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At least 217 records · Page 12Linked to original sources

Should fatty acid signature proportions sum to 1 for diet estimation?

Knowledge of predator diets, including how diets might change through time or differ among predators, provides essential insights into their ecology. Diet estimation therefore remains an active area of research within quantitative ecology. Quantitative fatty acid signature analysis (QFASA) is an increasingly common method of diet estimation. QFASA is based on a data library of prey signatures, which are vectors of proportions summarizing the fatty acid composition of lipids, and diet is estimated as the mixture of prey signatures that most closely approximates a predator’s signature. Diets are typically estimated using proportions from a subset of all fatty acids that are known to be solely or largely influenced by diet. Given the subset of fatty acids selected, the current practice is to scale their proportions to sum to 1.0. However, scaling signature proportions has the potential to distort the structural relationships within a prey library and between predators and prey. To investigate that possibility, we compared the practice of scaling proportions with two alternatives and found that the traditional scaling can meaningfully bias diet estimators under some conditions. Two aspects of the prey types that contributed to a predator’s diet influenced the magnitude of the bias: the degree to which the sums of unscaled proportions differed among prey types and the identifiability of prey types within the prey library. We caution investigators against the routine scaling of signature proportions in QFASA.

Ecological Research

Toward improved prediction of streamflow effects on freshwater fishes

Understanding the effects of hydrology on fish populations is essential to managing for native fish conservation. However, despite decades of research illustrating streamflow influences on fish habitat, reproduction and survival, biologists remain challenged when tasked with predicting how fish populations will respond to changes in flow regimes. This uncertainty stems from insufficient understanding of the context-dependent mechanisms underlying fish responses to, for example, periods of reduced flow or altered frequency of high-flow events. We aim to address this gap by drawing on previous research to hypothesize mechanisms by which low- and high-flows influence fish populations and communities, identifying challenges that stem from data limitations and ecological complexity, and outlining research directions that can advance an empirical basis for prediction. Focusing flow-ecology research on testing and refining mechanistic hypotheses can help narrow management uncertainties and better support species conservation in changing flow regimes.

Fisheries Magazine

Heed the data gap: Guidelines for using incomplete datasets in annual stream temperature analyses

Stream temperature data are useful for deciphering watershed processes important for aquatic ecosystems. Accurately extracting signal trends from stream temperature is essential for predicting responses of environmental and ecological indicators to change. Missing data periods are common for various reasons, and pose a challenge for scientists using temperature signal analysis to support stream research and ecological management objectives. However, the sensitivity of estimated temperature signal patterns to missing data has not been thoroughly evaluated, despite the potentially large impact on interpretation. In this study, we explored the effects of simulated missing daily data on the characterization of annual water temperature signals measured at headwater sites in the Pacific Northwest and Mid-Atlantic regions of the USA. For each site, we used linear regressions of sine-waves fitted to complete (365-d) and partial (7–357 consecutive missing data points) annual datasets of daily mean water temperature and computed three thermal parameters (mean, phase, and amplitude), which together can indicate thermally and ecologically influential watershed processes (e.g., depth and magnitude of groundwater discharge). Expected values (derived from complete datasets) ranged from 7.0 to 12.6 °C, 205 to 254 d, and 1.9 to 9.5 °C for annual mean, phase, and amplitude, respectively. While annual phase and amplitude could be accurately estimated (i.e., within 95–99% confidence intervals of expected values) with up to approximately two months of consecutively missing data, annual mean temperature required more complete datasets. We found that datasets with less than seven weeks of consecutively missing data enabled estimation of all annual signal parameters with reasonable accuracy (>75% probability of being within the 95–99% confidence intervals of expected values). Imputation of missing data expanded this range to approximately 20 weeks, with the greatest improvements in parameter estimation between 9 and 27 weeks of imputed missing data. However, caution should be exercised when applying this technique. For example, imputation improved the accuracy of parameter estimation for most sites, but accuracy decreased for some sites exhibiting strong groundwater influence. The timing of consecutive missing data points within a year had inconsistent effects on annual thermal parameter estimates among regions, years, and individual parameters. Utilizing sites with more than approximately seven consecutive weeks of missing data or 20 weeks of imputed data increases the probability of mischaracterization of annual stream thermal regimes. Understanding this limitation is vital for identifying the potential of streams to serve as climate refugia for ecological indicator species and effective future management of stream systems.

Ecological Indicators

Conservation genetics of managed ungulate populations

Natural populations of many species are increasingly impacted by human activities. Perturbations are particularly pronunced for large ungulates due in part to sport and commercial harvest, to reductions and fragmentation of native habitat, and as the result of reintroductions. These perturbations affect population size, sex and age composition, and population breeding structure, and as a consequence affect the levels and partitioning of genetic variation. Three case histories highlighting long-term ecological genetic research on mule deer Odocoileus hemionus (Rafinesque, 1817), white-tailed deer O . virginianus (Zimmermann, 1780), and Alpine ibex Capra i. ibex Linnaeus, 1758 are presented. Joint examinations of population ecological and genetic data from several populations of each species reveal: (1) that populations are not in genetic equilibrium, but that allele frequencies and heterozygosity change dramatically over time and among cohorts produced in successive years, (2) populations are genetically structured over short and large geographic distances reflecting local breeding structure and patterns of gene flow, respectively; however, this structure is quite dynamic over time, due in part to population exploitation, and (3) restocking programs are often undertaken with small numbers of founding individuals resulting in dramatic declines in levels of genetic variability and increasing levels of genetic differentiation among populations due to genetic drift. Genetic characteristics have and will continue to provide valuable indirect sources of information relating enviromental and human perturbations to changes in population processes.

Acta Theriologica

When do single-species occupancy models outperform multispecies models?

Occupancy models have become increasingly popular for species monitoring and assessment, in part, because detection/non-detection data are readily obtained using a variety of methods. Multispecies occupancy models (MSOMs) can yield more accurate parameter estimates than single-species models (SSOMs) with less data through their hierarchical structure, making MSOMs an attractive option when species are hard to detect or when data collection is constrained, leading to sparse datasets. Such constraints may arise from limited sampling resources, but also occur in rare species monitoring or where preliminary results are desired to inform adaptive management. Further, experimental habitat treatments often impose spatial constraints on sampling based on the scale of their implementation. Whether a MSOM outperforms SSOMs depends on the volume of data, characteristics of the ecological community, research goals of a study and how these factors align with modeling assumptions. We performed a simulation study of hypothetical pollinator communities under varying sampling intensities for scenarios in which experimental habitat treatments produced different community-level effects. We fit occupancy models to simulated datasets and assessed model performance. At lower sampling intensities (< 20 spatial replicates and < 4 temporal replicates), MSOM community-level treatment effect estimates were biased. Even at twice this sampling intensity, SSOMs yielded more accurate species-specific effect estimates in treatment effect scenarios with high variance. In some cases, MSOMs can pull species in the tails of distributions too far toward the community mean effect, which risks incorrect conclusions concerning whether treatments help or harm individual species. When quantifying species-specific effects is the main objective, particularly for rarely observed species, SSOMs are more robust to outliers across a range of community response scenarios. Researchers can use this information to inform study design, guide simulation studies and decide whether the higher precision of MSOMs outweighs risks of improperly estimated effects for some species.

Ecology and Evolution

Ecological status and trends of the Upper Mississippi and Illinois Rivers

Executive Summary This report assesses the status and trends of selected ecological health indicators of the Upper Mississippi River System (UMRS) based on the data collected and analyzed by the Long Term Resource Monitoring element of the Upper Mississippi River Restoration program, supplemented with data from other sources. This report has four objectives: providing a brief introduction of the UMRS, including its significance, history, modern-day stressors, and recent research; using ecological indicators to describe the status of the river system and where and how it has changed from circa 1993 to 2019; discussing management and restoration implications of these changes; and highlighting the fundamental role of long-term monitoring in the understanding, management, and restoration of large-floodplain rivers. The data were collected in the six Long Term Resource Monitoring element study reaches that spanned much of the UMRS and the various gradients contained therein. These study reaches included Navigation Pools 4, 8, 13, and 26; the part of the Unimpounded Reach of the Upper Mississippi River between Grand Tower and Cairo, Illinois; and the La Grange Pool on the Illinois River. The indicators included in this report describe the status and trends for the hydrology, geomorphology, floodplain vegetation, water quality, vegetation, and fishes of the UMRS. Many of the indicators of river ecosystem health changed significantly over the nearly 30 years of our evaluation. However, there was substantial spatial variability in the magnitude and timing of those changes among study reaches. Few indicators changed everywhere or nowhere; most indicators changed in some reaches but not others. The quantitative assessments of these indicators describe how the conditions of the river differ across hydrogeomorphic and climate gradients and through time and are intended to support the restoration and management of the UMRS.

Illinois, Indiana, Iowa, Minnesota, Missouri, Nort

Annual grass invasion is transforming the sagebrush biome’s songbird communities

Novel stressors like climate change and biological invasions alter ecological communities, resulting in changes to ecosystem services and biodiversity (that is, ecological transformation). Most ecological transformation research focuses on plants, but animals are likely affected by and plausibly mediate the extent, impact, and pace of transformations. In western North America, where invasive annual grasses are transforming sagebrush-steppe ecosystems, we quantified how transformation in vegetation drives songbird community change. We hypothesized that transformation of vegetation communities via invasion alters wildlife communities by favoring generalists over specialists, albeit with extinction debts that may temporarily obscure transformations’ consequences. Although local-scale songbird diversity increased with grass invasion, we found that this shift was accompanied by ongoing reorganization of songbird communities at larger scales (across the sagebrush biome), driven by heterogeneous impacts of invasion among species and guilds. Through our biome-wide analysis, we were also able to identify high-priority regions for conservation of sensitive songbird species. Our research provides evidence that wildlife communities are transforming alongside vegetation communities and offers insight into the approaches required to quantify nascent community turnover.

western United States

Mapping ecological states in the upper Colorado River basin: Implications for fire management

Spatially explicit information on ecosystem dynamics that offers a mechanistic understanding of ecological processes can benefit environmental management. Broad-scale maps based on state-and-transition models provide valuable insight into transitions among ecological states resulting from specific drivers within areas sharing similar climatic and edaphic characteristics ecological sites (ES). We aimed to quantify ecological dynamics of two ES groups in the Upper Colorado River Basin from 1986 to 2022 through annual maps of ecological states and assess potential drivers of observed state change. This region comprises important sagebrush shrublands and pinyon-juniper woodlands affected by non-native annual grass invasion, wildfires, and drought-induced tree mortality. Using field-based and remote sensing data, we modeled vegetation states using random forest models and mapped the states annually from 1986 to 2022. To demonstrate the utility of the state maps for monitoring and management, we used this time series of maps to investigate the influences of fire and drought on state occurrence. Our findings revealed a statistically significant increase in states invaded by non-native annual species (Invaded state), which replaced Grassland and Shrubland states, while Shrubland states decreased significantly, transitioning to invaded and Woodland states. Invaded states had the highest likelihood of burning, followed by Woodlands. Drought was associated with increased area of Grassland and Bare states, but with decreased area of invaded and Shrubland states. These results indicate an accelerating fire cycle is potentially leading to ongoing regional environmental degradation. Despite increasing drought conditions during the study period, the invaded states continued to increase in area, indicating additional underlying mechanisms. Our reproducible, broad-scale, ecologically-driven state mapping process enhances understanding of how drought, fire, and invasion by non-native plants can transform semiarid landscapes of the western USA.

Arizona, Colorado, New Mexico, Utah, Wyoming

Hyporheic flow and transport processes: mechanisms, models, and biogeochemical implications

Fifty years of hyporheic zone research have shown the important role played by the hyporheic zone as an interface between groundwater and surface waters. However, it is only in the last two decades that what began as an empirical science has become a mechanistic science devoted to modeling studies of the complex fluid dynamical and biogeochemical mechanisms occurring in the hyporheic zone. These efforts have led to the picture of surface-subsurface water interactions as regulators of the form and function of fluvial ecosystems. Rather than being isolated systems, surface water bodies continuously interact with the subsurface. Exploration of hyporheic zone processes has led to a new appreciation of their wide reaching consequences for water quality and stream ecology. Modern research aims toward a unified approach, in which processes occurring in the hyporheic zone are key elements for the appreciation, management, and restoration of the whole river environment. In this unifying context, this review summarizes results from modeling studies and field observations about flow and transport processes in the hyporheic zone and describes the theories proposed in hydrology and fluid dynamics developed to quantitatively model and predict the hyporheic transport of water, heat, and dissolved and suspended compounds from sediment grain scale up to the watershed scale. The implications of these processes for stream biogeochemistry and ecology are also discussed."

Reviews of Geophysics

More than a meal: integrating non-feeding interactions into food webs

Organisms eating each other are only one of many types of well documented and important interactions among species. Other such types include habitat modification, predator interference and facilitation. However, ecological network research has been typically limited to either pure food webs or to networks of only a few (<3) interaction types. The great diversity of non-trophic interactions observed in nature has been poorly addressed by ecologists and largely excluded from network theory. Herein, we propose a conceptual framework that organises this diversity into three main functional classes defined by how they modify specific parameters in a dynamic food web model. This approach provides a path forward for incorporating non-trophic interactions in traditional food web models and offers a new perspective on tackling ecological complexity that should stimulate both theoretical and empirical approaches to understanding the patterns and dynamics of diverse species interactions in nature.

Ecology Letters

Permafrost mapping with electrical resistivity tomography in two wetland systems north of the Tanana River, Interior Alaska

Surface-based 2D electrical resistivity tomography (ERT) surveys were used to characterize permafrost distribution at wetland sites on the alluvial plain north of the Tanana River, 20 km southwest of Fairbanks, Alaska, in June and September 2014. The sites were part of an ecologically-sensitive research area characterizing biogeochemical response of this region to warming and permafrost thaw, and the site contained landscape features characteristic of interior Alaska, including thermokarst bog, forested permafrost plateau, and a rich fen. The results show how vegetation reflects shallow (0–10 m depth) permafrost distribution. Additionally, we saw shallow (0–3 m depth) low resistivity areas in forested permafrost plateau potentially indicating the presence of increased unfrozen water content as a precursor to ground instability and thaw. Time-lapse study from June to September suggested a depth of seasonal influence extending several meters below the active layer, potentially as a result of changes in unfrozen water content. A comparison of several electrode geometries (dipole-dipole, extended dipole-dipole, Wenner-Schlumberger) showed that for depths of interest to our study (0–10 m) results were similar, but data acquisition time with dipole-dipole was the shortest, making it our preferred geometry. The results show the utility of ERT surveys to characterize permafrost distribution at these sites, and how vegetation reflects shallow permafrost distribution. These results are valuable information for ecologically sensitive areas where ground-truthing can cause excessive disturbance. ERT data can be used to characterize the exact subsurface geometry of permafrost such that over time an understanding of changing permafrost conditions can be made in great detail. Characterizing the depth of thaw and thermal influence from the surface in these areas also provides important information as an indication of the depth to which carbon storage and microbially-mediated carbon processing may be affected.

Alaska

A suite of standard post-tagging evaluation metrics can help assess tag retention for field-based fish telemetry research

Telemetry can inform many scientific and research questions if a context exists for integrating individual studies into the larger body of literature. Creating cumulative distributions of post-tagging evaluation metrics would allow individual researchers to relate their telemetry data to other studies. Widespread reporting of standard metrics is a precursor to the calculation of benchmarks for these distributions (e.g., mean, SD, 95% CI). Here we illustrate five types of standard post-tagging evaluation metrics using acoustically tagged Blue Catfish ( Ictalurus furcatus ) released into a Kansas reservoir. These metrics included: (1) percent of tagged fish detected overall, (2) percent of tagged fish detected daily using abacus plot data, (3) average number of (and percent of available) receiver sites visited, (4) date of last movement between receiver sites (and percent of tagged fish moving during that time period), and (5) number (and percent) of fish that egressed through exit gates. These metrics were calculated for one to three time periods: early (<10 d), during (weekly), and at the end of the study (5 months). Over three-quarters of our tagged fish were detected early (85%) and at the end (85%) of the study. Using abacus plot data, all tagged fish (100%) were detected at least one day and 96% were detected for > 5 days early in the study. On average, tagged Blue Catfish visited 9 (50%) and 13 (72%) of 18 within-reservoir receivers early and at the end of the study, respectively. At the end of the study, 73% of all tagged fish were detected moving between receivers. Creating statistical benchmarks for individual metrics can provide useful reference points. In addition, combining multiple metrics can inform ecology and research design. Consequently, individual researchers and the field of telemetry research can benefit from widespread, detailed, and standard reporting of post-tagging detection metrics.

Reviews in Fish Biology and Fisheries

Effects of telemetry collars on two free-roaming feral equid species

There are two species of free-roaming feral equids in North America: horses ( Equus caballus ) and donkeys or “burros” ( E . asinus ). Both species were introduced as domestic animals to North America in the early 1500s and currently inhabit rangelands across the western United States, Canada, and all continents except Antarctica. Despite their global distribution, little is known about their fine scale spatial ecology. Contemporary research tools to assess space use include global positioning system (GPS) tracking collars, but older models were problematic due to stiff collar belting causing poor fit. We tested modern designs of GPS collars on n = 105 horses and n = 60 burros for 4 years in five populations (3 horse, 2 burro) across the western United States, to assess whether collars posed welfare risks to horses or burros. We found no difference in survival of collared versus uncollared mares and jennies, and no difference in survival of their foals. In 4036 of 4307 observations for horses (93.7%) and 2115 of 2258 observations for burros (93.6%), collars were observed symmetrical, maintaining proper fit on the neck. Fur effects from collars (sweaty neck, indented fur, broken fur) were seen in 3% of horse observations and 25% of burro observations. Superficial effects (chafes and marks on skin surface) were seen in 2% of horse observations and 11% of burro observations; no severe effects from collars were seen. Body condition was not affected by collars; mean body condition of collared horses was 4.70 ± 0.54 (mean ± s.d) and 4.71 ± 0.65 for collared burros. Behavior results indicated minimal effects; collared horses stood slightly more than uncollared, and collared burros stood and foraged more in one population, but not in the other. For 6.3% of observations of horses and 6.4% of observations of burros, we found an effect of time wearing a collar on the cumulative sum of fur effects which increased over time (burros: r s = 0.87, P = <0.0001; horses: r s = 0.31, P = 0.002). Burros also showed an increase over time in the number of superficial effects, but horses did not. Collars occasionally moved into the wrong position, shifting forward over the ears; we observed this on 19 horses and 1 burro. Of those, most collars went over the ears in summer ( n = 12). All collars were equipped with a remote release mechanism as well as a timed-release mechanism for redundancy, thus removed when observed in wrong position to avoid rubbing or discomfort. Our finding of no consequential physical effects in 98% of horse observations, and 89% of burro observations suggests the consequences of collars on free-roaming equid welfare and survival is biologically insignificant, although collars should be monitored regularly and continue to be equipped with a remote release mechanism to remove a collar if needed. With frequent welfare-driven, visual monitoring, collaring of free-roaming equids can be a safe and useful tool to increase our understanding of their spatial ecology, demography, habitat use, behavior, and interactions with other wildlife.

Arizona, Utah, Wyoming

Habitat prioritization across large landscapes, multiple seasons, and novel areas: an example using greater sage-grouse in Wyoming

Animal habitat selection is an important and expansive area of research in ecology. In particular, the study of habitat selection is critical in habitat prioritization efforts for species of conservation concern. Landscape planning for species is happening at ever-increasing extents because of the appreciation for the role of landscape-scale patterns in species persistence coupled to improved datasets for species and habitats, and the expanding and intensifying footprint of human land uses on the landscape. We present a large-scale collaborative effort to develop habitat selection models across large landscapes and multiple seasons for prioritizing habitat for a species of conservation concern. Greater sage-grouse ( Centrocercus urophasianus , hereafter sage-grouse) occur in western semi-arid landscapes in North America. Range-wide population declines of this species have been documented, and it is currently considered as “warranted but precluded” from listing under the United States Endangered Species Act. Wyoming is predicted to remain a stronghold for sage-grouse populations and contains approximately 37% of remaining birds. We compiled location data from 14 unique radiotelemetry studies (data collected 1994–2010) and habitat data from high-quality, biologically relevant, geographic information system (GIS) layers across Wyoming. We developed habitat selection models for greater sage-grouse across Wyoming for 3 distinct life stages: 1) nesting, 2) summer, and 3) winter. We developed patch and landscape models across 4 extents, producing statewide and regional (southwest, central, northeast) models for Wyoming. Habitat selection varied among regions and seasons, yet preferred habitat attributes generally matched the extensive literature on sage-grouse seasonal habitat requirements. Across seasons and regions, birds preferred areas with greater percentage sagebrush cover and avoided paved roads, agriculture, and forested areas. Birds consistently preferred areas with higher precipitation in the summer and avoided rugged terrain in the winter. Selection for sagebrush cover varied regionally with stronger selection in the Northeast region, likely because of limited availability, whereas avoidance of paved roads was fairly consistent across regions. We chose resource selection function (RSF) thresholds for each model set (seasonal × regional combination) that delineated important seasonal habitats for sage-grouse. Each model set showed good validation and discriminatory capabilities within study-site boundaries. We applied the nesting-season models to a novel area not included in model development. The percentage of independent nest locations that fell directly within identified important habitat was not overly impressive in the novel area (49%); however, including a 500-m buffer around important habitat captured 98% of independent nest locations within the novel area. We also used leks and associated peak male counts as a proxy for nesting habitat outside of the study sites used to develop the models. A 1.5-km buffer around the important nesting habitat boundaries included 77% of males counted at leks in Wyoming outside of the study sites. Data were not available to quantitatively test the performance of the summer and winter models outside our study sites. The collection of models presented here represents large-scale resource-management planning tools that are a significant advancement to previous tools in terms of spatial and temporal resolution.

Wyoming

Estimating density and detection of bobcats in fragmented Midwestern landscapes using spatial capture-recapture data from camera traps

Camera-trapping data analyzed with spatially explicit capture–recapture (SCR) models can provide a rigorous method for estimating density of small populations of elusive carnivore species. We sought to develop and evaluate the efficacy of SCR models for estimating density of a presumed low-density bobcat ( Lynx rufus ) population in fragmented landscapes of west-central Illinois, USA. We analyzed camera-trapping data from 49 camera stations in a 1,458-km 2 area deployed over a 77-day period from 1 February to 18 April 2017. Mean operational time of cameras was 52 days (range = 32–67 days). We captured 23 uniquely identifiable bobcats 113 times and recaptured these same individuals 90 times; 15 of 23 (65.2%) individuals were recaptured at ≥2 camera traps. Total number of bobcat capture events was 139, of which 26 (18.7%) were discarded from analyses because of poor image quality or capture of only a part of an animal in photographs. Of 113 capture events used in analyses, 106 (93.8%) and 7 (6.2%) were classified as positive and tentative identifications, respectively; agreement on tentative identifications of bobcats was high (71.4%) among 3 observers. We photographed bobcats at 36 of 49 (73.5%) camera stations, of which 34 stations were used in analyses. We estimated bobcat density at 1.40 individuals (range = 1.00–2.02)/100 km 2 . Our modeled bobcat density estimates are considerably below previously reported densities (30.5 individuals/100 km 2 ) within the state, and among the lowest yet recorded for the species. Nevertheless, use of remote cameras and SCR models was a viable technique for reliably estimating bobcat density across west-central Illinois. Our research establishes ecological benchmarks for understanding potential effects of colonization, habitat fragmentation, and exploitation on future assessments of bobcat density using standardized methodologies that can be compared directly over time. Further application of SCR models that quantify specific costs of animal movements (i.e., least-cost path models) while accounting for landscape connectivity has great utility and relevance for conservation and management of bobcat populations across fragmented Midwestern landscapes.

Illinois

Choosing indicators of natural resource condition: A case study in Arches National Park, Utah, USA

Heavy visitor use in many areas of the world have necessitated development of ways to assess visitation impacts. Arches National Park recently completed a Visitor Experience and Resource Protection (VERP) plan. Integral to this plan was developing a method to identify biological indicators that would both measure visitor impacts and response to management actions. The process used in Arches for indicator selection is outlined here as a model applicable to many areas facing similar challenges. The steps were: (1) Vegetation types most used by visitors were identified. Impacted and unimpacted areas in these types were sampled, comparing vegetation and soil factors. (2) Variables found to differ significantly between compared sites were used as potential indicators. (3) Site-specific criteria for indicators were developed, and potential indicators evaluated using these criteria. (4) Chosen indicators were further researched for ecological relevancy. (5) Final indicators were chosen, field tested, and monitoring sites designated. In Arches, indicators were chosen for monitoring annually (soil crust index, soil compaction, number of used social trails and soil aggregate stability) and every five years (vegetation cover and frequency; ground cover; soil chemistry; and plant tissue chemistry).

Environmental Management

Restoration of mangrove plantations and colonisation by native species in Leizhou bay, South China

To examine the natural colonisation of native mangrove species into remediated exotic mangrove stands in Leizhou Bay, South China, we compared soil physical-chemical properties, community structure and recruitments of barren mangrove areas, native mangrove species plantations, and exotic mangrove species-Sonneratia apetala Buch.Ham-between plantations and natural forest. We found that severely degraded mangrove stands could not regenerate naturally without human intervention due to severely altered local environments, whereas some native species had been recruited into the 4-10 year S. apetala plantations. In the first 10 years, the exotic species S. apetala grew better than native species such as Rhizophora stylosa Griff and Kandelia candel (Linn.) Druce. The mangrove plantation gradually affected soil physical and chemical properties during its recovery. The exotic S. apetala was more competitive than native species and its plantation was able to restore soil organic matter in about 14 years. Thus, S. apetala can be considered as a pioneer species to improve degraded habitats to facilitate recolonisation by native mangrove species. However, removal to control proliferation may be needed at late stages to facilitate growth of native species. To ensure sustainability of mangroves in South China, the existing mangrove wetlands must be managed as an ecosystem, with long-term scientific monitoring program in place. ?? 2007 The Ecological Society of Japan.

Ecological Research

Use of 2 H and 18 O stable isotopes to investigate water sources for different ages of Populus euphratica along the lower Heihe River

Investigation of the water sources used by trees of different ages is essential to formulate a conservation strategy for the riparian tree, P . euphratica . This study addressed the contributions of different potential water sources to P . euphratica based on levels of stable oxygen and hydrogen isotopes (&delta; 18 O, &delta; 2 H) in the xylem of different aged P . euphratica , as well as in soil water and groundwater along the lower Heihe River. We found significant differences in &delta; 18 O values in the xylem of different aged P . euphratica . Specifically, the &delta; 18 O values of young, mature and over-mature forests were &minus;5.368(&plusmn;0.252) &permil;, &minus;6.033(&plusmn; 0.185) &permil; and &minus;6.924 (&plusmn; 0.166) &permil;, respectively, reflecting the reliance of older trees on deeper sources of water with a &delta; 18 O value closer to that of groundwater. Different aged P . euphratica used different water sources, with young forests rarely using groundwater (mean <15 %) and instead primarily relying on soil water from a depth of 0&ndash;50 cm (mean >45 %), and mature and over-mature forests using water from deeper than 100 cm derived primarily from groundwater.

Lower Heihe River