Search USGS⌕ Search

SEARCH · Search USGS

Results for “Western Wildlife”

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

Response of brown-headed cowbirds and three host species to thinning treatments in low-elevation ponderosa pine forests along the northern Colorado Front Range

Thinning ponderosa pine ( Pinus ponderosa ) forests to achieve desired ecological conditions remains a priority in the North American west. In addition to reducing the risk of high-severity wildfires in unwanted areas, stand thinning may increase wildlife and plant diversity and provide increased opportunity for seedling recruitment. We initiated conservative (i.e. minimal removal of trees) ponderosa stand thinning treatments with the goals of reducing fire risk and improving habitat conditions for native wildlife and flora. We then compared site occupancy of brown-headed cowbirds ( Molothrus ater ), chipping sparrows ( Spizella passerina ), plumbeous vireos ( Vireo plumbeus ), and western wood-pewees ( Contopus sordidulus ) in thinned and unthinned (i.e., control) forest stands from 2007 to 2009. Survey stations located in thinned stands had 64% fewer trees/ha, 25% less canopy cover, and 23% less basal area than stations in control stands. Occupancy by all three host species was negatively associated with tree density, suggesting that these species respond favorably to forest thinning treatments in ponderosa pine forests. We also encountered plumbeous vireos more frequently in plots closer to an ecotonal (forest/grassland) edge, an association that may increase their susceptibility to edge-specialist, brood parasites like brown-headed cowbirds. Occupancy of brown-headed cowbirds was not related to forest metrics but was related to occupancy by plumbeous vireos and the other host species in aggregate, supporting previous reports on the affiliation between these species. Forest management practices that promote heterogeneity in forest stand structure may benefit songbird populations in our area, but these treatments may also confer costs associated with increased cowbird occupancy. Further research is required to understand more on the complex relationships between occupancy of cowbirds and host species, and between cowbird occupancy and realized rates of nest parasitism.

Colorado↗

Invasion resistance varies by fuel break type in sagebrush ecosystems

Background Wildfire is an increasingly important driver of changes within sagebrush (Artemisia spp. L.) ecosystems of the western USA, often resulting in increased spread of exotic annual grasses, such as cheatgrass (Bromus tectorum L.), and subsequent losses of native vegetation and wildlife habitat. Fuel breaks— areas of land treated to reduce or redistribute fuel loads — are widely implemented to help prevent the spread of wildfires and provide areas to facilitate firefighting efforts. However, localized installation and maintenance of fuel breaks directly reduce or remove vegetation and may propagate the spread of exotic annual grasses into fuel break boundaries and surrounding areas, inadvertently weakening ecological resilience to disturbance. To investigate if exotic annual grass cover was associated with mowed or green strip fuel breaks across the sagebrush biome, we combined multiple data sources and methodologies. We used targeted field surveys and land-management agency monitoring data within a space-for-time substitution framework coupled with a progressive-change before-after control-impact (PC BACI) study design using historical remotely sensed vegetation cover data which allowed us to account for potential confounding effects of roads on annual grass cover. Results Models using both field collected and remotely sensed vegetation indices estimated increases in exotic annual grass cover over time following mowed fuel break installation, and higher exotic annual grass cover closer to mowed fuel breaks. These increases in exotic annual grass occurred within, at 500 m and at 1000 m from mowed fuel breaks. However, we found variable patterns of exotic annual grass after green strip fuel break installation depending on the data source. No increase in exotic annual grass were indicated by either analysis at distances greater than 500 m from green strip fuel breaks. However, our and field data analyses disagreed on the direction of the association of exotic annual grass cover and green strip fuel breaks. Conclusions Although fuel breaks are an important tool in managing wildland fire, our analysis underscores the importance of planting fire-resistant vegetation, rather than mowing alone, to reduce invasion by annual grasses within and around fuel breaks in sagebrush ecosystems. In addition, site characteristics that hinder the proliferation of exotic annual grasses could be evaluated when installing fuel breaks to minimize unintended effects of exotic annual grass on surrounding sagebrush habitat.

California, Idaho, Nevada, Oregon, Utah↗

Development of a Surface-Water Index of Permanence to assess surface-water availability for ecohydrological refugia

Surface-water availability has major implications for the environment and society in the 21st century. With climate change, increased drought severity, and altered water and land use, future water availability is predicted to continue to decline in many areas, including much of the western United States. An understanding of where and when water will be available at multiple scales is crucial for the planning and management of wildlife health, recreation, and energy development. Currently, indices describing water presence and permanence exist for specific surface-water components (for example, streams and wetlands); however, a general surface-water permanence index that includes all major surface-water components is lacking. Developing a Surface-Water Index of Permanence can provide a reliable metric to understand future river reach- to region-scale surface-water permanence and availability and inform land management and policy decisions.

Fact Sheet↗

Saltcedar and Russian Olive Control Demonstration Act Science Assessment

The primary intent of this document is to provide the science assessment called for under The Saltcedar and Russian Olive Control Demonstration Act of 2006 (Public Law 109-320; the Act). A secondary purpose is to provide a common background for applicants for prospective demonstration projects, should funds be appropriated for this second phase of the Act. This document synthesizes the state-of-the-science on the following topics: the distribution and abundance (extent) of saltcedar (Tamarix spp.) and Russian olive (Elaeagnus angustifolia) in the Western United States, potential for water savings associated with controlling saltcedar and Russian olive and the associated restoration of occupied sites, considerations related to wildlife use of saltcedar and Russian olive habitat or restored habitats, methods to control saltcedar and Russian olive, possible utilization of dead biomass following removal of saltcedar and Russian olive, and approaches and challenges associated with revegetation or restoration following control efforts. A concluding chapter discusses possible long-term management strategies, needs for additional study, potentially useful field demonstration projects, and a planning process for on-the-ground projects involving removal of saltcedar and Russian olive.

Scientific Investigations Report↗

Population characteristics and the potential suppression of common carp in Lake Spokane, Washington

Common Carp Cyprinus carpio is a nonnative species that often has deleterious effects on aquatic systems. As such, there is interest in suppressing nonnative Common Carp populations in areas where humans have introduced them. The objectives of this study were to 1) provide insight on efficient techniques for capturing Common Carp, 2) describe their population demographics and dynamics, 3) evaluate whether temperature and water elevation were related to growth and recruitment, and 4) develop an age-structured population model for evaluating different management scenarios of Common Carp removal in Lake Spokane, Washington. Catch rates of Common Carp varied among sampling gears with slightly higher catch rates in monofilament (mean ± SD; 15.5 ± 9.8 fish/net night) vs. multifilament (12.7 ± 7.3 fish/net night) gill nets. Catch rates of Common Carp with nighttime electrofishing (0.3 ± 0.4 fish/min) were higher than daytime electrofishing (0.1 ± 0.2 fish/min). Common Carp in Lake Spokane exhibited variable recruitment, rapid growth, large-length structure, high longevity (i.e., age 18 y), and low total annual mortality (17.0%). Air temperature was positively associated with annual growth increments ( R 2 ≤ 0.25). Neither air temperature nor water elevation was highly correlated ( R 2 ≤ 0.20) to recruitment of Common Carp. A Beverton–Holt yield-per-recruit model suggested that yield declined with increasing exploitation. Recruitment overfishing would occur at exploitation rates of 20–40% for all targeted minimum length categories (i.e., 150, 300, 450 mm) except 600 mm. Results from this study provide important information on the ecology of Common Carp that can be used to guide management efforts (e.g., suppression) in western systems.

Washington↗

Green-tailed Towhee response to prescribed fire in montane shrubland

Fire alters the structure and composition of shrublands and affects habitat quality for the associated avifauna. Because shrubland ecosystems have been greatly reduced from their original extent in western North America and fire is increasingly being used to manage these landscapes, a better understanding of how fire affects the associated vegetation and wildlife is imperative. We evaluated the response of Green-tailed Towhees (Pipilo chlorurus) to prescribed fire in the montane shrublands of Rocky Mountain National Park, Colorado during 2002 and 2003. Three to five years following prescribed burning, Green-tailed Towhee density and shrub cover were generally higher in unburned areas. Nests (n = 179) were located in unburned vegetation; within burned sites, all nests were in remnant patches. Green-tailed Towhee nest survival was 57% (95% CI = 49%-65%) across the two years of the study. More than half of the nests were in common juniper (Juniperus communis) shrubs, and nest survival was higher for nests in junipers than those in other shrub species. Daily nest survival rates were lower at the site with the highest density of towhees and declined over the breeding season. With regard to shrub cover, opposite trends were observed for nest-site selection and nest survival: nest plots had greater shrub cover than non-nest plots, but nest survival decreased with increasing shrub cover. Because shrub cover affects towhee density and nest survival in conflicting ways, fire management at Rocky Mountain National Park alters both habitat availability and suitability for Green-tailed Towhees. ?? The Cooper Ornithological Society 2006.

Condor↗

Saltcedar and Russian olive control demonstration act science assessment [Executive summary]

The primary intent of this document is to provide the science assessment called for under The Saltcedar and Russian Olive Control Demonstration Act of 2006 (Public Law 109–320; the Act). A secondary purpose is to provide a common background for applicants for prospective demonstration projects, should funds be appropriated for this second phase of the Act. This document synthesizes the state-of-the-science on the following topics: the distribution and abundance (extent) of saltcedar (Tamarix spp.) and Russian olive (Elaeagnus angustifolia) in the Western United States, potential for water savings associated with controlling saltcedar and Russian olive and the associated restoration of occupied sites, considerations related to wildlife use of saltcedar and Russian olive habitat or restored habitats, methods to control saltcedar and Russian olive, possible utilization of dead biomass following removal of saltcedar and Russian olive, and approaches and challenges associated with revegetation or restoration following control efforts. A concluding chapter discusses possible long-term management strategies, needs for additional study, potentially useful field demonstration projects, and a planning process for on-the-ground projects involving removal of saltcedar and Russian olive. The principal findings and conclusions from each of these chapters are summarized below.

Book chapter↗

Modeling the potential habitat gained by planting sagebrush in burned landscapes

Many revegetation projects are intended to benefit wildlife species. Yet, there are few a priori evaluations that assess the potential efficiency of restoration actions in recovering wildlife habitats. We developed a spatial vegetation–habitat recovery model to gauge the degree to which field planting strategies could be expected to recover multi-factor habitat conditions for wildlife following wildfires. We simulated a wildfire footprint, multiple sagebrush ( Artemisia spp.) planting scenarios, and tracked projected vegetation growth for 15 years post-fire. We used a vegetation transition framework to track and estimate the degree to which revegetation could accelerate habitat restoration for a Greater sage-grouse ( Centrocercus ) population within the Great Basin, western United States. We assessed the amount of habitat 15 years post-fire to estimate the degree to which revegetation could be expected to accelerate habitat restoration. Our results highlight a potential disconnect between the expansive areas required by wide-ranging wildlife such as sage-grouse and the relatively small areas that planting treatments have created. Habitat restorations and planting strategies that are intended to benefit sage-grouse may only speed up localized habitat restoration. This study provides an example of how linked revegetation–habitat modeling approaches can scope the expected return on restoration investment for habitat improvements and support the strategic use of limited restoration resources.

Nevada↗

Refining genetic boundaries for Agassiz’s desert tortoise (Gopherus agassizii) in the western Sonoran Desert: The influence of the Coachella Valley on gene flow among populations in southern California

Understanding the influence of geographic features on the evolutionary history and population structure of a species can assist wildlife managers in delimiting genetic units (GUs) for conservation and management. Landscape features including mountains, low elevation depressions, and even roads can influence connectivity and gene flow among Agassiz’s desert tortoise (Gopherus agassizii) populations. Substantial changes in the landscape of the American Southwest occurred during the last six million years (including the formation of the Gulf of California and the lower Colorado River), which shaped the distribution and genetic structuring of tortoise populations. The area northwest of the Gulf of California is occupied by the Salton Trough, including the Coachella Valley at its northern end. Much of this area is below sea level and unsuitable as tortoise habitat, thus forming a potential barrier for gene flow. We assessed genetic relationships among three tortoise populations separated by the Coachella Valley. Two adjacent populations were on the east side of the valley in the foothills of the Cottonwood and Orocopia mountains separated by Interstate 10. The third population, Mesa, was located about 87 km away in the foothills of the San Bernardino Mountains at the far northwestern tip of the valley. The Cottonwood and Orocopia localities showed genetic affiliation with the adjacent Colorado Desert GU immediately to the east, and the Mesa population exhibited affiliation with both the Southern Mojave and Colorado Desert GUs, despite having a greater geographic distance (0.5x–1.5x greater) to the Colorado Desert GU. The genetic affiliation with the Colorado Desert GU suggests that the boundary for that GU needs to be substantially extended to the west to include the desert tortoise populations around the Coachella Valley. Their inclusion in the Colorado Desert GU may benefit these often overlooked populations when recovery actions are considered.

California↗

Could residual oil from the Exxon Valdez spill create a long-term population "sink" for sea otters in Alaska?

Over 20 years ago, the Exxon Valdez oil tanker spilled 42 million L of crude oil into the waters of Prince William Sound, Alaska, USA. At the time of the spill, the sea otter (Enhydra lutris) population inhabiting the spill area suffered substantial acute injuries and loss. Subsequent research has resulted in one of the best-studied species responses to an oil spill in history. However, the question remains: Is the spill still influencing the Prince William Sound sea otter population? Here we fit time-varying population models to data for the sea otter population of western Prince William Sound to quantify the duration and extent of mortality effects from the spill. We hypothesize that the patchy nature of residual oil left in the environment has created a source-sink population dynamic. We fit models using the age distributions of both living and dying animals and estimates of sea otter population size to predict the number of sea otters in the hypothesized sink population and the number lost to this sink due to chronic exposure to residual oil. Our results suggest that the sink population has remained at just over 900 individuals (95% CI: 606-960) between 1990 and 2009, during which time prime-age survival remained 2-6% below pre-spill levels. This reduced survival led to chronic losses of ???900 animals over the past two decades, which is similar in magnitude to the number of sea otter deaths documented in western Prince William Sound during the acute phase of the spill. However, the unaffected source population appears to be counterbalancing these losses, with the model indicating that the sea otter population increased from ???2150 individuals in 1990 to nearly 3000 in 2009. The most optimistic interpretation of our results suggests that mortality effects dissipated between 2005 and 2007. Our results suggest that residual oil can affect wildlife populations on time scales much longer than previously believed and that cumulative chronic effects can be as significant as acute effects. Further, source-sink population dynamics can explain the slow recovery observed in the spill-affected western Prince William Sound sea otter population and are consistent with available data. ??2011 by the Ecological Society of America.

Ecological Applications↗

Survival and cause-specific mortality of translocated female mule deer in southern New Mexico, USA

Context: Many mule deer ( Odocoileus hemionus ) populations in New Mexico have failed to recover from previous population declines, while some populations near urban areas have increased, resulting in more frequent human–wildlife conflicts. Translocations were used in an effort to simultaneously reduce an urban mule deer population and augment two low-density populations in south-western New Mexico, USA. Aims: Because of insufficient monitoring, the efficacy of many ungulate translocations is unknown. Our goal was to monitor cause-specific mortality and 1 year post-release survival of mule deer translocated during 2013 and 2014. We compared survival rates of mule deer released with a hard- versus soft-release during the 2014 translocation. Methods: . We translocated 218 mule deer in 2013 and 2014 into the Peloncillo Mountains (PM) and San Francisco River Valley (SFRV); 106 adult female mule deer were fitted with telemetry collars to determine cause-specific mortality and estimate survival 1 year post-release. All deer were hard-released in 2013. In 2014, translocated mule deer were either held in a soft-release pen (0.81 ha) for approximately 3 weeks or hard-released into their new environment. We used a Kaplan–Meier approach to estimate survival of translocated mule deer at each release area and to compare survival of mule deer translocated using each release method (i.e. hard- versus soft-release). Key results: In 2013–14, survival of hard-released deer in the PM was 0.627 (s.e. = 0.09), compared with 0.327 (s.e. = 0.10) in the SFRV. In 2014–15, survival of hard–released deer in the PM was 0.727 (s.e. = 0.13) and survival of soft-released deer was 0.786 (s.e. = 0.11). In the SFRV, survival of hard- and soft-released deer was 0.656 (s.e. = 0.14) and 0.50 (s.e. = 0.16), respectively. Causes of mortality were predation (51%), potential disease (9%; blue tongue or epizootic haemorrhagic disease), accident (5%), poaching (5%) and unknown (20%). Conclusions: Translocations can be an effective management tool to augment populations of mule deer while reducing overabundant urban populations. Soft-released mule deer did not have higher survival than hard-released mule deer, although the length and conditions of the acclimation period were limited in our study. Implications: Overabundant mule deer populations in urban areas may serve as sources of animals to bolster declining populations. Soft-release pens of smaller size and short period of acclimation did not influence survival.

New Mexico↗

Nuclear and mitochondrial DNA analyses of golden eagles (Aquila chrysaetos canadensis) from three areas in western North America; initial results and conservation implications

Understanding the genetics of a population is a critical component of developing conservation strategies. We used archived tissue samples from golden eagles ( Aquila chrysaetos canadensis ) in three geographic regions of western North America to conduct a preliminary study of the genetics of the North American subspecies, and to provide data for United States Fish and Wildlife Service (USFWS) decision-making for golden eagle management. We used a combination of mitochondrial DNA (mtDNA) D-loop sequences and 16 nuclear DNA (nDNA) microsatellite loci to investigate the extent of gene flow among our sampling areas in Idaho, California and Alaska and to determine if we could distinguish birds from the different geographic regions based on their genetic profiles. Our results indicate high genetic diversity, low genetic structure and high connectivity. Nuclear DNA Fst values between Idaho and California were low but significantly different from zero (0.026). Bayesian clustering methods indicated a single population, and we were unable to distinguish summer breeding residents from different regions. Results of the mtDNA AMOVA showed that most of the haplotype variation (97%) was within the geographic populations while 3% variation was partitioned among them. One haplotype was common to all three areas. One region-specific haplotype was detected in California and one in Idaho, but additional sampling is required to determine if these haplotypes are unique to those geographic areas or a sampling artifact. We discuss potential sources of the high gene flow for this species including natal and breeding dispersal, floaters, and changes in migratory behavior as a result of environmental factors such as climate change and habitat alteration. Our preliminary findings can help inform the USFWS in development of golden eagle management strategies and provide a basis for additional research into the complex dynamics of the North American subspecies.

Alaska, California, Idaho, Oregon↗

A bibliography of literature pertaining to plague ( Yersinia pestis )

Plague is an acute and often fatal zoonotic disease caused by the bacterium Yersinia pestis . Y. pestis mainly cycles between small mammals and their fleas; however, it has the potential to infect humans and frequently causes fatalities if left untreated. It is often considered a disease of the past; however, since the late 1800s, plagueis geographic range has expanded greatly, posing new threats in previously unaffected regions of the world, including the Western United States. A literature search was conducted using Internet resources and databases. The keywords chosen for the searches included plague, Yersinia pestis , management, control, wildlife, prairie dogs, fleas, North America, and mammals. Keywords were used alone or in combination with the other terms. Although this search pertains mostly to North America, citations were included from the international research community, as well. Databases and search engines used included Google ( http://www.google.com ), Google Scholar ( http://scholar.google.com ), SciVerse Scopus ( http://www.scopus.com ), ISI Web of Knowledge ( http://apps.isiknowledge.com ), and the USGS Library's Digital Desktop ( http://library.usgs.gov ). The literature-cited sections of manuscripts obtained from keyword searches were cross-referenced to identify additional citations or gray literature that was missed by the Internet search engines. This Open-File Report, published as an Internet-accessible bibliography, is intended to be periodically updated with new citations or older references that may have been missed during this compilation. Hence, the authors would be grateful to receive notice of any new or old papers that the audience (users) think need to be included.

Open-File Report↗

Joint spatial modeling bridges the gap between disparate disease surveillance and population monitoring efforts informing conservation of at-risk bat species

White-Nose Syndrome (WNS) is a wildlife disease that has decimated hibernating bats since its introduction in North America in 2006. As the disease spreads westward, assessing the potentially differential impact of the disease on western bat species is an urgent conservation need. The statistical challenge is that the disease surveillance and species response monitoring data are not co-located, available at different spatial resolutions, non-Gaussian, and subject to observation error requiring a novel extension to spatially misaligned regression models for analysis. Previous work motivated by epidemiology applications has proposed two-step approaches that overcome the spatial misalignment while intentionally preventing the human health outcome from informing estimation of exposure. In our application, the impacted animals contribute to spreading the fungus that causes WNS, motivating development of a joint framework that exploits the known biological relationship. We introduce a Bayesian, joint spatial modeling framework that provides inferences about the impact of WNS on measures of relative bat activity and accounts for the uncertainty in estimation of WNS presence at non-surveyed locations. Our simulations demonstrate that the joint model produced more precise estimates of disease occurrence and unbiased estimates of the association between disease presence and the count response relative to competing two-step approaches. Our statistical framework provides a solution that leverages disparate monitoring activities and informs species conservation across large landscapes. Stan code and documentation are provided to facilitate access and adaptation for other wildlife disease applications.

Journal of Agricultural, Biological and Environmen↗

Foreword: Contributions of Arctic PRISM to monitoring western hemispheric shorebirds

Long-term monitoring of populations is of paramount importance to understanding responses of organisms to global environmental change and to evaluating whether conservation practices are yielding intended results through time (Wiens 2009). The population status of many shorebird species, the focus of this volume, remain poorly known. Long-distance migrant shorebirds have proven particularly difficult to monitor, in part because of their highly inaccessible regions. As migrant shorebirds travel the length of the hemisphere, the congregate and disperse in ways that vary among species, locations, and years, presenting serious challenges to designing and implementing monitoring programs. Rigorous field and quantitative methods that estimate population size and monitor trends are vitally needed to direct and evaluate effective conservation measures. Many management efforts depend on unbiased population size estimates; for examples, the shorebird conservation plans for both Canada and the United States seek to restore populations to levels calculated for the 1970s based on the best information available from existing surveys. Further, federal wildlife agencies within the United States and Canada have mandates to understand the state of their nations' resources under various conventions for the protection of migratory birds. Accurate estimates of population size are vital statistics for a variety of conservation activities, such as prioritizing species for conservation action and setting management targets. Areas of essential habitat, such as those designated under the Western Hemisphere Shorebird Reserve Network, the Important Bird Areas program of BirdLife Internationals and the National Audubon Society, or Canada's National Wildlife Areas program, are all evaluated on the basis of proportions of species' populations which they contain. The size, and trends in size, of a species' population are considered key information for assessing its vulnerability and subsequent listing under the U.S. Endangered Species Act and the Canadian Species at Risk Act. To meet the need for information on population size and trends, shorebird biologists from Canada and the United States proposed a shared blueprint for shorebird monitoring across the Western Hemisphere in the late 1990s; this effort was undertaken in concert with the development of the Canadian and the U.S. Shorebird Conservation Plans. Soon thereafter, partners in the monitoring effort adopted the name "Program for Regional and International Shorebird Monitoring" (PRISM). Among the primary objectives of PRISM were to estimate the population sizes and trends of breeding North American shorebirds and describe their distributions. PRISM members evaluated ongoing and potential monitoring approached to address 74 taxa (including subspecies) and proposed a combination of arctic and boreal breeding surveys, temperate breeding and non-breeding surveys, and neotropical surveys.

Studies in Avian Biology↗

Contributions of Arctic PRISM to monitoring western hemispheric shorebirds

Long-term monitoring of populations is of paramount importance to understanding responses oforganisms to global environmental change and to evaluating whether conservation practices are yielding intended results through time (Wiens 2009). The population status of many shorebird species, the focus of this volume, remain poorly known. Long-distance migrant shorebirds have proven particularly difficult to monitor, in part because of their highly migratory nature and ranges that extend into highly inaccessible regions. As migrant shorebirds travel the length of the hemisphere, they congregate and disperse in ways that vary among species, locations, and years, presenting serious challenges to designing and implementing monitoring programs. Rigorous field and quantitative methods that estimate population size and monitor trends are vitally needed to direct and evaluate effective conservation measures. Many management efforts depend on unbiased population size estimates; for example, the shorebird conservation plans for both Canada and the United States seek to restore populations to levels calculated for the 1970s based on the best information available from existing surveys. Further, federal wildlife agencies within the United States and Canada have mandates to understand the state of their nations' resources under various conventions for the protection of migratory birds. Accurate estimates of population size are vital statistics for a variety of conservation activities, such as prioritizing species for conservation action and setting management targets. Areas of essential habitat, such as those designated under the Western Hemisphere Shorebird Reserve Network, the Important Bird Areas program of BirdLife International and the National Audubon Society, or Canada's National Wildlife Areas program, are all evaluated on the basis ofproportions of species' populations which they contain. The size, and trends in size, ofa species' population are considered key information for assessing its vulnerability and subsequent listing under the U.S. Endangered Species Act and the Canadian Species at Risk Act. To meet the need for information on population size and trends, shorebird biologists from Canada and the United States proposed a shared blueprint for shorebird monitoring across the Western Hemisphere in the late 1990s; this effort was undertaken in concert with the development of the Canadian and U.S. Shorebird Conservation Plans (Donaldson et al. 2000, Brown et aL 2001). Soon thereafter, partners in the monitoring effort adopted the name "Program for Regional and International Shorebird Monitoring" (PRISM). Among the primary objectives of PRISM were to estimate the population sizes and trends of breeding North American shorebirds and describe their distributions (Bart et al. 2002). PRISM members evaluated ongoing and potential monitoring approaches to address 74 taxa (including subspecies) and proposed a combination of arctic andboreal breeding surveys, temperate breeding and non-breeding surveys, and neotropical surveys.

Book chapter↗

A user guide to selecting invasive annual grass spatial products for the western United States

Invasive annual grasses (IAGs)—including Bromus tectorum (cheatgrass), Taeniatherum caput-medusae (medusahead), and Ventenata dubia (ventenata) species—present significant challenges for rangeland management by altering plant communities, impacting ecosystem function, reducing forage for wildlife and livestock, and increasing fire risk. Numerous spatial data products are used to map IAGs, and understanding the similarities, differences, and potential tradeoffs among these products is key to selecting the right maps for specific applications. This short guide outlines considerations for selecting regional- and national-scale spatial data to support the management of IAGs.

western United States↗