Search USGS⌕ Search

SEARCH · Search USGS

Results for “Modeling and Using Context”

Search indexed USGS publications on groundwater, aquifers, geologic maps, mineral resources and earthquakes. Explore source records by subject and place.

Quote a phrase for an exact phrase match. Source license links do not imply unrestricted reuse.

At least 793 records · Page 44Linked to original sources

Advancements in understanding the aeromagnetic expressions of basin-margin faults—An example from San Luis Basin, Colorado

Advancements in aeromagnetic acquisition technology over the past few decades have led to greater resolution of shallow geologic sources with low magnetization, such as intrasedimentary faults and paleochannels. Detection and mapping of intrasedimentary faults in particular can be important for understanding the overall structural setting of an area, even if exploration targets are much deeper. Aeromagnetic methods are especially useful for mapping structures in mountain-piedmont areas at the margins of structural basins, where mineral exploration and seismic-hazard studies may be focused, and where logistical or data-quality issues encumber seismic methods. Understanding if the sources of aeromagnetic anomalies in this context originate from sedimentary units or bedrock is important for evaluating basin structure and/or depth to shallow exploration targets. Advancements in aeromagnetic acquisition technology over the past few decades have led to greater resolution of shallow geologic sources with low magnetization, such as intrasedimentary faults and paleochannels. Detection and mapping of intrasedimentary faults in particular can be important for understanding the overall structural setting of an area, even if exploration targets are much deeper. Aeromagnetic methods are especially useful for mapping structures in mountain-piedmont areas at the margins of structural basins, where mineral exploration and seismic-hazard studies may be focused, and where logistical or data-quality issues encumber seismic methods. Understanding if the sources of aeromagnetic anomalies in this context originate from sedimentary units or bedrock is important for evaluating basin structure and/or depth to shallow exploration targets. Although explorationists have surmised that subtle, narrow, linear aeromagnetic anomalies or gradients are caused by intrasedimentary faults, the nature of the magnetic sources has been debated. A common and intuitive explanation for the linear anomalies considers that the magnetic properties of the fault zone have been altered by secondary chemical processes, either through the growth or destruction of magnetic minerals. However, comprehensive, multidisciplinary studies of partially exposed intrasedimentary faults in basins within the central Rio Grande Rift, New Mexico, have shown that the anomalies can be completely explained by the tectonic juxtaposition of strata of differing magnetic properties at the fault (summarized in Grauch and Hudson, 2007 , 2011 ). Whereas a reduction in magnetic susceptibility was detected at some fault zones in the laboratory, the slight reduction and small volume of material affected were insufficient to produce aeromagnetic anomalies ( Hudson et al., 2008 ). A key finding of the studies summarized by Grauch and Hudson (2007 , 2011 ) is that multiple magnetic contrasts (sources) can be vertically stacked at one fault. This situation requires rethinking of common assumptions when modeling faults as simple steps or when interpreting depth-estimation results. The multiple contrasts in these case studies arise from the tectonic juxtaposition of stratified sediments with differing magnetic properties. Multiple, vertically stacked magnetic sources also can occur where volcanic layers are interbedded with the sedimentary section or where faults offset both shallow bedrock and its overlying sedimentary cover. The latter situation is common at basin margins. Herein, we summarize and expand on an investigation of the sources of aeromagnetic anomalies related to faults along the eastern margin of the San Luis Basin, northern Rio Grande Rift, Colorado ( Grauch et al., 2010 ). Similar to the faults examined in the central Rio Grande Rift, magnetic sources can be completely explained by tectonic juxtaposition and produce multiple, vertically stacked magnetic contrasts at individual faults. However, the geologic sources are different. They arise from both the sedimentary cover and the underlying bedrock rather than from stratified sediments. In addition, geologic evidence for secondary growth or destruction of magnetic minerals at the fault zone is lacking.

Colorado↗

Rethinking the longitudinal stream temperature paradigm: region-wide comparison of thermal infrared imagery reveals unexpected complexity of river temperatures

Prevailing theory suggests that stream temperature warms asymptotically in a downstream direction, beginning at the temperature of the source in the headwaters and leveling off downstream as it converges to match meteorological conditions. However, there have been few empirical examples of longitudinal patterns of temperature in large rivers due to a paucity of data. We constructed longitudinal thermal profiles (temperature versus distance) for 53 rivers in the Pacific Northwest (USA) using an extensive dataset of remotely sensed summertime river temperatures and classified each profile into one of five patterns of downstream warming: asymptotic (increasing then flattening), linear (increasing steadily), uniform (not changing), parabolic (increasing then decreasing), or complex (not fitting other classes). We evaluated (1) how frequently profiles warmed asymptotically downstream as expected, and (2) whether relationships between river temperature and common hydroclimatic variables differed by profile class. We found considerable diversity in profile shape, with 47% of rivers warming asymptotically, and 53% having alternative profile shapes. Water temperature did not warm substantially over the course of the river for coastal parabolic and uniform profiles, and for some linear and complex profiles. Profile classes showed no clear geographical trends. The degree of correlation between river temperature and hydroclimatic variables differed among profile classes, but there was overlap among classes. Water temperature in rivers with asymptotic or parabolic profiles was positively correlated with August air temperature, tributary temperature and velocity, and negatively correlated with elevation, August precipitation, gradient, and distance upstream. Conversely, associations were less apparent in rivers with linear, uniform, or complex profiles. Factors contributing to the unique shape of parabolic profiles differed for coastal and inland rivers, where downstream cooling was influenced locally by climate or cool water inputs, respectively. Potential drivers of shape for complex profiles were specific to each river. These thermal patterns indicate diverse thermal habitats that may promote resilience of aquatic biota to climate change. Without this spatial context, climate change models may incorrectly estimate loss of thermally suitable habitat.

California, Idaho, Oregon, Washington↗

Upriver migrating sea lamprey exhibit similar responses to hydrodynamic features as other up and downriver-moving species

Identifying commonalities in how fish navigate rivers near infrastructure will enhance water operations and design by improving our ability to predict engineering outcomes (e.g., barrier construction/removal, fish passage installation) in novel settings before the cost of real-world implementation. Evidence from intermediate-scale computer models (time scales of minutes to days and spatial scales <2 km) suggests that fish movement behavior in rivers is frequently governed by responses to one or more of the following hydrodynamic features: (1) flow direction (i.e., rheotaxis), (2) flow velocity magnitude, (3) turbulence, and (4) depth, plus (5) the integration of information over recent time periods (i.e., memory/experience). However, the lack of consistent modeling approaches, infrequent assessment of each response in isolation and combination, and a focus on a limited number of species means the generality of these responses is uncertain. We use a computer model, specifically a pattern-oriented modeling approach incorporating individual based models (IBMs), to apply responses to the four hydrodynamic features plus memory/experience in different combinations to study their value for reproducing the movement of an infrequently modeled species and lifestage, upriver migrating adult sea lamprey, Petromyzon marinus . The study site was the region downstream of the Sault Ste. Marie lock and dam complex located between Canada and the U.S.A on the St. Marys River joining Lake Superior and Lake Huron. Our analysis indicates that rheotaxis and a response to velocity magnitude as well as recent past experience improve sea lamprey spatio-temporal movement prediction compared to other, simpler forms of modeled behavior. Sea lamprey movement is also biased toward lower levels of turbulence (e.g., turbulent kinetic energy) or its precursor (i.e., the spatial gradient in water speed). A response to water depth was not found to be important, but the modeled domain was two-dimensional which limited our assessment. As similar responses to hydrodynamic features are found in very different fish, commonalities appear to underlie river navigation across a range of species and life stages that share the goal-oriented behavior of upriver and downriver movement. The systematic approach of our analysis highlights the accuracy trade-offs of each response, individually and in combination, that often accompany alternative behavioral formulations in a computer model of fish movement. The model structure provides a framework to which future findings from the analyses of additional species in different contexts can be added.

Sault Ste. Marie lock and dam complex in the St. M↗

Executive summary. In Second State of the Carbon Cycle Report (SOCCR2): A Sustained Assessment Report

Central to life on Earth, carbon is essential to the molecular makeup of all living things and plays a key role in regulating global climate. To understand carbon’s role in these processes, researchers measure and evaluate carbon stocks and fluxes. A stock is the quantity of carbon contained in a pool or reservoir in the Earth system (e.g., carbon in forest trees), and a flux is the direction and rate of carbon’s transfer between pools (e.g., the movement of carbon from the atmosphere into forest trees during photosynthesis). This document, the Second State of the Carbon Cycle Report (SOCCR2), examines the patterns of carbon stocks and fluxes—collectively called the “carbon cycle.” Emphasis is given to these patterns in specific sectors (e.g., agriculture and energy) and ecosystems (e.g., forests and coastal waters) and to the response of the carbon cycle to human activity. The purpose of SOCCR2 is to assess the current state of the North American carbon cycle and to present recent advances in understanding the factors that influence it. Concentrating on North America—Canada, the United States, and Mexico—the report describes carbon cycling for air, land, inland waters (streams, rivers, lakes, and reservoirs), and coastal waters (see Figure ES.1, p. 23). The questions framing the publication A U.S. Carbon Cycle Science Plan (Michalak et al., 2011) inspired development of three slightly modified questions that guide SOCCR2’s content and focus on North America in a global context: How have natural processes and human actions affected the global carbon cycle on land, in the atmosphere, in the ocean and other aquatic systems, and at ecosystem interfaces (e.g., coastal, wetland, and urban-rural)? How have socioeconomic trends affected atmospheric levels of the primary carbon-containing gases, carbon dioxide (CO2) and methane (CH4)? How have species, ecosystems, natural resources, and human systems been impacted by increasing greenhouse gas (GHG) concentrations, associated changes in climate, and carbon management decisions and practices? SOCCR2 synthesizes the most recent understanding of carbon cycling in North America, assessing new carbon cycle findings and information, the state of knowledge regarding core methods used to study the carbon cycle, and future research needed to best inform carbon management and policy options. Focusing on scientific developments in the decade since the First State of the Carbon Cycle Report (SOCCR1; CCSP 2007), SOCCR2 summarizes the past, current, and projected state of carbon sources, sinks, and natural processes, as well as contributions by human activities. In addition to CO2 and CH4, the report sometimes discusses nitrous oxide (N2O), a GHG associated with activities and processes that affect fluxes of carbon gases.1 SOCCR2 also describes improvements in analysis tools; developments in decision support; and new insights into ecosystem carbon cycling, human causes of changes in the carbon cycle, and social science perspectives on carbon. Since publication of SOCCR1, coordinated research from agencies in the three North American countries has enabled innovative observational, analytical, and modeling capabilities to further advance understanding of the North American carbon cycle (see Appendix D: Carbon Measurement Approaches and Accounting Frameworks, p. 834). Some of the report’s main conclusions, based on the Key Findings of each chapter, are highlighted in Box ES.1, Main Findings of SOCCR2, p. 24.

Report↗

Warming and provenance limit tree recruitment across and beyond the elevation range of subalpine forest

Climate niche models project that subalpine forest ranges will extend upslope with climate warming. These projections assume that the climate suitable for adult trees will be adequate for forest regeneration, ignoring climate requirements for seedling recruitment, a potential demographic bottleneck. Moreover, local genetic adaptation is expected to facilitate range expansion, with tree populations at the upper forest edge providing the seed best adapted to the alpine. Here, we test these expectations using a novel combination of common gardens, seeded with two widely distributed subalpine conifers, and climate manipulations replicated at three elevations. Infrared heaters raised temperatures in heated plots, but raised temperatures more in the forest than at or above treeline because strong winds at high elevation reduced heating efficiency. Watering increased season-average soil moisture similarly across sites. Contrary to expectations, warming reduced Engelmann spruce recruitment at and above treeline, as well as in the forest. Warming reduced limber pine first-year recruitment in the forest, but had no net effect on fourth-year recruitment at any site. Watering during the snow-free season alleviated some negative effects of warming, indicating that warming exacerbated water limitations. Contrary to expectations of local adaptation, low-elevation seeds of both species initially recruited more strongly than high-elevation seeds across the elevation gradient, although the low-provenance advantage diminished by the fourth year for Engelmann spruce, likely due to small sample sizes. High- and low-elevation provenances responded similarly to warming across sites for Engelmann spruce, but differently for limber pine. In the context of increasing tree mortality, lower recruitment at all elevations with warming, combined with lower quality, high-provenance seed being most available for colonizing the alpine, portends range contraction for Engelmann spruce. The lower sensitivity of limber pine to warming indicates a potential for this species to become more important in subalpine forest communities in the coming centuries.

Colorado↗

A conceptual model of the hydrogeologic framework, geochemistry, and groundwater-flow system of the Edwards-Trinity and related aquifers in the Pecos County region, Texas

A conceptual model of the hydrogeologic framework, geochemistry, and groundwater-flow system of the Edwards-Trinity and related aquifers, which include the Pecos Valley, Igneous, Dockum, Rustler, and Capitan Reef aquifers, was developed as the second phase of a groundwater availability study in the Pecos County region in west Texas. The first phase of the study was to collect and compile groundwater, surface-water, water-quality, geophysical, and geologic data in the area. The third phase of the study involves a numerical groundwater-flow model of the Edwards-Trinity aquifer in order to simulate groundwater conditions based on various groundwater-withdrawal scenarios. Resource managers plan to use the results of the study to establish management strategies for the groundwater system. The hydrogeologic framework is composed of the hydrostratigraphy, structural features, and hydraulic properties of the groundwater system. Well and geophysical logs were interpreted to define the top and base surfaces of the Edwards-Trinity aquifer units. Elevations of the top and base of the Edwards-Trinity aquifer generally decrease from the southwestern part of the study area to the northeast. The thicknesses of the Edwards-Trinity aquifer units were calculated using the interpolated top and base surfaces of the hydrostratigraphic units. Some of the thinnest sections of the aquifer were in the eastern part of the study area and some of the thickest sections were in the Pecos, Monument Draw, and Belding-Coyanosa trough areas. Normal-fault zones, which formed as growth and collapse features as sediments were deposited along the margins of more resistant rocks and as overlying sediments collapsed into the voids created by the dissolution of Permian-age evaporite deposits, were delineated based on the interpretation of hydrostratigraphic cross sections. The lowest aquifer transmissivity values were measured in the eastern part of the study area; the highest transmissivity values were measured in a faulted area of the Monument Draw trough. Hydraulic conductivity values generally exhibited the same trends as the transmissivity values. Groundwater-quality data and groundwater-level data were used in context with the hydrogeologic framework to assess the chemical characteristics of water from different sources, regional groundwater-flow paths, recharge sources, the mixing of water from different sources, and discharge in the study area. Groundwater-level altitudes generally decrease from southwest to northeast and regional groundwater flow is from areas of recharge south and west to the north and northeast. Four principal sources of recharge to the Edwards-Trinity aquifer were identified: (1) regional flow that originated as recharge northwest of the study area, (2) runoff from the Barilla, Davis, and Glass Mountains, (3) return flow from irrigation, and (4) upwelling from deeper aquifers. Results indicated Edwards-Trinity aquifer water in the study area was dominated by mineralized, regional groundwater flow that most likely recharged during the cooler, wetter climates of the Pleistocene with variable contributions of recent, local recharge. Groundwater generally flows into the down-dip extent of the Edwards-Trinity aquifer where it discharges into overlying or underlying aquifer units, discharges from springs, discharges to the Pecos River, follows a regional flow path east out of the study area, or is withdrawn by groundwater wells. Structural features such as mountains, troughs, and faults play a substantial role in the distribution of recharge, local and regional groundwater flow, spring discharge, and aquifer interaction.

Texas↗

Species frequency dynamics in an old-field succession: Effects of disturbance, fertilization and scale

Question: Can patterns of species frequency in an old-field be explained within the context of a metapopulation model? Are the patterns observed related to time, spatial scale, disturbance, and nutrient availability? Location: Upland and lowland old-fields in Illinois, USA. Method: Species richness was recorded annually for seven years following plowing of an upland and lowland old-field subject to crossed fertilizer and disturbance treatments (mowing and rototilling). Species occupancy distributions were assessed with respect to the numbers of core and satellite species. Results: In both fields, species richness became higher in disturbed plots than in undisturbed plots over time, and decreased in fertilized plots irrespective of time. A bimodal pattern of species richness consistent with the Core-satellite species (CSS) hypothesis occurred in the initial seed bank and through the course of early succession. The identity of native and exotic core species (those present in > 90% of blocks) changed with time. Some core species from the seed bank became core species in the vegetation, albeit after several years. At the scale of individual plots, a bimodal fit consistent with the CSS hypothesis applied only in year 1 and rarely thereafter. Conclusions: The CSS hypothesis provides a metapopulation perspective for understanding patterns of species richness but requires the assessment of spatial and temporal scaling effects. Regional processes (e.g. propagule availability) at the largest scale have the greatest impact influencing community structure during early secondary succession. Local processes (e.g., disturbance and soil nutrients) are more important at smaller scales and place constraints on species establishment and community structure of both native and exotic species. Under the highest intensity of disturbance, exotic species may be able to use resources unavailable to, or unused by, native species.

Journal of Vegetation Science↗

To cross or not to cross: modeling wildlife road crossings as a binary response variable with contextual predictors

Roads are significant barriers to landscape-scale movements of individuals or populations of many wildlife taxa. The decision by an animal near a road to either cross or not cross may be influenced by characteristics of the road, environmental conditions, traits of the individual animal, and other aspects of the context within which the decision is made. We considered such factors in a mixed-effects logistic regression model describing the nightly road crossing probabilities of invasive nocturnal Brown Treesnakes ( Boiga irregularis ) through short-term radiotracking of 691 snakes within close proximity to 50 road segments across the island of Guam. All measures of road magnitude (traffic volume, gap width, surface type, etc.) were significantly negatively correlated with crossing probabilities. Snake body size was the only intrinsic factor associated with crossing rates, with larger snakes crossing roads more frequently. Humidity was the only environmental variable affecting crossing rate. The distance of the snake from the road at the start of nightly movement trials was the most significant predictor of crossings. The presence of snake traps with live mouse lures during a portion of the trials indicated that localized prey cues reduced the probability of a snake crossing the road away from the traps, suggesting that a snake's decision to cross roads is influenced by local foraging opportunities. Per capita road crossing rates of Brown Treesnakes were very low, and comparisons to historical records suggest that crossing rates have declined in the 60+ yr since introduction to Guam. We report a simplified model that will allow managers to predict road crossing rates based on snake, road, and contextual characteristics. Road crossing simulations based on actual snake size distributions demonstrate that populations with size distributions skewed toward larger snakes will result in a higher number of road crossings. Our method of modeling per capita road crossing probabilities as a binary response variable, influenced by contextual factors, may be useful for describing or predicting road crossings by individuals of other taxa provided that appropriate spatial and temporal resolution can be achieved and that potentially influential covariate data can be obtained.

Ecosphere↗

Quantifying the demographic cost of human-related mortality to a raptor population

Raptors are exposed to a wide variety of human-related mortality agents, and yet population-level effects are rarely quantified. Doing so requires modeling vital rates in the context of species life-history, behavior, and population dynamics theory. In this paper, we explore the details of such an analysis by focusing on the demography of a resident, tree-nesting population of golden eagles ( Aquila chrysaetos ) in the vicinity of an extensive (142 km 2 ) windfarm in California. During 1994–2000, we tracked the fates of >250 radio-marked individuals of four life-stages and conducted five annual surveys of territory occupancy and reproduction. Collisions with wind turbines accounted for 41% of 88 uncensored fatalities, most of which were subadults and nonbreeding adults (floaters). A consistent overall male preponderance in the population meant that females were the limiting sex in this territorial, monogamous species. Estimates of potential population growth rate and associated variance indicated a stable breeding population, but one for which any further decrease in vital rates would require immigrant floaters to fill territory vacancies. Occupancy surveys 5 and 13 years later (2005 and 2013) showed that the nesting population remained intact, and no upward trend was apparent in the proportion of subadult eagles as pair members, a condition that would have suggested a deficit of adult replacements. However, the number of golden eagle pairs required to support windfarm mortality was large. We estimated that the entire annual reproductive output of 216–255 breeding pairs would have been necessary to support published estimates of 55–65 turbine blade-strike fatalities per year. Although the vital rates forming the basis for these calculations may have changed since the data were collected, our approach should be useful for gaining a clearer understanding of how anthropogenic mortality affects the health of raptor populations, particularly those species with delayed maturity and naturally low reproductive rates.

PLoS ONE↗

Predicting disease spread from host movement data: Chronic wasting disease in North America as a case study

1. Rare long-distance movements can increase the spatial spread of invasive species and shifts in species ranges. However, in the context of wildlife disease spread, seasonal migrations only matter if they lead to transmission beyond an individual’s initial set of contacts, and the importance of juvenile dispersal depends on whether those juveniles become infected before they disperse. 2. High resolution animal movement data are increasing, but it is unclear how to leverage these data to improve predictions future disease spread particularly in regions without pre-existing movement data. 3. We predicted the speed of chronic wasting disease (CWD) spread based on movement metrics of mule deer ( Odocoileus hemionus ) and white-tailed deer ( Odocoileus virginianus ) and compared our predictions to observed spreading rates in North America from 2005 to 2022. We hypothesized that CWD should spread faster in regions with long-distance migratory mule deer, but this hypothesis was only partially supported. 4. Observed rates of CWD spread were faster in western epicenters with more mobile mule deer than in epicenters with only white-tailed deer (14-18 km/yr compared to 5-7 km/yr, respectively). However, the observed speed of CWD spread did not align well with migration distances. Deer movements in the Canadian Prairie Provinces (CPP) were far shorter than those in Colorado and Wyoming, yet had faster CWD spread much of which was open prairies where deer movements tend to be along riverine corridors rather than the longer elevational migrations in more montane regions. 5. Generally, our predicted rates of CWD spread from three different models were far slower than the observed rates regardless of whether the model included dispersal or migration. Understanding of these discrepancies is needed before high-resolution animal movement data can be used to predict broad-scale patterns of disease invasion. 6. Anthropogenic movements likely explain longer-distance movements of CWD across North America, but it remains unclear whether human-mediated movements or alternative analytical methods and deer movement metrics can explain the faster than predicted local CWD spread.

Journal of Animal Ecology↗

Integrated climate and land use change scenarios for California rangeland ecosystem services: wildlife habitat, soil carbon, and water supply

Context In addition to biodiversity conservation, California rangelands generate multiple ecosystem services including livestock production, drinking and irrigation water, and carbon sequestration. California rangeland ecosystems have experienced substantial conversion to residential land use and more intensive agriculture. Objectives To understand the potential impacts to rangeland ecosystem services, we developed six spatially explicit (250 m) climate/land use change scenarios for the Central Valley of California and surrounding foothills consistent with three Intergovernmental Panel on Climate Change emission scenario narratives. Methods We quantified baseline and projected change in wildlife habitat, soil organic carbon (SOC), and water supply (recharge and runoff). For six case study watersheds we quantified the interactions of future development and changing climate on recharge, runoff and streamflow, and precipitation thresholds where dominant watershed hydrological processes shift through analysis of covariance. Results The scenarios show that across the region, habitat loss is expected to occur predominantly in grasslands, primarily due to future development (up to a 37 % decline by 2100), however habitat loss in priority conservation errors will likely be due to cropland and hay/pasture expansion (up to 40 % by 2100). Grasslands in the region contain approximately 100 teragrams SOC in the top 20 cm, and up to 39 % of this SOC is subject to conversion by 2100. In dryer periods recharge processes typically dominate runoff. Future development lowers the precipitation value at which recharge processes dominate runoff, and combined with periods of drought, reduces the opportunity for recharge, especially on deep soils. Conclusion Results support the need for climate-smart land use planning that takes recharge areas into account, which will provide opportunities for water storage in dry years. Given projections for agriculture, more modeling is needed on feedbacks between agricultural expansion on rangelands and water supply.

California↗

Modelling predation by transient leopard seals for an ecosystem-based management of Southern Ocean fisheries

Correctly quantifying the impacts of rare apex marine predators is essential to ecosystem-based approaches to fisheries management, where harvesting must be sustainable for targeted species and their dependent predators. This requires modelling the uncertainty in such processes as predator life history, seasonal abundance and movement, size-based predation, energetic requirements, and prey vulnerability. We combined these uncertainties to evaluate the predatory impact of transient leopard seals on a community of mesopredators (seals and penguins) and their prey at South Georgia, and assess the implications for an ecosystem-based management. The mesopredators are highly dependent on Antarctic krill and icefish, which are targeted by regional fisheries. We used a state-space formulation to combine (1) a mark-recapture open-population model and individual identification data to assess seasonally variable leopard seal arrival and departure dates, numbers, and residency times; (2) a size-based bioenergetic model; and (3) a size-based prey choice model from a diet analysis. Our models indicated that prey choice and consumption reflected seasonal changes in leopard seal population size and structure, size-selective predation and prey vulnerability. A population of 104 (90-125) leopard seals, of which 64% were juveniles, consumed less than 2% of the Antarctic fur seal pup production of the area (50% of total ingested energy, IE), but ca. 12-16% of the local gentoo penguin population (20% IE). Antarctic krill (28% IE) were the only observed food of leopard seal pups and supplemented the diet of older individuals. Direct impacts on krill and fish were negligible, but the "escapement" due to leopard seal predation on fur seal pups and penguins could be significant for the mackerel icefish fishery at South Georgia. These results suggest that: (1) rare apex predators like leopard seals may control, and may depend on, populations of mesopredators dependent on prey species targeted by fisheries; and (2) predatory impacts and community control may vary throughout the predator's geographic range, and differ across ecosystems and management areas, depending on the seasonal abundance of the prey and the predator's dispersal movements. This understanding is important to integrate the predator needs as natural mortality of its prey in models to set prey catch limits for fisheries. Reliable estimates of the variability of these needs are essential for a precautionary interpretation in the context of an ecosystem-based management. ?? 2009 Elsevier B.V.

Ecological Modelling↗

Connectivity of Mojave Desert tortoise populations—Management implications for maintaining a viable recovery network

Executive Summary The historic distribution of Mojave desert tortoises ( Gopherus agassizii ) was relatively continuous across the range, and the importance of tortoise habitat outside of designated tortoise conservation areas (TCAs) to recovery has long been recognized for its contributions to supporting gene flow between TCAs and to minimizing impacts and edge effects within TCAs. However, connectivity of Mojave desert tortoise populations has become a concern because of recent and proposed development of large tracts of desert tortoise habitat that cross, fragment, and surround designated conservation areas. This paper summarizes the underlying concepts and importance of connectivity for Mojave desert tortoise populations by reviewing current information on connectivity and providing information to managers for maintaining or enhancing desert tortoise population connectivity as they consider future proposals for development and management actions. Maintaining an ecological network for the Mojave desert tortoise, with a system of core habitats (TCAs) connected by linkages, is necessary to support demographically viable populations and long-term gene flow within and between TCAs. There are four points for wildlife and land-management agencies to consider when making decisions that could affect connectivity of Mojave desert tortoise populations (for example, in updating actions in resource management plans or amendments that could help maintain or restore functional connectivity in light of the latest information): Management of all desert tortoise habitat for persistence and connectivity . Desert tortoise populations continue to decline within most TCAs, and it is unlikely that trends are better in populations outside protected areas. Fragmentation exacerbates negative population trends by breaking large continuous populations into smaller isolated populations. Connectivity within large populations can enhance resilience to localized disturbances due to rescue by neighboring individuals. In contrast, smaller fragmented populations are resistant to rescue by their isolation and thus could suffer irreversible declines to extirpation from a variety of threats and stochastic events. Enhanced threat reduction to reverse declines within TCAs and to maintain occupied habitat in the surrounding matrix would help reduce the variability in population growth rates and improve the resilience of protected populations even while implementing efforts to improve connectivity. Each TCA has unique strengths and weaknesses regarding its ability to support minimum sustainable populations based on areal extent and its ability to support population increases based on landscape connection with adjacent populations. Considering how proposed projects (inside or outside of TCAs) affect connectivity and the ability of TCAs to support at least 5,000 adult tortoises (the numerical goal for each TCA) could help managers to maintain the resilience of TCAs to population declines. The same project, in an alternative location, could have very different impacts on local and regional populations. For example, within the habitat matrix surrounding TCAs, narrowly delineated corridors may not allow for natural population dynamics if they do not accommodate overlapping home ranges along most of their widths so that tortoises reside, grow, find mates, and produce offspring that can replace older tortoises. In addition, most habitat outside TCAs may receive more surface disturbance than habitat within TCAs. Therefore, managing the entire remaining matrix of desert tortoise habitat for permeability may be better than delineating fixed corridors. These concepts apply, especially given uncertainty about long-term condition of habitat, within and outside of TCAs under a changing climate. Ultimately, questions such as “ What are the critical linkages that need to be protected ?” could be better framed as “ How can we manage the remaining habitat matrix in ways that sustain ecological processes and habitat suitability for special status species ?” Land-management decisions made in the context of the latter question may be more conducive to maintenance of a functional ecological network. Limitations on landscape-level disturbance across habitat managed for the desert tortoise Clearly delineating habitat linkages and differentiating them from non-delineated areas by the uses that are permitted or prohibited within them by specific management guidelines can help achieve functional connectivity. Such guidelines would be most effective if they considered and accounted for all surface disturbances (for example, temporary disturbances such as fiberoptic lines or off-highway vehicle routes, right-of-ways, utility-scale solar development, urbanization) to the extent possible. A weighted framework that varies with the permanence or severity of the disturbance, and can be additive to quantify cumulative effects, could be useful (Xiong, 2020). For example, minor roads can alter tortoise movements independently of other features (Peaden and others, 2017; Hromada and others, 2020), but if the isolated dirt road is accompanied by a powerline that encourages raven predation (Xiong, 2020), then the two features together may be additive. Ignoring minor or temporary disturbance on the landscape could result in a cumulatively large impact that is not explicitly acknowledged (Goble, 2009); therefore, understanding and quantifying all surface disturbance on a given landscape is prudent. In California, the Bureau of Land Management established 0.1–1.0 percent caps on new surface-disturbance for TCAs and mapped linkages that address the issues described in number 1 of this list. Nevada, Utah, and Arizona currently do not have surface-disturbance limits. Limits comparable to those in the Desert Renewable Energy Conservation Plan (DRECP) would be 0.5 percent within TCAs and 1 percent within the linkages modeled by Averill-Murray and others (2013). Limits in some areas of California within the Desert Renewable Energy Conservation Plan, such as Ivanpah Valley, are more restrictive, at 0.1 percent. Continuity across the state line in Nevada could be achieved with comparable limits in the adjacent portion of Ivanpah Valley, as well as the Greater Trout Canyon Translocation Area and the Stump Springs Regional Augmentation Site. These more restrictive limits would help protect remaining habitat in the major interstate connectivity pathway through Ivanpah Valley and focal areas of population augmentation that provide additional population connectivity along the western flank of the Spring Mountains. In a recent study that analyzed 13 years of desert tortoise monitoring data, nearly all desert tortoise observations were at sites in which 5 percent or less of the surrounding landscape within 1 kilometer was disturbed (Carter and others, 2020a). To help maintain tortoise habitability and permeability across all other non-conservation-designated tortoise habitat, all surface disturbance could be limited to less than 5-percent development per square kilometer because the 5-percent threshold for development is the point at which tortoise occupation drops precipitously (Carter and others, 2020a). However, although individual desert tortoises were observed at development levels up to 5 percent, we do not know the fitness or reproductive characteristics of these individuals. This level of development also may not allow for long-term persistence of healthy populations that are of adequate size needed for demographic or functional connectivity; therefore, a conservative interpretation suggests that, ideally, development could be lower. Lower development levels would be particularly useful in areas within the upper 5th percentile of connectivity values modeled by Gray and others (2019). Reducing ancillary threats in places where connectivity is restricted to narrow strips of habitat, for example, narrow mountain passes or vegetated strips between solar development, could enhance the functionality of these vulnerable linkages. In such areas, maintaining multiple, redundant linkages could further enhance overall connectivity. Minimization of mortality from roads and maximization of passage under roads . Roads pose a significant threat to the long-term persistence of local tortoise populations, and roads of high traffic volume lead to severe population declines, which ultimately fragments populations farther away from the roads. Three points (a.–c.) pertain to reducing direct mortality of tortoises on the many paved roads that cross desert tortoise habitat and to maintaining a minimal level of permeability across these roads: Tortoise-exclusion fencing tied into culverts, underpasses, overpasses, or other passages below roads in desert tortoise habitat, would limit vehicular mortality of tortoises and provide opportunities for movement across the roads. Installation of shade structures on the habitat side of fences installed in areas with narrow population-depletion zones would limit overheating of tortoises that may pace the fence. Passages below highways could be maintained or retrofitted to ensure safe tortoise access, for example, by filling eroded drop-offs or modifying erosion-control features such as rip-rap to make them safer and more passable for tortoises. Wildlife management agencies could work with transportation departments to develop construction standards that are consistent with hydrologic/erosion management goals, while also incorporating a design and materials consistent with tortoise survival and passage and make the standards widely available. The process would be most effective if the status of passages was regularly monitored and built into management plans. Healthy tortoise populations along fenced highways could be supported by ensuring that land inside tortoise-exclusion fences is not so degraded that it leads to degradation of tortoise habitat outside the exclusion areas. For example, severe invasive plant infestations inside a highway exclusion could cause an increase of invasive plants outside the exclusion area and degrade habitat; therefore, invasive plants inside road rights of way could be mown or treated with herbicide to limit their spread into adjacent tortoise habitat and minimize the risk of these plants carrying wildfires into adjacent habitat. Adaptation of management based on new information . Future research will continue to build upon and refine models related to desert tortoise population connectivity and develop new ones. New models could consider landscape levels of development and be constructed such that they share common foundations to support future synthesis efforts. If model development was undertaken in partnership with entities that are responsible for management of desert tortoise habitat, it would facilitate incorporation of current and future modeling results into their land management decisions. There are specific topics that may be clarified with further evaluation: The effects of climate change on desert tortoise habitat, distribution, and population connectivity; The effects of large-scale fires, especially within repeatedly burned habitat, on desert tortoise distribution and population connectivity; The ability of solar energy facilities or similar developments to support tortoise movement and presence by leaving washes intact; leaving native vegetation intact whenever possible, or if not possible, mowing the site, allowing vegetation to re-sprout, and managing weeds; and allowing tortoises to occupy the sites; and The design and frequency of underpasses necessary to maintain functional demographic and genetic connectivity across linear features, like highways.

Arizona, California, Nevada↗

Tree mortality response to drought-density interactions suggests opportunities to enhance drought resistance

The future of dry forests around the world is uncertain given predictions that rising temperatures and enhanced aridity will increase drought-induced tree mortality. Using forest management and ecological restoration to reduce density and competition for water offers one of the few pathways that forests managers can potentially minimize drought-induced tree mortality. Competition for water during drought leads to elevated tree mortality in dense stands, although the influence of density on heat-induced stress, and the durations of hot or dry conditions that most impact mortality, remain unclear. Understanding how competition interacts with hot-drought stress is essential to recognize how, where, and how much reducing density can help sustain dry forests in a rapidly changing world. Here, we integrated repeat measurements of 28,881 ponderosa pine trees across the western US (2000-2017) with soil moisture estimates from a water balance model to examine how annual mortality responds to competition, temperature and soil moisture conditions. Tree mortality responded most strongly to basal area, and was elevated in places with high mean temperatures, unusually hot 7-year high temperature anomalies, and unusually dry 8-year low soil moisture anomalies. Mortality was also lower in places that experienced unusually wet 3-year soil moisture anomalies between measurements. Importantly, we found that basal area interacts with temperature and soil moisture, exacerbating mortality during times of stress imposed by high temperature or low moisture. Synthesis and Applications: Our results imply that a 50% reduction in forest basal area could reduce drought-driven tree mortality by 20-80%. The largest impacts of density reduction are seen in areas with high current basal area and places that experience high temperatures and/or severe multiyear droughts. These interactions between competition and drought are critical to understand past and future patterns of tree mortality in the context of climate change, and provide information for resource managers seeking to enhance dry forest drought resistance.

Journal of Applied Ecology.↗

The Seamless Integrated Geologic Mapping (SIGMa) extension to the Geologic Map Schema (GeMS)

Geologic maps are the fundamental building blocks of surface and subsurface three-dimensional geologic framework models of the Earth’s crust. However, as the production and availability of geologic map databases continues to increase, inconsistent data models and the lack of synthesized, national geologic map data at scales appropriate for informed decision making negatively affect the functional integration of geologic map data with other national datasets. The Geologic Map Schema (GeMS) is the publication and archive database standard for geologic map data funded by the U.S. Geological Survey National Cooperative Geologic Mapping Program, and standardizes the organization and content of a single map database. However, synthesizing multiple databases into a seamless geologic map database creates a different set of challenges and database needs than GeMS was designed to accommodate. The Seamless Integrated Geologic Mapping (SIGMa) extension is designed to expand the capabilities of GeMS by enabling integration of map-based geoscience data. In particular, the SIGMa extension enables capturing a diverse and ever-changing set of map units, produced by many contributors operating independently, and by incremental and noncontiguous assembly and publication. Feature-level metadata fields allow data sources and digital compilation methods to be attributed separately and a relational structure is designed to support the link between data sources and features attributed with multiple data sources. Instead of paragraph-style map-unit descriptions that can be highly inconsistent, SIGMa parses fundamental map-unit attributes, including material, genetic process, and age, into thematically specific fields. The SIGMa extension uses a hierarchical map-unit organization to facilitate a dynamic and evolving, formation-level stratigraphic framework. The hierarchy is developed around geologic provinces that represent temporally restricted geologic events, processes, and settings. Geologic provinces can include magmatic events, depositional settings associated with tectonic processes or stable continental margins, and processes that are actively shaping the modern landscape. A geologic province hierarchy places map units into a geologic context at subregional to continental scales and provides the flexibility to support incremental assembly of the stratigraphy.

Scientific Investigations Report↗

A sagebrush conservation design to proactively restore America’s sagebrush biome

A working group of experts with diverse professional backgrounds and disciplinary expertise was assembled to conceptualize a spatially explicit conservation design to support and inform the Sagebrush Conservation Strategy Part 2. The goal was to leverage recent advancements in remotely sensed landcover products to develop spatially and temporally explicit maps of sagebrush rangeland condition and landscape threats. In addition, the group sought to provide a common basis for understanding the state of sagebrush rangelands through time. First, the study team developed a spatially explicit model to assess geographic patterns in sagebrush ecological integrity and used this model to identify core sagebrush areas (CSAs), growth opportunity areas (GOAs), and other rangeland areas (ORAs) across the biome. Among the identified rangelands, 33.4 million acres were classified as CSAs; 84.3 million acres as GOAs; and 127.2 million acres as ORAs as of 2020. Second, the team sought to demonstrate the ecological relevance of the identified CSAs and GOAs by comparing these data with independent datasets for sagebrush obligate species of conservation concern. Geographical patterns in sagebrush ecological integrity were strongly associated with the occurrence of high-priority species and also displayed clear links to population performance for greater sage-grouse. Third, the team parsed out the type, location, and acres of primary threats within the different categories (CSAs, GOAs, and ORAs) to help focus active management by identifying places where multiagency and organization efforts can protect CSAs and GOAs that have higher levels of integrity with lower cumulative threats. The assessment of the condition of the sagebrush biome (that is, the location, amount, and conservation status) indicated that complex ecosystem function problems are driving ~73 percent of the demonstrated threats within the CSAs and GOAs (rather than point-source problems, such as human development). Fourth, the team developed trend estimates for the identified CSAs and GOAs and three selected primary threats (invasive annual grasses, conifer encroachment, and human modification) to the sagebrush biome from 2001 to 2020. Results showed that an average of 1.3 million acres per year have transitioned to ORAs at an annual rate of −1.34 percent. Fifth, the team developed an approach to integrate climate change effects into the threat-based landscape conservation design and conducted an initial assessment on the magnitude of near-term climate effects in the context of observed historical trends. The team’s analysis suggests that climate change alone is unlikely to be the dominant threat to sagebrush ecological integrity in the next few decades, although interactions of climate with wildfire and invasive annual grasses may be an important threat, especially in the longer term. A spatial overlap analysis was performed and highlighted 45.8 million acres of shared priorities among existing conservation frameworks to help anchor and guide collaborative landscape-scale conservation of areas that still have no to low threats. This information is critical to provide context for decisions about the volume and nature of conservation actions and funding requirements.

western United States↗

Field evaluation of distance-estimation error during wetland-dependent bird surveys

Context: The most common methods to estimate detection probability during avian point-count surveys involve recording a distance between the survey point and individual birds detected during the survey period. Accurately measuring or estimating distance is an important assumption of these methods; however, this assumption is rarely tested in the context of aural avian point-count surveys. Aims: We expand on recent bird-simulation studies to document the error associated with estimating distance to calling birds in a wetland ecosystem. Methods: We used two approaches to estimate the error associated with five surveyor's distance estimates between the survey point and calling birds, and to determine the factors that affect a surveyor's ability to estimate distance. Key results: We observed biased and imprecise distance estimates when estimating distance to simulated birds in a point-count scenario ( x̄ error = -9 m, s.d. error = 47 m) and when estimating distances to real birds during field trials ( x̄ error = 39 m, s.d. error = 79 m). The amount of bias and precision in distance estimates differed among surveyors; surveyors with more training and experience were less biased and more precise when estimating distance to both real and simulated birds. Three environmental factors were important in explaining the error associated with distance estimates, including the measured distance from the bird to the surveyor, the volume of the call and the species of bird. Surveyors tended to make large overestimations to birds close to the survey point, which is an especially serious error in distance sampling. Conclusions: Our results suggest that distance-estimation error is prevalent, but surveyor training may be the easiest way to reduce distance-estimation error. Implications: The present study has demonstrated how relatively simple field trials can be used to estimate the error associated with distance estimates used to estimate detection probability during avian point-count surveys. Evaluating distance-estimation errors will allow investigators to better evaluate the accuracy of avian density and trend estimates. Moreover, investigators who evaluate distance-estimation errors could employ recently developed models to incorporate distance-estimation error into analyses. We encourage further development of such models, including the inclusion of such models into distance-analysis software.

Wildlife Research↗

Genomic signatures of thermal adaptation are associated with clinal shifts of life history in a broadly distributed frog

Temperature is a critical driver of ectotherm life-history strategies, whereby a warmer environment is associated with increased growth, reduced longevity and accelerated senescence. Increasing evidence indicates that thermal adaptation may underlie such life-history shifts in wild populations. Single nucleotide polymorphisms (SNPs) and copy number variants (CNVs) can help uncover the molecular mechanisms of temperature-driven variation in growth, longevity and senescence. However, our understanding of these mechanisms is still limited, which reduces our ability to predict the response of non-model ectotherms to global temperature change. In this study, we examined the potential role of thermal adaptation in clinal shifts of life-history traits (i.e. life span, senescence rate and recruitment) in the Columbia spotted frog Rana luteiventris along a broad temperature gradient in the western United States. We took advantage of extensive capture–recapture datasets of 20,033 marked individuals from eight populations surveyed annually for 14–18 years to examine how mean annual temperature and precipitation influenced demographic parameters (i.e. adult survival, life span, senescence rate, recruitment and population growth). After showing that temperature was the main climatic predictor influencing demography, we used RAD-seq data (50,829 SNPs and 6,599 putative CNVs) generated for 352 individuals from 31 breeding sites to identify the genomic signatures of thermal adaptation. Our results showed that temperature was negatively associated with annual adult survival and reproductive life span and positively associated with senescence rate. By contrast, recruitment increased with temperature, promoting the long-term viability of most populations. These temperature-dependent demographic changes were associated with strong genomic signatures of thermal adaptation. We identified 148 SNP candidates associated with temperature including three SNPs located within protein-coding genes regulating resistance to cold and hypoxia, immunity and reproduction in ranids. We also identified 39 CNV candidates (including within 38 transposable elements) for which normalized read depth was associated with temperature. Our study indicates that both SNPs and structural variants are associated with temperature and could eventually be found to play a functional role in clinal shifts in senescence rate and life-history strategies in R. luteiventris . These results highlight the potential role of different sources of molecular variation in the response of ectotherms to environmental temperature variation in the context of global warming.

Journal of Animal Ecology↗