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1.
Response of sugar maple to calcium addition to northern hardwood forest   总被引:5,自引:0,他引:5  
Watershed budget studies at the Hubbard Brook Experimental Forest (HBEF), New Hampshire, USA, have demonstrated high calcium depletion of soil during the 20th century due, in part, to acid deposition. Over the past 25 years, tree growth (especially for sugar maple) has declined on the experimental watersheds at the HBEF. In October 1999, 0.85 Mg Ca/ha was added to Watershed 1 (W1) at the HBEF in the form of wollastonite (CaSiO3), a treatment that, by summer 2002, had raised the pH in the Oie horizon from 3.8 to 5.0 and, in the Oa horizon, from 3.9 to 4.2. We measured the response of sugar maple to the calcium fertilization treatment on W1. Foliar calcium concentration of canopy sugar maples in W1 increased markedly beginning the second year after treatment, and foliar manganese declined in years four and five. By 2005, the crown condition of sugar maple was much healthier in the treated watershed as compared with the untreated reference watershed (W6). Following high seed production in 2000 and 2002, the density of sugar maple seedlings increased significantly on W1 in comparison with W6 in 2001 and 2003. Survivorship of the 2003 cohort through July 2005 was much higher on W1 (36.6%) than W6 (10.2%). In 2003, sugar maple germinants on W1 were approximately 50% larger than those in reference plots, and foliar chlorophyll concentrations were significantly greater (0.27 g/m2 vs. 0.23 g/m2 leaf area). Foliage and fine-root calcium concentrations were roughly twice as high, and manganese concentrations twice as low in the treated than the reference seedlings in 2003 and 2004. Mycorrhizal colonization of seedlings was also much greater in the treated (22.4% of root length) than the reference sites (4.4%). A similar, though less dramatic, difference was observed for mycorrhizal colonization of mature sugar maples (56% vs. 35%). These results reinforce and extend other regional observations that sugar maple decline in the northeastern United States and southern Canada is caused in part by anthropogenic effects on soil calcium status, but the causal interactions among inorganic nutrition, physiological stress, mycorrhizal colonization, and seedling growth and health remain to be established.  相似文献   

2.
Aluminum is the third most abundant element in nature, accounting for nearly 8% of the Earth's crust. Because of its chemical activity, aluminum is not found naturally in its free, or metallic, state. However, in its ionic or combined forms, aluminum is a truly ubiquitous element.Because of the widespread use of metallic aluminum in cooking and packaging applications, the Aluminum Association has funded critical reviews of the world's literature on the health effects of aluminum and aluminum compounds for the past 30 years.More recently, an extensive research and literature surveillance effort was developed to provide information on the neurological implications of aluminum, dietary intakes and body balance, and analytical capabilities. Based on these efforts the following conclusions can presently be drawn: (1) the cause (or causes) of Alzheimer's disease is not known; (2) the biological significance of aluminum found in the brain is not understood; (3) aluminum is poorly absorbed by the body; and (4) the normal ingestion of aluminum from food and water should have no adverse effects on human health.  相似文献   

3.
重视生态策略在建筑设计中的运用   总被引:1,自引:0,他引:1  
周玉梅  修长春 《生态环境》2004,13(3):449-451
建筑既作用于生态环境,也作用于人类,它始终持续地影响着周围的环境和使用者的生活,特别是对于我国高速发展的城市来说,其影响更是巨大。生态建筑将成为21世纪建筑设计的主流。建筑与可持续发展的三个重要方面(环境保护、经济发展和社会进步)密切相关,生态建筑应是可持续发展的一个组成部分。文章针对我国生态环境与建筑设计中存在的主要问题,提出在建筑设计中要注重生态策略的运用,推动生态建筑设计要依靠全社会生态意识的提高,增强人与自然环境的沟通,完善生态建筑设计的法律规范。  相似文献   

4.
Conservation and protection of soil and water resources and visual aspects of landscape, as well as the promotion of biodiversity, are some of the central tasks of environmental policy development and social politics in the future. One of the main questions is: ‘which agricultural systems are able to guarantee sustained resource-conserving land use?’ Based on the ecological risk concepts of the 1970s and 1980s, a potential impact model was developed using a universal assessment algorithm derived from fuzzy logic. The model estimated the potential impact of agricultural land use on ecosystem function using a few resource indicators. Intervention intensities of agricultural land-use are set in relation to site conditions and aggregated for each of several defined potential impact categories. The interpretation with respect to risk and the calculation of potential impact values are explained.  相似文献   

5.
Emergent plants can be suitable indicators of anthropogenic stress in coastal wetlands if their responses to natural environmental variation can be parsed from their responses to human activities in and around wetlands. We used hierarchical partitioning to evaluate the independent influence of geomorphology, geography, and anthropogenic stress on common wetland plants of the U.S. Great Lakes coast and developed multi-taxa models indicating wetland condition. A seven-taxon model predicted condition relative to watershed-derived anthropogenic stress, and a four-taxon model predicted condition relative to within-wetland anthropogenic stressors that modified hydrology. The Great Lake on which the wetlands occurred explained an average of about half the variation in species cover, and subdividing the data by lake allowed us to remove that source of variation. We developed lake-specific multi-taxa models for all of the Great Lakes except Lake Ontario, which had no plant species with significant independent effects of anthropogenic stress. Plant responses were both positive (increasing cover with stress) and negative (decreasing cover with stress), and plant taxa incorporated into the lake-specific models differed by Great Lake. The resulting models require information on only a few taxa, rather than all plant species within a wetland, making them easier to implement than existing indicators.  相似文献   

6.
In the habitat of desert ants, Cataglyphis fortis, a constant wind is usually blowing during the daytime. When visiting a familiar food source, the ants steer some distance downwind of the feeder, rather than attempting a direct approach that might miss small food sources, in particular. In the downwind area, the ants pick up the odor plume emanating from the food and follow it upwind to the prey. This strategy saves considerable walking distance and time. The additional path necessitated by the downwind strategy is only about 0.75 to 2 m, depending on nest–feeder distance, while missing the food on the upwind side results in much longer search trajectories. During the initial three to five visits to a feeding site, downwind distance and length of the approach path are shortened notably, and the approach trajectory is straightened. Desert ants further exhibit considerable short-term flexibility in their approach. Experienced individuals are evidently able to decide upon leaving the nest which direction to choose toward the feeder, depending on current wind direction (that fluctuates slightly during the day). Notable changes in wind direction occur primarily overnight. For larger nest–feeder distances, the animals adjust their approach en route to the altered wind direction during their first foraging trip in the morning.  相似文献   

7.
Welcome to the fifth issue of the Review of Environmental Economicsand Policy, which once again includes articles, a symposium,and a set of features. In the first of two articles in this issue, Geoffrey Heal reviewswhat we have learned about the economics of global climate changeand related public policy from the extensive literature thathas emerged in response to the controversial Stern Review ofthe Economics of Climate Change. Heal provides his own perspectiveon the Stern Review (which was the focus of a symposium in ourWinter 2008 issue) as well as his views on how the recent debateaffects the economic case for action on  相似文献   

8.
Conservation goals at the start of the 21st century reflect a combination of contrasting ideas. Ideal nature is something that is historically intact but also futuristically flexible. Ideal nature is independent from humans, but also, because of the pervasiveness of human impacts, only able to reach expression through human management. These tensions emerge in current management rationales because scientists and managers are struggling to accommodate old and new scientific and cultural thinking, while also maintaining legal mandates from the past and commitments to preservation of individual species in particular places under the stresses of global change. Common management goals (such as integrity, wilderness, resilience), whether they are forward looking and focused on sustainability and change, or backward looking and focused on the persistence and restoration of historic states, tend to create essentialisms about how ecosystems should be. These essentialisms limit the options of managers to accommodate the dynamic, and often novel, response of ecosystems to global change. Essentialisms emerge because there is a tight conceptual coupling of place and historical species composition as an indicator of naturalness (e.g., normal, healthy, independent from humans). Given that change is increasingly the norm and ecosystems evolve in response, the focus on idealized ecosystem states is increasingly unwise and unattainable. To provide more open‐ended goals, we propose greater attention be paid to the characteristics of management intervention. We suggest that the way we interact with other species in management and the extent to which those interactions reflect the interactions among other biotic organisms, and also reflect our conservation virtues (e.g., humility, respect), influences our ability to cultivate naturalness on the landscape. We call this goal a natural practice (NP) and propose it as a framework for prioritizing and formulating how, when, and where to intervene in this period of rapid change. Desarrollo de una Práctica Natural para Adaptar Objetivos de Conservación al Cambio Global  相似文献   

9.
Acute effects of anthropogenic sounds on marine mammals, such as from military sonars, energy development, and offshore construction, have received considerable international attention from scientists, regulators, and industry. Moreover, there has been increasing recognition and concern about the potential chronic effects of human activities (e.g., shipping). It has been demonstrated that increases in human activity and background noise can alter habitats of marine animals and potentially mask communications for species that rely on sound to mate, feed, avoid predators, and navigate. Without exception, regulatory agencies required to assess and manage the effects of noise on marine mammals have addressed only the acute effects of noise on hearing and behavior. Furthermore, they have relied on a single exposure metric to assess acute effects: the absolute sound level received by the animal. There is compelling evidence that factors other than received sound level, including the activity state of animals exposed to different sounds, the nature and novelty of a sound, and spatial relations between sound source and receiving animals (i.e., the exposure context) strongly affect the probability of a behavioral response. A more comprehensive assessment method is needed that accounts for the fact that multiple contextual factors can affect how animals respond to both acute and chronic noise. We propose a three-part approach. The first includes measurement and evaluation of context-based behavioral responses of marine mammals exposed to various sounds. The second includes new assessment metrics that emphasize relative sound levels (i.e., ratio of signal to background noise and level above hearing threshold). The third considers the effects of chronic and acute noise exposure. All three aspects of sound exposure (context, relative sound level, and chronic noise) mediate behavioral response, and we suggest they be integrated into ecosystem-level management and the spatial planning of human offshore activities.  相似文献   

10.
Agroforests can play an important role in biodiversity conservation in complex landscapes. A key factor distinguishing among agroforests is land-use history – whether agroforests are established inside forests or on historically forested but currently open lands. The disparity between land-use histories means the appropriate biodiversity baselines may differ, which should be accounted for when assessing the conservation value of agroforests. Specifically, comparisons between multiple baselines in forest and open land could enrich understanding of species’ responses by contextualizing them. We made such comparisons based on data from a recently published meta-analysis of the effects of cocoa (Theobroma cacao) agroforestry on bird diversity. We regrouped rustic, mixed shade cocoa, and low shade cocoa agroforests, based on land-use history, into forest-derived and open-land-derived agroforests and compared bird species diversity (species richness, abundance, and Shannon's index values) between forest and open land, which represented the 2 alternative baselines. Bird diversity was similar in forest-derived agroforests and forests (Hedges’ g* estimate [SE] = -0.3144 [0.3416], p = 0.36). Open-land-derived agroforests were significantly less diverse than forests (g* = 1.4312 [0.6308], p = 0.023) and comparable to open lands (g* = -0.1529 [0.5035], p = 0.76). Our results highlight how land-use history determined the conservation value of cocoa agroforests. Forest-derived cocoa agroforests were comparable to the available – usually already degraded – forest baselines, but entail future degradation risks. In contrast, open-land-derived cocoa agroforestry may offer restoration opportunities. Our results showed that comparisons among multiple baselines may inform relative contributions of agroforestry systems to bird conservation on a landscape scale.  相似文献   

11.
Threats to Avifauna on Oceanic Islands   总被引:1,自引:0,他引:1  
Abstract:  Results of the study by Blackburn et al. (2004 a ) of avifauna on oceanic islands suggest that distance from the mainland and time since European colonization have major influences on species extinctions and that island area is a significant but secondary contributing factor. After augmenting the data of the study on geographical properties for some of the islands they examined, we used a causal analysis approach with structural equation modeling to reexamine their conclusions. In our model geographical properties of islands, such as island area and isolation, were considered constraints on biological factors, such as the number of introduced mammalian predators and existing number of avifauna, that can directly or indirectly influence extinction. Of the variables we tested, island area had the greatest total influence on the threat of extinction due to its direct and indirect effects on the size of island avifauna. Larger islands had both a greater number of threatened bird species and more avifauna, increasing the number of species that could become threatened with extinction. Island isolation also had a significant, positive, and direct effect on threats to island avifauna because islands farther from the mainland had fewer current extant avifauna. Time since European colonization had a significant negative, but relatively weaker, influence on threats compared with the traditional biogeographic factors of island area and distance to the mainland. We also tested the hypothesis that the amount of threat is proportionally lower on islands that have had more extinctions (i.e., there is a "filter effect"). Because the proportion of bird extinctions potentially explained only 2.3% of the variation in the proportion of threatened species on islands, our results did not support this hypothesis. Causal modeling provided a powerful tool for examining threat of extinction patterns of known and hypothesized pathways of influence.  相似文献   

12.
综述了农药污染对蚯蚓个体毒性、种群毒性及复合毒性3个方面的研究进展,认为农药污染对蚯蚓的毒理学研究将会取得更大的发展。  相似文献   

13.
The IUCN (International Union for Conservation of Nature) Red List categories and criteria are the most widely used framework for assessing the relative extinction risk of species. The criteria are based on quantitative thresholds relating to the size, trends, and structure of species’ distributions and populations. However, data on these parameters are sparse and uncertain for many species and unavailable for others, potentially leading to their misclassification or classification as data deficient. We devised an approach that combines data on land-cover change, species-specific habitat preferences, population abundance, and dispersal distance to estimate key parameters (extent of occurrence, maximum area of occupancy, population size and trend, and degree of fragmentation) and hence predict IUCN Red List categories for species. We applied our approach to nonpelagic birds and terrestrial mammals globally (∼15,000 species). The predicted categories were fairly consistent with published IUCN Red List assessments, but more optimistic overall. We predicted 4.2% of species (467 birds and 143 mammals) to be more threatened than currently assessed and 20.2% of data deficient species (10 birds and 114 mammals) to be at risk of extinction. Incorporating the habitat fragmentation subcriterion reduced these predictions 1.5–2.3% and 6.4–14.9% (depending on the quantitative definition of fragmentation) for threatened and data deficient species, respectively, highlighting the need for improved guidance for IUCN Red List assessors on the application of this aspect of the IUCN Red List criteria. Our approach complements traditional methods of estimating parameters for IUCN Red List assessments. Furthermore, it readily provides an early-warning system to identify species potentially warranting changes in their extinction-risk category based on periodic updates of land-cover information. Given our method relies on optimistic assumptions about species distribution and abundance, all species predicted to be more at risk than currently evaluated should be prioritized for reassessment.  相似文献   

14.
In ecology and evolutionary biology, controlled animal experiments are often conducted to measure time to metamorphosis which is possibly censored by the competing risk of death and the follow-up end. This paper considers the problem of estimating the survival function of time-to-event when it is subject to dependent censoring. When the censorship is due to competing risks, the traditional assumption of independent censorship may not be satisfied, and hence, the usual application of the Kaplan–Meier estimator yields a biased estimation for the survival function of the event time. This paper follows an assumed copula approach (Zheng and Klein in Biometrika 82(1):127–138, 1995) to adjust for dependence between the event time of interest and the competing event time. While the literature on an assumed copula approach has mostly focused on semiparametric settings, we alternatively consider a parametric approach with piecewise exponential models for fitting the survival function. We develop maximum likelihood estimation under the piecewise exponential models with an assumed copula. A goodness-of-fit procedure is also developed, which touches upon the identifiability issue of the copula. We conduct simulations to examine the performance of the proposed method and compare it with an existing semiparametric method. The method is applied to real data analysis on time to metamorphosis for salamander larvae living in Hokkaido, Japan (Michimae et al. in Evol Ecol Res 16:617–629, 2014).  相似文献   

15.
为了研究环丙沙星对作物的毒性效应,为其可能对农业生产带来的风险提供评价依据,采用急性毒性实验方法,研究了环丙沙星对3种作物(玉米、萝卜和小白菜)种子发芽、根伸长及芽伸长的影响。结果表明,在环丙沙星作用下,3种作物的根伸长抑制率和芽伸长抑制率与药物浓度显著相关(P<0.05),发芽抑制率与药物浓度不相关(P>0.05);药物对根伸长及芽伸长的抑制高于对种子发芽的抑制;环丙沙星对玉米、萝卜和小白菜的根伸长和芽伸长的ID50(抑制率为50%时污染物浓度)分别为7.97、2.51、1.48mg·kg-1和11.23、2.90、1.95mg·kg-1,3种作物在环丙沙星的胁迫下,其敏感性顺序为:小白菜>萝卜>玉米。  相似文献   

16.
Assessments of risk to biodiversity often rely on spatial distributions of species and ecosystems. Range‐size metrics used extensively in these assessments, such as area of occupancy (AOO), are sensitive to measurement scale, prompting proposals to measure them at finer scales or at different scales based on the shape of the distribution or ecological characteristics of the biota. Despite its dominant role in red‐list assessments for decades, appropriate spatial scales of AOO for predicting risks of species’ extinction or ecosystem collapse remain untested and contentious. There are no quantitative evaluations of the scale‐sensitivity of AOO as a predictor of risks, the relationship between optimal AOO scale and threat scale, or the effect of grid uncertainty. We used stochastic simulation models to explore risks to ecosystems and species with clustered, dispersed, and linear distribution patterns subject to regimes of threat events with different frequency and spatial extent. Area of occupancy was an accurate predictor of risk (0.81<|r|<0.98) and performed optimally when measured with grid cells 0.1–1.0 times the largest plausible area threatened by an event. Contrary to previous assertions, estimates of AOO at these relatively coarse scales were better predictors of risk than finer‐scale estimates of AOO (e.g., when measurement cells are <1% of the area of the largest threat). The optimal scale depended on the spatial scales of threats more than the shape or size of biotic distributions. Although we found appreciable potential for grid‐measurement errors, current IUCN guidelines for estimating AOO neutralize geometric uncertainty and incorporate effective scaling procedures for assessing risks posed by landscape‐scale threats to species and ecosystems.  相似文献   

17.
Abstract: Ocean‐going vessels pose a threat to large whales worldwide and are responsible for the majority of reported deaths diagnosed among endangered North Atlantic right whales (Eubalaena glacialis). Various conservation policies have been implemented to reduce vessel‐strike mortality in this species. The International Maritime Organization adopted the Roseway Basin Area to be avoided on the Scotian Shelf as a voluntary conservation initiative to reduce the risk of lethal vessel strikes to right whales. We initiated the Vessel Avoidance & Conservation Area Transit Experiment to evaluate the efficacy of this initiative because the effectiveness of the avoidance scheme in reducing risk without the imposition of vessel‐speed restrictions depends entirely on vessel‐operator compliance. Using a network of automatic identification system receivers, we collected static, dynamic, and voyage‐related vessel data in near real time from the Roseway Basin region for 12 months before and 6 months after the implementation of the area to be avoided. Using pre‐ and post‐implementation vessel navigation and speed data, along with right whale sightings per unit effort data, all resolved at 3′N latitude by 3′W longitude, we estimated the post‐implementation change in risk of lethal vessel strikes. Estimates of vessel‐operator voluntary compliance ranged from 57% to 87% and stabilized at 71% within the first 5 months of implementation. Our estimates showed an 82% reduction in the risk of lethal vessel strikes to right whales due to vessel‐operator compliance. We conclude that the high level of compliance achieved with this voluntary conservation initiative occurred because the area to be avoided was adopted by the International Maritime Organization. Our results demonstrate that international shipping interests are able and willing to voluntarily alter course to protect endangered whales.  相似文献   

18.
Using Montane Mammals to Model Extinctions Due to Global Change   总被引:2,自引:0,他引:2  
We use data on the species-area relationship and the nested subset structure of the boreal mammal faunas inhabiting isolated mountaintops in the Great Basin to develop a simple quantitative model that predicts the number and identity of species that would go extinct under an assumed scenario of changing climate and vegetation. Global warming of 3°C is predicted to cause the loss of 9–62% of the species inhabiting each mountain range and the extinction of three of fourteen species throughout the region. These results suggest (1) that it is possible to make highly plausible predictions about the susceptibility of species to extinction without detailed information about their population biology, and (2) that global and regional environmental changes seriously threaten the survival of species that are restricted in distribution to both natural "habitat islands" and biological reserves.  相似文献   

19.
To maintain healthy ecosystems, natural-disturbance-based management aims to minimize differences between unmanaged and managed landscapes. Two related approaches may help accomplish this goal, either applied together or in isolation: (1) concentrating anthropogenic disturbance through zoning (with protected areas and intensive management); and (2) emulating natural disturbances. The purpose of this paper is to examine the effects of these two approaches, applied both in isolation and in combination, on the structure of the forest landscape. To do so, we use a spatially explicit landscape simulation model on a large fire-dominated landscape in eastern Canada. Specifically, we examine the effects of (1) increasing the maximum size of logged stands (cutblocks) to better emulate the full range of fire sizes in a fire-dominated landscape, (2) increasing protected areas, and (3) adding aggregated or dispersed intensive wood production areas to the landscape in addition to protected areas (triad management). We focus on maximizing the amount and minimizing the fragmentation of old-growth forest and on reducing road construction. Increasing maximum cutblock size and adding protected areas led to reduced road construction, while the latter also resulted in less fragmentation and more old growth. Although protected areas led to reduced harvest volume, the addition of an intensive production zone (triad management) counterbalanced this loss and resulted in more old growth than equivalent scenarios with protected areas but no intensive production zone. However, we found no differences between aggregated and dispersed intensive wood production. Our results imply that differences between unmanaged and managed landscapes can be reduced by concentrating logging efforts through a combination of protected areas and intensive wood production, and by creating some larger cutblocks. We conclude that the forest industry and regulators should therefore seek to increase protected areas through triad management and consider increasing maximum cutblock size. These results add to a growing body of literature indicating that intensive management on a small part of the landscape may be better than less intensive management spread out over a much larger part of the landscape, whether this is in the context of forestry, agriculture, or urban development.  相似文献   

20.
Hersch EI 《Ecology》2006,87(8):2026-2036
Studies of how herbivory affects plant fitness often determine whether damage to one parent alters reproductive output (i.e., seed set or paternity) but ignore the possibility that the outcome may be different if both parents were damaged (i.e., the presence of maternal x paternal damage interactions). Using inbred lines of the common morning glory, Ipomoea purpurea, I conducted a series of greenhouse experiments to test whether foliar damage from a generalist insect herbivore, Trichoplusia ni, alters male and female fitness components when neither parent, one parent, or both I. purpurea parents had been damaged. In a single-donor experiment, flowers on both damaged and undamaged maternal plants received pollen from either damaged or undamaged paternal plants. I. purpurea flowers were more likely to be aborted when they received pollen from damaged paternal plants, or when maternal plants were both damaged and grown under low-resource conditions. Foliar damaged plants also produced less seed and pollen than undamaged plants, although seed mass and pollen viability were not affected by damage. In a multiple-donor experiment, flowers on damaged and undamaged maternal plants simultaneously received pollen from damaged and undamaged paternal plants, and F1 seeds were analyzed for paternity. Damaged paternal plants had reduced siring success compared to undamaged paternal plants, and this discrepancy was most pronounced when competition occurred on damaged maternal plants. Thus, damaged maternal plants were more "selective" than undamaged maternal plants. Although previous studies have demonstrated that herbivory can alter fruit and seed production and paternity patterns, this is the first study to show that the magnitude of herbivore damage experienced by both parents can interact to influence maternal and paternal mating success.  相似文献   

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