共查询到15条相似文献,搜索用时 15 毫秒
1.
Ecological land classification: A survey approach 总被引:10,自引:0,他引:10
A landscape approach to ecological land mapping, as illustrated in this article, proceeds by pattern recognition based on ecological theory. The unit areas delineated are hypotheses that arise from a knowledge of what is ecologically important in the land. Units formed by the mapper are likely to be inefficient or irrelevant for ecological purposes unless he possesses a sound rationale as to the interactions and controlling influences of the structural components of ecosystems. Here is the central problem with what have been called objective multivariate approaches to mapping based on grid units and the sometimes arbitrary attributes thereof; they tend to conceal the importance of ecological theory and the necessity for theory-based supervision of pattern recognition. Multivariate techniques are best used iteratively to verify and refine map units initially recognized and delineated by theoretical considerations. These ideas are illustrated by an example of a reconnaissance survey in the Northwest Territories of Canada. 相似文献
2.
This article describes the history of the Coachella Valley Multiple Species Habitat Conservation Plan (CVMSHCP), in the Riverside
County region of Southern California. When this collaborative biodiversity conservation planning process began, in 1994, local
participants and supporters had numerous factors working in their favor. Yet, as of April 2007, nearly 13 years had passed
without an approved plan. This is a common problem. Many multiple species habitat conservation plans now take more than a
decade to complete, and the long duration of these processes often results in negative consequences. The CVMSHCP process became
bogged down—despite strong scientific input and many political advantages—due to problematic relationships between the Plan’s
local supporters, its municipal signatory parties, and officials from the state and federal wildlife agencies, particularly
the regional office of the US Fish and Wildlife Service. This case study demonstrates the crucial importance of institutional
structures and relationships, process management, and timeliness in habitat conservation planning. We conclude by offering
several related recommendations for future HCP processes. 相似文献
3.
The City of Austin, Texas, is one of the fastest growing metropolitan areas in the United States. It is also in one of the most biologically diverse terrestrial ecosystems in the world: the Balcones Canyonlands. Five cave invertebrates and two species of birds that inhabit the area are listed as threatened or endangered, two species of plants are candidates for listing, several others are considered rare and of concern, and a species of the salamander has also been proposed for listing. A habitat conservation plan, of national significance according to Secretary of Interior Bruce Babbit (Haurwitz 1996), has been under development for the last several years to conserve those endangered species through a 2400-ha system of preserves and to allow development to continue in more than 162,000 ha of surrounding area. The preserve system, comprising several units ranging in size from less than a hundred to several thousand hectares, would be bordered in many instances by developed areas. Development and maintenance of the infrastructure necessary for new and existing development, both commercial and residential, could have negated the biological value of the preserves (e.g., power-line corridors, water-treatment pipelines and facilities). The challenge of bringing this plan to fruition illustrates the complex biological, technical, and sociological context within which habitat conservation planning may occur. Resolving resource use conflicts of this nature have several commonalities that overarch these contexts. If recognized and addressed, one may move easily and foster positive results. These commonalities can be expressed as principles such as: relying on scientists to recognize, but not solve problems; acting before a scientific consensus is achieved; including human motivation and responses as part of the system to be studied and managed; and confronting uncertainty. 相似文献
4.
No Net Loss of Fish Habitat: A Review and Analysis of Habitat Compensation in Canada 总被引:1,自引:0,他引:1
The achievement of No Net Loss (NNL) through habitat compensation has rarely been assessed in Canada. Files relating to 124
Fisheries Act Section 35(2) authorizations issued by Fisheries and Oceans Canada for the harmful alteration, disruption, and destruction
of fish habitat (HADD) were collected and reviewed. Data extracted from these files were pooled and analyzed to provide an
indication of the types of HADDs that have been authorized in Canada, what habitats have been affected, and what habitat management
approaches have been used when compensating for HADDs and monitoring and ensuring the success of the compensation. Determinations
regarding the effectiveness of habitat compensation in achieving NNL were made. Impacts to 419,562 m2 of fish habitat from the 124 authorized HADDs were offset by 1,020,388 m2 of compensatory habitat. Eighty percent of the authorizations had compensation ratios (compensation area:HADD area) of 2:1
or less, and 25% of the authorizations had a compensation ratio that was less than 1:1. In-channel and riparian habitat were
the most frequently impacted habitats. Urban development and roads and highways resulted in the greatest areal loss of habitat.
The compensation option that was most often selected was the creation of in-kind habitat. The mean duration of post-construction
monitoring programs was 3.7 years. Determinations of NNL could only be made for 17 authorizations as a result of poor proponent
compliance with monitoring requirements and the qualitative assessment procedures used by the monitoring programs. Adequate
resources, proper training, and standardized approaches to data management and monitoring programs are required to ensure
that the conservation goal of NNL can be achieved in Canada. 相似文献
5.
Sea-level rise: Destruction of threatened and endangered species habitat in South Carolina 总被引:1,自引:0,他引:1
Concern for the environment has increased over the past century, and the US Congress has responded to this concern by passing
legislation designed to protect the nation’s ecological biodiversity. This legislation, culminating with the Endangered Species
Act of 1973, has been instrumental in defining methods for identifying and protecting endangered or threatened species and
their habitats. Current legislation, however, assumes that the range of a protected species will stay constant over time.
This assumption may no longer be valid, as the unprecedented increase in the number and concentration of greenhouse gases
in the atmosphere has the potential to cause a global warming of 1.0–4.5°C and a sea-level rise (SLR) of 31–150 cm by the
year 2100. Changes in climate of this magnitude are capable of causing shifts in the population structure and range of most
animal species.
This article examines the effects that SLR may have on the habitats of endangered and threatened species at three scales.
At the regional scale 52 endangered or threatened plant and animal species were found to reside within 3 m of mean sea level
in the coastal stages of the US Southeast. At the state level, the habitats of nine endangered or threatened animals that
may be at risk from future SLR were identified. At the local level, a microscale analysis was conducted in the Cape Romain
National Wildlife Refuge, South Carolina, USA, on the adverse effects that SLR may have on the habitats of the American alligator,
brown pelican, loggerhead sea turtle, and wood stork.
Prepared by the Oak Ridge National Laboratory, Environmental Sciences Division, Oak Ridge, Tennessee 37831, USA; managed by
Martin Marietta Energy Systems. Inc. for the US Department of Energy under contract DE-AC05-84OR21400. 相似文献
6.
/ Fishes and their habitats were sampled in Harland Creek, Mississippi, for 3 years to compare the relative value of three types of bank treatment in an incised, warmwater stream. Semiannual samples were collected from 10 reaches: 3 reaches protected by each of the three types of protection (longitudinal stone toe, stone spurs, and dormant willow posts) and an unprotected, slowly eroding bend. Protection of concave banks of bends had no measurable effect on the habitat quality of downstream riffles. Although bends and adjacent downstream riffles were faunistically similar at the species level, catostomids and centrarchids were more dominant in pools and smaller cyprinids more dominant in riffles. Reaches with willow posts were slightly deeper than the others, most likely because of geomorphic factors rather than bank treatment. Mean water surface widths in reaches stabilized with stone spurs were 40% to 90% greater than for other treatments, and current velocities were greatest in reaches with stone toe. Patterns of fish abundance and species diversity did not differ significantly among treatments. However, principal components analysis indicated that the fish species distribution associated with the untreated reference site was distinct. Reaches stabilized with stone spurs supported significantly higher densities of large fish and higher levels of fish biomass per unit channel length than reaches with other bank treatments, generally confirming previous research in the region. Initial costs for spurs were comparable to those for stone toe and about three times greater than for willow posts. 相似文献
7.
For communicating data on the state of the environment to policy makers, various integrative frameworks are used, including
regional integration. For this kind of integration we have developed two related ecological regionalizations, ecoregions and
ecodistricts, which are two levels in a series of classifications for hierarchically nested ecosystems at different spatial
scale levels. We explain the compilation of the maps from existing geographical data, demonstrating the relatively holistic,
a priori integrated approach. The resulting maps are submitted to discriminant analysis to test the consistancy of the use
of mapping characteristics, using data on individual abiotic ecosystem components from a national database on a 1-km2 grid. This reveals that the spatial patterns of soil, groundwater, and geomorphology correspond with the ecoregion and ecodistrict
maps. Differences between the original maps and maps formed by automatically reclassifying 1-km2 cells with these discriminant components are found to be few. These differences are discussed against the background of the
principal dilemma between deductive, a priori integrated, and inductive, a posteriori, classification. 相似文献
8.
Control of landscape diversity by catastrophic disturbance: A theory and a case study of fire in a Canadian boreal forest 总被引:3,自引:0,他引:3
A landscape may be envisioned as a space partitioned by a number of ecosystem types, and so it conforms to a neo-Clementsian model of succession. A corollary is that intermediate disturbance rates should maximize landscape (beta) diversity. This was confirmed using eight boreal forest landscapes in northwestern Ontario, Canada, where intermediate rates of forest fire were associated with highest landscape diversity. Because current measures of evenness subsume a richness measure, it is not, as yet, feasible to assess the relative contributions of evenness and richness to biological diversity, and thus it was not possible to determine the roles of numbers of habitat types and relative amounts of habitat types in the above situation. Both theory and observations suggest that forest fire control in fire-prone landscapes increases landscape diversity, but that it is lowered by fire control in landscapes of intermediate to low diversity. 相似文献
9.
Since the United Nations Conference on Environment and Development (UNCED) [1992, Agenda 21: programme of action for sustainable development. United Nations Conference on Environment and Development (UNCED), 3-14 June 1992. Rio de Janeiro, Brazil, 294pp.], the management of information has become central to the management of forest resources. In the cases of North America and Europe, similar issues have been challenging policy makers as they determine the information suitable for monitoring progress towards sustainable forest management (SFM). Using an 'online' survey, this research explored multiple stakeholder perspectives on monitoring and information reporting for SFM in different jurisdictions. The research was based on the premise that an analysis of the variation in stakeholder observations across a range of SFM 'issue areas' could provide valuable insight into the perceived need for SFM-related monitoring and information reporting in the regions of Europe, Canada and the USA. Despite the traditional limitations associated with exploratory survey research, the results indicate a demand for more information on SFM-related issues. The results also highlight the degree to which the perceptions of a sample of stakeholders can differ between Europe, USA and Canada. While these results cannot be generalized beyond the present study, they do suggest that further studies are needed to understand stakeholder perspectives on forestry-related monitoring and information reporting in different jurisdictions. 相似文献
10.
We developed logistic regression models from data on biotic and abiotic variables for 172 sites on Banks Peninsula, New Zealand,
to predict the probability of occurrence of two diadromous fish, banded kokopu (Galaxias fasciatus) and koaro (G. brevipinnis). Banded kokopu occurrence was positively associated with small streams and low-intensity land uses (e.g., sheep grazing
or forested), whereas intensive land uses (e.g., mixed sheep and cattle farming) and lack of riparian forest cover impacted
negatively on occurrence at sampled sites. Also, if forests were positioned predominantly in lowland areas, banded kokopu
occurrence declined with increasing distance to stream mouth. Koaro occurrence was positively influenced by catchment forest
cover, high stream altitudes, and areas of no farming activity or mixed land uses. Intensive land uses, distance to stream
mouth, and presence of banded kokopu negatively influenced koaro occupancy of stream reaches. Banded kokopu and koaro presence
was predicted in 86.0% and 83.7% agreement, respectively, with field observations. We used the models to quantify the amount
of stream reaches that would be of good, moderate, and poor quality, based on the probability of occurrences of the fish being
greater than 0.75, between 0.75 and 0.5, or less than 0.5, respectively. Hindcasting using historical data on vegetation cover
undertaken for one catchment, Pigeon Bay, showed they would have occupied most of the waterway before anthropogenic modification.
We also modeled potential future scenarios to project potential fish distribution. 相似文献
11.
Reintroduction of animals to the wild to establish free-ranging viable populations is a valuable conservation tool, but ecological skills alone are not enough to ensure a successful reintroduction; also needed to do the work are effectively designed and managed programs. This article suggests general guidelines for organizing and managing reintroduction programs, reviews some basic organizational issues, and considers ways to develop high-performance teams The need to integrate reintroduction programs into their larger interorganizational context is discussed. The reintroduction program's structure must be appropriate for its function and should be properly staffed, led, and buffered from its political environment It should process information well, learn rapidly from its own mistakes, and be creative A high-performance team devotes most of its energies to solving external rather than internal problems 相似文献
12.
Diane L. Larson Laura Phillips-Mao Gina Quiram Leah Sharpe Rebecca Stark Shinya Sugita Annie Weiler 《Journal of environmental management》2011
Applying the concept of sustainability to invasive species management (ISM) is challenging but necessary, given the increasing rates of invasion and the high costs of invasion impacts and control. To be sustainable, ISM must address environmental, social, and economic factors (or “pillars”) that influence the causes, impacts, and control of invasive species across multiple spatial and temporal scales. Although these pillars are generally acknowledged, their implementation is often limited by insufficient control options and significant economic and political constraints. In this paper, we outline specific objectives in each of these three “pillars” that, if incorporated into a management plan, will improve the plan’s likelihood of sustainability. We then examine three case studies that illustrate how these objectives can be effectively implemented. Each pillar reinforces the others, such that the inclusion of even a few of the outlined objectives will lead to more effective management that achieves ecological goals, while generating social support and long-term funding to maintain projects to completion. We encourage agency directors and policy-makers to consider sustainability principles when developing funding schemes, management agendas, and policy. 相似文献
13.
Linda A. Joyce Curtis H. Flather Patricia A. Flebbe Thomas W. Hoekstra Stan J. Ursic 《Environmental management》1990,14(4):489-500
The impact of timber management and land-use change on forage production, turkey and deer abundance, red-cockaded woodpecker
colonies, water yield, and trout abundance was projected as part of a policy study focusing on the southern United States.
The multiresource modeling framework used in this study linked extant timber management and land-area policy models with newly
developed models for forage, wildlife, fish, and water. Resource production was integrated through a commonly defined land
base that could be geographically partitioned according to individual resource needs. Resources were responsive to changes
in land use, particularly human-related, and timber management, particularly the harvest of older stands, and the conversion
to planted pine. 相似文献
14.
Saproxylic (dead-wood-associated) and old-growth species are among the most threatened species in European forest ecosystems,
as they are susceptible to intensive forest management. Identifying areas with particular relevant features of biodiversity
is of prime concern when developing species conservation and habitat restoration strategies and in optimizing resource investments.
We present an approach to identify regional conservation and restoration priorities even if knowledge on species distribution
is weak, such as for saproxylic and old-growth species in Switzerland. Habitat suitability maps were modeled for an expert-based
selection of 55 focal species, using an ecological niche factor analyses (ENFA). All the maps were then overlaid, in order
to identify potential species’ hotspots for different species groups of the 55 focal species (e.g., birds, fungi, red-listed
species). We found that hotspots for various species groups did not correspond. Our results indicate that an approach based
on “richness hotspots” may fail to conserve specific species groups. We hence recommend defining a biodiversity conservation
strategy prior to implementing conservation/restoration efforts in specific regions. The conservation priority setting of
the five biogeographical regions in Switzerland, however, did not differ when different hotspot definitions were applied.
This observation emphasizes that the chosen method is robust. Since the ENFA needs only presence data, this species prediction
method seems to be useful for any situation where the species distribution is poorly known and/or absence data are lacking.
In order to identify priorities for either conservation or restoration efforts, we recommend a method based on presence data
only, because absence data may reflect factors unrelated to species presence. 相似文献
15.
A comprehensive list of planning criteria for optimizing compliance in Marine Protected Areas (MPAs) was compiled and used to compare the views of recreational fishers and compliance officers for facilitating voluntary compliance in the Port Stephens - Great Lakes Marine Park (PSGLMP). Expert working groups were tasked separately with: 1) criteria identification and weighting; 2) scoring of no-take zones; 3) prioritizing and determining uncertainty; and 4) analysis of results and sensitivity testing. Multi-Criteria Analysis (MCA) revealed that both groups had similar perspectives and recommendations, despite weighting the individual planning criteria differently. Significantly, "manageability" scores for no-take zones from MCA appeared to correlate well with past numbers of enforcement actions recorded for each zone. This provides empirical evidence that adopting manageability criteria during the planning of MPAs could lead to a marked increase in voluntary compliance. As a result, greater consideration to compliance planning during MPA design and zoning is recommended in order to optimize voluntary compliance. Whilst the majority of no-take zones in the PSGLMP case study were evaluated as being relatively effective in terms of optimizing voluntary compliance, there remains considerable potential to improve design, management and use of the poorer performing zones. Finally, the study highlighted the value of recreational fisher engagement in MPA planning processes to maximize voluntary compliance and manageability. 相似文献