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Detection and characterization of coastal tidal wetland change in the northeastern US using Landsat time series

Coastal tidal wetlands are highly altered ecosystems exposed to substantial risk due to widespread and frequent land-use change coupled with sea-level rise, leading to disrupted hydrologic and ecologic functions and ultimately, significant reduction in climate resiliency. Knowing where and when the changes have occurred, and the nature of those changes, is important for coastal communities and natural resource management . Large-scale mapping of coastal tidal wetland changes is extremely difficult due to their inherent dynamic nature. To bridge this gap, we developed an automated algorithm for DEtection and Characterization of cOastal tiDal wEtlands change (DECODE) using dense Landsat time series. DECODE consists of three elements, including spectral break detection, land cover classification and change characterization. DECODE assembles all available Landsat observations and introduces a water level regressor for each pixel to flag the spectral breaks and estimate harmonic time-series models for the divided temporal segments. Each temporal segment is classified (e.g., vegetated wetlands, open water, and others – including unvegetated areas and uplands) based on the phenological characteristics and the synthetic surface reflectance values calculated from the harmonic model coefficients, as well as a generic rule-based classification system. This harmonic model-based approach has the advantage of not needing the acquisition of satellite images at optimal conditions (i.e., low tide status) to avoid underestimating coastal vegetation caused by the tidal fluctuation. At the same time, DECODE can also characterize different kinds of changes including land cover change and condition change (i.e., land cover modification without conversion). We used DECODE to track status of coastal tidal wetlands in the northeastern United States from 1986 to 2020. The overall accuracy of land cover classification and change detection is approximately 95.8% and 99.8%, respectively. The vegetated wetlands and open water were mapped with user's accuracy of 94.6% and 99.0%, and producer's accuracy of 98.1% and 93.5%, respectively. The cover change and condition change were mapped with user's accuracy of 68.0% and 80.0%, and producer's accuracy of 80.5% and 97.1%, respectively. Approximately 3283 km 2 of the coastal landscape within our study area in the northeastern United States changed at least once (12% of the study area), and condition changes were the dominant change type (84.3%). Vegetated coastal tidal wetland decreased consistently (~2.6 km 2 per year) in the past 35 years, largely due to conversion to open water in the context of sea-level rise.

Remote Sensing of Environment

Decision making for mitigating wildlife diseases: From theory to practice for an emerging fungal pathogen of amphibians

Conservation science can be most effective in its decision‐support role when seeking answers to clearly formulated questions of direct management relevance. Emerging wildlife diseases, a driver of global biodiversity loss, illustrate the challenges of performing this role: in spite of considerable research, successful disease mitigation is uncommon. Decision analysis is increasingly advocated to guide mitigation planning, but its application remains rare. Using an integral projection model, we explored potential mitigation actions for avoiding population declines and the ongoing spatial spread of the fungus Batrachochytrium salamandrivorans ( Bsal ). This fungus has recently caused severe amphibian declines in north‐western Europe and currently threatens Palearctic salamander diversity. Available evidence suggests that a Bsal outbreak in a fire salamander ( Salamandra salamandra ) population will lead to its rapid extirpation. Treatments such as antifungals or probiotics would need to effectively interrupt transmission (reduce probability of infection by nearly 90%) in order to reduce the risk of host extirpation and successfully eradicate the pathogen. Improving the survival of infected hosts is most likely to be detrimental as it increases the potential for pathogen transmission and spread. Active removal of a large proportion of the host population has some potential to locally eradicate Bsal and interrupt its spread, depending on the presence of Bsal reservoirs and on the host's spatial dynamics, which should therefore represent research priorities. Synthesis and applications . Mitigation of Batrachochytrium salamandrivorans epidemics in susceptible host species is highly challenging, requiring effective interruption of transmission and radical removal of host individuals. More generally, our study illustrates the advantages of framing conservation science directly in the management decision context, rather than adapting to it a posteriori .

Journal of Applied Ecology

Behavioral trade-offs and multitasking by elk in relation to predation risk from Mexican gray wolves

Predator non-consumptive effects (NCE) can alter prey foraging time and habitat use, potentially reducing fitness. Prey can mitigate NCEs by increasing vigilance, chewing-vigilance synchronization, and spatiotemporal avoidance of predators. We quantified the relationship between Mexican wolf ( Canis lupus baileyi ) predation risk and elk ( Cervus canadensis ) behavior. We conducted behavioral observations on adult female elk and developed predation risk indices using GPS collar data from Mexican wolves, locations of elk killed by wolves, and landscape covariates. We compared a priori models to determine the best predictors of adult female behavior and multitasking. Metrics that quantified both spatial and temporal predation risk were the most predictive. Vigilance was positively associated with increased predation risk. The effect of predation risk on foraging and resting differed across diurnal periods. During midday when wolf activity was lower, the probability of foraging increased while resting decreased in high-risk areas. During crepuscular periods when elk and wolves were most active, increased predation risk was associated with increased vigilance and slight decreases in foraging. Our results suggest elk are temporally avoiding predation risk from Mexican wolves by trading resting for foraging, a trade-off often not evaluated in behavioral studies. Probability of multitasking depended on canopy openness and an interaction between maternal period and predation risk; multitasking decreased prior to parturition and increased post parturition in high-risk areas. Openness was inversely related to multitasking. These results suggest adult female elk are altering the type of vigilance used depending on resource availability/quality, current energetic needs, and predation risk. Our results highlight potentially important, but often-excluded behaviors and trade-offs prey species may use to reduce the indirect effects of predation and contribute additional context to our understanding of predator–prey dynamics.

Ecology and Evolution

A Regional Approach to Wildlife Monitoring Related to Energy Exploration and Development in Colorado

The U.S. Bureau of Land Management (BLM) is currently developing a National Monitoring Strategy that will guide efforts to create an efficient and effective process for monitoring land health by BLM. To inform the ongoing development of the national strategy, BLM selected two States (Colorado, Alaska) to serve as focal areas on which to base a flexible framework for developing monitoring programs that evaluate wildlife responses to energy development. We developed a three-phase monitoring plan to serve as a template and applied it to the design of a monitoring program for the Colorado focal area (White River and Glenwood Springs Field Offices of the BLM). Phase I is a synthesis and assessment of current conditions that capitalizes on existing but under used data sources. A key component is the use of existing habitat and landscape models to evaluate the cumulative effects of surface disturbance. Phase II is the data collection process that uses information provided in Phase I to refine management objectives and provide a linkage to management decisions. The linkage is established through targeted monitoring, adaptive management, and research. Phase III establishes priorities and strategies for regional and national monitoring, and facilitates coordination among other land management agencies and organizations. The three phases are designed to be flexible and complementary. The monitoring plan guides an iterative process that is performed incrementally, beginning with the highest-priority species and management issues, while building on lessons learned and coordination among administrative levels. The activities associated with each phase can be repeated or updated as new information, data, or tools become available. This allows the development of a monitoring program that expands gradually and allows for rapid implementation. A demonstration application of the three-phase monitoring plan was conducted for a study area encompassing five BLM field offices in Colorado: White River, Glenwood Springs, Kremmling, Grand Junction, and Little Snake. The overall study area was selected to encompass the primary distribution of sagebrush and greater sage-grouse (Centrocercus urophasianus) in Colorado and to provide a larger context for evaluating priority management issues of the White River and Glenwood Springs Field Offices. Within the study area, we selected an additional scale of analysis: the Roan Plateau, an area of increased energy development. We focused our demonstration project on the primary objectives identified by the BLM and other stakeholders: (1) How do we evaluate the cumulative effects of energy development and mitigation activities on species of management interest or concern? (2) How can cumulative effects, including direct and indirect effects, be quantified relative to natural variation? (3) How can we implement compliance and effectiveness monitoring to determine whether lease stipulations are met and restoration/mitigation goals are achieved? We targeted greater sage-grouse because this species was identified as a monitoring priority for the White River Field Office. We also evaluated landscape-level indices to address fragmentation resulting from surface disturbance. The primary purpose of this exercise was to highlight the types of analyses and approaches that could be used to evaluate energy development in an application of the three-phase framework. We provide examples of Phase I products that can be used to guide the refinement of management objectives, development of adaptive management and research frameworks, and planning activities in Phase II. Finally, we report on the BLM's National Sage-Grouse Habitat Conservation Strategy as an example of Phase III activities. The development of an effective monitoring program is a daunting task, and will be difficult to implement by the BLM independently due to the current work load of staff. However, the scientific expertise and experience for developing cr

Open-File Report

It’s time for focused in situ studies of planetary surface-atmosphere interactions

A critical gap in planetary observations has been in situ characterization of extra-terrestrial, present-day atmospheric and surface environments and activity. While some surface activity has been observed and some in situ meteorological measurements have been collected by auxiliary instruments on Mars, existing information is insufficient to conclusively characterize the natural processes via concurrent and high-resolution measurement of environmental drivers and activity. Thus, many atmospheric, aeolian, and other surface processes models – which are used to generate key constraints on science and exploration in many areas of planetary investigation—such as surface exposure/erosion estimates, landscape interpretation, and modeling dust storm development—remain untested under non-Earth conditions. Analogous terrestrial processes are often studied intensively via numerical modeling that integrates empirical results from laboratory and/or field studies of process-response interactions between the atmosphere and relevant surface landforms. Incorporation of such in situ measurements into model development has significantly advanced our understanding of atmosphere-surface interactions and related geomorphic processes on Earth, and is poised to do so on other planets. However, to date, such testing and refinement have not been possible in other planetary environments, partially because investigations of this sort require new technologies, mission architectures, and operations designs (e.g., different from large rovers focused on geochemical investigations) to fully address the key gaps in our understanding while keeping cost and risk low. Fortunately, technological developments in the areas of surface access, instrumentation, and onboard processing/memory now enable small spacecraft to accommodate meteorological and aeolian instrumentation that could collect the needed measurements to fill this critical gap while remaining within typical small spacecraft resource budgets. Furthermore, maturity of our understanding of the broader geologic and atmospheric context on Mars provides a ready framework for ingestion of discrete ground truth measurements into our understanding of the broader and multi-scale martian natural systems and processes. These advancements make addressing key science questions with novel mission concepts feasible, promising results that would significantly advance our understanding of extraterrestrial surface-atmosphere interactions. This summary follows from a community-generated white paper for the ongoing Planetary Science/Astrobiology Decadal Survey, small spacecraft concept development at JPL, and numerous JPL and community discussions.

Conference Paper

A conceptual framework for Lake Michigan coastal/nearshore ecosystems, with application to Lake Michigan Lakewide Management Plan (LaMP) objectives

The Lakewide Management Plans (LaMPs) within the Great Lakes region are examples of broad-scale, collaborative resource-management efforts that require a sound ecosystems approach. Yet, the LaMP process is lacking a holistic framework that allows these individual actions to be planned and understood within the broader context of the Great Lakes ecosystem. In this paper we (1) introduce a conceptual framework that unifies ideas and language among Great Lakes managers and scientists, whose focus areas range from tributary watersheds to open-lake waters, and (2) illustrate how the framework can be used to outline the geomorphic, hydrologic biological, and societal processes that underlie several goals of the Lake Michigan LaMP, thus providing a holistic and fairly comprehensive roadmap for tackling these challenges. For each selected goal, we developed a matrix that identifies the key ecosystem processes within the cell for each lake zone and each discipline; we then provide one example where a process is poorly understood and a second where a process is understood, but its impact or importance is unclear. Implicit in these objectives was our intention to highlight the importance of the Great Lakes coastal/nearshore zone. Although the coastal/nearshore zone is the important linkage zone between the watershed and open-lake zones—and is the zone where most LaMP issues are focused--scientists and managers have a relatively poor understanding of how the coastal/nearshore zone functions. We envision follow-up steps including (1) collaborative development of a more detailed and more complete conceptual model of how (and where) identified processes are thought to function, and (2) a subsequent gap analysis of science and monitoring priorities.

Lake Michigan

Recent stability of resident and migratory landbird populations in National Parks of the Pacific Northwest

Monitoring species in National Parks facilitates inference regarding effects of climate change on population dynamics because parks are relatively unaffected by other forms of anthropogenic disturbance. Even at early points in a monitoring program, identifying climate covariates of population density can suggest vulnerabilities to future change. Monitoring landbird populations in parks during the breeding season brings the added benefit of allowing a comparative approach to inference across a large suite of species with diverse requirements. For example, comparing resident and migratory species that vary in exposure to non-park habitats can reveal the relative importance of park effects, such as those related to local climate. We monitored landbirds using breeding-season point-count data collected during 2005–2014 in three wilderness areas of the Pacific Northwest (Mount Rainier, North Cascades, and Olympic National Parks). For 39 species, we estimated recent trends in population density while accounting for individual detection probability using Bayesian hierarchical N -mixture models. Our analyses integrated several recent developments in N -mixture modeling, incorporating interval and distance sampling to estimate distinct components of detection probability while also accommodating count intervals of varying duration, annual variation in the length and number of point-count transects, spatial autocorrelation, random effects, and covariates of detection and density. As covariates of density, we considered metrics of precipitation and temperature hypothesized to affect breeding success. We also considered effects of park and elevational stratum on trend. Regardless of model structure, we estimated stable or increasing densities during 2005–2014 for most populations. Mean trends across species were positive for migrants in every park and for residents in one park. A recent snowfall deficit in this region might have contributed to the positive trend, because population density varied inversely with precipitation-as-snow for both migrants and residents. Densities varied directly but much more weakly with mean spring temperature. Our approach exemplifies an analytical framework for estimating trends from point-count data, and for assessing the role of climatic and other spatiotemporal variables in driving those trends. Understanding population trends and the factors that drive them is critical for adaptive management and resource stewardship in the context of climate change.

Ecosphere

Wildlife tradeoffs based on landscape models of habitat

It is becoming increasingly clear that the spatial structure of landscapes affects the habitat choices and abundance of wildlife. In contrast to wildlife management based on preservation of critical habitat features such as nest sites on a beach or mast trees, it has not been obvious how to incorporate spatial structure into management plans. We present techniques to accomplish this goal. We used multiscale logistic regression models developed previously for neotropical migrant bird species habitat use in South Carolina (USA) as a basis for these techniques. Based on these models we used a spatial optimization technique to generate optimal maps (probability of occurrence, P = 1.0) for each of seven species. To emulate management of a forest for maximum species diversity, we defined the objective function of the algorithm as the sum of probabilities over the seven species, resulting in a complex map that allowed all seven species to coexist. The map that allowed for coexistence is not obvious, must be computed algorithmically, and would be difficult to realize using rules of thumb for habitat management. To assess how management of a forest for a single species of interest might affect other species, we analyzed tradeoffs by gradually increasing the weighting on a single species in the objective function over a series of simulations. We found that as habitat was increasingly modified to favor that species, the probability of presence for two of the other species was driven to zero. This shows that whereas it is not possible to simultaneously maximize the likelihood of presence for multiple species with divergent habitat preferences, compromise solutions are possible at less than maximal likelihood in many cases. Our approach suggests that efficiency of habitat management for species diversity can by maximized for even small landscapes by incorporating spatial context. The methods we present are suitable for wildlife management, endangered species conservation, and nature reserve design.

Conference Paper

Modeling climate change, urbanization, and fire effects on Pinus palustris ecosystems of the southeastern U.S.

Managing ecosystems for resilience and sustainability requires understanding how they will respond to future anthropogenic drivers such as climate change and urbanization. In fire-dependent ecosystems, predicting this response requires a focus on how these drivers will impact fire regimes. Here, we use scenarios of climate change, urbanization and management to simulate the future dynamics of the critically endangered and fire-dependent longleaf pine ( Pinus palustris ) ecosystem. We investigated how climate change and urbanization will affect the ecosystem, and whether the two conservation goals of a 135% increase in total longleaf area and a doubling of fire-maintained open-canopy habitat can be achieved in the face of these drivers. Our results show that while climatic warming had little effect on the wildfire regime, and thus on longleaf pine dynamics, urban growth led to an 8% reduction in annual wildfire area. The management scenarios we tested increase the ecosystem's total extent by up to 62% and result in expansion of open-canopy longleaf by as much as 216%, meeting one of the two conservation goals for the ecosystem. We find that both conservation goals for this ecosystem, which is climate-resilient but vulnerable to urbanization, are only attainable if a greater focus is placed on restoration of non-longleaf areas as opposed to maintaining existing longleaf stands. Our approach demonstrates the importance of accounting for multiple relevant anthropogenic threats in an ecosystem-specific context in order to facilitate more effective management actions.

Journal of Environmental Management

Bait trapping of waterfowl increases the environmental contamination of avian influenza virus (AIV)

Highly pathogenic avian influenza virus (HPAIV) H5Nx clade 2.3.4.4b has circulated in North America since late 2021, resulting in higher rates of morbidity and mortality in wild birds than observed in this region before. The objective of this study was to determine whether baiting, which is widely conducted in Canada and the United States as part of waterfowl management practices (e.g., duck banding), influences the occurrence of avian influenza virus (AIV) in wetlands. We used a quasi-experimental design, collecting superficial sediment samples ( n = 336) and fecal samples ( n = 242) from paired baited (treatment) and non-baited (control) sites at 2 wetlands in Saskatchewan, Canada, between August and September 2022. We visited sampling sites 3 times during the sampling period: prior to the commencement of baiting activities ( t0 ), approximately 14 days after t0 ( t1 ), and 24 days after t0 ( t2 ). We screened samples for AIV using real-time reverse-transcriptase polymerase chain reaction (rRT-PCR) targeting the matrix gene and subjected the PCR-positive samples to next-generation sequencing. We used a mixed-effects logistic regression model to estimate the effect of baiting on the odds of AIV positivity in sediment samples, while controlling for clustering by wetland. At control sites, we did not detect evidence for a difference in the odds of AIV detection in sediment at t1 or t2 versus t0 ; however, at baited sites, the odds of AIV detection at t1 were 5.43 (95% CI = 1.99, 14.79) times the odds at t0 and at t2 the odds of AIV detection were 8.73 (95% CI = 3.29, 23.18) times the odds at t0 . We detected HPAIV clade 2.3.4.4b H5N1 in sediment at 1 treatment site following baiting. There was also a trend towards increased fecal AIV positivity and increased fecal and sediment AIV diversity in baited versus non-baited sites; however, there was insufficient power to determine if these findings were statistically significant. Overall, our results indicate that baiting is associated with localized increases in AIV environmental contamination, with baiting potentially creating concentrated areas of AIV accumulation. As such, wetland baiting activities may pose a risk to wildlife population health through the propagation of AIV in wetlands and the waterfowl using those environments and efforts to replace, refine, or reduce this activity may be warranted depending on local ecosystem contexts and cost-benefit analyses.

Saskatchewan

Climate change causes river network contraction and disconnection in the H.J. Andrews Experimental Forest, Oregon, USA

Headwater streams account for more than 89% of global river networks and provide numerous ecosystem services that benefit downstream ecosystems and human water uses. It has been established that changes in climate have shifted the timing and magnitude of observed precipitation, which, at specific gages, have been directly linked to long-term reductions in large river discharge. However, climate impacts on ungaged headwater streams, where ecosystem function is tightly coupled to flow permanence along the river corridor, remain unknown due to the lack of data sets and ability to model and predict flow permanence. We analyzed a network of 10 gages with 38–69 years of records across a 5th-order river basin in the U.S. Pacific Northwest, finding increasing frequency of lower low-flow conditions across the basin. Next, we simulated river network expansion and contraction for a 65-year period of record, revealing 24% and 9% declines in flowing and contiguous network length, respectively, during the driest months of the year. This study is the first to mechanistically simulate network expansion and contraction at the scale of a large river basin, informing if and how climate change is altering connectivity along river networks. While the heuristic model presented here yields basin-specific conclusions, this approach is generalizable and transferable to the study of other large river basins. Finally, we interpret our model results in the context of regulations based on flow permanence, demonstrating the complications of static regulatory definitions in the face of non-stationary climate.

Oregon

Estimates of Southern White-tailed Ptarmigan daily nest survival from multiple sites in the Southern Rocky Mountains of Colorado

Estimating vital rates of avian species is important to understand population dynamics and develop potential conservation strategies that target rates for management. Avian species have reduced potential for high annual fecundity in alpine ecosystems due to a short breeding window and harsh weather conditions. We located nests from Southern White-tailed Ptarmigan ( Lagopus leucura altipetens ) across six study sites in the Southern Rocky Mountains of Colorado to estimate daily nest survival from 2013–2017. We used a known-fate hierarchical nest survival model and fit several covariates, including environmental conditions representing daily weather events and shrub cover, to describe variation in daily survival and derive estimates of nest success. We located and monitored 198 nests from 128 radio-marked ptarmigan hens. The mean nest success estimated as a derived parameter from daily nest survival was 45.6% (95% credible interval [CI]: 31.2–59.6%) and ranged from 40.3% to 50.3% across sites. Variation in daily nest survival was poorly described by the covariates we fit (95% CI of most slope coefficients overlapped 0), although there was some support for a negative effect of relative elevation (nests at lower elevations within a site survived at higher rates) and a positive effect of nest age (older nests survived at higher rates). We examined how variation in nest success was likely to influence the finite rate of population growth using a simple simulation with an age-transition matrix parameterized with previously reported fecundity and survival estimates. We found that the finite growth rate was predicted to increase 18.7% when evaluated from the lower to upper 95% CI estimated values of nest success, conditional on the other vital rates used in our simulation. We discuss the broader implications of these findings in the context of managing for nest survival of Southern White-tailed Ptarmigan.

Colorado

Telemetry reveals migratory drivers and disparate space use across seasons and age-groups in American horseshoe crabs

Identifying mechanisms that underpin animal migration patterns and examining variability in space use within populations is crucial for understanding population dynamics and management implications. In this study, we quantified the migration rates, seasonal changes in migratory connectivity, and residency across population demographics (age and sex) to understand the proximate cues of migration timing in American horseshoe crabs ( Limulus polyphemus ). Juvenile ( n = 25) and adult ( n = 70) horseshoe crabs were tracked with acoustic telemetry techniques for a 3-yr period in Moriches Bay, NY. Connectivity metrics and residency probability were quantified through spatial network analysis and empirically derived Markov Chain models (EDMC), respectively. The migratory probability of adult horseshoe crabs between Moriches Bay and the Atlantic Ocean was estimated to be 41.0% (95% CI: 34.0–59.8); in contrast, only 8% (95% CI: 1.2–31.6) of juveniles migrated into the ocean. Migration timing was influenced by the interaction of photoperiod and temperature, revealing seasonal differences in migration timing and a 50% narrower range of photoperiod and temperature over which fall migrations occurred compared to spring. Sex-specific differences in space use and connectivity within each season were largely absent; however, centralized habitats were important for maintaining connectivity across all seasons. EDMC results revealed that when standardized to the number of horseshoe crab detections on each receiver, the centrally located habitats in Moriches Bay and Inlet accounted for >50% of the total relative residency probability within most seasons, indicating these areas may be preferred by adult horseshoe crabs. Ontogenetic differences in maximum spatial extent, space use, and connectivity were observed in the bay, as juveniles exhibited lower linkages between locations ( n = 4) relative to adults ( n = 13) during the same temporal period. Our work highlights the application of novel quantitative approaches for addressing the movement dynamics of horseshoe crabs that can be readily applied to other taxa in the context of wildlife conservation.

New York

Updating the debate on model complexity

As scientists who are trying to understand a complex natural world that cannot be fully characterized in the field, how can we best inform the society in which we live? This founding context was addressed in a special session, “Complexity in Modeling: How Much is Too Much?” convened at the 2011 Geological Society of America Annual Meeting. The session had a variety of thought-provoking presentations—ranging from philosophy to cost-benefit analyses—and provided some areas of broad agreement that were not evident in discussions of the topic in 1998 (Hunt and Zheng, 1999). The session began with a short introduction during which model complexity was framed borrowing from an economic concept, the Law of Diminishing Returns, and an example of enjoyment derived by eating ice cream. Initially, there is increasing satisfaction gained from eating more ice cream, to a point where the gain in satisfaction starts to decrease, ending at a point when the eater sees no value in eating more ice cream. A traditional view of model complexity is similar—understanding gained from modeling can actually decrease if models become unnecessarily complex. However, oversimplified models—those that omit important aspects of the problem needed to make a good prediction—can also limit and confound our understanding. Thus, the goal of all modeling is to find the “sweet spot” of model sophistication—regardless of whether complexity was added sequentially to an overly simple model or collapsed from an initial highly parameterized framework that uses mathematics and statistics to attain an optimum (e.g., Hunt et al., 2007). Thus, holistic parsimony is attained, incorporating “as simple as possible,” as well as the equally important corollary “but no simpler.”

GSA Today

Younger-Dryas cooling and sea-ice feedbacks were prominent features of the Pleistocene-Holocene transition in Arctic Alaska

Declining sea-ice extent is currently amplifying climate warming in the Arctic. Instrumental records at high latitudes are too short-term to provide sufficient historical context for these trends, so paleoclimate archives are needed to better understand the functioning of the sea ice-albedo feedback. Here we use the oxygen isotope values of wood cellulose in living and sub-fossil willow shrubs (δ 18 O wc ) ( Salix spp.) that have been radiocarbon-dated ( 14 C) to produce a multi-millennial record of climatic change on Alaska's North Slope during the Pleistocene-Holocene transition (13,500–7500 calibrated 14 C years before present; 13.5–7.5 ka). We first analyzed the spatial and temporal patterns of δ 18 O wc in living willows growing at upland sites and found that over the last 30 years δ 18 O wc values in individual growth rings correlate with local summer temperature and inter-annual variations in summer sea-ice extent. Deglacial δ 18 O wc values from 145 samples of subfossil willows clearly record the Allerød warm period (∼13.2 ka), the Younger Dryas cold period (12.9–11.7 ka), and the Holocene Thermal Maximum (11.7–9.0 ka). The magnitudes of isotopic changes over these rapid climate oscillations were ∼4.5‰, which is about 60% of the differences in δ 18 O wc between those willows growing during the last glacial period and today. Modeling of isotope-precipitation relationships based on Rayleigh distillation processes suggests that during the Younger Dryas these large shifts in δ 18 O wc values were caused by interactions between local temperature and changes in evaporative moisture sources, the latter controlled by seaice extent in the Arctic Ocean and Bering Sea. Based on these results and on the effects that sea-ice have on climate today, we infer that ocean-derived feedbacks amplified temperature changes and enhanced precipitation in coastal regions of Arctic Alaska during warm times in the past. Today, isotope values in willows on the North Slope of Alaska are similar to those growing during the warmest times of the Pleistocene-Holocene transition, which were times of widespread permafrost thaw and striking ecological changes.

Alaska

Streamflow and sediment dynamics of the Middle Rio Grande Valley, New Mexico, in the context of cottonwood recruitment

The cottonwood gallery forests of the Middle Rio Grande floodplain in New Mexico provide important habitats for birds and other animals. Over the last century, these forests have changed significantly due to invasion of exotics such as salt cedar and Russian olive, which compete with native cottonwoods, and changes in water use both in the valley and upstream. To successfully germinate and establish, cottonwoods require an adequate water supply, abundant sunlight, and bare, litter-free substrate. Native cottonwoods are adapted to a natural snowmelt hydrograph characterized by spring floods in late May or early June and gradually receding streamflows throughout the remainder of the summer. The natural streamflow pattern has been significantly modified by water management in the Rio Grande basin. The modified pattern is less conducive to establishment of cottonwoods than the natural pattern. In addition, exotic species now compete with native cottonwoods, and the modified flow pattern may favor these exotics. The overall objective of this study was to investigate the possibility of enhancing cottonwood establishment and recruitment along the Middle Rio Grande through streamflow manipulation and reservoir releases. The work integrates concepts of cottonwood establishment, water resources management, and river morphology, and investigates how water management might be used to preserve and enhance cottonwood gallery forests along the river. Specific objectives of the work reported herein were to: (1) develop a technique to calculate flows that will produce channel characteristics necessary to restore and sustain cottonwood gallery forests; (2) develop a model to determine a flow pattern, or sequence of flows, that will improve the potential for cottonwood establishment and recruitment; and (3) determine if the water resources can be managed to produce the desired channel characteristics and flow pattern identified in (1) and (2).

Report

Adaptive management for improving species conservation across the captive-wild spectrum

Conservation of endangered species increasingly envisages complex strategies that integrate captive and wild management actions. Management decisions in this context must be made in the face of uncertainty, often with limited capacity to collect information. Adaptive management (AM) combines management and monitoring, with the aim of updating knowledge and improving decision-making over time. We provide a guide for managers who may realize the potential of AM, but are unsure where to start. The urgent need for iterative management decisions, the existence of uncertainty, and the opportunity for learning offered by often highly-controlled captive environments create favorable conditions for AM. However, experiments and monitoring may be complicated by small sample sizes, and the ability to control the system, including stochasticity and observability, may be limited toward the wild end of the spectrum. We illustrate the key steps to implementing AM in threatened species management using four case studies, including the management of captive programs for cheetah (Acinonyx jubatus) and whooping cranes (Grus americana), of a translocation protocol for Arizona cliffroses Purshia subintegra and of ongoing supplementary feeding of reintroduced hihi (Notiomystis cincta) populations. For each case study, we explain (1) how to clarify whether the decision can be improved by learning (i.e. it is iterative and complicated by uncertainty) and what the management objectives are; (2) how to articulate uncertainty via alternative, testable hypotheses such as competing models or parameter distributions; (3) how to formally define how additional information can be collected and incorporated in future management decisions.

Biological Conservation

An Adaptive Management Approach for Summer Water Level Reductions on the Upper Mississippi River System

The primary purpose of this report is to provide an adaptive management approach for learning more about summer water level reductions (drawdowns) as a management tool, including where and how drawdowns can be applied most effectively within the Upper Mississippi River System. The report reviews previous drawdowns conducted within the system and provides specific recommendations for learning more about the lesser known effects of drawdowns and how the outcomes can be influenced by different implementation strategies and local conditions. The knowledge gained can be used by managers to determine how best to implement drawdowns in different parts of the UMRS to help achieve management goals. The information and recommendations contained in the report are derived from results of previous drawdown projects, insights from regional disciplinary experts, and the experience of the authors in experimental design, modeling, and monitoring. Modeling is a critical part of adaptive management and can involve conceptual models, simulation models, and empirical models. In this report we present conceptual models that express current understanding regarding functioning of the UMRS as related to drawdowns and highlight interactions among key ecological components of the system. The models were developed within the constraints of drawdown timing, magnitude (depth), and spatial differences in effects (longitudinal and lateral) with attention to ecological processes affected by drawdowns. With input from regional experts we focused on the responses of vegetation, fish, mussels, other invertebrates, and birds. The conceptual models reflect current understanding about relations and interactions among system components, the expected strength of those interactions, potential responses of system components to drawdowns, likelihood of the response occurring, and key uncertainties that limit our ability to make accurate predictions of effects (Table 1, Fig. 4-10). Based on this current understanding, the main questions still associated with drawdowns include (1) the effects of frequency of drawdowns (from once every few years to multiple years in succession); (2) timing of the beginning of drawdowns (follow the descending arm of the flood pulse versus always beginning in early summer); (3) long-term benefits (greater than 5-6 years), especially as compared to known short-term loses (e.g., mortality of mussels in exposed areas, loss of submersed vegetation in exposed areas, cost of advanced dredging); and (4) the effects in northern (above pool 14) versus southern pools (pool 14 and below, and the Illinois River). An adaptive management design should address these questions to reduce uncertainty in predictions of drawdown effects and help determine if different implementation strategies are needed in different parts of the system. Given that drawdowns will continue to be used as a management tool on the UMRS, we suggest that some drawdowns be conducted in an adaptive management context that helps meet management objectives, but also provides efficient learning about the questions listed above. We propose two different, but interrelated, experimental designs to address these questions. Both designs call for conducting multiple drawdowns in multiple pools (2-4 pools) to allow direct comparison of results and produce rapid learning. However, the report does not provide a detailed scope of work for carrying out the designs. If managers choose to implement one of the experimental designs, specifics of choosing appropriate pools and developing a monitoring plan will need to be determined through collaboration among managers, researchers, and statisticians. We suggest characteristics to consider in selecting treatment and reference pools (study sites) and also provide guidance for developing a monitoring plan. Some aspects of these two designs could be implemented individually, but by implementing individual elements, direct comparisons of some design features

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