Search USGS⌕ Search

SEARCH · Search USGS

Results for “Community Ecology”

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 1,045 records · Page 58Linked to original sources

Environmental controls on denitrifying communities and denitrification rates: Insights from molecular methods

The advent of molecular techniques has improved our understanding of the microbial communities responsible for denitrification and is beginning to address their role in controlling denitrification processes. There is a large diversity of bacteria, archaea, and fungi capable of denitrification, and their community composition is structured by long-term environmental drivers. The range of temperature and moisture conditions, substrate availability, competition, and disturbances have long-lasting legacies on denitrifier community structure. These communities may differ in physiology, environmental tolerances to pH and O 2 , growth rate, and enzyme kinetics. Although factors such as O 2 , pH, C availability, and NO 3 − pools affect instantaneous rates, these drivers act through the biotic community. This review summarizes the results of molecular investigations of denitrifier communities in natural environments and provides a framework for developing future research for addressing connections between denitrifier community structure and function.

Ecological Applications↗

A critique of the use of indicator-species scores for identifying thresholds in species responses

Identification of ecological thresholds is important both for theoretical and applied ecology. Recently, Baker and King (2010, King and Baker 2010) proposed a method, threshold indicator analysis (TITAN), to calculate species and community thresholds based on indicator species scores adapted from Dufrêne and Legendre (1997). We tested the ability of TITAN to detect thresholds using models with (broken-stick, disjointed broken-stick, dose-response, step-function, Gaussian) and without (linear) definitive thresholds. TITAN accurately and consistently detected thresholds in step-function models, but not in models characterized by abrupt changes in response slopes or response direction. Threshold detection in TITAN was very sensitive to the distribution of 0 values, which caused TITAN to identify thresholds associated with relatively small differences in the distribution of 0 values while ignoring thresholds associated with large changes in abundance. Threshold identification and tests of statistical significance were based on the same data permutations resulting in inflated estimates of statistical significance. Application of bootstrapping to the split-point problem that underlies TITAN led to underestimates of the confidence intervals of thresholds. Bias in the derivation of the z-scores used to identify TITAN thresholds and skewedness in the distribution of data along the gradient produced TITAN thresholds that were much more similar than the actual thresholds. This tendency may account for the synchronicity of thresholds reported in TITAN analyses. The thresholds identified by TITAN represented disparate characteristics of species responses that, when coupled with the inability of TITAN to identify thresholds accurately and consistently, does not support the aggregation of individual species thresholds into a community threshold.

Freshwater Science↗

Analysis of larval trematode communities

We can compare natural communities with null models of communities to indicate how they differ from random assemblages of species (i.e., how much structure is present). However, because null models draw on observed values of species' prevalences, whatever structure already exists in natural communities affects the composition of a null model and weakens its comparative power. To address this, we developed formulae to estimate "pre—interactive" species prevalences permitting a more sensitive quantification of community structure. Nonetheless, if a null model deviates from the community that we base it on, it is difficult to separate the effects of heterogeneity in recruitment from competition. We have developed a method to test for each independently. Applying our analytical techniques to a well—studied guild of larval trematodes in the salt marsh snail Cerithidea californica revealed that competitive interactions among species were the most significant structuring force. Interestingly, spatial heterogeneity acted to significantly intensify species co—occurrences. This differs from previous studies, which argued that the isolating effects of spatial heterogeneity, not competition, structure these communities by reducing co—occurrences.

Ecology↗

Restoration handbook for sagebrush steppe ecosystems with emphasis on greater sage-grouse habitat—Part 3. Site level restoration decisions

Sagebrush steppe ecosystems in the United States currently (2016) occur on only about one-half of their historical land area because of changes in land use, urban growth, and degradation of land, including invasions of non-native plants. The existence of many animal species depends on the existence of sagebrush steppe habitat. The greater sage-grouse ( Centrocercus urophasianus ) depends on large landscapes of intact habitat of sagebrush and perennial grasses for their existence. In addition, other sagebrush-obligate animals have similar requirements and restoration of landscapes for greater sage-grouse also will benefit these animals. Once sagebrush lands are degraded, they may require restoration actions to make those lands viable habitat for supporting sagebrush-obligate animals, livestock, and wild horses, and to provide ecosystem services for humans now and for future generations. When a decision is made on where restoration treatments should be applied, there are a number of site-specific decisions managers face before selecting the appropriate type of restoration. This site-level decision tool for restoration of sagebrush steppe ecosystems is organized in nine steps. Step 1 describes the process of defining site-level restoration objectives. Step 2 describes the ecological site characteristics of the restoration site. This covers soil chemistry and texture, soil moisture and temperature regimes, and the vegetation communities the site is capable of supporting. Step 3 compares the current vegetation to the plant communities associated with the site State and Transition models. Step 4 takes the manager through the process of current land uses and past disturbances that may influence restoration success. Step 5 is a brief discussion of how weather before and after treatments may impact restoration success. Step 6 addresses restoration treatment types and their potential positive and negative impacts on the ecosystem and on habitats, especially for greater sage-grouse. We discuss when passive restoration options may be sufficient and when active restoration may be necessary to achieve restoration objectives. Step 7 addresses decisions regarding post-restoration livestock grazing management. Step 8 addresses monitoring of the restoration; we discuss important aspects associated with implementation monitoring as well as effectiveness monitoring. Step 9 takes the information learned from monitoring to determine how restoration actions in the future might be adapted to improve restoration success.

Circular↗

Riparian and Associated Habitat Characteristics Related to Nutrient Concentrations and Biological Responses of Small Streams in Selected Agricultural Areas, United States, 2003-04

Physical factors, including both in-stream and riparian habitat characteristics that limit biomass or otherwise regulate aquatic biological condition, have been identified by previous studies. However, linking the ecological significance of nutrient enrichment to habitat or landscape factors that could allow for improved management of streams has proved to be a challenge in many regions, including agricultural landscapes, where many ecological stressors are strong and the variability among watersheds typically is large. Riparian and associated habitat characteristics were sampled once during 2003-04 for an intensive ecological and nutrients study of small perennial streams in five contrasting agricultural landscapes across the United States to determine how biological communities and ecosystem processes respond to varying levels of nutrient enrichment. Nutrient concentrations were determined in stream water at two different sampling times per site and biological samples were collected once per site near the time of habitat characterization. Data for 141 sampling sites were compiled, representing five study areas, located in parts of the Delmarva Peninsula (Delaware and Maryland), Georgia, Indiana, Ohio, Nebraska, and Washington. This report examines the available data for riparian and associated habitat characteristics to address questions related to study-unit contrasts, spatial scale-related differences, multivariate correlation structure, and bivariate relations between selected habitat characteristics and either stream nutrient conditions or biological responses. Riparian and associated habitat characteristics were summarized and categorized into 22 groups of habitat variables, with 11 groups representing land-use and land-cover characteristics and 11 groups representing other riparian or in-stream habitat characteristics. Principal components analysis was used to identify a reduced set of habitat variables that describe most of the variability among the sampled sites. The habitat characteristics sampled within the five study units were compared statistically. Bivariate correlations between riparian habitat variables and either nutrient-chemistry or biological-response variables were examined for all sites combined, and for sites within each study area. Nutrient concentrations were correlated with the extent of riparian cropland. For nitrogen species, these correlations were more frequently at the basin scale, whereas for phosphorus, they were about equally frequent at the segment and basin scales. Basin-level extents of riparian cropland and reach-level bank vegetative cover were correlated strongly with both total nitrogen and dissolved inorganic nitrogen (DIN) among multiple study areas, reflecting the importance of agricultural land-management and conservation practices for reducing nitrogen delivery from near-stream sources. When sites lacking segment-level wetlands were excluded, the negative correlation of riparian wetland extent with DIN among 49 sites was strong at the reach and segment levels. Riparian wetland vegetation thus may be removing dissolved nutrients from soil water and shallow groundwater passing through riparian zones. Other habitat variables that correlated strongly with nitrogen and phosphorus species included suspended sediment, light availability, and antecedent water temperature. Chlorophyll concentrations in seston were positively correlated with phosphorus concentrations for all sites combined. Benthic chlorophyll was correlated strongly with nutrient concentrations in only the Delmarva study area and only in fine-grained habitats. Current velocity or hydraulic scour could explain correlation patterns for benthic chlorophyll among Georgia sites, whereas chlorophyll in seston was correlated with antecedent water temperature among Washington and Delmarva sites. The lack of any consistent correlation pattern between habitat characteristics and organic material density (ash-free dry mass)

Scientific Investigations Report↗

Implications of zoonoses from hunting and use of wildlife in North American arctic and boreal biomes: Pandemic potential, monitoring, and mitigation

The COVID-19 pandemic has re-focused attention on mechanisms that lead to zoonotic disease spillover and spread. Commercial wildlife trade, and associated markets, are recognized mechanisms for zoonotic disease emergence, resulting in a growing global conversation around reducing human disease risks from spillover associated with hunting, trade, and consumption of wild animals. These discussions are especially relevant to people who rely on harvesting wildlife to meet nutritional, and cultural needs, including those in Arctic and boreal regions. Global policies around wildlife use and trade can impact food sovereignty and security, especially of Indigenous Peoples. We reviewed known zoonotic pathogens and current risks of transmission from wildlife (including fish) to humans in North American Arctic and boreal biomes, and evaluated the epidemic and pandemic potential of these zoonoses. We discuss future concerns, and consider monitoring and mitigation measures in these changing socio-ecological systems. While multiple zoonotic pathogens circulate in these systems, risks to humans are mostly limited to individual illness or local community outbreaks. These regions are relatively remote, subject to very cold temperatures, have relatively low wildlife, domestic animal, and pathogen diversity, and in many cases low density, including of humans. Hence, favorable conditions for emergence of novel diseases or major amplification of a spillover event are currently not present. The greatest risk to northern communities from pathogens of pandemic potential is via introduction with humans visiting from other areas. However, Arctic and boreal ecosystems are undergoing rapid changes through climate warming, habitat encroachment, and development; all of which can change host and pathogen relationships, thereby affecting the probability of the emergence of new (and re-emergence of old) zoonoses. Indigenous leadership and engagement in disease monitoring, prevention and response, is vital from the outset, and would increase the success of such efforts, as well as ensure the protection of Indigenous rights as outlined in the United Nations Declaration on the Rights of Indigenous Peoples. Partnering with northern communities and including Indigenous Knowledge Systems would improve the timeliness, and likelihood, of detecting emerging zoonotic risks, and contextualize risk assessments to the unique human-wildlife relationships present in northern biomes.

Frontiers in Public Health↗

Faunal responses to fire in chaparral and sage scrub in California, USA

Impact of fire on California shrublands has been well studied but nearly all of this work has focused on plant communities. Impact on and recovery of the chaparral fauna has received only scattered attention; this paper synthesizes what is known in this regard for the diversity of animal taxa associated with California shrublands and outlines the primary differences between plant and animal responses to fire. We evaluated the primary faunal modes of resisting fire effects in three categories: 1) endogenous survival in a diapause or diapause-like stage, 2) sheltering in place within unburned refugia, or 3) fleeing and recolonizing. Utilizing these patterns in chaparral and sagescrub, as well as some studies on animals in other mediterranean-climate ecosystems, we derived generalizations about how plants and animals differ in their responses to fire impacts and their post fire recovery. One consequence of these differences is that variation in fire behavior has a much greater potential to affect animals than plants. For example, plants recover from fire endogenously from soil-stored seeds and resprouts, so fire size plays a limited role in determining recovery patterns. However, animals that depend on recolonization of burned sites from metapopulations may be greatly affected by fire size. Animal recolonization may also be greatly affected by regional land use patterns that affect colonization corridors, whereas such regional factors play a minimal role in plant community recovery. Fire characteristics such as rate of spread and fire intensity do not appear to play an important role in determining patterns of chaparral and sage scrub plant recovery after fire. However, these fire behavior characteristics may have a profound role in determining survivorship of some animal populations as slow-moving, smoldering combustion may limit survivorship of animals in burrows, whereas fast-moving, high intensity fires may affect survivorship of animals in above ground refugia or those attempting to flee. Thus, fire regime characteristics may have a much greater effect on postfire recovery of animal communities than plant communities in these shrubland ecosystems.

Fire Ecology↗

San Pedro River Aquifer Binational Report

The United States and Mexico share waters in a number of hydrological basins and aquifers that cross the international boundary. Both countries recognize that, in a region of scarce water resources and expanding populations, a greater scientific understanding of these aquifer systems would be beneficial. In light of this, the Mexican and U.S. Principal Engineers of the International Boundary and Water Commission (IBWC) signed the “Joint Report of the Principal Engineers Regarding the Joint Cooperative Process United States-Mexico for the Transboundary Aquifer Assessment Program" on August 19, 2009 (IBWC-CILA, 2009). This IBWC “Joint Report” serves as the framework for U.S.-Mexico coordination and dialogue to implement transboundary aquifer studies. The document clarifies several details about the program such as background, roles, responsibilities, funding, relevance of the international water treaties, and the use of information collected or compiled as part of the program. In the document, it was agreed by the parties involved, which included the IBWC, the Mexican National Water Commission (CONAGUA), the U.S. Geological Survey (USGS), and the Universities of Arizona and Sonora, to study two priority binational aquifers, one in the San Pedro River basin and the other in the Santa Cruz River basin. This report focuses on the Binational San Pedro Basin (BSPB). Reasons for the focus on and interest in this aquifer include the fact that it is shared by the two countries, that the San Pedro River has an elevated ecological value because of the riparian ecosystem that it sustains, and that water resources are needed to sustain the river, existing communities, and continued development. This study describes the aquifer’s characteristics in its binational context; however, most of the scientific work has been undertaken for many years by each country without full knowledge of the conditions on the other side of the border. The general objective of this study is to use new and existing research to define the general hydrologic framework of the Binational San Pedro Aquifer (BSPA), to gather hydrogeological and other relevant data in preparation for future work such as an updated groundwater conceptual model and budget and to establish the basis for a binational numerical model. The specific objectives are as follows: Understand the current state of knowledge with respect to climate, geology, soils, land cover, land use, and hydrology of the aquifer in its binational context; Compile and create a database of scientific information from both countries; Identify data gaps and identify what data would be necessary to update, in a subsequent phase, the hydrologic model of the aquifer system, including surface- and groundwater interactions on a binational level. The BSPB is one of the most studied basins in the region, and a database of publications has been compiled as part of this project. Previous studies include topics that range from geophysics and hydrogeology to biology and ecosystem services. The economic drivers on each side of the border are quite different. In the Arizona 4 portion of the basin military and tourism dominate while in the Sonoran portion, mining is the most important industry. Water management is also different in the two countries. In Mexico, primary authority for management of water resources devolves from the federal government. In the United States, primary authority rests with the states except in cases of interstate surface waters. Binational waters are not currently jointly managed by the two countries except in cases where treaties have been negotiated such as for the Rio Grande and Colorado Rivers. Thus, there is currently no binational coordination or treaty governing the management of groundwater.

Report↗

Waterfowl communities in the northern plains: Chapter 13

Features that determine the composition of avian communities have received extensive and enthusiastic attention, both empirically and theoretically (e.g., Cody 1974; Strong et al. 1984; Wiens, 1989a,b). Interspecific competition for limited resources is one influence widely regarded as critical, but others include species-specific responses to environmental conditions, predation, parasitism, commensal and mutualistic interactions, disturbance and chance, and historical events (Wiens, 1989b). Despite the attention they have received, the relative importance of the different features remains highly controversial. Certainly the community of birds present in an area will be but a subset of the total population of each constituent species; thus, the total population size of each species is a potential influence on local communities. Since many bird communities in the temperate zone are reconstituted annually with migrants, the geographical location of a site within the breeding range is an important feature; clearly, an avian community outside the normal breeding range of a particular species is unlikely to include that species, irrespective of the suitability of vegetation and other habitat features. Further, suitable habitat encountered earlier in spring migration is more likely to be occupied than is habitat encountered later. And the breeding ranges of birds are known to shift from year to year, depending on climatic conditions, a phenomenon that represents a modification of the general breeding range at a finer scale of resolution. The return of migrant birds to areas from which they fledged or where they previously bred modifies the occupancy of a particular habitat (HildTn 1964); likewise, traditional use of breeding sites by birds can induce species to persist in unsuitable habitat (Wiens 1985). Thus site fidelity can weaken the relationship between habitat quality and number of birds on an area (Wiens 1985). Waterfowl have received less attention from community ecologists than have many other groups of birds despite the importance attributed to waterfowl by biologists more generally, as well as by the public. Exceptions include work by Nudds and colleagues in Canada and by P?ysS and colleagues in Finland (see Nudds 1992 and references contained therein). Further, waterfowl are important ecologically; in much of the prairie of the North American midcontinent, waterfowl are numerically among the most common bird species and are certainly dominant in terms of biomass. This chapter addresses some influences on waterfowl communities in mixed-grass prairie pothole habitat. It takes a temporal perspective, based on annual censuses of breeding ducks for 25 years on a specific study area at Woodworth, North Dakota. Any changes in the structural features of the habitat that may have occurred during this period at the census site were at most gradual. I examine how the waterfowl communities varied in response to influences that did change annually, such as climate, conditions of the wetlands on the study area, the regional populations of birds from which the communities were constituted, and the population at Woodworth during the previous year. The results of the analyses are interpreted relative to individual characteristics of 11 waterfowl species: Mallard ( Anas platyrhynchos ), Gadwall ( Anas strepera ), Green-winged Teal ( Anas crecca ), Blue-winged Teal ( Anas discors ), Northern Pintail ( Anas acuta ), Northern Shoveler ( Anas clypeata ), American Wigeon ( Anas americana ), Canvasback ( Aythya valisineria ), Redhead ( Aythya americana ), Lesser Scaup ( Aythya affinis ), and Ruddy Duck ( Oxyura jamaicensis ).

Book chapter↗

Applications of a broad-spectrum tool for conservation and fisheries analysis: Aquatic gap analysis

Natural resources support all of our social and economic activities, as well as our biological existence. Humans have little control over most of the physical, biological, and sociological conditions dictating the status and capacity of natural resources in any particular area. However, the most rapid and threatening influences on natural resources typically are anthropogenic overuse and degradation. In addition, living natural resources (i.e., organisms) do not respect political boundaries, but are aware of their optimal habitat and environmental conditions. Most organisms have wider spatial ranges than the jurisdictional boundaries of environmental agencies that deal with them; even within those jurisdictions, information is patchy and disconnected. Planning and projecting effects of ecological management are difficult, because many organisms, habitat conditions, and interactions are involved. Conservation and responsible resource use involves wise management and manipulation of the aspects of the environment and biological communities that can be effectively changed. Tools and data sets that provide new insights and analysis capabilities can enhance the ability of resource managers to make wise decisions and plan effective, long-term management strategies. Aquatic gap analysis has been developed to provide those benefits. Gap analysis is more than just the assessment of the match or mis-match (i.e., gaps) between habitats of ecological value and areas with an appropriate level of environmental protection (e.g., refuges, parks, preserves), as the name suggests. Rather, a Gap Analysis project is a process which leads to an organized database of georeferenced information and previously available tools to examine conservation and other ecological issues; it provides a geographic analysis platform that serves as a foundation for aquatic ecological studies. This analytical tool box allows one to conduct assessments of all habitat elements within an area of interest. Aquatic gap analysis naturally focuses on aquatic habitats. The analytical tools are largely based on specification of the species-habitat relations for the system and organism group of interest (Morrison et al. 2003; McKenna et al. 2006; Steen et al. 2006; Sowa et al. 2007). The Great Lakes Regional Aquatic Gap Analysis (GLGap) project focuses primarily on lotic habitat of the U.S. Great Lakes drainage basin and associated states and has been developed to address fish and fisheries issues. These tools are unique because they allow us to address problems at a range of scales from the region to the stream segment and include the ability to predict species specific occurrence or abundance for most of the fish species in the study area. The results and types of questions that can be addressed provide better global understanding of the ecological context within which specific natural resources fit (e.g., neighboring environments and resources, and large and small scale processes). The geographic analysis platform consists of broad and flexible geospatial tools (and associated data) with many potential applications. The objectives of this article are to provide a brief overview of GLGap methods and analysis tools, and demonstrate conservation and planning applications of those data and tools. Although there are many potential applications, we will highlight just three: (1) support for the Eastern Brook Trout Joint Venture (EBTJV), (2) Aquatic Life classification in Wisconsin, and (3) an educational tool that makes use of Google Earth (use of trade or product names does not imply endorsement by the U.S. Government) and Internet accessibility.

Gap Analysis Bulletin↗

Assessing the ecological risk of heavy metal sediment contamination from Port Everglades Florida USA

Port sediments are often contaminated with metals and organic compounds from anthropogenic sources. Remobilization of sediment during a planned expansion of Port Everglades near Fort Lauderdale, Florida (USA) has the potential to harm adjacent benthic communities, including coral reefs. Twelve sediment cores were collected from four Port Everglades sites and a control site; surface sediment was collected at two nearby coral reef sites. Sediment cores, sampled every 5 cm, were analyzed for 14 heavy metals using inductively coupled plasma-mass spectrometry. Results for all three locations yielded concentration ranges (µg/g): As (0.607–223), Cd (n/d–0.916), Cr (0.155–56.8), Co (0.0238–7.40), Cu (0.004–215), Pb (0.0169–73.8), Mn (1.61–204), Hg (n/d–0.736), Mn (1.61–204), Ni (0.232–29.3), Se (n/d–4.79), Sn (n/d–140), V (0.160–176), and Zn (0.112–603), where n/d = non-detected. The geo-accumulation index shows moderate-to-strong contamination of As and Mo in port sediments, and potential ecological risk indicates moderate-to-significantly high overall metal contamination. All four port sites have sediment core subsamples with As concentrations above both threshold effect level (TEL, 7.24 µg/g) and probable effect level (PEL, 41.6 µg/g), while Mo geometric mean concentrations exceed the background continental crust level (1.5 µg/g) threshold. Control site sediments exceed TEL for As, while the reef sites has low to no overall heavy metal contamination. Results of this study indicate there is a moderate to high overall ecological risk from remobilized sediment due to metal contamination. Due to an imminent dredging at Port Everglades, this could have the potential to harm the threatened adjacent coral communities and surrounding protected habitats.

Florida↗

Robustness of closed capture-recapture methods to violations of the closure assumption

Closed-population capture–recapture methods have been used extensively in animal ecology, both by themselves and within the context of Pollock’s robust design and multistate models, to estimate various parameters of population and community dynamics. The defining assumption of geographic and demographic closure (i.e., no births, deaths, immigration, or emigration) for the duration of sampling is restrictive and is likely to be violated in many field situations. I evaluated several types of violations of the closure assumption and found that completely random movement in and out of a study area does not introduce bias to estimators from closed-population methods, although it decreases precision. In addition, if capture probabilities vary only with time, the closed-population Lincoln-Petersen estimator is unbiased for the size of the superpopulation when there are only births/immigration or only deaths/emigration. However, for other cases of nonrandom movement, closed-population estimators were biased when movement was Markovian (dependent on the presence/absence of the animal in the previous time period), when an animal was allowed one entry to and one exit from the study area, or when there was trap response or heterogeneity among animals in capture probability. In addition, the probability that an animal is present and available for capture (e.g., breeding propensity) can be estimated using Pollock’s robust design only when movement occurs at a broader temporal scale than that of sampling.

Ecology↗

AviList: A unified global bird checklist

Universally recognized scientific names for organisms are necessary for accurate and efficient communication. Incongruence in taxonomic treatments results in situations where one name is used for different entities or one entity is known by different names, with negative consequences for conservation, science, trade, legislation, law enforcement, and education, leading to discord among stakeholders and confusion among users. Within the ornithological community taxonomic incongruence among four widely adopted global bird checklists has led to calls for the development of a single unified global avian taxonomy or checklist. Here we introduce AviList, a comprehensive, collaborative and evolving effort towards developing a unified global avian taxonomy, spearheaded by representatives of most current global checklists and many major regional authorities, and supported by the International Ornithologists’ Union (IOU), BirdLife International and the Cornell Lab of Ornithology. AviList version 2025, the first version, was officially launched on 11 June 2025 and is available online as a comprehensive, searchable public-access database. It recognizes 11,131 bird species in 2376 genera, 252 families and 46 orders. This global effort has resolved over 1000 species-level taxonomic incongruences among existing checklists. With AviList’s launch, the IOC World Bird List and the Clements Checklist of Birds of the World have ceased any independent taxonomic updates, while BirdLife International is in the process of total alignment, leading to a harmonization in the classification underpinning a number of major bird projects, including eBird, Macaulay Library, Merlin Bird ID and the IUCN Red List. Adoption of AviList will improve inter-operability across global biodiversity, molecular, ecological and spatial databases (e.g. GBIF). Strong governance of AviList will ensure it is a “living” document that is regularly updated by a global community of bird taxonomists as new scientific advances are made, with positive impacts for conservation, academia and human society. It is hoped that AviList will support and encourage taxonomic science by identifying areas where further research is most needed, and that it will provide a blueprint for taxonomic authorities in other organismic groups endeavoring to achieve taxonomic harmonization.

Biodiversity and Conservation↗

Supporting dryland restoration success with applied ecological forecasting of seeding outcomes

Introduction Ecological restoration is increasingly used to sustain biodiversity and ecosystem services. In drylands of the western United States (US), post-disturbance restoration often involves seeding treatments to promote the recovery of native plant communities. Spatial and temporal variability in environmental conditions influences plant establishment and contributes to low restoration success in certain locations and years. Objectives Here, we discuss how forecasts for plant establishment can be developed and delivered to help land managers anticipate the impacts of near-term (months to years) environmental conditions on restoration. Methods We developed an ecological forecast system that predicts the outcome of restoration seeding by integrating weather forecasts, an ecosystem water balance model, and plant establishment models. Results In this article, we focus on a conceptual approach to developing, delivering, and applying ecological forecasts for restoration. We illustrate the potential of this approach by adapting existing ecological models to build an initial version of a decision support tool that delivers a species-specific ecological forecast for big sagebrush ( Artemisia tridentata ) establishment. Integrating ecological forecasts into plans for restoration seeding presents opportunities to anticipate and account for environmental variability. Conclusions Finally, we discuss how connecting research, forecast delivery, and management can maximize the impact of ecological forecasts on restoration success.

Idaho, Nevada↗

Modes of climate variability bridge proximate and evolutionary mechanisms of masting

There is evidence that variable and synchronous reproduction in seed plants (masting) correlates to modes of climate variability, e.g. El Niño Southern Oscillation and North Atlantic Oscillation. In this perspective, we explore the breadth of knowledge on how climate modes control reproduction in major masting species throughout Earth's biomes. We posit that intrinsic properties of climate modes (periodicity, persistence and trends) drive interannual and decadal variability of plant reproduction, as well as the spatial extent of its synchrony, aligning multiple proximate causes of masting through space and time. Moreover, climate modes force lagged but in-phase ecological processes that interact synergistically with multiple stages of plant reproductive cycles. This sets up adaptive benefits by increasing offspring fitness through either economies of scale or environmental prediction. Community-wide links between climate modes and masting across plant taxa suggest an evolutionary role of climate variability. We argue that climate modes may ‘bridge’ proximate and ultimate causes of masting selecting for variable and synchronous reproduction. The future of such interaction is uncertain: processes that improve reproductive fitness may remain coupled with climate modes even under changing climates, but chances are that abrupt global warming will affect Earth's climate modes so rapidly as to alter ecological and evolutionary links.

Philosophical Transactions of the Royal Society B:↗

Structured decision making and optimal bird monitoring in the northern Gulf of Mexico

The avian conservation community struggles to design and implement large scale, long-term coordinated bird monitoring programs within the northern Gulf of Mexico due to the complexity of the conservation enterprise in the region; this complexity arises from the diverse stakeholders, multiple jurisdictions, complex ecological processes, myriad habitats, and over 500 species of birds using the region for at least some part of their annual cycle. In addition, long-term monitoring over large spatial scales is difficult because of the need for monitoring data to both (1) evaluate management and restoration outcomes, and (2) provide reliable information about the status and trends of bird populations over time. To address these challenges, the Gulf of Mexico Avian Monitoring Network developed a problem statement: “How can a cost-effective monitoring strategy for the Gulf Coast bird community and ecosystem be developed that evaluates ongoing conservation activities and chronic and acute threats; maximizes learning; and is flexible and holistic enough to detect novel ecological threats and evaluate new and emerging conservation activities?” A structured decision-making framework was then used to articulate and quantify stakeholder values related to the problem statement. One use of the stakeholder values was to develop a regional, strategic plan for bird monitoring, which is presented elsewhere. A formal and complete decision support tool for conservation investments in monitoring and research guided by the stakeholder values is presented in this report. The technical aspects of the stakeholder value model and a portfolio analysis that could be used to guide decision making when allocating resources for monitoring activities is described. Whereas the decision analysis presented here could be useful to any decision maker faced with difficult choices about resource allocation, it is designed for decision makers who request monitoring study proposals and then determine which combination of proposals to fund. The portfolio decision support tool is designed to help funding agencies and organizations identify resource allocation strategies to maximize stated objectives. To begin the decision analysis, an objectives hierarchy and quantitative performance metrics from the values of the Gulf of Mexico bird conservation community were created by a panel of regional stakeholders. Each fundamental objective and sub-objective in the hierarchy is composed of several performance metrics. To test the decision support tool, the authors evaluated a combination of monitoring study proposals written for the region and simulated proposals. Each proposal was scored against the performance metrics and used multi-attribute utility theory to combine the multiple objectives into a measure of total monitoring benefit. The total monitoring benefit and costs of each proposal were then used in a constrained optimization routine to identify optimal monitoring portfolios, that is, a combination of activities that maximizes monitoring benefits while meeting cost and other constraints of interest to stakeholders. A graphical solution based on the concept of Pareto efficiency, which is useful in situations when cost constraints and exact budgets are not known, is also provided. Finally, an evaluation of the sensitivity of the decision-making framework to the weights assigned to objectives by stakeholders is included. This decision support tool allows decision makers to identify an optimal suite of monitoring proposals with a transparent portfolio analysis that includes user-defined constraints (such as costs).

Alabama, Florida, Louisiana, Mississippi, Texas↗

DEEP SEARCH: Deep sea exploration to advance research on coral/canyon/cold seep habitats

Launched in August 2017, Deep Sea Exploration to Advance Research on Coral/Canyon/Cold seep Habitats (DEEP SEARCH) is a multiyear, multi-agency study to characterize the deep-sea ecosystems of the US Mid- and South Atlantic (Figure 1). The study is funded through an interagency partnership between NOAA, the Bureau of Ocean Energy Management (BOEM), and the US Geological Survey, and it is sponsored by the National Oceanographic Partnership Program. DEEP SEARCH will spend four and a half years (from 2017 to 2021) researching the habitats of the US Atlantic to better understand the distribution of sensitive seafloor communities to inform potential offshore energy development and other deep-sea management needs.

Oceanography↗

Larval settlement into marine soft-sediment systems: Interactions with the meiofauna

The distribution and abundance of organisms exhibiting complex life cycles, like marine invertebrates, reflect ecological processes operating at all stages in the life history. Few studies have yet considered the mortality patterns of larvae and juveniles. To test whether the permanent meiofauna play a role in macrofaunal larval site-selection, and/or if permanent meiofaunal predators or competitors and disturbers are a significant source of mortality for newly settled macrofaunal juveniles, a series of manipulations of meiofauna were performed. Densities of (1) predatory turbellarians alone, and (2) other meiofauna, were increased in small boxes placed on a holding table in a shallow subtidal habitat. Natural settlement into meiofauna manipulations was examined approximately monthly for a year. Other experiments were conducted to examine the relative importance of site-selection and post-settlement mortality and to determine if settlement was density-dependent or density-independent. Densities of spionid, cirratulid, terebellid, capitellid, and maldanid polychaetes, oligochaetes, bivalves, and amphipods were all reduced by high densities of turbellarians, and sometimes by other meiofauna. Turbellarian predation was responsible for significant post-settlement mortality, but spionids, cirratulids, terebellids, and maldanids also appeared to avoid dense turbellarian treatments. Bivalve densities were reduced by high densities of other meiofauna, probably due to their sedimentary disturbance. Syllid polychaete densities were higher in turbellarian treatments, suggesting that they select for areas with high densities of their prey (small turbellarians). The effects of meiofauna on settlement and survival were greatest in spring and summer. The results of these experiments suggest larval settlement patterns and early juvenile survival should be considered in developing general models of life history and community structure for soft-sediment systems.

Journal of Experimental Marine Biology and Ecology↗