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At least 1,099 records · Page 61Linked to original sources

Sediment gravity flows triggered by remotely generated earthquake waves

Recent great earthquakes and tsunamis around the world have heightened awareness of the inevitability of similar events occurring within the Cascadia Subduction Zone of the Pacific Northwest. We analyzed seafloor temperature, pressure, and seismic signals, and video stills of sediment-enveloped instruments recorded during the 2011–2015 Cascadia Initiative experiment, and seafloor morphology. Our results led us to suggest that thick accretionary prism sediments amplified and extended seismic wave durations from the 11 April 2012 M w 8.6 Indian Ocean earthquake, located more than 13,500 km away. These waves triggered a sequence of small slope failures on the Cascadia margin that led to sediment gravity flows culminating in turbidity currents. Previous studies have related the triggering of sediment-laden gravity flows and turbidite deposition to local earthquakes, but this is the first study in which the originating seismic event is extremely distant (> 10,000 km). The possibility of remotely triggered slope failures that generate sediment-laden gravity flows should be considered in inferences of recurrence intervals of past great Cascadia earthquakes from turbidite sequences. Future similar studies may provide new understanding of submarine slope failures and turbidity currents and the hazards they pose to seafloor infrastructure and tsunami generation in regions both with and without local earthquakes.

Cascadia subduction zone↗

Nutrient processes at the stream-lake interface for a channelized versus unmodified stream mouth

Inorganic forms of nitrogen and phosphorous impact freshwater lakes by stimulating primary production and affecting water quality and ecosystem health. Communities around the world are motivated to sustain and restore freshwater resources and are interested in processes controlling nutrient inputs. We studied the environment where streams flow into lakes, referred to as the stream-lake interface (SLI), for a channelized and unmodified stream outlet. Channelization is done to protect infrastructure or recreational beach areas. We collected hydraulic and nutrient data for surface water and shallow groundwater in two SLIs to develop conceptual models that describe characteristics that are representative of these hydrologic features. Water, heat, and solute transport models were used to evaluate hydrologic conceptualizations and estimate mean residence times of water in the sediment. A nutrient mass balance model is developed to estimate net rates of adsorption and desorption, mineralization, and nitrification along subsurface flow paths. Results indicate that SLIs are dynamic sources of nutrients to lakes and that the common practice of channelizing the stream at the SLI decreases nutrient concentrations in pore water discharging along the lakeshore. This is in contrast to the unmodified SLI that forms a barrier beach that disconnects the stream from the lake and results in higher nutrient concentrations in pore water discharging to the lake. These results are significant because nutrient delivery through pore water seepage at the lakebed from the natural SLI contributes to nearshore algal communities and produces elevated concentrations of inorganic nutrients in the benthic zone where attached algae grow.

Water Resources Research↗

The influence of sea level rise on the regional interdependence of coastal infrastructure

Sea level rise (SLR) is placing both immediate and long‐term pressures on coastal communities to take protective actions. Projects in the United States, and in many locations throughout the world, generally involve local jurisdictions raising the elevation of shoreline protection elements, with limited or no analysis of the feedback between shoreline management decisions and the impacts to water levels regionally. Our study examines the impact of local shoreline development on regional flood risk and considers SLR scenarios up to 1.5 m using a large‐scale numerical model, as an example, for San Francisco Bay. Here we show that measures to prevent flooding along an embayment shoreline in one location or subregion may increase inundation elsewhere in the system. The network of interactions occurs not only within subbasins of the Bay but also across the greater geographic extent from one end of the Bay to the other, and local jurisdiction may have either reciprocal relationships with or asymmetric impacts on one other. Importantly, the nature of the interaction network is seen to evolve with SLR: interactions are purely subregional at current sea level but with higher sea level (e.g., 1 m of SLR), not only do the subregional interdependencies strengthen but also regional interdependences emerge.

California↗

Quantifying the heterogeneity of the tectonic stress field using borehole data

The heterogeneity of the tectonic stress field is a fundamental property which influences earthquake dynamics and subsurface engineering. Self-similar scaling of stress heterogeneities is frequently assumed to explain characteristics of earthquakes such as the magnitude-frequency relation. However, observational evidence for such scaling of the stress field heterogeneity is scarce. We analyze the local stress orientations using image logs of two closely spaced boreholes in the Coso Geothermal Field with sub-vertical and deviated trajectories, respectively, each spanning about 2 km in depth. Both the mean and the standard deviation of stress orientation indicators (borehole breakouts, drilling-induced fractures and petal-centerline fractures) determined from each borehole agree to the limit of the resolution of our method although measurements at specific depths may not. We find that the standard deviation in these boreholes strongly depends on the interval length analyzed, generally increasing up to a wellbore log length of about 600 m and constant for longer intervals. We find the same behavior in global data from the World Stress Map. This suggests that the standard deviation of stress indicators characterizes the heterogeneity of the tectonic stress field rather than the quality of the stress measurement. A large standard deviation of a stress measurement might be an expression of strong crustal heterogeneity rather than of an unreliable stress determination. Robust characterization of stress heterogeneity requires logs that sample stress indicators along a representative sample volume of at least 1 km.

Journal of Geophysical Research B: Solid Earth↗

Quantifying postfire aeolian sediment transport using rare earth element tracers

Grasslands, which provide fundamental ecosystem services in many arid and semiarid regions of the world, are undergoing rapid increases in fire activity and are highly susceptible to postfire-accelerated soil erosion by wind. A quantitative assessment of physical processes that integrates fire-wind erosion feedbacks is therefore needed relative to vegetation change, soil biogeochemical cycling, air quality, and landscape evolution. We investigated the applicability of a novel tracer technique—the use of multiple rare earth elements (REE)—to quantify soil transport by wind and to identify sources and sinks of wind-blown sediments in both burned and unburned shrub-grass transition zone in the Chihuahuan Desert, NM, USA. Results indicate that the horizontal mass flux of wind-borne sediment increased approximately threefold following the fire. The REE tracer analysis of wind-borne sediments shows that the source of the horizontal mass flux in the unburned site was derived from bare microsites (88.5%), while in the burned site it was primarily sourced from shrub (42.3%) and bare (39.1%) microsites. Vegetated microsites which were predominantly sinks of aeolian sediments in the unburned areas became sediment sources following the fire. The burned areas showed a spatial homogenization of sediment tracers, highlighting a potential negative feedback on landscape heterogeneity induced by shrub encroachment into grasslands. Though fires are known to increase aeolian sediment transport, accompanying changes in the sources and sinks of wind-borne sediments may influence biogeochemical cycling and land degradation dynamics. Furthermore, our experiment demonstrated that REEs can be used as reliable tracers for field-scale aeolian studies.

Journal of Geophysical Research: Biogeosciences↗

Probabilistic tsunami hazard analysis: Multiple sources and global applications

Applying probabilistic methods to infrequent but devastating natural events is intrinsically challenging. For tsunami analyses, a suite of geophysical assessments should be in principle evaluated because of the different causes generating tsunamis (earthquakes, landslides, volcanic activity, meteorological events, and asteroid impacts) with varying mean recurrence rates. Probabilistic Tsunami Hazard Analyses (PTHAs) are conducted in different areas of the world at global, regional, and local scales with the aim of understanding tsunami hazard to inform tsunami risk reduction activities. PTHAs enhance knowledge of the potential tsunamigenic threat by estimating the probability of exceeding specific levels of tsunami intensity metrics (e.g., run-up or maximum inundation heights) within a certain period of time (exposure time) at given locations (target sites); these estimates can be summarized in hazard maps or hazard curves. This discussion presents a broad overview of PTHA, including (i) sources and mechanisms of tsunami generation, emphasizing the variety and complexity of the tsunami sources and their generation mechanisms, (ii) developments in modeling the propagation and impact of tsunami waves, and (iii) statistical procedures for tsunami hazard estimates that include the associated epistemic and aleatoric uncertainties. Key elements in understanding the potential tsunami hazard are discussed, in light of the rapid development of PTHA methods during the last decade and the globally distributed applications, including the importance of considering multiple sources, their relative intensities, probabilities of occurrence, and uncertainties in an integrated and consistent probabilistic framework.

Reviews of Geophysics↗

Balancing ecology and practicality to rank waterbodies for preventative invasive species management

‘Early detection and rapid response’ (EDRR) is the most successful framework for preventative invasive species management, but prioritizing localized EDRR actions with limited resources is challenging. An approach that ranks individual locations, such as waterbodies, for EDRR by combining an invasive species' establishment risk with the practicality of managing it could help set reasonable priorities. Here, we worked with regional practitioners in Arkansas, USA, and the broader Southeastern USA to co-produce a workflow for preventative aquatic invasive species management that (1) estimates establishment risk under current and future climates with a species distribution model, (2) scores waterbodies according to difficulty of eradicating an aquatic invasive species if it were introduced and (3) combines establishment risk and eradication difficulty scores to rank waterbodies according to preventative management priority. As our focal species, we used giant salvinia ( Salvinia molesta ), a floating aquatic fern ranked among the worst weeds in the world due to its negative socio-ecological impacts and difficulty to eradicate once established. Current establishment risk is low for much of our study area, but under future climate scenarios (RCP 8.5), areas with >60% giant salvinia establishment risk increased from 546 km 2 to 30,219 km 2 between 2023 and 2040 in Arkansas. We found giant salvinia establishment risk and eradication difficulty are independent of each other ( r = 0.28), and it follows that, alone, early detection tools such as species distribution models are insufficient for managers to prioritize sites for EDRR. Practical implication : We envision our approach fitting into a potential EDRR workflow that cascades from broad- to local-scale. To illustrate, (1) horizon scanning and/or climate matching generates lists of high-risk invasive species; (2) species lists are narrowed according to eradication feasibility scores; (3) for all remaining species, all waterbodies across a geography of interest receive prioritization rankings based on establishment risk and eradication difficulty scores. Given that climate change makes predicting invasive species' distributions a moving target, combining co-produced eradication difficulty scoring with species distribution modelling will balance rigour with practicality when prioritizing locations for EDRR.

Arkansas, Louisiana, Mississippi, Missouri, Oklaho↗

Boundary spanning increases knowledge and action on invasive species in a changing climate

Challenges associated with global change stressors on ecosystems have prompted calls to improve actionable science, including through boundary-spanning activities, which aim to build connections and communication between researchers and natural resource practitioners. By synthesizing and translating research and practitioner knowledge, boundary-spanning activities could support proactive, research-informed conservation practice, but the success of these efforts is rarely evaluated. Using repeat survey data from the Northeast Regional Invasive Species and Climate Change (NE RISCC) Management Network, a boundary-spanning organization, we evaluate whether participating in NE RISCC affected practitioners' knowledge, actions and priorities related to invasive species management under a changing climate. Our survey results suggest that practitioners who participate in NE RISCC have greater knowledge about invasive species and climate change and are incorporating climate change in more ways into their invasive species management. We also found NE RISCC membership affected the perceived usefulness of informational resources, with NE RISCC members more frequently identifying research syntheses and targeted workshops (both are common products used by NE RISCC to translate science into practice and share manager knowledge) as useful compared to non-members. Practitioners who participate in NE RISCC also identified somewhat different research priorities, with non-members and short-term members more frequently identifying range-shifting neonative species and their impacts on native communities as higher priorities compared to long-term NE RISCC members. NE RISCC research activities and outreach materials have consistently framed range-shifting neonative species as comparatively low risk, suggesting that this information has influenced practitioner's perception of risk. Practical implication : Although real-world impacts of applied ecology are notoriously difficult to quantify, this analysis illustrates that if research results are actively translated, they can affect the knowledge and actions of natural resource practitioners. These impacts illustrate the potential for boundary-spanning efforts to address other global change challenges to conservation.

Ecological Solutions and Evidence↗

Global review of the effects of small carnivores on threatened species

The absences of large carnivores from many ecosystems, human-induced landscape changes, and resource supplementation have been theorized to increase the abundance of small carnivore species around the world. Overabundant and/or unconstrained small carnivores can have significant effects on specific prey species that, in some cases, can cascade through entire ecosystems. Here, we review the effects of small carnivores on threatened species. We focus on four well-studied families (Procyonidae, Mephitidae, Mustelidae, and Herpestidae) and emphasize that this is a global conservation issue with consequences for biodiversity. We review and compare the impacts that small carnivores can have on a variety of prey taxa including small mammals, nesting avian and reptilian species, and rare invertebrates. We differentiate between native and exotic small carnivores because this is often an important distinction in terms of the impact severity and range of effects. In addition to direct lethal effects (i.e. predation), small carnivores can also impact threatened species as disease vectors and through competition or overexploitation, which can disrupt communities via ecological release or extinction. Furthermore, we explore other case studies in which small carnivores have had positive effects on threatened species and discuss studies that reveal other taxa responsible for exerting stronger negative effects on threatened prey. We offer some concluding remarks about global small carnivore conservation and emphasize the need for decision-analytic approaches and robust analyses that can improve our assessment of how populations of threatened species can be affected. To date, indirect effects are especially difficult to measure in the field and many studies have provided only anecdotal or correlative results, signalling a need for improving our scientific methodologies and management approaches.

Book chapter↗

Stewardship and management of freshwater ecosystems: From Leopold's land ethic to a freshwater ethic

In 1949, Aldo Leopold formalized the concept of the ‘land ethic’, in what emerged as a foundational and transformational way of thinking about natural resource management, biodiversity conservation, and stewardship in terrestrial systems. Yet, the land ethic has inherent linkages to aquatic ecosystems; Leopold himself conducted research on rivers and lakes, and freshwater ecosystems figured widely in his writing. We reflect on the land ethic and other aspects of Leopold's scholarship to identify key messages that provide insight into the stewardship and management of freshwater ecosystems around the globe. We also frame what we call the ‘freshwater ethic’ around Leopold's legacy. Although Leopold could not have envisaged the stressors affecting modern aquatic ecosystems, his core principles remain salient. These apply not only to ecosystem protection, but also to the ethics of modern conservation economics, sustainability, and the protection of natural capital, in which lakes, rivers, and wetlands now figure prominently. We identify key ‘Aldo-inspired’ recommendations for protecting and restoring freshwater ecosystems in the Anthropocene that emanate directly from his writings (e.g. adopt an ecosystem approach, identify win–win–win scenarios, recognize the irreplaceability of wild waters, and strive for freshwater optimism). In an epoch where links between people and nature are becoming more explicit in environmental management, policy, and governance, we suggest that Aldo Leopold's work illustrates how inspirational, seminal thinkers have offered leadership in this domain. We contend that today there is still much that can be learned from Leopold, especially by the next generation of environmental practitioners, to ensure the effective stewardship of our aquatic ecosystems. We submit that the adoption of a freshwater ethic in parallel with Leopold's land ethic will enhance the stewardship of the world's increasingly threatened fresh waters by raising the profile of the plight of fresh waters and identifying enduring actions that, if embraced, will help conserve and restore biodiversity.

Aquatic Conservation: Marine and Freshwater Ecosys↗

Genetic diversity of immature Kemp's ridley (Lepidochelys kempii) sea turtles from the northern Gulf of Mexico

The Kemp’s ridley ( Lepidochelys kempii ) is the world’s most endangered sea turtle species. Predominately nesting at only one beach in Mexico, this species declined to an estimated 300 females in the mid-1980s. Conservation efforts in the United States and Mexico, including a head start programme in southern Texas in which hatchlings were reared in captivity for several months before being released into the wild, resulted in the recovery of this species. Although genetic data have previously been used to assess the success of the head start programme and dispersal of individual adults, data on immature turtles sampled at foraging areas and adult females sampled at the main nesting beach in Mexico are lacking. Genetic characterization of immature individuals is important for understanding recruitment, survival, and population demography, while genetic data on individuals from Mexico are essential for understanding dispersal and overall genetic diversity in this species. To address these gaps, mitochondrial DNA data were collected from 106 immature individuals sampled at four different foraging sites in the northern Gulf of Mexico and from 18 nesting females at the primary nesting beach in Mexico. Two previously unknown mitochondrial DNA haplotypes were discovered among the immature individuals. Except for these two new haplotypes, the genetic diversity of immature individuals in the northern Gulf of Mexico closely corresponds to that of adults sampled in Mexico, which suggests that much of the diversity within the nesting population can be found among immature animals dispersing to foraging grounds, including locations in the northern Gulf of Mexico. Continued monitoring of the genetic variation of different life stages of this species across its distribution range will help assess the success of conservation programmes by ensuring the maintenance of genetic diversity and representation of this diversity across the species’ distribution range.

Aquatic Conservation: Marine and Freshwater Ecosys↗

Evaluation of spectral collection strategies for identification of Dalbergia spp. using handheld laser-induced breakdown spectroscopy

The illegal timber trade has significant impact on the survival of endangered tropical hardwood species like Dalbergia spp. (rosewood), a world-wide protected genus from the Convention on International Trade in Endangered Species of Wild Fauna and Flora (CITES). Due to increased threat to Dalbergia spp., and lack of action to reduce threats, port of entry analysis methods are required to identify Dalbergia spp. Handheld laser-induced breakdown spectroscopy (LIBS) has been shown to be capable of identifying species and establishing provenance of Dalbergia spp. and other tropical hardwoods, but analysis methods for this work have yet to be investigated in detail. The present work investigates five well-known algorithms—partial least squares discriminant analysis (PLS-DA), classification and regression trees (CART), k -nearest neighbor ( k -NN), random forest (RF), and support vector machine (SVM)—two training/test set sampling regimes, and data collection at two signal-to-noise (S/N) ratios to assess the potential for handheld LIBS analyses. Additionally, imbalanced classes are addressed. For this application, SVM and RF yield near identical results (though RF takes nearly 100 longer to compute), while the S/N ratio has a significant effect on model success assuming all else is equal. It was found that forming a training set with replicate low S/N analyses can perform as well as higher precision training sets for true prediction, even if the predicted samples have low signal to noise! This work confirms handheld LIBS analyzers can provide a viable method for classification of hardwood species, even within the same genus.

Journal of Chemometrics↗

Complex adaptive systems and game theory: An unlikely union

A Complex Adaptive System is a collection of autonomous, heterogeneous agents, whose behavior is defined with a limited number of rules. A Game Theory is a mathematical construct that assumes a small number of rational players who have a limited number of actions or strategies available to them. The CAS method has the potential to alleviate some of the shortcomings of GT. On the other hand, CAS researchers are always looking for a realistic way to define interactions among agents. GT offers an attractive option for defining the rules of such interactions in a way that is both potentially consistent with observed real-world behavior and subject to mathematical interpretation. This article reports on the results of an effort to build a CAS system that utilizes GT for determining the actions of individual agents. ?? 2009 Wiley Periodicals, Inc. Complexity, 16,24-42, 2010.

Complexity↗

Host-pathogen metapopulation dynamics suggest high elevation refugia for boreal toads

Emerging infectious diseases are an increasingly common threat to wildlife. Chytridiomycosis, caused by the fungal pathogen Batrachochytrium dendrobatidis ( Bd ), is an emerging infectious disease that has been linked to amphibian declines around the world. Few studies exist that explore amphibian- Bd dynamics at the landscape scale, limiting our ability to identify which factors are associated with variation in population susceptibility and to develop effective in situ disease management. Declines of boreal toads ( Anaxyrus boreas boreas ) in the Southern Rocky Mountains are largely attributed to chytridiomycosis but variation exists in local extinction of boreal toads across this metapopulation. Using a large-scale historic dataset, we explored several potential factors influencing disease dynamics in the boreal toad- Bd system: geographic isolation of populations, amphibian community richness, elevational differences, and habitat permanence. We found evidence that boreal toad extinction risk was lowest at high elevations where temperatures may be sub-optimal for Bd growth and where small boreal toad populations may be below the threshold needed for efficient pathogen transmission. In addition, boreal toads were more likely to recolonize high elevation sites after local extinction, again suggesting that high elevations may provide refuge from disease for boreal toads. We illustrate a modeling framework that will be useful to natural resource managers striving to make decisions in amphibian- Bd systems. Our data suggest that in the southern Rocky Mountains high elevation sites should be prioritized for conservation initiatives like reintroductions.

Ecological Applications↗

Genetic tagging in the Anthropocene: Scaling ecology from alleles to ecosystems

The Anthropocene is an era of marked human impact on the world. Quantifying these impacts 51 has become central to understanding the dynamics of coupled human-natural systems, resource52 dependent livelihoods, and biodiversity conservation. Ecologists are facing growing pressure to 53 quantify the size, distribution, and trajectory of wild populations in a cost-effective and socially54 acceptable manner. Genetic tagging, combined with modern computational and genetic analyses, 55 is an under-utilized tool to meet this demand, especially for wide-ranging, elusive, sensitive, and 56 low-density species. Genetic tagging studies are now revealing unprecedented insight into the 57 mechanisms that control the density, trajectory, connectivity and human-wildlife conflict for 58 populations over vast spatial scales. Here we outline the application of, and ecological inferences 59 from, new analytical techniques applied to genetically-tagged individuals, contrast this approach 60 with conventional methods, and describe how genetic tagging can be better applied to address 61 outstanding questions in ecology. We provide example analyses using a long-term genetic 62 tagging dataset of grizzly bears in the Canadian Rockies. The genetic tagging toolbox is a 63 powerful and overlooked ensemble that ecologists and conservation biologists can leverage to 64 generate evidence and meet the challenges of the Anthropocene.

Ecological Applications↗

Rapid peat development beneath created, maturing mangrove forests: Ecosystem changes across a 25-year chronosequence

Mangrove forests are among the world’s most productive and carbon‐rich ecosystems. Despite growing understanding of factors controlling mangrove forest soil carbon stocks, there is a need to advance understanding of the speed of peat development beneath maturing mangrove forests— especially in created and restored mangrove forests that are intended to compensate for ecosystem functions lost during mangrove forest conversion to other land uses. To better quantify the rate of soil organic matter development beneath created, maturing mangrove forests, we measured ecosystem changes across a 25‐year chronosequence. We compared ecosystem properties in created, maturing mangrove forests to adjacent natural mangrove forests. We also quantified site‐specific changes that occurred between 2010 and 2016. Soil organic matter accumulated rapidly beneath maturing mangrove forests as sandy soils transitioned to organic‐rich soils (peat). Within 25 years, a 20‐cm deep peat layer developed. The time required for created mangrove forests to reach equivalency with natural mangrove forests was estimated as: (1) < 15 years for herbaceous and juvenile vegetation; (2) ~55 years for adult trees; (3) ~25 years for the upper soil layer (0‐10 cm); and (4) ~45‐80 years for the lower soil layer (10‐30 cm). For soil elevation change, the created mangrove forests were equivalent to or surpassed natural mangrove forests within the first five years. A comparison to chronosequence studies from other ecosystems indicates that the rate of soil organic matter accumulation beneath maturing mangrove forests may be among the fastest globally. In most peatland ecosystems, soil organic matter formation occurs slowly (centuries, millennia); however, these results show that mangrove peat formation can occur within decades. Peat development, primarily due to sub‐surface root accumulation, enables mangrove forests to sequester carbon, adjust their elevation relative to sea level, and adapt to changing conditions at the dynamic land‐ocean interface. In the face of climate change and rising sea levels, coastal managers are increasingly concerned with the longevity and functionality of coastal restoration efforts. Our results advance understanding of the pace of ecosystem development in created, maturing mangrove forests, which can improve predictions of mangrove forest responses to global change and ecosystem restoration.

Florida↗

Water storage decisions will determine the distribution and persistence of imperiled river fishes

Managing the world’s freshwater supply to meet societal and environmental needs in a changing climate is one of the biggest challenges for the 21 st century. Dams provide water security, however, the allocation of dwindling water supply among reservoirs could exacerbate or ameliorate the effects of climate change on aquatic communities. Here, we show that the relative sensitivity of river thermal regimes to direct impacts of climate change and societal decisions concerning water storage vary substantially throughout a river basin. In the absence of interspecific interactions, future Colorado River temperatures would appear to benefit both endemic and nonnative fish species. However, endemic species are already declining or extirpated in locations where their ranges overlap with warmwater nonnatives and changes in water storage may lead to warming in some of the coolest portions of the river basin, facilitating further nonnative expansion. Integrating environmental considerations into ongoing water storage negotiations may lead to better resource outcomes than mitigating nonnative species impacts after the fact.

Ecological Applications↗

Assessing the robustness of time-to-event models for estimating unmarked wildlife abundance using remote cameras

Recently developed methods, including time-to-event and space-to-event models, estimate the abundance of unmarked populations from encounter rates with camera trap arrays, addressing a gap in noninvasive wildlife monitoring. However, estimating abundance from encounter rates relies on assumptions that can be difficult to meet in the field, including random movement, population closure, and an accurate estimate of movement speed. Understanding how these models respond to violation of these assumptions will assist in making them more applicable in real-world settings. We used simulated walk models to test the effects of violating the assumptions of the time-to-event model under four scenarios: (1) incorrectly estimating movement speed, (2) violating closure, (3) individuals moving within simplified territories (i.e., movement restricted to partially overlapping circles), (4) and individuals clustering in preferred habitat. The time-to-event model was robust to closure violations, territoriality, and clustering when cameras were placed randomly. However, the model failed to estimate abundance accurately when movement speed was incorrectly estimated or cameras were placed nonrandomly with respect to habitat. We show that the time-to-event model can provide unbiased estimates of abundance when some assumptions that are commonly violated in wildlife studies are not met. Having a robust method for estimating the abundance of unmarked populations with remote cameras will allow practitioners to monitor a more diverse array of populations noninvasively. With the time-to-event model, placing cameras randomly with respect to animal movement and accurately estimating movement speed allows unbiased estimation of abundance. The model is robust to violating the other assumptions we tested.

Ecological Applications↗