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Snake River fall Chinook salmon research and monitoring

In 2021, the U.S. Geological Survey (USGS) focused adult salmon survey efforts in the Snake River on deepwater redd searches and fish collection for parentage-based tagging (PBT) analyses. We use used a boat-mounted underwater video camera to count 93 deepwater redds at 17 of the 28 sites surveyed. Redd depths averaged 3.9 m. In conjunction with the Idaho Power Company, we collected genetic samples from 346 live fall Chinook salmon ( Oncorhynchus tshawytscha ) and 15 carcasses at 48 unique geographic locations that spanned 90 river kilometers. Seventy-two fish were recovered at Eureka Bar (river kilometer [rkm] 307.1) and High Range (rkm 332.3), which accounted for 20% of all collected fish in 2021. Most (291 fish) post-spawned salmon were collected during the first two weeks of November around the peak of spawning. A summary of 2021 PBT results produced by the Idaho Power Company can be found in Appendix A.2. Beach seining and PIT tagging of subyearling fall Chinook salmon was conducted in Snake and Salmon rivers to obtain information on population metrics and growth as well as to provide data for ongoing life-cycle modeling. In the Snake River, we collected 13,710 subyearlings, tagged 6,299, and recaptured 981 (15.6%). Using 8-mm tags in 45–49-mm fish allowed us to represent an additional 40% of the juvenile population through PIT tagging beyond just using standard 9- and 12-mm tags. In the Salmon River, we captured 103 natural subyearlings with the majority (60%) of fish being captured at two sites: rkm 11 and 20. We tagged 27 subyearlings, and no fish were recaptured. In Lower Granite Reservoir, we captured 4,887 subyearlings, PIT tagged 2,585, and recaptured 312. Many of the subyearlings we tagged in the Snake River were detected passing Lower Granite Dam, but no fish tagged in the Salmon River were detected. In total we detected 673 (7.6%) tagged fish at Lower Granite Dam, and detection rates varied by tag size and passage route. More subyearlings were detected passing via the removable spill weir (RSW) earlier in the season while more fish were detected passing through the juvenile fish bypass system (JBS) later in the season. In general, fish tagged with 12-mm PIT tags had higher detection rates than fish tagged with smaller tags. Survival to Lower Granite Dam was low and ranged from 0.195 to 0.228. Growth of subyearlings was similar between riverine and reservoir reaches but was slightly lower in Lower Granite Reservoir. Only 19 subyearlings were recaptured at Lower Granite Dam in early autumn that predominantly originated from the Clearwater River (1 fish was from the Snake River). Mean standard deviation (SD) fork length and mass growth rates were 0.92±0.10 mm/d and 0.06±0.01 g/g/d, respectively.

Idaho, Oregon, Washington↗

Extreme plasticity in thermoregulatory behaviors of free-ranging black-tailed prairie dogs

In the natural environment, hibernating sciurids generally remain dormant during winter and enter numerous deep torpor bouts from the time of first immergence in fall until emergence in spring. In contrast, black-tailed prairie dogs (Cynomys ludovicianus) remain active throughout winter but periodically enter short and shallow bouts of torpor. While investigating body temperature (Tb) patterns of black-tailed prairie dogs from six separate colonies in northern Colorado, we observed one population that displayed torpor patterns resembling those commonly seen in hibernators. Five individuals in this population experienced multiple torpor bouts in immediate succession that increased in length and depth as winter progressed, whereas 16 prairie dogs in five neighboring colonies remained euthermic for the majority of winter and entered shallow bouts of torpor infrequently. Our results suggest that these differences in torpor patterns did not result from differences in the physiological indicators that we measured because the prairie dogs monitored had similar body masses and concentrations of stored lipids across seasons. Likewise, our results did not support the idea that differences in overwinter Tb patterns between prairie dogs in colonies with differing torpor patterns resulted from genetic differences between populations; genetic analyses of prairie dog colonies revealed high genetic similarity between the populations and implied that individuals regularly disperse between colonies. Local environmental conditions probably played a role in the unusual T b patterns experienced by prairie dogs in the colony where hibernation-like patterns were observed; this population received significantly less rainfall than neighboring colonies during the summer growing seasons before, during, and after the year of the winter in which they hibernated. Our study provides a rare example of extreme plasticity in thermoregulatory behaviors of free-ranging prairie dogs and provides evidence contrary to models that propose a clear delineation between homeothermy, facultative torpor, and hibernation. ?? 2006 by The University of Chicago. All rights reserved.

Physiological and Biochemical Zoology↗

Annotated bibliography of scientific research on Gunnison sage-grouse published from January 2005 to September 2022

Integrating recent scientific knowledge into management decisions supports effective natural resource management and can lead to better resource outcomes. However, finding and accessing scientific knowledge can be time consuming and costly. To assist in this process, the U.S. Geological Survey is creating a series of annotated bibliographies on topics of management concern for western lands. Previously published reports introduced a methodology for preparing annotated bibliographies to facilitate the integration of recent, peer-reviewed science into resource management decisions. Therefore, relevant text from those efforts is reproduced here to frame the presentation. Centrocercus minimus (Gunnison sage-grouse; hereafter GUSG) has been a focus of scientific investigation since the early 2000s. The U.S. Fish and Wildlife Service listed GUSG as threatened under the Endangered Species Act in 2014 because of declining populations and increasing habitat loss. The U.S. Fish and Wildlife Service, Bureau of Land Management, and Colorado Parks and Wildlife have sought to increase the conservation of this species by adapting management and recovery plans to reduce threats and increase population resiliency. GUSG are studied less than the closely related Centrocercus urophasianus (greater sage-grouse); however, research efforts have recently increased to understand the life history, genetics, and habitat suitability of this sagebrush-obligate species. We compiled and summarized peer-reviewed journal articles, data products, and formal technical reports (such as U.S. Department of Agriculture Forest Service General Technical Reports and U.S. Geological Survey Open-File Reports) on GUSG, published between January 2005 and September 2022. We first systematically searched three reference databases and three government databases using the following search phrases: “Gunnison sage-grouse” or “lesser sage-grouse” or “Gunnison grouse” or “Gunnison sage grouse” or “lesser sage grouse” or “ Centrocercus minimus .” We refined the initial list of products by removing (1) duplicates, (2) publications that were not published as research, data products, or scientific review articles in peer-reviewed journals or as formal technical reports, and (3) products that did not have GUSG as a research focus or products that did not present new data or findings about GUSG. We summarized each product using a consistent structure (background, objectives, methods, location, findings, and implications) and identified the management topics (for example, population estimates or targets, habitat, and management efforts) addressed by each product. We also noted which publications included new geospatial data. The review process for this annotated bibliography included two initial internal colleague reviews of each summary, requesting input on each summary from an author of the original publication, and a formal peer review. Our initial searches resulted in 80 total products, of which 63 met our criteria for inclusion of which 53 were products that had not been summarized before. Across products summarized in the annotated bibliography, broad-scale habitat characteristics; population estimates or targets; behavior or demographics; and genetics were the most commonly addressed management topics. The bibliographies are available on the Science for Resource Managers tool ( https://apps.usgs.gov/science-for-resource-managers ) and are searchable by topic, location, and year, and the search tool includes links to each original publication. The studies compiled and summarized in this annotated bibliography may inform planning and management actions that seek to maintain and restore sagebrush landscapes and GUSG populations across the GUSG range.

Colorado↗

Molecular sequencing and morphological identification reveal similar patterns in native bee communities across public and private grasslands of eastern North Dakota

Bees play a key role in the functioning of human-modified and natural ecosystems by pollinating agricultural crops and wild plant communities. Global pollinator conservation efforts need large-scale and long-term monitoring to detect changes in species’ demographic patterns and shifts in bee community structure. The objective of this project was to test a molecular sequencing pipeline that would utilize a commonly used locus, produce accurate and precise identifications consistent with morphological identifications, and generate data that are both qualitative and quantitative. We applied this amplicon sequencing pipeline to native bee communities sampled across Conservation Reserve Program (CRP) lands and native grasslands in eastern North Dakota. We found the 28S LSU locus to be more capable of discriminating between species than the 18S SSU rRNA locus, and in some cases even resolved instances of cryptic species or morphologically ambiguous species complexes. Overall, we found the amplicon sequencing method to be a qualitatively accurate representation of the sampled bee community richness and species identity, especially when a well-curated database of known 28S LSU sequences is available. Both morphological identification and molecular sequencing revealed similar patterns in native bee community structure across CRP lands and native prairie. Additionally, a genetic algorithm approach to compute taxon-specific correction factors using a small subset of the most concordant samples demonstrated that a high level of quantitative accuracy could be possible if the specimens are fresh and processed soon after collection. Here we provide a first step to a molecular pipeline for identifying insect pollinator communities. This tool should prove useful for future national monitoring efforts as use of molecular tools becomes more affordable and as numbers of 28S LSU sequences for pollinator species increase in publicly-available databases.

North Dakota↗

Hydrologic models of modern and fossil geothermal systems in the Great Basin: Genetic implications for epithermal Au-Ag and Carlin-type gold deposits

The Great Basin region in the western United States contains active geothermal systems, large epithermal Au-Ag deposits, and world-class Carlin-type gold deposits. Temperature profiles, fluid inclusion studies, and isotopic evidence suggest that modern and fossil hydrothermal systems associated with gold mineralization share many common features, including the absence of a clear magmatic fluid source, discharge areas restricted to fault zones, and remarkably high temperatures (>200 ??C) at shallow depths (200-1500 m). While the plumbing of these systems varies, geochemical and isotopic data collected at the Dixie Valley and Beowawe geothermal systems suggest that fluid circulation along fault zones was relatively deep (>5 km) and comprised of relatively unexchanged Pleistocene meteoric water with small (<2.5%) shifts from the meteoric water line (MWL). Many fossil ore-forming systems were also dominated by meteoric water, but usually exhibit ??18O fluid-rock interactions with larger shifts of 5???-20??? from the MWL. Here we present a suite of two-dimensional regional (100 km) and local (40-50 km) scale hydrologic models that we have used to study the plumbing of modern and Tertiary hydrothermal systems of the Great Basin. Geologically and geophysically consistent cross sections were used to generate somewhat idealized hydrogeologic models for these systems that include the most important faults, aquifers, and confining units in their approximate configurations. Multiple constraints were used, including enthalpy, ??18O, silica compositions of fluids and/or rocks, groundwater residence times, fluid inclusion homogenization temperatures, and apatite fission track anomalies. Our results suggest that these hydrothermal systems were driven by natural thermal convection along anisotropic, subvertical faults connected in many cases at depth by permeable aquifers within favorable lithostratigraphic horizons. Those with minimal fluid ?? 18O shifts are restricted to high-permeability fault zones and relatively small-scale (???5 km), single-pass flow systems (e.g., Beowawe). Those with intermediate to large isotopic shifts (e.g., epithermal and Carlin-type Au) had larger-scale (???15 km) loop convection cells with a greater component of flow through marine sedimentary rocks at lower water/rock ratios and greater endowments of gold. Enthalpy calculations constrain the duration of Carlin-type gold systems to probably <200 k.y. Shallow heat flow gradients and fluid silica concentrations suggest that the duration of the modern Beowawe system is <5 k.y. However, fluid flow at Beowawe during the Quaternary must have been episodic with a net duration of ???200 k.y. to account for the amount of silica in the sinter deposits. In the Carlin trend, fluid circulation extended down into Paleozoic siliciclastic rocks, which afforded more mixing with isotopically enriched higher enthalpy fluids. Computed fission track ages along the Carlin trend included the convective effects, and ranged between 91.6 and 35.3 Ma. Older fission track ages occurred in zones of groundwater recharge, and the younger ages occurred in discharge areas. This is largely consistent with fission track ages reported in recent studies. We found that either an amagmatic system with more permeable faults (10-11 m2) or a magmatic system with less permeable faults (10-13 m2) could account for the published isotopic and thermal data along the Carlin trend systems. Localized high heat flow beneath the Muleshoe fault was needed to match fl uid inclusion temperatures at Mule Canyon. However, both magmatic and amagmatic scenarios require the existence of deep, permeable faults to bring hot fluids to the near surface. ?? 2008 Geological Society of America.

Geosphere↗

Selection, trans-species polymorphism, and locus identification of major histocompatibility complex class IIβ alleles of New World ranid frogs

Genes encoded by the major histocompatibility complex (MHC) play key roles in the vertebrate immune system. However, our understanding of the evolutionary processes and underlying genetic mechanisms shaping these genes is limited in many taxa, including amphibians, a group currently impacted by emerging infectious diseases. To further elucidate the evolution of the MHC in frogs (anurans) and develop tools for population genetics, we surveyed allelic diversity of the MHC class II ??1 domain in both genomic and complementary DNA of seven New World species in the genus Rana (Lithobates). To assign locus affiliation to our alleles, we used a "gene walking" technique to obtain intron 2 sequences that flanked MHC class II?? exon 2. Two distinct intron sequences were recovered, suggesting the presence of at least two class II?? loci in Rana. We designed a primer pair that successfully amplified an orthologous locus from all seven Rana species. In total, we recovered 13 alleles and documented trans-species polymorphism for four of the alleles. We also found quantitative evidence of selection acting on amino acid residues that are putatively involved in peptide binding and structural stability of the ??1 domain of anurans. Our results indicated that primer mismatch can result in polymerase chain reaction (PCR) bias, which influences the number of alleles that are recovered. Using a single locus may minimize PCR bias caused by primer mismatch, and the gene walking technique was an effective approach for generating single-copy orthologous markers necessary for future studies of MHC allelic variation in natural amphibian populations. ?? 2010 Springer-Verlag.

Immunogenetics↗

Population ecology and harvest of the American black duck: a review

1. The purpose of our review was to examine available data on population trends and current status of black ducks and trends in natality and survival and to relate these, where possible, to changes in habitat, predation, disease, contaminants, harvest, and hybridization with mallards. 2. The number of black ducks tallied in the winter survey has declined steadily over the past 30 years at an average rate of about 3%/ year. Reliability and precision of the survey are uncertain; it may not provide an adequate index to the continental population of black ducks. Breeding surveys are incomplete and sporadic, but black ducks have decreased in Ontario and increased in the Maritime Provinces and Quebec. 3. Recent declines in numbers of black ducks tallied in the winter survey are not unusual in magnitude or much different from those that have occurred among several other species of waterfowl. 4. At present, black ducks are not especially scarce relative to numbers of several other ducks in eastern North America. 5. There is no solid evidence of major decreases in quality or quantity of breeding habitat for black ducks in recent years; in some areas, habitat has improved. 6. Natural mortality of black ducks has not been well studied, but does not seem unusually high compared to other dabbling ducks. 7. Harvest rates of black ducks are similar to those of sympatric mallards as determined by banding analyses. 8. There is no strong evidence for direct effects of contaminants on black ducks, but some indirect effects through invertebrate food resources have been detected. 9. Age ratios in black ducks show no trend in the past 18 years. 10. The quality and quantity of wintering habitat for black ducks have decreased substantially in some areas. 11. Disease and other natural mortality that affect black ducks do .not occur in unusually high frequency. 12. A decline in harvest of black ducks has occurred; most of the decline has been in the United States, especially since restrictive regulations were implemented in 1983. 13. Recovery rates of black ducks have declined recently in the U.S., but not in Canada. 14. Survival rates of black ducks are 56-63% for adults and 43% for young. These rates of survival are similar to comparable estimates in sympatric mallards. 15. Long hunting seasons may depress survival in some sex-age classes of black ducks, buteffects of small reductions in survival on population trends are unknown. 16. Available evidence does not support the contention that hunting is either the sole or most important cause of the decline in the winter tally of black duck numbers. 17. Surveys and banding of black ducks should be thoroughly reviewed and maintained or improved as warranted. Obtaining or maintaining a reasonable index to numbers of black ducks is the top priority among survey needs. 18. Experimental manipulation of hunting seasons should be considered to elucidate relationships among regulations, harvest, survival, and population trends. 19. Black ducks and mallards are genetically similar; there is as much genetic differentiation within the 2 species as there is between them. 20. Black duck x mallard hybrids are fertile. Hybrids are difficult to detect by plumage and thus published frequencies (0-13%) of hybrids may be low. 21. Hybridization could be a result of concomitant mallard increases and black duck decreases, or changes in black duck-to-mallard ratios could be from hybridization and genetic swamping of black ducks.

Wildlife Society Bulletin↗

Harvest, survival, growth, and movement of five strains of hatchery-reared rainbow trout in Virginia streams

Catchable-size (minimum length 17.8 cm) rainbow trout ( Salmo gairdneri ) of five genetically distinct strains were harvested by anglers at significantly different rates when the fish were stocked into four put-and-take trout streams in southwestern Virginia. Fish from Standard Winter (SW) and Ennis (EN) strains were caught easily; 85.7 and 93.2% of their respective total harvests occurred during the first 2 d of the fishing season. Sand Creek (SC), Fish Lake (FL), and McConaughy (MC) strains were harvested more uniformly over the first 3 weeks of fishing; 64.6, 58.4, and 43.4% of their respective total harvests occurred during the first 2 d. The average total harvests of SC (47.7%) and SW (46.7%) strains were similar and ranked highest among the five strains; however, no strain showed statistical superiority in all four streams. Harvest of the MC strain was consistently and significantly lower than the other four strains within each stream and averaged 25.6%. Average harvests of FL (42.8%) and EN (39.5%) strains were intermediate. Significant environmental (stream) influences and genotype-environment interactions were evident. No significant differences in tendency to move downstream were found. Fish of the EN, SW, and SC strains were significantly more vulnerable to fishing with bait (versus artificial lures) than fish from FL and MC strains. Differences in natural mortality rate, growth, and downstream movement among strains in a fifth, unfished, stream were not significant. Condition factor ( K ) decreased significantly for all five strains in an unfished stream. The MC strain appeared to be poorly suited for put-and-take streams, while SW and SC strains performed about equally well and are worthy of further evaluation in stocked stream environments. Managers should select strains (other than SW or SC) for future evaluation in put-and-take streams based on hatchery performance, but should give consideration to potential masking or damping effects of natural environments.

North American Journal of Fisheries Management↗

Production of haploid gynogens to inform genomic resource development in the paleotetraploid pallid sturgeon (Scaphirhynchus albus)

Order Acipenseriformes (sturgeons and paddlefishes) is an ancient lineage of osteichthyan fishes (>200 million years old) with most extant species at conservation risk. A relatively basal species, the pallid sturgeon, Scaphirhynchus albus, is a federally endangered species native to the Mississippi and Missouri River basins. Hybridization with sympatric shovelnose sturgeon, S. platorynchus, is one of several threats to pallid sturgeon. Current molecular markers cannot reliably distinguish among pure species and multigenerational backcrosses. This information is critical for implementation of management strategies to increase populations through natural reproduction and artificial propagation. Genotypes from a large panel of unlinked single-nucleotide polymorphisms (SNPs) may provide greater resolution of the two species; however, paralogous sequence variants (PSVs) within individuals resulting from an ancient whole genome duplication event confound SNP development. The aim of this study was to produce pallid sturgeon gynogens that contain 100% homozygous DNA contributed by only the maternal parent and have enough DNA for future SNP marker development. When homozygous gynogens are sequenced, heterozygosity at a locus within an individual indicates the presence of incorrectly aligned sequences that contain PSVs; accurate identification of these multi-locus contigs can facilitate their exclusion when developing disomic markers. In this study, we attempted to produce two types of pallid sturgeon gynogens: a) haploid gynogens produced from the activation of pallid sturgeon eggs with ultraviolet-irradiated sperm from the distantly related paddlefish (Polyodon spathula), and b) doubled haploids produced from the activation of pallid sturgeon eggs with irradiated paddlefish milt followed by thermal shock to suppress the first mitotic division. Production of doubled haploids, gynogens with 100% homozygous DNA and double the genome content of haploid gynogens, was pursued because it was originally unknown if haploid gyongens would survive long enough to attain enough genetic material for SNP marker development. We performed flow cytometry and microsatellite genotyping on the specimens in order to confirm haploid and doubled haploid status. Our study was unable to successfully yield doubled haploids; however, we successfully produced haploid gynogens that contained enough nuclear DNA for our future SNP marker development study. Interestingly, this study also produced paddlefish × pallid sturgeon hybrids in the control groups in two separate years; this is the first study to report viable offspring between the paddlefish and a Scaphirhynchus sturgeon species and reflects on the malleability of the genomes of the species in this order.

Louisiana, Arkansas, Missouri, Nebraska, North Dak↗

Population status of North American green sturgeon, Acipenser medirostris

North American green sturgeon, Acipenser medirostris, was petitioned for listing under the Endangered Species Act (ESA). The two questions that need to be answered when considering an ESA listing are; (1) Is the entity a species under the ESA and if so (2) is the "species" in danger of extinction or likely to become an endangered species in the foreseeable future throughout all or a significant portion of its range? Green sturgeon genetic analyses showed strong differentiation between northern and southern populations, and therefore, the species was divided into Northern and Southern Distinct Population Segments (DPSs). The Northern DPS includes populations in the Rogue, Klamath-Trinity, and Eel rivers, while the Southern DPS only includes a single population in the Sacramento River. The principal risk factors for green sturgeon include loss of spawning habitat, harvest, and entrainment. The Northern DPS is not considered to be in danger of extinction or likely to become an endangered species in the foreseeable future. The loss of spawning habitat is not large enough to threaten this DPS, although the Eel River has been severely impacted by sedimentation due to poor land use practices and floods. The two main spawning populations in the Rogue and Klamath-Trinity rivers occupy separate basins reducing the potential for loss of the DPS through catastrophic events. Harvest has been substantially reduced and green sturgeon in this DPS do not face substantial entrainment loss. However there are significant concerns due to lack of information, flow and temperature issues, and habitat degradation. The Southern DPS is considered likely to become an endangered species in the foreseeable future. Green sturgeon in this DPS are concentrated into one spawning area outside of their natural habitat in the Sacramento River, making them vulnerable to catastrophic extinction. Green sturgeon spawning areas have been lost from the area above Shasta Dam on the Sacramento River and Oroville Dam on the Feather River. Entrainment of individuals into water diversion projects is an additional source of risk, and the large decline in numbers of green sturgeon entrained since 1986 causes additional concern. ?? 2006 Springer Science+Business Media B.V.

Environmental Biology of Fishes↗

Assessment of resource potential from mine tailings using geostatistical modeling for compositions: A methodology and application to Katherine Mine site, Arizona, USA

The mining industry, in most cases, targets a specific valuable commodity that is present in small quantities within large volumes of extracted material. After milling and processing, most of the extracted material and the effluents are stored as waste (tailings) in impoundments, such as dams or waste dumps, or are backfilled into underground mines. In time, tailing materials may become an issue of environmental and health concern due to the hazardous elements, ions, and oxides contained within the waste material. In addition, handling and storage of such waste in dams may pose the risk of dam failure with catastrophic consequences to nature and nearby communities. On the other hand, tailings may offer potential as secondary sources of critical elements (CEs), including rare earth elements (REEs), which may have been overlooked during primary production and processing. Therefore, treating mine tailings as a resource has economic and environmental benefits by reducing the waste from new and historical mine sites through remining. One of the critical steps for taking advantage of these benefits is to spatially quantify the resources and the pollutants, which require the application of adequate data analysis and modeling methods, often to compositional geochemical data. Utilizing adequate methods is especially important for correctly quantifying resource potential, as the quantities will often be at low concentrations. This work presents quantification of resource potential (Au, Ag, Cu, Zn, Pb) and elements of environmental concern (Hg and As) from the tailings of a historic mine site, Katherine Mine, AZ, USA. Data reported by the U.S. Bureau of Mines (USBM) after extensive field campaigns in the 1990s, including sampling from tailing impoundment and surrounding areas for geochemical characterization and geophysical surveys, were used. First, compositional data (CoDa) analysis was employed to explore associations of sampling locations, geochemical parts, and the clustering of samples. Next, sequential Gaussian simulation (SGSIM) was applied to samples that showed a genetic link to tailing material after isometric log-ratio transformation (ilr) and mix/max autocorrelation factor (MAF) transformation for spatial modeling and uncertainty evaluation. Geostatistical results revealed spatial variability of concentrations within the tailing area. Uncertainty evaluation based on realizations indicated that Cu (14.27–20.01 t), Zn (44.23–76.23 t), and Pb (22.56–38.28 t) are the most abundant elements within a 5 %–95 % interval, followed by Ag and Au (~5.3 and 0.18 t, at 50th percentile), respectively. Of the elements of health concern, As was found to be ~4.8 t (50th percentile) in the tailing area. The work also showed that ~0.51 t As, 0.005 t Hg, 0.020 t of Au, and 0.62 t of Ag were carried to Lake Mohave by an ephemeral stream called Katherine Wash, which transects the tailings.

Arizona↗

Ecological feedbacks can reduce population-level efficacy of wildlife fertility control

1. Anthropogenic stress on natural systems, particularly the fragmentation of landscapes and the extirpation of predators from food webs, has intensified the need to regulate abundance of wildlife populations with management. Controlling population growth using fertility control has been considered for almost four decades, but nearly all research has focused on understanding effects of fertility control agents on individual animals. Questions about the efficacy of fertility control as a way to control populations remain largely unanswered. 2. Collateral consequences of contraception can produce unexpected changes in birth rates, survival, immigration and emigration that may reduce the effectiveness of regulating animal abundance. The magnitude and frequency of such effects vary with species-specific social and reproductive systems, as well as connectivity of populations. Developing models that incorporate static demographic parameters from populations not controlled by contraception may bias predictions of fertility control efficacy. 3. Many population-level studies demonstrate that changes in survival and immigration induced by fertility control can compensate for the reduction in births caused by contraception. The most successful cases of regulating populations using fertility control come from applications of contraceptives to small, closed populations of gregarious and easily accessed species. 4. Fertility control can result in artificial selection pressures on the population and may lead to long-term unintentional genetic consequences. The magnitude of such selection is dependent on individual heritability and behavioural traits, as well as environmental variation. 5. Synthesis and applications . Understanding species' life-history strategies, biology, behavioural ecology and ecological context is critical to developing realistic expectations of regulating populations using fertility control. Before time, effort and funding are invested in wildlife contraception, managers may need to consider the possibility that many species and populations can compensate for reduction in fecundity, and this could minimize any reduction in population growth rate.

Journal of Applied Ecology↗

Agriculture

Agricultural production is a fundamental activity conducted on 45% of the U.S. land area, 55% of Mexico’s land area, and 7% of Canada’s land area (World Bank 2016). Because of this vast spatial extent and the strong role that land management plays in how agricultural ecosystems function, agricultural lands and activities represent a large portion of the North American carbon budget. Accordingly, improved quantification of the agricultural carbon cycle, new trends in agriculture, and added opportunities for emissions reductions provide a critical foundation for considering the relationships between agriculture and carbon cycling at local, regional, continental, and global scales. More than 145 countries have specifically included agriculture in their targets and actions for mitigating climate change (FAO 2016), and agriculture has featured particularly prominently in recent target and action commitments made by developing countries to reduce greenhouse gas (GHG) emissions (Richards et al., 2015). Conversion of vast native forest and prairie to agriculture across North America between 1860 and 1960 resulted in carbon dioxide (CO2) fluxes to the atmosphere from biota and soils that exceeded those from fossil fuel emissions over the same period (Houghton et al., 1983). Correspondingly, soil organic carbon (SOC) declined in many soils during the 50 years following conversion from native ecosystems to production agriculture (Huggins et al., 1998; Janzen et al., 1998; Slobodian et al., 2002). Crop yields and corresponding above- and belowground biomass have steadily increased since the 1930s due to genetic and management innovations, which provide more organic input from which to build SOC ( Johnson et al., 2006; Hatfield and Walthall 2015). This, coupled with improved input-use efficiencies may reduce GHG-emissions per unit yield (GHG intensity), with additional improvements possible through management optimization (Grassini and Cassman 2012; Pittelkow et al., 2015). Options include reducing tillage, integrating perennials onto the landscape, reducing or eliminating bare-fallow land (i.e., land without living plants), adding cover crops, and enrolling lands in conservation easement programs. These options, originally proposed to control erosion, have potential co-benefits in terms of increased soil health, plant productivity, and soil carbon stabilization (Lehman et al., 2015). Conversely, returning lands previously enrolled in conservation easements (e.g., the Conservation Reserve Program [CRP] and other land set-aside efforts) to row-crop production, tillage, or aggressive harvesting of crop residues all risk degrading soil quality and exacerbating SOC loss. Of note is that the net results of land use and land management practices in an agricultural setting vary according to many factors, such as crop or production system type, soil type, climate, and the collection of practices at any given site. For example, many traditional practices followed by Indigenous people on tribal lands are based on an integrated approach to natural resource management and response to environmental change that may provide agricultural options uniquely suited to varied environmental settings (see Ch. 7: Tribal Lands, p. 303). Agricultural land in the United States totaled 408.2 million hectares (ha) in 2014, of which 251 million ha were in permanent meadows and pastures, 152.2 million ha were in arable land, and 2.6 million ha were in permanent crops (FAOSTAT 2016). Compared with the distribution in 2007, these numbers reflect a 4.7 million ha decline in total agricultural lands, driven by declines in arable land and permanent crops but partially offset by a modest increase in permanent meadows and pastures. Although arable lands have been declining, the combined acreage of the four major crops (corn, wheat, soybeans, and cotton) has risen slightly, with increases in land planted in corn and soybeans and decreases in cotton and wheat (see Figure 5.1, p. 232). Despite the overall slight decline in agricultural land area, the value of U.S. agricultural production rose over the past decade as a result of increased production efficiency and higher prices (USDA 2017a; see also www.ers.usda.gov). Canada has about 65 million ha of agricultural land, of which about 46 million ha are arable, accounting for only about 7% of the country’s total land area (FAOSTAT 2017). Prominent crops on Canada’s arable lands include cereals (e.g., wheat, barley, and maize), oilseeds (e.g., canola and soybeans), and pulses (e.g., peas and lentils). Natural and seeded pastures available for grazing in Canada make up about 20 million ha (Legesse et al., 2016). Agricultural land in Mexico makes up 107 million ha, of which 23 million ha are arable land, 2.7 million ha are permanent crops, and 81 million ha are permanent meadows and pastures (FAOSTAT 2017). Mexico’s major crops are fruits, corn, grains, vegetables, and sugarcane.

Report↗

Large loss of CO2 in winter observed across pan-arctic permafrost region

Recent warming in the Arctic, which has been amplified during the winter 1 , 2 , 3 , greatly enhances microbial decomposition of soil organic matter and subsequent release of carbon dioxide (CO 2 ) 4 . However, the amount of CO 2 released in winter is not known and has not been well represented by ecosystem models or empirically based estimates 5 , 6 . Here we synthesize regional in situ observations of CO 2 flux from Arctic and boreal soils to assess current and future winter carbon losses from the northern permafrost domain. We estimate a contemporary loss of 1,662 TgC per year from the permafrost region during the winter season (October–April). This loss is greater than the average growing season carbon uptake for this region estimated from process models (−1,032 TgC per year). Extending model predictions to warmer conditions up to 2100 indicates that winter CO 2 emissions will increase 17% under a moderate mitigation scenario—Representative Concentration Pathway 4.5—and 41% under business-as-usual emissions scenario—Representative Concentration Pathway 8.5. Our results provide a baseline for winter CO 2 emissions from northern terrestrial regions and indicate that enhanced soil CO 2 loss due to winter warming may offset growing season carbon uptake under future climatic conditions.

northern permafrost region↗

Susceptibility of zebrafish (Danio rerio) to a model pathogen, spring viremia of carp virus

To improve our understanding of the genetic basis of fish disease, we developed a pathogen model, using zebrafish ( Danio rerio ) and spring virema of carp virus (SVCV). Replicate groups of 10 fish were acclimated to 20 or 24&deg;C, then were exposed to SVCV concentrations of 10 3 to 10 5 plaque-forming units per milliliter (PFU/ml) of water and observed daily. In a second trial, fish were acclimated to 15&deg;C, and replicate groups of 10 fish were exposed to SVCV at a concentration of 10 5 PFU/ml; however, the temperature was raised 1&deg;C/wk. Moribund fish were collected for histologic examination, and dead fish were assayed for virus by use of cell culture and reverse transcriptase-polymerase chain reaction (RT-PCR) analysis. Mortality exceeded 50% in fish exposed to 10 5 PFU of SVCV/ml at the lower temperatures. Clinical signs of disease became evident seven days after viral exposure and were observed most consistently in fish of the 10 5 PFU/ml groups. Affected zebrafish were anorectic and listless, with epidermal petechial hemorrhages followed by death. Use of plaque assays and RT-PCR analysis confirmed presence of SVCV at titers &ge; 10 4 PFU/g of tissue. Histologic lesions included multifocal brachial necrosis and melanomacrophage proliferation in gills, liver, and kidneys. These results indicate that zebrafish are susceptible to infection by SVCV under conditions that mimic a natural route of exposure.

Comparative Medicine↗

The nature of Archean terrane boundaries: An example from the northern Wyoming Province

The Archean northern Wyoming Province can be subdivided into two geologically distinct terranes, the Beartooth-Bighorn magmatic terrane (BBMT) and the Montana metasedimentary terrane (MMT). The BBMT is characterized by voluminous Late Archean (2.90-2.74 Ga) magmatic rocks (primarily tonalite, trondhjemite, and granite); metasedimentary rocks are preserved only as small, rare enclaves in this magmatic terrane. The magmatic rocks typically have geochemical and isotopic signatures that suggest petrogenesis in a continental magmatic arc environment. The MMT, as exposed in the northern Gallatin and Madison Ranges, is dominated by Middle Archean trondhjemitic gneisses (3.2-3.0 Ga); metasedimentary rocks, however, are significantly more abundant than in the BBMT. Each terrane has experienced a separate and distinct geologic history since at least 3.6 Ga ago based on differences in metamorphic and structural styles, composition of magmatic and metasupracrustal rocks, and isotopic ages; consequently, these may be described as discrete terranes in the Cordilleran sense. Nonetheless, highly radiogenic and distinctive Pb-Pb isotopic signatures in rocks of all ages in both terranes indicate that the two terranes share a significant aspect of their history. This suggests that these two Early to Middle Archean crustal blocks, that initially evolved as part of a larger crustal province, experienced different geologic histories from at least 3.6 Ga until their juxtaposition in the Late Archean (between 2.75 to 2.55 Ga ago). Consequently, the boundary between the BBMT and MMT appears to separate terranes that are not likely to be exotic in the sense of their Phanerozoic counterparts. Other Archean provinces do appear to contain crustal blocks with different isotopic signatures (e.g. West Greenland, India, South Africa). The use of the term exotic, therefore, must be cautious in situations where geographic indicators such as paleontologic and/or paleomagnetic data are not available. In these cases, isotopic signatures are one of the most useful features for assessing overall genetic relations amongst geologically distinct terranes.

Idaho, Montana, Wyoming↗

Can non-invasive methods replace radiocollar-based winter counts in a 50-year wolf study? Lessons learned from a three-winter trial

Context: Monitoring low-density, elusive predators such as grey wolves ( Canis lupus ) has often been undertaken via live-capture and radio-collaring. Recent advances in non-invasive methods suggest live-captures may not be necessary for adequate monitoring. Further, non-invasive methods are considered best practice when possible. Aims: I evaluated whether a suite of non-invasive methods could replace aerial radiotelemetry to census resident pack wolves. Methods: I employed aerial snow-tracking, ground snow-tracking, camera-trapping, non-invasive genetic surveys, and community-scientist reports during three winters (2019–2021) in north-eastern Minnesota, USA to census pack wolves in a 2060 km 2 area. I attempted to enumerate individual pack sizes as has been historically undertaken to compile the census. Traditional aerial radiotelemetry methods were also conducted for comparison. Key results: Ground snow-tracking and camera-trapping provided the most similar information to radiotelemetry for determining pack counts and territory information, and, in some cases, documented higher pack counts than those obtained by aerial radiotelemetry. Radiotelemetry was the best method for determining pack territories, but was limited to radioed packs. A staggered application of both approaches resulted in increased precision and additional pack-level information without greatly increasing overall field effort. Non-invasive methods allowed trapping for radio-collaring to be reduced to every other year (a 50% reduction), but depending on trapping success, survival of animals, and radio-collar battery life, might even be reduced to every third year. Conclusions: In this 3-year trial, non-invasive methods were not sufficient to completely replace radio-collaring. Nevertheless, non-invasive methods allowed for a 50% reduction in trapping, increased the annual wolf-count precision, and increased community involvement. Anticipated technological improvements in non-invasive methods should reduce some issues encountered – but others will likely persist, in part, because of the fundamental nature of non-invasive methods. Implications: Less reliance on captures, enhanced pack information, and increased public involvement are all successful outcomes of this 3-year trial of non-invasive methods for monitoring wolf populations. Non-invasive methods continue to broaden and improve technologically, and information from trials such as this will help guide others as they increasingly implement non-invasive methods as partial or complete replacements for traditional capture-based methods.

Wildlife Research↗

Rapid ʻŌhiʻa Death in Hawaiʻi

Ceratocystis lukuohia and Ceratocystis huliohia are two newly recognized fungi that have arrived in Hawai‘i and are causing a serious vascular wilt and canker disease, respectively, of ‘ōhi‘a trees ( Metrosideros polymorpha ), the most common and important tree species in Hawai‘i. Management of these diseases has presented challenges due to unique etiological aspects and the exceptionally pathogenic nature of one of these fungi ( C. lukuohia ) once it gains access to the tree’s vascular tissue. Careful study of the spread of the pathogens has resulted in an understanding of the role of ambrosia beetles and the frass they produce that carries the pathogen, as well as the wounding of trees by many different agents by which the pathogen can access and infect the vascular tissue. A variety control measures are being used. These include a state-of-the-art monitoring program to detect diseased and recently killed trees and molecular biology approaches that can confirm if a given tree was infected by Ceratocystis . Based on monitoring more than one million trees have been estimated as killed by the diseases to date. A major part of the program includes the deployment of a field crew that seeks out and fells large infected ‘ōhi‘a trees as these trees are the main source of most of the infective Ceratocystis -laden frass. Long-term control measures also include fencing of some forests to reduce the amount of wounding to ‘ōhi‘a trees by feral cattle and pigs that allows entry of the fungi and quarantine restrictions to ensure there will be no inter-island movement of the pathogens in ‘ōhi‘a products. Finally, methods are also being developed to restore ‘ōhi‘a forests affected by these diseases by determining effective regeneration practices and developing genetically resistant ‘ōhi‘a stock. Hawai‘i has an active extension program dedicated to providing information on how residents and visitors can contribute to protecting ‘ōhi‘a trees from these diseases. More than 500,000 people have participated in this program. Hawai‘i residents have a very deep appreciation for this tree species and do what they can to help prevent these diseases from destroying more of their most treasured tree species.

Hawai'i↗