Search USGSSearch

SEARCH · Search USGS

Results for “Behaviour”

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 271 records · Page 15Linked to original sources

Benefits, costs, and determinants of dominance in American black ducks

Behavioural dominance was studied in captive American black ducks (Anas rubripes) during October-December 1984. Eighty ducks were marked individually, and groups of 10 ducks consisting of 5 adults (3 males and 2 females) and 5 juveniles (3 males and 2 females) were assigned to each of 8 experimental pens. Ducks in 4 pens received an ad libitum diet, and ducks in the other 4 pens were given a restricted diet. Dominance structure within pens was linear. Adults were dominant to young, and body mass had no influence on dominance rank. The effect of sex on dominance rank was age-specific. Adult males were dominant to adult females and to young black ducks of both sexes; however, dominance rank of young males did not differ from adult or young females. Paired adults were dominant to unpaired adults and to young individuals that were either paired or unpaired. Paired young black ducks were similar in dominance rank to unpaired adults and unpaired young indicating that pairing did not make these individuals more dominant. Ducks on the restricted diet gained less body mass than ducks on the ad libitum diet, but dominant and subordinate black ducks within treatment groups experienced similar changes in body mass during the early winter. Dominant black ducks interacted more frequently and were more likely to form pair bonds than subordinates, thus higher energy costs of dominant individuals may explain the poor relationship between physical condition and dominance rank. There was a significant positive association between the dominance ranks of pair members.

Behaviour

Evaluating the use of marine protected areas by endangered species: A habitat selection approach

1. Optimizing the design of marine protected area (MPA) networks for the conservation of migratory marine species and their habitats involves a suite of important considerations, such as appropriate scale requirements and the distribution of anthropogenic impacts. Often, a fundamental component of the conservation planning process is delineating areas of high use or high biodiversity within a region of interest. 2. However, basing conservation strategies off merely the number of individuals in an ecosystem is outdated and potentially subject to arbitrary thresholds. To be effective at protecting marine megafauna, MPAs would ideally encompass habitats used by focal species. Through satellite-tracking studies, evidence of whether species actually use protected areas is emerging. 3. Here, we present a multispecies perspective on habitat selection within existing MPAs throughout the Floridian ecoregion, which encompasses coastal Florida and the Gulf of Mexico. Using an 11-year satellite-tracking dataset on 235 marine turtles, we used integrated step selection analysis to quantify the effects of sea turtle behavioural state (identified by a switching state-space model), protected area status, chlorophyll and bathymetry on habitat selection. 4. Our results show that sea turtles do select for existing protected areas, specifically multi-use zones, while controlling for the effects of depth and primary productivity. However, our analysis revealed that turtles showed no selection for the no-take zones within MPAs, during either transiting or foraging. 5. These findings contribute to the existing literature base of MPA use for highly mobile, imperilled species and could inform management of existing MPAs or changes to zoning, specifically multi-use to no-take. Our use of a robust spatial modelling framework to evaluate habitat selection relative to MPAs could be incorporated into conservation planning to build MPA networks designed to accommodate migratory species.

Florida

A field test of R package GPSeqClus: For establishing animal location clusters

The ability to track animals with Global Positioning System (GPS) collars opened an enormous potential for studying animal movements and behaviour in their natural environment. One such endeavour is to identify clusters of GPS locations as a way to estimate predator kill rate. Clapp et al. (2021) developed an R package ( GPSeqClus ) to assess a location dataset based on user-defined parameters to identify clusters and their characteristics. These characteristics can then help to distinguish resting-site clusters from kill sites of their large (>50 kg) prey. We identified location clusters of an adult male wolf Canis lupus on Ellesmere Island, Nunavut, Canada in July 2009 and tracked him until he died in April 2010. Identifying location clusters was challenging because the collar only obtained two GPS locations per day (12 h apart). In July 2010, we searched 30 of 52 location-clusters we identified as kill/scavenge sites and found 17 of them as such, given they had muskox Ovibos moschatus or caribou Rangifer tarandus pearyi remains nearby. We also documented five wolf rendezvous sites, two den sites, and the wolf's death site to total 60 location-clusters in all. We used a two-step process in testing the R Package GPSeqClus (hereafter GPSeqClus ): (1) compare the number of clusters our method discerned with the number identified by the new algorithm, and (2) compare the number of biologically significant clusters (e.g. den sites, kill/feeding sites) we found with the number the new algorithm located. We made these tests with GPSeqClus by varying the search radius, number of days at a site, and minimum number of locations required for a cluster. GPSeqClus compared well to our technique, with the best sub-algorithm among the 25 we tested only missing three of our identified clusters and yielding six additional clusters. GPSeqClus identified 16 of the 17 confirmed sites of remains, all wolf home sites, and the wolf's carcass site. Identifying clusters using a 500-m search radius, a 1.5-day window, and a minimum of two GPS locations per cluster was suitable for a coarse GPS acquisition rate of two locations per day when prey are large, such as muskox or caribou. Given that GPSeqClus performed well with our coarse location dataset, we expect it will also perform even better with a collar acquiring more than two locations per day. Having a field-tested utility such as GPSeqClus will enhance carnivore predation studies elsewhere.

Ecological Solutions and Evidence

Using community-reported data to understand how boat speed affects marine wildlife: An example with the Florida manatee

Boat collisions are a known and increasing threat to many marine wildlife populations. The Florida manatee Trichechus manatus latirostris is a key example of a species with high boat-related mortality, whose long-term viability and population are limited by human activities in shared habitats. The goal of this work was to quantify the probability of lethal injury to Florida manatees using community-reported data on collisions with boats. We test the hypothesis that higher boat speeds increase the probability of lethal injury to manatees. Empirical data to test this hypothesis are collected opportunistically, with low sample sizes and uncertainty in reported boat speed. We fit a logistic regression model using Bayesian inference with Markov Chain Monte Carlo to community-reported collision data. We also present results for two errors-in-variables modelling approaches that account for uncertainty in boat speeds reported as qualitative values. The first uses a multiple imputation approach, whereas the second uses Bayesian estimation with informed priors. We evaluated issues related to quasi-separation, sample size, and measurement errors using simulated data. The models predicted that the probability of lethal injury increased at greater strike speed. However, the small number of records with low boat speed or where the injury was considered non-lethal contributed to uncertainty around this functional relationship. Although the relationships were consistent among models, the uncertainty was greater for the errors-in-variables models. Practical implication . When combined with information on manatee and boat abundance and behaviour, the results of this analysis can be used to predict the number of deadly collisions, test alternative management scenarios and inform speed zone regulations. We also identify ways to improve data reporting to reduce uncertainty in the effect of boat speed on lethal injury to marine wildlife. This type of analysis can be applied to any marine animal where records of collisions with boats are kept.

Florida

Examples of storm impacts on barrier islands

This chapter focuses on the morphologic variability of barrier islands and on the differences in storm response. It describes different types of barrier island response to individual storms, as well as the integrated response of barrier islands to many storms. The chapter considers case study on the Chandeleur Island chain, where a decadal time series of island elevation measurements have documented a wide range of barrier island responses to storms and long-term processes that are representative of barrier island behaviour at many other locations. These islands are low elevation, extremely vulnerable to storms and exhibit a diversity of storm responses. Additionally, this location experiences a moderately high rate of relative sea-level rise, increasing its vulnerability to the combined impacts of storms and long-term erosional processes. Understanding how natural processes, including storm impacts and intervening recovery periods interact with man-made restoration processes is also broadly relevant to understand the natural and human response to future storms.

Book chapter

Synthesizing models useful for ecohydrology and ecohydraulic approaches: An emphasis on integrating models to address complex research questions

Ecohydrology combines empiricism, data analytics, and the integration of models to characterize linkages between ecological and hydrological processes. A challenge for practitioners is determining which models best generalizes heterogeneity in hydrological behaviour, including water fluxes across spatial and temporal scales, integrating environmental and socio‐economic activities to determine best watershed management practices and data requirements. We conducted a literature review and synthesis of hydrologic, hydraulic, water quality, and ecological models designed for solving interdisciplinary questions. We reviewed 1,275 papers and identified 178 models that have the capacity to answer an array of research questions about ecohydrology or ecohydraulics. Of these models, 43 were commonly applied due to their versatility, accessibility, user‐friendliness, and excellent user‐support. Forty‐one of 43 reviewed models were linked to at least 1 other model especially: Water Quality Analysis Simulation Program (linked to 21 other models), Soil and Water Assessment Tool (19), and Hydrologic Engineering Center's River Analysis System (15). However, model integration was still relatively infrequent. There was substantial variation in model applications, possibly an artefact of the regional focus of research questions, simplicity of use, quality of user‐support efforts, or a limited understanding of model applicability. Simply increasing the interoperability of model platforms, transformation of models to user‐friendly forms, increasing user‐support, defining the reliability and risk associated with model results, and increasing awareness of model applicability may promote increased use of models across subdisciplines. Nonetheless, the current availability of models allows an array of interdisciplinary questions to be addressed, and model choice relates to several factors including research objective, model complexity, ability to link to other models, and interface choice.

Ecohydrology

Lake sturgeon seasonal movements in regulated and unregulated Missouri River tributaries

Spatio-temporal movement patterns of aquatic organisms drive many ecological processes. However, dams block migrations and alter the hydrologic and thermal regimes influencing movement behaviour of freshwater fishes. In North America, many recovering southern Lake Sturgeon populations occur in rivers with hydroelectric dams, but few studies have examined the impact of hydrologic alteration on their seasonal movements. We conducted a 3-year telemetry study of 96 adult and subadult Lake Sturgeon to compare their migratory responses to temperature and hydrology in adjacent regulated and unregulated tributaries of the Missouri River. Many other populations of Lake Sturgeon use tributaries primarily for spring spawning; however, in our study, Lake Sturgeon used Missouri River tributaries during 78% of the year. Differences in river size, hydrologic and thermal regimes in the regulated Osage River may have contributed to the greater year-round residency, later initiation, more frequent directional changes and longer duration of spring migrations compared to the unregulated Gasconade River. Lake Sturgeon made spring upstream migrations at temperatures of 13–19°C and elevated discharges in both rivers. However, Osage River migrants responded less to changes in discharge or temperature during spring migrations, especially those that overwintered at upstream locations. Fall tributary migrations occurred in the Osage River at rising or high discharges but were uncommon in the Gasconade River. Our identification of the influences of abiotic variables on the timing, duration and extent of Lake Sturgeon seasonal migrations can help guide management of habitat and hydrology in regulated rivers to recover migratory fishes globally.

Missouri

Modelling ecological flow regime: an example from the Tennessee and Cumberland River basins

Predictive equations were developed for 19 ecologically relevant streamflow characteristics within five major groups of flow variables (magnitude, ratio, frequency, variability, and date) for use in the Tennessee and Cumberland River basins using stepbackward regression. Basin characteristics explain 50% or more of the variation for 12 of the 19 equations. Independent variables identified through stepbackward regression were statistically significant in 78 of 304 cases (α > 0.0001) and represent four major groups: climate, physical landscape features, regional indicators, and land use. Of these groups, the regional and climate variables were the most influential for determining hydrologic response. Daily temperature range, geologic factor, and rock depth were major factors explaining the variability in 17, 15, and 13 equations, respectively. The equations and independent datasets were used to explore the broad relation between basin properties and streamflow and the implication of streamflow to the study of ecological flow requirements. Key results include a high degree of hydrologic variability among least disturbed Blue Ridge streams, similar hydrologic behaviour for watersheds with widely varying degrees of forest cover, and distinct hydrologic profiles for streams in different geographic regions. Published in 2011. This article is a US Government work and is in the public domain in the USA.

Alabama;Georgia;Kentucky;Mississippi;North Carolin

Shear-rate-dependent strength control on the dynamics of rainfall-triggered landslides, Tokushima Prefecture, Japan

A typhoon (Typhoon No. 10) attacked Shikoku Island and the Tyugoku area of Japan in 2004. This typhoon produced a new daily precipitation record of 1317 mm on Shikoku Island and triggered hundreds of landslides in Tokushima Prefecture. One catastrophic landslide was triggered in the Shiraishi area of Kisawa village, and destroyed more than 10 houses while also leaving an unstable block high on the slope. The unstable block kept moving after the event, showing accelerating and decelerating movement during and after rainfall and reaching a displacement of several meters before countermeasures were put into place. To examine the mechanism for this landsliding characteristic, samples (weathered serpentinite) were taken from the field, and their shear behaviours examined using ring shear tests. The test results revealed that the residual shear strength of the samples is positively dependent on the shear rate, which may provide an explanation for the continuous acceleratingdecelerating process of the landsliding. The roughness of the shear surface and the microstructure of the shear zone were measured and observed by laser microscope and SEM techniques in an attempt to clarify the mechanism of shear rate effect on the residual shear strength. Copyright ?? 2010 John Wiley & Sons, Ltd.

Earth Surface Processes and Landforms

Debris-flow entrainment modelling under climate change: Considering antecedent moisture conditions along the flow path

Debris-flow volumes can increase along their flow path by entraining sediment stored in the channel bed and banks, thus also increasing hazard potential. Theoretical considerations, laboratory experiments and field investigations all indicate that the saturation conditions of the sediment along the flow path can greatly influence the amount of sediment entrained. However, this process is usually not considered for practical applications. This study aims to close this gap by combining runout and hydrological models into a predictive framework that is calibrated and tested using unique observations of sediment erosion and debris-flow properties available at a Swiss debris-flow observation station (Illgraben). To this end, hourly water input to the erodible channel is predicted using a simple, process-based hydrological model, and the resulting water saturation level in the upper sediment layer of the channel is modelled based on a Hortonian infiltration concept. Debris-flow entrainment is then predicted using the RAMMS debris-flow runout model. We find a strong correlation between the modelled saturation level of the sediment on the flow path and the channel-bed erodibility for single-surge debris-flow events with distinct fronts, indicating that the modelled water content is a good predictor for erosion simulated in RAMMS. Debris-flow properties with more complex flow behaviour (e.g., multiple surges or roll waves) are not as well predicted using this procedure, indicating that more physically complete models are necessary. Finally, we demonstrate how this modelling framework can be used for climate change impact assessment and show that earlier snowmelt may shift the peak of the debris-flow season to earlier in the year. Our novel modelling framework provides a plausible approach to reproduce saturation-dependent entrainment and thus better constrain event volumes for current and future hazard assessment.

Illgraben basin

Solute export patterns across the contiguous USA

Understanding controls on solute export to streams is challenging because heterogeneous catchments can respond uniquely to drivers of environmental change. To understand general solute export patterns, we used a large-scale inductive approach to evaluate concentration–discharge (C–Q) metrics across catchments spanning a broad range of catchment attributes and hydroclimatic drivers. We leveraged paired C–Q data for 11 solutes from CAMELS-Chem, a database built upon an existing dataset of catchment and hydroclimatic attributes from relatively undisturbed catchments across the contiguous USA. Because C–Q relationships with Q thresholds reflect a shift in solute export dynamics and are poorly characterized across solutes and diverse catchments, we analysed C–Q relationships using Bayesian segmented regression to quantify Q thresholds in the C–Q relationship. Threshold responses were rare, representing only 12% of C–Q relationships, 56% of which occurred for solutes predominantly sourced from bedrock. Further, solutes were dominated by one or two C–Q patterns that reflected vertical solute–source distributions. Specifically, solutes predominantly sourced from bedrock had diluting C–Q responses in 43%–70% of catchments, and solutes predominantly sourced from soils had more enrichment responses in 35%–51% of catchments. We also linked C–Q relationships to catchment and hydroclimatic attributes to understand controls on export patterns. The relationships were generally weak despite the diversity of solutes and attribute types considered. However, catchment and hydroclimatic attributes in the central USA typically drove the most divergent export behaviour for solutes. Further, we illustrate how our inductive approach generated new hypotheses that can be tested at discrete, representative catchments using deductive approaches to better understand the processes underlying solute export patterns. Finally, given these long-term C–Q relationships are from minimally disturbed catchments, our findings can be used as benchmarks for change in more disturbed catchments.

contiguous United States

Pesticides in the hydrologic system - What do we know and what's next?

Even though the occurrence and behaviour of pesticides in the environment have been studied for decades, water-quality managers and the public still demand more complete and consistent information, and there are many unanswered questions for environmental scientists. In many respects, the greatest potential for unintended adverse effects of pesticides is through contamination of the hydrologic system, which supports aquatic life and related food chains and is used for recreation, drinking water, and many other purposes. The movement of water is one of the primary mechanisms by which pesticides are transported from targeted application areas to other parts of the environment; thus, there is potential for movement into and through all components of the hydrologic system. Extensive reviews of existing information on pesticides in the hydrologic system, including the atmosphere (Majewski and Capel, 1995), ground water (Barbash and Resek, 1996), surface water (Larson et al., 1997), and fluvial sediments and aquatic biota (Nowell et al., 1999), uncovered volumes of useful information, but also noted critical information gaps. For example: (a) relatively few pesticides have been thoroughly studied, particularly transformation products; (b) most data have been collected for small-scale site and field studies in agricultural areas; (c) urban areas have received little attention for monitoring or research; (d) the geographic and temporal distributions of data collection have been highly uneven; and (e) comparing and synthesizing results from most studies is difficult because of inconsistent approaches to data collection and chemical analysis.

Hydrological Processes

Evaluating trends using total impervious cover as a metric for degree of urbanisation

Impervious cover (IC) is a common metric for assessing the degree of urbanisation in watersheds. However, there are different methods for determining IC, and use of IC correlation with urban watershed response to hydrologic and geochemical inputs can be strongly influenced by the end members (IC below 10% and above 40%). The resolution of the imagery (e.g., 1 m vs. 30 m) used to measure IC can influence the estimate of IC, with differences up to 15% observed between these two resolutions for 21 watersheds along the east coast of the United States. The differences are greatest in the middle range between 10% and 40% IC. When using IC for correlation with urban watershed responses such as discharge flashiness or median solute concentrations, fits with R 2 between 0.4 and 0.78 were obtained when including end members of IC from 0% to 50%. However, when trying to distinguish behaviour between urban watersheds that fall in the middle ranges of IC, these same parameters do not correlate well with IC. Correlations fail significance tests, can switch direction, and fall below an R 2 of 0.1 without the end members of very low or very high IC. Because of improved accuracy, the finest resolution is preferred when available, and mixing IC estimation methods should be avoided. Furthermore, using regressions that include end members may not contribute to differentiating how IC in the 10%–40% range impacts hydrologic and geochemical responses in urban watersheds. Understanding this middle range of IC is important for comparing urban and suburban watersheds or planning watershed development to minimise impacts.

Delaware, Georgia, Maryland, New Jersy, New York,

Gypsies in the palace: Experimentalist's view on the use of 3-D physics-based simulation of hillslope hydrological response

As a fundamental unit of the landscape, hillslopes are studied for their retention and release of water and nutrients across a wide range of ecosystems. The understanding of these near-surface processes is relevant to issues of runoff generation, groundwater-surface water interactions, catchment export of nutrients, dissolved organic carbon, contaminants (e.g. mercury) and ultimately surface water health. We develop a 3-D physics-based representation of the Panola Mountain Research Watershed experimental hillslope using the TOUGH2 sub-surface flow and transport simulator. A recent investigation of sub-surface flow within this experimental hillslope has generated important knowledge of threshold rainfall-runoff response and its relation to patterns of transient water table development. This work has identified components of the 3-D sub-surface, such as bedrock topography, that contribute to changing connectivity in saturated zones and the generation of sub-surface stormflow. Here, we test the ability of a 3-D hillslope model (both calibrated and uncalibrated) to simulate forested hillslope rainfall-runoff response and internal transient sub-surface stormflow dynamics. We also provide a transparent illustration of physics-based model development, issues of parameterization, examples of model rejection and usefulness of data types (e.g. runoff, mean soil moisture and transient water table depth) to the model enterprise. Our simulations show the inability of an uncalibrated model based on laboratory and field characterization of soil properties and topography to successfully simulate the integrated hydrological response or the distributed water table within the soil profile. Although not an uncommon result, the failure of the field-based characterized model to represent system behaviour is an important challenge that continues to vex scientists at many scales. We focus our attention particularly on examining the influence of bedrock permeability, soil anisotropy and drainable porosity on the development of patterns of transient groundwater and sub-surface flow. Internal dynamics of transient water table development prove to be essential in determining appropriate model parameterization. ?? 2010 John Wiley & Sons, Ltd.

Hydrological Processes

Waterfront property owners' shoreline preferences amid salt marsh to mangrove transitions

1. We examined the influence of mangrove encroachment into salt marsh areas along the northern Gulf of Mexico (USA) on waterfront property owners' perceptions of coastal health and preferences for shoreline management. 2. Using mail-in and online surveys, we targeted over 3000 waterfront property owners across four jurisdictions experiencing or anticipating mangrove encroachment. 3. Our findings revealed a nuanced perception of coastal health, with many respondents recognizing the potentially environmental impacts of mangrove encroachment but favouring low-cost management strategies, such as maintaining current shoreline or passive monitoring. This reluctance to engage in active management highlights a perception-behaviour gap, likely influenced by the gradual nature of mangrove transitions, which diminishes urgency for active intervention. 4. Socio-demographic factors such as age, gender, income, residency and reliance on coastal resources significantly shaped preferences for shoreline management and regional responses. These preferences varied across jurisdictions, reflecting the importance of incorporating localized community values into management decisions. 5. Our findings highlight the need for a balanced approach to shoreline management that integrates ecological insights with the socio-cultural priorities of local communities. By aligning adaptation strategies with regional perceptions and values, it is possible to protect individual properties while enhancing the long-term resilience of coastal ecosystems under climate change pressures.

Florida, Texas

Performance of a prototype surface collector for juvenile salmonids at Bonneville dam's first powerhouse on the Columbia River, Oregon

During April-July 2000, we radio-tagged and released juvenile Chinook salmon (Oncorhynchus tshawytscha) and steelhead (Oncorhynchus mykiss) to evaluate a prototype surface flow bypass at Bonneville Dam on the Columbia River. The mock bypass, called a prototype surface collector (PSC), had six vertical slot entrances that were each 6 m wide and 12 m deep. The PSC was retrofitted to the upstream face of Bonneville Dam's First Powerhouse. Our objectives were to: (1) assess species-specific differences in movement patterns and behaviour of fish within 6 m of the face of the PSC, (2) estimate the efficiency and effectiveness of the PSC and (3) evaluate factors affecting the performance of the PSC. We found that 60-72% of the fish, depending on species, detected within 6 m of the PSC entered it. Of the fish that passed the First Powerhouse at turbines 1-6, 79-83% entered the PSC. Diel period was a significant contributor to PSC performance for all species, and day of year was a significant contributor to PSC performance for subyearling Chinook salmon. The PSC was twice as effective (%fish/%flow) as the spillway, passing 2.5:1 steelhead and subyearling Chinook salmon and 2.4:1 yearling Chinook salmon per unit of water. If fully implemented, the PSC would increase the percentage of fish that pass the First Powerhouse through non-turbine routes from 65-77% (without the PSC) to 76-85% (with the PSC), depending on species. Published in 2008 by John Wiley & Sons, Ltd.

River Research and Applications

Computational fluid dynamics-habitat suitability index (CFD-HSI) modelling as an exploratory tool for assessing passability of riverine migratory challenge zones for fish

We developed two-dimensional computational fluid hydraulics-habitat suitability index (CFD-HSI) models to identify and qualitatively assess potential zones of shallow water depth and high water velocity that may present passage challenges for five major anadromous fish species in a 2.63-km reach of the main stem Penobscot River, Maine, as a result of a dam removal downstream of the reach. Suitability parameters were based on distribution of fish lengths and body depths and transformed to cruising, maximum sustained and sprint swimming speeds. Zones of potential depth and velocity challenges were calculated based on the hydraulic models; ability of fish to pass a challenge zone was based on the percent of river channel that the contiguous zone spanned and its maximum along-current length. Three river flows (low: 99.1 m 3 sec -1 ; normal: 344.9 m 3 sec -1 ; and high: 792.9 m 3 sec -1 ) were modelled to simulate existing hydraulic conditions and hydraulic conditions simulating removal of a dam at the downstream boundary of the reach. Potential depth challenge zones were nonexistent for all low-flow simulations of existing conditions for deeper-bodied fishes. Increasing flows for existing conditions and removal of the dam under all flow conditions increased the number and size of potential velocity challenge zones, with the effects of zones being more pronounced for smaller species. The two-dimensional CFD-HSI model has utility in demonstrating gross effects of flow and hydraulic alteration, but may not be as precise a predictive tool as a three-dimensional model. Passability of the potential challenge zones cannot be precisely quantified for two-dimensional or three-dimensional models due to untested assumptions and incomplete data on fish swimming performance and behaviours.

River Research and Applications

Angler harvest, hatchery return, and tributary stray rates of recycled adult summer steelhead Oncorhynchus mykiss in the Cowlitz River, Washington

Hatchery ‘recycling’ programs have been used to increase angling opportunities by re-releasing fish into a river after they returned to a hatchery or fish trap. Recycling is intended to increase opportunities for fishermen, but this strategy could affect wild fish populations if some recycled fish remain in the river and interact with wild fish populations. To quantify hatchery return and angler harvest rates of recycled steelhead, we conducted a 2-year study on the Cowlitz River, Washington. A total of 1051 steelhead were recycled, including 218 fish that were radio-tagged. Fates of recycled steelhead were similar between years: 48.4% returned to the hatchery, 19.2% were reported captured by anglers, and 32.4% remained in the river. A multistate model quantified the effects of covariates on hatchery return and angler harvest rates, which were positively affected by river discharge and negatively affected by time since release. However, hatchery return rates increased and angler harvest rates decreased during periods of increasing discharge. A total of 21.1% (46 fish) of the radio-tagged steelhead failed to return to the hatchery or be reported by anglers, but nearly half of those fish (20 fish) appeared to be harvested and not reported. The remaining tagged fish (11.9% of the radio-tagged population) were monitored into the spawning period, but only five fish (2.3% of the radio-tagged population) entered tributaries where wild steelhead spawning occurs. Future research focused on straying behaviour, and spawning success of recycled steelhead may further advance the understanding of the effects of recycling as a management strategy.

Washington