be applied to a variety of management or mitigation alternatives prior to implementation to determine their relative effectiveness. Policy, political, and socio-economic consequences of any proposed management/mitigation practice, however, must ultimately be taken into consideration by those charged with management of water resources within the Yazoo Basin before any practice is implemented. This study makes no effort to judge the feasibility of management alternatives in this regard.

Report↗

Field evidence of subsidence and faulting induced by hydrocarbon production in coastal southeast Texas

Three large, mature hydrocarbon fields in coastal southeast Texas were examined to evaluate competing hypotheses of wetland losses and to characterize subaerial and submerged surfaces near reactivated faults and zones of subsidence. Detailed topographic and bathymetric profiles and shallow cores at the Port Neches, Clam Lake, and Caplen Fields provide a basis for distinguishing between (1) extensive land-surface subsidence without significant subaqueous erosion, and (2) localized minor subsidence near faults accompanied by extensive subaqueous erosion. Subaqueous erosion results from submergence of wetlands, current and wave excavation of surface sediments and organic detritus, and exportation of the eroded sediments through adjacent water bodies with swift currents such as navigation channels. Responses to induced subsidence and fault reactivation are different at each field site. Detailed stratigraphic correlations of sediment cores show that at Port Neches, subsidence of 35 to 90 cm and minor marsh erosion (20 to 35 cm) created more than 15 million m 3 of accommodation space in a nearly circular pattern over the field. At Caplen the marsh surface subsided only about 4 cm, but the surface eroded 30 to 40 cm vertically, creating about 3.5 million m 3 of accommodation space. The breakup of wetlands and their conversion to open water appears to be in an initial stage at the Clam Lake Field where marsh plants are being submerged along a fault. The different surficial responses and wetland losses at each field are related to the primary type of hydrocarbon produced and the rates of production. Although the absolute magnitude of induced subsidence may be less than 1 m, even a minor reduction in land elevation is sufficient to cause major wetland losses.

Texas↗

Conserving Prairie Pothole Region wetlands and surrounding grasslands: evaluating effects on amphibians

The maintenance of viable and genetically diverse populations of amphibians in the Prairie Pothole Region of the United States depends on upland as well as wetland over-wintering and landscape level habitat features. Prairie pothole wetlands provide important amphibian breeding habitat while grasslands surrounding these wetlands provide foraging habitat for adults, overwintering habitat for some species, and important connectivity among breeding wetlands. Grasslands surrounding wetlands were found to be especially important for wood frogs and northern leopard frogs, while croplands dominated habitat utilized by Great Plains toads and Woodhouse’s toads. Habitat suitability mapping highlighted (1) the influence of deep-water overwintering wetlands on suitable habitat for four of five anuran species encountered; (2) the lack of overlap between areas of core habitat for both the northern leopard frog and wood frog compared to the core habitat for both toad species; and (3) the importance of conservation programs in providing grassland components of northern leopard frog and wood frog habitat. Currently, there are approximately 7.2 million acres (2.9 million hectares, ha) of habitat in the PPR identified as suitable for amphibians. WRP and CRP wetland and grassland habitats accounted for approximately 1.9 million acres (0.75 million ha) or 26 percent of this total area. Continued loss of amphibian habitat resulting from an ongoing trend of returning PPR conservation lands to crop production, will likely have significant negative effects on the region’s ability to maintain amphibian biodiversity. Conversely, increases in conservation wetlands and surrounding grasslands on the PPR landscape have great potential to positively influence the region’s amphibian populations.

Report↗

User's guide to the wetland creation/restoration data base, version 2

Wetland creation or restoration projects are frequently proposed as mitigation for unavoidable wetland losses, as components of wetland enhancement programs, and as tools to accomplish specific objectives such as waterfowl production or flood control. There is considerable controversy concerning the effectiveness of such projects as well as the most appropriate and efficient techniques to employ. The importance of the resource and the long time scales involved in fully evaluating a creation or restoration effort make it imperative to consider existing information as fully as possible in the development and evaluation of wetland creation or restoration proposals. To aid in the evaluation of wetland/creation efforts, the U.s. Fish and Wildlife Service (FWS), National Ecology Research Center, has developed the Wetland Creation/Restoration (WCR) Data Base. The data base is a highly indexed or keyworded bibliography of wetland creation or restoration articles. ("Articles" refers to any type of publication that deals specifically with wetland creation/restoration projects or studies.) The scope of the articles is international, although most of them are concerned with projects conducted in the United States. Information coded for each article includes author; citation; type of wetland and its location in terms of state, ecoregion, and FWS region; type of study undertaken; objectives in creating or restoring the wetland; actions performed to realize those objectives; length of time encompassed by the study; evaluation of results and responses to the wetland creation/restoration actions; and a listing of plant species significant to the project. A brief annotation summarizes the article and includes any significant additional information that may not be adequately reflected in the above described fields. Many of these articles describe only one or two components of a total wetland restoration effort. Planning a project that is designed to restore a wetland system (including at least some of its functions) is similar to constructing a picture from a number of puzzle pieces--missing pieces represent data gaps or information that is not available. Articles range from specific case studies, to overviews of restoration methods and techniques, to planning restoration projects and assessing programmatic and administrative backgrounds and interactions. In this data base, the term "restoration" is applied loosely to include rehabilitation of wetlands. It may refer to a number of situations or actions including, but not limited to: 1. breaching dikes or plugging drains; 2. water pollution clean-up; 3. conversion of eutrophic conditions; 4. wastewater treatment; 5. recolonization of previously disturbed or denuded areas; 6. amelioration of adverse conditions (erosion, wave, or wind action); 7. soil treatment --mulching, fertilization; 8. rerouting streams --may include construction of meander patterns; 9. monitoring natural vegetation; or 0. excluding grazers (geese, cattle) and monitoring results. This report describes the format and content of Version 2 of the WCR data base. Version 2 differs from the previous version described in SchnellerMcDonald et al. (1988): several fields have been dropped and condensed and new records have been added. Version 2 includes all records distributed with the earlier version and its updates. We recommend you replace any previous version with Version 2.

Book↗

Northwest

Key Messages 1. Changes in the timing of streamflow related to changing snowmelt are already observed and will continue, reducing the supply of water for many competing demands and causing far-reaching ecological and socioeconomic consequences. 2. In the coastal zone, the effects of sea level rise, erosion, inundation, threats to infrastructure and habitat, and increasing ocean acidity collectively pose a major threat to the region. 3. The combined impacts of increasing wildfire, insect outbreaks, and tree diseases are already causing widespread tree die-off and are virtually certain to cause additional forest mortality by the 2040s and long-term transformation of forest landscapes. Under higher emissions scenarios, extensive conversion of subalpine forests to other forest types is projected by the 2080s. 4. While the agriculture sector’s technical ability to adapt to changing conditions can offset some adverse impacts of a changing climate, there remain critical concerns for agriculture with respect to costs of adaptation, development of more climate resilient technologies and management, and availability and timing of water.

Idaho, Oregon, Washington↗

Estimating changes in riparian and channel features along the Trinity River downstream of Lewiston Dam, California, 1980 to 2011

Dam construction, flow diversion, and legacy landuse effects reduced the transport capacity, sediment supply, channel complexity and floodplain-connectivity along the Trinity River, CA below Lewiston Dam. This study documents the geomorphic evolution of the Trinity River Restoration Program’s intensively managed 65-km long restoration reach from 1980 to 2011. The nature and extent of riparian and channel changes were assessed using a series of geomorphic feature maps constructed from ortho-rectified photography acquired at low flow conditions in 1980, 1997, 2001, 2006, 2009, and 2011. Since 1980 there has been a general conversion of riparian to channel features and expansion of the active channel area. The primary mechanism for expansion of the active channel was bank erosion from 1980 to 1997 and channel widening was well distributed longitudinally throughout the study reach. Subsequent net bar accretion from 1997 to 2001, followed by slightly higher net bar scour from 2001 to 2006, occurred primarily in the central and lower reaches of the study area. In comparison, post-2006 bank and bar changes were spatially-limited to reaches with sufficient local transport capacity or sediment supply supported by gravel augmentation, mechanical channel rehabilitation, and tributary contributions to flow and sediment supply. A series of tributary floods in 1997, 1998 and 2006 were the primary factors leading to documented increases in channel complexity and floodplain connectivity. During the post-2006 period managed flow releases, in the absence of large magnitude tributary flooding, combined with gravel augmentation and mechanical restoration caused localized increases in sediment supply and transport capacity leading to smaller but measurable increases in channel complexity and floodplain connectivity primarily in the upper river below Lewiston Dam.

California↗

Population dynamics of sea ducks: using models to understand the causes, consequences, evolution, and management of variation in life history characteristics

In this chapter, I explore population dynamics of sea ducks by developing population models. In determining which life history characteristics had the greatest influence on future population dynamics, adult female survival consistently had the highest sensitivity and elasticity and this result was robust across a wide range of life history parameter values. Conversely, retrospective models consistently found that the majority of annual variation in lambda was associate with variation in productivity. Stochastic models that are base on process variation and incorporate correlations among life history parameters are the most useful for visualizing the probability of achieving a desired management outcome. Effective management targets both the mean and the variance parameters and takes advantage of correlations among life history parameters. Example models demonstrate that sea duck species can achieve equal fitness using a variety of survival and productivity combinations. Sea duck populations will tend to have long time largest in terms of responding to management actions. Understanding the role of density-dependent population regulation is critical for effective sea duck management and conservation.

Book chapter↗

Predicting watershed post-fire sediment yield with the InVEST sediment retention model: Accuracy and uncertainties

Increased sedimentation following wildland fire can negatively impact water supply and water quality. Understanding how changing fire frequency, extent, and location will affect watersheds and the ecosystem services they supply to communities is of great societal importance in the western USA and throughout the world. In this work we assess the utility of the InVEST (Integrated Valuation of Ecosystem Services and Tradeoffs) Sediment Retention Model to accurately characterize erosion and sedimentation of burned watersheds. InVEST was developed by the Natural Capital Project at Stanford University (Tallis et al., 2014) and is a suite of GIS-based implementations of common process models, engineered for high-end computing to allow the faster simulation of larger landscapes and incorporation into decision-making. The InVEST Sediment Retention Model is based on common soil erosion models (e.g., USLE – Universal Soil Loss Equation) and determines which areas of the landscape contribute the greatest sediment loads to a hydrological network and conversely evaluate the ecosystem service of sediment retention on a watershed basis. In this study, we evaluate the accuracy and uncertainties for InVEST predictions of increased sedimentation after fire, using measured postfire sediment yields available for many watersheds throughout the western USA from an existing, published large database. We show that the model can be parameterized in a relatively simple fashion to predict post-fire sediment yield with accuracy. Our ultimate goal is to use the model to accurately predict variability in post-fire sediment yield at a watershed scale as a function of future wildfire conditions.

Conference Paper↗

A fine-scale assessment of using barriers to conserve native stream salmonids: a case study in Akokala Creek, Glacier National Park, USA

Biologists are often faced with the difficult decision in managing native salmonids of where and when to install barriers as a conservation action to prevent upstream invasion of nonnative fishes. However, fine-scale approaches to assess long-term persistence of populations within streams and watersheds chosen for isolation management are often lacking. We employed a spatially-explicit approach to evaluate stream habitat conditions, relative abundance, and genetic diversity of native westslope cutthroat trout (Oncorhynchus clarkii lewisi) within the Akokala Creek watershed in Glacier National Park- a population threatened by introgressive hybridization with nonnative rainbow trout (O. mykiss) from nearby sources. The systematic survey of 24 stream reaches showed broad overlap in fish population and suitable habitat characteristics among reaches and no natural barriers to fish migration were found. Analysis of population structure using 16 microsatellite loci showed modest amounts of genetic diversity among reaches, and that fish from Long Bow Creek were the only moderately distinct genetic group. We then used this information to assess the potential impacts of three barrier placement scenarios on long-term population persistence and genetic diversity. The two barrier placement scenarios in headwater areas generally failed to meet general persistence criteria for minimum population size (2,500 individuals, Ne = 500), maintenance of long-term genetic diversity (He), and no population subdivision. Conversely, placing a barrier near the stream mouth and selectively passing non-hybridized, migratory spawners entering Akokala Creek met all persistence criteria and may offer the best option to conserve native trout populations and life history diversity. Systematic, fine-scale stream habitat, fish distribution, and genetic assessments in streams chosen for barrier installation are needed in conjunction with broader scale assessments to understand the potential impacts of using barriers for conservation of native salmonid populations threatened by nonnative fish invasions.

Open Fish Science Journal↗

A transect through the base of the Bronson Hill Terrane in western New Hampshire

This trip will present the preliminary results of ongoing bedrock mapping in the North Hartland and Claremont North 7.5-minute quadrangles in western New Hampshire. The trip will travel from the Lebanon pluton to just north of the Sugar River pluton (Fig. 1) with the aim of examining the lower structural levels of the Bronson Hill anticlinorium (BHA), and the nature of the boundary with the rocks of the Connecticut Valley trough (CVT). Spear and others (2002, 2003, 2008) proposed that western New Hampshire was characterized by five major faults bounding five structural levels including, from lowest to highest, the “chicken yard line”, Western New Hampshire Boundary Thrust, Skitchewaug nappe, Fall Mountain nappe, and Chesham Pond nappe. Lyons and others (1996, 1997) showed the lowest level cored by the Cornish nappe and floored by the Monroe fault. Thompson and others (1968) explained the geometry of units by folding without major thrust faults, and described the second level as the Skitchewaug nappe. This trip will focus on the two lowest levels which we have revised to call the Monroe and Skitchewaug Mountain thrust sheets. Despite decades of geologic mapping in the northeastern United States at various scales, little 1:24,000-scale (or larger scale) modern bedrock mapping has been published for the state of New Hampshire. In fact, of the New England states, New Hampshire contains the fewest published, modern bedrock geologic maps. Conversely, adjacent Vermont has a relatively high percentage of modern bedrock maps due to focused efforts to create a new state-wide bedrock geologic map over the last few decades. The new Vermont map (Ratcliffe and others, 2011) has identified considerable gaps in our knowledge of the bedrock geology in adjacent New Hampshire where published maps are, in places, more than 50 years old and at scales ranging from 1:62,500 to 1:250,000. Fundamental questions remain concerning the geology across the Connecticut River, especially in regards to the stratigraphy of the BHA and CVT, and the distribution, or even existence, of faults ranging in age from Devonian to Mesozoic (e.g., Spear and others, 2008; McWilliams and others, 2010; Walsh and others, 2010). Questions to ponder on this trip include, but are not limited to: 1) Is the Bronson Hill anticlinorium allochthonous? 2) What is the crust beneath the Bronson Hill anticlinorium? 3) Is there a “Big Staurolite nappe” as proposed by Spear and others (2002, 2003, 2008)? 4) What is the role of Taconic, Acadian, and Alleghanian orogenesis in the tectonic development of the region? Modern 1:24,000-scale mapping is the first step towards answering these questions. Mapping will be supplemented by modern geochronology and geochemistry as this project develops. We plan to share some of our provisional results during this field trip.

New Hampshire↗

Herbicide treatment of invasive Vinca major growing with endangered Galium buxifolium, an island endemic

Galium buxifolium E. Greene [Rubiaceae] (sea-cliff bedstraw) is a small shrub restricted to San Miguel and Santa Cruz Islands, in the California Channel Islands. Almost all of the 26 known populations grow on vertical north-facing sea cliffs in native scrub, sandwiched between the sea below and non-native annual grasslands on the terraces above. A notable exception is a popula?tion at Pelican Bay on Santa Cruz Island, growing on the cliff and on thin terrace soils above the cliff in a stand of coastal bluff scrub that is recovering from more than a century of sheep grazing (Figure 1). Ironically, this stand is near the location of the historic Eaton Resort, a charismatic inn frequented by Hollywood glitterati in the early 1900s. Several landscape ornamentals planted there persist today in the area of the Galium population. Italian stone pine (Pinus pinaea) and eucalyptus (Eucalyptus spp.) tower over the site while the invasive groundcover Vinca major L. [Apocynaceae] (greater periwinkle) forms dense mats at the cliff edge that are spreading into the developing native plant stand. Wherever the Galium is found it is intermixed with other native scrub plants in dense communities on moist ocean bluffs. Historic notes and herbarium collections indicate that it may have been more widespread on nearshore terraces adjacent to sea-cliff populations before conversion to grassland. Since Pelican Bay is the only site that we know of where Galium is spreading onto the nearby terrace, we wanted to know whether the Vinca posed a roadblock to upslope population expansion. In 2005 we mapped Vinca and Galium at the site. We also measured Galium individuals to see where the smaller, younger plants were to better understand where the population is expanding. We observed that 1) both the Galium and the Vinca appear to be spreading from the cliff face upslope onto a series of rock outcrops, stone walls and benches, 2) the native scrub community is recovering at the site and 3) the Vinca appears to be moving into the native scrub where it overtops small plants, including those Galium in the smallest size classes. This observed pattern of Vinca displacement of native vegetation has been noted in other places, where it is treated as an invasive weed. We concluded that Vinca may pose a threat to the expansion of both the native scrub and the Galium population that it supports. Therefore, we worked with the US Fish and Wildlife Service and others to develop a research project investigating 1) best techniques for killing Vinca within the boundaries of an endangered plant population and 2) demographic response of Galium to the treatment. Our intent is to push Vinca back to the vertical cliff face to give the natives a chance to establish a vigorous stand. Our conservation goal is to encourage natural establishment of new Galium plants on the terrace along with expansion of the native coastal bluff scrub and Galium population. Our immediate treatment objective is to reduce live Vinca cover by 90 % on the accessible upslope portions of the habitat. Our recovery objective is no net loss of Galium plants 2006-2016.

California↗

A case study of assigning conservation value to dispersed habitat units for conservation planning

Resource managers are increasingly tasked with developing habitat conservation plans in the face of numerous, sometimes competing, objectives. These plans must often be implemented across dispersed habitat conservation units that may contribute unequally to overall conservation objectives. Using U.S. Fish and Wildlife Service waterfowl production areas (WPA) in western Minnesota as our conservation landscape, we develop a landscape-scale approach for evaluating the conservation value of dispersed habitat conservation units with multiple conservation priorities. We evaluated conservation value based on a suite of variables directly applicable to conservation management practices, thus providing a direct link between conservation actions and outcomes. We developed spatial models specific to each of these conservation objectives and also developed two freely available prioritization tools to implement these analyses. We found that some WPAs provided high conservation value across a range of conservation objectives, suggesting that managing these specific areas would achieve multiple conservation goals. Conversely, other WPAs provided low conservation value for some objectives, suggesting they would be most effectively managed for a distinct set of specific conservation goals. Approaches such as ours provide a direct means of assessing the conservation value of dispersed habitat conservation units and could be useful in the development of habitat management plans, particularly when faced with multiple conservation objectives.

Journal of Conservation Planning↗

Science foundation Chapter 5 Appendix 5.1: Case study california ridgway's rail ( Rallus obseoletus obsoletus )

The clapper rail ( Rallus longirostris ) recently was split into two sister groups (Chesser et al. 2014) on the basis of phylogenetic analyses (Maley and Brumfield 2013). The original grouping is now represented on the East Coast of North America by the Clapper rail ( Rallus crepitans ) and on the West Coast by the Ridgway’s rail ( Rallus obsoletus ). The California Ridgeway’s rail ( Rallus obsoletus obsoletus ; hereafter California rail) is the largest of 3 Ridgway’s rail subspecies which also include R. o. levipes (light-footed rail) and R. o. yumanensis (Yuma rail) (Eddleman and Conway 1994). The California rail is also the largest resident terrestrial vertebrate that lives solely in San Francisco Bay salt marshes. Formerly present in salt marsh along the California coast from Morro Bay to Humboldt Bay, by the early 1970s the California rail was breeding only in Elkhorn Slough and San Francisco Bay (Gill 1979). Population declines throughout the 19th and 20th centuries were attributed predominately to land conversion, development, and fragmentation of marshlands (USFWS 2013). However, exotic predators such as red fox ( Vulpes vulpes ) and Norway rat ( Rattus norvegicus ) are also implicated in population declines (USFWS 2013).

California↗

Colonial waterbird predation on Lost River and shortnose suckers based on recoveries of passive integrated transponder tags

We evaluated predation on Lost River suckers ( Deltistes luxatus ) and shortnose suckers ( Chasmistes brevirostris ), both listed under the Endangered Species Act (ESA), from American white pelicans ( Pelecanus erythrorhynchos ) and double-crested cormorants ( Phalacrocorax auritus ) nesting at mixed species colonies on Clear Lake Reservoir, CA and Upper Klamath Lake, OR during 2009-2014. Predation was evaluated by recovering passive integrated transponder (PIT) tags that were implanted in suckers, subsequently consumed by pelicans or cormorants, and deposited on the birds&rsquo; nesting colonies. Data from PIT tag recoveries were used to estimate predation rates (proportion of available tagged suckers consumed) by birds to evaluate the relative susceptibility of suckers to avian predation in Upper Klamath Basin. Data on the size of pelican and cormorant colonies (number of breeding adults) at Clear Lake and Upper Klamath Lake were also collected and reported in the context of predation on suckers. Results indicate that predation rates varied by sucker species (Lost River, shortnose), sucker age-class (adult, juvenile), bird colony location (Upper Klamath Lake, Clear Lake), and year (2009-2014), demonstrating that predator-prey interactions in the system were dynamic during the study period. Tagged suckers ranging from 72 mm to 730 mm were susceptible to cormorant or pelican predation; all but the largest of the tagged Lost River suckers were susceptible to avian predation. Estimates of minimum, annual predation rates ranged from <0.1% to 4.6% of the available Lost River suckers and from <0.1% to 4.2% of the available shortnose suckers during the study period. Of the two colony locations evaluated, predation rates on suckers in Clear Lake were generally higher by birds nesting at mixed-species colonies on Clear Lake. Birds nesting on Clear Lake also commuted over 75 kilometers to forage on suckers in Upper Klamath Lake. Conversely, there was no evidence that birds nesting in Upper Klamath Lake foraged on tagged suckers in Clear Lake. Although sample sizes of tagged juvenile suckers were small and limited to fish tagged in Upper Klamath Lake, there was evidence that bird predation on juvenile suckers was higher than on adult suckers, with annual predate rate estimates on juvenile suckers ranging from 5.7% to 8.4% of available fish. The minimum annual predation rates presented here suggests that avian predation may be a factor limiting recovery of populations of Lost River and shortnose suckers, particularly juvenile suckers in Upper Klamath Lake and adult suckers in Clear Lake. Additional research is needed, however, to better assess the impacts of avian predation on sucker populations by (1) recovering PIT tags in a manner so that the species of avian predator is known (i.e., pelican vs. cormorant), (2) measuring predator-specific PIT tag deposition probabilities at each colony, (3) increasing the sample of juvenile suckers in the population that are PIT-tagged, and (4) recovering sufficient sample sizes of PIT tags on bird colonies to describe how various biotic and abiotic factors (e.g., fish size and condition, water levels and quality, and other factors) contribute to sucker susceptibility to avian predation in the Upper Klamath Basin.

California, Oregon↗

Remote sensing sensitivity to fire severity and fire recovery

The paper examines fundamental ways that geospatial data on fire severity and recovery are influenced by conditions of the remote sensing. Remote sensing sensitivities are spatial, temporal and radiometric in origin. Those discussed include spatial resolution, the sampling time of year, and time since fire. For standard reference, sensitivities are demonstrated with examples drawn from an archive of burn assessments based on one radiometric index, the differenced Normalized Burn Ratio. Resolution determines the aggregation of fire effects within a pixel ( alpha variation ), hence defining the detected ecological response, and controlling the ability to determine patchiness and spatial distribution of responses throughout a burn ( beta variation ). As resolution decreases, alpha variation increases, extracting beta variation from the complexity of the whole burn. Seasonal timing impacts the radiometric quality of data in terms of transmittance, sun angle, and potential for enhanced contrast between responses within burns. Remote sensing sensitivity can degrade during many fire seasons when snow, incomplete burning, hazy conditions, low sun angles, or extended drought are common. Time since fire ( lag timing ) most notably shapes severity detection through the first-order fire effects evident in survivorship and delayed mortality that emerge by the growth period after fire. The former effects appear overly severe at first, but diminish, as burned vegetation remains viable. Conversely, the latter signals vegetation that appears healthy at first, but is damaged by heat to the extent that it soon dies. Both responses can lead to either over- or under-estimating severity, respectively, depending on fire behavior and pre-fire composition unique to each burned area. Based on implications of such sensitivities, three sampling intervals for short-term burn severity are identified; rapid , initial , and extended assessment , sampled within ca. two weeks, two months, and depending on the ecotype, from three months to one year after fire, respectively. Jointly, remote sensing conditions and the way burns are studied yield different tendencies for data quality and information content that impact the objectives and hypotheses that can be studied. Such considerations can be commonly overlooked, but need to be incorporated especially in comparative studies, and to build long-term reference databases on fire severity and recovery.

Conference Paper↗

Predation on seabirds by red foxes at Shaiak Island, Alaska

Two Red Foxes (Vulpes fulva ) that invaded Shaiak Island before the 1976 nesting season had a marked impact on the nesting success of five of seven species of seabirds breeding on the island that year. Common Eiders ( Somateria mollissima ), Glaucous-winged Gulls ( Larus glaucescens ), and Common Murres ( Uria aalge ), that nest in areas accessible to foxes, did not raise any young to fledging. Double-crested Cormorants ( Phalacrocorax auritus ) were only slightly more successful; 13 (4.3%) of 300 pairs raised one or more young to fledging. Evidence suggested that 21 (35.6%) of 62 pairs of Tufted Puffins (Lunda cirrhata ) lost eggs or chicks to foxes, and foxes killed at least 13 (8.3%) of 156 adult puffins on ten sample plots. Conversely, Black-Legged Kittiwakes ( Rissa tridactyl a) and Pelagic Cormorants ( Phalacrocorax pelagicus ), which nested primarily on cliffs inaccessible to foxes, lost very few nests. There was no apparent change in general nest site selections by seabirds the following year, when foxes were no longer present. Any avoidance by birds of areas vulnerable to fox predation would probably be discernible only after several years of continuous predation.

Alaska↗