Search USGSSearch

SEARCH · Search USGS

Results for “Aggregates Manager”

Search indexed USGS publications on groundwater, aquifers, geologic maps, mineral resources and earthquakes. Explore source records by subject and place.

Quote a phrase for an exact phrase match. Source license links do not imply unrestricted reuse.

At least 217 records · Page 12Linked to original sources

Preliminary Geologic Map of the Lake Mead 30' X 60' Quadrangle, Clark County, Nevada, and Mohave County, Arizona

Introduction The geologic map of the Lake Mead 30' x 60' quadrangle was completed for the U.S. Geological Survey's Las Vegas Urban Corridor Project and the National Parks Project, National Cooperative Geologic Mapping Program. Lake Mead, which occupies the northern part of the Lake Mead National Recreation Area (LAME), mostly lies within the Lake Mead quadrangle and provides recreation for about nine million visitors annually. The lake was formed by damming of the Colorado River by Hoover Dam in 1939. The recreation area and surrounding Bureau of Land Management lands face increasing public pressure from rapid urban growth in the Las Vegas area to the west. This report provides baseline earth science information that can be used in future studies of hazards, groundwater resources, mineral and aggregate resources, and of soils and vegetation distribution. The preliminary report presents a geologic map and GIS database of the Lake Mead quadrangle and a description and correlation of map units. The final report will include cross-sections and interpretive text. The geology was compiled from many sources, both published and unpublished, including significant new mapping that was conducted specifically for this compilation. Geochronologic data from published sources, as well as preliminary unpublished 40Ar/39Ar ages that were obtained for this report, have been used to refine the ages of formal Tertiary stratigraphic units and define new informal Tertiary sedimentary and volcanic units.

Open-File Report

Geologic Map of the Shenandoah National Park Region, Virginia

The geology of the Shenandoah National Park region of Virginia was studied from 1995 to 2008. The focus of the study was the park and surrounding areas to provide the National Park Service with modern geologic data for resource management. Additional geologic data of the adjacent areas are included to provide regional context. The geologic map can be used to support activities such as ecosystem delineation, land-use planning, soil mapping, groundwater availability and quality studies, aggregate resources assessment, and engineering and environmental studies. The study area is centered on the Shenandoah National Park, which is mostly situated in the western part of the Blue Ridge province. The map covers the central section and western limb of the Blue Ridge-South Mountain anticlinorium. The Skyline Drive and Appalachian National Scenic Trail straddle the drainage divide of the Blue Ridge highlands. Water drains northwestward to the South Fork of the Shenandoah River and southeastward to the James and Rappahannock Rivers. East of the park, the Blue Ridge is an area of low relief similar to the physiography of the Piedmont province. The Great Valley section of the Valley and Ridge province is west of Blue Ridge and consists of Page Valley and Massanutten Mountain. The distribution and types of surficial deposits and landforms closely correspond to the different physiographic provinces and their respective bedrock. The Shenandoah National Park is underlain by three general groups of rock units: (1) Mesoproterozoic granitic gneisses and granitoids, (2) Neoproterozoic metasedimentary rocks of the Swift Run Formation and metabasalt of the Catoctin Formation, and (3) siliciclastic rocks of the Lower Cambrian Chilhowee Group. The gneisses and granitoids mostly underlie the lowlands east of Blue Ridge but also rugged peaks like Old Rag Mountain (996 meter). Metabasalt underlies much of the highlands, like Stony Man (1,200 meters). The siliciclastic rocks underlie linear ridges from 800 to 400 meters in altitude. The Page Valley is underlain by Cambrian and Ordovician carbonate rocks. Siliciclastic rocks are mostly west of the South Fork of the Shenandoah River and underlie Massanutten Mountain. Surficial deposits in the highlands include colluvium and debris fans. The lowlands have broad alluvial fans, alluvial plains, and fluvial terraces. Ridges underlain by siliciclastic rocks have abundant boulder fields. Numerous sinkholes and caves are due to the dissolution of the carbonate bedrock.

Open-File Report

Using geospatial analysis to guide marsh restoration in Chesapeake Bay and beyond

Coastal managers are facing imminent decisions regarding the fate of coastal wetlands, given ongoing threats to their persistence. There is a need for objective methods to identify which wetland parcels are candidates for restoration, monitoring, protection, or acquisition due to limited resources and restoration techniques. Here, we describe a new spatially comprehensive data set for Chesapeake Bay salt marshes, which includes the unvegetated-vegetated marsh ratio, elevation metrics, and sediment-based lifespan. Spatial aggregation across regions of the Bay shows a trend of increasing deterioration with proximity to the seaward boundary, coherent with conceptual models of coastal landscape response to sea-level rise. On a smaller scale, the signature of deterioration is highly variable within subsections of the Bay: fringing, peninsular, and tidal river marsh complexes each exhibit different spatial patterns with regards to proximity to the seaward edge. We then demonstrate objective methods to use these data for mapping potential management options on to the landscape, and then provide methods to estimate lifespan and potential changes in lifespan in response to restoration actions as well as future sea level rise. We account for actions that aim to increase sediment inventories, revegetate barren areas, restore hydrology, and facilitate salt marsh migration into upland areas. The distillation of robust geospatial data into simple decision-making metrics, as well as the use of those metrics to map decisions on the landscape, represents an important step towards science-based coastal management.

Chesapeake Bay area

Establishment of a microsatellite genetic baseline for North American Atlantic sturgeon (Acipenser o. oxyrhinchus) and range-wide analysis of population genetics

Atlantic sturgeon ( Acipenser oxyrinchus oxyrinchus ) is a long-lived, anadromous species that is broadly distributed along the Atlantic coast of North America. Historic overharvest and habitat degradation resulted in significant declines to Atlantic sturgeon populations and, following decades of limited recovery, the species was listed under the Endangered Species Act of the United States in 2012. Given continued threats to recovery and limited information about population demography, there is a need for new tools to assist in Atlantic sturgeon conservation. Here, we present a range-wide microsatellite genetic baseline for North American Atlantic sturgeon that is comprised of 2510 individuals from 18 genetically distinct groups collected in 13 rivers and one estuary. Analysis of this baseline suggested that populations from the northern range of Atlantic sturgeon were more highly differentiated than those from the southern extent, where patterns of differentiation were complicated by rivers with genetically distinct spring and fall spawning runs and less geographic distance separating populations. Despite significant demographic bottleneck events, all populations showed at least moderate levels of genetic diversity across a suite of metrics. Additionally, individual-based assignment tests had over 80% accuracy for assigning individuals to their river of origin, highlighting the utility of this baseline for characterizing the composition of mixed-stock aggregations and understanding stock-specific vulnerability and recovery. The expanded spatial coverage of this baseline dataset enabled novel inferences about patterns of genetic differentiation and spawning phenology in Atlantic sturgeon which can be used to support conservation and management efforts.

Atlantic Coast

Phenomenological and mechanistic modeling of recreational angling behavior using creel data

Improved understanding of angling behavior in recreational fisheries can help managers account for partial controllability in systems in which angling effort is not directly regulated. Relevant aspects of angling behavior include fishing participation, site choice, and catch-and-release actions and can be considered at scales of both aggregate fishing effort and individual-decision-making. Using creel survey data collected across eight fishery seasons, we predicted aggregate angling effort (e.g., daily number of boating trips engaged in fishing) and characterized influences of individual trip-based site choice for recreational fisheries acting on fall-run Chinook salmon and coho salmon near the mouth of the Columbia River, United States of America. We applied an overdispersed Poisson likelihood-based generalized linear model with an autoregressive structure to aggregate boating effort and a multinomial logit model to trip-based site choice decisions among separate ocean and estuary fishing zones. Predictive models explained 71% and 79% of out-of-sample and in-sample variability in aggregate effort, respectively, and included the covariates weekend status, Chinook salmon catch rate, tidal range, and pre-season expectations of fish abundance. In addition to reinforcing the importance of Chinook salmon catch rate and tidal range, site choice model selection revealed influences of weather, fishery restrictions, expected fishery season lengths, and the individual-specific characteristics of boat length and guide status on decision-making. Model results provide predictive models for short-term fishery planning, highlight heterogeneity in individual decision-making, and illustrate the value of standardized creel data for evaluating angling behavior.

Oregon

Using cluster analysis to compartmentalize a large managed wetland based on physical, biological, and climatic geospatial attributes

Hierarchical and partitional cluster analyses were used to compartmentalize Water Conservation Area 1, a managed wetland within the Arthur R. Marshall Loxahatchee National Wildlife Refuge in southeast Florida, USA, based on physical, biological, and climatic geospatial attributes. Single, complete, average, and Ward’s linkages were tested during the hierarchical cluster analyses, with average linkage providing the best results. In general, the partitional method, partitioning around medoids, found clusters that were more evenly sized and more spatially aggregated than those resulting from the hierarchical analyses. However, hierarchical analysis appeared to be better suited to identify outlier regions that were significantly different from other areas. The clusters identified by geospatial attributes were similar to clusters developed for the interior marsh in a separate study using water quality attributes, suggesting that similar factors have influenced variations in both the set of physical, biological, and climatic attributes selected in this study and water quality parameters. However, geospatial data allowed further subdivision of several interior marsh clusters identified from the water quality data, potentially indicating zones with important differences in function. Identification of these zones can be useful to managers and modelers by informing the distribution of monitoring equipment and personnel as well as delineating regions that may respond similarly to future changes in management or climate.

Florida

Network of networks: Time series clustering of AmeriFlux sites

Environmental observation networks, such as AmeriFlux, are foundational for monitoring ecosystem response to climate change, management practices, and natural disturbances; however, their effectiveness depends on their representativeness for the regions or continents. We proposed an empirical, time series approach to quantify the similarity of ecosystem fluxes across AmeriFlux sites. We extracted the diel and seasonal characteristics (i.e., amplitudes, phases) from carbon dioxide, water vapor, energy, and momentum fluxes, which reflect the effects of climate, plant phenology, and ecophysiology on the observations, and explored the potential aggregations of AmeriFlux sites through hierarchical clustering. While net radiation and temperature showed latitudinal clustering as expected, flux variables revealed a more uneven clustering with many small (number of sites < 5), unique groups and a few large (> 100) to intermediate (15–70) groups, highlighting the significant ecological regulations of ecosystem fluxes. Many identified unique groups were from under-sampled ecoregions and biome types of the International Geosphere-Biosphere Programme (IGBP), with distinct flux dynamics compared to the rest of the network. At the finer spatial scale, local topography, disturbance, management, edaphic, and hydrological regimes further enlarge the difference in flux dynamics within the groups. Nonetheless, our clustering approach is a data-driven method to interpret the AmeriFlux network, informing future cross-site syntheses, upscaling, and model-data benchmarking research. Finally, we highlighted the unique and underrepresented sites in the AmeriFlux network, which were found mainly in Hawaii and Latin America, mountains, and at under-sampled IGBP types (e.g., urban, open water), motivating the incorporation of new/unregistered sites from these groups.

Agricultural and Forest Meteorology

Spawning behavior in Atlantic cod: analysis by use of data storage tags

Electronic data storage tags (DSTs) were implanted into Atlantic cod captured in Icelandic waters from 2002 to 2007 and the depth profiles recovered from these tags (females: n = 31, males: n = 27) were used to identify patterns consistent with published descriptions of cod courtship and spawning behavior. The individual periods of time that males spent exhibiting behavior consistent with being present in a spawning aggregation&mdash;i.e. periods consisting of a clear tidal signature in the DST depth profile associated with an individual remaining on or near the substrate&mdash;were longer than those of females. Over the course of a spawning season, male cod spent approximately twice the amount of time in spawning aggregations than females, but female cod visited more aggregations per unit time. On average, males participated in approximately 57% more putative spawning events, i.e. vertical ascents potentially corresponding to gamete release, than did females. However, males <85 cm total length participated in the same number of putative spawning events as females of comparable size. In both sexes, larger individuals and/or individuals that spent a longer period of time within an aggregation participated in a larger number of putative spawning events. Although further validation and refinement is necessary, particularly in the identification of spawning events, the ability offered by DSTs to quantify cod spawning behavior may aid in the development of management and conservation plans.

Marine Ecology Progress Series

Running a network on a shoestring: the Global Invasive Species Information Network

The Global Invasive Species Information Network (GISIN) was conceptualized in 2004 to aggregate and disseminate invasive species data in a standardized way. A decade later the GISIN community has implemented a data portal and three of six GISIN data aggregation models in the GISIN data exchange Protocol, including invasive species status information, resource URLs, and occurrence data. The portal is based on a protocol developed by representatives from 15 countries and 27 organizations of the global invasive species information management community. The GISIN has 19 data providers sharing 34,343 species status records, 1,693,073 occurrences, and 15,601 resource URLs. While the GISIN's goal is to be global, much of its data and funding are provided by the United States. Several initiatives use the GISIN as their information backbone, such as the Great Lakes Early Detection Network (GLEDN) and the North American Invasive Species Network (NAISN). Here we share several success stories and organizational challenges that remain.

Management of Biological Invasions

Multi-resource analysis: A proof of concept study of natural resource tradeoffs in the Piceance Basin, Colorado, using the net resources assessment (NetRA) decision support tool

Executive Summary The U.S. Geological Survey (USGS) is developing a multi-resource analysis (MRA) line of products to inform land-use decision makers. Specifically, MRA products will integrate scientific information, include considerations for natural resource interrelations, and quantify the effects of resource management decisions in biophysical, economic, and societal terms. As part of the establishment of the MRA, the USGS, in collaboration with the University of New Mexico, has developed the Net Resources Assessment (NetRA) decision support tool. As a proof of concept analysis, the NetRA was applied to the Piceance basin in Colorado in a hypothetical example to illustrate how resource managers could use the NetRA to consider tradeoffs of natural resources among alternative development plans and land cover patterns within a geographic region. The NetRA is a policy-relevant approach to assess the availability of multiple natural resources. It is an analytical toolset that may be used to examine the spatiotemporal relations between development of energy and mineral resources and delivery of biological natural resources. The NetRA operates at multiple map scales and contains a set of integrated, compatible submodels with specific data requirements for natural resource stocks, engineering economics, biophysical, and ecological data for ecosystem services stocks, market prices, regulations, and nonmarket values. The NetRA includes an explicit process to consider the interdependence between development and conservation, which is a crucial consideration in land-management and land-use decisions. The NetRA is used to estimate an expected net resource value (NRV). The NRV is the expected, present value, economic benefit from the extraction of a resource (for example, natural gas) minus the total cost of production, which is the aggregation of the development, production, and social costs. Social costs include private costs plus any external costs. There can be external social benefits associated with natural gas production, such as increased demand for locally produced goods and increased employment in the local area through backward and forward linkages of natural gas production. The NRV is used to compare development outcomes (scenarios) from a range of exploration and development plans for cumulative energy production. The Piceance basin application of the NetRA uses the NRV to assess the tradeoff between continuous natural gas extraction and the effects to the local populations of Odocoileus hemionus (mule deer) and aquatic species and to consumptive water uses for an area the size and resolution of a USGS energy resource assessment unit. In the proof of concept simulation, the 2.9-square-mile-area of USGS oil and gas assessment unit 50200263 (Piceance basin continuous gas unit of the Mesaverde Total Petroleum System) was gridded into 588 cells. From this area, seven clusters with potential for development and three that cannot be developed were identified; the three clusters that cannot be developed were identified as wilderness study areas, areas of critical environmental concern, and national forests. On the basis of these criteria, there are 118 cells unsuitable for development in the oil and gas assessment unit: 84 are in national forests, 23 are areas of critical environmental concern, and 11 are wilderness study areas. The remaining cells in the oil and gas assessment unit can be developed on both private and public lands. Two scenarios were considered that are distinguished as plan 1 and plan 2. Plan 1 keeps the amount of land disturbance unchanged and limits the number of development locations to 140 grid cells for the production period, which constrains the amount of the energy resources available for development; the plan requires the usage of the Bureau of Land Management (BLM) unsuitability criteria. Plan 2 also limits the number of development locations to 140 grid cells for the production period but provides a constant volume of energy production by increasing the density of well pads within the cells. The effects of plan 2 to the NRV when there are five wells per pad and five pads per square mile happen mostly in the first 5 years of development, even though the effects on the population of mule deer continue in later years. This outcome is the result of the upfront development and investment costs and the initial effect to the ecosystem services.

Colorado

Seasonal changes in ruffe abundance in two Lake Superior tributaries: Implications for control

Since the discovery of ruffe Gymnocephalus cernuus in the St. Louis River in 1987, state, federal, and tribal management agencies have sought to slow its spread to areas outside the western end of Lake Superior. A debate over control strategies highlighted uncertainties about seasonal movements of this species between Lake Superior and its western tributaries. One strategy called for eliminating reproducing populations in tributaries on the periphery of the range using chemical piscicides. That strategy rested on the assumption that ruffe congregate in tributaries during a predictable time of year. This study was designed to explore that assumption. Ruffe collections from the Iron and Sand rivers during 1995 indicated that ruffe were present in those tributaries throughout the summer but that abundance was not highest at the predicted time: June 19&ndash;22. Maximum abundance in the Iron River did not coincide with that in the Sand River and did not occur during June 19&ndash;22 in either river. The timing of peak abundance was not clearly related to changes in water temperature. Ruffe were present in substantial numbers in Lake Superior during June 19&ndash;22 when aggregations in the tributaries had been predicted. These findings do not support the assumption of the chemical control strategy.

North American Journal of Fisheries Management

Crop type classification, trends, and patterns of central California agricultural fields from 2005 to 2020

California produces many key agricultural products in the United States. Current geospatial agricultural datasets are limited in mapping accuracy, spatial context, or observation period. This study uses machine learning and high-resolution imagery to produce a time series of crop maps to assess crop type trends and patterns across central California from 2005 to 2020. National Agriculture Imagery Program and Landsat imagery were used to classify nine crop types that are common in the study region: grain crops, field crops, rice, citrus and subtropical, deciduous fruit and nut, vineyard, berry and vegetable, pasture, and fallow/young perennial crop types. To create labeled data, we sampled 1253 fields and manually identified crop types for each examined year using high-resolution imagery and Landsat normalized difference vegetation index time series. We applied a random forest machine learning algorithm in Google Earth Engine. Results show that the mean overall classification accuracy of the nine-class map was 93.1%, with individual accuracies ranging from 99.3% (rice) to 89.5% (fallow/young perennial). Mann–Kendall trend tests showed significant ( p less than 0.05) declines in field crop and pasture area during the study period, while deciduous fruit and nut, citrus and subtropical, and fallow/young perennial crop types experienced significant increases. At an aggregate level, there was a general shift from annual crop types to perennial crop types. These data provide a 16-year time span of spatially explicit crop type classifications, trends, and patterns in central California that can be used to aid managers and decision makers for resource planning or hazard mitigation.

California

Hydrogeology and Ground-Water Flow in the Opequon Creek Watershed area, Virginia and West Virginia

Due to increasing population and economic development in the northern Shenandoah Valley of Virginia and West Virginia, water availability has become a primary concern for water-resource managers in the region. To address these issues, the U.S. Geological Survey (USGS), in cooperation with the West Virginia Department of Health and Human Services and the West Virginia Department of Environmental Protection, developed a numerical steady-state simulation of ground-water flow for the 1,013-square-kilometer Opequon Creek watershed area. The model was based on data aggregated for several recently completed and ongoing USGS hydrogeologic investigations conducted in Jefferson, Berkeley, and Morgan Counties in West Virginia and Clarke, Frederick, and Warren Counties in Virginia. A previous detailed hydrogeologic assessment of the watershed area of Hopewell Run (tributary to the Opequon Creek), which includes the USGS Leetown Science Center in Jefferson County, West Virginia, provided key understanding of ground-water flow processes in the aquifer. The ground-water flow model developed for the Opequon Creek watershed area is a steady-state, three-layer representation of ground-water flow in the region. The primary objective of the simulation was to develop water budgets for average and drought hydrologic conditions. The simulation results can provide water managers with preliminary estimates on which water-resource decisions may be based. Results of the ground-water flow simulation of the Opequon Creek watershed area indicate that hydrogeologic concepts developed for the Hopewell Run watershed area can be extrapolated to the larger watershed model. Sensitivity analyses conducted as part of the current modeling effort and geographic information system analyses of spring location and yield reveal that thrust and cross-strike faults and low-permeability bedding, which provide structural and lithologic controls, respectively, on ground-water flow, must be incorporated into the model to develop a realistic simulation of ground-water flow in the larger Opequon Creek watershed area. In the model, recharge for average hydrologic conditions was 689 m3/d/km2 (cubic meters per day per square kilometer) over the entire Opequon Creek watershed area. Mean and median measured base flows at the streamflow-gaging station on the Opequon Creek near Martinsburg, West Virginia, were 604,384 and 349,907 m3/d (cubic meters per day), respectively. The simulated base flow of 432,834 m3/d fell between the mean and median measured stream base flows for the station. Simulated base-flow yields for subwatersheds during average conditions ranged from 0 to 2,643 m3/d/km2, and the median for the entire Opequon Creek watershed area was 557 m3/d/km2. A drought was simulated by reducing model recharge by 40 percent, a rate that approximates the recharge during the prolonged 16-month drought that affected the region from November 1998 to February 2000. Mean and median measured streamflows for the Opequon Creek watershed area at the Martinsburg, West Virginia, streamflow-gaging station during the 1999 drought were 341,098 and 216,551 m3/d, respectively. The simulated drought base flow at the station of 252,356 m3/d is within the range of flows measured during the 1999 drought. Recharge was 413 m3/d/km2 over the entire watershed during the simulated drought, and was 388 m3/d/km2 at the gaging station. Simulated base-flow yields for drought conditions ranged from 0 to 1,865 m3/d/km2 and averaged 327 m3/d/km2 over the entire Opequon Creek watershed. Water budgets developed from the simulation results indicate a substantial component of direct ground-water discharge to the Potomac River. This phenomenon had long been suspected but had not been quantified. During average conditions, approximately 564,176 m3/d of base flow discharges to the Potomac River. An additional 124,379 m3/d of ground water is also estimated to discharge directly to the Potomac River and rep

Scientific Investigations Report

Characterizing backcountry camping impacts in Great Smoky Mountains National Park

This investigates resource impacts on backcounty campsites in the Great Smoky Mountains National Park, USA. Study objectives were to enhance our understanding of camping impacts and to improve campsite impact assessment procedures by means of multivariate techniques. Three-hundred and eight campsites at designated backcountry campgrounds, and 69 additional unofficial campsites were assessed. Factor analysis of 195 established campsites on eight impact indicator variables revealed three dimensions of campsite impact: area disturbance, soil and groundcover damage, and tree-related damage. Four distinctive backcountry campsite types were identified, three of which were derived from cluster analyses of factor scores. These four backcountry campsite types characterize the intensity and areal extent of resource impacts, and they vary in locational and environmental attributes. At an aggregate level, different campsite types contributed unequally to the cumulative level of impact. The dimensional structure and typology developed in this study demonstrates that campsite impacts can be viewed and examined holistically with the use of multivariate methods. Implications for assessment procedures, management and further research are discussed.

Journal of Environmental Management

Land cover and land use change

Climate can affect and be affected by changes in land cover (the physical features that cover the land such as trees or pavement) and land use (human management and activities on land, such as mining or recreation). A forest, for instance, would likely include tree cover but could also include areas of recent tree removals currently covered by open grass areas. Land cover and use are inherently coupled: changes in land-use practices can change land cover, and land cover enables specific land uses. Understanding how land cover, use, condition, and management vary in space and time is challenging. Changes in land cover can occur in response to both human and climate drivers. For example, demand for new settlements often results in the permanent loss of natural and working lands, which can result in localized changes in weather patterns, temperature, and precipitation. Aggregated over large areas, these changes have the potential to influence Earth’s climate by altering regional and global circulation patterns, changing the albedo (reflectivity) of Earth’s surface, and changing the amount of carbon dioxide (CO 2 ) in the atmosphere. Conversely, climate change can also influence land cover, resulting in a loss of forest cover from climate-related increases in disturbances, the expansion of woody vegetation into grasslands, and the loss of beaches due to coastal erosion amplified by rises in sea level. Land use is also changed by both human and climate drivers. Land-use decisions are traditionally based on short-term economic factors. Land-use changes are increasingly being influenced by distant forces due to the globalization of many markets. Land use can also change due to local, state, and national policies, such as programs designed to remove cultivation from highly erodible land to mitigate degradation, legislation to address sea level rise in local comprehensive plans, or policies that reduce the rate of timber harvest on federal lands. Technological innovation has also influenced land-use change, with the expansion of cultivated lands from the development of irrigation technologies and, more recently, decreases in demand for agricultural land due to increases in crop productivity. The recent expansion of oil and gas extraction activities throughout large areas of the United States demonstrates how policy, economics, and technology can collectively influence and change land use and land cover. Decisions about land use, cover, and management can help determine society’s ability to mitigate and adapt to climate change.

Report

Integrating encounter theory with decision analysis to evaluate collision risk and determine optimal protection zones for wildlife

1.Better understanding human‐wildlife interactions and their links with management can help improve the design of wildlife protection zones. One example is the problem of wildlife collisions with vehicles or human‐built structures (e.g. power lines, wind farms). In fact, collisions between marine wildlife and watercraft are among the major threats faced by several endangered species of marine mammals. Natural resource managers are therefore interested in finding cost‐effective solutions to mitigate these threats. 2.We combined abundance estimators with encounter rate theory to estimate relative lethal collision risk of the Florida manatee ( Trichechus manatus latirostris ) from watercraft. We first modeled seasonal abundance of watercraft and manatees using a Bayesian analysis of aerial survey count data. We then modeled relative lethal collision risk in space and across seasons. Finally, we applied decision analysis and Linear Integer Programming to determine the optimal design of speed zones in terms of relative risk to manatees and costs to waterway users. We used a Pareto efficient frontier approach to evaluate the performance of alternative zones, which included additional practical considerations (e.g. spatial aggregation of speed zones) in relation to the optimal zone configurations. 3.Under the various relationships for probability of death given strike speed that we considered, the current speed zones reduced the relative lethal collision risk by an average of 51.5% to 70% compared to the scenario in which all speed regulations were removed (i.e. the no‐protection scenario). We identified optimal zones and near‐optimal zones with additional management considerations that improved upon the current zones in terms of cost or relative risk. 4.Policy Implications : Our analytical framework combines encounter rate theory and decision analysis to quantify the effectiveness of speed zones protecting manatees while accounting for uncertainty. Our approach can be used to optimize the design of protection zones intended to reduce conflicts between human waterborne activity and marine mammals. This framework could be extended to address many other problems of human‐wildlife interactions, such as the optimal placement of wind farms to minimize collisions with wildlife or the optimal allocation of ranger effort to mitigate poaching threats.

Journal of Applied Ecology

The impacts of mobile fishing gear on seafloor habitats in the Gulf of Maine (Northwest Atlantic): implications for conservation of fish populations

Fishing gear alters seafloor habitats, but the extent of these alterations, and their effects, have not been quantified extensively in the northwest Atlantic. Understanding the extent of these impacts, and their effects on populations of living marine resources, is needed to properly manage current and future levels of fishing effort and fishing power. For example, the entire U.S. side of the Gulf of Maine was impacted annually by mobile fishing gear between 1984 and 1990, based on calculations of area swept by trawl and dredge gear. Georges Bank was imparted three to nearly four times annually during the same period. Studies at three sites in the Gulf of Maine (off Swans Island, Jeffreys Bank, and Stellwagen Bank) showed that mobile fishing gear altered the physical structure (=complexity) of benthic habitats. Complexity was reduced by direct removal of biogenic (e.g., sponges, hydrozoans, bryozoans, amphipod tubes, holothurians, shell aggregates) and‐ sedimentary (e.g., sand waves, depressions) structures. Also, removal of organisms that create.structures (e.g., crabs, scallops) indirectly reduced complexity. Reductions in habitat complexity may lead to increased predation on juveniles of harvested species and ultimately recruitment to the harvestable stock. Because of a lack of reference sites, where use of mobile fishing is prohibited, no empirical studies have yet been conducted on a scale that could demonstrate population level effects of habitat‐management options. If marine fisheries management is to evolve toward an ecosystem or habitat management approach, experiments are required on the effects of habitat change, both anthropogenic and natural.

Maine

Vertebrate population changes induced by hunting in Amazonian sustainable-use protected areas

The purported sustainability of sustainable-use reserves (SURs) has been questioned in recent decades due to anthropogenic disturbance, including widespread game hunting. A fuller understanding of the drivers of harvest-induced game population changes in SURs is needed to inform this debate. We deployed 720 camera traps around 100 local communities both inside and outside nine SURs in central-western Brazilian Amazonia to generate detection records of 29 mammal and bird species. We used Royle-Nichols multi-species occupancy models to evaluate if (i) distance to and size of local communities, (ii) local human population density, (iii) distance to and size of urban areas, (iv) local level of protection, and (v) alternative availability of aquatic protein affected the (a) species richness, (b) aggregated abundance and (c) biomass, (d) mean reproductive rate of species, and (e) mean abundance of functional groups and (f) individual species. Community distance was the main determinant of wildlife declines, impacting species up to 5-km from communities, but three game species exhibited higher abundances within this distance. Other drivers, such as community size and urban neighbourhood, also contributed to species declines. Availability of alternative aquatic protein buffered declines of only two species and local protection increased species richness and aggregate abundance. These findings can help inform evidence-based conservation strategies in tropical SURs. Our results suggest that preventing habitat loss beyond 5-km radius from communities can promote a healthy source-sink dynamic for populations of game species. Furthermore, game management measures could encourage targeting harvest-tolerant species and the protection of all game species.

Amazonia