Monitoring tigers and their prey: A manual for wildlife researchers, managers and conservationists in tropical Asia
Explore the source record for details and available documents.
SEARCH · Search USGS
Search indexed USGS publications on groundwater, aquifers, geologic maps, mineral resources and earthquakes. Explore source records by subject and place.
Quote a phrase for an exact phrase match. Source license links do not imply unrestricted reuse.
Explore the source record for details and available documents.
Explore the source record for details and available documents.
Inside the Equal Access to Justice Act is authored by Lowell E. Baier, an attorney, political scientist, and historian whose conservation portfolio includes the J. N. “Ding” Darling Conservation Award from the National Wildlife Federation (2016), Citizen Conservationist Award from the Association of Fish and Wildlife Agencies (2013), Conservationist of the Year Award from Outdoor Life magazine (2010), and Conservationist of the Year Award from the National Fish and Wildlife Foundation (2008). In the book, Baier stresses the need to reform the Equal Access to Justice Act (EAJA) because of unintended provisions that incentivize and reward environmental litigants for filing suit against federal regulatory and land management agencies, consequentially hindering pro-active, cooperative, conservation efforts. The book is the culmination of several years of legal research, case history analyses, and personal interviews with several key individuals from congress, conservation management agencies, and non-government organizations. Review info: Inside the equal access to justice act: Environmental litigation and the crippling battle over America's lands, endangered species, and critical habitats. By Lowell E. Baier, 2016. ISBN: 978-1442257443, 678 pp.
Prioritization is a central component of natural resource management because conservation needs routinely exceed available resources. Waterfowl and wetland conservation programs in North America are at the forefront of landscape-scale prioritization and transboundary management decisions due to the migratory nature of ducks, geese, and swans. The growing availability of geographic information systems (GIS) and geospatial technologies has accelerated the development of multi-objective landscape prioritization models, including applications of structured decision making and multi-criteria decision analysis to spatial planning for waterfowl and wetlands at the continental scale. However, regional managers and conservationists could benefit from flexibility in downscaling continental tools, selecting objectives, and assigning weights for rapid production of spatial prioritization models at smaller spatial scales without extensive computer coding or GIS analysis. We developed a spatial value model that prioritizes landscapes at sub-continental scales (e.g., states and provinces, bird conservation regions, etc.) and provides flexibility for users to select waterfowl conservation objectives of interest and weights. Our model can be used for direct downscaling of an existing continental geospatial model or further customized with region-specific geospatial data. We illustrate how regional prioritization can vary with the spatial scale selected by the user. The spatial value modeling framework and the downscaling tool presented here could increase the use of multi-criteria decision analysis and linear value modeling in spatial landscape prioritization, while also providing flexibility for selecting scales, objectives, and weights. Our spreadsheet tool was developed specifically for use by regional biologists, conservationists, and managers and does not require knowledge of GIS software (although results can be exported from the spreadsheet for spatial analysis using GIS). Together, the model outputs and the accompanying spreadsheet tool provide a bridge between continental waterfowl conservation and regional implementation, enabling rapid, stakeholder-driven, value-explicit prioritization.
American horseshoe crab Limulus polyphemus populations are recovering because of cooperation among diverse stakeholders and data-driven collective action. Limulus polyphemus is one of four extant species facing common threats, and conservation successes and limitations hold lessons applicable to all the species. We review the advancement in management and monitoring over recent decades, discuss the current population status throughout the species’ range, and describe the potential future status and recovery based on recent assessments. In retrospect, L. polyphemus conservation has followed the frameworks promoted by the International Union for the Conservation of Nature: mobilize networks to increase assessment capacity, engage diverse stakeholders, measure impacts, and amplify successes. Data show significantly increased populations in the Delaware Bay region and improved status in the Northeast. The average abundance of adults in Delaware Bay over the recent decade (2013–2022) is more than twice that in the previous decade (2003–2012). In 2022, the abundances for adult females and males in the Delaware Bay population were estimated to be 16 million and 40 million, respectively. However, reversing persistent poor conditions in some regions and mitigating the widespread threat of habitat loss from coastal development and sea level rise will rely on collaboration among diverse stakeholders to build upon the current conservation successes. Scientists and conservationists working on the horseshoe crab species indigenous to Asia are advancing along a similar track, establishing a monitoring network and mobilizing diverse stakeholders. However, there is a need for capacity building for robust assessment of the species in Asia to measure the impact of conservation, just as that need remains unmet for L. polyphemus in the Gulf of Mexico. The importance of partnerships and collaborations is apparent in their absence. The regions where partnerships and collaborations among researchers, conservationists, and agency scientists do not exist are those where the capacity for monitoring and assessment is notably lacking.
Social identity theory offers a means to understand attitudes about wolves, with consequences for management support. Using data from a mail survey about wolves, we explored relationships among seven identities (i.e., wolf advocate, hunter, environmentalist, nature enthusiast, farmer, trapper, conservationist) using multidimensional scaling (MDS) and principal components analysis (PCA). We examined how identities correlated with political ideology, trust in a wildlife management agency, wildlife value orientations (WVOs) and attitudes about wolves, and we evaluated whether WVOs mediated the relationship between identities and attitudes. PCA suggested two factors in identifying relationships among stakeholders, while MDS and correlations found diversity among stakeholders beyond these factors. Hunter identity was most strongly associated with a domination WVO and conservative political ideology. Farmer identity was most strongly associated with agency distrust and negative wolf attitudes. Wolf advocate was most strongly associated with a mutualism WVO (i.e., beliefs that humans are meant to coexist in harmonious relationships with wildlife), agency trust, and positive wolf attitudes. Conservationist identity was positively correlated with all other identities. WVOs partially mediated the relationship between identities and attitudes.
Humans derive a great number of goods and services from terrestrial ecosystems (Millennium Ecosystem Assessment, 2003, 2005). Some, like timber, fruits, bush meat, and other forest based food stuffs, are evident but others are not so obvious. Increasingly policy makers have realized the importance of forests and other ecosystems in sequestering carbon, as clearing of once vibrant vegetation or draining of swamps releases carbon dioxide (U.S. DOE, 2012) and where planting trees – particularly in the tropics - takes carbon dioxide out of the atmosphere (Bala et al., 2007). Scientists and conservationists have long called our attention to the value of Neotropical landscapes for biodiversity conservation as forests and other ecosystems harbor vast numbers of species. In recent decades conservationists and policy makers have also highlighted the potential of forests and other ecosystems to regulate stream flows (Ibáñez et al., 2002, Laurance, 2007 but also see Calder et al., 2007) and play a role in assuring clean water (Uriarte et al., 2011). All of these goods and services are part of what is collectively referred to as ecosystem services or goods and services that are provided to humanity through the unimpeded natural function of the ecosystem.
1. Biodiversity and fisheries are two important assets of freshwater ecosystems that are currently at risk from external threats. Establishing an equitable resolution to these threats is a major challenge of the Anthropocene. 2. This is particularly pertinent in developing nations where hotspots for biodiversity converge with rapid, and often environmentally degrading, economic development, and high dependency on aquatic biota and fisheries by local communities. 3. Here, we present global case studies that demonstrate how building upon a shared need for healthy environments and ecological integrity can meet both biodiversity conservation and fishery objectives. 4. These case studies provide evidence that addressing biodiversity conservation needs is possible through partnerships (especially with fishers), shared knowledge, and innovation in fisheries management. 5. In the pursuit of sustainable use of fresh water in development, both conservation and fisheries agendas are better served if efforts focused on synergising fishing activities with local ecosystem functioning and yield long-term livelihood and food security perspectives. 6. A partnership between conservationists (e.g., practitioners, environmental NGOs) and fisheries communities provides a unified voice advocating for biodiversity and social interests in freshwater governance decisions, which has more socio-economic and political capital than when voices are independent or in competition.
Freshwater biodiversity is declining at an unprecedented rate. Freshwater conservationists and environmental managers have enough evidence to demonstrate that action must not be delayed but have insufficient evidence to identify those actions that will be most effective in reversing the current trend. Here, the focus is on identifying essential research topics that, if addressed, will contribute directly to restoring freshwater biodiversity through supporting ‘bending the curve’ actions (i.e. those actions leading to the recovery of freshwater biodiversity, not simply deceleration of the current downward trend). The global freshwater research and management community was asked to identify unanswered research questions that could address knowledge gaps and barriers associated with ‘bending the curve’ actions. The resulting list was refined into six themes and 25 questions. Although context-dependent and potentially limited in global reach, six overarching themes were identified: (i) learning from successes and failures; (ii) improving current practices; (iii) balancing resource needs; (iv) rethinking built environments; (v) reforming policy and investments; and (vi) enabling transformative change. Bold, efficient, science-based actions are necessary to reverse biodiversity loss. We believe that conservation actions will be most effective when supported by sound evidence, and that research and action must complement one another. These questions are intended to guide global freshwater researchers and conservation practitioners, identify key projects and signal research needs to funders and governments. Our questions can act as springboards for multidisciplinary and multisectoral collaborations that will improve the management and restoration of freshwater biodiversity.
Effective reintroduction strategies require accurate estimates of vital rates and the factors that influence them. The hirola ( Beatragus hunteri ) is the rarest antelope on Earth, with a global population size of <500 individuals restricted to the Kenya–Somali border. We estimated vital rates of hirola populations exposed to varying levels of predation and rangeland quality from 2012 to 2015, and then built population matrices to estimate the finite rate of population change (λ) and demographic sensitivities. Mean survival for all age classes and population growth was highest in the low‐predation–high‐rangeland‐quality setting (λ = 1.08 ± 0.03 [mean ± SE]), and lowest in the high‐predation–low‐rangeland‐quality setting (λ = 0.70 ± 0.22). Retrospective demographic analyses revealed that increased fecundity (the number of female calves born to adult females annually) and female calf survival were responsible for higher population growth where large carnivores were absent. In contrast, variation in adult female survival was the primary contributor to differences in population growth attributable to rangeland quality. Our analyses suggest that hirola demography is driven by a combination of top‐down (predation) and bottom‐up (rangeland quality) forces, with populations in the contemporary geographic range impacted both by declining rangeland quality and predation. To enhance the chances of successful reintroductions, conservationists can consider rangeland restoration to boost both the survival and fecundity of adult females within the hirola's historical range.
Butterflies and bees contribute significantly to grassland biodiversity and play important roles as pollinators and herbivores. Grassland conservation and management must be seen through the lens of insect conservation and management if these species are to thrive. In North America, grasslands are a product of climate and natural disturbances such as fire and grazing. These natural disturbances have changed considerably since European colonization and subsequent landscape fragmentation. The aim of this study was to better understand the impacts of fire and grazing management on butterfly and bee communities in tallgrass prairie, enabling land managers and conservationists to better protect and manage remnant prairie. We examined butterfly and bee abundance, species richness, and diversity in Minnesota tallgrass prairies managed by grazing or fire. In 2016 and 2017, we surveyed butterflies, bees, vegetation, and surrounding land use at 20 remnant prairies (10 burned and 10 grazed) with known management histories. Butterfly and bee abundance at our study sites were significantly negatively correlated. Butterfly abundance, but not species richness, was higher in burned than grazed prairies, and prairie-associated grass-feeding butterflies were more abundant at sites with higher plant species richness. Bee abundance was unrelated to management type but was higher at sites with sandier soils; bee species richness was positively associated with forb frequency. These findings highlight the challenges of designing management plans tailored to wide groups of pollinators and the potential pitfalls of using one group of pollinators as indicators for another. They also point to the importance of a mosaic of management practices across the prairie landscape.
Transportation industries can negatively impact wildlife populations, including through increased risk of mortality. To mitigate this risk successfully, managers and conservationists must estimate risk across space, time, and alternative management policies. Evaluating this risk at fine spatial and temporal scales can be challenging, especially in systems where wildlife–vehicle collisions are rare or imperfectly detected. The sizes and behaviors of wildlife and vehicles influence collision risk, as well as how much they co‐occur in space and time. We applied a modeling framework based on encounter theory to quantify the risk of lethal collisions between endangered North Atlantic right whales and vessels. Using Automatic Identification System vessel traffic data and spatially explicit estimates of right whale abundance that account for imperfect detection, we modeled risk at fine spatiotemporal scales before and after implementation of a vessel speed rule in the southeastern United States. The expected seasonal mortality rates of right whales decreased by 22% on average after the speed rule was implemented, indicating that the rule is effective at reducing lethal collisions. The rule's effect on risk was greatest where right whales were abundant and vessel traffic was heavy, and its effect varied considerably across time and space. Our framework is spatiotemporally flexible, process‐oriented, computationally efficient and accounts for uncertainty, making it an ideal approach for evaluating many wildlife management policies, including those regarding collisions between wildlife and vehicles and cases in which wildlife may encounter other dangerous features such as wind farms, seismic surveys, or fishing gear.
Understanding how populations respond to spatially heterogeneous habitat disturbance is as critical to conservation as it is challenging. Here, we present a new, free, and open-source metapopulation model: Dynamic Habitat Disturbance and Ecological Resilience (DyHDER), which incorporates subpopulation habitat condition and connectivity into a population viability analysis framework. Modeling temporally dynamic and spatially explicit habitat disturbance of varying magnitude and duration is accomplished through the use of habitat time-series data and a mechanistic approach to adjusting subpopulation vital rates. Additionally, DyHDER uses a probabilistic dispersal model driven by site-specific habitat suitability, density dependence, and directionally dependent connectivity. In the first application of DyHDER, we explore how fragmentation and projected climate change are predicted to impact a well-studied Bonneville cutthroat trout metapopulation in the Logan River (Utah, USA). The DyHDER model predicts which subpopulations are most susceptible to disturbance, as well as the potential interactions between stressors. Further, the model predicts how populations may be expected to redistribute following disturbance. This information is valuable to conservationists and managers faced with protecting populations of conservation concern across landscapes undergoing changing disturbance regimes. The DyHDER model provides a valuable and generalizable new tool to explore metapopulation resilience to spatially and temporally dynamic stressors for a diverse range of taxa and ecosystems.
The development of anthropogenic structures, especially those related to energy resources, in sagebrush ecosystems is an important concern among developers, conservationists, and land managers in relation to greater sage-grouse (Centrocercus urophasianus; hereafter, sage-grouse) populations. Sage-grouse are dependent on sagebrush ecosystems to meet their seasonal life-phase requirements, and research indicates that anthropogenic structures can adversely affect sage-grouse populations. Land management agencies have attempted to reduce the negative effects of anthropogenic development by assigning surface use (SU) designations, such as no surface occupancy, to areas around leks (breeding grounds). However, rationale for the size of these areas is often challenged. To help inform this issue, we used a spatial analysis of sage-grouse utilization distributions (UDs) to quantify seasonal (spring, summer and fall, winter) sage-grouse space use in relation to leks. We sampled UDs from 193 sage-grouse (11,878 telemetry locations) across 4 subpopulations within the Bi-State Distinct Population Segment (DPS, bordering California and Nevada) during 2003–2009. We quantified the volume of each UD (vUD) within a range of areas that varied in size and were centered on leks, up to a distance of 30 km from leks. We also quantified the percentage of nests within those areas. We then estimated the diminishing gains of vUD as area increased and produced continuous response curves that allow for flexibility in land management decisions. We found nearly 90% of the total vUD (all seasons combined) was contained within 5 km of leks, and we identified variation in vUD for a given distance related to season and migratory status. Five kilometers also represented the 95th percentile of the distribution of nesting distances. Because diminishing gains of vUD was not substantial until distances exceeded 8 km, managers should consider the theoretical optimal distances for SU designation between 5.0 km and 7.5 km, depending on migratory status. Although these results represent space use for sage-grouse within the Bi-State DPS, our results likely have broad relevance to other areas with similar landscape characteristics and patterns of space use.
Conservationists are in need of objective metrics for prioritizing the management of habitats. For individual species, the threat of extinction is often used to prioritize what species are in need of conservation action. Using long-term monitoring data, we applied a Bayesian diffusion approximation to estimate quasi-extinction risk for 54 native fish species within six commercial navigation reaches along a 1350-km gradient of the upper Mississippi River system. We found a strong negative linear relationship between quasi-extinction risk and distance upstream. For some species, quasi-extinction estimates ranged from nearly zero in some reaches to one in others, suggesting substantial variability in threats facing individual river reaches. We found no evidence that species traits affected quasi-extinction risk across the entire system. Our results indicate that fishes within the upper Mississippi River system face localized threats that vary across river impact gradients. This suggests that conservation actions should be focused on local habitat scales but should also consider the additive effects on downstream conditions. We also emphasize the need for identification of proximate mechanisms behind observed and predicted population declines, as conservation actions will require mitigation of such mechanisms. Published 2014. This article is a U.S. Government work and is in the public domain in the USA.
Conservationists and managers are continually under pressure from the public, the media, and political policy makers to provide “tiger numbers,” not just for protected reserves, but also for large spatial scales, including landscapes, regions, states, nations, and even globally. Estimating the abundance of tigers within relatively small areas (e.g., protected reserves) is becoming increasingly tractable (see Chaps. 9 and 10), but doing so for larger spatial scales still presents a formidable challenge. Those who seek “tiger numbers” are often not satisfied by estimates of tiger occupancy alone, regardless of the reliability of the estimates (see Chaps. 4 and 5). As a result, wherever tiger conservation efforts are underway, either substantially or nominally, scientists and managers are frequently asked to provide putative large-scale tiger numbers based either on a total count or on an extrapolation of some sort (see Chaps. 1 and 2).
By the 1960s, research and monitoring efforts on chlorinated pesticide residues in tissues of wildlife were well underway in North America and Europe. Conservationists and natural resource managers were attempting to resolve whether pesticide exposure and accumulated residues were related to population declines in several species of predatory and scavenging birds (e.g., bald eagle Haliaeetus leucocephalus , peregrine falcon Falco peregrinus , brown pelican Pelecanus occidentalis and osprey Pandion haliaetus ). The avian egg was a favored sampling matrix even before the realization that eggshell thinning was linked to population declines (Ratcliffe 1967 ; Hickey and Anderson 1968 ) and that the concentration of p,p ’-DDE in an egg was associated with the shell thinning phenomenon (e.g., Blus et al. 1972 ; Wiemeyer et al. 1988 ). The necessity for making wet-weight concentration adjustments to account for natural moisture loss during incubation of viable eggs was realized. Correction for the more dramatic moisture loss in non-viable decaying eggs was recognized as being paramount. For example, the ∑DDT residues in osprey eggs were reported to vary by as much as eightfold without accounting for moisture loss adjustments (Stickel et al. 1965 ). In the absence of adjusting concentrations to the fresh wet-weight that was present at the time of egg laying, the uncorrected values exaggerated contaminant concentrations, yielding artifactual results and ultimately incorrect conclusions. The adjustment to fresh wet-weight concentration is equally important for many other persistent contaminants including PCBs, dioxins, furans, and brominated diphenyl ethers.
Amphibians are experiencing devastating population declines globally. A major driver is chytridiomycosis, an emerging infectious disease caused by the fungal pathogens Batrachochytrium dendrobatidis ( Bd ) and Batrachochytrium salamandrivorans ( Bsal ). Bd was described in 1999 and has been linked with declines since the 1970s, while Bsal is a more recently discovered pathogen that was described in 2013. It is hypothesized that Bsal originated in Asia and spread via international trade to Europe, where it has been linked to salamander die-offs. Trade in live amphibians thus represents a significant threat to global biodiversity in amphibians. We review the current state of knowledge regarding Bsal and describe the risk of Bsal spread. We discuss regional responses to Bsal and barriers that impede a rapid, coordinated global effort. The discovery of a second deadly emerging chytrid fungal pathogen in amphibians poses an opportunity for scientists, conservationists, and governments to improve global biosecurity and further protect humans and wildlife from a growing number of emerging infectious diseases.