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Seabird tissue archival and monitoring project: Egg collections and analytical results 1999-2002

In 1998, the U.S. Geological Survey Biological Resources Division (USGS-BRD), the U.S. Fish and Wildlife Service (USFWS) Alaska Maritime National Wildlife Refuge (AMNWR), and the National Institute of Standards and Technology (NIST) began the Seabird Tissue Archival and Monitoring Project (STAMP) to collect and cryogenically bank tissues from seabirds in Alaska for future retrospective analysis of anthropogenic contaminants. The approach of STAMP was similar to that of the Alaska Marine Mammal Tissue Archival Project (AMMTAP). AMMTAP was started in 1987 by NIST and the National Oceanic and Atmospheric Administration (NOAA) as part of the Outer Continental Shelf Environmental Assessment Program sponsored by the Minerals Management Service. Presently sponsored by the USGS-BRD, AMMTAP continues its work as part of a larger national program, the Marine Mammal Health and Stranding Response Program. AMMTAP developed carefully designed sampling and specimen banking protocols. Since 1987, AMMTAP has collected tissues from marine mammals taken in Alaska Native subsistence hunts and has cryogenically banked these tissues at the NIST National Biomonitoring Specimen Bank (NBSB). Through its own analytical work and working in partnership with other researchers both within and outside Alaska, AMMTAP has helped to develop a substantial database on contaminants in Alaska marine mammals. In contrast, data and information is limited on contaminants in Alaska seabirds, which are similar to marine mammals in that they feed near the top of the food chain and have the potential for accumulating anthropogenic contaminants. During its early planning stages, STAMP managers identified the seabird egg as the first tissue of choice for study by the project. There is a relatively long history of using bird eggs for environmental monitoring and for investigating the health status of bird populations. Since 1998, protocols for collecting and processing eggs, and cryogenically banking egg samples have been developed by STAMP (see York et al. 2001). Eggs are being collected on an annual basis for several species at nesting colonies throughout Alaska. Aliquots of these egg samples are being analyzed on a regular basis for persistent organic pollutants and mercury. Results of this work have been published in scientific journals (Christopher et al. 2002) and in conference proceedings (Kucklick et al. 2002; Vander Pol et al. 2002a, 2002b). The intent of this report is to provide an up-to-date description of STAMP. The report contains the most recent egg collection inventory, analytical data, preliminary interpretations based on these data, and a discussion of possible future directions of the project.

Report↗

Harlequin duck ( Histrionicus histrionicus ) perspective: Harlequin duck population recovery following the Exxon Valdez oil spill: Progress, process, and constraints

Following the 1989 Exxon Valdez oil spill in Prince William Sound, Alaska, we studied the status of recovery of harlequin duck ( Histrionicus histrionicus ) populations during 1995-1998. We evaluated potential constraints to full recovery, including (1) exposure to residual oil, (2) food limitation, and (3) intrinsic demographic limitations on population growth rates. In this paper, we synthesize the findings from our work and incorporate information from other harlequin duck research and monitoring programs to provide a comprehensive evaluation of the response of this species to the Exxon Valdez oil spill. We conclude that harlequin duck populations had not fully recovered by 1998. Furthermore, adverse effects continued as many as 9 years after the oil spill, in contrast to the conventional paradigm that oil spill effects on bird populations are short-lived. These conclusions are based on the findings that (1) elevated cytochrome P450 induction on oiled areas indicated continued exposure to oil in 1998, (2) adult female winter survival was lower on oiled than unoiled areas during 1995-1998, (3) fall population surveys by the Alaska Department of Fish and Game indicated numerical declines in oiled areas during 1995-1997, and (4) densities on oiled areas in 1996 and 1997 were lower than expected using models that accounted for effects of habitat attributes. Based on hypothesized links between oil contamination and demography, we suggest that harlequin duck population recovery was constrained primarily by continued oil exposure. Full population recovery also will be delayed by the time necessary for intrinsic population growth to allow return to pre-spill numbers following cessation of residual oil spill effects. Although not all wildlife species were affected by the Exxon Valdez oil spill, and some others may have recovered quickly from any effects, harlequin duck life history characteristics and benthic, nearshore feeding habits make them susceptible to both initial and long-term oil spill effects.

Alaska↗

Assessing the relationship between Section 404 and wetland losses: a feasibility study

The primary objective of the Clean Water Act of 1977 (33 U.S.C. 1251) is to restore and maintain the physical, chemical, and biological integrity of the Nation's waters. Section 404 of the Act regulates the discharge of dredged or fill materials into wetlands and represents the primary Federal authority for regulation of wetland alterations. Since its inception, the Section 404 program has been controversial in regard to the extent to which it was intended to provide wetlands regulation. Section 404 requires those who wish to discharge dredged or fill material into waters of the United States, which include many wetlands, to first obtain a Federal permit. The Environmental Protection Agency (EPA) has overall responsibility for administration of the Section 404 program and promulgates guidelines that must be followed in issuing permits. In addition, EPA has the final authority to prohibit specific discharges if the environmental impacts are unacceptable. The U.S. Army Corps of Engineers (Corps) issues Section 404 permits, which can be of two types. Individual Permits are issued following case-by-case reviews of proposed discharges. General Permits, which can be either nationwide or regional in scope, are authorized by the Corps for categories of activities that are similar in nature and that have only minimal individual and cumulative adverse environmental impacts. EPA, the National Marine Fisheries Service (NMFS), the Fish and Wildlife Service (Service), and State natural resource agencies review and comment on permit applications and offer recommendations on appropriate mitigation measures. Although comments from the Service and other natural resource agencies are advisory in nature (EPA's veto authority excepted), they can serve as the basis for modifying, conditioning, or denying a Section 404 permit. In 1986, in a survey conducted by the National Ecology Research Center, Service personnel indicated interest in additional information concerning both wetland trends and the impacts of activities authorized by the Corps under Section 404 (Roelle 1986). Although there is some information concerning wetland losses for certain geographic areas and for the Nation as a whole (Frayer et al. 1983; Tiner 1984), there appears to be little information on how these losses relate to the Section 404 permitting process. The primary objective of this study was to determine the feasibility of estimating wetland losses in relationship to Individual and General Permits issued under Section 404. A secondary objective was to assemble data on acceptance and implementation of specific mitigation recommendations offered by the Service and other natural resource agencies in connection with development activities on wetlands examined. At present, 26 categories of Nationwide permits have been authorized by the Corps. Nationwide permit 26 was of particular interest in this study because it specifically authorizes discharges into wetlands under certain circumstances (see Figure 1 and related text for a more complete discussion of circumstances under which Nationwide Permit 26 is applicable). All subsequent references to Nationwide or General permits pertain to Nationwide Permit 26.

Report↗

Extended abstracts from the Coastal Habitats in Puget Sound (CHIPS) 2006 Workshop

Puget Sound is the second largest estuary in the United States. Its unique geology, climate, and nutrient-rich waters produce and sustain biologically productive coastal habitats. These same natural characteristics also contribute to a high quality of life that has led to a significant growth in human population and associated development. This population growth, and the accompanying rural and urban development, has played a role in degrading Puget Sound ecosystems, including declines in fish and wildlife populations, water-quality issues, and loss and degradation of coastal habitats. In response to these ecosystem declines and the potential for strategic large-scale preservation and restoration, a coalition of local, State, and Federal agencies, including the private sector, Tribes, and local universities, initiated the Puget Sound Nearshore Ecosystem Restoration Project (PSNERP). The Nearshore Science Team (NST) of PSNERP, along with the U.S. Geological Survey, developed a Science Strategy and Research Plan (Gelfenbaum and others, 2006) to help guide science activities associated with nearshore ecosystem restoration. Implementation of the Research Plan includes a call for State and Federal agencies to direct scientific studies to support PSNERP information needs. In addition, the overall Science Strategy promotes greater communication with decision makers and dissemination of scientific results to the broader scientific community. On November 14–16, 2006, the U.S. Geological Survey sponsored an interdisciplinary Coastal Habitats in Puget Sound (CHIPS) Research Workshop at Fort Worden State Park, Port Townsend, Washington. The main goals of the workshop were to coordinate, integrate, and link research on the nearshore of Puget Sound. Presented research focused on three themes: (1) restoration of large river deltas; (2) recovery of the nearshore ecosystem of the Elwha River; and (3) effects of urbanization on nearshore ecosystems. The more than 35 presentations covered a wide range of ongoing inter-disciplinary research, including studies of sediment geochemistry of aquatic environments, sediment budgets, tracking fish pathways, expansion of invasive forams, beach and nearshore sedimentary environments, using influence diagrams as a decision support tool, forage fish, submarine groundwater, and much, much more. The primary focus within these themes was on developing information on the physical, chemical, and biological processes, as well as the human dimensions, associated with the restoration or rehabilitation of the nearshore environment. The workshop was an excellent opportunity for USGS scientists and collaborators who are working on Puget Sound coastal habitats to present their preliminary findings, discuss upcoming research, and to identify opportunities for interdisciplinary collaboration. A compilation of extended abstracts from workshop participants, this proceedings volume serves as a useful reference for attendees of the workshop and for those unable to attend. Taken together, the abstracts in this report provide a view of the current status of USGS multidisciplinary research on Puget Sound coastal habitats.

Open-File Report↗

Seasonal and spatial distribution patterns of finfish and selected invertebrates in coastal lagoons of northeastern Florida, 2002-2004

The U.S. Geological Survey conducted a survey of juvenile fisheries resources, in cooperation with the St. Johns River Water Management District and Volusia County, to establish baseline data on spatial and temporal distribution patterns of estuarine fish. The survey was conducted from November 2001 to March 2005 and the baseline data established for the survey in the Northern Coastal Basins were collected from January 2002 to December 2004. The study area included the bar-built estuaries ranging from just north of St. Augustine, Florida, south to Ponce de Leon Inlet. Sampling protocols developed by the Florida Fish and Wildlife Research Institute for their statewide Fisheries Independent Monitoring (FIM) program were replicated to allow for comparability with FIM program results. Samples were collected monthly from randomly selected stations based on a geographically stratified design. Finfish and selected invertebrates were collected using a 21.3-meter center-bag seine with a 3-millimeter mesh, and a 6.1-meter otter trawl with a 3-millimeter mesh liner. Total estimated fish and selected invertebrate densities were similar to estimates from FIM projects in adjacent areas and were characterized by similar dominant species. Preliminary analysis indicates that observed species distribution patterns were mainly a function of proximity to the three inlets within the study area. The two regions encompassing the northern Tolomato River and the Tomoka River and Basin are farthest from inlets and appear to function as oligohaline nursery areas. Those two areas had the greatest estimated densities of shellfish and juvenile sciaenid (drum) species associated with oligohaline waters (for example, Micropogonias undulatus, Sciaenops ocellatus and Cynoscion nebulosus). Samples near inlets, and between the two northern inlets, had greater estimated densities of species limited to euhaline waters, including juvenile clupeids collected at relatively high abundance and species of marine strays collected in low abundance. Based on correspondence analysis, seasonal variation dominated the ordination of seine samples and spatial variation dominated the ordination of trawl samples; this was due to differences in the number and timing of taxa found near inlets versus oligohaline regions. The absence of seagrass habitat in the Northern Coastal Basins is reflected by the absence of a seagrass-fish assemblage.

Scientific Investigations Report↗

Informing future condition scenario planning for habitat specialists of the imperiled pine rockland ecosystem of South Florida

This project evaluated habitat conditions for two species found in the imperiled pine rockland ecosystem—the Rim Rock Crowned Snake ( Tantilla oolitica ) and the Key Ring-Necked Snake ( Diadophis punctatus acricus ). The Rim Rock Crowned Snake historically occurred in eastern Miami-Dade County (hereafter, mainland) as well as throughout the Florida Keys, whereas the Key Ring-Necked Snake occurs only in lower Florida Keys (Enge et al. 2004; Mays and Enge 2016). Both species are very elusive, small (< 20 cm in length) and primarily fossorial. Pine rockland habitat is rapidly disappearing in South Florida, with < 3 percent of its original extent remaining. Saltwater intrusion from hurricanes and sea-level rise (SLR), and human development pose the greatest threats to the longevity of this ecosystem which, in turn, places species that are endemic to this unique habitat at risk of extinction. The Rim Rock Crowned Snake and the Key Ringed-Necked Snake are being considered for listing by the U.S. Fish and Wildlife Service (USFWS). To aid the agency’s decision, it must be able to forecast species’ responses to potential future environmental conditions, as well as to different conservation and management actions. Yet, the information needed to complete these forecasts—such as population trends, life history traits, habitat use, and future land use and climate conditions—is often lacking for most rare species. This is especially problematic for assessments of species resiliency to changes in climate and land use. When these types of data are lacking, information on habitat quality can be used to help determine how a species will respond to change. First, this project gathered current and historical records for both species from various sources such as museum specimens, inventories, and other personal account. Then, we identified potential future changes in habitat that could result from different management actions, such as habitat acquisition or restoration, and environmental conditions, such as changes in the frequency and intensity of tropical storms and rates of SLR. Researchers then explored the potential impacts of these habitat condition changes on the Rim Rock Crowned Snake and Key Ring-Necked Snake. This information can be used by the USFWS to help make decisions about the need to protect these species under the Endangered Species Act and could inform the conservation, management, and recovery of other at-risk species found in the pine rockland ecosystem. This work supports the Secretary of Interior’s priority to create a conservation stewardship legacy by using science to identify best practices to manage land and water resource and adapt to changes in the environment.

Florida↗

Secretion of anti-Müllerian hormone in the Florida manatee Trichechus manatus latirostris , with implications for assessing conservation status

Environmental and anthropogenic stressors can affect wildlife populations in a number of ways. For marine mammals (e.g. the Florida manatee Trichechus manatus latirostris ), certain stressors or conservation risk factors have been identified, but sublethal effects have been very difficult to assess using traditional methods. The development of 'biomarkers' allows us to correlate effects, such as impaired reproduction, with possible causes. A recently developed biomarker (anti-Müllerian hormone, AMH) provides an enzyme-linked immunosorbent assay of gonadal function. The study objective was to determine AMH levels in wild manatees. In total, 28 male and 17 female manatee serum samples were assayed. Animal demographics included collection date, body weight (kg) and total length (cm). In certain cases, age of individuals was also known. AMH levels ranged from 160 to 2451.85 ng ml -1 (mean = 844.65 ng ml -1 ) in males and 0.00 to 0.38 ng ml -1 (mean = 0.10 ng ml-1) in females. Linear regression analyses revealed a significant relationship between male AMH levels and body weight (R 2 = 0.452; p < 0.001) and length (R 2 = 0.338; p < 0.001). Due to the small sample size, regression analyses for female AMH and body weight and length were not significant. This represents the first report of AMH detection in a marine mammal. AMH levels in male manatees are the highest of any species observed to date, whereas levels in females are within reported ranges. Further studies will promote improved conservation decision by assessing AMH levels in the manatee as a function of various stressors including, but not limited to, nutritional status, serious injuries (e.g. watercraft collisions), exposure to biotoxins or contaminants, or disease.

Florida↗

Assessment of bias in US waterfowl harvest estimates

Context. North American waterfowl managers have long suspected that waterfowl harvest estimates derived from national harvest surveys in the USA are biased high. Survey bias can be evaluated by comparing survey results with like estimates from independent sources. Aims. We used band-recovery data to assess the magnitude of apparent bias in duck and goose harvest estimates, using mallards (Anas platyrhynchos) and Canada geese (Branta canadensis) as representatives of ducks and geese, respectively. Methods. We compared the number of reported mallard and Canada goose band recoveries, adjusted for band reporting rates, with the estimated harvests of banded mallards and Canada geese from the national harvest surveys. Weused the results of those comparisons to develop correction factors that can be applied to annual duck and goose harvest estimates of the national harvest survey. Key results. National harvest survey estimates of banded mallards harvested annually averaged 1.37 times greater than those calculated from band-recovery data, whereas Canada goose harvest estimates averaged 1.50 or 1.63 times greater than comparable band-recovery estimates, depending on the harvest survey methodology used. Conclusions. Duck harvest estimates produced by the national harvest survey from 1971 to 2010 should be reduced by a factor of 0.73 (95% CI = 0.71&ndash;0.75) to correct for apparent bias. Survey-specific correction factors of 0.67 (95% CI = 0.65&ndash;0.69) and 0.61 (95% CI = 0.59&ndash;0.64) should be applied to the goose harvest estimates for 1971&ndash;2001 (duck stamp-based survey) and 1999&ndash;2010 (HIP-based survey), respectively. Implications. Although this apparent bias likely has not influenced waterfowl harvest management policy in the USA, it does have negative impacts on some applications of harvest estimates, such as indirect estimation of population size. For those types of analyses, we recommend applying the appropriate correction factor to harvest estimates.

Wildlife Research↗

Mississippi’s resiliency and changing environmental conditions

Mississippi is experiencing shifts in environmental conditions, many of which are expected to intensify in the coming decades, and will have important implications for ecosystems, species, and natural resource management across the state. Historical climate analyses and downscaled projections summarized for the state’s Environmental Protection Agency (EPA) level III Ecoregions show that Mississippi will likely face increases in extremely hot days, more intense heatwaves, greater evapotranspiration, and reductions in cold-season extremes. Temperature trends indicate that while Mississippi has warmed relatively little over the last century, recent years have been among the warmest on record. Projections suggest substantial increases in the number of days with maximum temperatures at or above 95°F across all Ecoregions, particularly under higher warming scenarios. Correspondingly, the number of freezing nights is expected to decline, with statewide decreases of 7–21 days depending on the global warming level and timeframe. These combined patterns are likely to reshape habitat conditions, influence species’ thermal stress, and alter ecological processes such as soil moisture retention and stream temperature regimes. Mississippi’s hydrological systems are also expected to be significantly affected. Extreme rainfall events, particularly the most intense 1% of precipitation days, are projected to increase across the state, raising risks of flooding, erosion, and altered stream flow. Coastal Mississippi faces additional stress from sea‑level rise, which is already contributing to more frequent high‑tide flooding; projections show continued increases in inundation risk throughout the century. These flooding patterns, combined with stronger hurricane rainfall rates and the potential for landfalling storms to stall, pose ongoing threats to coastal ecosystems and communities. The state is also vulnerable to extreme weather hazards such as tornadoes. Recent research shows a geographic shift in tornado activity toward the Southeast, with Mississippi experiencing some of the nation’s greatest increases in favorable tornado days and nighttime tornado frequency—hazards that have direct implications for wildlife, habitat stability, and human safety. Drought conditions may intensify as well: higher temperatures and increased evapotranspiration during dry spells could worsen water stress regardless of uncertainty in average annual precipitation. These changing environmental conditions have important consequences for Mississippi’s Species of Greatest Conservation Need (SGCN). Vulnerability assessments and ecological niche models indicate that several fish, mussel, crayfish, plant, amphibian, bird, and mammal species may face heightened stress due to warming temperatures, shifting hydrology, habitat loss, and increases in extreme events. For example, many cold‑water and moisture‑dependent species in the state’s rivers and wetlands are already near their thermal limits, and further warming could reduce suitable habitat. Birds breeding in bottomland hardwood forests, such as the Prothonotary Warbler, are increasingly susceptible to nest loss from flooding. Similarly, species like the Louisiana Black Bear may encounter higher risks from habitat inundation and shifting food availability. The “A Closer Look” section underscores the vulnerability of the Mississippi Alluvial Plain—one of the state’s most ecologically rich yet heavily altered Ecoregions. Its bottomland hardwood forests, wetlands, and floodplain habitats support diverse wildlife but are increasingly threatened by rising temperatures, hydrological changes, development pressures, and compounded disturbances. These habitats provide critical ecosystem services such as water filtration, flood attenuation, and biodiversity support, making their conservation particularly urgent under future conditions. Collectively, these findings indicate that Mississippi’s ongoing and projected environmental changes present both challenges and opportunities for natural resource management. Incorporating adaptation strategies into the State Wildlife Action Plan will be essential for sustaining habitats, mitigating risks, and supporting the long‑term resilience of Mississippi’s wildlife and ecosystems.

Mississippi↗

Acidic Depositions: Effects on Wildlife and Habitats

The phenomenon of 'acid rain' is not new; it was recognized in the mid-1800s in industrialized Europe. In the 1960s a synthesis of information about acidification began in Europe, along with predictions of ecological effects. In the U.S. studies of acidification began in the 1920s. By the late 1970s research efforts in the U.S. and Canada were better coordinated and in 1980 a 10-year research program was undertaken through the National Acid Precipitation Assessment Plan (NAPAP) to determine the causes and consequences of acidic depositions. Much of the bedrock in the northeastern U.S. and Canada contains total alkalinity of <200 ?eq 1-1, thus, it lacks acid-neutralizing capacity. In the U.S. about 5% of the land area and in Canada about 43 % of the land area is sensitive to acidic depositions. Further, these areas receive >20 kg/ha/yr of wet sulphate depositions and are vulnerable to acidifying processes. Acidic depositions contribute directly to acidifying processes of soil and soil water. Soils must have sufficient acid-neutralizing capacity or acidity of soil will increase. Natural soil-forming processes that lead to acidification can be accelerated by acidic depositions. Long-term effects of acidification are predicted, which will reduce soil productivity mainly through reduced availability of nutrients and mobilization of toxic metals. Severe effects may lead to major alteration of soil chemistry, soil biota, and even loss of vegetation. Several species of earthworms and several other taxa of soil-inhabiting invertebrates, which are important food of many vertebrate wildlife species, are affected by low pH in soil. Loss of canopy in declining sugar maples results in loss of insects fed on by certain neotropical migrant bird species. No definitive studies categorically link atmospheric acidic depositions with direct or indirect effects on wild mammals. Researchers have concentrated on vegetative and aquatic effects. Circumstantial evidence suggests that effects are probable for certain species of aquatic-dependent mammals (water shrew, mink, and otter) and that these species are at risk from the loss of foods or contamination of these foods by metals, especially methylmercury. Continued acidification of terrestrial habitats, to the extent that earthworm populations are broadly reduced, might expose some fossorial mammalian species to risk because of decline in their major prey species. Acidic deposition affects primarily aquatic habitats of avian species by disrupting food webs (ecological effects) and increasing amounts of available heavy metals (mercury, aluminum, cadmium) in prey of avian species (toxicological effects). The ecological effects of acidifying wetlands are to reduce acid-intolerant prey (invertebrates) and to change prey quality from high-calcium bearing prey to low-calcium bearing prey. The toxicological effects are to increase contamination by heavy metals, especially methylated mercury, in foods of breeding waterbirds. The combination of these 2 types of effects results in potentially lower survival of adults and reduced production, growth, or survival of young of many bird species. Effects of acidification on herpteofauna and their habitats are mainly reproductive failure of susceptible species and reduced or metal-contaminated foods for both amphibians and reptiles.

Wildlife Society Technical Review↗

Integrated science for the study of microplastics in the environment—A strategic science vision for the U.S. Geological Survey

Executive Summary Evidence of the widespread occurrence of microplastics throughout our environment and exposure to humans and other organisms over the past decade has led to questions about the possibility of health hazards and mitigation of exposures. This document discusses nanoplastics as well as microplastics (referred to solely as microplastics); the microplastics have a range from 1 micrometer to 5 millimeters (1 μm–5 mm) in length, whereas the nanoplastics are less than 1 μm in length (sidebar ES1). A myriad of environmental exposure pathways with microplastics to humans and wildlife, including ingestion, inhalation, and bodily absorption, are likely to exist. A growing body of evidence has documented bioaccumulation of microplastics in tissues and organs of humans and wildlife, benthic community effects, and potential nutritional and reproductive effects in some wildlife species. Understanding if or when environmental exposures pose a health risk is complicated by the diversity of microplastic sizes, morphologies, polymer types, and chemicals added during manufacturing or sorbed from the environment; ongoing challenges in analytical methods used to detect, quantify, and characterize microplastics and associated chemicals in our ecosystems; and the fact that ecotoxicological studies regarding microplastics are still in their infancy. Therefore, the study of environmental exposures and potential related health hazards of microplastics to the public and wildlife is a One Health (sidebar ES2) research topic that necessitates integrated science approaches. A better understanding of the sources, pathways, fate, and biological effects of microplastics has become a priority of the Federal Government, State governments, Tribes, stakeholders, and the public. Examples of Federal and State microplasticfocused legislation and programs to prioritize microplastic research and reduction include the Federal Microbead-Free Waters Act of 2015, California Senate Bills 1422 and 1263 (2018), the U.S. Environmental Protection Agency (EPA) Trash Free Waters Program, the National Institute of Standards and Technology’s Microplastic and Nanoplastic Metrology project, and Minnesota’s microplastic project. With its unique expertise and capabilities, the U.S. Geological Survey (USGS) is well positioned to help fill some of the most important microplastic science gaps. This strategic science vision document for microplastics identifies current (2023) microplastic science gaps and prioritizes research relevant to the mission, expertise, and capabilities of the USGS. It is intended for USGS scientists and stakeholders to use as a starting point for planning, prioritizing, and designing collaborative environmental microplastic science. Many of the microplastic science gaps and priorities are scalable, from local to national, and thus, can be made commensurate with available funding and evolving analytical and field tools, laboratory capacity, and stakeholder needs. Current (2023) or future research by academia and other Federal or State agencies, and Tribes may be aimed at some of the same microplastic science gaps identified in this document. Therefore, this document can be used as an information resource to maximize strengths and capabilities and minimize redundancy in communication and collaboration.

Circular↗

Ecology of Greater Sage-Grouse in the Bi-State Planning Area Final Report, September 2007

Conservation efforts for greater sage-grouse (Centrocercus urophasianus), hereafter sage-grouse, are underway across the range of this species. Over 70 local working groups have been established and are implementing on-the-ground sage-grouse oriented conservation projects. Early on in this process, the California Department of Fish and Game (CDFG) recognized the need to join in these efforts and received funding from the U.S. Fish and Wildlife Service (USFWS) under the Candidate Species Conservation Program to help develop a species conservation plan for sage-grouse in the Mono County area. This conservation plan covers portions of Alpine, Mono, and Inyo counties in California and Douglas, Esmeralda, Lyon, and Mineral counties in Nevada. A concurrent effort underway through the Nevada Governor's Sage-grouse Conservation Team established Local Area Working Groups across Nevada and eastern California. The Mono County populations of sage-grouse were encompassed by the Bi-State Local Planning Area, which was comprised of six population management units (PMUs). The state agencies from California (CDFG) and Nevada (Nevada Department of Wildlife; NDOW) responsible for the management of sage-grouse agreed to utilize the process that had begun with the Nevada Governor's Team in order to develop local plans for conservation planning and implementation. Resources from the USFWS were applied to several objectives in support of the development of the Bi-State Local Area Sage-grouse Conservation Plan through a grant to the U.S. Geological Survey (USGS). Objectives included: (1) participate in the development of the Bi-State Conservation Plan, (2) compile and synthesize existing sage-grouse data, (3) document seasonal movements of sage-grouse, (4) identify habitats critical to sage-grouse, (5) determine survival rates and identify causal factors of mortality, (6) determine nest success and brood success of sage-grouse, and (7) identify sage-grouse lek sites. Progress reports completed in 2004 and 2005 addressed each of the specific objectives and this final report focuses on the biological information gathered in support of local conservation efforts. Participation in the development of the Bi-State Local Area Conservation Plan was accomplished on multiple scales. Beginning in the fall of 2002, USGS personnel began participating in meetings of local stakeholders involved in the development of a sage-grouse conservation plan for the Bi-State planning area. This included attendance at numerous local PMU group meetings and field trips as well as participating on the technical advisory committee (TAC) for the Bi-State group. Whenever appropriate, ongoing results and findings regarding sage-grouse ecology in the local area were incorporated into these working group meetings. In addition, the USGS partnered with CDFG to help reorganize one of the local PMU groups (South Mono) and edited that portion of the Bi-State plan. The USGS also worked closely with CDFG to draft a description of the state of knowledge for sage-grouse genetic information for inclusion in the Bi-State Conservation Plan. The first edition of the Bi-State Conservation Plan for Greater Sage-Grouse was completed in June 2004 (Bi-State Sage-grouse Conservation Team 2004). This report is organized primarily by PMU to facilitate the incorporation of these research findings into the individual PMU plans that compose the Bi-State plan. Information presented in this report was derived from over 7,000 radio-telemetry locations obtained on 145 individual sage-grouse during a three year period (2003-2005). In addition, we collected detailed vegetation measurements at over 590 habitat sampling plots within the study area including canopy cover, shrubs, forbs, and grasses diversity. Vegetation data collection focused on sage-grouse nests, and brood-use areas. Additionally we collected data at random sites to examine sage-grouse habitat relationships within the study area. The majori

Open-File Report↗

Linking monitoring and data analysis to predictions and decisions for the range-wide eastern black rail status assessment

The US Fish and Wildlife Service has initiated a re-envisioned approach for providing decision makers with the best available science and synthesis of that information, called the Species Status Assessment (SSA), for endangered species decision making. The SSA report is a descriptive document that provides decision makers with an assessment of a species’ current status and predicted future status. These analyses support all manner of decisions under the US Endangered Species Act, such as listing, reclassification, recovery planning, etc. Novel scientific analysis and predictive modeling in SSAs could be an important part of rooting species conservation decisions in current data and cutting edge analytical and modeling techniques. Here we describe a novel analysis of available data to assess current condition of eastern black rail across its range in a dynamic occupancy analysis. We used the results of the analysis to develop a site occupancy projection model where the model parameters (initial occupancy, site persistence, colonization) were linked to environmental covariates, such as land management and land cover change (sea-level rise, development, etc.). We used the projection model to predict future conditions under multiple sea-level rise and habitat management scenarios. Occupancy probability and site colonization were low in all analysis units and site persistence was also low, suggesting low resiliency and redundancy currently. Extinction probability was high for all analysis units in all simulated scenarios except one with significant effort to preserve existing habitat, suggesting low future resiliency and redundancy. With results of these data analyses and predictive modeling, the US Fish and Wildlife Service concluded that protections of the Endangered Species Act were warranted for this subspecies.

Endangered Species Research↗

Impact of harvest on survival of a heavily hunted game bird population

Context . Despite their economic importance and intensive management, many game bird species, including the northern bobwhite Colinus virginianus , are in decline. Declines may be explained, at least in part, by low survival due perhaps to poor habitat quality, high predation or excessive hunting pressure. Aims . This study sought to estimate and model annual/seasonal survival probabilities, to evaluate factors influencing them and to determine the cause-specific mortality rates for northern bobwhites subject to varying levels of harvest on the Babcock–Webb Wildlife Management Area (BW area), south Florida, USA. Methods . We applied Cox’s proportional hazard models to data collected from 2066 radio-tagged bobwhites during 2002–2008 to test for intrinsic and extrinsic factors affecting survival and the non-parametric cumulative incidence function estimator to estimate cause-specific mortality rates. Key results . Mean annual survival (0.091 ± 0.006) in the BW area was lower than most estimates reported for other bobwhite populations. Annual survival differed between adults (0.111 ± 0.008) and juveniles (0.052 ± 0.008), and varied among years. Survival in winter (October–March; 0.295 ± 0.014) was similar to that in summer (April–September; 0.307 ± 0.013). Density of food strips (i.e. long and narrow food plots) did not influence survival, but hunting effort (number of hunters per day per km 2 ) had a substantial negative impact on survival. In the lightly hunted field trial zone, winter (October–March) survival was significantly higher (0.414 ± 0.035) than in the other more heavily hunted management zones (0.319 ± 0.016). Cause-specific mortality analyses revealed that bobwhite mortality during summer (April–September) was mainly due to raptor (39.7%) and mammalian predation (35.6%), whereas hunting was the primary cause of mortality during winter (47.1%). Conclusions . Our results highlight the potential role of harvest as an important cause of the northern bobwhite population declines in south Florida. High mortality during winter may reduce recruitment of juveniles to the reproductive segment of the population, and ultimately the population growth. Implications . Our results suggest that reduction in hunting pressure may be necessary to reverse the declining population trends in heavily hunted game species in public lands, such as the northern bobwhites in the BW area.

Florida↗

The 3D Elevation Program: summary for Puerto Rico

Elevation data are essential to a broad range of applications, including forest resources management, wildlife and habitat management, scientific research, national security, recreation, and many others. For the Commonwealth of Puerto Rico, elevation data are critical for flood risk management, landslide mitigation, natural resources conservation, sea level rise and subsidence, coastal zone management, infrastructure and construction management, and other business uses. Today, high-density light detection and ranging (lidar) data are the primary sources for deriving elevation models and other datasets. Federal, State, Tribal, U.S. territorial, and local agencies work in partnership to (1) replace data that are older and of lower quality and (2) provide coverage where publicly accessible data do not exist. A joint goal of State and Federal partners is to acquire consistent, statewide coverage to support existing and emerging applications enabled by lidar data. The National Enhanced Elevation Assessment evaluated multiple elevation data acquisition options to determine the optimal data quality and data replacement cycle relative to cost to meet the identified requirements of the user community. The evaluation demonstrated that lidar acquisition at quality level 2 for the conterminous United States, Hawaii, and selected U.S. territories, and quality level 5 interferometric synthetic aperture radar (IfSAR) data for Alaska, all with a 6- to 10-year acquisition cycle, provided the highest benefit/cost ratios. The 3D Elevation Program (3DEP) initiative selected an 8-year acquisition cycle for the respective quality levels. 3DEP, managed by the U.S. Geological Survey (USGS), the Office of Management and Budget Circular A‒16 lead agency for terrestrial elevation data, responds to the growing need for high-quality topographic data and a wide range of other three-dimensional (3D) representations of the Nation’s natural and constructed features.

Puerto Rico↗

Societal benefits of cyanobacteria harmful algal bloom management in Lake Okeechobee in Florida—Potential damages avoided during the 2018 event under U.S. Army Corps of Engineers Harmful Algal Bloom Interception, Treatment, and Transformation System scenarios

Freshwater harmful algal blooms (HABs) formed by blue-green algae, or cyanobacteria, have emerged as a global environmental problem. Their negative impacts on aquatic ecosystems can affect the benefits nature provides to human society by reducing water quality; inhibiting aquatic recreation; killing fish, wildlife, and pets; and posing a risk to human health. To manage harmful algal blooms, the Engineer Research and Development Center of the U.S. Army Corps of Engineers is developing an advanced technology called the Harmful Algal Bloom Interception, Treatment, and Transformation System (HABITATS), which has been tested in pilot demonstrations upstream of spillways at HAB-affected waterbodies in Florida. The U.S. Geological Survey and cooperators from the U.S. Department of the Interior Office of Policy Analysis investigated the societal benefits of HABITATS technology by using data from an actual 2018 harmful algal bloom in Lake Okeechobee to characterize the observed societal impacts and then comparing observed effects to hypothetical scenarios of HABITATS deployment. This study estimated an economic value of $5.5 million in foregone recreation as a result of closed boating ramp facilities and other restrictions on aquatic recreation such as fishing and swimming during the 2018 cyanobacteria harmful algal bloom outbreak. The change in housing sales prices that could have resulted from murky water or bad odor during that outbreak was estimated as $2.3 million. The team also investigated drinking water contamination and human illness but did not find significant societal impacts in this case. If HABITATS had been deployed, the avoided losses less the cost of management could have provided net societal benefits that ranged between negative $2.1 million and positive $0.8 million, depending on the vertical distribution of algae in the water column and the HABITATS version used. The study’s estimated societal benefit is undoubtedly a lower bound estimate because current scientific knowledge is inadequate to characterize, or monetize, all the impacts.

Florida↗

Attributes of Upper Mississippi River System contiguous forest areas

Floodplain forests are important features of river systems as they create habitat for a variety of wildlife species as well as influence water quality by sequestering nutrients. The ecological conditions found within forested areas can vary greatly from place to place, contributing to spatial variability in species diversity, animal use of the floodplain, and other ecological functions. For this reason, it is important for managers and researchers to identify and map existing forest conditions for use in restoration practices or research studies. A number of forest attributes have been identified as useful in predicting the local ecological conditions found within forested areas. For example, attributes related to the size, shape and configuration of forest patches have been linked to susceptibility to invasion by exotic species, animal and plant dispersal patterns, population distributions, and species diversity (Zuidema and others, 1996; Laurance and others, 2001; Weathers and others, 2001; Lindenmayer and Franklin 2002; Harper and others, 2005; Ramaharitra 2006). In floodplain forests, patterns of inundation have been shown to influence local soil conditions as well as plant species composition and diversity (De Jager and others, 2012). Knowing the land-use history of forest areas has also been shown to be important in understanding present day ecological conditions of forested areas (Turner and others, 2004). To support floodplain forest research and management actions on the Upper Mississippi River System (UMRS), we identified contiguous forested areas (i.e., areas of forest cover that were separated from each other by other land or water cover types) in the floodplain and calculated a wide range of attributes that define basic ecosystem conditions within such forested areas. The data allows users to query on a set of attributes (e.g., size, shape, inundation characteristics, etc.) to visualize the distribution of various ecological conditions. In addition, the data allows for future data analyses of relationships among different ecological conditions and other data, such as animal and plant population distributions.

Upper Mississippi River system↗

Effects of hydrology on red mangrove recruits

Coastal wetlands along the Gulf of Mexico have been experiencing significant shifts in hydrology and salinity levels over the past century as a result of changes in sea level and freshwater drainage patterns. Local land management in coastal zones has also impacted the hydrologic regimes of salt marshes and mangrove areas. Parks and refuges in south Florida that contain mangrove forests have, in some cases, been ditched or impounded to control mosquito outbreaks and to foster wildlife use. And while mangroves dominate the subtropical coastlines of Florida and thrive in saltwater environments, little is known about how they respond to changes in hydrology under managed or variable tidal conditions. USGS researchers designed a study to evaluate the basic hydrological requirements of mangroves so that their health and survival may be more effectively managed in controlled impoundments and restored wetlands. Mangroves are commonly found in the intertidal zone (between low and high tides) in a rather broad spectrum of hydrologic settings. Because they thrive at the interface of land and sea, mangroves are subject to changes in freshwater flow (flow rate, nutrients, pollutants) and to marine influences (sea-level rise, salinity). Salinity has long been recognized as a controlling factor that determines the health and distribution of mangrove forests. Field and experimental observations indicate that most mangrove species achieve their highest growth potential under brackish conditions (modest salinity) between 10 and 20 parts per thousand (ppt). Yet, if provided with available propagules, successful regeneration, and limited competition from other plants, then mangroves can survive and thrive in freshwater systems as well. Because little is known about the growthand survival patterns of mangrove species relative to changing hydrology, USGS scientists conducted greenhouse and field experiments to determine how flooded or drained patterns of hydrology would influence growth of the red mangrove, Rhizophora mangle (fig. 1). Red mangrove propagules (recruits) of select sizes and genotypes (i.e., genetically similar groups) were planted both in greenhouses and in the field. Seedling growth was monitored in both studies on a quarterly basis for over a year; measurements included shoot growth, seedling height, and a final harvest of plant biomass.

Fact Sheet↗