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At least 271 records · Page 15Linked to original sources

Phosphorus and groundwater: Establishing links between agricultural use and transport to streams

Phosphorus is a highly reactive element that is essential for life and forms a variety of compounds in terrestrial and aquatic ecosystems. In water, phosphorus may be present as the orthophosphate ion (PO 4 3- ) and is also present in all life forms as an essential component of cellular material. In natural ecosystems, phosphorus is derived from the erosion of rocks and is conserved for plant growth as it is returned to the soil through animal waste and the decomposition of plant and animal tissue; but in agricultural systems, a portion of the phosphorus is removed with each harvest, especially since phosphorus is concentrated in the seeds and fruit. Phosphorus is added to soil by using chemical fertilizers, manure, and composted materials. Agricultural use of chemical phosphorus fertilizer, in the United States, in 2008 was 4,247,000 tons, which is an increase of 25 percent since 1964 (http://www.ers.usda.gov/Data/FertilizerUse/). Widely grown corn, soybeans, and wheat use the greatest amount of phosphorus fertilizer among agricultural crops. Phosphorus is largely retained in soil by a process called adsorption. Soils have a limited capacity to store phosphorus, and once the capacity of soil to adsorb phosphorus is exceeded, the excess will dissolve and move more freely with water either directly to a stream or downward to an aquifer. Surface-water runoff from rainstorms or excess irrigation is the primary way that phosphorus or soil containing phosphorus is transported to streams in most watersheds. There is a growing awareness that long-term over-application of manure and chemical fertilizer contributes to phosphorus movement into the groundwater system, resulting in a significant groundwater source of phosphorus to streams and lakes, as well as potential contamination of the groundwater resources. Leaching of applied fertilizer and surface runoff of phosphorus from the soil can contribute to excess growth of algae in downstream water bodies, a condition known as eutrophication. Excessive amounts of algae in eutrophic water bodies can cause large daily changes in the amount of dissolved oxygen in the water because oxygen concentrations tend to be high during daylight hours as a result of photosynthetic activity but then decrease at night. Low concentrations of dissolved oxygen can stress or kill sensitive species living in the water. This study examined concentrations and movement of phosphorus in the soils and groundwater in five agricultural settings across the United States characterized by differences in soil geochemistry, climate, irrigation usage, and cropping systems to assess potential phosphorus movement in the soil and groundwater under common agricultural conditions. The study design included assessment of a variety of agricultural practices, especially cropping patterns and irrigation, so that the factors that contribute to phosphorus movement to groundwater, or sequestration of the phosphorus to soil could be compared and examined. This type of information could potentially be used to formulate best management practices to limit the transport of phosphorus from the agricultural fields.

Fact Sheet↗

Can identifying discrete behavioral groups with individual-based acoustic telemetry advance the understanding of fish distribution patterns?

Identifying patterns of organismal distribution can provide valuable insights for basic and applied marine and coastal ecology because understanding where animals are located is foundational to both research and science-based conservation. Understanding variation in distributional patterns can lead to a better assessment of ecological drivers and an improved ability to predict consequences of natural and altered relationships. Here, our purpose is to explore if quantifying coexisting groups of individual fish predators advances our understanding of field distribution patterns. Toward this end, we quantified locations of 59 acoustically tagged striped bass ( Morone saxatilis) within a 26-stationary unit telemetry receiver array in Plum Island Estuary (PIE), MA, United States. We then used cluster analyses on spatial and temporal-spatial metrics from this dataset to (1) assess if distinct groups of individuals coexisted, (2) quantify group characteristics, and (3) test associations between groups and distribution (e.g., physical site type and region). Based on multiple lines of evidence, we identified four groups of striped bass with different space use patterns that persisted across seasons (summer and fall). Similar-sized striped bass clustered at spatial and temporal scales at which individuals within distinct groups could, and did, physically overlap. In addition, distributional groups were linked to components of physical site type and region suggesting that discrete groups of individuals can interact differently with the environment within the same ecological system. The identification of these distinct groups of individuals creates a baseline from which to explore further ecological implications of grouping behavior for research and conservation in geographically large, temporally dynamic, and spatially heterogeneous marine and coastal environments.

Massachusetts↗

Variation in habitat selection by male Strix nebulosa (Great Gray Owls) across the diel cycle

Despite the long-standing recognition that animals partition activities, for example, across different periods of the day, understanding of how habitat selection varies according to specific temporal periods or behavioral activities remains limited for most species. For example, although much of the animal kingdom is nocturnally active, studies that characterize nocturnal behavior remain relatively rare, which precludes a thorough understanding of key habitats. We used Global Positioning System tracking and remotely-sensed environmental data to evaluate whether breeding-season habitat selection by adult male Strix nebulosa (Great Gray Owls) ( n = 19) varied across diel periods (dawn, day, dusk, and night). We focused on male owls because their habitat selection remains largely unknown despite the critical role they play as food provisioners. To address knowledge gaps related to nocturnal habitat, we also evaluated finer-scale, microhabitat selection by male owls at night. Owls were more active during dusk through dawn, suggesting that owls forage during crepuscular and nighttime periods and roost during the day. Owls avoided herbaceous wetlands during the day but strongly selected them at dawn, dusk, and night, indicating time-dependent habitat selection. Moreover, owls avoided dry meadows at all times of the day, suggesting that wet rather than xeric meadows are important for foraging. Owls also selected nighttime microhabitats that facilitated foraging, such as those with the presence of primary prey and open understories. During the daytime, owls chose areas with closed canopies and increased soil moisture, which likely provided suitable roosting habitat. Owls avoided development but selected areas closer to roads, particularly containing preferred habitats. Understanding of habitat selection across activity periods, temporal windows, and other contexts can improve the conservation of critical habitat for wildlife. Our work contributes to understanding of how animals balance resources related to food provisioning versus safety, both of which are critical for individual fitness and population persistence.

Wyoming↗

Challenges and opportunities developing mathematical models of shared pathogens of domestic and wild animals

Diseases that affect both wild and domestic animals can be particularly difficult to prevent, predict, mitigate, and control. Such multi-host diseases can have devastating economic impacts on domestic animal producers and can present significant challenges to wildlife populations, particularly for populations of conservation concern. Few mathematical models exist that capture the complexities of pathogens, yet development of such models would allow us to estimate and compare the potential effectiveness of management actions for mitigating or suppressing disease in wildlife and/or livestock host populations. We conducted a workshop in March 2014 to identify the challenges associated with developing models of pathogen transmission across the wildlife-livestock interface. The development of mathematical models of pathogen transmission at this interface is hampered by the difficulties associated with describing the host-pathogen systems including: 1) the identity of wildlife hosts, their distributions, and movement patterns, 2) the pathogen transmission pathways between wildlife and domestic animals, 3) the effects of the disease and concomitant mitigation efforts on wild and domestic animal populations, and 4) barriers to communication between sectors. To promote the development of mathematical models of transmission at this interface, we recommend further integration of modern quantitative techniques and improvement of communication among wildlife biologists, mathematical modelers, veterinary medicine professionals, producers, and other stakeholders concerned with the consequences of pathogen transmission at this important, yet poorly understood, interface.

Veterinary Sciences↗

Growth and equilibrium in sea otter populations

(1) Counts through time were compiled for five sea otter ( Enhydra lutris ) populations in the north-east Pacific Ocean that were below equilibrium density: Attu Island, south-east Alaska, British Columbia, Washington State, and central California. Similar data were obtained from the equilibrium density population at Amchitka Island in 1971 and 1986. (2) Shorelines of Attu and Amchitka islands each were divided into forty-five segments, within which lineal (length of shore at mean higher high water) and areal (mean higher high water to the 10-fathom (18.3-m) depth contour) measures were made of the amount of habitat. (3) Rate of increase for the four northern populations was 17-20% year-1. Density- or size-dependent changes in rate of increase could not be demonstrated for any of these populations. The California population, in contrast, has undergone three apparent growth phases: the early 1900s to the mid-1970s when it increased about 5% year-1; the mid-1970s to the mid-1980s when it declined about 5% year-1; and the mid-1980s to 1988 when it increased about 7% year-1. An exponential growth model accounted for 92-98% of the variation in counts through time in all cases. (4) Population increase at Attu Island was achieved largely by range expansion as opposed to increased density. Range expansion in lineal and areal habitat occurred at 11% and 13% year-1, respectively; neither rate was lower (P > 0.25) than the observed rate of increase in numbers of animals counted. (5) Despite similarities in island size and physical environment, the most conservative estimates of population density at Amchitka Island were > 3 X greater than maximum density estimates for Attu Island. (6) Surveys of Amchitka Island from the mid-1930s through the mid-1980s indicate that the population increased to a peak in the 1940s; declined abruptly thereafter; and subsequently increased to a new and higher equilibrium in the 1960s, where it has since remained. (7) These population data, together with information on sea otter foraging and benthic community structure at Attu and Amchitka islands, suggest that multiple population equilibria exist in this system, emanating from complex trophic interactions low in the food web. I hypothesize that the lower population equilibrium is achieved largely or exclusively on an invertebrate diet consisting principally of herbivorous sea urchins. When unregulated by sea otter predation, the rocky benthos is deforested by sea urchin grazing. As growing otter populations compete increasingly for food, grazing intensity declines and the system shifts to one dominated by kelp beds, in turn leading to increased production, a shift in habitat structure, and population increases of kelp bed fishes. Apparently this new food resource elevates the sea otter population to a higher and more stable equilibrium.

Journal of Animal Ecology↗

Biodiversity: a new challenge

Resource managers at many state and federal agencies are in the middle of a fundamental change in the practice and objectives of conservation. Traditional management has been directed toward maintaining, usually for harvest purposes, populations of individual species such as ducks, deer, or salmon. Increasingly, however, resource managers are recognizing the critical important of conserving biological diversity, or biodiversity. In its simplest terms, biological diversity is the variety of life at all levels: it includes the array of plants and animals; the genetic differences among individuals; the communities, ecosystems, and landscapes in which they occur; and the variety of processes on which they depend. Conserving biological diversity poses dramatic new problems for comprehensive inventory and monitoring: what should be measured or monitored?

Book chapter↗

The value and vulnerability of small estuarine islands for conserving metapopulations of breeding waterbirds

Compelling arguments for preserving large habitat ‘islands’ have been made for a number of animal groups, but most commonly for terrestrial birds. We argue that, for many species of waterbirds nesting in coastal estuaries, maintaining numerous small islands may be a more effective management strategy than maintaining larger islands or reserves. In this study, the number of great white heron Ardea herodias nests over a 5-year period (1986–91) was negatively correlated with island area in the Florida Keys, USA. Nest densities were highest in the 2–10 ha island size range and lowest for islands larger than 100 ha. These small islands also attract nesting black skimmers Rynchops niger , brown pelicans Pelecanus occidentalis , and several species of terns and gulls. Small estuarine islands are vulnerable to sea level rise, erosion from watercraft, and, for dredge material islands, lack of sufficient maintenance because of competing needs for beach nourishment. Managers need to enforce more buffering and protection of these islands and argue for more dredged material allocations in some areas.

Florida↗

Habitat drives dispersal and survival of translocated juvenile desert tortoises

1.In spite of growing reliance on translocations in wildlife conservation, translocation efficacy remains inconsistent. One factor that can contribute to failed translocations is releasing animals into poor quality or otherwise inadequate habitat. 2.Here we used a targeted approach to test the relationship of habitat features to post-translocation dispersal and survival of juvenile Mojave desert tortoises Gopherus agassizii . 3.We selected three habitat characteristics—rodent burrows, substrate texture (prevalence and size of rocks), and washes (ephemeral river beds)–that are tied to desert tortoise ecology. At the point of release, we documented rodent burrow abundance, substrate texture, and wash presence and analysed their relationship to maximum dispersal. We also documented relative use by each individual for each habitat characteristic and analysed their relationships with survival and fatal encounters with a predator in the first year after release. 4.In general, the presence of refugia or other areas that enabled animals to avoid detection, such as burrows and substrate, decreased overall mortality as well as predator-mediated mortality. The presence of washes and substrate that enhanced the tortoises’ ability to avoid detection also associated with reduced dispersal away from the release site. These results indicate an important role for all three measured habitat characteristics in driving dispersal, survival, or fatal encounters with a predator in the first year after translocation. 5. Synthesis and applications . Resource managers using translocations as a conservation tool should prioritize acquiring data linking habitat to fitness. In particular, for species that depend on avoiding detection, refuges such as burrows and habitat that improved concealment had notable ability to improve survival and dispersal. Our study on juvenile Mojave desert tortoises showed that refuge availability or the distributions of habitat appropriate for concealment are important considerations for identifying translocation sites for species highly dependent on crypsis, camouflage, or other forms of habitat matching.

Journal of Applied Ecology↗

You can go your own way: No evidence for social behavior based on kinship or familiarity in captive juvenile box turtles

Behavioral interactions between conspecific animals can be influenced by relatedness and familiarity. Compared to other vertebrate taxa, considering such aspects of social behavior when housing captive reptiles has received less attention, despite the implications this could have for informing husbandry practices, enhancing welfare, and influencing outcomes of conservation translocations. In this study, to test how kinship and familiarity influenced social behavior in a reptile, we reared 16 captive-born Eastern Box Turtles ( Terrapene carolina ) under semi-natural conditions in four equally sized groups, where each group comprised pairs of siblings and non-siblings. Using separation distance between pairs of turtles in rearing enclosures as a measure of gregariousness, we found no evidence suggesting siblings more frequently interacted with one another compared to non-relatives over the first five months of life (β = -0.016, 95% CI: -0.117 to 0.084). Average pair separation distance decreased during this time (β = -0.146, 95% CI: -0.228 to -0.063) but may have been due to turtles aggregating around concentrated resources like heat and moist retreat areas as cold winter temperatures approached. When subject were eight months old, we measured repeated separation distances between unique pair combinations in an experimental environment and similarly found no support for gregariousness (associations) being influenced by kinship or familiarity (β = -1.554, 95% CI: -9.956 to 6.848). Additionally, differences in body size between pairs of turtles (β = -22.289, 95% CI: -68.448 to 23.870) nor the five-minute time interval during the 90-minute trial (P ≥ 0.18) had any apparent effect on associations. Agonistic interactions between individuals were never observed. Encouragingly, based on our results, group housing and rearing of juvenile box turtles did not appear to negatively impact their behavioral and physiological well-being. Unlike findings for other taxa, including some reptiles, our results suggest strategically housing groups of juvenile T. carolina to maintain social stability may not be an important husbandry consideration, or even a requirement, when planning releases of captive-reared individuals for conservation purposes.

Applied Animal Behaviour Science↗

Importance of sampling design and analysis in animal population studies: a comment on Sergio et al

1. The use of predators as indicators and umbrellas in conservation has been criticized. In the Trentino region, Sergio et al. (2006; hereafter SEA) counted almost twice as many bird species in quadrats located in raptor territories than in controls. However, SEA detected astonishingly few species. We used contemporary Swiss Breeding Bird Survey data from an adjacent region and a novel statistical model that corrects for overlooked species to estimate the expected number of bird species per quadrat in that region. 2. There are two anomalies in SEA which render their results ambiguous. First, SEA detected on average only 6.8 species, whereas a value of 32 might be expected. Hence, they probably overlooked almost 80% of all species. Secondly, the precision of their mean species counts was greater in two-thirds of cases than in the unlikely case that all quadrats harboured exactly the same number of equally detectable species. This suggests that they detected consistently only a biased, unrepresentative subset of species. 3. Conceptually, expected species counts are the product of true species number and species detectability p. Plenty of factors may affect p, including date, hour, observer, previous knowledge of a site and mobbing behaviour of passerines in the presence of predators. Such differences in p between raptor and control quadrats could have easily created the observed effects. Without a method that corrects for such biases, or without quantitative evidence that species detectability was indeed similar between raptor and control quadrats, the meaning of SEA's counts is hard to evaluate. Therefore, the evidence presented by SEA in favour of raptors as indicator species for enhanced levels of biodiversity remains inconclusive. 4. Synthesis and application. Ecologists should pay greater attention to sampling design and analysis in animal population estimation. Species richness estimation means sampling a community. Samples should be representative for the community studied and the sampling fraction among communities compared should be the same on average, otherwise formal estimation approaches must be applied to avoid misleading inference.

Journal of Applied Ecology↗

Using grazing to manage herbaceous structure for a heterogeneity-dependent bird

Grazing management recommendations often sacrifice the intrinsic heterogeneity of grasslands by prescribing uniform grazing distributions through smaller pastures, increased stocking densities, and reduced grazing periods. The lack of patch-burn grazing in semi-arid landscapes of the western Great Plains in North America requires alternative grazing management strategies to create and maintain heterogeneity of habitat structure (e.g., animal unit distribution, pasture configuration), but knowledge of their effects on grassland fauna is limited. The lesser prairie-chicken ( Tympanuchus pallidicinctus ), an imperiled, grassland-obligate, native to the southern Great Plains, is an excellent candidate for investigating effects of heterogeneity-based grazing management strategies because it requires diverse microhabitats among life-history stages in a semi-arid landscape. We evaluated influences of heterogeneity-based grazing management strategies on vegetation structure, habitat selection, and nest and adult survival of lesser prairie-chickens in western Kansas, USA. We captured and monitored 116 female lesser prairie-chickens marked with very high frequency (VHF) or global positioning system (GPS) transmitters and collected landscape-scale vegetation and grazing data during 2013–2015. Vegetation structure heterogeneity increased at stocking densities ≤0.26 animal units/ha, where use by nonbreeding female lesser prairie-chickens also increased. Probability of use for nonbreeding lesser prairie-chickens peaked at values of cattle forage use values near 37% and steadily decreased with use ≥40%. Probability of use was positively affected by increasing pasture area. A quadratic relationship existed between growing season deferment and probability of use. We found that 70% of nests were located in grazing units in which grazing pressure was <0.8 animal unit months/ha. Daily nest survival was negatively correlated with grazing pressure. We found no relationship between adult survival and grazing management strategies. Conservation in grasslands expressing flora community composition appropriate for lesser prairie-chickens can maintain appropriate habitat structure heterogeneity through the use of low to moderate stocking densities (<0.26 animal units/ha), greater pasture areas, and site-appropriate deferment periods. Alternative grazing management strategies (e.g., rest-rotation, season-long rest) may be appropriate in grasslands requiring greater heterogeneity or during intensive drought. Grazing management favoring habitat heterogeneity instead of uniform grazing distributions will likely be more conducive for preserving lesser prairie-chicken populations and grassland biodiversity.

Kansas↗

Climate change refugia hotspots for priority species: A case study in East Africa

Natural resource managers and policymakers need actionable climate data to guide conservation decisions. Conserving climate change refugia, areas relatively buffered from contemporary climate change, is increasingly considered an effective strategy for adaptation. Despite tropical species facing heightened vulnerability to climate change, the tropics remain underserved in climate adaptation research. We coproduced with Tanzanian partners the first comprehensive assessment of climate change refugia across Tanzania through extensive consultation, in-person conversations, and field visits to priority ecosystems, ensuring our analysis addressed local conservation needs and decision-making contexts. We developed species distribution models for 33 terrestrial animal species using maximum entropy and boosted regression tree algorithms. We projected future suitable habitats for SSP126 and SSP585, for 2011–2040 and 2071–2100, using GFDL Earth System and the UK Earth System models. More than half under SSP126 and 79% of focal species under SSP585 lost their suitable habitat by 2100. Serengeti National Park, Northern Highlands Forest Reserve, and the Eastern Arc Mountains emerged as key climate change refugia, while other protected areas, including Kigosi and Ugalla River National Parks, had no climate change refugia. This assessment provides actionable insights for Tanzania's conservation prioritization while identifying critical research gaps in western and montane ecosystems.

Conservation Science and Practice↗

Changing perspectives on pearly mussels, North America's most imperiled animals

Pearly mussels (Unionacea) are widespread, abundant, and important in freshwater ecosystems around the world. Catastrophic declines in pearly mussel populations in North America and other parts of the world have led to a flurry of research on mussel biology, ecology, and conservation. Recent research on mussel feeding, life history, spatial patterning, and declines has augmented, modified, or overturned long-held ideas about the ecology of these animals. Pearly mussel research has begun to benefit from and contribute to current ideas about suspension feeding, life-history theory, metapopulations, flow refuges, spatial patterning and its effects, and management of endangered species. At the same time, significant gaps in understanding and apparent paradoxes in pearly mussel ecology have been exposed. To conserve remaining mussel populations, scientists and managers must simultaneously and aggressively pursue both rigorous research and conservation actions.

BioScience↗

Using a gradient in food quality to infer drivers of fatty acid content in two filter-feeding aquatic consumers

Inferences about ecological structure and function are often made using elemental or macromolecular tracers of food web structure. For example, inferences about food chain length are often made using stable isotope ratios of top predators and consumer food sources are often inferred from both stable isotopes and fatty acid (FA) content in consumer tissues. The use of FAs as tracers implies some degree of macromolecular conservation across trophic interactions, but many FAs are subject to physiological alteration and animals may produce those FAs from precursors in response to food deficiencies. We measured 41 individual FAs and several aggregate FA metrics in two filter-feeding taxa to (1) assess ecological variation in food availability and (2) identify potential drivers of among-site variation in FA content. These taxa were filter feeding caddisflies (Family Hydropyschidae) and dreissenid mussels (Genus Dreissena ), which both consume seston. Stable isotopic composition (C and N) in these taxa co-varied across 13 sites in the Great Lakes region of North America, indicating they fed on very similar food resources. However, co-variation in FA content was very limited, with only one common FA co-varying across this gradient (α-linolenic acid; ALA), suggesting these taxa accumulate FAs very differently even when exposed to the same foods. Based on these results, among-site variation in ALA content in both consumers does appear to be driven by food resources, along with several other FAs in dreissenid mussels. We conclude that single-taxa measurements of FA content cannot be used to infer FA availability in food resources.

Lake Erie, Lake Huron, Lake Michigan, Lake Ontario↗

An introduction to the practical and ethical perspectives on the need to advance and standardize the intracoelomic surgical implantation of electronic tags in fish

The intracoelomic surgical implantation of electronic tags (including radio and acoustic telemetry transmitters, passive integrated transponders and archival biologgers) is frequently used for conducting studies on fish. Electronic tagging studies provide information on the spatial ecology, behavior and survival of fish in marine and freshwater systems. However, any surgical procedure, particularly one where a laparotomy is performed and the coelomic cavity is opened, has the potential to alter the survival, behavior or condition of the animal which can impair welfare and introduce bias. Given that management, regulatory and conservation decisions are based on the assumption that fish implanted with electronic tags have similar fates and behavior relative to untagged conspecifics, it is critical to ensure that best surgical practices are being used. Also, the current lack of standardized surgical procedures and reporting of specific methodological details precludes cross-study and cross-year analyses which would further progress the field of fisheries science. This compilation of papers seeks to identify the best practices for the entire intracoelomic tagging procedure including pre- and post-operative care, anesthesia, wound closure, and use of antibiotics. Although there is a particular focus on salmonid smolts given the large body of literature available on that group, other life-stages and species of fish are discussed where there is sufficient knowledge. Additional papers explore the role of the veterinarian in fish surgeries, the need for minimal standards in the training of fish surgeons, providing a call for more complete and transparent procedures, and identifying trends in procedures and research needs. Collectively, this body of knowledge should help to improve data quality (including comparability and repeatability), enhance management and conservation strategies, and maintain the welfare status of tagged fish.

Reviews in Fish Biology and Fisheries↗

Priodontes maximus (Cingulata: Chlamyphoridae)

Priodontes maximus ( Kerr, 1792 ), called the giant armadillo, is monotypic and by far the largest extant armadillo. Average adult weight is about 30kg (in captivity, as high as 80kg). Its carapace extends about halfway down its sides, making it impossible to curl up tightly. It is dark brown to black dorsally, with a broad light band around the lower part of its carapace. It primarily digs to escape, enhanced by its 20-cm, sickle-shaped nail on its 3rd forefingers. P. maximus is widely distributed in South America but nowhere abundant. It is affected by habitat loss and fragmentation, agriculture, hunting, collection for museum specimens, and illegal animal trafficking. P. maximus is listed as &ldquo;Vulnerable&rdquo; by the International Union for Conservation of Nature and Natural Resources.

Mammalian Species↗

Mapping the neutralizing epitopes on the glycoprotein of infectious haematopoietic necrosis virus, a fish rhabdovirus

Twelve neutralizing monoclonal antibodies (MAbs) against the fish rhabdovirus, infectious haematopoietic necrosis virus (IHNV), were used to select 20 MAb escape mutants. The nucleotide sequence of the entire glycoprotein (G) gene was determined for six mutants representing differing cross-neutralization patterns and each had a single nucleotide change leading to a single amino acid substitution within one of three regions of the protein. These data were used to design nested PCR primers to amplify portions of the G gene of the 14 remaining mutants. When the PCR products from these mutants were sequenced, they also had single nucleotide substitutions coding for amino acid substitutions at the same, or nearby, locations. Of the 20 mutants for which all or part of the glycoprotein gene was sequenced, two MAbs selected mutants with substitutions at amino acids 230-231 (antigenic site I) and the remaining MAbs selected mutants with substitutions at amino acids 272-276 (antigenic site II). Two MAbs that selected mutants mapping to amino acids 272-276, selected other mutants that mapped to amino acids 78-81, raising the possibility that this portion of the N terminus of the protein was part of a discontinuous epitope defining antigenic site II. CLUSTAL alignment of the glycoproteins of rabies virus, vesicular stomatitis virus and IHNV revealed similarities in the location of the neutralizing epitopes and a high degree of conservation among cysteine residues, indicating that the glycoproteins of three different genera of animal rhabdoviruses may share a similar three-dimensional structure in spite of extensive sequence divergence.

Journal of General Virology↗

Eagle fatalities are reduced by automated curtailment of wind turbines

Collision‐caused fatalities of animals at wind power facilities create a ‘green versus green’ conflict between wildlife conservation and renewable energy. These fatalities can be mitigated via informed curtailment whereby turbines are slowed or stopped when wildlife are considered at increased risk of collision. Automated monitoring systems could improve efficacy of informed curtailment, yet such technology is undertested. We test the efficacy of an automated curtailment system—a camera system that detects flying objects, classifies them and decides whether to curtail individual turbines to avoid potential collision—in reducing counts of fatalities of eagles, at Top of the World Windpower Facility (hereafter, the treatment site) in Wyoming, USA. We perform a before–after–control–impact study, comparing the number of eagle fatalities observed at the treatment site with those at a nearby (15 km) control site without automated curtailment, both before and after the implementation of automated curtailment at the treatment site. After correcting for carcass detection probability and scaling fatality estimates to turbine‐years, we estimate that the number of fatalities at the treatment site declined by 63% (95% CI = 59%–66%) between before and after periods while increasing at the control site by 113% (51%–218%). In total, there was an 82% (75%–89%) reduction in the fatality rate at the treatment site relative to the control site. Synthesis and applications . Automated curtailment of wind turbine operation substantially reduced eagle fatalities. This technology therefore has the potential to lessen the conflict between wind energy and raptor conservation. Although automated curtailment reduced fatalities, they were not fully eliminated. Therefore, automated curtailment, as implemented here, is not a panacea and its efficacy could be improved if considered in conjunction with other mitigation actions.

Wyoming↗