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At least 109 records · Page 6Linked to original sources

State‐space modelling of the flight behaviour of a soaring bird provides new insights to migratory strategies

Characterising the spatiotemporal variation of animal behaviour can elucidate the way individuals interact with their environment and allocate energy. Increasing sophistication of tracking technologies paired with novel analytical approaches allows the characterisation of movement dynamics even when an individual is not directly observable. In this study, high‐resolution movement data collected via global positioning system (GPS) tracking in three dimensions were paired with topographical information and used in a Bayesian state‐space model to describe the flight modes of migrating golden eagles ( Aquila chrysaetos ) in eastern North America. Our model identified five functional behavioural states, two of which were previously undescribed variations on thermal soaring. The other states comprised gliding, perching and orographic soaring. States were discriminated by movement features in the horizontal (step length and turning angle) and vertical (change in altitude) planes and by the association with ridgelines promoting wind deflection. Tracked eagles spent 2%, 31%, 38%, 9% and 20% of their daytime in directed thermal soaring, gliding, convoluted thermal soaring, perching and orographic soaring, respectively. The analysis of the relative occurrence of these flight modes highlighted yearly, seasonal, age, individual and sex differences in flight strategy and performance. Particularly, less energy‐efficient orographic soaring was more frequent in autumn, when thermals were less available. Adult birds were also better at optimising energy efficiency than subadults. Our approach represents the first example of a state‐space model for bird flight mode using altitude data in conjunction with horizontal locations and is applicable to other flying organisms where similar data are available. The ability to describe animal movements in a three‐dimensional habitat is critical to advance our understanding of the functional processes driving animals’ decisions.

Functional Ecology

A field test of R package GPSeqClus: For establishing animal location clusters

The ability to track animals with Global Positioning System (GPS) collars opened an enormous potential for studying animal movements and behaviour in their natural environment. One such endeavour is to identify clusters of GPS locations as a way to estimate predator kill rate. Clapp et al. (2021) developed an R package ( GPSeqClus ) to assess a location dataset based on user-defined parameters to identify clusters and their characteristics. These characteristics can then help to distinguish resting-site clusters from kill sites of their large (>50 kg) prey. We identified location clusters of an adult male wolf Canis lupus on Ellesmere Island, Nunavut, Canada in July 2009 and tracked him until he died in April 2010. Identifying location clusters was challenging because the collar only obtained two GPS locations per day (12 h apart). In July 2010, we searched 30 of 52 location-clusters we identified as kill/scavenge sites and found 17 of them as such, given they had muskox Ovibos moschatus or caribou Rangifer tarandus pearyi remains nearby. We also documented five wolf rendezvous sites, two den sites, and the wolf's death site to total 60 location-clusters in all. We used a two-step process in testing the R Package GPSeqClus (hereafter GPSeqClus ): (1) compare the number of clusters our method discerned with the number identified by the new algorithm, and (2) compare the number of biologically significant clusters (e.g. den sites, kill/feeding sites) we found with the number the new algorithm located. We made these tests with GPSeqClus by varying the search radius, number of days at a site, and minimum number of locations required for a cluster. GPSeqClus compared well to our technique, with the best sub-algorithm among the 25 we tested only missing three of our identified clusters and yielding six additional clusters. GPSeqClus identified 16 of the 17 confirmed sites of remains, all wolf home sites, and the wolf's carcass site. Identifying clusters using a 500-m search radius, a 1.5-day window, and a minimum of two GPS locations per cluster was suitable for a coarse GPS acquisition rate of two locations per day when prey are large, such as muskox or caribou. Given that GPSeqClus performed well with our coarse location dataset, we expect it will also perform even better with a collar acquiring more than two locations per day. Having a field-tested utility such as GPSeqClus will enhance carnivore predation studies elsewhere.

Ecological Solutions and Evidence

Bottlenecks and multiple introductions: Population genetics of the vector of avian malaria in Hawaii

Avian malaria has had a profound impact on the demographics and behaviour of Hawaiian forest birds since its vector, Culex quinquefasciatus the southern house mosquito, was first introduced to Hawaii around 1830. In order to understand the dynamics of the disease in Hawaii and gain insights into the evolution of vector-mediated parasite–host interactions in general we studied the population genetics of Cx. quinquefasciatus in the Hawaiian Islands. We used both microsatellite and mitochondrial loci. Not surprisingly we found that mosquitoes in Midway, a small island in the Western group, are quite distinct from the populations in the main Hawaiian Islands. However, we also found that in general mosquito populations are relatively isolated even among the main islands, in particular between Hawaii (the Big Island) and the remaining Hawaiian Islands. We found evidence of bottlenecks among populations within the Big Island and an excess of alleles in Maui, the site of the original introduction. The mitochondrial diversity was typically low but higher than expected. The current distribution of mitochondrial haplotypes combined with the microsatellite information lead us to conclude that there have been several introductions and to speculate on some processes that may be responsible for the current population genetics of vectors of avian malaria in Hawaii.

Hawai'i

Evaluating trends using total impervious cover as a metric for degree of urbanisation

Impervious cover (IC) is a common metric for assessing the degree of urbanisation in watersheds. However, there are different methods for determining IC, and use of IC correlation with urban watershed response to hydrologic and geochemical inputs can be strongly influenced by the end members (IC below 10% and above 40%). The resolution of the imagery (e.g., 1 m vs. 30 m) used to measure IC can influence the estimate of IC, with differences up to 15% observed between these two resolutions for 21 watersheds along the east coast of the United States. The differences are greatest in the middle range between 10% and 40% IC. When using IC for correlation with urban watershed responses such as discharge flashiness or median solute concentrations, fits with R 2 between 0.4 and 0.78 were obtained when including end members of IC from 0% to 50%. However, when trying to distinguish behaviour between urban watersheds that fall in the middle ranges of IC, these same parameters do not correlate well with IC. Correlations fail significance tests, can switch direction, and fall below an R 2 of 0.1 without the end members of very low or very high IC. Because of improved accuracy, the finest resolution is preferred when available, and mixing IC estimation methods should be avoided. Furthermore, using regressions that include end members may not contribute to differentiating how IC in the 10%–40% range impacts hydrologic and geochemical responses in urban watersheds. Understanding this middle range of IC is important for comparing urban and suburban watersheds or planning watershed development to minimise impacts.

Delaware, Georgia, Maryland, New Jersy, New York,

Phylogeny and phylogenetic classification of the antbirds, ovenbirds, woodcreepers, and allies (Aves: Passeriformes: Infraorder Furnariides)

The infraorder Furnariides is a diverse group of suboscine passerine birds comprising a substantial component of the Neotropical avifauna. The included species encompass a broad array of morphologies and behaviours, making them appealing for evolutionary studies, but the size of the group (ca. 600 species) has limited well-sampled higher-level phylogenetic studies. Using DNA sequence data from the nuclear RAG-1 and RAG-2 exons, we undertook a phylogenetic analysis of the Furnariides sampling 124 (more than 88%) of the genera. Basal relationships among family-level taxa differed depending on phylogenetic method, but all topologies had little nodal support, mirroring the results from earlier studies in which discerning relationships at the base of the radiation was also difficult. In contrast, branch support for family-rank taxa and for many relationships within those clades was generally high. Our results support the Melanopareidae and Grallariidae as distinct from the Rhinocryptidae and Formicariidae, respectively. Within the Furnariides our data contradict some recent phylogenetic hypotheses and suggest that further study is needed to resolve these discrepancies. Of the few genera represented by multiple species, several were not monophyletic, indicating that additional systematic work remains within furnariine families and must include dense taxon sampling. We use this study as a basis for proposing a new phylogenetic classification for the group and in the process erect new family-group names for clades having high branch support across methods. ?? 2009 The Willi Hennig Society.

Cladistics

Use of an intact core and stable-metal isotopes to examine leaching characteristics of a fluvial tailings deposit

The upper Arkansas River south of Leadville, Colorado, USA, contains deposits of fluvial tailings from historical mining operations in the Leadville area. These deposits are possible non-point sources of acid and metal contamination to surface- and ground-water systems. We used stable-metal isotopes to help ascertain metal retention and release mechanisms that influence metal transport from the deposits to shallow ground-water systems. To accomplish this, we excavated an intact core from a small fluvial tailings deposit and performed laboratory column experiments to examine the amount of metals leaching through the core. Deionised water was continuously applied to the top of the core, and effluent was collected from the bottom of the core for a period of about two months. Three saturation conditions were used, including unsaturated, partially saturated, and fully saturated. Reducing conditions developed upon partial and complete saturation of the core. During the unsaturated leaching phase, core effluents were acidic (pH 2.8 - 3.5) and contained elevated metal concentrations. During a portion of the unsaturated leaching phase, stable-metal isotope spikes and conservative tracers were simultaneously applied to the top of the core. The isotopes provide a means to delineate metal behaviour within the core. During the unsaturated leaching phase, the isotope spikes did not exhibit breakthrough with simultaneously added conservative tracers. However, some of the stable-metal isotope spikes did break through when reducing conditions occurred in the core (during the partial- and completesaturation conditions). In this paper, we use Cd as an example of the utility of stable-metal isotopes in geochemical studies. In the case of Cd, after the core was partially saturated, the 111 Cd spike was released as evidenced by a change in the Cd isotope ratios in the effluent. This release continued during the fully saturated leaching phase, however, the total Cd concentration did not increase. These results suggest that the 111 Cd spike was retained inside the core during the unsaturated leaching phase, and only partially released as reducing conditions developed. Results from this core-leaching experiment indicate there is a large reservoir of water-soluble material within the fluvial tailings deposit, which yields elevated metal concentrations and high acidity, and which may degrade adjacent ground- and surface-water quality. Use of stable metal isotopes in this study facilitated the determination of different metal-retention processes, metal-release processes, and metal sources in the fluvial tailings deposit in response to changing geochemical conditions.

Conference Paper

Feedbacks between community assembly and habitat selection shape variation in local colonization

1. Non-consumptive effects of predators are increasingly recognized as important drivers of community assembly and structure. Specifically, habitat selection responses to top predators during colonization and oviposition can lead to large differences in aquatic community structure, composition and diversity. 2. These differences among communities due to predators may develop as communities assemble, potentially altering the relative quality of predator vs. predator-free habitats through time. If so, community assembly would be expected to modify the subsequent behavioural responses of colonists to habitats containing top predators. Here, we test this hypothesis by manipulating community assembly and the presence of fish in experimental ponds and measuring their independent and combined effects on patterns of colonization by insects and amphibians. 3. Assembly modified habitat selection of dytscid beetles and hylid frogs by decreasing or even reversing avoidance of pools containing blue-spotted sunfish (Enneacanthus gloriosus). However, not all habitat selection responses to fish depended on assembly history. Hydrophilid beetles and mosquitoes avoided fish while chironomids were attracted to fish pools, regardless of assembly history. 4. Our results show that community assembly causes taxa-dependent feedbacks that can modify avoidance of habitats containing a top predator. Thus, non-consumptive effects of a top predator on community structure change as communities assemble and effects of competitors and other predators combine with the direct effects of top predators to shape colonization. 5. This work reinforces the importance of habitat selection for community assembly in aquatic systems, while illustrating the range of factors that may influence colonization rates and resulting community structure. Directly manipulating communities both during colonization and post-colonization is critical for elucidating how sequential processes interact to shape communities.

Journal of Animal Ecology

Epidemiological differences between sexes affect management efficacy in simulated chronic wasting disease systems

Sex-based differences in physiology, behaviour and demography commonly result in differences in disease prevalence. However, sex differences in prevalence may reflect exposure rather than transmission, which could affect disease control programmes. One potential example is chronic wasting disease (CWD), which has been observed at greater prevalence among male than female deer. We used an age- and sex-structured simulation model to explore harvest-based management of CWD under three different transmission scenarios that all generate higher male prevalence: (1) increased male susceptibility, (2) high male-to-male transmission or (3) high female-to-male transmission. Both female and male harvests were required to limit CWD epidemics across all transmission scenarios (approximated by R 0 ), though invasion was more likely under high female-to-male transmission. In simulations, heavily male-biased harvests controlled CWD epidemics and maintained large host populations under high male-to-male transmission and increased male susceptibility scenarios. However, male-biased harvests were ineffective under high female-to-male transmission. Instead, female-biased harvests were able to limit disease transmission under high female-to-male transmission but incurred a trade-off with smaller population sizes. Synthesis and applications . Higher disease prevalence in a sex or age group may be due to higher exposure or susceptibility but does not necessarily indicate if that group is responsible for more disease transmission. We showed that multiple processes can result in the pattern of higher male prevalence, but that population-level management interventions must focus on the sex responsible for disease transmission, not just those that are most exposed.

Journal of Applied Ecology

Benthic habitat is an integral part of freshwater Mysis ecology

Diel vertical migration (DVM) is common in aquatic organisms. The trade‐off between reduced predation risk in deeper, darker waters during the day and increased foraging opportunities closer to the surface at night is a leading hypothesis for DVM behaviour. Diel vertical migration behaviour has dominated research and assessment frameworks for Mysis , an omnivorous mid‐trophic level macroinvertebrate that exhibits strong DVM between benthic and pelagic habitats and plays key roles in many deep lake ecosystems. However, some historical literature and more recent evidence indicate that mysids also remain on the bottom at night, counter to expectations of DVM. We surveyed the freshwater Mysis literature using Web of Science (WoS; 1945–2019) to quantify the frequency of studies on demographics, diets, and feeding experiments that considered, assessed, or included Mysis that did not migrate vertically but remained in benthic habitats. We supplemented our WoS survey with literature searches for relevant papers published prior to 1945, journal articles and theses not listed in WoS, and additional references known to the authors but missing from WoS (e.g. only 47% of the papers used to evaluate in situ diets were identified by WoS). Results from the survey suggest that relatively little attention has been paid to the benthic components of Mysis ecology. Moreover, the literature suggests that reliance on Mysis sampling protocols using pelagic gear at night provides an incomplete picture of Mysis populations and their role in ecosystem structure and function. We summarise current knowledge of Mysis DVM and provide an expanded framework that more fully considers the role of benthic habitat. Acknowledging benthic habitat as an integral part of Mysis ecology will enable research to better understand the role of Mysis in food web processes.

Freshwater Biology

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

Pyroclast textural variation as an indicator of eruption column steadiness in andesitic Plinian eruptions at Mt. Ruapehu

Between 27 and 11 cal. ka BP, a transition is observed in Plinian eruptions at Mt. Ruapehu, indicating evolution from non-collapsing (steady and oscillatory) eruption columns to partially collapsing columns (both wet and dry). To determine the causes of these variations over this eruptive interval, we examined lapilli fall deposits from four eruptions representing the climactic phases of each column type. All eruptions involve andesite to basaltic andesite magmas containing plagioclase, clinopyroxene, orthopyroxene and magnetite phenocrysts. Differences occur in the dominant pumice texture, the degree of bulk chemistry and textural variability, the average microcrystallinity and the composition of groundmass glass. In order to investigate the role of ascent and degassing processes on column stability, vesicle textures were quantified by gas volume pycnometry (porosity), X-ray synchrotron and computed microtomography (μ-CT) imagery from representative clasts from each eruption. These data were linked to groundmass crystallinity and glass geochemistry. Pumice textures were classified into six types (foamy, sheared, fibrous, microvesicular, microsheared and dense) according to the vesicle content, size and shape and microlite content. Bulk porosities vary from 19 to 95 % among all textural types. Melt-referenced vesicle number density ranges between 1.8 × 10 2 and 8.9 × 10 2 mm −3 , except in fibrous textures, where it spans from 0.3 × 10 2 to 53 × 10 2 mm −3 . Vesicle-free magnetite number density varies within an order of magnitude from 0.4 × 10 2 to 4.5 × 10 2 mm −3 in samples with dacitic groundmass glass and between 0.0 and 2.3 × 10 2 mm −3 in samples with rhyolitic groundmass. The data indicate that columns that collapsed to produce pyroclastic flows contained pumice with the greatest variation in bulk composition (which overlaps with but extends to slightly more silicic compositions than other eruptive products); textures indicating heterogeneous bubble nucleation, progressively more complex growth history and shear-localization; and the highest degrees of microlite crystallization, most evolved melt compositions and lowest relative temperatures. These findings suggest that collapsing columns in Ruapehu have been produced when strain localization is prominent, early bubble nucleation occurs and variation in decompression rate across the conduit is greatest. This study shows that examination of pumice from steady phases that precede column collapse may be used to predict subsequent column behaviour.

Mt. Ruapehu

Behavioural and physiological response of trout to winter habitat in tailwaters in Wyoming, USA

Fisheries managers have often suggested that survival of trout during the winter is a major factor affecting population densities in many stream ecosystems in the Rocky Mountains. In Wyoming, trout population reductions from fall to spring in excess of 90% have been documented in some reservoir tailwaters. Though biologists have surmised that these reductions were the result of either mortality or emigration from some river sections, the specific mechanisms have not been defined and the factors leading to the trout loss are unknown. This is a review of four studies that were conducted or funded between 1991 and 1998 by the Wyoming Game and Fish Department to understand the extent of overwinter losses, identify some of the mechanisms leading to those conditions and develop management strategies to help avoid those impacts. Winter studies were conducted on tailwater fisheries in the Green, North Platte, Bighorn and Shoshone rivers to document trout population dynamics, assess physical habitat availability, evaluate trout movement and habitat selection, and understand the relationships between food availability and bioenergetic relationships. Results indicate that winter trout losses are extreme in some years, that trout movement and habitat selection are affected by supercooled flows, and that mortality is probably not directly due to starvation. The combination of physiological impairment with frequently altered habitat availability probably leads to indirect mortality from predators and other factors. Copyright ?? 2002 John Wiley & Sons, Ltd.

Hydrological Processes

Evolution of a trench-slope basin within the Cascadia subduction margin: The Neogene Humboldt Basin, California

The Neogene Humboldt (Eel River) Basin is located along the north-eastern margin of the Pacific Ocean within the Cascadia subduction zone. This sedimentary basin originated near the base of the accretionary prism in post-Eocene time. Subduction processes since that time have elevated strata in the south-eastern portion of the basin above sea level. High-resolution chronostratigraphic data from the onshore portion of the Humboldt Basin enable correlation of time-equivalent lithofacies across the palaeomargin, reconstruction of slope-basin evolution, and preliminary delineation of climatic and tectonic influence on lithological variation. Emergent basin fill is divided into five lithofacies which clearly document shoaling of the inner trench slope from deep-water environments in early Miocene time to paralic environments in Pleistocene time. The oldest strata consist of hemipelagic mudstones and minor debris-flow breccias deposited in a deep-water setting during elevated sea level. These strata are overlain by glauconite-rich, fine-grained turbidites which heralded an increasing influx of terrigenous detritus. Water depths shoaled earlier in the eastern basin area as the palaeoshoreline prograded seaward. Turbidite deposition ceased in the eastern basin area at about 2-2 Ma, whereas 22 km to the west, turbidite deposition continued until about 1-8 Ma. Lithofacies at the western study site change abruptly across a middle Pleistocene unconformity from outer shelf to paralic deposits. In the east, a more complete Pleistocene section records transition from outer to inner shelf, beach and fluvial environments. The Humboldt Basin lithofacies sequence is overprinted by eustatic control of sediment source. Comparison of sediment character with palaeoceanographic conditions indicates dominance of hemipelagic facies during periods of elevated sea level in the middle Miocene and early Pliocene when depocentres were isolated from terrigenous sediment. Glauconite-rich facies were mobilized from an upper slope setting following these periods of elevated sea level and redeposited in a deep-marine environment. Pleistocene shoreline lithofacies display glacio-esutatic control of depositional environment by recording several cycles of nearshore to fluvial progressions. General models of accretionary prism behaviour and trench-slope basin evolution are compatible with the overall coarsening-upward lithofacies sequence filling the Humboldt Basin. Early structural barriers precluded deposition of terrigenous material except from locally derived debris flows; subsequent shoaling and burial of deactivated thrust-folds enabled turbidity flows to reach the basin floor. However, late-stage tectonism apparently controlled the onset of coarse-grained deposition in this sequence. Significant sand-rich turbidite deposition began in the middle Pliocene, synchronous with tectonic uplift of the southern basin margin. Conversely, cessation of turbidite deposition in the eastern basin area in latest Pliocene time was synchronous with growth of anticlinal structures which again blocked widespread dispersal of turbidity flows. This middle Pliocene to Holocene period of crustal shortening is synchronous with continued reduction in spreading rate along the southern Juan de Fuca ridge, and probably reflects partial coupling between the subducting lithosphere and the overlying accretionary prism.

California

The behaviour of 39 pesticides in surface waters as a function of scale

A portion of applied pesticides runs off agricultural fields and is transported through surface waters. In this study, the behaviour of 39 pesticides is examined as a function of scale across 14 orders of magnitude from the field to the ocean. Data on pesticide loads in streams from two US Geological Survey programs were combined with literature data from field and watershed studies. The annual load as percent of use (LAPU) was quantified for each of the fields and watersheds and was used as the normalization factor across watersheds and compounds. The in-stream losses of each pesticide were estimated for a model stream with a 15 day travel time (similar in characteristics to the upper Mississippi River). These estimated in-stream losses agreed well with the observed changes in apparent LAPU values as a function of watershed area. In general, herbicides applied to the soil surface had the greatest LAPU values and minimal in-stream losses. Soil-incorporated herbicides had smaller LAPU values and substantial in-stream losses. Insecticides generally had LAPU values similar to the incorporated herbicides, but had more variation in their in-stream losses. On the basis of the LAPU values of the 39 pesticides as a function of watershed area, a generalized conceptual model of the movement of pesticides from the field to the ocean is suggested. The importance of considering both field runoff and in-stream losses is discussed in relation to interpreting monitoring data and making regulatory decisions.

Hydrological Processes

Pesticides in the hydrologic system - What do we know and what's next?

Even though the occurrence and behaviour of pesticides in the environment have been studied for decades, water-quality managers and the public still demand more complete and consistent information, and there are many unanswered questions for environmental scientists. In many respects, the greatest potential for unintended adverse effects of pesticides is through contamination of the hydrologic system, which supports aquatic life and related food chains and is used for recreation, drinking water, and many other purposes. The movement of water is one of the primary mechanisms by which pesticides are transported from targeted application areas to other parts of the environment; thus, there is potential for movement into and through all components of the hydrologic system. Extensive reviews of existing information on pesticides in the hydrologic system, including the atmosphere (Majewski and Capel, 1995), ground water (Barbash and Resek, 1996), surface water (Larson et al., 1997), and fluvial sediments and aquatic biota (Nowell et al., 1999), uncovered volumes of useful information, but also noted critical information gaps. For example: (a) relatively few pesticides have been thoroughly studied, particularly transformation products; (b) most data have been collected for small-scale site and field studies in agricultural areas; (c) urban areas have received little attention for monitoring or research; (d) the geographic and temporal distributions of data collection have been highly uneven; and (e) comparing and synthesizing results from most studies is difficult because of inconsistent approaches to data collection and chemical analysis.

Hydrological Processes

Quantifying resilience

The biosphere is under unprecedented pressure, reflected in rapid changes in our global ecological, social, technological and economic systems. In many cases, ecological and social systems can adapt to these changes over time, but when a critical threshold is surpassed, a system under stress can undergo catastrophic change and reorganize into a different state. The concept of resilience, introduced more than 40 years ago in the ecological sciences, captures the behaviour of systems that can occur in alternative states. The original definition of resilience forwarded by Holling ( 1973 ) is still the most useful. It defines resilience as the amount of disturbance that a system can withstand before it shifts into an alternative stable state. The idea of alternative stable states has clear and profound implications for ecological management. Coral reefs, for example, are high-diversity systems that provide key ecosystem services such as fisheries and coastal protection. Human impacts are causing significant, ongoing reef degradation, and many reefs have shifted from coral- to algal-dominated states in response to anthropogenic pressures such as elevated water temperatures and overfishing. Understanding and differentiating between the factors that help maintain reefs in coral-dominated states vs. those that facilitate a shift to an undesired algal-dominated state is a critical step towards sound management and conservation of these, and other, important social–ecological systems. Resilience has gained popularity among both academicians and laypeople, as a term meant to describe a systems’ ability to withstand disturbance. Resilience has become a buzzword in the last decade, as shown by its increasing appearance in calls for research proposals and scientific citation data bases. The term resilience has in many cases lost the clarity of the original definition and in fact is frequently used in a manner in direct opposition to the original definition. Many current uses of the concept are loose and incorrect. The term is becoming increasingly used in a normative sense (Brand & Jax 2007 ), as if resilience were a desirable quality of systems. However, even systems in highly undesirable states, such as macro-algae dominated reefs, or city cores in poverty traps, may be highly resilient, which is to say they withstand attempts to transform them into different (desirable) states. Operationalizing the concept of resilience for application and management has been difficult. Misuse of the term can have significant negative impacts, because resilience is being used to help guide responses to natural disasters and to assess the sustainability of ecosystems and urban systems and has been driving international research priorities. Resilience has been argued to be a basic emergent property of systems, a process or a rate. We focus on the original concept as described by Holling, which is that of an emergent system property; when a system is in a desirable state and managers wish to enhance resilience, or when the system is in an undesirable state and managers wish to erode resilience and foster a transformation to an alternative state. Fostering or eroding resilience is a process. When a system is perturbed but resilience is not exceeded, then the recovery can be measured as a rate. Several frameworks to operationalize resilience have been proposed. A decade ago, a special feature focused on quantifying resilience was published in the journal Ecosystems (Carpenter, Westley & Turner 2005 ). The approach there was towards identifying surrogates of resilience, but few of the papers proposed quantifiable metrics. Consequently, many ecological resilience frameworks remain vague and difficult to quantify, a problem that this special feature aims to address. However, considerable progress has been made during the last decade (e.g. Pope, Allen & Angeler 2014 ). Although some argue that resilience is best kept as an unquantifiable, vague concept (Quinlan et al . 2016 ), to be useful for managers, there must be concrete guidance regarding how and what to manage and how to measure success (Garmestani, Allen & Benson 2013 ; Spears et al . 2015 ). Ideas such as ‘resilience thinking’ have utility in helping stakeholders conceptualize their systems, but provide little guidance on how to make resilience useful for ecosystem management, other than suggesting an ambiguous, Goldilocks approach of being just right (e.g. diverse, but not too diverse; connected, but not too connected). Here, we clarify some prominent resilience terms and concepts, introduce and synthesize the papers in this special feature on quantifying resilience and identify core unanswered questions related to resilience.

Journal of Applied Ecology

Non-random pairing in American kestrels: mate choice versus intra-sexual competition

Natural selection may influence the arrangement of individuals into mated pairs through either inter-sexual (mate choice) or intra-sexual selection (competition). A study of the American kestrel, Falco sparverius , in northern Saskatchewan distinguished between these two processes using size as a measure of the bird's competitive ability, and condition (mass scaled to body size) as an index of quality. Both sexes arrive on the study area after spring migration in equal numbers and males establish territories. Males and females that moved among territories at the time of pair formation were not different in size or condition from those that did not move, suggesting that birds were not being displaced by superior competitors, and that females moved to encounter potential mates. Within mated pairs, there was no relationship between a bird's size and the condition of its mate for either sex as would be predicted if intra-sexual competitition explained mating patterns. Instead, there was positive assortative mating by condition, suggesting that both sexes used quality as the criterion in choosing mates. There was no correlation between the sizes of males and females in mated paird. Because there were no differences in size or condition of breeding and non-breeding males, factors other than physical attributes, such as prior experience with the area, may determine a male's success in obtaining a territory. Because females that did not obtain mates were in poorer condition than those that did, males may have rejected poor quality females. The results suggest that intra-sexual competition was not important for pair formation, and that kestrels chose mates on the basis of quality.

Animal Behaviour

Behavior of feral horses in response to culling and GnRH immunocontraception

Wildlife management actions can alter fundamental behaviors of individuals and groups,which may directly impact their life history parameters in unforeseen ways. This is especially true for highly social animals because changes in one individual&rsquo;s behavior can cascade throughout its social network. When resources to support populations of social animals are limited and populations become locally overabundant, managers are faced with the daunting challenge of decreasing population size without disrupting core behavioral processes. Increasingly, managers are turning to fertility control technologies to supplement culling in efforts to suppress population growth, but little is quantitatively known about how either of these management tools affects behavior. Gonadotropin releasing hormone (GnRH) is a small neuropeptide that performs an obligatory role in mammalian reproduction and has been formulated into the immunocontraceptive GonaCon-BTM. We investigated the influences of this vaccine on behavior of feral horses ( Equus caballus ) at Theodore Roosevelt National Park, North Dakota, USA, for a year preceding and a year following nonlethal culling and GnRH-vaccine treatment. We observed horses during the breeding season and found only minimal differences in time budget behaviors of free-ranging female feral horses treated with GnRH and those treated with saline. The differences observed were consistent with the metabolic demands of pregnancy and lactation. We observed similar social behaviors between treatment groups, reflecting limited reproductive behavior among control females due to high rates of pregnancy and suppressed reproductive behavior among treated females due to GnRH-inhibited ovarian activity. In the treatment year, band stallion age was the only supported factor influencing herding behavior (P < 0.001), harem-tending behavior (P < 0.001), and agonistic behavior (P = 0.02). There was no difference between the mean body condition of control females (4.9 (95% CI = 4.7&ndash;5.1)) and treated females(4.8 (95% CI = 4.7&ndash;4.9)). Band fidelity among all females increased 25.7% in the year fol-lowing vaccination and culling, despite the social perturbation associated with removal of conspecifics. Herding behavior by stallions decreased 50.7% following treatment and culling (P < 0.001), while harem-tending behavior increased 195.0% (P < 0.001). The amount of available forage influenced harem-tending, reproductive, and agonistic behavior in the year following culling and treatment (P < 0.04). These changes reflected the expected nexus between a species with polygynous social structure and strong group fidelity and the large instantaneous change in population density and demography coincident with culling.Behavioral responses to such perturbation may be synergistic in reducing grazing pressure by decreasing energetically expensive competitive behaviors, but further investigation is needed to explicitly test this hypothesis.

Applied Animal Behaviour Science