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At least 199 records · Page 11Linked to original sources

Historical fire regimes and contemporary fire effects within sagebrush habitats of Gunnison Sage-grouse

The historical role of fire in sagebrush ( Artemisia tridentata ) landscapes remains poorly understood, yet is important to inform management and conservation of obligate species such as the threatened Gunnison Sage-grouse (GUSG; Centrocercus minimus ). We reconstructed fire histories from tree-ring fire scars at sagebrush–forest ecotones (10 sites, 111 trees) to better understand the role of fire in sagebrush landscapes of the Upper Gunnison Basin (UGB), Colorado, and how fire may have changed following Euro-American settlement. We assessed likely influences of historical fire by surveying plant composition and structure at 100 sagebrush sites with and without recent (2001–2020) fires. Tree-ring fire scars revealed a history of repeated low-severity fire at sagebrush–forest ecotones until 1892, followed by over a century without fire. Between 1684 and 1892, the mean fire interval (MFI) among sites averaged 49.6 years (ranging from 18.2 to 119 years). Fire over this period occurred synchronously at two or more sites on average every 23.6 years, potentially indicative of spread between sites. Most (70%) of the historical fires burned in the early growing season, consistent with times of strong wind. Recent burns exhibited reductions in sagebrush cover (5% vs. 25% in unburned sites) and concomitant increases in herbaceous cover (55% vs. 40%). These differences declined over time but persisted for at least two decades. Burned sites were dominated by native perennial grasses, forbs, and resprouting shrub species. Historically, such openings may have served as seasonal GUSG habitat. Our results indicate that parts of the UGB sagebrush landscapes were characterized historically by frequent fire and dynamic vegetation mosaics that included open, grassy patches. These findings support the use of prescribed fire to restore and maintain this ecological process and vegetation heterogeneity. However, the contemporary context for fire has changed and now includes substantially reduced, Endangered Species Act (ESA)-listed GUSG populations, increased risk of non-native plant invasion, and climate warming. These circumstances highlight new risks, information needs, and opportunities for key knowledge co-production via management–research partnerships.

Colorado

Dynamic environments generate geographic fluctuations in population structure of an inland shorebird

Species distributions depend on fine-scale ecological processes and population growth trajectories and are influenced by climate and weather changes. However, the characterization of inter-population dynamics underlying the geographic distributions of migratory organisms remains challenging. We adopted a stable isotope approach to investigate the dynamic population geography of a terrestrial migratory bird across multiple generations. We found that the age-specific geographic source of Mountain Plovers sampled during winter shifted over four years across a latitudinal gradient. Moreover, our results show that differential effects of climate on the probability of occurrence at the wintering ground could be a driver of population turnover in a migratory species adapted to extreme environmental stochasticity (i.e., drought occurrence). We propose a framework for the identification of spatial and temporal climate and weather components and respective effects on population composition and recruitment into migratory wintering populations. Our approach is useful to reveal population compositional shifts through hydrogen stable isotope analysis while accounting for cumulative drought effects.

Ecosphere

Elk personality and anthropogenic food subsidy: Managing conflict and migration loss

The continued decline of long-distance ungulate migrations threatens to decouple important ecological processes that increase biodiversity and wildlife abundance. Past research has focused on preserving migration paths where habitat fragmentation and loss disrupt movement corridors. However, shifting residency-migration trade-offs are the stronger driver of migration loss in some populations. Suburban residential developments may provide ungulates with anthropogenic food sources and refuge from predators, which can increase population growth among short-distance migrants relative to long-distance migrants. This trend can increase wildlife vehicle collisions and other human–wildlife conflicts while simultaneously reducing hunting opportunities. Yet, individual animals vary in their tolerance of human disturbance. We investigated how interindividual variation relative to conflict and human habituation influences elk migration and space use on shared winter range. We used a clustering algorithm applied to GPS collar data to identify elk use of anthropogenic food resources in suburban habitat. Cluster locations identified all known anthropogenic subsidy locations during the study period. Elk that used suburban anthropogenic food sources also migrated 60% shorter distances between summer and winter ranges than elk with no known use of these food subsidies. Elk use of protected wintering grounds was spatially structured such that conflict-prone, short-distance migrants disproportionately used areas with more human activity. Clustering algorithms applied to GPS collar data may allow managers to identify foci of concentrated use that generates human–wildlife conflict, and where prion deposition and environmental contamination facilitate the spread of chronic wasting disease, particularly in suburban areas with anthropogenic food subsidies. The apparent spatial structuring of shared winter range according to the conflict potential and migration strategy of individual elk may also permit managers to assess relative recruitment among cryptic population segments using different migration strategies and facilitate targeted, adaptive management actions. These associations between conflict, human habituation, and migration shed light on the urbanization of wildlife species, inform efforts to manage human–wildlife conflict and disease spread, and emphasize that a multipronged approach beyond maintaining habitat corridors may be necessary to conserve long-distance migrations for species that can become human-habituated.

Wyoming

Chronic toxicity of azoxystrobin to freshwater amphipods, midges, cladocerans, and mussels in water-only exposures

Understanding the effects of fungicides on nontarget organisms at realistic concentrations and exposure durations is vital for determining potential impacts on aquatic ecosystems. Environmental concentrations of the fungicide azoxystrobin have been reported up to 4.6 μg/L in the United States and 30 μg/L in Europe. The objective of the present study was to evaluate the chronic toxicity of azoxystrobin in water-only exposures with an amphipod ( Hyalella azteca ; 42-d exposure), a midge ( Chironomus dilutus ; 50-d exposure), a cladoceran ( Ceriodaphnia dubia ; 7-d exposure), and a unionid mussel ( Lampsilis siliquoidea ; 28-d exposure) at environmentally relevant concentrations. The potential photo-enhanced toxicity of azoxystrobin accumulated by C. dubia and L. siliquoidea following chronic exposures to azoxystrobin was also evaluated. The 20% effect concentrations (EC20s) based on the most sensitive endpoint were 4.2 μg/L for H. azteca reproduction, 12 μg/L for C. dubia reproduction and C. dilutus emergence, and >28 μg/L for L. siliquoidea . Hyalella azteca was more sensitive to azoxystrobin compared with the other 3 species in the chronic exposures. No photo-enhanced toxicity was observed for either C. dubia or L. siliquoidea exposed to ultraviolet light in control water following azoxystrobin tests. The results of the present study indicate chronic effects of azoxystrobin on 3 of 4 invertebrates tested at environmentally relevant concentrations. The changes noted in biomass and reproduction have the potential to alter the rate of ecological processes driven by aquatic invertebrates. Environ Toxicol Chem 2017;9999:1–8. Published 2017 Wiley Periodicals Inc. on behalf of SETAC. This article is a US government work and, as such, is in the public domain in the United States of America.

Environmental Toxicology and Chemistry

Evaluating the conservation potential of tributaries for native fishes in the Upper Colorado River Basin

We explored the conservation potential of tributaries in the upper Colorado River basin by modeling native fish species richness as a function of river discharge, temperature, barrier‐free length, and distance to nearest free‐flowing main‐stem section. We investigated a historic period prior to large‐scale water development and a contemporary period. In the historic period, species richness was log‐linearly correlated to variables capturing flow magnitude, particularly mean annual discharge. In the contemporary period, the log‐linear relationship between discharge and species richness was still evident but weaker. Tributaries with lower average temperature and separated from free‐flowing main‐stem sections often had fewer native species compared to tributaries with similar discharge but with warmer temperature and directly connected to free‐flowing main stems. Thus, tributaries containing only a small proportion of main‐stem discharge, especially those at lower elevations with warmer temperatures and connected to free‐flowing main stems, can support a relatively high species richness. Tributaries can help maintain viable populations by providing ecological processes disrupted on large regulated rivers, such as natural flow and temperature regimes, and may present unique conservation opportunities. Efforts to improve fish passage, secure environmental flows, and restore habitat in these tributaries could greatly contribute to conservation of native fish richness throughout the watershed.

Upper Colorado River Basin

Proximate influences on female dispersal in white-tailed deer

Ultimate causes of animal dispersal have been hypothesized to benefit the dispersing individual because dispersal reduces competition for local resources, potential for inbreeding, and competition for breeding partners. However, proximate cues influence important features of dispersal behavior, including when dispersal occurs, how long it lasts, and direction, straightness, and distance of the dispersal path. Therefore, proximate cues that affect dispersal influence ecological processes (e.g., population dynamics, disease transmission, gene flow). We captured and radio-marked 277 juvenile female white-tailed deer ( Odocoileus virginianus ), of which 27 dispersed, to evaluate dispersal behavior and to determine proximate cues that may influence dispersal behavior. Female dispersal largely occurred at 1 year of age and coincided with the fawning season. Dispersal paths varied but generally were non-linear and prolonged. Physical landscape features (i.e., roadways, rivers, residential areas) influenced dispersal path direction and where dispersal terminated. Additionally, forays outside of the natal range that did not result in dispersal occurred among 52% of global positioning system (GPS)-collared deer ( n = 25) during the dispersal period. Our results suggest intra-specific social interactions and physical landscape features influence dispersal behavior in female deer. Female dispersal behavior, particularly the lack of directionality, the semi-permeable nature of physical barriers, and the frequency of forays outside of the natal range, should be considered in regard to population management and controlling the spread of disease.

Pennsylvania

Confronting uncertainty: Contributions of the wildlife profession to the broader scientific community

Most wildlife professionals are engaged in 1 or both of 2 basic endeavors: science and management. These endeavors are a focus of many other disciplines, leading to widespread sharing of general methodologies. Wildlife professionals have appropriately borrowed and assimilated many methods developed primarily in other disciplines but have also led the development of one class of quantitative methods, those that confront and incorporate uncertainty. Uncertainty arises in counts of focal entities, for which wildlife professionals have developed effective methods to deal with the common problems of nondetection and misclassification. These methods have been borrowed by disciplines as varied as paleobiology, medicine, human epidemiology, industrial quality control, military target acquisition, remote sensing, and human census. Uncertainty also arises in the modeling of those counts, specifically the observation and ecological processes that generated them. Wildlife professionals recognized the fundamental importance of model selection and rapidly assimilated methods for selecting the most appropriate model for a given data set. These methods for dealing with uncertainty inherent to counting and modeling are critical to the conduct of science and management. Wildlife professionals have developed additional methods for incorporating uncertainty in the accumulation of knowledge and the development of optimal decisions in an environment of learning. In some cases, professionals in other disciplines are using methods developed and popularized in the wildlife profession, but there is much potential for greater use. In this essay, I describe these areas of wildlife leadership, document their assimilation by other disciplines, and emphasize the potential for more interdisciplinary use of these methods.

Journal of Wildlife Management

Feather isotope analysis reveals differential patterns of habitat and resource use in populations of white-winged doves

The white-winged dove ( Zenaida asiatica ) serves an important ecological role as a diurnal pollinator of the saguaro cactus in the Sonoran desert and an economic role as a highly sought after game bird in North America. White-winged doves are intimately linked to anthropogenic changes on the landscape and because of this, have experienced dramatic population fluctuations over the last 75 years in response, both positively and negatively, to anthropogenic changes on the landscape. To understand the factors driving population growth and decline of migratory species like the white-winged dove, it is imperative we study resource use on both their breeding and wintering grounds. To understand how populations are distributed on the wintering grounds, we tested an alternative to band recovery approaches by using stable isotope analysis. Before we could use isotope analysis to link breeding and wintering locations for this species, we first needed to determine if hydrogen (δ 2 H) and carbon (δ 13 C) stable isotopes in feather tissue (δ 2 H f and δ 13 C f , respectively) could differentiate among populations of white-winged doves across their breeding range in Texas, New Mexico, and Arizona. δ 2 H f and δ 13 C f not only differentiated between populations of white-winged doves that breed in the United States, but δ 2 H f also provided further differentiation in white-winged doves that breed in native Sonoran Desert and agricultural habitats in the western portion of their range. Ecological processes associated with desert resources and anthropogenic influences, specifically saguaro cacti and irrigated crops, largely determined δ 2 H f in some white-winged doves in Arizona whereas δ 2 H of precipitation (δ 2 H p ) largely determined δ 2 H f of doves in New Mexico and Texas. This study highlights the usefulness of stable isotope analysis to differentiate populations of animals across the landscape and the insight isotopes can provide into habitat and resource use. Published 2015. This article is a U.S. Government work and is in the public domain in the USA.

Arizona, California, New Mexico, Texas

Seasonality of change: Summer warming rates do not fully represent effects of climate change on lake temperatures

Responses in lake temperatures to climate warming have primarily been characterized using seasonal metrics of surface-water temperatures such as summertime or stratified period average temperatures. However, climate warming may not affect water temperatures equally across seasons or depths. We analyzed a long-term dataset (1981–2015) of biweekly water temperature data in six temperate lakes in Wisconsin, U.S.A. to understand (1) variability in monthly rates of surface- and deep-water warming, (2) how those rates compared to summertime average trends, and (3) if monthly heterogeneity in water temperature trends can be predicted by heterogeneity in air temperature trends. Monthly surface-water temperature warming rates varied across the open-water season, ranging from 0.013 in August to 0.073°C yr −1 in September (standard deviation [SD]: 0.025°C yr −1 ). Deep-water trends during summer varied less among months (SD: 0.006°C yr −1 ), but varied broadly among lakes (–0.056°C yr −1 to 0.035°C yr −1 , SD: 0.034°C yr −1 ). Trends in monthly surface-water temperatures were well correlated with air temperature trends, suggesting monthly air temperature trends, for which data exist at broad scales, may be a proxy for seasonal patterns in surface-water temperature trends during the open water season in lakes similar to those studied here. Seasonally variable warming has broad implications for how ecological processes respond to climate change, because phenological events such as fish spawning and phytoplankton succession respond to specific, seasonal temperature cues.

Wisconsin

Trout responses to stocking rates and river discharge within a southeast U.S. hydropeaking tailwater

Freshwater fish populations often exist in systems characterized by novel ecological processes resulting from human alteration. Salmonid populations embedded within coldwater sections of warmwater rivers are spatially constrained by habitat availability. Tailwater fish contend with fluctuating river discharges and density-dependent processes associated with fish stocking and exploitation. Salmonid populations sustained through stocking versus natural reproduction may respond differently to changes in hydrologic patterns (e.g., hydropeaking) as well as declines in fish abundance. We assessed differences between stocked (Rainbow Trout Oncorhynchus mykiss ) and naturalized (Brown Trout Salmo trutta ) trout populations in Greers Ferry tailwater, Arkansas, regarding (1) spatial and temporal patterns of mean length, electrofishing catch rates, and relative condition following reduced number of stocked Rainbow Trout and (2) evidence that hydrologic characteristics and fish stocking intensity influenced relative condition. A 56% reduction in Rainbow Trout stocking did not result in systemwide change in mean length or relative abundance for Rainbow Trout or Brown Trout over the 16-year study period. Hydrologic variability, where river discharge spanned both reduced and elevated levels, positively influenced condition of both Rainbow Trout and Brown Trout. Assessment of survival of stocked Rainbow Trout may aid in further refining the timing and amount of stocking needed to sustain the population at a desired abundance. Further, assessing the influence of stocking fewer but perhaps larger (in terms of mean length) fish to meet management goals may be warranted. The persistent differences in relative abundance among river sections can inform management actions directed at Brown Trout, including harvest regulations. Such regulations may aid in reaching desired management goals, including abundance and mean length targets not observed after reduced stocking.

Arkansas

Comparison of δ13C analyses of individual foraminifer (Orbulina universa) shells by secondary ion mass spectrometry and gas source mass spectrometry

Rationale: The use of secondary ion mass spectrometry (SIMS) to perform micrometer-scale in situ carbon isotope (δ 13 C) analyses of shells of marine microfossils called planktic foraminifers holds promise to explore calcification and ecological processes. The potential of this technique, however, cannot be realized without comparison to traditional whole-shell δ 13 C values measured by gas source mass spectrometry (GSMS). Methods: Paired SIMS and GSMS δ 13 C values measured from final chamber fragments of the same shell of the planktic foraminifer Orbulina universa are compared. The SIMS–GSMS δ 13 C differences (Δ 13 C SIMS-GSMS ) were determined via paired analysis of hydrogen peroxide-cleaned fragments of modern cultured specimens and of fossil specimens from deep-sea sediments that were either untreated, sonicated, and cleaned with hydrogen peroxide or vacuum roasted. After treatment, fragments were analyzed by a CAMECA IMS 1280 SIMS instrument and either a ThermoScientific MAT-253 or a Fisons Optima isotope ratio mass spectrometer (GSMS). Results: Paired analyses of cleaned fragments of cultured specimens ( n = 7) yield no SIMS–GSMS δ 13 C difference. However, paired analyses of untreated ( n = 18) and cleaned ( n = 12) fragments of fossil shells yield average Δ 13 C SIMS-GSMS values of 0.8‰ and 0.6‰ (±0.2‰, 2 SE), respectively, while vacuum roasting of fossil shell fragments ( n = 11) removes the SIMS–GSMS δ 13 C difference. Conclusions: The noted Δ 13 C SIMS-GSMS values are most likely due to matrix effects causing sample–standard mismatch for SIMS analyses but may also be a combination of other factors such as SIMS measurement of chemically bound water. The volume of material analyzed via SIMS is ~10 5 times smaller than that analyzed by GSMS; hence, the extent to which these Δ 13 C SIMS-GSMS values represent differences in analyte or instrument factors remains unclear.

Rapid Communications in Mass Spectrometry

Variation and controls of sediment oxygen demand in backwater lakes of the Upper Mississippi River during winter

Many ecological processes affect the availability of winter dissolved oxygen (DO) concentrations in rivers, a key feature of overwintering fish habitat. Sediment oxygen demand (SOD) contributes to DO depletion, particularly during ice-covered periods, and may cause hypoxic conditions in backwater lakes, affecting the availability of suitable overwintering habitat. Understanding the drivers of SOD on habitat conditions during winter is critical for the management of the Upper Mississippi River System (UMRS). We measured SOD rates in three different habitat types (shallow, non-vegetated; deep, non-vegetated; and vegetated) within 12 backwater lakes in Pools 4, Pool 8, and Pool 13 of the UMRS in January and February 2022. Sediment physicochemical characteristics were measured to identify potential drivers of winter SOD rates. Measured SOD rates ranged from 0.04–0.44 g O 2 /(m 2 d) at in situ temperatures, and 0.14–1.46 g O 2 /(m 2 d) when corrected to 20°C. There were no statistically significant relations between in situ SOD and most sediment characteristics. SOD was positively associated with aquatic vegetation presence and negatively associated with sediment pH, water depth, flow velocity, and ice depth. SOD was typically higher at vegetated sites with lower flow velocity, with four of the five highest SOD rates measured at vegetated sites. Vegetation presence, depth, and flow velocity played greater roles in controlling SOD rates than sediment characteristics. Additionally, DO concentrations near the sediment–water interface at deep sites (> 1.5 m) were much lower than DO concentrations 0.2 m under the water surface, indicating that SOD was influencing DO concentrations and may be affecting overwintering habitat in backwater lakes.

Illinois, Iowa, Minnesota, Missouri, Wisconsin

Size, growth, and size‐selective mortality of subyearling Chinook Salmon during early marine residence in Puget Sound

In marine ecosystems, survival can be heavily influenced by size‐selective mortality during juvenile life stages. Understanding how and when size‐selective mortality operates on a population can reveal underlying growth dynamics and size‐selective ecological processes affecting the population and thus can be used to guide conservation efforts. For subyearling Chinook Salmon Oncorhynchus tshawytscha in Puget Sound, previous research reported a strong positive relationship between marine survival and body mass during midsummer in epipelagic habitats within Puget Sound, suggesting that early marine growth drives survival. However, a fine‐scale analysis of size‐selective mortality is needed to identify specific critical growth periods and habitats. The objectives of this study were to (1) describe occupancy patterns across estuarine delta, nearshore marine, and offshore epipelagic habitats in Puget Sound; (2) describe changes in FL and weight observed across habitats and time; (3) evaluate evidence for size‐selective mortality; and (4) illustrate how marine survival of the stocks studied may be affected by variation in July weight. In 2014 and 2015, we sampled FLs, weights, and scales from seven hatchery‐origin and two natural‐origin stocks of subyearling Chinook Salmon captured every 2 weeks during out‐migration and rearing in estuary, nearshore, and offshore habitats within Puget Sound. Natural‐origin stocks had more protracted habitat occupancy patterns than hatchery‐origin stocks and were smaller than hatchery‐origin stocks in both years. Regardless of origin, subyearlings were longer and heavier and grew faster in offshore habitats compared to estuary and nearshore habitats. For all stocks, we found little evidence of size‐selective mortality among habitats in Puget Sound. These patterns were consistent in both years. Finally, the weights of subyearlings sampled during July in the offshore habitat predicted Puget Sound‐wide marine survival rates of 0.4% for 2014 and 2.0% for 2015, with stock‐specific predictions ranging from 0.18% to 11.70%.

Washington

Rangeland songbirds

Songbirds that occur across the diverse types of North American rangelands constitute many families within the Order Passeriformes, and hundreds of species. Most are declining, and many are considered potential indicator species for rangeland ecosystems. We synthesized information on the natural and life history, habitat requirements, conservation status, and responses to management of songbirds associated with North American grasslands and sagebrush steppe, two of the most geographically extensive types of rangelands. We provide a more targeted examination of the habitat associations and management considerations for two focal species, the grassland-obligate grasshopper sparrow ( Ammodramus savannarum ) and sagebrush-obligate Brewer’s sparrow ( Spizella breweri ). Grassland- and sagebrush-obligate species rely on expansive stands of grasslands and sagebrush, respectively, and we discuss how key ecological processes and rangeland management approaches—grazing, fire, and mechanical treatments—influence rangeland songbirds. Rangeland management practices can affect breeding songbirds considerably, primarily through the resultant structure and composition of vegetation, which influences the availability of preferred nesting substrates, refugia from predators, and foraging success. Optimal management strategies to limit negative consequences to rangeland songbirds will depend on the target species and local topoedaphic and climatic conditions. The maintenance of large, contiguous patches of native habitats and restoration of previously degraded areas will help facilitate the population persistence of rangeland-associated songbirds. Maintaining structural heterogeneity of habitats within landscapes, moreover, can facilitate local species diversity. Information pertaining to periods outside of the nesting stage is severely lacking for most species, which is concerning because effective management necessitates understanding of threats and limiting factors across the full annual life cycle. Moreover, information on disease effects and prevalence, the effects of a changing climate, and how both may interact with management strategies, also comprise key gaps in knowledge.

Book chapter

Advancing mangrove macroecology

Mangrove forests provide a wide range of ecosystem services to society, yet they are among the most anthropogenically impacted coastal ecosystems in the world. In this chapter, we discuss and provide examples for how macroecology can advance our understanding of mangrove ecosystems. Macroecology is broadly defined as a discipline that uses statistical analyses to investigate large-scale, universal patterns in the distribution, abundance, diversity, and organization of species and ecosystems, including the scaling of ecological processes and structural and functional relationships. Macroecological methods can be used to advance our understanding of how non-linear responses in natural systems can be triggered by human impacts at local, regional, and global scales. Although macroecology has the potential to gain knowledge on universal patterns and processes that govern mangrove ecosystems, the application of macroecological methods to mangroves has historically been limited by constraints in data quality and availability. Here we provide examples that include evaluations of the variation in mangrove forest ecosystem structure and function in relation to macroclimatic drivers (e.g., temperature and rainfall regimes) and climate change. Additional examples include work focused upon the continental distribution of aboveground net primary productivity and carbon storage, which are rapidly advancing research areas. These examples demonstrate the value of a macroecological perspective for the understanding of global- and regional-scale effects of both changing environmental conditions and management actions on ecosystem structure, function, and the supply of goods and services. We also present current trends in mangrove modeling approaches and their potential utility to test hypotheses about mangrove structural and functional properties. Given the gap in relevant experimental work at the regional scale, we also discuss the potential use of mangrove restoration and rehabilitation projects as macroecological studies that advance the critical selection and conservation of ecosystem services when managing mangrove resources. Future work to further incorporate macroecology into mangrove research will require a concerted effort by research groups and institutions to launch research initiatives and synthesize data collected across broad biogeographic regions.

Book chapter

Assessing and measuring wetland hydrology

Virtually all ecological processes that occur in wetlands are influenced by the water that flows to, from, and within these wetlands. This chapter provides the “how-to” information for quantifying the various source and loss terms associated with wetland hydrology. The chapter is organized from a water-budget perspective, with sections associated with each of the water-budget components that are common in most wetland settings. Methods for quantifying the water contained within the wetland are presented first, followed by discussion of each separate component. Measurement accuracy and sources of error are discussed for each of the methods presented, and a separate section discusses the cumulative error associated with determining a water budget for a wetland. Exercises and field activities will provide hands-on experience that will facilitate greater understanding of these processes.

Book chapter

Natural fire management in national parks

An evolving understanding of ecological processes, together with ambiguities in National Park Service policy, have led to multiple interpretations of the role of management in our large natural area National Parks. National Park Service management policies must be dynamic and responsive to changes in scientific knowledge and societal values. We propose that the principal aim of NPS resource management in natural areas is the unimpeded interaction of native ecosystem processes and structural elements. The case of the changing role of natural fire management is used as an example in developing this rationale.

Environmental Management

Numerical modeling of the impact of sea-level rise on fringing coral reef hydrodynamics and sediment transport

Most climate projections suggest that sea level may rise on the order of 0.5-1.0 m by 2100; it is not clear, however, how fluid flow and sediment dynamics on exposed fringing reefs might change in response to this rapid sea-level rise. Coupled hydrodynamic and sediment-transport numerical modeling is consistent with recent published results that suggest that an increase in water depth on the order of 0.5-1.0 m on a 1-2 m deep exposed fringing reef flat would result in larger significant wave heights and setup, further elevating water depths on the reef flat. Larger waves would generate higher near-bed shear stresses, which, in turn, would result in an increase in both the size and the quantity of sediment that can be resuspended from the seabed or eroded from adjacent coastal plain deposits. Greater wave- and wind-driven currents would develop with increasing water depth, increasing the alongshore and offshore flux of water and sediment from the inner reef flat to the outer reef flat and fore reef where coral growth is typically greatest. Sediment residence time on the fringing reef flat was modeled to decrease exponentially with increasing sea-level rise as the magnitude of sea-level rise approached the mean water depth over the reef flat. The model results presented here suggest that a 0.5-1.0 m rise in sea level will likely increase coastal erosion, mixing and circulation, the amount of sediment resuspended, and the duration of high turbidity on exposed reef flats, resulting in decreased light availability for photosynthesis, increased sediment-induced stress on the reef ecosystem, and potentially affecting a number of other ecological processes.

Coral Reefs