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Disentangling density-dependent dynamics using full annual cycle models and Bayesian model weight updating

Density dependence regulates populations of many species across all taxonomic groups. Understanding density dependence is vital for predicting the effects of climate, habitat loss and/or management actions on wild populations. Migratory species likely experience seasonal changes in the relative influence of density dependence on population processes such as survival and recruitment throughout the annual cycle. These effects must be accounted for when characterizing migratory populations via population models. To evaluate effects of density on seasonal survival and recruitment of a migratory species, we used an existing full annual cycle model framework for American black ducks Anas rubripes , and tested different density effects (including no effects) on survival and recruitment. We then used a Bayesian model weight updating routine to determine which population model best fit observed breeding population survey data between 1990 and 2014. The models that best fit the survey data suggested that survival and recruitment were affected by density dependence and that density effects were stronger on adult survival during the breeding season than during the non-breeding season. Analysis also suggests that regulation of survival and recruitment by density varied over time. Our results showed that different characterizations of density regulations changed every 8–12 years (three times in the 25-year period) for our population. Synthesis and applications . Using a full annual cycle, modelling framework and model weighting routine will be helpful in evaluating density dependence for migratory species in both the short and long term. We used this method to disentangle the seasonal effects of density on the continental American black duck population which will allow managers to better evaluate the effects of habitat loss and potential habitat management actions throughout the annual cycle. The method here may allow researchers to hone in on the proper form and/or strength of density dependence for use in models for conservation recommendations.

Journal of Applied Ecology↗

Perspectives on equitable co-production workshop report

The co-production of knowledge is increasingly recognized as an approach to conducting research intended to achieve a societal impact. In this study, we used a broad definition of co-production, defining it as “a process that brings together diverse groups to iteratively create new knowledge and practices (1).” However, co-production has been defined and conceptualized in a variety of ways (2,3), across multiple domains, including public administration, conservation, health, education, and climate change. Theoretical definitions have been introduced by scholars like Jasanoff (4) and Ostrom (5), but definitions can also be grounded in practice (6). For example, unique definitions of co-production have been advanced for work with Arctic Indigenous Peoples (7), in the context of resource management (8), and for a specific program (9). Other similar processes of engagement, such as community-based participatory research (10), action research (11), civic science (12), community science (13), and post-normal science (14) may have overlap with the concept of co-production and have been used to describe similar processes of collaboration. These distinctions and varying definitions have been discussed extensively elsewhere (see Mach et al. 2020, Wyborn et al. 2019). In the context of co-production, power plays a crucial role in shaping interactions and outcomes. Some scholars and practitioners explicitly consider power dynamics as a central element in their definitions of co-production, recognizing how power imbalances can affect participation, decision-making, and the distribution of benefits. Others, however, might not emphasize power as prominently, focusing more on the collaborative aspects without explicitly addressing the underlying power structures. This leads to divergent objectives and priorities among projects claiming to be co-produced (2,3, 6). Chambers and colleagues (2) discussed how co-production projects in the context of sustainability usually emphasize one or more of six different goals, including: researching solutions, empowering voices, brokering power, reframing power, navigating differences, and reframing agency. Because power dynamics are inherent in co-production (15), equity dimensions should be considered in these definitions and conceptualizations. Yet, in the context of government or academically led climate change research and programs, equity is a relatively new focus, even among programs that have been engaging a co-production approach for decades (9). Alternatively, in some recent work the concept of equity in co-production is explicit, but it has only been considered in a limited context (7). Here, we present a discussion about co-production that is informed by research, practice, and community perspectives across partnerships from a range of regions and topics. We are specifically interested in how different actors in these projects think about equity and work towards more equitable approaches in the context of their co-production work. This understanding is needed, as the federal government has increasingly focused on co-production approaches in the design of their programs and funding calls, and most recently the Biden administration has called on federal agencies to more intentionally center equity for underserved groups of people in their work (16). Furthermore, with the Biden administration’s focus on environmental and climate justice, the opportunity for researchers and their societal partners to engage in co-production is expanding. Numerous programs within federal agencies have embraced a co-production approach, such as the National Oceanic and Atmospheric Administration (NOAA) Climate Adaptation Partnerships (CAP; formerly called the Regional Integrated Sciences and Assessments or RISA program) (9,17), Department of the Interior (DOI) Climate Adaptation Science Centers (CASCs)(18), and the US Department of Agriculture (USDA) Climate Hubs. However, the actual implementation of co-production processes varies significantly (1,19), with multiple implications for the design of equitable partnerships. Researchers, their partners, and funders have frequently cited many tensions and challenges in the successful implementation of co-production, including higher resource demands and few systemic structures for support (20). Practically implementing co-production, especially with people who have been underrepresented in or historically excluded from research activities, must consider fairness and the accessibility of co-production processes. While co-production is often cited as important for environmental governance, issues like power and equity are infrequently addressed (15). To explore this topic, we identified and studied three projects that centered on equity in co-production from three federal climate programs (CASC, CAP, USDA Climate Hubs) in three different regions of the U.S. (Alaska, Northeast, Southeast). We aimed to identify consensus or divergence in perspectives related to equitable co-production processes to elevate effective practices and link co-production research and practice. Findings from interviews and a survey (explained further in Akerlof et al., 2023) informed a twoday hybrid workshop involving participants from the three case studies, as well as individuals representing research, governmental, non-governmental, and community organizations across the United States. Participants also included scholars of co-production, program coordinators, and people who participated in co-production projects on behalf of their communities. Several boundary spanners, those practitioners who work at the intersection of the production and use of science (21,22), also attended the workshop. The goals of the workshop were to discuss and build on what was learned from the three case studies, discuss the three distinct perspectives on equitable co-production that emerged from the pre-workshop research, and draft a framework for equitable co-production processes. During the workshop, participants considered the three perspectives on equitable co-production, defining equitable co-production for each and discussing the practical implications of each, including barriers and priorities for overcoming them. We aimed to address the question: How can federal climate programs support equitable co-production processes?

Report↗

Changes in the structure and function of northern Alaskan ecosystems when considering variable leaf-out times across groupings of species in a dynamic vegetation model

The phenology of arctic ecosystems is driven primarily by abiotic forces, with temperature acting as the main determinant of growing season onset and leaf budburst in the spring. However, while the plant species in arctic ecosystems require differing amounts of accumulated heat for leaf-out, dynamic vegetation models simulated over regional to global scales typically assume some average leaf-out for all of the species within an ecosystem. Here, we make use of air temperature records and observations of spring leaf phenology collected across dominant groupings of species (dwarf birch shrubs, willow shrubs, other deciduous shrubs, grasses, sedges, and forbs) in arctic and boreal ecosystems in Alaska. We then parameterize a dynamic vegetation model based on these data for four types of tundra ecosystems (heath tundra, shrub tundra, wet sedge tundra, and tussock tundra), as well as ecotonal boreal white spruce forest, and perform model simulations for the years 1970 -2100. Over the course of the model simulations, we found changes in ecosystem composition under this new phenology algorithm compared to simulations with the previous phenology algorithm. These changes were the result of the differential timing of leaf-out, as well as the ability for the groupings of species to compete for nitrogen and light availability. Regionally, there were differences in the trends of the carbon pools and fluxes between the new phenology algorithm and the previous phenology algorithm, although these differences depended on the future climate scenario. These findings indicate the importance of leaf phenology data collection by species and across the various ecosystem types within the highly heterogeneous Arctic landscape, and that dynamic vegetation models should consider variation in leaf-out by groupings of species within these ecosystems to make more accurate projections of future plant distributions and carbon cycling in Arctic regions.

Global Change Biology↗

Demographic patterns of Ferocactus cylindraceus in relation to substrate age and grazing history

Three subpopulations of Ferocactus cylindraceus, a short-columnar cactus of the Sonoran and Mojave deserts, were sampled in Grand Canyon, Arizona, USA, at sites representing a range of substrate ages and different grazing histories. Age-height relations were determined from annual growth, then used to estimate probable year of establishment for each cohort. Eight years between 1944 and 1992 were especially favorable for establishment. Six of these 8 years coincided with El Nino-Southern Oscillation conditions, indicating that as for many woody plants in arid regions, somewhat unusual climatic conditions are necessary if populations are to replace themselves. Comparison of age structures showed that established and developing populations have somewhat different dynamics in that the rate of population increase was slowest on the youngest terrace. On the ancient terraces, about half the plants were less than 25 years old. Plants older than 40 years were few; however the oldest plants in the study (about 49 years) grew on the ancient terraces. On the recent terrace, 76% of the subpopulation was 25 years or younger, and the oldest living plant was about 36 years of age. The age structures of subpopulations on grazed and ungrazed sites also differed markedly. On ungrazed sites, subpopulations were more or less at equilibrium, with enough young plants to replace old ones as they died. In contrast, the subpopulation on the grazed site was in a state of marked disequilibrium. Grazing before 1981 largely extirpated a palatable subshrub that was probably an important nurse plant. Until the shrub population at Indian Canyon recovers from decades of burro grazing, a rebound in E cylindraceus establishment is not to be expected.

Plant Ecology↗

Fine-resolution land cover mapping over large and mountainous areas for Lāna‘i, Hawaii using posterior probabilities, and expert knowledge

The task of accurately mapping species-specific vegetation cover in remote and topographically complex regions like those found in Hawaiʻi presents unique challenges. This study leverages a machine learning approach to accurately classify vegetation into fine species-specific classes across the island of Lāna‘i, Hawaii, offering a novel methodology for tackling such challenges. Utilizing high-resolution WordView-2 satellite imagery, a neural network classifier and a custom lidar-based geometric correction, we introduced two new approaches to refine our high-resolution land cover classifications. This included the implementation of prior-based adjustments to class posterior probabilities to enhance land cover classification accuracy. Moreover, we developed mixed hierarchical classification maps that use class posterior probabilities to identify, at the pixel level, the finest land cover class that meets a user-defined confidence threshold. The resulting high-resolution land cover map for Lāna‘i captures the rich diversity and distribution of native and invasive plant species with high overall accuracy, generally exceeding 95%, based on independent ground control data. The capacity to produce wall-to-wall species-level vegetation maps provides a new window into monitoring vegetation dynamics on Lāna‘i and similarly remote and topographically complex regions, and contributes to our broader understanding of ecosystem responses to invasive species, climatic changes, and land management practices such as erosion and sediment control planning. Our approach offers a blueprint for similar efforts in other complex and remote ecosystems.

Hawaii↗

Interactive range‐limit theory (iRLT): An extension for predicting range shifts

A central theme of range‐limit theory (RLT) posits that abiotic factors form high‐latitude/altitude limits, whereas biotic interactions create lower limits. This hypothesis, often credited to Charles Darwin, is a pattern widely assumed to occur in nature. However, abiotic factors can impose constraints on both limits and there is scant evidence to support the latter prediction. Deviations from these predictions may arise from correlations between abiotic factors and biotic interactions, as a lack of data to evaluate the hypothesis, or be an artifact of scale. Combining two tenets of ecology—niche theory and predator–prey theory—provides an opportunity to understand how biotic interactions influence range limits and how this varies by trophic level. We propose an expansion of RLT, interactive RLT (iRLT), to understand the causes of range limits and predict range shifts. Incorporating the main predictions of Darwin's hypothesis, iRLT hypothesizes that abiotic and biotic factors can interact to impact both limits of a species’ range. We summarize current thinking on range limits and perform an integrative review to evaluate support for iRLT and trophic differences along range margins, surveying the mammal community along the boreal‐temperate and forest‐tundra ecotones of North America. Our review suggests that range‐limit dynamics are more nuanced and interactive than classically predicted by RLT. Many (57 of 70) studies indicate that biotic factors can ameliorate harsh climatic conditions along high‐latitude/altitude limits. Conversely, abiotic factors can also mediate biotic interactions along low‐latitude/altitude limits (44 of 68 studies). Both scenarios facilitate range expansion, contraction or stability depending on the strength and the direction of the abiotic or biotic factors. As predicted, biotic interactions most often occurred along lower limits, yet there were trophic differences. Carnivores were only limited by competitive interactions ( n = 25), whereas herbivores were more influenced by predation and parasitism (77%; 55 of 71 studies). We highlight how these differences may create divergent range patterns along lower limits. We conclude by (a) summarizing iRLT; (b) contrasting how our model system and others fit this hypothesis and (c) suggesting future directions for evaluating iRLT.

Journal of Animal Ecology↗

Breeding dynamics of gopher frog metapopulations over 10 years

Populations of amphibians that breed in isolated, ephemeral wetlands may be particularly sensitive to breeding and recruitment rates, which can be influenced by dynamic and difficult-to-predict extrinsic factors. The gopher frog Rana capito is a declining species currently proposed for listing under the U.S. Endangered Species Act, as well as one of many pond-breeding amphibians of conservation concern in the southeastern United States. To represent gopher frog breeding dynamics, we applied an occupancy modeling framework that integrated multiple data sets collected across the species' range to 1) estimate the influence of climate, habitat, and other factors on wetland-specific seasonal breeding probabilities; and 2) use those estimates to characterize seasonal, annual, and regional breeding patterns over a 10-y period. Breeding probability at a wetland was positively influenced by seasonal precipitation (Standardized Precipitation Index) and negatively influenced by fish presence. We found some evidence that the amount of suitable habitat surrounding a wetland was positively correlated with breeding probability during drought conditions. The percentage of sampled wetlands ( N = 192) predicted to have breeding varied seasonally, annually, and regionally across the study. Within-year temporal patterns of breeding differed across the range: in most locations north of Florida, peaks of breeding occurred in winter and spring months; whereas breeding was more dispersed throughout the year in Florida. Peaks of breeding across the 10-y period often occurred during or in the season following high rainfall events (e.g., hurricanes). These results have direct applications for site-level management that aims to increase successful breeding opportunities of gopher frogs and other associated pond-breeding amphibians, including monitoring protocol and intensity, removal of fish, and improving terrestrial habitat conditions surrounding wetlands (e.g., via tree or shrub removal and prescribed fire). The results also have implications for better-informed management through the closer alignment of breeding activity monitoring with predicted seasonal peaks. Furthermore, estimates of breeding frequency can be incorporated into population viability analyses to inform forthcoming assessments of extinction risk and designation of the species' conservation status by the U.S. Fish and Wildlife Service.

Alabama, Florida, Georgia, North Carolina, South C↗

Regional demographic trends from long-term studies of saguaro ( Carnegiea gigantea ) across the northern Sonoran Desert

Ten saguaro ( Carnegiea gigantea ) populations in the northern Sonoran Desert were monitored from 1959 to 2005 to discriminate how climate influences plant growth, abundance, reproductive potential, survivorship, age structure and regeneration trends. Thousands of saguaros were measured to determine site-specific growth rates and survivorship through time. Observed growth rates were used to predict the ages of saguaros and reconstruct local and regional regeneration patterns back to the late 18th century. Both growth rates and degree of branching generally tracked temperature and moisture gradients. Site-specific age-height models explained 89-97% of variance in observed ages, with a slope of nearly one. Regeneration was more consistent at sites in the western (hotter/drier) than eastern (cooler/wetter) sites, which exhibited clear multidecadal variability in regeneration rates. Averaged across the region, saguaro regeneration rates were highest from 1780 to 1860, coincident with wet conditions and high Pinus ponderosa recruitment in the highlands. Milder and wetter winters and protection from livestock grazing likely promoted late 20th century regeneration surges at some sites. Predictions of saguaro population dynamics in the 21st century likely will be confounded by the saguaro's episodic and asynchronous regeneration, continued urbanization, ongoing grass invasions and associated wildfires, and changing climate.

Arizona↗

Modelling the effects of seasonality and socioeconomic impact on the transmission of Rift Valley fever virus

Rift Valley fever (RVF) is an important mosquito-borne viral zoonosis in Africa and the Middle East that causes human deaths and significant economic losses due to huge incidences of death and abortion among infected livestock. Outbreaks of RVF are sporadic and associated with both seasonal and socioeconomic effects. Here we propose an almost periodic three-patch model to investigate the transmission dynamics of RVF virus (RVFV) among ruminants with spatial movements. Our findings indicate that, in Northeastern Africa, human activities, including those associated with the Eid al Adha feast, along with a combination of climatic factors such as rainfall level and hydrological variations, contribute to the transmission and dispersal of the disease pathogen. Moreover, sporadic outbreaks may occur when the two events occur together: 1) abundant livestock are recruited into areas at risk from RVF due to the demand for the religious festival and 2) abundant numbers of mosquitoes emerge. These two factors have been shown to have impacts on the severity of RVF outbreaks. Our numerical results present the transmission dynamics of the disease pathogen over both short and long periods of time, particularly during the festival time. Further, we investigate the impact on patterns of disease outbreaks in each patch brought by festival- and seasonal-driven factors, such as the number of livestock imported daily, the animal transportation speed from patch to patch, and the death rate induced by ceremonial sacrifices. In addition, our simulations show that when the time for festival preparation starts earlier than usual, the risk of massive disease outbreaks rises, particularly in patch 3 (the place where the religious ceremony will be held).

PLoS Neglected Tropical Diseases↗

Toward salt marsh harvest mouse recovery: A review

The salt marsh harvest mouse (SMHM, Reithrodontomys raviventris ) is an endangered species, endemic to the San Francisco Estuary. Despite being protected for almost half a century and being included in a large number of recovery, restoration, and management plans, significant data gaps hinder conservation and management of the species, a challenge further complicated by developing threats such as climate change. In this review, we present the current state of knowledge; highlight research gaps on habitat requirements and distribution, taxonomic status and genetic structure, physiology, reproduction and demographics, population dynamics, and behavior and community interactions; and present an overview of threats to the species. Our review indicates that substantial data gaps exist; although some aspects of SMHM ecology, such as habitat use, have been addressed extensively, others, such as the effects of environmental contamination, are largely unaddressed. We suggest that conservation and restoration-planning processes consider experimental approaches within restoration designs to address these deficiencies. Continued investment in basic and applied SMHM ecology to collect baseline and long-term data will also be beneficial. Additionally, further coordination among managers and researchers can facilitate more effective responses to uncertainties and emerging threats, especially climate change, which threatens the SMHM and its habitat throughout its range.

San Francisco Estuary and Watershed Science↗

Permafrost thaw controls iron flux from wetlands and sulfide-bearing rocks to Arctic rivers and streams

Recent warming has caused widespread iron mobilization into Arctic waterbodies that degrades ecosystems and threatens natural resources. Yet, understanding where and when iron flux occurs remains limited. Here, we investigate iron loading across regional to local scales in Arctic Alaska using climate, water chemistry, and borehole data together with mapped geology and permafrost presence. We show that both anoxic microbial iron reduction and acid rock drainage from iron-sulfide oxidation mobilize iron. Iron influx is strongly associated with lowland wetlands, sulfide-rich upland bedrock, and near-surface permafrost. Acid rock drainage chemistry correlates very strongly with the depth of seasonal thaw above permafrost from the previous year, indicating a one-year lag. These findings clarify the spatial and temporal dynamics of Arctic river rusting, provide a mechanistic understanding of the phenomenon, and may allow anticipation of its occurrence and assessment of its implications for aquatic ecosystem health and subsistence resources under ongoing climate change.

Alaska↗

On the reconstruction of palaeo-ice sheets: Recent advances and future challenges

Reconstructing the growth and decay of palaeo-ice sheets is critical to understanding mechanisms of global climate change and associated sea-level fluctuations in the past, present and future. The significance of palaeo-ice sheets is further underlined by the broad range of disciplines concerned with reconstructing their behaviour, many of which have undergone a rapid expansion since the 1980s. In particular, there has been a major increase in the size and qualitative diversity of empirical data used to reconstruct and date ice sheets, and major improvements in our ability to simulate their dynamics in numerical ice sheet models. These developments have made it increasingly necessary to forge interdisciplinary links between sub-disciplines and to link numerical modelling with observations and dating of proxy records. The aim of this paper is to evaluate recent developments in the methods used to reconstruct ice sheets and outline some key challenges that remain, with an emphasis on how future work might integrate terrestrial and marine evidence together with numerical modelling. Our focus is on pan-ice sheet reconstructions of the last deglaciation, but regional case studies are used to illustrate methodological achievements, challenges and opportunities. Whilst various disciplines have made important progress in our understanding of ice-sheet dynamics, it is clear that data-model integration remains under-used, and that uncertainties remain poorly quantified in both empirically-based and numerical ice-sheet reconstructions. The representation of past climate will continue to be the largest source of uncertainty for numerical modelling. As such, palaeo-observations are critical to constrain and validate modelling. State-of-the-art numerical models will continue to improve both in model resolution and in the breadth of inclusion of relevant processes, thereby enabling more accurate and more direct comparison with the increasing range of palaeo-observations. Thus, the capability is developing to use all relevant palaeo-records to more strongly constrain deglacial (and to a lesser extent pre-LGM) ice sheet evolution. In working towards that goal, the accurate representation of uncertainties is required for both constraint data and model outputs. Close cooperation between modelling and data-gathering communities is essential to ensure this capability is realised and continues to progress.

Quaternary Science Reviews↗

Change in agricultural land use constrains adaptation of national wildlife refuges to climate change

Land-use change around protected areas limits their ability to conserve biodiversity by altering ecological processes such as natural hydrologic and disturbance regimes, facilitating species invasions, and interfering with dispersal of organisms. This paper informs USA National Wildlife Refuge System conservation planning by predicting future land-use change on lands within 25 km distance of 461 refuges in the USA using an econometric model. The model contained two differing policy scenarios, namely a ‘business-as-usual’ scenario and a ‘pro-agriculture’ scenario. Regardless of scenario, by 2051, forest cover and urban land use were predicted to increase around refuges, while the extent of range and pasture was predicted to decrease; cropland use decreased under the business-as-usual scenario, but increased under the pro-agriculture scenario. Increasing agricultural land value under the pro-agriculture scenario slowed an expected increase in forest around refuges, and doubled the rate of range and pasture loss. Intensity of land-use change on lands surrounding refuges differed by regions. Regional differences among scenarios revealed that an understanding of regional and local land-use dynamics and management options was an essential requirement to effectively manage these conserved lands. Such knowledge is particularly important given the predicted need to adapt to a changing global climate.

Environmental Conservation↗

Late-Quaternary vegetation, climate, and fire history of the Southeast Atlantic Coastal Plain based on a 30,000-yr multiple-proxy record from White Pond, South Carolina (USA)

The patterns and drivers of late Quaternary vegetation dynamics in the southeastern United States are poorly understood due to low site density, problematic chronologies, and a paucity of independent paleoclimate proxy records. We present a well-dated (15 accelerator mass spectrometry 14 C dates) 30,000-yr record from White Pond, South Carolina that consists of high-resolution analyses of fossil pollen, macroscopic charcoal, and Sporormiella spores, and an independent paleotemperature reconstruction based on branched glycerol dialkyl tetraethers. Between 30,000 and 20,000 cal yr BP, open Pinus-Picea forest grew under cold and dry conditions; elevated Quercus before 26,000 cal yr BP, however, suggest warmer conditions in the Southeast before the last glacial maximum, possibly corresponding to regionally warmer conditions associated with Heinrich event H2. Warming between 19,700 and 10,400 cal yr BP was accompanied by a transition from conifer-dominated to mesic hardwood forest. Sporormiella spores were not detected and charcoal was low during the late glacial period, suggesting megaherbivore grazers and fire were not locally important agents of vegetation change. Pinus returned to dominance during the Holocene, with step-like increases in Pinus at 10,400 and 6400 cal yr BP, while charcoal abundance increased tenfold, likely due to increased biomass burning associated with warmer conditions. Low-intensity surface fires increased after 1200 cal yr BP, possibly related to the establishment of the Mississippian culture in the Southeast.

South Carolina↗

Limited directional change in mountaintop plant communities over 19 years in western North America

Plant communities on mountain summits are commonly long-lived, cold-adapted perennials with low dispersal ability. These characteristics in tandem with limited area to track suitable conditions make these mountain communities potentially highly vulnerable to climate change, and indicators of climate change impacts. We investigated temporal changes in plant communities on 29 arid mountain summits across eight study regions in California and Nevada, USA, over 19 years. We analyzed community dynamics in terms of species richness, turnover, gain and loss of functional groups, and relative abundance of functional groups. First, across all summits and regions, we found no change in species richness over time. Second, there was relatively high species turnover (21.7%) between the five-year survey intervals, but turnover was not significantly different from random expectation. Within functional groups, forbs had the greatest proportion of gains and cushions had the greatest proportion of losses. Third, qualitative abundance categories presented a small but consistent signal of decrease in the relative abundance of cushions, graminoids, and shrubs/trees over the study period. Across a broad geographic scale and nearly two decades, community patterns were widely similar, suggesting that climate change has not impacted local colonization or extirpation of mountaintop species in this arid region. These findings support observed differences in response to climate change between temperature-limited and water-limited regions globally, and highlight the lagged and variable nature of high-elevation systems. Our findings fill a major data gap on alpine plant community responses to climate change in the western United States and bolster the importance of long-term ecological monitoring with rapid climate change.

California, Nevada↗

Monitoring the Riverine Pulse: Applying high-frequency nitrate data to advance integrative understanding of biogeochemical and hydrological processes

Widespread deployment of sensors that measure river nitrate (NO3-) concentrations has led to many recent publications in water resources journals including review papers focused on data quality assurance, improved load calculations, and better nutrient management. The principal objective of this paper is to review and synthesize studies of high-frequency NO3- data that have aimed to improve understanding of the hydrologic and biogeochemical processes underlying episodic, diel, and long-term stream NO3- dynamics. Investigations have provided unprecedented detail on hysteresis and flushing patterns during high flow, seasonal variation during baseflow, and responses to multi-year climate variation. Analyses of high-frequency data have led to notable advances in understanding how climate variation affects spatial and temporal NO3- patterns, especially dry-wet cycles and antecedent moisture. Further advances have been limited by few investigations that include high-frequency measurements outside the channel and the short duration of many records. High-frequency data for multiple constituents have provided new insight to the relative roles of hydrology and biogeochemistry as highlighted by studies of the roles of autotrophic uptake, denitrification, riparian evapotranspiration, and temperature-driven changes in viscosity as drivers of diel patterns. Comparisons of short-duration high-frequency data with long-duration low frequency data have described similarities and differences in concentration – discharge patterns and highlighted the role of legacy stores. Investigators have applied innovative analysis approaches not previously possible with low-frequency or temporally-irregular data. Future availability of long-duration high-frequency data will provide new insight to processes, resulting in improved conceptual models and a deeper understanding of the role of climate variation.

WIREs Water↗

Long-term persistence and fire resilience of oak shrubfields in dry conifer forests of northern New Mexico

Extensive high-severity fires are creating large shrubfields in many dry conifer forests of the interior western USA, raising concerns about forest-to-shrub conversion. This study evaluates the role of disturbance in shrubfield formation, maintenance and succession in the Jemez Mountains, New Mexico. We compared the environmental conditions of extant Gambel oak ( Quercus gambelii ) shrubfields with adjoining dry conifer forests and used dendroecological methods to determine the multi-century fire history and successional dynamics of five of the largest shrubfields (76–340 ha). Across the study area, 349 shrubfields (5–368 ha) occur in similar topographic and climate settings as dry conifer forests. This suggests disturbance, rather than other biophysical factors, may explain their origins and persistence. Gambel oak ages and tree-ring fire scars in our sampled shrubfields indicate they historically (1664–1899) burned concurrently with adjoining conifer forests and have persisted for over 115 years in the absence of fire. Aerial imagery from 1935 confirmed almost no change in sampled shrubfield patch sizes or boundaries over the twentieth century. The largest shrubfield we identified is less than 4% the size of the largest conifer-depleted and substantially shrub-dominated area recently formed in the Jemez following extensive high-severity wildfires, indicating considerable departure from historical patterns and processes. Projected hotter droughts and increasingly large high-severity fires could trigger more forest-to-shrub transitions and maintain existing shrubfields, inhibiting conifer forest recovery. Restoration of surface fire regimes and associated historical forest structures likely could reduce the rate and patch size of dry conifer forests being converted to shrubfields.

New Mexico↗