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At least 1,711 records · Page 95Linked to original sources

Estimating water supply arsenic levels in the New England bladder cancer study

Background: Ingestion of inorganic arsenic in drinking water is recognized as a cause of bladder cancer when levels are relatively high (≥ 150 μg/L). The epidemiologic evidence is less clear at the low-to-moderate concentrations typically observed in the United States. Accurate retrospective exposure assessment over a long time period is a major challenge in conducting epidemiologic studies of environmental factors and diseases with long latency, such as cancer. Objective: We estimated arsenic concentrations in the water supplies of 2,611 participants in a population-based case–control study in northern New England. Methods: Estimates covered the lifetimes of most study participants and were based on a combination of arsenic measurements at the homes of the participants and statistical modeling of arsenic concentrations in the water supply of both past and current homes. We assigned a residential water supply arsenic concentration for 165,138 (95%) of the total 173,361 lifetime exposure years (EYs) and a workplace water supply arsenic level for 85,195 EYs (86% of reported occupational years). Results: Three methods accounted for 93% of the residential estimates of arsenic concentration: direct measurement of water samples (27%; median, 0.3 μg/L; range, 0.1–11.5), statistical models of water utility measurement data (49%; median, 0.4 μg/L; range, 0.3–3.3), and statistical models of arsenic concentrations in wells using aquifers in New England (17%; median, 1.6 μg/L; range, 0.6–22.4). Conclusions: We used a different validation procedure for each of the three methods, and found our estimated levels to be comparable with available measured concentrations. This methodology allowed us to calculate potential drinking water exposure over long periods.

Environmental Health Perspectives↗

High-energy carbonate-sand accumulation, the Quicksands, southwest Florida Keys

High-resolution seismic-reflection profiles of the Quicksands, located along a broad ridge on the platform shelf west of Key West, Florida, indicate a significant deposit of non-oolitic carbonate sand occurs in a belt 47 km long by 28 km wide. The surface of the belt is ornamented by large (5 m), migrating tidal bars, oriented in a north-south direction, on which sand waves, oriented in an east-west direction, are superimposed. Some of the sand waves are awash at low tide. The sand waves are formed by strong reversing tidal currents flowing between the Gulf of Mexico and the Straits of Florida. The waves migrate directly over Pleistocene bedrock to the east, but the deposit thickens to the west and sand waves there overlie non-oolitic Holocene accumulations as thick as 12 m. Westward-dipping accretionary bedding indicates that net migration of the sands is to the west, despite north-south movement of tidal currents. The westward edge of the accumulation has accreted over deeper, muddier deposits. Although tidal currents and resultant bedforms appear identical to those of active ooid deposits in the Bahamas and elsewhere, no oolitically coated grains were found in this study. Thin-section analyses show the principal component (average 48%) of the sands is fragmented plates of species of the green alga Halimeda , followed by particulate coral (average 17%), which increases off the flanks of the main sand body. Short vibracores confirm the presence of cross-bedding.

Florida↗

Alphacoronaviruses in new World bats: Prevalence, persistence, phylogeny, and potential for interaction with humans

Bats are reservoirs for many different coronaviruses (CoVs) as well as many other important zoonotic viruses. We sampled feces and/or anal swabs of 1,044 insectivorous bats of 2 families and 17 species from 21 different locations within Colorado from 2007 to 2009. We detected alphacoronavirus RNA in bats of 4 species: big brown bats (Eptesicus fuscus), 10% prevalence; long-legged bats (Myotis volans), 8% prevalence; little brown bats (Myotis lucifugus), 3% prevalence; and western long-eared bats (Myotis evotis), 2% prevalence. Overall, juvenile bats were twice as likely to be positive for CoV RNA as adult bats. At two of the rural sampling sites, CoV RNAs were detected in big brown and long-legged bats during the three sequential summers of this study. CoV RNA was detected in big brown bats in all five of the urban maternity roosts sampled throughout each of the periods tested. Individually tagged big brown bats that were positive for CoV RNA and later sampled again all became CoV RNA negative. Nucleotide sequences in the RdRp gene fell into 3 main clusters, all distinct from those of Old World bats. Similar nucleotide sequences were found in amplicons from gene 1b and the spike gene in both a big-brown and a long-legged bat, indicating that a CoV may be capable of infecting bats of different genera. These data suggest that ongoing evolution of CoVs in bats creates the possibility of a continued threat for emergence into hosts of other species. Alphacoronavirus RNA was detected at a high prevalence in big brown bats in roosts in close proximity to human habitations (10%) and known to have direct contact with people (19%), suggesting that significant potential opportunities exist for cross-species transmission of these viruses. Further CoV surveillance studies in bats throughout the Americas are warranted.

PLoS ONE↗

Parasite transmission in social interacting hosts: Monogenean epidemics in guppies

Background Infection incidence increases with the average number of contacts between susceptible and infected individuals. Contact rates are normally assumed to increase linearly with host density. However, social species seek out each other at low density and saturate their contact rates at high densities. Although predicting epidemic behaviour requires knowing how contact rates scale with host density, few empirical studies have investigated the effect of host density. Also, most theory assumes each host has an equal probability of transmitting parasites, even though individual parasite load and infection duration can vary. To our knowledge, the relative importance of characteristics of the primary infected host vs. the susceptible population has never been tested experimentally. Methodology/Principal Findings Here, we examine epidemics using a common ectoparasite, Gyrodactylus turnbulli infecting its guppy host ( Poecilia reticulata ). Hosts were maintained at different densities (3, 6, 12 and 24 fish in 40 L aquaria), and we monitored gyrodactylids both at a population and individual host level. Although parasite population size increased with host density, the probability of an epidemic did not. Epidemics were more likely when the primary infected fish had a high mean intensity and duration of infection. Epidemics only occurred if the primary infected host experienced more than 23 worm days. Female guppies contracted infections sooner than males, probably because females have a higher propensity for shoaling. Conclusions/Significance These findings suggest that in social hosts like guppies, the frequency of social contact largely governs disease epidemics independent of host density.

PLoS ONE↗

Projected evolution of California's San Francisco Bay-Delta-River System in a century of continuing climate change

Background Accumulating evidence shows that the planet is warming as a response to human emissions of greenhouse gases. Strategies of adaptation to climate change will require quantitative projections of how altered regional patterns of temperature, precipitation and sea level could cascade to provoke local impacts such as modified water supplies, increasing risks of coastal flooding, and growing challenges to sustainability of native species. Methodology/Principal Findings We linked a series of models to investigate responses of California's San Francisco Estuary-Watershed (SFEW) system to two contrasting scenarios of climate change. Model outputs for scenarios of fast and moderate warming are presented as 2010–2099 projections of nine indicators of changing climate, hydrology and habitat quality. Trends of these indicators measure rates of: increasing air and water temperatures, salinity and sea level; decreasing precipitation, runoff, snowmelt contribution to runoff, and suspended sediment concentrations; and increasing frequency of extreme environmental conditions such as water temperatures and sea level beyond the ranges of historical observations. Conclusions/Significance Most of these environmental indicators change substantially over the 21 st century, and many would present challenges to natural and managed systems. Adaptations to these changes will require flexible planning to cope with growing risks to humans and the challenges of meeting demands for fresh water and sustaining native biota. Programs of ecosystem rehabilitation and biodiversity conservation in coastal landscapes will be most likely to meet their objectives if they are designed from considerations that include: (1) an integrated perspective that river-estuary systems are influenced by effects of climate change operating on both watersheds and oceans; (2) varying sensitivity among environmental indicators to the uncertainty of future climates; (3) inevitability of biological community changes as responses to cumulative effects of climate change and other drivers of habitat transformations; and (4) anticipation and adaptation to the growing probability of ecosystem regime shifts.

California↗

Movements of wolves at the northern extreme of the species' range, including during four months of darkness

Information about wolf ( Canis lupus ) movements anywhere near the northern extreme of the species' range in the High Arctic (>75°N latitude) are lacking. There, wolves prey primarily on muskoxen ( Ovibos moschatus ) and must survive 4 months of 24 hr/day winter darkness and temperatures reaching -53 C. The extent to which wolves remain active and prey on muskoxen during the dark period are unknown, for the closest area where information is available about winter wolf movements is >2,250 km south. We studied a pack of ≥20 wolves on Ellesmere Island, Nunavut, Canada (80°N latitude) from July 2009 through mid-April 2010 by collaring a lead wolf with a Global Positioning System (GPS)/Argos radio collar. The collar recorded the wolf's precise locations at 6:00 a.m. and 6:00 p.m. daily and transmitted the locations by satellite to our email. Straight-line distances between consecutive 12-hr locations varied between 0 and 76 km. Mean (SE) linear distance between consecutive locations (n = 554) was 11 (0.5) km. Total minimum distance traveled was 5,979 km, and total area covered was 6,640 km 2 , the largest wolf range reported. The wolf and presumably his pack once made a 263-km (straight-line distance) foray to the southeast during 19–28 January 2010, returning 29 January to 1 February at an average of 41 km/day straight-line distances between 12-hr locations. This study produced the first detailed movement information about any large mammal in the High Arctic, and the average movements during the dark period did not differ from those afterwards. Wolf movements during the dark period in the highest latitudes match those of the other seasons and generally those of wolves in lower latitudes, and, at least with the gross movements measurable by our methods, the 4-month period without direct sunlight produced little change in movements.

Ellesmere Island;Nunavut↗

Comparative phylogeography of a coevolved community: Concerted population expansions in Joshua trees and four Yucca moths

Comparative phylogeographic studies have had mixed success in identifying common phylogeographic patterns among co-distributed organisms. Whereas some have found broadly similar patterns across a diverse array of taxa, others have found that the histories of different species are more idiosyncratic than congruent. The variation in the results of comparative phylogeographic studies could indicate that the extent to which sympatrically-distributed organisms share common biogeographic histories varies depending on the strength and specificity of ecological interactions between them. To test this hypothesis, we examined demographic and phylogeographic patterns in a highly specialized, coevolved community - Joshua trees (Yucca brevifolia) and their associated yucca moths. This tightly-integrated, mutually interdependent community is known to have experienced significant range changes at the end of the last glacial period, so there is a strong a priori expectation that these organisms will show common signatures of demographic and distributional changes over time. Using a database of >5000 GPS records for Joshua trees, and multi-locus DNA sequence data from the Joshua tree and four species of yucca moth, we combined paleaodistribution modeling with coalescent-based analyses of demographic and phylgeographic history. We extensively evaluated the power of our methods to infer past population size and distributional changes by evaluating the effect of different inference procedures on our results, comparing our palaeodistribution models to Pleistocene-aged packrat midden records, and simulating DNA sequence data under a variety of alternative demographic histories. Together the results indicate that these organisms have shared a common history of population expansion, and that these expansions were broadly coincident in time. However, contrary to our expectations, none of our analyses indicated significant range or population size reductions at the end of the last glacial period, and the inferred demographic changes substantially predate Holocene climate changes.

PLoS ONE↗

Selection indicates preference in diverse habitats: A ground-nesting bird ( Charadrius melodus ) using reservoir shoreline

Animals use proximate cues to select resources that maximize individual fitness. When animals have a diverse array of available habitats, those selected could give insights into true habitat preferences. Since the construction of the Garrison Dam on the Missouri River in North Dakota, Lake Sakakawea (SAK) has become an important breeding area for federally threatened piping plovers ( Charadrius melodus ; hereafter plovers). We used conditional logistic regression to examine nest-site selection at fine scales (1, 3, and 10 m) during summers 2006&ndash;2009 by comparing characteristics at 351 nests to those of 668 random sites within nesting territories. Plovers selected sites (1 m 2 ) that were lower than unused random sites, increasing the risk of nest inundation. Plovers selected nest sites that were flat, had little silt, and at least 1 cobble; they also selected for 3-m radius nest areas that were relatively flat and devoid of vegetation and litter. Ninety percent of nests had <38% coverage of silt and <10% slope at the site, and <15% coverage of vegetation or litter and <31% slope within the 3-m radius. Gravel was selected for at nest sites (11% median), but against in the area 10-m from the nest, suggesting plovers select for patches or strips of gravel. Although elevation is rarely evaluated in studies of ground-nesting birds, our results underscore its importance in habitat-selection studies. Relative to where plovers historically nested, habitat at SAK has more diverse topography, substrate composition, vegetation communities, and greater water-level fluctuations. Accordingly, our results provide an example of how habitat-selection results can be interpreted as habitat preferences because they are not influenced by desired habitats being scarce or absent. Further, our results will be useful for directing habitat conservation for plovers and interpreting other habitat-selection studies.

North Dakota↗

Rapid microsatellite identification from Illumina paired-end genomic sequencing in two birds and a snake

Identification of microsatellites, or simple sequence repeats (SSRs), can be a time-consuming and costly investment requiring enrichment, cloning, and sequencing of candidate loci. Recently, however, high throughput sequencing (with or without prior enrichment for specific SSR loci) has been utilized to identify SSR loci. The direct "Seq-to-SSR" approach has an advantage over enrichment-based strategies in that it does not require a priori selection of particular motifs, or prior knowledge of genomic SSR content. It has been more expensive per SSR locus recovered, however, particularly for genomes with few SSR loci, such as bird genomes. The longer but relatively more expensive 454 reads have been preferred over less expensive Illumina reads. Here, we use Illumina paired-end sequence data to identify potentially amplifiable SSR loci (PALs) from a snake (the Burmese python, Python molurus bivittatus ), and directly compare these results to those from 454 data. We also compare the python results to results from Illumina sequencing of two bird genomes (Gunnison Sage-grouse, Centrocercus minimus , and Clark's Nutcracker, Nucifraga columbiana ), which have considerably fewer SSRs than the python. We show that direct Illumina Seq-to-SSR can identify and characterize thousands of potentially amplifiable SSR loci for as little as $10 per sample &ndash; a fraction of the cost of 454 sequencing. Given that Illumina Seq-to-SSR is effective, inexpensive, and reliable even for species such as birds that have few SSR loci, it seems that there are now few situations for which prior hybridization is justifiable.

PLoS ONE↗

The WOAH global wildlife health collaborating centre network (WOAH-WildNet): A coordinated and transformative approach to global wildlife health challenges

Wildlife health is integral to functioning, complex ecosystems [ 1 ], directly and indirectly influencing the health of people, animals, plants, and the environment [ 2 – 4 ]. Healthy wildlife populations are essential for ecosystem services and are at the heart of the One Health approach [ 3 , 4 ], which aims to sustainably balance and optimize the health of people, animals, and ecosystems through multisectoral and transdisciplinary collaboration [ 5 ]. Despite its importance, wildlife health initiatives often operate in silos, limiting capacity to address transboundary threats such as emerging diseases, pollution, and environmental changes. Anthropogenic changes, including habitat loss, degradation, fragmentation, and unsustainable harvesting, exacerbate wildlife health challenges [6–9]. These pressures disrupt species biology and alter host-pathogen dynamics [10–12], underscoring the importance of coordinated collective action in addressing harmful effects on the health of wild animals. While local conservation efforts are vital, long-term success in safeguarding biodiversity requires a unified, global network. For instance, without harmonized surveillance and response systems, individual institutions cannot effectively track pathogens across borders or share diagnostic capabilities. The World Organisation for Animal Health (WOAH) Collaborating Centre Network for Wildlife Health—WOAH-WildNet—was established to bridge these gaps. By fostering global collaboration, sharing resources, and enabling data exchange, WOAH-WildNet provides a transformative, systems-based approach to wildlife health, managing risks, and enhancing ecosystem resilience. Central to this mission is breaking down silos to promote intersectoral coordinated responses to complex wildlife health challenges.

PLOS Sustainability and Transformation↗

Winter distribution of willow flycatcher subspecies

Documenting how different regions across a species' breeding and nonbreeding range are linked via migratory movements is the first step in understanding how events in one region can influence events in others and is critical to identifying conservation threats throughout a migratory animal's annual cycle. We combined two studies that evaluated migratory connectivity in the Willow Flycatcher ( Empidonax traillii ), one using mitochondrial DNA sequences from 172 flycatchers sampled throughout their winter range, and another which examined morphological characteristics of 68 museum specimens collected in the winter range. Our results indicate that the four subspecies occupy distinct but overlapping regions of the winter range. Connectivity between specific breeding and winter grounds appears to be moderate to strong, with distributions that suggest migration patterns of both the chain and leap-frog types connecting the breeding and nonbreeding grounds. The Pacific lowlands of Costa Rica appear to be a key winter location for the endangered Southwestern Willow Flycatcher ( E. t. extimus ), although other countries in Central America may also be important for the subspecies.

The Condor↗

Migration And wintering areas Of Glaucous-winged Gulls From south-central Alaska

We used satellite telemetry to investigate the migration patterns and wintering areas of Glaucous-winged Gulls (Larus glaucescens) from Middleton Island, Alaska, where this species' population increased tenfold from the 1970s to the 1990s. Fall migration spanned 11 weeks, including numerous stopovers en route, apparently for feeding. Spring migration from wintering sites to Middleton Island was shorter (4 weeks) and more direct. One juvenile spent several months in southern Prince William Sound. An adult spent several months near Craig, southeast Alaska, while three others overwintered in southern British Columbia. For all four wintering adults use of refuse-disposal sites was evident or strongly suggested. Commensalism with humans may have contributed to the increase on Middleton, but a strong case can also be made for a competing explanation-regional recruitment of gulls to high-quality nesting habitat in Alaska created after the earthquake of 1964. An analysis of band returns reveals broad overlap in the wintering grounds of gulls from different Alaska colonies and of gulls banded on the west coast from British Columbia to California. The seasonal movement of many gulls from Alaska is decidedly migratory, whereas gulls from British Columbia, Washington, and Oregon disperse locally in winter.

Alaska↗

Testing competing hypotheses for chronology and intensity of lesser scaup molt during winter and spring migration

We examined chronology and intensity of molt and their relationships to nutrient reserves (lipid and protein) of Lesser Scaup ( Aythya affinisK/i>) to test predictions of two competing hypotheses. The "staggered cost" hypothesis states that contour-feather molt is nutritionally costly and should not occur during nutritionally costly periods of the annual cycle unless adequate nutrients are available. The "breeding plumage" hypothesis states that prealternate molt must be complete prior to nesting, regardless of nutrient availability. Males and females were completing prebasic molt during winter (Louisiana) and had similar molt intensities. Females underwent prealternate molt during spring migration (Illinois and Minnesota) and prebreeding (Manitoba) periods; 53% and 93% of females were in moderate to heavy molt in Minnesota and Manitoba, respectively, despite experiencing other substantial nutritional costs. Intensity of prealternate molt was not correlated with lipid reserves even though females, on average, were nutritionally stressed. Molt intensity was not negatively correlated with protein reserves at any location. Chronology and intensity of prealternate molt varied little and were not temporally staggered from other nutritionally costly events. Prealternate molt did not influence nutrient reserves, and nutrient reserves likely were not the ultimate factor influencing chronology or intensity of prealternate molt of females. We surmise that nutrients required for prealternate molt come from exogenous sources and that the "staggered cost" hypothesis does not explain chronology of prealternate molt in female Lesser Scaup; rather, it appears that molt must be complete prior to nesting, consistent with the "breeding plumage" hypothesis.

The Condor↗

Mortality of smelt, Osmerus mordax (Mitchill), in Lakes Huron and Michigan during the fall and winter of 1942-1943

The mortality that nearly exterminated the huge stocks of smelt in Lakes Huron and Michigan during the fall and winter of 1942&ndash;1943 appears to have originated in central Lake Huron in the Saginaw Bay area in late September or early October 1942. The mortality spread rapidly northward reaching the Drummond Island area about the latter part of October and the St. Ignace region of the Straits of Mackinac near the end of the month. In the latter part of October smelt died also in the Canadian waters of Lake Huron including North Channel and Georgian Bay but exact details as to time and course are lacking. There is some evidence that the epidemic had not reached the Ontario shore of central Lake Huron by late May 1943. Spreading through northern Lake Michigan the mortality had penetrated as far south as Grand Traverse Bay by November 19 and as far west as Point Aux Barques, Michigan, by November 26, 1942. Smelt were reported to be dying in Lake Charlevoix, Michigan, in early February 1943, and in Green Bay toward the middle of that month. The mortality did not reach Crystal Lake where in contrast to Lake Charlevoix a dam barred the passage of fish from Lake Michigan. At the time of the 1943 spring spawning run (April) only a few scattered survivors remained from the vast populations. After consideration of possible causes, it was concluded that the mortality could be explained only as resulting from a communicable disease (bacteria or virus). This explanation alone is in harmony with the following facts: the mortality was progressive, spreading from one area into adjacent areas over a period of at least 4 1/2 months and under a great diversity of habitat conditions; only smelt were affected but within the species death overtook fish of all sizes from 2 inches on and all ages of both sexes, mature and immature; the mortality penetrated Lake Charlevoix where the passage of fish to and from Lake Michigan was possible but did not reach Crystal Lake where the passage from Lake Michigan was barred by a dam; the epidemic did not reach other inland lakes where free and easy access from the Great Lakes was impossible nor did it extend to Lakes Superior, Erie, and Ontario. Considered at first as a nuisance and a threat to the native fishes of the Great Lakes, the smelt ultimately became a fish of primary importance to commercial fishermen, sportsmen, and others. In Green Bay, the center of the commercial fishery, smelt became the dominant commercial species, yielding more than 4 million pounds in some years. Almost all of the commercial production was from nets set under the ice. The take by amateurs and others who dipped smelt from streams during the spawning run was even greater, amounting to as much as 5 1/2 million pounds in a single year in the State of Michigan alone (the yield in Wisconsin may have been nearly as great). The mortality of smelt was a severe blow to the nation's war-time food-production program. It is estimated that in 1943, in which year elaborate preparations had been made for the efficient utilization of the spawning-run production, the mortality reduced the output of smelt by about 13 million pounds. The total loss through the present (1946) season can be set in the neighborhood of 50 million pounds. The first indication of a recovery of the smelt came in 1945 when a small amount was produced commercially in Green Bay and numerous light runs occurred in streams tributary to Lakes Huron and Michigan. The general level of abundance in 1945, however, is believed to have been less than 10 per cent of that of &ldquo;pre-mortality&rdquo; years. Such information as is available for 1946 suggests considerable further improvement in this year. Given good survival of young, it is anticipated that a large rise in the abundance of smelt can occur in 1947 and that by 1948 or 1949 the size of the populations should no longer be influenced by the number of spawners available in preceding years. The smelt from the Escanaba area of Green Bay were without exception significantly longer and heavier in 1944 and 1945 than were fish of corresponding age captured in the same region in 1941. Furthermore, three of four comparisons indicated significantly greater size in 1945 than in 1944. This improvement in growth rate is believed to have been associated with the reduction in the smelt population brought about by the 1942&ndash;1943 mortality.

Transactions of the American Fisheries Society↗

Selection to increase survival of smolts in four successive broods of coho salmon

Survival from smolt to adult for full and half-sib families of coho salmon Oncorhynchus kisutch was used to identify families with the highest survival rates at Big Creek Salmon Hatchery in Oregon. Adult fish from families with high survival were bred selectively for four consecutive generations in an attempt to increase smolt survival. A significant improvement in survival in the select line compared to the control after two generations of selection was not maintained in subsequent generations. We concluded that selection was not an effective method for increasing survival of smolts released at Big Creek Hatchery.

Transactions of the American Fisheries Society↗

Food habits of Atlantic sturgeon off the central New Jersey coast

Limited information exists on the marine diet of the Atlantic sturgeon Acipenser oxyrinchus oxyrinchus . We examined the food habits of 275 Atlantic sturgeon (total length, 106–203 cm) caught in the commercial fishery off the coast of New Jersey. Stomachs were provided by fishermen. Significantly more stomachs were empty in the spring than in the fall. Sand and organic debris were a major component in the stomachs (26.3–75.4% by weight). Polycheates were the primary prey group consumed, although the isopod Politolana concharum was the most important individual prey eaten. Mollusks and fish contributed little to the diet. Some prey taxa (i.e., polychaetes, isopods, amphipods) exhibited seasonal variation in importance in the diet of Atlantic sturgeon. Identification of the offshore diet of Atlantic sturgeon is an important step in developing a better understanding of the life history requirements and marine ecology of this species.

New Jersey↗

Fire and aquatic ecosystems in forested biomes of North America

Synthesis of the literature suggests that physical, chemical, and biological elements of a watershed interact with long‐term climate to influence fire regime, and that these factors, in concordance with the postfire vegetation mosaic, combine with local‐scale weather to govern the trajectory and magnitude of change following a fire event. Perturbation associated with hydrological processes is probably the primary factor influencing postfire persistence of fishes, benthic macroinvertebrates, and diatoms in fluvial systems. It is apparent that salmonids have evolved strategies to survive perturbations occurring at the frequency of wildland fires (10°–10 2 years), but local populations of a species may be more ephemeral. Habitat alteration probably has the greatest impact on individual organisms and local populations that are the least mobile, and reinvasion will be most rapid by aquatic organisms with high mobility. It is becoming increasingly apparent that during the past century fire suppression has altered fire regimes in some vegetation types, and consequently, the probability of large stand‐replacing fires has increased in those areas. Current evidence suggests, however, that even in the case of extensive high‐severity fires, local extirpation of fishes is patchy, and recolonization is rapid. Lasting detrimental effects on fish populations have been limited to areas where native populations have declined and become increasingly isolated because of anthropogenic activities. A strategy of protecting robust aquatic communities and restoring aquatic habitat structure and life history complexity in degraded areas may be the most effective means for insuring the persistence of native biota where the probability of large‐scale fires has increased.

Transactions of the American Fisheries Society↗