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At least 415 records · Page 23Linked to original sources

Global phylogeography of the avian malaria pathogen Plasmodium relictum based on MSP1 allelic diversity

Knowing the genetic variation that occurs in pathogen populations and how it is distributed across geographical areas is essential to understand parasite epidemiology, local patterns of virulence, and evolution of host-resistance. In addition, it is important to identify populations of pathogens that are evolutionarily independent and thus ‘free’ to adapt to hosts and environments. Here, we investigated genetic variation in the globally distributed, highly invasive avian malaria parasite Plasmodium relictum , which has several distinctive mitochondrial haplotyps (cyt b lineages, SGS1, GRW11 and GRW4). The phylogeography of P. relictum was accessed using the highly variable nuclear gene merozoite surface protein 1 (MSP1), a gene linked to the invasion biology of the parasite. We show that the lineage GRW4 is evolutionarily independent of GRW11 and SGS1 whereas GRW11 and SGS1 share MSP1 alleles and thus suggesting the presence of two distinct species (GRW4 versus SGS1 and GRW11). Further, there were significant differences in the global distribution of MSP1 alleles with differences between GRW4 alleles in the New and the Old World. For SGS1, a lineage formerly believed to have both tropical and temperate transmission, there were clear differences in MSP1 alleles transmitted in tropical Africa compared to the temperate regions of Europe and Asia. Further, we highlight the occurrence of multiple MSP1 alleles in GRW4 isolates from the Hawaiian Islands, where the parasite has contributed to declines and extinctions of endemic forest birds since it was introduced. This study stresses the importance of multiple independent loci for understanding patterns of transmission and evolutionary independence across avian malaria parasites.

Ecography↗

Integrated monitoring and information systems for managing aquatic invasive species in a changing climate

Changes in temperature, precipitation, and other climatic drivers and sea-level rise will affect populations of existing native and non-native aquatic species and the vulnerability of aquatic environments to new invasions. Monitoring surveys provide the foundation for assessing the combined effects of climate change and invasions by providing baseline biotic and environmental conditions, although the utility of a survey depends on whether the results are quantitative or qualitative, and other design considerations. The results from a variety of monitoring programs in the United States are available in integrated biological information systems, although many include only non-native species, not native species. Besides including natives, we suggest these systems could be improved through the development of standardized methods that capture habitat and physiological requirements and link regional and national biological databases into distributed Web portals that allow drawing information from multiple sources. Combining the outputs from these biological information systems with environmental data would allow the development of ecological-niche models that predict the potential distribution or abundance of native and non-native species on the basis of current environmental conditions. Environmental projections from climate models can be used in these niche models to project changes in species distributions or abundances under altered climatic conditions and to identify potential high-risk invaders. There are, however, a number of challenges, such as uncertainties associated with projections from climate and niche models and difficulty in integrating data with different temporal and spatial granularity. Even with these uncertainties, integration of biological and environmental information systems, niche models, and climate projections would improve management of aquatic ecosystems under the dual threats of biotic invasions and climate change

Conservation Biology↗

Fluid spatial dynamics of West Nile virus in the USA: Rapid spread in a permissive host environment

The introduction of West Nile virus (WNV) into North America in 1999 is a classical example of viral emergence in a new environment, with its subsequent dispersion across the continent having a major impact on local bird populations. Despite the importance of this epizootic, the pattern, dynamics and determinants of WNV spread in its natural hosts remain uncertain. In particular, it is unclear whether the virus encountered major barriers to transmission, or spread in an unconstrained manner, and if specific viral lineages were favored over others indicative of intrinsic differences in fitness. To address these key questions in WNV evolution and ecology we sequenced the complete genomes of approximately 300 avian isolates sampled across the USA between 2001-2012. Phylogenetic analysis revealed a relatively ‘star-like' tree structure, indicative of explosive viral spread in US, although with some replacement of viral genotypes through time. These data are striking in that viral sequences exhibit relatively limited clustering according to geographic region, particularly for those viruses sampled from birds, and no strong phylogenetic association with well sampled avian species. The genome sequence data analysed here also contain relatively little evidence for adaptive evolution, particularly on structural proteins, suggesting that most viral lineages are of similar fitness, and that WNV is well adapted to the ecology of mosquito vectors and diverse avian hosts in the USA. In sum, the molecular evolution of WNV in North America depicts a largely unfettered expansion within a permissive host and geographic population with little evidence of major adaptive barriers.

Journal of Virology↗

Mapping monkeypox transmission risk through time and space in the Congo Basin

Monkeypox is a major public health concern in the Congo Basin area, with changing patterns of human case occurrences reported in recent years. Whether this trend results from better surveillance and detection methods, reduced proportions of vaccinated vs. non-vaccinated human populations, or changing environmental conditions remains unclear. Our objective is to examine potential correlations between environment and transmission of monkeypox events in the Congo Basin. We created ecological niche models based on human cases reported in the Congo Basin by the World Health Organization at the end of the smallpox eradication campaign, in relation to remotely-sensed Normalized Difference Vegetation Index datasets from the same time period. These models predicted independent spatial subsets of monkeypox occurrences with high confidence; models were then projected onto parallel environmental datasets for the 2000s to create present-day monkeypox suitability maps. Recent trends in human monkeypox infection are associated with broad environmental changes across the Congo Basin. Our results demonstrate that ecological niche models provide useful tools for identification of areas suitable for transmission, even for poorly-known diseases like monkeypox.

PLoS ONE↗

Deserts: Geology and resources

Approximately one-third of the Earth's land surface is desert, arid land with meager rainfall that supports only sparse vegetation and a limited population of people and animals. Deserts stark, sometimes mysterious worlds have been portrayed as fascinating environments of adventure and exploration from narratives such as that of Lawrence of Arabia to movies such as "Dune." These arid regions are called deserts because they are dry. They may be hot, they may be cold. They may be regions of sand or vast areas of rocks and gravel peppered with occasional plants. But deserts are always dry. Deserts are natural laboratories in which to study the interactions of wind and sometimes water on the arid surfaces of planets. They contain valuable mineral deposits that were formed in the arid environment or that were exposed by erosion. Because deserts are dry, they are ideal places for human artifacts and fossils to be preserved. Deserts are also fragile environments. The misuse of these lands is a serious and growing problem in parts of our world.

General Interest Publication↗

Ground Water Atlas of the United States: Segment 1, California, Nevada

California and Nevada compose Segment 1 of the Ground Water Atlas of the United States. Segment 1 is a region of pronounced physiographic and climatic contrasts. From the Cascade Mountains and the Sierra Nevada of northern California, where precipitation is abundant, to the Great Basin in Nevada and the deserts of southern California, which have the most arid environments in the United States, few regions exhibit such a diversity of topography or environment. Since the discovery of gold in the mid-1800's, California has experienced a population, industrial, and agricultural boom unrivaled by that of any other State. Water needs in California are very large, and the State leads the United States in agricultural and municipal water use. The demand for water exceeds the natural water supply in many agricultural and nearly all urban areas. As a result, water is impounded by reservoirs in areas of surplus and transported to areas of scarcity by an extensive network of aqueducts. Unlike California, which has a relative abundance of water, development in Nevada has been limited by a scarcity of recoverable freshwater. The Truckee, the Carson, the Walker, the Humboldt, and the Colorado Rivers are the only perennial streams of significance in the State. The individual basin-fill aquifers, which together compose the largest known ground-water reserves, receive little annual recharge and are easily depleted. Nevada is sparsely populated, except for the Las Vegas, the Reno-Sparks, and the Carson City areas, which rely heavily on imported water for public supplies. Although important to the economy of Nevada, agriculture has not been developed to the same degree as in California due, in large part, to a scarcity of water. Some additional ground-water development might be possible in Nevada through prudent management of the basin-fill aquifers and increased utilization of ground water in the little-developed carbonate-rock aquifers that underlie the eastern one-half of the State. The potential problem of withdrawals in excess of natural recharge, however, will require careful management of ground-water withdrawals.

California, Nevada↗

Sampling protocol for post-landfall Deepwater Horizon oil release, Gulf of Mexico, 2010

The protocols and procedures described in this report are designed to be used by U.S. Geological Survey (USGS) field teams for the collection of environmental data and samples in coastal areas affected by the 2010 Deepwater Horizon oil spill in the Gulf of Mexico. This sampling protocol focuses specifically on sampling for water, sediments, benthic invertebrates, and microorganisms (ambient bacterial populations) after shoreline arrival of petroleum-associated product on beach, barrier island, and wetland environments of the Gulf of Mexico coastal states. Deployment to sampling sites, site setup, and sample collection in these environments necessitates modifications to standard USGS sampling procedures in order to address the regulatory, logistical, and legal requirements associated with samples collected in oil-impacted coastal areas. This document, therefore, has been written as an addendum to the USGS National Field Manual for the Collection of Water-Quality Data (NFM) (http://pubs.water.usgs.gov/twri9A/), which provides the basis for training personnel in the use of standard USGS sampling protocols. The topics covered in this Gulf of Mexico oil-spill sampling protocol augment NFM protocols for field-deployment preparations, health and safety precautions, sampling and quality-assurance procedures, and decontamination requirements under potentially hazardous environmental conditions. Documentation procedures and maintenance of sample integrity by use of chain-of-custody procedures also are described in this protocol.

Open-File Report↗

Water-quality assessment of the Porter County watershed, Kankakee River basin, Porter County, Indiana

Water type in the 241-square mile Porter County watershed in Indiana, was calcium bicarbonate or mixed calcium bicarbonate and calcium sulfate. Concentrations of dissolved chemical constituents in surface water and contents of chlorinated hydrocarbons in streambed samples in the watershed were generally less than water-quality alert limits set by the U.S. Environmental Protection Agency, except in Crooked Creek. During sampling, this stream was affected by sewage, chlorinated hydrocarbons, and two chemical spills. Ranges of on-site field measurements were: specific conductance, from 102 to 1,060 micromhos per centimeter at 25 Celcius; water temperature, from 7.0 to 31.8 Celsius; pH, from 6.8 to 8.9; dissolved oxygen, from 2.5 to 14.9 milligrams per liter and from 27 to 148% saturation; and instantaneous discharge from 0 to 101 cubic feet per second. Concentrations of most dissolved-inorganic constituents (heavy metals and major ions) and dissolved solids did not vary significantly from one sampling period to the next at each site. Dissolved constituents whose concentrations varied significantly were iron, manganese, organic carbon, ammonia, nitrate plus nitrite, organic nitrogen, Kjeldahl nitrogen, and phosphorus. Concentrations of dissolved manganese, organic carbon, dissolved nitrite plus nitrate, and suspended sediment varied seasonally at most sites. Populations and identification of bacteria, phytoplankton, periphyton, and benthic invertebrates indicate a well-balanced environment at most sites, except in Crooked Creek.

Indiana↗

Submarine landslide susceptibility mapping in recently deglaciated terrain, Glacier Bay, Alaska

Submarine mass wasting events have damaged underwater structures and propagated waves that have inundated towns and affected human populations in nearby coastal areas. Susceptibility to submarine landslides can be pronounced in degrading cryospheric environments, where existing glaciers can provide high volumes of sediment, while cycles of glaciation and ice-loss can damage and destabilize slopes. Despite their contribution to potential tsunami hazard, submarine landslides can be difficult to study because of limited access and data collection in underwater environments. Here we present a method to quantify and map the submarine landslide susceptibility of sediment-covered slopes in Glacier Bay, Glacier Bay National Park and Preserve, Alaska, using multibeam-sonar bathymetric digital elevation models (DEMs) and historical maps of glacial extents over the last ∼250 years. After mapping an inventory of >7,000 landslide scarps in submarine sediments, we filtered the inventory by size to account for limitations in DEM resolution and spatial scales relevant to tsunami hazards. We then assessed landslide concentration, accounting for the age of the initial exposure of submarine slopes by deglaciation. We found a positive correlation between landslide concentration and deglaciation age, which we interpreted as a mean landslide accumulation rate over the period of record. Local deviations from this rate indicated differences in susceptibility. Additionally, we accounted for some of the effect of material and morphometric properties by estimating the submarine bedrock-sediment distribution using a morphometric model and assessing the relationship between slope angle and landslide incidence. Finally, we supplemented our susceptibility assessment with a geomorphic component based on the propensity of active submarine fans and deltas to produce landslides. Thus, our map of submarine landslide susceptibility incorporates three components: age-adjusted landslide concentration, slope angle, and geomorphology. We find that areas of mapped high susceptibility correlate broadly with areas of high sediment input and availability, locations of fans and deltas, and steep sediment-covered glacially carved fjords and troughs. Areas of high submarine landslide susceptibility in Glacier Bay moderately correspond with locations of known high-hazard subaerial slopes, but more research on submarine and subaerial landslides in degrading cryospheric environments would be beneficial to better understand landslide and tsunami hazards.

Alaska↗

Birds of the St. Croix River valley: Minnesota and Wisconsin

The St. Croix River Valley encompasses nearly 11,550 km2 in east-central Minnesota and northwestern Wisconsin. A wide range of habitats are available for birds including upland oak, lowland deciduous, maple-basswood, lowland and upland coniferous forests, natural basin wetlands, and grasslands. Situated in the north-central region of the United States, the valley is a biological 'crossroads' for many species. Because of the mixed affinities of plant communities, the valley includes the northern and southern range limits for a number of species. Also, because the valley lies near the forest-prairie transition zone, many typical western breeding species (e.g. pintail, western meadowlark, yellow-headed blackbird) breed in proximity to typical eastern species such as tufted titmouse, eastern meadowlark, and cardinal. From 1966 to 1980, I conducted extensive surveys of avian distribution and abundance in the St. Croix River Valley. I have supplemented the results of these surveys with published and unpublished observations contributed by many ornithologists. These additional data include compilations from Christmas Bird Counts sponsored by the National Audubon Society and from the Breeding Bird Survey coordinated by the U.S. Fish and Wildlife Service. Three hundred fourteen species have been recorded in the study area; data are presented on the migration period, nesting season distribution, winter distribution, relative abundance, and habitat use of each species. Recognizing the uniqueness of the area, and its importance not only to wildlife but also to man, the U.S. Congress designated the St. Croix a National Scenic Riverway. This action provided a considerable degree of protection to lands along and directly adjacent to the river. Unfortunately, no similar legal measure exists to protect lands away from the river. With the exception of the northern quarter of the St. Croix River Valley, agricultural interests have made significant inroads into the habitat base. The continuing expansion of the nearby Minneapolis-St. Paul metropolitan region has degraded or destroyed many woodlots, upland fields, and wetlands. In numerous instances, degradation of natural habitats has influenced the abundance and distribution of bird species. Because of these changes, both the Federal government and State Departments of Natural Resources have listed several species in various categories based on their current status. In the St. Croix River Valley, seven species are endangered, eight are threatened, and 29 are watch or priority status in either or both states. Data presented in this report are of value to land managers, land use specialists, and ornithologists, in assessing current and projected habitat alterations on the avifauna of this valley. The St. Croix River bisects a large region of western Wisconsin and east central Minnesota that exhibits a wide range of habitat types. This region supports not only birds, but many mammals, fishes, reptiles and amphibians, and several thousand species of vascular and nonvascular plants. The river itself is relatively clean through most of its course, and its natural flow is interrupted by only two small dams. Because the river lies within a 1-day drive of nearly 10 million people (Waters 1977), use of the area for recreational purposes is extremely heavy. Recreational pursuits include sunbathing, boating, and wild river kayaking in the summer, and ice fishing and cross-country skiing in the winter. The large number of unique and highly fragile habitats that exist there may never be compatible with the uses and abuses of the land that go with expanding human populations. Through the efforts of a number of citizens concerned with the quality of their environment and the foresightedness of several local, State, and Federal legislators, a portion of the upper St. Croix River Valley (hereafter termed 'the Valley') was established as a National Wild and Scenic River. Through establishment of t

North American Fauna↗

Toxicity to amphibians of environmental extracts from natural waters in National Parks and Fish and Wildlife Refuges

Amphibian population declines are not limited to overtly degraded habitats, but often occur in relatively pristine environments such as national parks or wildlife refuges, thus forcing biologists to examine less obvious causes for declines such as the presence of contaminants. The objective of our study was to extract naturally-occurring compounds from amphibian habitats (using semipermeable membrane devices) in three national parks or wildlife refuges (two sites within Sequoia Kings Canyon National Park, Big Bend National Park, and Kenai National Wildlife Refuge), and assess their toxicity to developing larvae using bioassays. Extracts did not cause mortality, so all effects observed were sublethal, influencing life history characteristics. In all three areas studied, amphibians reared in extracts from at least one of the two sites exhibited either a lengthened larval period or reduced mass at metamorphosis. Extracts from both the air and water at one site in Sequoia Kings Canyon National Park lengthened the larval period, which is in agreement with studies showing elevated levels of aerially transported contaminants at sites such as this within the park. Ultraviolet radiation, which is also suspected of having caused amphibian declines and was included as a factor in our study, did not act alone or alter the toxicity of the extracts. ?? ISSCA 2005.

Conference Paper↗

Development of a pan-Arctic monitoring plan for polar bears: Background paper

Polar bears (Ursus maritimus), by their very nature, and the extreme, remote environment in which they live, are inherently difficult to study and monitor. Monitoring polar bear populations is both arduous and costly and, to be effective, must be a long-term commitment. There are few jurisdictional governments and management boards with a mandate for polar bear research and management, and many have limited resources. Although population monitoring of polar bears has been a focus to some degree within most jurisdictions around the Arctic, of the 19 subpopulations recognised by the IUCN/Species Survival Commission Polar Bear Specialist Group (PBSG), adequate scientific trend data exist for only three of the subpopulations, fair trend data for five and poor or no trend data for the remaining 11 subpopulations (PBSG 2010a). There are especially critical knowledge gaps for the subpopulations in East Greenland, in the Russian Kara and Laptev seas, and in the Chukchi Sea, which is shared between Russia and the United States. The range covered by these subpopulations represents a third of the total area (approx. 23 million km2) of polar bears’ current range, and more than half if the Arctic Basin is included. If we use popular terms, we know close to nothing about polar bears in this portion of their range. As summer sea-ice extent, and to a lesser degree, spring-time extent, continues to retreat, outpacing model forecasts (Stroeve et al. 2007, Pedersen et al. 2009), polar bears face the challenge of adapting to rapidly changing habitats. There is a need to use current and synthesised information across the Arctic, and to develop new methods that will facilitate monitoring to generate new knowledge at a pan-Arctic scale. The circumpolar dimension can be lost when efforts are channelled into regional monitoring. Developing and implementing a plan that harmonises local, regional and global efforts will increase our power to detect and understand important trends for polar bears, with particular emphasis on how climate warming may differentially affect populations and habitats. Current knowledge is inadequate for a comprehensive understanding of the present and future impact of climate warming and its interaction with other stressors. The cumulative effects are unknown (Laidre et al. 2008). An integrated pan-Arctic research and monitoring plan will improve the ability to detect future trends, identify the most vulnerable subpopulations and guide effective conservation. There is a need to direct attention and resources where data are deficient to understand the mechanisms that drive trends, and to facilitate more effective and timely conservation response.

Report↗

Toxicity to amphibians of environmental extracts from natural waters in National Parks and Fish and Wildlife Refuges

Amphibian population declines are not limited to overly degraded habitats, but often occur in relatively pristine environments such as national parks or wildlife refuges, thus forcing biologists to examine less obvious causes for declines such as the presence of contaminants. The objective of our study was to extract naturally-occurring compounds from amphibian habitats (using semipermeable membrane devices) in three national parks or wildlife refuges (two sites within Sequoia Kings Canyon National Park, Big Bend National Park, and Kenai National Wildlife Refuge), and assess their toxicity to developing larvae using bioassays. Extracts did not cause mortality, so all effects observed were sublethal, influencing life history characteristics. In all three areas studied, amphibians reared in extracts from at least one of the two sites exhibited either a lengthened larval period or reduced mass at metamorphosis. Extracts from both the air and water at one site in Sequoia Kings Canyon National Park lengthened the larval period, which is in agreement with studies showing elevated levels of aerially transported contaminants at sites such as this within the park. Ultraviolet radiation, which is also suspected of having caused amphibian declines and was included as a factor in our study, did not act alone or alter the toxicity of the extracts.

Alytes↗

Ecology and conservation of Lesser Prairie-Chickens in sand shinnery oak prairies

Sand shinnery oak (Quercus havardii) prairies are unique ecosystems endemic to sandy soils of eastern New Mexico, northwestern Texas, and western Oklahoma; the historic and current distribution of the Lesser Prairie-Chicken (Tympanuchus pallidicinctus) overlaps these prairie systems. Lesser Prairie-Chicken populations in sand shinnery oak prairies of the Southern Great Plains have declined substantially since the late 1980s, most likely due to conversion of nesting and brood-rearing habitat to row-crop agriculture and extended periods of drought. In addition to threats universal throughout the species distribution, this population is susceptible to a changing climate in an area that is already representative of an extreme environment for ground-nesting birds. Recent studies of Lesser Prairie-Chicken ecology in sand shinnery oak prairies have expanded our knowledge on the ecology and management of the species, but a thorough review of the historic and current literature is lacking. In addition, current management guidelines exist for Lesser Prairie-Chickens in mixed grass and sand sagebrush prairies, but there are no comprehensive management guidelines for the species in sand shinnery oak prairies. This information is paramount given unique aspects of the vegetation community, relative ecosystem drivers, and environmental variation in sand shinnery oak prairie and the species’ current status as a proposed threatened species under the United States Endangered Species Act. Herein, we provide a thorough synthesis of literature pertaining to the life history, habitat requirements, habitat management, and population management for Lesser Prairie-Chickens in sand shinnery oak prairie, provide management guidelines and recommendations for the species in this ecoregion, and highlight current and future research needs. Within our objectives, we place emphasis on two recently completed long-term investigations into Lesser Prairie-Chicken ecology in sand shinnery oak prairie - a 10-year vegetation data set collected in Roosevelt County, New Mexico, 2001–2011 and a 6-year Lesser Prairie-Chicken data set collected in Roosevelt County, New Mexico and Cochran, Hockley, Terry, and Yoakum counties, Texas, 2006–2012.

Book chapter↗

Interaction of rearing environment and reproductive tactic on gene expression profiles in Atlantic salmon

Organisms that share the same genotype can develop into divergent phenotypes, depending on environmental conditions. In Atlantic salmon, young males of the same age can be found either as sneakers or immature males that are future anadromous fish. Just as the organism-level phenotype varies between divergent male developmental trajectories, brain gene expression is expected to vary as well. We hypothesized that rearing environment can also have an important effect on gene expression in the brain and possibly interact with the reproductive tactic adopted. We tested this hypothesis by comparing brain gene expression profiles of the two male tactics in fish from the same population that were reared in either a natural stream or under laboratory conditions. We found that expression of certain genes was affected by rearing environment only, while others varied between male reproductive tactics independent of rearing environment. Finally, more than half of all genes that showed variable expression varied between the two male tactics only in one environment. Thus, in these fish, very different molecular pathways can give rise to similar macro-phenotypes depending on rearing environment. This result gives important insights into the molecular underpinnings of developmental plasticity in relationship to the environment. ?? 2005 The American Genetic Association.

Conference Paper↗

Life-history organization of Yellowstone cutthroat trout (Oncorhynchus clarki bouvieri) in Yellowstone Lake

Life-history organization of the cutthroat trout (Oncorhynchus clarki) may be viewed at various levels, including species, subspecies, metapopulation, population, or individual. Each level varies in spatial scale and temporal persistence, and components at each level continually change with changes in environment. Cutthroat trout are widely distributed throughout the western United States, occurring in such diverse environments as coastal rivers of the Pacific Northwest and interior streams of the Great Basin. During its evolution the species has organized into 14 subspecies with many different life-history characteristics and habitat requirements. Within subspecies, organization is equally complex. For example, life-history traits, such as average size and age, migration strategy, and migration timing, vary among individual spawning populations of Yellowstone cutthroat trout (Oncorhynchus clarki bouvieri) in tributary streams of Yellowstone Lake. Understanding the effects of human perturbations on life-history organization is critical for management of the cutthroat trout and other polytypic salmonid species. Loss of diversity at any hierarchical level jeopardizes the long-term ability of the species to adapt to changing environments, and it may also lead to increased fluctuations in abundance and yield and increase the risk of extinction.

Canadian Journal of Fisheries and Aquatic Sciences↗

Shifting species interactions in terrestrial dryland ecosystems under altered water availability and climate change

Species interactions play key roles in linking the responses of populations, communities, and ecosystems to environmental change. For instance, species interactions are an important determinant of the complexity of changes in trophic biomass with variation in resources. Water resources are a major driver of terrestrial ecology and climate change is expected to greatly alter the distribution of this critical resource. While previous studies have documented strong effects of global environmental change on species interactions in general, responses can vary from region to region. Dryland ecosystems occupy more than one-third of the Earth's land mass, are greatly affected by changes in water availability, and are predicted to be hotspots of climate change. Thus, it is imperative to understand the effects of environmental change on these globally significant ecosystems. Here, we review studies of the responses of population-level plant-plant, plant-herbivore, and predator-prey interactions to changes in water availability in dryland environments in order to develop new hypotheses and predictions to guide future research. To help explain patterns of interaction outcomes, we developed a conceptual model that views interaction outcomes as shifting between (1) competition and facilitation (plant-plant), (2) herbivory, neutralism, or mutualism (plant-herbivore), or (3) neutralism and predation (predator-prey), as water availability crosses physiological, behavioural, or population-density thresholds. We link our conceptual model to hypothetical scenarios of current and future water availability to make testable predictions about the influence of changes in water availability on species interactions. We also examine potential implications of our conceptual model for the relative importance of top-down effects and the linearity of patterns of change in trophic biomass with changes in water availability. Finally, we highlight key research needs and some possible broader impacts of our findings. Overall, we hope to stimulate and guide future research that links changes in water availability to patterns of species interactions and the dynamics of populations and communities in dryland ecosystems.

Biological Reviews↗

Pollution and wildlife health

Pollution is a pervasive and growing threat to wildlife health. This chapter discusses two broad groups of pollution, those whose abatement could have immediate beneficial effects including light, air, and noise pollution, and those that will take relatively longer to address due to their environmental persistence or their continuing discharge. Whilst we are very good at detecting the presence of pollutants in tissues or the environment, making a convincing link between the presence of these compounds and mortality events in the field or population effects will remain a challenge for the foreseeable future. Creative new approaches are also being considered to mitigate the effects of pollution on wildlife and ecosystems. Depending on the source of pollution, the beneficial outcomes of mitigation measures, if properly implemented, could have immediate effects. Given the plethora of potential adverse pollution effects, frameworks to prioritize which threats are most likely to cause adverse effects and develop means to address or manage them are an imperative. In the interim, focusing on preserving existing habitats and reducing our footprint by adjusting human activities to minimize the release of pollutants into the environment will go a long way toward promoting healthy wildlife and ecosystems.

Book chapter↗