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A quantitative soil-geomorphic framework for developing and mapping ecological site groups

Land management decisions need context about how landscapes will respond to different circumstances or actions. As ecologists’ understanding of nonlinear ecological dynamics has evolved into state-and-transition models (STMs), they have put more emphasis on defining and mapping the soil, geomorphological, and climate parameters that mediate these dynamics. The US Department of Agriculture Natural Resources Conservation Service ecological site descriptions (ESDs) have become the foremost system in classifying lands into ecological units based on STMs. However, an exhaustive inventory of ESDs has proved challenging to complete in the United States, and there have been questions about the consistency of detail in areas completed and the ability to objectively support some assertions made in existing ESDs. To address these issues, this study examines ESDs in the diverse Upper Colorado River region, where ESDs are only partially complete, to look at quantitative approaches to generalizing ecological site concepts based on unifying underlying soil, geomorphology, and climate patterns. Using existing ESDs and vegetation monitoring plot data, results show that a simple hierarchical soil geomorphic unit (SGU) framework based on topographic mediation of moisture, soil salinity, soil depth, slope, rock content, and soil texture can represent much of the ecological dynamics cataloged in ESDs. Analyses of reference plant production data, ecological state attribution, and regional monitoring data show that the new SGUs represent more variation than common climate parameters. This study also included predictively mapping SGUs at 30-m resolution (Kappa of 0.53, 74% agreement with top two predictions in validation). An optimized combination of SGUs with climate zones derived from an aridity index and maximum temperature of the hottest month resulted in an ecological site group framework that condensed over 826 unique ecological site records at various stages of completeness in the regional soil survey down to 35 intuitive and mappable ecological site groups.

Rangeland Ecology and Management

Application of isoscapes to determine geographic origin of terrestrial wildlife for conservation and management

Accounting for migration and connectivity of mobile species across the annual cycle can present challenges for conservation and management efforts. The use of stable isotope approaches to examine the movements and ecology of wildlife has been widespread over the past two decades. Hydrogen stable isotope ( δ 2 H) composition, in particular, has been frequently used to provide insight into the origin of migratory species, although isotopes of other elements are sometimes used. These intrinsic markers can yield valuable information about distributions of wildlife on a broad scale, with reduced labor and expense compared to tracking and telemetry. Many of the applications of isotopes to migratory species to date have addressed connectivity and origin, and studies in support of conservation biology are less common. In addition, there are few guides for how to best employ these methods for management. Therefore, we provide an overview for the wildlife conservation and management community on how stable isotope methods may be applied to conservation problems and a primer on the process for assigning geographic origins to terrestrial wildlife. We also discuss best practices for employing environmental isoscapes (isotopic distributions across landscapes), rescaling functions, and the assumptions required for assignment to origin while highlighting emerging issues in the modeling process. Finally, we provide example applications to illustrate these principles, and we explore strengths and limitations of this approach in a conservation context.

Biological Conservation

The influence of El Niño-Southern Oscillation (ENSO) cycles on wave-driven sea-floor sediment mobility along the central California continental margin

Ocean surface waves are the dominant temporally and spatially variable process influencing sea floor sediment resuspension along most continental shelves. Wave-induced sediment mobility on the continental shelf and upper continental slope off central California for different phases of El Niño-Southern Oscillation (ENSO) events was modeled using monthly statistics derived from more than 14 years of concurrent hourly oceanographic and meteorologic data as boundary input for the Delft SWAN wave model, gridded sea floor grain-size data from the usSEABED database, and regional bathymetry. Differences as small as 0.5 m in wave height, 1 s in wave period, and 10° in wave direction, in conjunction with the spatially heterogeneous unconsolidated sea-floor sedimentary cover, result in significant changes in the predicted mobility of continental shelf surficial sediment in the study area. El Niño events result in more frequent mobilization on the inner shelf in the summer and winter than during La Niña events and on the outer shelf and upper slope in the winter months, while La Niña events result in more frequent mobilization on the mid-shelf during spring and summer months than during El Niño events. The timing and patterns of seabed mobility are addressed in context of geologic and biologic processes. By understanding the spatial and temporal variability in the disturbance of the sea floor, scientists can better interpret sedimentary patterns and ecosystem structure, while providing managers and planners an understanding of natural impacts when considering the permitting of offshore activities that disturb the sea floor such as trawling, dredging, and the emplacement of sea-floor engineering structures.

California

Basement and regional structure along strike of the Queen Charlotte Fault in the context of modern and historical earthquake ruptures

The Queen Charlotte fault (QCF) is a dextral transform system located offshore of southeastern Alaska and western Canada, accommodating ∼4.4  cm/yr of relative motion between the Pacific and North American plates. Oblique convergence along the fault increases southward, and how this convergence is accommodated is still debated. Using seismic reflection data, we interpret offshore basement structure, faulting, and stratigraphy to provide a geological context for two recent earthquakes, an M w 7.5 strike‐slip event near Craig, Alaska, and an M w 7.8 thrust event near Haida Gwaii, Canada. We map downwarped Pacific oceanic crust near 54° N, between the two rupture zones. Observed downwarping decreases north and south of 54° N, parallel to the strike of the QCF. Bending of the Pacific plate here may have initiated with increased convergence rates due to a plate motion change at ∼6  Ma. Tectonic reconstruction implies convergence‐driven Pacific plate flexure, beginning at 6 Ma south of a 10° bend the QCF (which is currently at 53.2° N) and lasting until the plate translated past the bend by ∼2  Ma. Normal‐faulted approximately late Miocene sediment above the deep flexural depression at 54° N, topped by relatively undeformed Pleistocene and younger sediment, supports this model. Aftershocks of the Haida Gwaii event indicate a normal‐faulting stress regime, suggesting present‐day plate flexure and underthrusting, which is also consistent with reconstruction of past conditions. We thus favor a Pacific plate underthrusting model to initiate flexure and accommodation space for sediment loading. In addition, mapped structures indicate two possible fault segment boundaries along the QCF at 53.2° N and at 56° N.

Alaska

Geophysical characterization of subsurface properties relevant to the hydrology of the Standard Mine in Elk Basin, Colorado

Geophysical data were collected at the Standard Mine in Elk Basin near Crested Butte, Colorado, to help improve the U.S. Environmental Protection Agency's understanding of the hydrogeologic controls in the basin and how they affect surface and groundwater interactions with nearby mine workings. These data are discussed in the context of geologic observations at the site, the details of which are provided in a separate report. This integrated approach uses the geologic observations to help constrain subsurface information obtained from the analysis of surface geophysical measurements, which is a critical step toward using the geophysical data in a meaningful hydrogeologic framework. This approach combines the benefit of many direct but sparse field observations with spatially continuous but indirect measurements of physical properties through the use of geophysics. Surface geophysical data include: (1) electrical resistivity profiles aimed at imaging variability in subsurface structures and fluid content; (2) self-potentials, which are sensitive to mineralized zones at this site and, to a lesser extent, shallow-flow patterns; and (3) magnetic measurements, which provide information on lateral variability in near-surface geologic features, although there are few magnetic minerals in the rocks at this site. Results from the resistivity data indicate a general two-layer model in which an upper highly resistive unit, 3 to 10 meters thick, overlies a less resistive unit that is imaged to depths of 20 to 25 meters. The high resistivity of the upper unit likely is attributed to unsaturated conditions, meaning that the contact between the upper and lower units may correspond to the water table. Significant lateral heterogeneity is observed because of the presence of major features such as the Standard and Elk fault veins, as well as highly heterogeneous joint distributions. Very high resistivities (greater than 10 kiloohmmeters) are observed in locations that may correspond to more silicified, lower porosity rock. Several thin (2 to 3 meters deep and up to tens of meters wide) low-resistivity features in the very near surface coincide with observed surface-water drainage features at the site. These are limited to depths less than 3 meters and may indicate surface and very shallow groundwater flowing downhill on top of less permeable bedrock. The data do not clearly point to discrete zones of high infiltration, but these cannot be ruled out given the heterogeneous nature of joints in the shallow subsurface. Disseminated and localized electrically conductive mineralization do not appear to play a strong role in controlling the resistivity values, which generally are high throughout the site. The self-potential analysis highlights the Standard fault vein, the northwest (NW) Elk vein near the Elk portal, and several polymetallic quartz veins. These features contain sulfide minerals in the subsurface that form an electrochemical cell that produces their distinct self-potential signal. A smaller component of the self-potential signal is attributed to relatively moderate topographically driven shallow groundwater flow, which is most prevalent in the vicinity of Elk Creek and to a lesser extent in the area of surface-water drainage below the Level 5 portal. Given the anomalies associated with the electrochemical weathering near the Standard fault vein, it is not possible to completely rule out downward infiltration of surface water and shallow groundwater intersected by the fault, though this is an unlikely scenario given the available data. Magnetic data show little variation, consistent with the mostly nonmagnetic host rocks and mineralization at the site, which is verified by magnetic susceptibility measurements and X-ray diffraction mineralogy data on local rock samples. The contact between the Ohio Creek Member of the Mesaverde Formation and Wasatch Formation coincides with a change in character of the magnetic signature, though

Colorado

Dating the penultimate great earthquake in south-central Alaska using tree-ring crossdating and radiocarbon wiggle-matching

A forest bed of tree stumps currently in the intertidal zone at Girdwood, south-central Alaska, records coseismic submergence during the penultimate great earthquake. Tree-ring samples from ten spruce stumps were crossdated to develop a 149-year-long ring-width chronology. Radiocarbon wiggle-matching found that single-ring ages from the chronology were offset 28 ± 7 years older than the IntCal20 calibration curve and that the last ring of the chronology dated as 1169 to 1189 CE (781–761 cal. yr. BP) at the 95% confidence level. Bark was observed on some stumps, six samples had the same year for the last growth ring, and so this wiggle-match date is also the best estimate of the date of the penultimate great earthquake. This date is in good agreement with a date for this event in a seismo-turbidite record from Skilak Lake but not with previous dates from Bayesian models of maximum- and minimum-limiting ages from coastal salt marshes. Reanalysis of the coastal salt marsh ages with the data grouped by area, context and material found that outer wood samples from stumps at coseismic submergence sites and a Bayesian limiting age model based on just herbaceous plant ages from Turnagain Arm and the Copper River area are both consistent with our wiggle-match date. Furthermore, coseismic emergence ages from Cape Suckling and Yakataga are older than the penultimate earthquake and so likely relate to an earlier uplift event in this eastern area. The rupture extent during the penultimate great earthquake appears to have been less than in the 1964 great earthquake and the interseismic interval between these two events was 785 ± 10 years.

Alaska

Using structural equation modeling to link human activities to wetland ecological integrity

The integrity of wetlands is of global concern. A common approach to evaluating ecological integrity involves bioassessment procedures that quantify the degree to which communities deviate from historical norms. While helpful, bioassessment provides little information about how altered conditions connect to community response. More detailed information is needed for conservation and restoration. We have illustrated an approach to addressing this challenge using structural equation modeling (SEM) and long-term monitoring data from Rocky Mountain National Park (RMNP). Wetlands in RMNP are threatened by a complex history of anthropogenic disturbance including direct alteration of hydrologic regimes; elimination of elk, wolves, and grizzly bears; reintroduction of elk (absent their primary predators); and the extirpation of beaver. More recently, nonnative moose were introduced to the region and have expanded into the park. Bioassessment suggests that up to half of the park's wetlands are not in reference condition. We developed and evaluated a general hypothesis about how human alterations influence wetland integrity and then develop a specific model using RMNP wetlands. Bioassessment revealed three bioindicators that appear to be highly sensitive to human disturbance (HD): (1) conservatism, (2) degree of invasion, and (3) cover of native forbs. SEM analyses suggest several ways human activities have impacted wetland integrity and the landscape of RMNP. First, degradation is highest where the combined effects of all types of direct HD have been the greatest (i.e., there is a general, overall effect). Second, specific HDs appear to create a “mixed-bag” of complex indirect effects, including reduced invasion and increased conservatism, but also reduced native forb cover. Some of these effects are associated with alterations to hydrologic regimes, while others are associated with altered shrub production. Third, landscape features created by historical beaver activity continue to influence wetland integrity years after beavers have abandoned sites via persistent landforms and reduced biomass of tall shrubs. Our model provides a system-level perspective on wetland integrity and provides a context for future evaluations and investigations. It also suggests scientifically supported natural resource management strategies that can assist in the National Park Service mission of maintaining or, when indicated, restoring ecological integrity “unimpaired for future generations.”

Colorado

Improving species status assessments under the U.S. Endangered Species Act and implications for multispecies conservation challenges worldwide

Despite its successes, the U.S. Endangered Species Act (ESA) has proven challenging to implement due to funding limitations, workload backlog, and other problems. As threats to species survival intensify and as more species come under threat, the need for the ESA and similar conservation laws and policies in other countries to function efficiently has grown. Attempts by the U.S. Fish and Wildlife Service (USFWS) to streamline ESA decisions include multispecies recovery plans and habitat conservation plans. We address species status assessment (SSA), a USFWS process to inform ESA decisions from listing to recovery, within the context of multispecies and ecosystem planning. Although existing SSAs have a single-species focus, ecosystem-based research can efficiently inform multiple SSAs within a region and provide a foundation for transition to multispecies SSAs in the future. We considered at-risk grassland species and ecosystems within the southeastern United States, where a disproportionate number of rare and endemic species are associated with grasslands. To initiate our ecosystem-based approach, we used a combined literature-based and structured World Café workshop format to identify science needs for SSAs. Discussions concentrated on 5 categories of threats to grassland species and ecosystems, consistent with recommendations to make shared threats a focus of planning under the ESA: (1) habitat loss, fragmentation, and disruption of functional connectivity; (2) climate change; (3) altered disturbance regimes; (4) invasive species; and (5) localized impacts. For each threat, workshop participants identified science and information needs, including database availability, research priorities, and modeling and mapping needs. Grouping species by habitat and shared threats can make the SSA process and other planning processes for conservation of at-risk species worldwide more efficient and useful. We found a combination of literature review and structured discussion effective for identifying the scientific information and analysis needed to support the development of multiple SSAs.

Conservation Biology

The ecological limits of hydrologic alteration (ELOHA): A new framework for developing regional environmental flow standards

The flow regime is a primary determinant of the structure and function of aquatic and riparian ecosystems for streams and rivers. Hydrologic alteration has impaired riverine ecosystems on a global scale, and the pace and intensity of human development greatly exceeds the ability of scientists to assess the effects on a river-by-river basis. Current scientific understanding of hydrologic controls on riverine ecosystems and experience gained from individual river studies support development of environmental flow standards at the regional scale. 2. This paper presents a consensus view from a group of international scientists on a new framework for assessing environmental flow needs for many streams and rivers simultaneously to foster development and implementation of environmental flow standards at the regional scale. This framework, the ecological limits of hydrologic alteration (ELOHA), is a synthesis of a number of existing hydrologic techniques and environmental flow methods that are currently being used to various degrees and that can support comprehensive regional flow management. The flexible approach allows scientists, water-resource managers and stakeholders to analyse and synthesise available scientific information into ecologically based and socially acceptable goals and standards for management of environmental flows. 3. The ELOHA framework includes the synthesis of existing hydrologic and ecological databases from many rivers within a user-defined region to develop scientifically defensible and empirically testable relationships between flow alteration and ecological responses. These relationships serve as the basis for the societally driven process of developing regional flow standards. This is to be achieved by first using hydrologic modelling to build a 'hydrologic foundation' of baseline and current hydrographs for stream and river segments throughout the region. Second, using a set of ecologically relevant flow variables, river segments within the region are classified into a few distinctive flow regime types that are expected to have different ecological characteristics. These river types can be further subclassified according to important geomorphic features that define hydraulic habitat features. Third, the deviation of current-condition flows from baseline-condition flow is determined. Fourth, flow alteration-ecological response relationships are developed for each river type, based on a combination of existing hydroecological literature, expert knowledge and field studies across gradients of hydrologic alteration. 4. Scientific uncertainty will exist in the flow alteration-ecological response relationships, in part because of the confounding of hydrologic alteration with other important environmental determinants of river ecosystem condition (e.g. temperature). Application of the ELOHA framework should therefore occur in a consensus context where stakeholders and decision-makers explicitly evaluate acceptable risk as a balance between the perceived value of the ecological goals, the economic costs involved and the scientific uncertainties in functional relationships between ecological responses and flow alteration. 5. The ELOHA framework also should proceed in an adaptive management context, where collection of monitoring data or targeted field sampling data allows for testing of the proposed flow alteration-ecological response relationships. This empirical validation process allows for a fine-tuning of environmental flow management targets. The ELOHA framework can be used both to guide basic research in hydroecology and to further implementation of more comprehensive environmental flow management of freshwater sustainability on a global scale. ?? 2009 Blackwell Publishing Ltd.

Freshwater Biology

Multivariate Bayesian clustering using covariate-informed components with application to boreal vegetation sensitivity

Climate change is impacting both the distribution and abundance of vegetation, especially in far northern latitudes. The effects of climate change are different for every plant assemblage and vary heterogeneously in both space and time. Small changes in climate could result in large vegetation responses in sensitive assemblages but weak responses in robust assemblages. But, patterns and mechanisms of sensitivity and robustness are not yet well understood, largely due to a lack of long-term measurements of climate and vegetation. Fortunately, observations are sometimes available across a broad spatial extent. We develop a novel statistical model for a multivariate response based on unknown cluster-specific effects and covariances, where cluster labels correspond to sensitivity and robustness. Our approach utilizes a prototype model for cluster membership that offers flexibility while enforcing smoothness in cluster probabilities across sites with similar characteristics. We demonstrate our approach with an application to vegetation abundance in Alaska, USA, in which we leverage the broad spatial extent of the study area as a proxy for unrecorded historical observations. In the context of the application, our approach yields interpretable site-level cluster labels associated with assemblage-level sensitivity and robustness without requiring strong a priori assumptions about the drivers of climate sensitivity.

Alaska

A risk-based approach to evaluating wildlife demographics for management in a changing climate: A case study of the Lewis's Woodpecker

Given the projected threat that climate change poses to biodiversity, the need for proactive response efforts is clear. However, integrating uncertain climate change information into conservation planning is challenging, and more explicit guidance is needed. To this end, this article provides a specific example of how a risk-based approach can be used to incorporate a species' response to climate into conservation decisions. This is shown by taking advantage of species' response (i.e., impact) models that have been developed for a well-studied bird species of conservation concern. Specifically, we examine the current and potential impact of climate on nest survival of the Lewis's Woodpecker ( Melanerpes lewis ) in two different habitats. To address climate uncertainty, climate scenarios are developed by manipulating historical weather observations to create ensembles (i.e., multiple sequences of daily weather) that reflect historical variability and potential climate change. These ensembles allow for a probabilistic evaluation of the risk posed to Lewis's Woodpecker nest survival and are used in two demographic analyses. First, the relative value of each habitat is compared in terms of nest survival, and second, the likelihood of exceeding a critical population threshold is examined. By embedding the analyses in a risk framework, we show how management choices can be made to be commensurate with a defined level of acceptable risk. The results can be used to inform habitat prioritization and are discussed in the context of an economic framework for evaluating trade-offs between management alternatives.

Idaho

Citizen scientists record novel leaf phenology of invasive shrubs in eastern U.S. forests

Invasive shrubs are an emergent concern in deciduous forests of eastern North America. Their extended leaf phenology (ELP) – earlier leaf emergence and later leaf off compared to native shrubs and the overstory canopy – can simultaneously provide photosynthetic benefits to invasive shrubs while negatively affecting native flora and fauna through providing novel understory shade when the overstory canopy is leafless. However, phenology varies geographically, and the degree to which ELP from local-scale studies applies across the range of forests experiencing shrub invasion is unknown. In partnership with the USA National Phenology Network, we developed a citizen science campaign to record broad patterns of species-specific ELP – an otherwise prohibitively large effort. Using 1,500 observations of 14 species spanning 4 years, we found that the difference in leaf phenology between native and invasive shrubs can exceed 77 days within a growing season, a gap that decreases with increasing latitude by 2.9 [1.6, 4.2] days per degree latitude in the spring, and 2.2 [0.6,1.9] in the fall. Geographic trends in ELP provide a context for interpreting local scale phenology research while bridging inconsistent findings between existing studies and can streamline management by targeting detection and removal of invasive shrubs with leaves while natives are dormant. Furthermore, even small changes to seasonal phenology can impact forest communities, especially if there is a differential response to climate cues by nativity. After exploring broad-scale environmental variables associated with leaf phenology, we find a similar correlation with pre-growing season warmth for native and invasive shrubs, but a different relationship with dormant chill days – a variable less frequently considered for modeling spring phenology for forest productivity.

Biological Invasions

Water-quality trends and constituent-transport analysis for selected sampling sites in the Milltown Reservoir/Clark Fork River Superfund Site in the upper Clark Fork Basin, Montana, water years 1996–2015

During the extended history of mining in the upper Clark Fork Basin in Montana, large amounts of waste materials enriched with metallic contaminants (cadmium, copper, lead, and zinc) and the metalloid trace element arsenic were generated from mining operations near Butte and milling and smelting operations near Anaconda. Extensive deposition of mining wastes in the Silver Bow Creek and Clark Fork channels and flood plains had substantial effects on water quality. Federal Superfund remediation activities in the upper Clark Fork Basin began in 1983 and have included substantial remediation near Butte and removal of the former Milltown Dam near Missoula. To aid in evaluating the effects of remediation activities on water quality, the U.S. Geological Survey began collecting streamflow and water-quality data in the upper Clark Fork Basin in the 1980s. Trend analysis was done on specific conductance, selected trace elements (arsenic, copper, and zinc), and suspended sediment for seven sampling sites in the Milltown Reservoir/Clark Fork River Superfund Site for water years 1996–2015. The most upstream site included in trend analysis is Silver Bow Creek at Warm Springs, Montana (sampling site 8), and the most downstream site is Clark Fork above Missoula, Montana (sampling site 22), which is just downstream from the former Milltown Dam. Water year is the 12-month period from October 1 through September 30 and is designated by the year in which it ends. Trend analysis was done by using a joint time-series model for concentration and streamflow. To provide temporal resolution of changes in water quality, trend analysis was conducted for four sequential 5-year periods: period 1 (water years 1996–2000), period 2 (water years 2001–5), period 3 (water years 2006–10), and period 4 (water years 2011–15). Because of the substantial effect of the intentional breach of Milltown Dam on March 28, 2008, period 3 was subdivided into period 3A (October 1, 2005–March 27, 2008) and period 3B (March 28, 2008–September 30, 2010) for the Clark Fork above Missoula (sampling site 22). Trend results were considered statistically significant when the statistical probability level was less than 0.01. In conjunction with the trend analysis, estimated normalized constituent loads (hereinafter referred to as “loads”) were calculated and presented within the framework of a constituent-transport analysis to assess the temporal trends in flow-adjusted concentrations (FACs) in the context of sources and transport. The transport analysis allows assessment of temporal changes in relative contributions from upstream source areas to loads transported past each reach outflow. Trend results indicate that FACs of unfiltered-recoverable copper decreased at the sampling sites from the start of period 1 through the end of period 4; the decreases ranged from large for one sampling site (Silver Bow Creek at Warm Springs [sampling site 8]) to moderate for two sampling sites (Clark Fork near Galen, Montana [sampling site 11] and Clark Fork above Missoula [sampling site 22]) to small for four sampling sites (Clark Fork at Deer Lodge, Montana [sampling site 14], Clark Fork at Goldcreek, Montana [sampling site 16], Clark Fork near Drummond, Montana [sampling site 18], and Clark Fork at Turah Bridge near Bonner, Montana [sampling site 20]). For period 4 (water years 2011–15), the most notable changes indicated for the Milltown Reservoir/Clark Fork River Superfund Site were statistically significant decreases in FACs and loads of unfiltered-recoverable copper for sampling sites 8 and 22. The period 4 changes in FACs of unfiltered-recoverable copper for all other sampling sites were not statistically significant. Trend results indicate that FACs of unfiltered-recoverable arsenic decreased at the sampling sites from period 1 through period 4 (water years 1996–2015); the decreases ranged from minor (sampling sites 8–20) to small (sampling site 22). For period 4 (water years 2011–15), the most notable changes indicated for the Milltown Reservoir/Clark Fork River Superfund Site were statistically significant decreases in FACs and loads of unfiltered-recoverable arsenic for sampling site 8 and near statistically significant decreases for sampling site 22. The period 4 changes in FACs of unfiltered-recoverable arsenic for all other sampling sites were not statistically significant. Trend results indicate that FACs of suspended sediment decreased at the sampling sites from period 1 through period 4 (water years 1996–2015); the decreases ranged from moderate (sampling site 8) to small (sampling sites 11–22). For period 4 (water years 2011–15), the changes in FACs of suspended sediment were not statistically significant for any sampling sites. The reach of the Clark Fork from Galen to Deer Lodge is a large source of metallic contaminants and suspended sediment, which strongly affects downstream transport of those constituents. Mobilization of copper and suspended sediment from flood-plain tailings and the streambed of the Clark Fork and its tributaries within the reach results in a contribution of those constituents that is proportionally much larger than the contribution of streamflow from within the reach. Within the reach from Galen to Deer Lodge, unfiltered-recoverable copper loads increased by a factor of about 4 and suspended-sediment loads increased by a factor of about 5, whereas streamflow increased by a factor of slightly less than 2. For period 4 (water years 2011–15), unfiltered-recoverable copper and suspended-sediment loads sourced from within the reach accounted for about 41 and 14 percent, respectively, of the loads at Clark Fork above Missoula (sampling site 22), whereas streamflow sourced from within the reach accounted for about 4 percent of the streamflow at sampling site 22. During water years 1996–2015, decreases in FACs and loads of unfiltered-recoverable copper and suspended sediment for the reach generally were proportionally smaller than for most other reaches. Unfiltered-recoverable copper loads sourced within the reaches of the Clark Fork between Deer Lodge and Turah Bridge near Bonner (just upstream from the former Milltown Dam) were proportionally smaller than contributions of streamflow sourced from within the reaches; these reaches contributed proportionally much less to copper loading in the Clark Fork than the reach between Galen and Deer Lodge. Although substantial decreases in FACs and loads of unfiltered-recoverable copper and suspended sediment were indicated for Silver Bow Creek at Warm Springs (sampling site 8), those substantial decreases were not translated to downstream reaches between Deer Lodge and Turah Bridge near Bonner. The effect of the reach of the Clark Fork from Galen to Deer Lodge as a large source of copper and suspended sediment, in combination with little temporal change in those constituents for the reach, contributes to this pattern. With the removal of the former Milltown Dam in 2008, substantial amounts of contaminated sediments that remained in the Clark Fork channel and flood plain in reach 9 (downstream from Turah Bridge near Bonner) became more available for mobilization and transport than before the dam removal. After the removal of the former Milltown Dam, the Clark Fork above Missoula (sampling site 22) had statistically significant decreases in FACs of unfiltered-recoverable copper in period 3B (March 28, 2008, through water year 2010) that continued in period 4 (water years 2011–15). Also, decreases in FACs of unfiltered-recoverable arsenic and suspended sediment were indicated for period 4 at this site. The decrease in FACs of unfiltered-recoverable copper for sampling site 22 during period 4 was proportionally much larger than the decrease for the Clark Fork at Turah Bridge near Bonner (sampling site 20). Net mobilization of unfiltered-recoverable copper and arsenic from sources within reach 9 are smaller for period 4 than for period 1 when the former Milltown Dam was in place, providing evidence that contaminant source materials have been substantially reduced in reach 9.

Montana

Qualitative value of information provides a transparent and repeatable method for identifying critical uncertainty

Conservation decisions are often made in the face of uncertainty because the urgency to act can preclude delaying management while uncertainty is resolved. In this context, adaptive management is attractive, allowing simultaneous management and learning. An adaptive program design requires the identification of critical uncertainties that impede the choice of management action. Quantitative evaluation of critical uncertainty, using the expected value of information, may require more resources than are available in the early stages of conservation planning. Here, we demonstrate the use of a qualitative index to the value of information (QVoI) to prioritize which sources of uncertainty to reduce regarding the use of prescribed fire to benefit Eastern Black Rails ( Laterallus jamaicensis jamaicensis ), Yellow Rails ( Coterminous noveboracensis ), and Mottled Ducks ( Anas fulvigula ; hereafter, focal species) in high marshes of the U.S. Gulf of Mexico. Prescribed fire has been used as a management tool in Gulf of Mexico high marshes throughout the last 30+ years; however, effects of periodic burning on the focal species and the optimal conditions for burning marshes to improve habitat remain unknown. We followed a structured decision-making framework to develop conceptual models, which we then used to identify sources of uncertainty and articulate alternative hypotheses about prescribed fire in high marshes. We used QVoI to evaluate the sources of uncertainty based on their magnitude, relevance for decision making, and reducibility. We found that hypotheses related to the optimal fire return interval and season were the highest priorities for study, whereas hypotheses related to predation rates and interactions among management techniques were lowest. These results suggest that learning about the optimal fire frequency and season to benefit the focal species might produce the greatest management benefit. In this case study, we demonstrate that QVoI can help managers decide where to apply limited resources to learn which specific actions will result in a higher likelihood of achieving the desired management objectives. Further, we summarize the strengths and limitations of QVoI and outline recommendations for its future use for prioritizing research to reduce uncertainty about system dynamics and the effects of management actions.

Ecological Applications

Comparative status and assessment of Limulus polyphemus with emphasis on the New England and Delaware Bay populations

Increases in harvest of the American horseshoe crab ( Limulus polyphemus ) during the 1990s, particularly for whelk bait, coupled with decreases in species that depend on their eggs has reduced horseshoe crab abundance, threatened their ecological relationships, and dictated precautionary management of the horseshoe crab resource. Accordingly, population assessments and monitoring programs have been developed throughout much of the horseshoe crab’s range. We review and discuss implications for several recent assessments of Delaware Bay and New England populations and a meta-analysis of region-specific trends. These assessments show that the western Atlantic distribution of the horseshoe crab is comprised of regional or estuarine-specific meta-populations, which exhibit distinct population dynamics and require management as separate units. Modeling of Delaware Bay and Cape Cod populations confirmed that overharvest caused declines, but indicated that some harvest levels are sustainable and consistent with population growth. Coast-wide harvest was reduced by 70% from 1998 to 2006, with the greatest reductions within Delaware Bay states. Harvest regulations in Delaware Bay starting in the late 1990s, such as harvest quotas, seasonal closures, male-only harvest, voluntary use of bait-saving devices, and establishment of the Carl N. Shuster Jr. Horseshoe Crab Reserve, were followed by stabilization and recent evidence of increase in abundance of horseshoe crabs in the region. However, decreased harvest of the Delaware Bay population has redirected harvest to outlying populations, particularly in New York and New England . While the recent Delaware Bay assessments indicate positive population growth, increased harvest elsewhere is believed to be unsustainable. Two important considerations for future assessments include (1) managing Delaware Bay horseshoe crab populations within a multi-species context, for example, to help support migratory shorebirds and (2) anticipating the potential for harvest restrictions within Delaware Bay to redirect harvest onto outlying populations that cannot sustain the increased harvest.

Book chapter

Intra-annual patterns in adult band-tailed pigeon survival estimates

Context: The band-tailed pigeon ( Patagioenas fasciata ) is a migratory species occurring in western North America with low recruitment potential and populations that have declined an average of 2.4% per year since the 1960s. Investigations into band-tailed pigeon demographic rates date back to the early 1900s, and existing annual survival rate estimates were derived in the 1970s using band return data. Aims: The primary purpose of the paper was to demonstrate that the apparent paradox between band-tailed pigeon population dynamics (long-term steady decline) and breeding season survival rates (very high) can be explained by changes in survival probability during the remainder of the year. Methods: We trapped Pacific coast band-tailed pigeons during two separate periods: we equipped pigeons with very high frequency (VHF) radio-transmitters in 1999–2000 (1999 = 20; 2000 = 34); and outfitted pigeons with solar powered platform transmitting terminal (PTT) transmitters in 2006–08 (n = 20). We used known fate models to estimate annual survival rates and seasonal survival variation among four periods based on an annual behavioural cycle based on phenological events (nesting, autumn migration, winter and spring migrations). We used model averaged parameter estimates to account for model selection uncertainty. Key results: Neither body condition nor sex were associated with variation in band-tailed pigeon survival rates. Weekly survival during the nesting season did not differ significantly between VHF-marked (0.996; CI = 0.984–0.999) and PTT-marked pigeons (0.998; CI = 0.990–1.00). Model averaged annual survival of PTT-marked pigeons was 0.682 (95% CI = 0.426–0.861) and was similar to annual survival estimated in previous studies using band return data. Survival probability was lowest during both migration periods and highest during the nesting period. Conclusions: Our survival estimates are consistent with those of prior studies and suggest that mortality risk is greatest during migration. Weekly survival probability during winter was nearly the same as during the nesting season; however, winter was the longest period and survival throughout winter was lower than other seasons. Implications: We present the first inter-seasonal analysis of survival probability of the Pacific coast race of band-tailed pigeons and illustrate important temporal patterns that may influence future species management including harvest strategies and disease monitoring.

Wildlife Research

A centroid model of species distribution with applications to the Carolina wren Thryothorus ludovicianus and house finch Haemorhous mexicanus in the United States

Drastic shifts in species distributions are a cause of concern for ecologists. Such shifts pose great threat to biodiversity especially under unprecedented anthropogenic and natural disturbances. Many studies have documented recent shifts in species distributions. However, most of these studies are limited to regional scales, and do not consider the abundance structure within species ranges. Developing methods to detect systematic changes in species distributions over their full ranges is critical for understanding the impact of changing environments and for successful conservation planning. Here, we demonstrate a centroid model for range-wide analysis of distribution shifts using the North American Breeding Bird Survey. The centroid model is based on a hierarchical Bayesian framework which models population change within physiographic strata while accounting for several factors affecting species detectability. Yearly abundance-weighted range centroids are estimated. As case studies, we derive annual centroids for the Carolina wren and house finch in their ranges in the U.S. We further evaluate the first-difference correlation between species’ centroid movement and changes in winter severity, total population abundance. We also examined associations of change in centroids from sub-ranges. Change in full-range centroid movements of Carolina wren significantly correlate with snow cover days (r = −0.58). For both species, the full-range centroid shifts also have strong correlation with total abundance (r = 0.65, and 0.51 respectively). The movements of the full-range centroids of the two species are correlated strongly (up to r = 0.76) with that of the sub-ranges with more drastic population changes. Our study demonstrates the usefulness of centroids for analyzing distribution changes in a two-dimensional spatial context. Particularly it highlights applications that associate the centroid with factors such as environmental stressors, population characteristics, and progression of invasive species. Routine monitoring of changes in centroid will provide useful insights into long-term avian responses to environmental changes.

Ecography

Essential elements of online information networks on invasive alien species

In order to be effective, information must be placed in the proper context and organized in a manner that is logical and (preferably) standardized. Recently, invasive alien species (IAS) scientists have begun to create online networks to share their information concerning IAS prevention and control. At a special networking session at the Beijing International Symposium on Biological Invasions, an online Eastern Asia-North American IAS Information Network (EA-NA Network) was proposed. To prepare for the development of this network, and to provide models for other regional collaborations, we compare four examples of global, regional, and national online IAS information networks: the Global Invasive Species Information Network, the Invasives Information Network of the Inter-American Biodiversity Information Network, the Chinese Species Information System, and the Invasive Species Information Node of the US National Biological Information Infrastructure. We conclude that IAS networks require a common goal, dedicated leaders, effective communication, and broad endorsement, in order to obtain sustainable, long-term funding and long-term stability. They need to start small, use the experience of other networks, partner with others, and showcase benefits. Global integration and synergy among invasive species networks will succeed with contributions from both the top-down and the bottom-up. ?? 2006 Springer.

Conference Paper