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At least 199 records · Page 11Linked to original sources

Survival and immobilizing moose with carfentanil and xylazine

The use of carfentanil with other drugs to immobilize moose (Alces alces) has yielded mixed results. Previous work on chemically immobilizing moose with these drugs reported mortality of 6–19%. Even the most recent study of free-ranging moose using the same drug combination as we used in this report (carfentanil and xylazine) had 6% mortality within several days of immobilization. Another recent study suggested that carfentanilxylazine produced unsatisfactory results in moose through exacerbated mortality risks induced by xylazine. As part of an ongoing study of carnivore effects on moose populations, we chemically immobilized 48 moose (41 adult females, one immature male, 6 calves) by charge-powered dart. Low-stress techniques were used, including quiet ground stalks by one individual and use of blindfolds and low noise during processing. On our few aerial captures we immediately withdrew the helicopter once the dart was placed and landed during induction. We found that capture-related mortality can be minimized by using effective immobilization dosages that maintain sternal recumbency, by providing naltrexone by intramuscular and subcutaneous routes, by effectively antagonizing xylazine, and by using low-stress techniques. Female moose survival was diminished when body condition was below a threshold, and some mortality occurred, likely due to poor condition per se and not as a direct result of immobilization. We provide a field protocol and drug doses that wildlife managers can use to safely immobilize moose.

Wildlife Society Bulletin

Novel observations of larval fire survival, feeding behavior, and host plant use in the regal fritillary, Speyeria idalia (Drury) (Nymphalidae)

Speyeria idalia is a prairie specialist that has experienced dramatic population declines throughout its range. Speyeria idalia is nearly extirpated from the eastern portion of its former range; however, populations within Kansas are relatively stable. We made several previously undescribed field observations of late-instar larvae and post-diapause female S. idalia in northeastern Kansas during 2014–2016. We report finding late-instar larvae at locations that were burned within weeks of detection. The observations of larvae shortly following a burn suggests that S . idalia larvae are capable of surviving fire and contradicts our current knowledge of this species. Additionally, we describe a feeding behavior characteristic of late-instar larvae. Larvae observed in the field and lab stripped leaves of host plants leaving only stems. This strip-style feeding behavior provided unique feeding evidence that was valuable to detecting the presence of larvae in the field. Finally, we documented larvae and post-diapause, egg depositing females using Viola sororia. The use of this relatively widespread and common plant by S. idalia populations in the Central Great Plains has only been implicitly documented but may have important conservation implications. These novel observations further our knowledge of the ecology of this imperiled species and provide timely information that may improve research and conservation management efforts directed toward S . idalia populations.

Journal of the Lepidopterists' Society

Evaluating shading bias in malaise and intercept traps

Foresters are increasingly focusing on landscape level management regimes. At the landscape level, managed acreage may differ substantially in structure and micro-climatic conditions. Trapping is a commonly used method to evaluate changes in insect communities across landscapes. Among those trapping techniques, Malaise and window-pane traps are conveniently deployed to collect large numbers of insects for relative estimates of density. However, the catch within traps may be affected by a wide range of environmental variables including trap location, height, and factors such as exposure to sunlight and temperature. Seven experiments were conducted from 1996 through 2000 to evaluate the effects of shading on trap catch of a variety of Malaise trap designs and one window-pane trap design. Overall, differences in shading effects on trap catch were detected across different traps and taxa and suggested that, in general, more insects are collected in traps that were in direct sunlight. The effect of shading varied from a reduction in trap catch of 10 % to an increase of 7%, the results depended on trap color. Diptera, Coleoptera, and Homoptera were most likely to exhibit this bias. In contrast, trap catch of the Hymenoptera was the most variable and appeared to be sensitive to factors that might interact with sun/shade conditions

Journal of the Acadian Entolomgical Society

Spatial variability of Chinook salmon spawning distribution and habitat preferences

We investigated physical habitat conditions associated with the spawning sites of Chinook Salmon Oncorhynchus tshawytscha and the interannual consistency of spawning distribution across multiple spatial scales using a combination of spatially continuous and discrete sampling methods. We conducted a census of aquatic habitat in 76 km of the upper main-stem Yakima River in Washington and evaluated spawning site distribution using redd survey data from 2004 to 2008. Interannual reoccupation of spawning areas was high, ranging from an average Pearson’s correlation of 0.62 to 0.98 in channel subunits and 10-km reaches, respectively. Annual variance in the interannual correlation of spawning distribution was highest in channel units and subunits, but it was low at reach scales. In 13 of 15 models developed for individual years (2004–2008) and reach lengths (800 m, 3 km, 6 km), stream power and depth were the primary predictors of redd abundance. Multiple channels and overhead cover were patchy but were important secondary and tertiary predictors of reach-scale spawning site selection. Within channel units and subunits, pool tails and thermal variability, which may be associated with hyporheic exchange, were important predictors of spawning. We identified spawning habitat preferences within reaches and channel units that are relevant for salmonid habitat restoration planning. We also identified a threshold (i.e., 2-km reaches) beyond which interannual spawning distribution was markedly consistent, which may be informative for prioritizing habitat restoration or conservation. Management actions may be improved through enhanced understanding of spawning habitat preferences and the consistency with which Chinook Salmon reoccupy spawning areas at different spatial scales.

Washington

Survival implications of diversion entrainment for outmigrating juvenile Chinook Salmon (Oncorhynchus tshawytscha) and steelhead (O. mykiss)

Efforts to ameliorate negative effects of diversion dams on aquatic species of concern are important in rivers where water withdrawal supports agricultural economies and are likely to become increasingly important with impending climate change. A multiyear study was conducted to evaluate the survival consequences of diversion dam passage for juvenile Chinook Salmon ( Oncorhynchus tshawytscha ) and steelhead ( O. mykiss ) in the highly managed Yakima River, Washington. Canal entrainment and passage were evaluated at four diversion dams encountered by seaward migrating juvenile salmon and steelhead. Fish pass dams via spillbays or enter canals with downstream fish-screening facilities designed to collect entrained fish and return them to the mainstem river. Percent entrainment into canals was substantial (6–59%) at three of the four diversion dams studied, and entrainment probability was positively associated with the proportion of streamflow diverted into canals. Survival probability estimates for groups of tagged fish that were entrained into canals were lower than survival probability estimates for tagged fish that passed through spillbays on the dams. Absolute differences in survival probabilities between routes ranged from 0.099 to 0.369, demonstrating that canal entrainment reduced survival of outmigrating juvenile Chinook Salmon and steelhead. We also found that entrainment resulted in migration delays, which could further affect survival because fish are increasingly exposed to predation and decreased water quality as water temperature increases throughout the migration season. These results highlight the need to limit entrainment of juvenile salmon and steelhead at diversion dams in rivers where salmon recovery is important.

Washington

Observer error structure in bull trout redd counts in Montana streams: Implications for inference on true redd numbers

Despite the widespread use of redd counts to monitor trends in salmonid populations, few studies have evaluated the uncertainties in observed counts. We assessed the variability in redd counts for migratory bull trout Salvelinus confluentus among experienced observers in Lion and Goat creeks, which are tributaries to the Swan River, Montana. We documented substantially lower observer variability in bull trout redd counts than did previous studies. Observer counts ranged from 78% to 107% of our best estimates of true redd numbers in Lion Creek and from 90% to 130% of our best estimates in Goat Creek. Observers made both errors of omission and errors of false identification, and we modeled this combination by use of a binomial probability of detection and a Poisson count distribution of false identifications. Redd detection probabilities were high (mean = 83%) and exhibited no significant variation among observers (SD = 8%). We applied this error structure to annual redd counts in the Swan River basin (1982–2004) to correct for observer error and thus derived more accurate estimates of redd numbers and associated confidence intervals. Our results indicate that bias in redd counts can be reduced if experienced observers are used to conduct annual redd counts. Future studies should assess both sources of observer error to increase the validity of using redd counts for inferring true redd numbers in different basins. This information will help fisheries biologists to more precisely monitor population trends, identify recovery and extinction thresholds for conservation and recovery programs, ascertain and predict how management actions influence distribution and abundance, and examine effects of recovery and restoration activities.

Montana

Validation of daily ring deposition in the otoliths of age-0 channel catfish

We developed and validated methods for estimating the daily age of age-0 channel catfish Ictalurus punctatus. Two clutches of channel catfish eggs were hatched in the laboratory; subsequently, one was stocked in a 186-m2 earthen nursery pond and the other in a 757-L outdoor circular tank. Before stocking, subsamples of fish were collected at swim-up and 3 d after swim-up to evaluate early ring formation. Fish were sampled from the pond and tank on eight occasions ranging from 30 to 119 d posthatch. Distinct differences in early ring formation were found between yolk sac and free-swimming larval stages. Mean ring count and known age were closely related for tank- and pond-raised fish, indicating that daily ring deposition occurred in the otoliths of age-0 channel catfish up to 119 d posthatch. The accuracy of daily age estimation was similar between tank and pond samples, and daily ring counts were considerably accurate up to 60 d posthatch. Pond-raised fish were more difficult to age than tank-raised fish, which we attributed to ring compression resulting from slower growth among pond-raised fish after 30 d. The total length of tank- and pond-raised fish was positively related to otolith size; however, the slopes of the relationships between fish length and otolith radius were different between treatments. Therefore, we could not confirm that the relationship between fish length and otolith size was directly proportional for age-0 channel catfish. We encourage researchers to use this aging technique to determine how abiotic and biotic factors influence early life history characteristics and ultimately the population dynamics of catfishes (Ictaluridae). ?? Copyright by the American Fisheries Society 2008.

North American Journal of Fisheries Management

Engaging the user community for advancing societal applications of the Surface Water Ocean Topography mission

Scheduled for launch in 2021, the Surface Water and Ocean Topography (SWOT) mission will be a truly unique mission that will provide high-temporal-frequency maps of surface water extents and elevation variations of global water bodies (lakes/reservoirs, rivers, estuaries, oceans, and sea ice) at higher spatial resolution than is available with current technologies (Biancamaria et al. 2016; Alsdorf et al. 2007). The primary instrument on SWOT is based on a Ka-band radar interferometer (KaRIN), which uses radar interferometery technology. The satellite will fly two radar antennas at either end of a 10-m (33 ft) mast, allowing it to measure the elevation of the surface along a 120-km (75 mi)-wide swath below. The availability of high-frequency and high-resolution maps of elevations and extents for surface water bodies and oceans will present unique opportunities to address numerous societally relevant challenges around the globe (Srinivasan et al. 2015). These opportunities may include such diverse and far-ranging applications as fisheries management, flood inundation mapping/risk mitigation/forecasting, wildlife conservation, global data assimilation for improving forecast of ocean tides and weather, reservoir management, climate change impacts and adaptation, and river discharge estimation, among others. Although SWOT is a research mission and not scheduled for launch for another 4 years, there is a need to build engagement within the application community now and to explore how best to advance the societal relevance and benefits of the SWOT mission from concept to reality. The SWOT Applications Working Group organized a workshop on 5–6 April 2017 at the U.S. Geological Survey (USGS) headquarters in Reston, Virginia. The goal of the workshop was to understand and communicate how the applications community can use SWOT data to address problems of profound societal relevance.

Bulletin of the American Meteorological Society

Concurrent assessment of epidemiological and operational uncertainties for optimal outbreak control: Ebola as a case study

Determining how to best manage an epidemiological outbreak may be hindered by both epidemiological uncertainty (i.e. about epidemiological processes) and operational uncertainty (i.e. about the effectiveness of candidate interventions). These two uncertainties are rarely addressed concurrently in epidemic studies, impeding decision-making. We present an approach to simultaneously address both sources of uncertainty. Epidemiological uncertainty is represented by a large ensemble of models of the 2014 West African Ebola outbreak. Operational uncertainty about the effectiveness of three classes of intervention is assessed for a wide range of potential effectiveness for each intervention. We ranked each intervention in terms of caseload reduction in each model, initially assuming an unlimited budget. To explore the role of budget limitation, we assessed the influence of three candidate cost functions relating intervention effectiveness and cost for different budget levels. The Value of Information (VoI) to resolve uncertainty is generally high in this study; appropriate information gain could reduce expected caseload by more than 50%. The ranking of interventions is jointly determined by the underlying epidemiological process, the effectiveness of the interventions and the size of the budget available for the program. An epidemiologically effective intervention might not be optimal if its costs outweigh its epidemiological benefit. Under higher budget conditions, resolution of epidemiological uncertainty is most valuable. When budgets are tight, however, operational and epidemiological uncertainty are equally important. Overall, our study demonstrates that significant public health improvements could result from a careful examination of both epidemiological and operational uncertainties within the same modelling structure. This approach can be applied to decision-making for management of other diseases for which multiple models and multiple interventions are available.

Proceedings of the Royal Society B

Variability and regulation of denitrification in an Upper Mississippi River backwater

Sediments in the backwaters of the Upper Mississippi River (UMR) are highly organic and provide an optimal environment for N removal. We monitored an 8.6-ha UMR backwater site near La Crosse, Wisconsin, for nearly 3 y to assess temporal variability, seasonal trends, and the factors regulating denitrification. We measured rates of unamended denitrification (DEN) and denitrification enzyme activity (DEA) rates at ambient temperature and DEA at 30 degrees C (DEA30). Seasonal mean (+/- 1 SE) DEN rates ranged from 0.041 +/- 0.015 to 0.47 +/- 0.23 mu g N cm(-2) h(-1)and were highest in winter and lowest in autumn. Seasonal rates of DEA exhibited a different pattern with the highest rates in summer (25.6 +/- 3.4 mu g N cm(-2) h(-1)) and the lowest rates in winter (10.6 +/- 2.1 mu g N cm(-2) h(-1)). The overall mean DEA30 rate was 31.0 +/- 1.9 mu g N cm(-2) h(-1) but showed no significant seasonal pattern. Short-term (weekly) and seasonal variability exhibited by rates of DEN and DEA were best explained by water-column NO3- concentration and temperature, respectively. No environmental variables explained a significant amount of variability in DEA30. Our results suggest that nutrient (i.e., NO3-) availability and temperature are both regulators of denitrification, with NO3- concentration being the most important limiting factor in this system. The high DEN rates during winter were in response to elevated NO3- concentrations resulting from a chain reaction beginning with algal blooms creating oxic conditions that stimulated nitrification. Increasing hydrological connectivity in large rivers as a river management tool to reduce N flux to downstream areas may be beneficial.

Journal of the North American Benthological Societ

Misidentification of freshwater mussel species (Bivalvia:Unionidae): Contributing factors, management implications, and potential solutions

Surveys of freshwater mussel populations are used frequently to inform conservation decisions by providing information about the status and distribution of species. It is generally accepted that not all mussels or species are collected during surveys, and incomplete detection of individuals and species can bias data and can affect inferences. However, considerably less attention has been given to the potential effects of species misidentification. To evaluate the prevalence of and potential reasons for species misidentification, we conducted a laboratory-based identification exercise and quantified the relationships between mussel species characteristics, observer experience, and misidentification rate. We estimated that misidentification was fairly common, with rates averaging 27% across all species and ranging from 0 to 56%, and was related to mussel shell characteristics and observer experience. Most notably, species with shell texturing were 6.09× less likely than smooth-shelled species to be misidentified. Misidentification rates declined with observer experience, but for many species the risk of misidentification averaged >10% even for observers with moderate levels of experience (5–6 y). In addition, misidentification rates among observers showed substantial variability after controlling for experience. Our results suggest that species misidentification may be common in field surveys of freshwater mussels and could potentially bias estimates of population status and trends. Misidentification rates possibly could be reduced through use of regional workshops, testing and certification programs, and the availability of archived specimens and tissue samples in museum collections.

Journal of the North American Benthological Societ

Quantifying uncertainty and tradeoffs in resilience assessments

Several frameworks have been developed to assess the resilience of social-ecological systems, but most require substantial data inputs, time, and technical expertise. Stakeholders and practitioners often lack the resources for such intensive efforts. Furthermore, most end with problem framing and fail to explicitly address trade-offs and uncertainty. To remedy this gap, we developed a rapid survey assessment that compares the relative resilience of social-ecological systems with respect to a number of resilience properties. This approach generates large amounts of information relative to stakeholder inputs. We targeted four stakeholder categories: government (policy, regulation, management), end users (farmers, ranchers, landowners, industry), agency/public science (research, university, extension), and NGOs (environmental, citizen, social justice) in four North American watersheds, to assess social-ecological resilience through surveys. Conceptually, social-ecological systems are comprised of components ranging from strictly human to strictly ecological, but that relate directly or indirectly to one another. They have soft boundaries and several important dimensions or axes that together describe the nature of social-ecological interactions, e.g., variability, diversity, modularity, slow variables, feedbacks, capital, innovation, redundancy, and ecosystem services. There is no absolute measure of resilience, so our design takes advantage of cross-watershed comparisons and therefore focuses on relative resilience. Our approach quantifies and compares the relative resilience across watershed systems and potential trade-offs among different aspects of the social-ecological system, e.g., between social, economic, and ecological contributions. This approach permits explicit assessment of several types of uncertainty (e.g., self-assigned uncertainty for stakeholders; uncertainty across respondents, watersheds, and subsystems), and subjectivity in perceptions of resilience among key actors and decision makers and provides an efficient way to develop the mental models that inform our stakeholders and stakeholder categories.

Ecology and Society

Comparing protein and energy status of winter-fed white-tailed deer

Although nutritional status in response to controlled feeding trials has been extensively studied in captive white-tailed deer (Odocoileus virginianus), there remains a considerable gap in understanding the influence of variable supplemental feeding protocols on free-ranging deer. Consequently, across the northern portion of the white-tailed deer range, numerous property managers are investing substantial resources into winter supplemental-feeding programs without adequate tools to assess the nutritional status of their populations. We studied the influence of a supplemental winter feeding gradient on the protein and energy status of free-ranging white-tailed deer in the Adirondack Mountains of New York. We collected blood and fecal samples from 31 captured fawns across 3 sites that varied considerably in the frequency, quantity, and method of supplemental feed distribution. To facilitate population-wide comparisons, we collected fresh fecal samples off the snow at each of the 3 sites with supplemental feeding and 1 reference site where no feeding occurred. Results indicated that the method of feed distribution, in addition to quantity and frequency, can affect the nutritional status of deer. The least intensively fed population showed considerable overlap in diet quality with the unfed population in a principal components ordination, despite the substantial time and financial resources invested in the feeding program. Data from fecal samples generally denoted a gradient in diet quality and digestibility that corresponded with the availability of supplements. Our results further demonstrated that fecal nitrogen and fecal fiber, indices of dietary protein and digestibility, can be estimated using regressions of fecal pellet mass, enabling a rapid qualitative assessment of diet quality.

Wildlife Society Bulletin

Spatial and temporal Brook Trout density dynamics: Implications for conservation, management, and monitoring

Many potential stressors to aquatic environments operate over large spatial scales, prompting the need to assess and monitor both site-specific and regional dynamics of fish populations. We used hierarchical Bayesian models to evaluate the spatial and temporal variability in density and capture probability of age-1 and older Brook Trout Salvelinus fontinalis from three-pass removal data collected at 291 sites over a 37-year time period (1975–2011) in Pennsylvania streams. There was high between-year variability in density, with annual posterior means ranging from 2.1 to 10.2 fish/100 m 2 ; however, there was no significant long-term linear trend. Brook Trout density was positively correlated with elevation and negatively correlated with percent developed land use in the network catchment. Probability of capture did not vary substantially across sites or years but was negatively correlated with mean stream width. Because of the low spatiotemporal variation in capture probability and a strong correlation between first-pass CPUE (catch/min) and three-pass removal density estimates, the use of an abundance index based on first-pass CPUE could represent a cost-effective alternative to conducting multiple-pass removal sampling for some Brook Trout monitoring and assessment objectives. Single-pass indices may be particularly relevant for monitoring objectives that do not require precise site-specific estimates, such as regional monitoring programs that are designed to detect long-term linear trends in density.

Pennsylvania

Sources and transformations of nitrate from streams draining varying land uses: Evidence from dual isotope analysis

Knowledge of key sources and biogeochemical processes that affect the transport of nitrate (NO 3 - ) in streams can inform watershed management strategies for controlling downstream eutrophication. We applied dual isotope analysis of NO 3 - to determine the dominant sources and processes that affect NO 3 - concentrations in six stream/river watersheds of different land uses. Samples were collected monthly at a range of flow conditions for 15 mo during 2004-05 and analyzed for NO 3 - concentrations, ?? 15 N NO3 , and ?? 18 O NO3 . Samples from two forested watersheds indicated that NO 3 - derived from nitrification was dominant at baseflow. A watershed dominated by suburban land use had three ?? 18 O NO3 values greater than +25???, indicating a large direct contribution of atmospheric NO 3 - transported to the stream during some high flows. Two watersheds with large proportions of agricultural land use had many ?? 15 N NO3 values greater than +9???, suggesting an animal waste source consistent with regional dairy farming practices. These data showed a linear seasonal pattern with a ?? 18 O NO3 :?? 15 N NO3 of 1:2, consistent with seasonally varying denitrification that peaked in late summer to early fall with the warmest temperatures and lowest annual streamflow. The large range of ?? 15 N NO3 values (10???) indicates that NO 3 - supply was likely not limiting the rate of denitrification, consistent with ground water and/or in-stream denitrification. Mixing of two or more distinct sources may have affected the seasonal isotope patterns observed in these two agricultural streams. In a mixed land use watershed of large drainage area, none of the source and process patterns observed in the small streams were evident. These results emphasize that observations at watersheds of a few to a few hundred km 2 may be necessary to adequately quantify the relative roles of various NO 3 - transport and process patterns that contribute to streamflow in large basins. Copyright ?? 2009 by the American Society of Agronomy, Crop Science Society of America, and Soil Science Society of America. All rights reserved.

Journal of Environmental Quality

Modeling marbled murrelet (Brachyramphus marmoratus) habitat using LiDAR-derived canopy data

LiDAR (Light Detection And Ranging) is an emerging remote-sensing tool that can provide fine-scale data describing vertical complexity of vegetation relevant to species that are responsive to forest structure. We used LiDAR data to estimate occupancy probability for the federally threatened marbled murrelet ( Brachyramphus marmoratus ) in the Oregon Coast Range of the United States. Our goal was to address the need identified in the Recovery Plan for a more accurate estimate of the availability of nesting habitat by developing occupancy maps based on refined measures of nest-strand structure. We used murrelet occupancy data collected by the Bureau of Land Management Coos Bay District, and canopy metrics calculated from discrete return airborne LiDAR data, to fit a logistic regression model predicting the probability of occupancy. Our final model for stand-level occupancy included distance to coast, and 5 LiDAR-derived variables describing canopy structure. With an area under the curve value (AUC) of 0.74, this model had acceptable discrimination and fair agreement (Cohen's κ = 0.24), especially considering that all sites in our sample were regarded by managers as potential habitat. The LiDAR model provided better discrimination between occupied and unoccupied sites than did a model using variables derived from Gradient Nearest Neighbor maps that were previously reported as important predictors of murrelet occupancy (AUC = 0.64, κ = 0.12). We also evaluated LiDAR metrics at 11 known murrelet nest sites. Two LiDAR-derived variables accurately discriminated nest sites from random sites (average AUC = 0.91). LiDAR provided a means of quantifying 3-dimensional canopy structure with variables that are ecologically relevant to murrelet nesting habitat, and have not been as accurately quantified by other mensuration methods.

Oregon

Broadscale population structure and hatchery introgression of Midwestern brook trout: Midwestern brook trout population genetics

Brook Trout Salvelinus fontinalis have faced significant declines throughout their native range and have been stocked in Midwestern waters since the late 1800s to offset such losses. Several studies have investigated the genetic effects of these stockings, but these efforts have been confined to relatively small spatial scales. In this study, we compiled 8,454 Brook Trout microsatellite genotypes from 188 wild Midwestern populations and 26 hatchery strains to provide novel insights of broadscale population structure, regional patterns of genetic diversity, and estimates of hatchery introgression for inland Wisconsin populations. Our results indicate high levels of differentiation among our study populations, a lack of hydrological population structuring, lower estimates of genetic diversity in the Driftless Area, and that hatchery introgression has been largely confined to regions of inland Wisconsin that have been heavily affected by anthropogenic disturbances (i.e., the Driftless Area). We also provide evidence that populations may be able to purge hatchery‐derived alleles, discuss possible mechanisms behind this phenomenon, and consider their relevance to accurate estimation of hatchery introgression. Collectively, these results summarize the genetic effects of over a century of anthropogenic disturbance on native Brook Trout populations and emphasize the importance of integrating historical data into contemporary genetic research of intensively managed species.

Iowa, Minnesota, Wisconsin

Evaluating Muskellunge catch-and-release mortality at elevated summer water temperature

Angling for Muskellunge Esox masquinongy has become widespread and increasingly popular. Management strategies for Muskellunge include high minimum harvest lengths (>1016mm), closed seasons, and catch-and-release regulations. Due to these strategies and angler behaviors, up to 97% of Muskellunge caught are released, and anglers assume these fish survive to be caught again in the future. Previous research on catch-and-release mortality for Muskellunge has suggested relatively low mortality rates (0%-5%). However, these studies were all conducted within the range of water temperatures that are thermally optimal for Muskellunge and generally at water temperatures <25°C. Muskellunge populations in some latitudes routinely experience temperatures >25°C during the summer months. Fisheries managers and anglers have expressed concerns regarding warm water angling mortality, representing a need to evaluate mortality rates at various water temperatures and multiple latitudes. Our objective was to quantify warm-water (>25°C) catch-and-release mortality rates in Muskellunge (>760mm) and identify factors influencing mortality using experimental ponds. Adult Muskellunge (n=102) were stocked into eight earthen or plastic lined flow-through ponds (0.06-0.71 ha) at densities of <16 fish/ha. Muskellunge (n=50) were angled utilizing specialized Muskellunge fishing gear at water temperatures of 19.6–32.6°C, with 32 fish being caught at temperatures >25°C. Fish were closely monitored for 2 weeks after being angled to assess mortality, and fish that remained uncaught during the experiment were used as controls (n=53). Mortality was greater for angled (30.0%) compared to control fish (11.3%). Differences in catch-and-release mortality were compared across a range of temperature regimes using firth's logistic regression. Five-day cumulative temperature and net time were positively related to the probability of mortality, but size and sex were unrelated to mortality. Elevated catch-and-release mortality rates at warm water temperatures warrant investigations into the population level effects at varying levels of exploitation.

Transactions of the American Fisheries Society