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At least 1,459 records · Page 81Linked to original sources

To predict the niche, model colonization and extinction

Ecologists frequently try to predict the future geographic distributions of species. Most studies assume that the current distribution of a species reflects its environmental requirements (i.e., the species' niche). However, the current distributions of many species are unlikely to be at equilibrium with the current distribution of environmental conditions, both because of ongoing invasions and because the distribution of suitable environmental conditions is always changing. This mismatch between the equilibrium assumptions inherent in many analyses and the disequilibrium conditions in the real world leads to inaccurate predictions of species' geographic distributions and suggests the need for theory and analytical tools that avoid equilibrium assumptions. Here, we develop a general theory of environmental associations during periods of transient dynamics. We show that time-invariant relationships between environmental conditions and rates of local colonization and extinction can produce substantial temporal variation in occupancy–environment relationships. We then estimate occupancy–environment relationships during three avian invasions. Changes in occupancy–environment relationships over time differ among species but are predicted by dynamic occupancy models. Since estimates of the occupancy–environment relationships themselves are frequently poor predictors of future occupancy patterns, research should increasingly focus on characterizing how rates of local colonization and extinction vary with environmental conditions.

Ecology↗

Impacts of weather on long-term patterns of plant richness and diversity vary with location and management

Better understanding the influence of precipitation and temperature on plant assemblages is needed to predict the effects of climate change. Many studies have examined the relationship between plant productivity and weather (primarily precipitation), but few have directly assessed the relationship between plant richness or diversity and weather despite their increased use as metrics of ecosystem condition. We focus on the grasslands of central North America, which are characterized by high temporal climatic variability. Over the next 100 years, these grasslands are predicted to experience further increased variability in growing season precipitation, as well as increased temperatures, due to global climate change. We assess 1) the portion of interannual variability of richness and diversity explained by weather, 2) how relationships between these metrics and weather vary among plant assemblages, and 3) which aspects of weather best explain temporal variability. We used an information-theoretic approach to assess relationships between long-term plant richness and diversity patterns and a priori weather covariates using six datasets from four grasslands. Weather explained up to 49% and 63% of interannual variability in total plant species richness and diversity, respectively. However, richness and diversity responses to specific weather variables varied both among sites and among experimental treatments within sites. In general, we found many instances in which temperature was of equal or greater importance as precipitation, as well as evidence of the importance of lagged effects and precipitation or temperature variability. Although precipitation has been shown to be a key driver of productivity in grasslands, our results indicate that increasing temperatures alone, without substantial changes in precipitation patterns, could have measurable effects on Great Plains grassland plant assemblages and biodiversity metrics. Our results also suggest that richness and diversity will respond in unique ways to changing climate and management can affect these responses; additional research and monitoring will be essential for further understanding of these complex relationships. Read More: http://www.esajournals.org/doi/abs/10.1890/14-1989.1

Colorado, Kansas, Minnesota↗

Using public litigation records to identify priority science needs for managing public lands

Relevant science is essential for effective natural resource decision making, including on public lands managed by the United States Department of the Interior (DOI) Bureau of Land Management (BLM), that cover 1/10th of the United States. Most of the BLM’s management decisions require analyses under the National Environmental Policy Act, and the use of science in these decisions is often challenged. Using coproduction, we assembled an interagency team of scientists and resource managers to develop a method for using public litigation to identify priority science needs for the BLM. We searched publicly available case documents finalized from 2015–2019 in Wyoming, Colorado, Utah, and New Mexico within federal courts and the DOI Office of Hearings and Appeals, and identified 108 case documents that involved challenges to the BLM’s use of science. We retained 48 case documents that contained at least one challenge about the BLM’s use of science for a specific resource. We categorized all challenges in each case document according to the proposed action, affected resource, type of science challenged (data about resources, science relevant to potential impacts, methods for analyzing potential impacts, and mitigation actions), and specific nature of the challenge (e.g., challenging direct effects analysis). We identified priority science needs based on the frequency of challenges, the number of states where similar challenges occurred, whether the BLM lost the challenge, and whether the case was remanded. Top needs related to oil and gas development actions and included science about effects on air quality and climate, water, and socioeconomics; data for air quality and climate; and methods for analyzing potential impacts to cultural resources and air quality and climate. The BLM can use this information to prioritize actions (e.g., funding new research or science syntheses) to strengthen its science foundation for decision-making.

Colorado, New Mexico, Utah, Wyoming↗

Anthropogenic land‐use change intensifies the effect of low flows on stream fishes

As ecosystems experience simultaneous disturbances, it is critical to understand how multiple stressors interact to affect ecological change. Land‐use change and extreme flow events are two important stressors that could interact to affect fish populations. We evaluated the individual and interactive effects of discharge and land‐use change associated with oil and natural gas development on populations of two stream fishes over a 7‐year period. We used repeated‐state (i.e. abundance trends) and rate (i.e. colonization and persistence) responses to advance our understanding of flow‐ecology relationships in a multiple‐stressor framework. Overall, fish abundance, colonization and persistence declined as discharge decreased. The effect of land‐use change associated with oil and natural gas development differed between species, with the abundance of Mottled Sculpin declining and Mountain Sucker increasing as land‐use change increased. We found both synergistic and antagonistic interactions between discharge and land‐use change. Land‐use change intensified the effect of low flows for Mottled Sculpin and lead to greater variability in responses to flow for Mountain Sucker. These differences between species' responses are likely due to differences in their physiological tolerances and behavioural adaptations to disturbance. Synthesis and applications . Our research provides empirical evidence for the complex interactions that can arise between discharge and anthropogenic land‐use change. Management efforts to reduce inputs of sediments and chemical contaminants associated with land‐use change (e.g. silt fences, vegetative buffers) and promote quality refuge habitats (i.e. in‐stream habitat restoration) could help mitigate the negative effects of low‐flow extremes on stream fishes. Further development of flow‐ecology relationships in a multiple‐stressor framework will help guide management of stream fishes, and provide a better understanding of the mechanisms underlying responses of different species.

Wyoming↗

Wildlife health in a rapidly changing North: focus on avian disease

Climate-related environmental changes have increasingly been linked to emerging infectious diseases in wildlife. The Arctic is facing a major ecological transition that is expected to substantially affect animal and human health. Changes in phenology or environmental conditions that result from climate warming may promote novel species assemblages as host and pathogen ranges expand to previously unoccupied areas. Recent evidence from the Arctic and subarctic suggests an increase in the spread and prevalence of some wildlife diseases, but baseline data necessary to detect and verify such changes are still lacking. Wild birds are undergoing rapid shifts in distribution and have been implicated in the spread of wildlife and zoonotic diseases. Here, we review evidence of current and projected changes in the abundance and distribution of avian diseases and outline strategies for future research. We discuss relevant climatic and environmental factors, emerging host–pathogen contact zones, the relationship between host condition and immune function, and potential wildlife and human health outcomes in northern regions.

Frontiers in Ecology and the Environment↗

Panarchy use in environmental science for risk and resilience planning

Environmental sciences have an important role in informing sustainable management of built environments by providing insights about the drivers and potentially negative impacts of global environmental change. Here, we discuss panarchy theory, a multi-scale hierarchical concept that accounts for the dynamism of complex socio-ecological systems, especially for those systems with strong cross-scale feedbacks. The idea of panarchy underlies much of system resilience, focusing on how systems respond to known and unknown threats. Panarchy theory can provide a framework for qualitative and quantitative research and application in the environmental sciences, which can in turn inform the ongoing efforts in socio-technical resilience thinking and adaptive and transformative approaches to management.

Environment Systems and Decisions↗

Recovering individual-level spatial inference from aggregated binary data

Binary regression models are commonly used in disciplines such as epidemiology and ecology to determine how spatial covariates influence individuals. In many studies, binary data are shared in a spatially aggregated form to protect privacy. For example, rather than reporting the location and result for each individual that was tested for a disease, researchers may report that a disease was detected or not detected within geopolitical units. Often, the spatial aggregation process obscures the values of response variables, spatial covariates, and locations of each individual, which makes recovering individual-level inference difficult. We show that applying a series of transformations, including a change of support, to a bivariate point process model allows researchers to recover individual-level inference for spatial covariates from spatially aggregated binary data. The series of transformations preserves the convenient interpretation of desirable binary regression models that are commonly applied to individual-level data. Using a simulation experiment, we compare the performance of our proposed method under varying types of spatial aggregation against the performance of standard approaches using the original individual-level data. We illustrate our method by modeling individual-level probability of infection using a data set that has been aggregated to protect an at-risk and endangered species of bats. Our simulation experiment and data illustration demonstrate the utility of the proposed method when access to original non-aggregated data is impractical or prohibited.

Northeast and Midwest United States↗

Correlates of biological soil crust abundance across a continuum of spatial scales: Support for a hierarchical conceptual model

1. Desertification negatively impacts a large proportion of the global human population and > 30% of the terrestrial land surface. Better methods are needed to detect areas that are at risk of desertification and to ameliorate desertified areas. Biological soil crusts are an important soil lichen-moss-microbial community that can be used toward these goals, as (i) bioindicators of desertification damage and (ii) promoters of soil stability and fertility. 2. We identified environmental factors that correlate with soil crust occurrence on the landscape and might be manipulated to assist recovery of soil crusts in degraded areas. We conducted three studies on the Colorado Plateau, USA, to investigate the hypotheses that soil fertility [particularly phosphorus (P), manganese (Mn) and zinc (Zn)] and/or moisture limit soil crust lichens and mosses at four spatial scales. 3. In support of the soil fertility hypothesis, we found that lichen-moss crusts were positively correlated with several nutrients [Mn, Zn, potassium (K) and magnesium (Mg) were most consistent] at three of four spatial scales ranging from 3.5 cm2 in area to c. 800 km2. In contrast, P was negatively correlated with lichen-moss crusts at three scales. 4. Community composition varied with micro-aspect on ridges in the soil crust. Three micro-aspects [north-north-west (NNW), east-north-east (ENE) and TOP] supported greater lichen and moss cover than the warmer, windward and more xeric micro-aspects [west-south-west (WSW) and south-south-east (SSE)]. This pattern was poorly related to soil fertility; rather, it was consistent with the moisture limitation hypothesis. 5. Synthesis and application. Use of crusts as desertification bioindicators requires knowledge of a site's potential for crust cover in the absence of desertification. We present a multi-scale model of crust potential as a function of site properties. Future quantitative studies can use this model to guide sampling efforts. Also, our results suggest new directions in restoration research: enhancement of moisture residence time and fertilization with key nutrients (Mn, Zn, K and Mg). Re-establishment of soil crusts in desertified lands will help regain lost soil stability and fertility, and facilitate plant re-establishment. ?? 2006 British Ecological Society.

Journal of Applied Ecology↗

A selected bibliography of water-related research in the upper Klamath Basin, Oregon

A bibliography containing 165 selected references was compiled to assist local, State, and Federal agencies that have ongoing water-related research interests in the Upper Klamath Basin. The report has two parts. Part 1 is a list of bibliographic citations alphabetized by author, and Part 2 is a subject index that references bibliographic entries. Categories of the subject index include chemistry, ecology, geology, hydrology, land use, and water management related reports. Maps, reports, proposals, theses, dissertations, and journal articles are referenced. Some of the environmental issues addressed by references in the bibliography are hypereutrophication, nuisance algal blooms, endangered fish species, water allocation questions, wetland and riparian habitat restoration, and pesticide and fertilizer utilization.

Open-File Report↗

The diversity-biomass-productivity relationships in grassland management and restoration

Diversity, biomass, and productivity, the three key community/ecosystem variables, are interrelated and pose reciprocal influences on each other. The relationships among the three variables have been a central focus in ecology and formed two schools of fundamentally different nature with two related applications: (1) management - how biomass manipulation (e.g., grazing, burning) affects diversity and productivity, and (2) restoration - how diversity manipulation (e.g., seeding, planting) affects biomass and productivity. In the past, the two apparently related aspects have been studied intensively but separately in basic research and the reciprocal effects of the three variables and applied aspects have not been jointly addressed. In most cases, optimal management often involves regulating biomass so that high diversity and productivity or other preferred habitat characteristics can be achieved and maintained, while restoration usually involves planting/seeding a certain number and/or combination of native species so that the native structure and function of the habitat can be restored and degraded ecosystems can recover faster. This article attempts to unify these two schools and discusses the significance and implications of the diversity-biomass-productivity relationships in practice, with particular emphasis on grassland ecosystems. ?? 2006 Gesellschaft fu??r O??kologie.

Basic and Applied Ecology↗

Large-scale variation in wave attenuation of oyster reef living shorelines and the influence of inundation duration

One of the paramount goals of oyster reef living shorelines is to achieve sustained and adaptive coastal protection, which requires meeting ecological (i.e., develop a self-sustaining oyster population) and engineering (i.e., provide coastal defense) targets. In a large-scale comparison along the Atlantic and Gulf coasts of the United States, the efficacy of various designs of oyster reef living shorelines at providing wave attenuation was evaluated accounting for the ecological limitations of oysters with regard to inundation duration. A critical threshold for intertidal oyster reef establishment is 50% inundation duration. Living shorelines that spent less than one-half of the time (<50%) inundated were not considered suitable habitat for oysters, however, were effective at wave attenuation (68% reduction in wave height). Reefs that experienced >50% inundation were considered suitable habitat for oysters, but wave attenuation was similar to controls (no reef; ~5% reduction in wave height). Many of the oyster reef living shoreline approaches therefore failed to optimize the ecological and engineering goals. In both inundation regimes, wave transmission decreased with an increasing freeboard (difference between reef crest elevation and water level), supporting its importance in the wave attenuation capacity of oyster reef living shorelines. However, given that the reef crest elevation (and thus freeboard) should be determined by the inundation duration requirements of oysters, research needs to be refocused on understanding the implications of other reef parameters (e.g., width) for optimizing wave attenuation. A broader understanding of the reef characteristics and seascape contexts that result in effective coastal defense by oyster reefs is needed to inform appropriate design and implementation of oyster-based living shorelines globally.

Alabama, Florida, Louisiana, New Jersey, Virginia↗

USGS supports ecosystem management in the San Francisco bay and delta

In the past several years, the Department of the Interior has ,l?laced particular emphasis on "ecosystem management" - the integration of scientific knowledge of ecological relationships with resource management practices to sustain ecological, cultural, and economic systems in broad habitat areas; eg., forest, desert, and aquatic habitats. The goal of ecosystem management is to understand the habitat requirements of many species and thereby assess the impact of a variety of human activities on regional biodiversity rather than to manage for individual species. In support of the management of the natural resources of San Francisco Bay and the delta, the USGS is augmenting its ongoing research program to provide additional research, monitoring, and assessment information and to improve the availability of that information. Following a workshop with resource and regulatory agency representatives, hosted by the USGS in early 1994, USGS researchers identified specific areas where existing and new scientific information could contribute to resolving some of the critical bay and delta land and aquatic management issues. The "ecosystems initiative" effort now underway addresses questions in three areas: Freshwater flow, including sediment and contaminant transport. Wetlands. Information and data access. Following is a brief description of activities being supported by this initiative.

Interagency Ecological Program Newsletter↗

Effects of recent wildfires on giant sequoia groves were anomalous at millennial timescales: a response to Hanson et al.

Background The giant sequoia ( Sequoiadendron giganteum [Lindley] Buchholz) of California’s Sierra Nevada recently suffered historically unprecedented wildfires that killed an estimated 13–19% of seed-bearing sequoias across their native range. Hanson et al. recently sought to characterize post-fire reproduction in two severely burned sequoia groves, but their two papers (1) inaccurately portrayed sequoia fire ecology, (2) had methodological flaws, and (3) without supporting evidence, questioned efforts to prevent large, stand-replacing wildfires and to plant sequoia seedlings in areas of low post-fire regeneration. Results Our analyses and literature review contradict many of Hanson et al.’s claims and implications. First, evidence indicates that preceding the recent wildfires, large, contiguous areas (>10 to >100 ha) of fire severe enough to kill most sequoias had been absent for at least a millennium, and probably much longer. The ancient sequoia fire regime was instead overwhelmingly dominated by surface fires in which most forest area burned at low or moderate severity interspersed with small forest gaps (hundredths of a hectare to a few hectares) created by local patches of higher-severity fire, within which most mature sequoias survived and most successful reproduction occurred. Prescribed fires have typically mimicked ancient fires and induced adequate sequoia regeneration. In contrast, in some extensive areas where recent wildfires killed most (or all) mature sequoias, regeneration has been well below historical levels, threatening a net loss of sequoia grove area. Methodologically, Hanson et al. reported sixfold greater post-fire sequoia seedling densities than others who sampled the same area; our assessments suggest their higher densities may have largely resulted from plot-placement bias. Finally, Hanson et al.’s comparisons of median seedling densities were inappropriate. Conclusions Hanson et al. questioned efforts to prevent large, high-severity wildfires in sequoia groves but did not acknowledge (1) that past fires sustained sequoia reproduction without the deaths of large fractions of mature sequoias, (2) the anomalous effects of recent wildfires, and (3) the acute conservation threat of losing large fractions of seed-bearing sequoias. Hanson et al.’s further implication, made without supporting evidence, that decisions to plant sequoia seedlings may be unwarranted ignores research showing that recent post-wildfire regeneration has often been well below historical levels.

California↗

Parasites in food webs: the ultimate missing links

Parasitism is the most common consumer strategy among organisms, yet only recently has there been a call for the inclusion of infectious disease agents in food webs. The value of this effort hinges on whether parasites affect food-web properties. Increasing evidence suggests that parasites have the potential to uniquely alter food-web topology in terms of chain length, connectance and robustness. In addition, parasites might affect food-web stability, interaction strength and energy flow. Food-web structure also affects infectious disease dynamics because parasites depend on the ecological networks in which they live. Empirically, incorporating parasites into food webs is straightforward. We may start with existing food webs and add parasites as nodes, or we may try to build food webs around systems for which we already have a good understanding of infectious processes. In the future, perhaps researchers will add parasites while they construct food webs. Less clear is how food-web theory can accommodate parasites. This is a deep and central problem in theoretical biology and applied mathematics. For instance, is representing parasites with complex life cycles as a single node equivalent to representing other species with ontogenetic niche shifts as a single node? Can parasitism fit into fundamental frameworks such as the niche model? Can we integrate infectious disease models into the emerging field of dynamic food-web modelling? Future progress will benefit from interdisciplinary collaborations between ecologists and infectious disease biologists.

Ecology Letters↗

Double exposure and dynamic vulnerability: Assessing economic well-being, ecological change and the development of the oil and gas industry in coastal Louisiana

The oil and gas industry has been a powerful driver of economic change in coastal Louisiana for the latter half of the 20th century and into the 21st. Yet, the overall impact of the industry on the economic well-being of host communities is varied, both spatially and temporally. While the majority of Louisiana’s oil and gas production now occurs offshore, processing the extracted product is an energy-intensive undertaking requiring an expansive network of land-based infrastructure. Despite the positive economic aspects of this development, there are also potential negatives posed to coastal ecosystems and to communities located adjacent to oil and gas infrastructure. This research utilizes a double exposure framework to explore the relationship between oil and gas infrastructure development, fish and shellfish habitat, and economic well-being in Louisiana’s coastal zone from 1950 to 2010. The approach followed four main steps: (1) Developing a hazardousness of place model to identify areas of magnified risk due to the combined hazards of multiple potential exposure sites related to the extraction and processing of crude oil and natural gas; (2) developing a model of ecological functioning to measure the ability of aquatic habitat to support key fish and shellfish species; (3) utilizing an integrated community economic well-being index to assess change on a decadal timescale; and (4) analyzing selected oil-dependent communities to illustrate how change processes occurring in different energy sectors result in differential outcomes. The results suggest that, for many communities, the dependence on the oil and gas industry has increased economic well-being but also increased sensitivity to natural and human-induced changes, including fluctuating economic conditions, environmental stress, coastal habitat destruction, and increasing social and economic pressures.

Louisiana↗

Pulsey, patchy water quality in the delta: Implications for meaningful monitoring

Valuable water quality and biological datasets have been gathered in the Sacramento-San Joaquin Delta for decades, most notably by the Interagency Ecological Program’s Environmental Monitoring Program (EMP). These extensive data have provided a means of analyzing and detecting long-term trends in water quality and ecosystem function (Jassby and others 2002; Kimmerer and Orsi 1996; Orsi and Mecum 1996) and may shape future restoration actions in the region. EMP water quality data—as well as data generated by the San Francisco Estuary Institute’s (SFEI) Regional Monitoring Program (RMP) and research groups like our own—have often focused on single, monthly or seasonal samples taken at several discrete points in space. Although such discrete data often push the practical limits of our equipment and human resources, higher resolution monitoring approaches can reveal limitations (in some cases severe) of these more coarse sampling schemes.

Interagency Ecological Program Newsletter↗

Practical guidance on characterizing availability in resource selection functions under a use-availability design

Habitat selection is a fundamental aspect of animal ecology, the understanding of which is critical to management and conservation. Global positioning system data from animals allow fine-scale assessments of habitat selection and typically are analyzed in a use-availability framework, whereby animal locations are contrasted with random locations (the availability sample). Although most use-availability methods are in fact spatial point process models, they often are fit using logistic regression. This framework offers numerous methodological challenges, for which the literature provides little guidance. Specifically, the size and spatial extent of the availability sample influences coefficient estimates potentially causing interpretational bias. We examined the influence of availability on statistical inference through simulations and analysis of serially correlated mule deer GPS data. Bias in estimates arose from incorrectly assessing and sampling the spatial extent of availability. Spatial autocorrelation in covariates, which is common for landscape characteristics, exacerbated the error in availability sampling leading to increased bias. These results have strong implications for habitat selection analyses using GPS data, which are increasingly prevalent in the literature. We recommend researchers assess the sensitivity of their results to their availability sample and, where bias is likely, take care with interpretations and use cross validation to assess robustness.

Ecology↗

A pesticide paradox: Fungicides indirectly increase fungal infections

There are many examples where the use of chemicals have had profound unintended consequences, such as fertilizers reducing crop yields (paradox of enrichment) and insecticides increasing insect pests (by reducing natural biocontrol). Recently, the application of agrochemicals, such as agricultural disinfectants and fungicides, has been explored as an approach to curb the pathogenic fungus, Batrachochytrium dendrobatidis ( Bd ), which is associated with worldwide amphibian declines. However, the long-term, net effects of early-life exposure to these chemicals on amphibian disease risk have not been thoroughly investigated. Using a combination of laboratory experiments and analysis of data from the literature, we explored the effects of fungicide exposure on Bd infections in two frog species. Extremely low concentrations of the fungicides azoxystrobin, chlorothalonil, and mancozeb were directly toxic to Bd in culture. However, estimated environmental concentrations of the fungicides did not reduce Bd on Cuban tree frog ( Osteopilus septentrionalis ) tadpoles exposed simultaneously to any of these fungicides and Bd , and fungicide exposure actually increased Bd -induced mortality. Additionally, exposure to any of these fungicides as tadpoles resulted in higher Bd abundance and greater Bd -induced mortality when challenged with Bd post-metamorphosis, an average of 71 d after their last fungicide exposure. Analysis of data from the literature revealed that previous exposure to the fungicide itraconazole, which is commonly used to clear Bd infections, made the critically endangered booroolong frog ( Litoria booroolongensis ) more susceptible to Bd . Finally, a field survey revealed that Bd prevalence was positively associated with concentrations of fungicides in ponds. Although fungicides show promise for controlling Bd , these results suggest that, if fungicides do not completely eliminate Bd or if Bd recolonizes, exposure to fungicides has the potential to do more harm than good. To ensure that fungicide applications have the intended consequence of curbing amphibian declines, researchers must identify which fungicides do not compromise the pathogen resistance mechanisms of amphibians.

Ecological Applications↗