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At least 973 records · Page 54Linked to original sources

Mangrove forest distributions and dynamics (1975–2005) of the tsunami-affected region of Asia

Aim We aimed to estimate the present extent of tsunami-affected mangrove forests and determine the rates and causes of deforestation from 1975 to 2005. Location Our study region covers the tsunami-affected coastal areas of Indonesia, Malaysia, Thailand, Burma (Myanmar), Bangladesh, India and Sri Lanka in Asia. Methods We interpreted time-series Landsat data using a hybrid supervised and unsupervised classification approach. Landsat data were geometrically corrected to an accuracy of plus-or-minus half a pixel, an accuracy necessary for change analysis. Each image was normalized for solar irradiance by converting digital number values to the top-of-the atmosphere reflectance. Ground truth data and existing maps and data bases were used to select training samples and also for iterative labelling. We used a post-classification change detection approach. Results were validated with the help of local experts and/or high-resolution commercial satellite data. Results The region lost 12% of its mangrove forests from 1975 to 2005, to a present extent of c . 1,670,000 ha. Rates and causes of deforestation varied both spatially and temporally. Annual deforestation was highest in Burma ( c . 1%) and lowest in Sri Lanka (0.1%). In contrast, mangrove forests in India and Bangladesh remained unchanged or gained a small percentage. Net deforestation peaked at 137,000 ha during 1990–2000, increasing from 97,000 ha during 1975–90, and declining to 14,000 ha during 2000–05. The major causes of deforestation were agricultural expansion (81%), aquaculture (12%) and urban development (2%). Main conclusions We assessed and monitored mangrove forests in the tsunami-affected region of Asia using the historical archive of Landsat data. We also measured the rates of change and determined possible causes. The results of our study can be used to better understand the role of mangrove forests in saving lives and property from natural disasters such as the Indian Ocean tsunami, and to identify possible areas for conservation, restoration and rehabilitation.

Journal of Biogeography↗

Mineral surveys by the Geological Survey and the Bureau of Mines of Bureau of Land Management Wilderness Study Areas

The Federal Land Policy and Management Act of 1976 instructed the Bureau of Land Management (BLM) to review all public lands under its jurisdiction and to determine their suitability or nonsuitability for wilderness designation. As part of this process, the Geological Survey and the Bureau of Mines conduct mineral surveys of areas for which a preliminary determination of wilderness suitability has been made. The BLM has completed its wilderness inventory phase and has found that 23.2 million acres deserve further study for wilderness consideration. These 23.2 million acres of wilderness study areas include 1 million acres of natural and primitive areas (Instant Study Areas), 5.7 million acres in the California Desert Conservation Area, and 16.5 million acres in other wilderness study areas. Mineral surveys on all areas recommended for wilderness will be completed by 1990.

Circular↗

The influence of local- and landscape-level factors on wetland breeding birds in the Prairie Pothole Region of North and South Dakota

We examined the relationship between local- (wetland) and landscape-level factors and breeding bird abundances on 1,190 depressional wetlands in the Prairie Pothole Region of North and South Dakota during the breeding seasons in 1995–97. The surveyed wetlands were selected from five wetland classes (alkali, permanent, semipermanent, seasonal, or temporary), two wetland types (natural or restored), and two landowner groups (private or Federal). We recorded 133 species of birds in the surveyed wetlands during the 3 years. We analyzed the nine most common (or focal) species (that is, species that were present in 25 percent or more of the 1,190 wetlands): the Red-winged Blackbird ( Agelaius phoeniceus ), Blue-winged Teal ( Anas discors ), Mallard (Anas platyrhynchos ), American Coot ( Fulica americana ), Gadwall ( Anas strepera ), Common Yellowthroat ( Geothlypis trichas ), Yellow-headed Blackbird ( Xanthocephalus xanthocephalus ), Northern Shoveler ( Anas clypeata ), and Savannah Sparrow ( Passerculus sandwichensis ). Our results emphasize the ecological value of all wetland classes, natural and restored wetlands, and publicly and privately owned wetlands in this region, including wetlands that are generally smaller and shallower (that is, temporary and seasonal wetlands) and thus most vulnerable to drainage. Blue-winged Teal, Northern Shoveler, Gadwall, Common Yellowthroat, and Red-winged Blackbird had higher abundances on Federal than on private wetlands. Abundances differed among wetland classes for seven of the nine focal species: Blue-winged Teal, Northern Shoveler, Mallard, American Coot, Common Yellowthroat, Yellow-headed Blackbird, Red-winged Blackbird. American Coot had higher abundances on restored wetlands than on natural wetlands overall, and Gadwall and Common Yellowthroat had higher abundances on private restored wetlands than on private natural wetlands. The Common Yellowthroat was the only species that had higher abundances on restored private wetlands than on restored Federal wetlands. After adjusting for wetland size and the date and location of the surveys, our results demonstrated that incorporating wetland- and landscape-level factors in models can improve our ability to predict abundances of wetland birds in this region. The top model for eight of the nine focal species included wetland- and landscape-level factors, whereas the best model for Blue-winged Teal included only wetland-level attributes. Although local factors (for example, percent open water or emergent vegetation) in individual wetlands are important factors for some wetland breeding birds, it is important that natural resource managers consider landscape-level factors beyond the local factors in their conservation plans for wetland birds.

North Dakota, South Dakota↗

Hydrogeology and ground-water-flow simulation in the former airfield area of Naval Support Activity Mid-South, Millington, Tennessee

Naval Support Activity Mid-South is a Department of the Navy base located in Millington, Tennessee. The facility was home to the Naval Aviation Technical Training Center from 1943 until 1996. As part of the Base Closure and Realignment Act of 1990, the primary training mission of the facility was realigned and most of the northern part of the base, referred to as the Northside and consisting primarily of an airfield, was transferred to the city of Millington in January 2000. During environmental investigations at the base, plumes of dissolved chlorinated solvents resulting from past aircraft maintenance and training operations were identified in shallow ground water beneath the airfield area. The airfield area containing the plumes has been designated as Area of Concern (AOC) A. Chlorinated solvents, primarily trichloroethene (TCE), are the principal contaminants in ground water at AOC A, with TCE identified in concentrations as high as 4,400 micrograms per liter. The nature and extent of these plumes at AOC A were addressed during a Resource Conservation and Recovery Act Facility Investigation, and selected options for remediation currently are being implemented under a corrective action program. As part of these efforts, the U.S. Geological Survey (USGS) is working with the Navy and its consultants to study the hydrogeologic framework of the base and surrounding area, with a focus on AOC A. Since 1997, investigations at and near the facility have produced data prompting revisions and additions to information published that year in two USGS reports. The updates are presented in this report and consist primarily of (1) refinements to selected hydrogeologic maps presented in the 1997 reports, on the basis of data collected from new wells at on- and off-base locations, (2) additional hydraulic-conductivity data collected for the alluvial-fluvial deposits aquifer at AOC A, and (3) construction of a potentiometric-surface map of the shallow aquifer for the former part of the Naval Support Activity Mid-South Northside and adjacent off-base locations for February and March 2000 water-level conditions. Additionally, a numerical ground-water-flow model of AOC A was developed and calibrated to the February and March 2000 potentiometric-surface data, the results of which also are presented in this report. Particle-tracking simulations were used with the model to simulate ground-water-flow paths from two sites suspected of being contaminant source areas at AOC A. The flow paths indicated by the particle tracking simulations agree reasonably well with maps of the interpreted extents of TCE plumes. The time-of-travel plots show that advective travel times from the two suspected source areas to the model boundary are controlled by relative proximities of the source areas to a part of AOC A identified from investigations and simulated with the model as having the highest horizontal hydraulic conductivity.

Tennessee↗

Direction of ground-water flow in the surficial aquifer in the vicinity of impact areas G-10 and K-2, Camp Lejeune Marine Corps Base, North Carolina, 2004

Marine Corps Base Camp Lejeune is located in Onslow County in the North Carolina Coastal Plain. In support of North Carolina Department of Environment and Natural Resource requirements, Camp Lejeune is developing a site closure plan for two Resource Conservation and Recovery Act (RCRA) regulated open burn/open detonation (OB/OD) facilities located within Impact Area K-2 and Impact Area G-10, respectively. Both Impact Areas are used for training activities involving live artillery fire. The two OB/OD facilities are used to treat RCRA regulated waste munitions. To provide Base officials with information needed for assessing the quality of ground water at these sites, hydrologic data were used to characterize groundwater flow directions and hydraulic gradients in the surficial aquifer underlying the Impact Areas. Water-level data in the unconfined surficial aquifer and potentiometric head data in the underlying Castle Hayne aquifer were compiled from existing and newly drilled wells. Water-table contour maps were developed for Impact Areas K-2 and G-10 to examine the direction of ground-water flow in the surficial aquifer. The primary directions of ground-water flow beneath K-2 are southward and eastward toward discharge zones along the New River and its tributaries. Beneath interior areas of G-10, water in the surficial aquifer flows outward in all directions toward discharge zones along local streams that drain westward to the New River or to streams that drain southward and eastward to the Intracoastal Waterway and the Atlantic Ocean. Long-term water-level data for the period October 1994 through September 2004 at selected Camp Lejeune well sites were used to examine trends in ground-water levels and vertical hydraulic gradients between the surficial and Castle Hayne aquifers. Evaluation of water-level data for three wells in the surficial aquifer indicated no significant trends for this period of record. The apparent water-level declines in two of the three Castle Hayne wells examined are likely the result of local pumping of the Castle Hayne aquifer. Vertical hydraulic gradients determined for two well cluster sites indicate a downward flow of water from the surficial aquifer into the underlying Castle Hayne aquifer.

Scientific Investigations Report↗

Assessing the spawning movement and habitat needs of riverine Neosho Smallmouth Bass

Stream fishes are vulnerable to a variety of natural and anthropogenic stressors. Information on fish movements and habitat use is essential to conserve and manage populations, particularly at the edges of distributions and novel habitats. The Neosho Smallmouth Bass Micropterus dolomieu velox is endemic to the southwestern Ozark Highlands ecoregion, where the riverscape is highly dissected by impoundments. Our study objectives were to determine the pre-spawn, spawn, and post-spawn movements of adult, radio-tagged Neosho Smallmouth Bass, and identify the habitat factors at multiple spatial scales related to suitable spawning habitat. Movements by tagged fish in the Elk River of Oklahoma and Missouri and two Oklahoma tributaries draining to lower Elk River and Grand Lake O’ the Cherokee were greatest during the spring spawning period and were positively related to discharge and fish size; however, we observed considerable individual and stream-specific variability. Temperature and fish movement rate in the Elk River were positively related in all seasons except for winter, although temperature was less important for Smallmouth Bass movement in the smaller streams. Tagged fish were never detected using active or passive telemetry in the reservoir or reservoir-river interface except during periods of lotic character (i.e., the reservoir was not pooled above the Buffalo Creek-Elk River confluence). Nests were typically located at intermediate depths (mean = 0.8 m; SD = 0.3) and in low velocity habitats (0.0–0.2 m/s). Most of the nests examined comprised gravel substrates; however, 2.5% of the nests observed were located on full or partial bedrock substrate. We also documented nest clustering behavior by Neosho Smallmouth Bass (i.e., adjacent nests within 2 m of each other); 66 nest clusters were identified across 22 stream reaches. Cluster presence was more prevalent in warmer stream reaches with wide, shallow channels, and less likely in groundwater-gaining reaches, whereas overall nest abundance was greater in warmer streams and reaches with deeper pools. We showed the importance of both warmer streams and deep pools of small streams for Smallmouth Bass rearing (i.e., young-of-year abundance). We found negative relationships between floods and first-year juvenile survival and show the importance of stream network position (i.e., adjacency to larger streams) for mitigating the negative effects of July floods. Our analyses of both nesting and young-of-year habitat use suggest small streams, typically not considered important to many fisheries, are responsible for a proportion of Neosho Smallmouth Bass production. Further, consideration of management actions restricting take during the early spawning season may be warranted due to the unique nesting behavior (i.e., clustering) exhibited by this subspecies.

Arkansas, Missouri, Kansas, Oklahoma↗

Land use and sediment yield

When the vegetal cover is removed from a land surface, the rate of removal of the soil material, at least initially, increases rapidly. So well known is this principle that it hardly needs restatement. If attention is focused on any individual drainage basin in its natural state, large or small, and inquiry is made as to the rate of denudation, a quantitative answer is not easily obtained. The possible error in any computation of rate of sediment production from any given drainage basin is considerable. Significant variations are found in sediment yields from closely adjacent watersheds which appear to be generally similar. To make a quantitative evaluation of the change in the rate of denudation when the natural vegetation is disturbed is, therefore, even more difficult. Considering the fact that "soil conservation" has been promoted to the status of a science, our lack of ability to answer what is apparently so simple a question may seem surprising. Let us look at some of the reasons.

Conference Paper↗

Application and utility of a low-cost unmanned aerial system to manage and conserve aquatic resources in four Texas rivers

Low-cost unmanned aerial systems (UAS) have recently gained increasing attention in natural resources management due to their versatility and demonstrated utility in collection of high-resolution, temporally-specific geospatial data. This study applied low-cost UAS to support the geospatial data needs of aquatic resources management projects in four Texas rivers. Specifically, a UAS was used to (1) map invasive salt cedar (multiple species in the genus Tamarix) that have degraded instream habitat conditions in the Pease River, (2) map instream meso-habitats and structural habitat features (e.g., boulders, woody debris) in the South Llano River as a baseline prior to watershed-scale habitat improvements, (3) map enduring pools in the Blanco River during drought conditions to guide smallmouth bass removal efforts, and (4) quantify river use by anglers in the Guadalupe River. These four case studies represent an initial step toward assessing the full range of UAS applications in aquatic resources management, including their ability to offer potential cost savings, time efficiencies, and higher quality data over traditional survey methods.

Texas↗

Assessing the risk of non-native marine species in the Bering Sea

Invasive species are one of the leading global conservation concerns, which can have strong, negative impacts on ecosystems, vulnerable species, and valuable natural resources. Arctic regions have experienced a relatively low number of biological introductions to date. Their geographical remoteness, cold waters, and presence of sea ice present challenging conditions for both non-native organisms and the vessels that transport them, presumably leading to low rates of introduction and establishment. However, observed increases in water temperatures reductions in sea ice, and projected increases in shipping traffic are expected to render arctic marine regions more susceptible to the arrival and colonization of marine invasives. Risk assessments for these Arctic regions are important to inform management and monitoring priorities by determining which species pose the greatest risk. To this end, we developed a ranking system for non-native marine species and used this system to assess the risk of non-native species to the Bering Sea. Using species’ published physiological tolerances, we mapped habitat suitability under current and future climate scenarios to identify geographic areas of current and future concern. In addition, we described shipping traffic from commercial and fishing vessels to identify ports of entry for non-native species. Collectively, these analyses identify which marine species have the greatest risk for invasion, where in the Bering Sea invasion risk and species establishment is greatest, and which ports are most likely to serve as an entry point for marine invasives into Alaska’s Bering Sea. The ranking system we developed for non-native marine species consists of 33 questions grouped into five categories. The first four categories evaluate a species’ ability to arrive and establish in the Bering Sea, its reliance on humans for introductions, its biology, and its impacts on ecological and human systems. The fifth category is not included in the total ranking score, but provides information on management considerations. The ranking system has methods to account for data deficiencies and calculates these deficiencies to allow readers to weigh the lack of knowledge with the ranking score. We prioritized non-native species for ranking based on their geographic proximity to the Bering Sea. We evaluated 46 species and ranking scores ranged from 29.1 to 74.3 (out of a possible 100), with highest scores indicating greatest risk. Taxonomy at the level of phylum did not explain variation in ranking values, likely due to the substantial biological variation relative to our ranking criteria among members of the same phylum. To investigate where non-native species may survive and persist in the Bering Sea, we compared species’ temperature and salinity thresholds to environmental conditions of the Bering Sea. Environmental conditions were obtained from three Regional Ocean Modeling Systems (ROMS) and investigated under two time periods: current (2003-2012) and mid-century (2030-2039). We identified potential habitat for survival for 42 species, and potential habitat for reproduction for 29 species. Under current conditions, all species had temperature and salinity thresholds that would allow survival in the Bering Sea for at least part of the year, and most species (79% to 83%) had thresholds that would allow for survival year-round. For species with temperature and salinity thresholds unsuitable for survival in the Bering Sea, winter temperatures appear to be the limiting factor. Most species had six to nine weeks of suitable conditions for reproduction. Future increases in water temperatures are expected to open more habitat for marine invasives. Two of the three ROMs project an increase in the number of non-native species that would be able to survive year-round by mid-century. Moreover, models project between 37% and 60% of the Bering Sea shelf habitat to become more suitable under mid-century climate condition.

Alaska↗

Modelling effects of invasive species and drought on crayfish extinction risk and population dynamics

Hydrological alteration, which may be exacerbated by climate change, is known to facilitate aquatic species invasion. Altered hydrology, invasive species, and the additive effects of these stressors pose a threat to aquatic biodiversity. Understanding extinction risk in the context of these stressors is crucial for prioritizing conservation efforts. As case studies, three narrow‐ranged endemic crayfish species of conservation concern ( Faxonius marchandi , Faxonius roberti , and Cambarus hubbsi ) in the Ozark Highlands of Arkansas and Missouri, USA, were used to examine the effects of invasive species and drought on crayfish population dynamics. The objectives of this study were to model the population dynamics of these imperilled species, assess how these populations may be affected under increased invasion effects and intensified drought, determine potential refuge effects, and examine the sensitivity of quasi‐extinction to model parameters. ramas‐metapop was used to construct stage‐based demographic models. Terminal extinction risk, median time to quasi‐extinction, and metapopulation occupancy were used to assess population viability under different scenarios. Cambarus hubbsi appears to be highly susceptible to decline if survival rates are reduced by simulated drought, as they have low reproductive potential and mature slowly. Models indicated that potential refuges allow F. roberti and C. hubbsi to persist, even when invasion and drought effects were extreme. Conversely, barriers to dispersal for F. marchandi led to reduced quasi‐extinction times and the greatest extinction risk under most invasion scenarios. Quasi‐extinction was most sensitive to changes in juvenile survival for all species examined, which indicates that improved estimates of stage‐specific demographic parameters for crayfish will improve model predictions. An increased understanding of the mechanisms of displacement of native crayfish by invasive crayfish is needed for most crayfish species. Limiting the spread of invasive species, maintaining natural habitat and hydrological regimes, and gaining insight into life histories and demographic parameters will increase the ability to conserve endemic and imperilled crayfish.

Arkansas, Missouri↗

Using systematic conservation planning to recover climate resilient habitat for threatened and endangered species while retaining areas of cultural importance

The effective management of at-risk species often requires fine-scale actions by natural resource managers. However, balancing these actions with concurrent land uses is challenging, particularly when compounded by the interplay of climate shifts, and escalating wildland–urban interface conflicts. We used spatial prioritization tools designed for biodiversity conservation to help resource managers on the Island of Lānaʻi prioritize mutually exclusive land use objectives: endangered species recovery and subsistence and recreational hunting. We weighed the current and anticipated future distributions of threatened and endangered plant species against the distribution of non-native game mammals to plan for species recovery more effectively. Prioritization results identified multiple footprints that could support recovery of all endangered species targets in climate resilient areas while retaining the majority of existing hunting areas. However, very little native vegetation was retained in conservation footprints without deliberate inclusion, which increased footprint area by 268%. Scenarios which prioritized contiguous conservation areas also dramatically increased conservation footprint area, although these scenarios may reduce associated fencing costs. This work demonstrates how spatial prioritization may guide localized species recovery efforts by supporting long-term conservation planning that addresses anticipated climate-driven increases in conflict between conservation and other land uses, with clear applicability beyond Lānaʻi.

Conservation↗

Developing transmissible vaccines for animal infections

Many emerging and reemerging pathogens originate from wildlife, but nearly all wild species are unreachable using conventional vaccination, which requires capture of and vaccine administration to individual animals. By enabling immunization at scales sufficient to interrupt pathogen transmission, transmissible vaccines (TVs) that spread themselves through wildlife populations by infectious processes could potentially transform the management of otherwise intractable challenges to public health, wildlife conservation, and animal welfare. However, generating TVs likely requires modifying viruses that would be intended to spread in nature, which raises concerns ranging from technical feasibility, to safety and security risks, to regulatory uncertainties ( 1 , 2 ). We propose a series of commitments and strategies for vaccine development—beginning with a priori decisions on vaccine design and continuing through to stakeholder codevelopment [see supplementary materials (SM)]—that we believe increase the likelihood that the potential risks of vaccine transmission are outweighed by benefits to conservation, animal welfare, and zoonosis prevention.

Science↗

Recovery of imperiled species under the Endangered Species Act: The need for a new approach

The recovery (delisting) of a threatened or endangered species is often accompanied by the expectation that conservation management of the species will no longer be necessary. However, the magnitude and pace of human impacts on the environment make it unlikely that substantial progress will be made in delisting many species unless the definition of "recovery" includes some form of active management. Preventing delisted species from again being at risk of extinction may require continuing, species-specific management actions. We characterize such species as "conservation-reliant", and suggest that viewing "recovery" as a continuum of states rather than as a simple "recovered/not recovered" dichotomy may enhance our ability to manage such species within the framework of the Endangered Species Act. With ongoing loss of habitat, disruption of natural disturbance regimes, and the increasing impacts of non-native invasive species, it is probable that the number of conservation-reliant species will increase. We propose the development of "recovery management agreements", with legally and biologically defensible contracts that would provide for continu-ing conservation management following delisting. The use of such formalized agreements will facilitate shared management responsibilities between federal wildlife agencies and other federal agencies, and with state, local, and tribal governments, as well as with private entities that have demonstrated the capability to meet the needs of conservation-reliant species. ?? The Ecological Society of America.

Frontiers in Ecology and the Environment↗

Resilience thinking and a decision-analytic approach to conservation: strange bedfellows or essential partners?

There has been some tendency to view decision science and resilience theory as opposing approaches, or at least as contending perspectives, for natural resource management. Resilience proponents have been especially critical of optimization in decision science, at least for those cases where it is focused on the aggressive pursuit of efficiency. In general, optimization of resource systems is held to reduce spatial, temporal, or organizational heterogeneity that would otherwise limit efficiency, leading to homogenization of a system and making it less able to cope with unexpected changes or disturbances. For their part, decision analysts have been critical of resilience proponents for not providing much practical advice to decision makers. We believe a key source of tension between resilience thinking and application of decision science is the pursuit of efficiency in the latter (i.e., choosing the “best” management action or strategy option to maximize productivity of one or few resource components), vs. a desire in the former to keep options open (i.e., maintaining and enhancing diversity). It seems obvious, however, that with managed natural systems, there must be a principle by which to guide decision making, which at a minimumallows for a comparison of projected outcomes associated with decision alternatives. This is true even if the primary concern of decision making is the preservation of system resilience. We describe how a careful framing of conservation problems, especially in terms of management objectives and predictive models, can help reduce the purported tension between resiliencethinking and decision analysis. In particular, objective setting in conservation problems needs to be more attuned to the dynamics of ecological systems and to the possibility of deep uncertainties that underlie the risk of unintended, if not irreversible, outcomes. Resilience thinking also leads to the suggestion that model development should focus more on process rather than pattern, on multiple scales of influence, and on phenomena that can create alternative stability regimes. Although we acknowledge the inherent difficulties in modeling ecological processes, we stress that formulation of useful models need not depend on a thorough mechanistic understanding or precise parameterization, assuming that uncertainty is acknowledged and treated in a systematic manner.

Ecology and Society↗

Understanding protected area resilience: a multi-scale, social-ecological approach

Protected areas (PAs) remain central to the conservation of biodiversity. Classical PAs were conceived as areas that would be set aside to maintain a natural state with minimal human influence. However, global environmental change and growing cross-scale anthropogenic influences mean that PAs can no longer be thought of as ecological islands that function independently of the broader social-ecological system in which they are located. For PAs to be resilient (and to contribute to broader social-ecological resilience), they must be able to adapt to changing social and ecological conditions over time in a way that supports the long-term persistence of populations, communities, and ecosystems of conservation concern. We extend Ostrom's social-ecological systems framework to consider the long-term persistence of PAs, as a form of land use embedded in social-ecological systems, with important cross-scale feedbacks. Most notably, we highlight the cross-scale influences and feedbacks on PAs that exist from the local to the global scale, contextualizing PAs within multi-scale social-ecological functional landscapes. Such functional landscapes are integral to understand and manage individual PAs for long-term sustainability. We illustrate our conceptual contribution with three case studies that highlight cross-scale feedbacks and social-ecological interactions in the functioning of PAs and in relation to regional resilience. Our analysis suggests that while ecological, economic, and social processes are often directly relevant to PAs at finer scales, at broader scales, the dominant processes that shape and alter PA resilience are primarily social and economic.

Ecological Applications↗

Convergence of marine megafauna movement patterns in coastal and open oceans

The extent of increasing anthropogenic impacts on large marine vertebrates partly depends on the animals’ movement patterns. Effective conservation requires identification of the key drivers of movement including intrinsic properties and extrinsic constraints associated with the dynamic nature of the environments the animals inhabit. However, the relative importance of intrinsic versus extrinsic factors remains elusive. We analyze a global dataset of ∼2.8 million locations from >2,600 tracked individuals across 50 marine vertebrates evolutionarily separated by millions of years and using different locomotion modes (fly, swim, walk/paddle). Strikingly, movement patterns show a remarkable convergence, being strongly conserved across species and independent of body length and mass, despite these traits ranging over 10 orders of magnitude among the species studied. This represents a fundamental difference between marine and terrestrial vertebrates not previously identified, likely linked to the reduced costs of locomotion in water. Movement patterns were primarily explained by the interaction between species-specific traits and the habitat(s) they move through, resulting in complex movement patterns when moving close to coasts compared with more predictable patterns when moving in open oceans. This distinct difference may be associated with greater complexity within coastal microhabitats, highlighting a critical role of preferred habitat in shaping marine vertebrate global movements. Efforts to develop understanding of the characteristics of vertebrate movement should consider the habitat(s) through which they move to identify how movement patterns will alter with forecasted severe ocean changes, such as reduced Arctic sea ice cover, sea level rise, and declining oxygen content.

Proceedings of the National Academy of Sciences↗

Draft comprehensive conservation plan and environmental impact statement-Rocky Mountain Arsenal National Wildlife Refuge

The Rocky Mountain Arsenal National Wildlife Refuge Complex, consisting of some of the newer properties in the National Wildlife Refuge System, is a work in progress. Offering unique assets to surrounding communities, these lands promise to become some of the premier urban wildlife refuges in the country. At the heart of the refuge complex is the Rocky Mountain Arsenal National Wildlife Refuge: 16,000 acres of shortgrass and mixed-grass prairie that is home to bison, bald eagles, migratory songbirds, prairie dogs, and much more—all within the Denver Metropolitan area. This comprehensive conservation plan will be the first in the country designed to begin implementing the Refuge System’s new Urban Refuge Initiative. To accomplish this, we analyzed a wide range of options on how best to support up to one million visitors per year without compromising our principal purposes to protect and preserve fish and wildlife and their habitats. We are fortunate to have inherited a great deal of infrastructure from the U.S. Army, but we are also constrained by the current condition and layout of these facilities. Some of this infrastructure may be acting as barriers to the public—a condition inconsistent with the purposes of the refuge. Accordingly, we have developed a goal to increase and improve suitable access to the refuge, develop sustainable transportation options, and provide more connections among the units of the refuge complex. This increased access will enable people from all walks of life to visit the refuge. The vision we have developed for the refuge complex calls for the restoration of the refuge’s historical habitats, and the reconnection of people with the natural lands of the refuge and of the region at large using a network consisting of multimodal trails, a far-reaching light-rail system, and the Denver International Airport. This refuge is well positioned to leverage and catalyze early investments to create world-class wildlife habitat and a conservation education facility in the heart of a rapidly growing urban metropolis. So positioned, the refuge represents the ideal intersection of nature and education to transmit the message of conservation, outdoor recreation, and stewardship to future generations. Toward this end, collaboration is essential to the refuge’s future success. We will continue to foster and improve our strong public and private partnerships in the surrounding communities. These partnerships will enable us to act quickly and effectively as we invest in education and outreach efforts to fulfill our potential as a conservation catalyst in neighboring communities, the larger Intermountain West, and the world.

Report↗

Space use and resource selection by foraging Indiana bats at the northern edge of their distribution

Despite 4 decades of conservation concern, managing endangered Indiana bat ( Myotis sodalis ) populations remains a difficult wildlife resource issue facing natural resource managers in the eastern United States. After small signs of population recovery, the recent emergence of white-nose syndrome has led to concerns of local and/or regional extirpation of the species. Where Indiana bats persist, retaining high-quality foraging areas will be critical to meet physiological needs and ensure successful recruitment and overwinter survival. However, insight into foraging behavior has been lacking in the Northeast of the USA. We radio-tracked 12 Indiana bats over 2 summers at Fort Drum, New York, to evaluate factors influencing Indiana bat resource selection during night-time foraging. We found that foraging space use decreased 2% for every 100 m increase in distance to water and 6% for every 100 m away from the forest edge. This suggests high use of riparian areas in close proximity to forest and is somewhat consistent with the species’ foraging ecology in the Midwest and upper South. Given the importance of providing access to high-quality foraging areas during the summer maternity season, Indiana bat conservation at the northern extent of the species’ range will be linked to retention of forested habitat in close proximity to riparian zones.

Endangered Species Research↗