872 resultados para non-predator species
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Land-use changes influence local biodiversity directly, and also cumulatively, contribute to regional and global changes in natural systems and quality of life. Consequent to these, direct impacts on the natural resources that support the health and integrity of living beings are evident in recent times. The Western Ghats being one of the global biodiversity hotspots, is reeling under a tremendous pressure from human induced changes in terms of developmental projects like hydel or thermal power plants, big dams, mining activities, unplanned agricultural practices,monoculture plantations, illegal timber logging, etc. This has led to the once contiguous forest habitats to be fragmented in patches, which in turn has led to the shrinkage of original habitat for the wildlife, change in the hydrological regime of the catchment, decreased inflow in streams,human-animal conflicts, etc. Under such circumstances, a proper management practice is called for requiring suitable biological indicators to show the impact of these changes, set priority regions and in developing models for conservation planning. Amphibians are regarded as one of the best biological indicators due to their sensitivity to even the slightest changes in the environment and hence they could be used as surrogates in conservation and management practices. They are the predominating vertebrates with a high degree of endemism (78%) in Western Ghats. The present study is an attempt to bring in the impacts of various land-uses on anuran distribution in three river basins. Sampling was carried out for amphibians during all seasons of 2003-2006 in basins of Sharavathi, Aghanashini and Bedthi. There are as many as 46 species in the region, one of which is new to science and nearly 59% of them are endemic to the Western Ghats. They belong to nine families, Dicroglossidae being represented by 14 species,followed by Rhacophoridae (9 species) and Ranidae (5 species). Species richness is high in Sharavathi river basin, with 36 species, followed by Bedthi 33 and Aghanashini 27. The impact of land-use changes, was investigated in the upper catchment of Sharavathi river basin. Species diversity indices, relative abundance values, percentage endemics gave clear indication of differences in each sub-catchment. Karl Pearson’s correlation coefficient (r) was calculated between species richness, endemics, environmental descriptors, land-use classes and fragmentation metrics. Principal component analysis was performed to depict the influence of these variables. Results show that sub-catchments with lesser percentage of forest, low canopy cover, higher amount of agricultural area, low rainfall have low species richness, less endemic species and abundant non-endemic species, whereas endemism, species richness and abundance of endemic species are more in the sub-catchments with high tree density, endemic trees, canopy cover, rainfall and lower amount of agriculture fields. This analysis aided in prioritising regions in the Sharavathi river basin for further conservation measures.
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Most ecosystems have multiple predator species that not only compete for shared prey, but also pose direct threats to each other. These intraguild interactions are key drivers of carnivore community structure, with ecosystem-wide cascading effects. Yet, behavioral mechanisms for coexistence of multiple carnivore species remain poorly understood. The challenges of studying large, free-ranging carnivores have resulted in mainly coarse-scale examination of behavioral strategies without information about all interacting competitors. We overcame some of these challenges by examining the concurrent fine-scale movement decisions of almost all individuals of four large mammalian carnivore species in a closed terrestrial system. We found that the intensity of intraguild interactions did not follow a simple hierarchical allometric pattern, because spatial and behavioral tactics of subordinate species changed with threat and resource levels across seasons. Lions (Panthera leo) were generally unrestricted and anchored themselves in areas rich in not only their principal prey, but also, during periods of resource limitation (dry season), rich in the main prey for other carnivores. Because of this, the greatest cost (potential intraguild predation) for subordinate carnivores was spatially coupled with the highest potential benefit of resource acquisition (prey-rich areas), especially in the dry season. Leopard (P. pardus) and cheetah (Acinonyx jubatus) overlapped with the home range of lions but minimized their risk using fine-scaled avoidance behaviors and restricted resource acquisition tactics. The cost of intraguild competition was most apparent for cheetahs, especially during the wet season, as areas with energetically rewarding large prey (wildebeest) were avoided when they overlapped highly with the activity areas of lions. Contrary to expectation, the smallest species (African wild dog, Lycaon pictus) did not avoid only lions, but also used multiple tactics to minimize encountering all other competitors. Intraguild competition thus forced wild dogs into areas with the lowest resource availability year round. Coexistence of multiple carnivore species has typically been explained by dietary niche separation, but our multi-scaled movement results suggest that differences in resource acquisition may instead be a consequence of avoiding intraguild competition. We generate a more realistic representation of hierarchical behavioral interactions that may ultimately drive spatially explicit trophic structures of multi-predator communities.
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Lionfish (Pterois volitans/miles complex) are venomous coral reef fishes from the Indian and western Pacific oceans that are now found in the western Atlantic Ocean. Adult lionfish have been observed from Miami, Florida to Cape Hatteras, North Carolina, and juvenile lionfish have been observed off North Carolina, New York, and Bermuda. The large number of adults observed and the occurrence of juveniles indicate that lionfish are established and reproducing along the southeast United States coast. Introductions of marine species occur in many ways. Ballast water discharge, a very common method of introduction for marine invertebrates, is responsible for many freshwater fish introductions. In contrast, most marine fish introductions result from intentional stocking for fishery purposes. Lionfish, however, likely were introduced via unintentional or intentional aquarium releases, and the introduction of lionfish into United States waters should lead to an assessment of the threat posed by the aquarium trade as a vector for fish introductions. Currently, no management actions are being taken to limit the effect of lionfish on the southeast United States continental shelf ecosystem. Further, only limited funds have been made available for research. Nevertheless, the extent of the introduction has been documented and a forecast of the maximum potential spread of lionfish is being developed. Under a scenario of no management actions and limited research, three predictions are made: ● With no action, the lionfish population will continue to grow along the southeast United States shelf. ● Effects on the marine ecosystem of the southeast United States will become more noticeable as the lionfish population grows. ● There will be incidents of lionfish envenomations of divers and/or fishers along the east coast of the United States. Removing lionfish from the southeast United States continental shelf ecosystem would be expensive and likely impossible. A bounty could be established that would encourage the removal of fish and provide specimens for research. However, the bounty would need to be lower than the price of fish in the aquarium trade (~$25-$50 each) to ensure that captured specimens were from the wild. Such a low bounty may not provide enough incentive for capturing lionfish in the wild. Further, such action would only increase the interaction between the public and lionfish, increasing the risk of lionfish envenomations. As the introduction of lionfish is very likely irreversible, future actions should focus on five areas. 1) The population of lionfish should be tracked. 2) Research should be conducted so that scientists can make better predictions regarding the status of the invasion and the effects on native species, ecosystem function, and ecosystem services. 3) Outreach and education efforts must be increased, both specifically toward lionfish and more generally toward the aquarium trade as a method of fish introductions. 4) Additional regulation should be considered to reduce the frequency of marine fish introduction into U.S. waters. However, the issue is more complicated than simply limiting the import of non-native species, and these complexities need to be considered simultaneously. 5) Health care providers along the east coast of the United States need to be notified that a venomous fish is now resident along the southeast United States. The introduction and spread of lionfish illustrates the difficulty inherent in managing introduced species in marine systems. Introduced species often spread via natural mechanisms after the initial introduction. Efforts to control the introduction of marine fish will fail if managers do not consider the natural dispersal of a species following an introduction. Thus, management strategies limiting marine fish introductions need to be applied over the scale of natural ecological dispersal to be effective, pointing to the need for a regional management approach defined by natural processes not by political boundaries. The introduction and success of lionfish along the east coast should change the long-held perception that marine fish invasions are a minimal threat to marine ecosystems. Research is needed to determine the effects of specific invasive fish species in specific ecosystems. More broadly, a cohesive plan is needed to manage, mitigate and minimize the effects of marine invasive fish species on ecosystems that are already compromised by other human activities. Presently, the magnitude of marine fish introductions as a stressor on marine ecosystems cannot be quantified, but can no longer be dismissed as negligible. (PDF contains 31 pages)
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In the past few years, large-scale, high-seas driftnet fishing has sparked intense debate and political conflict in many oceanic regions. In the Pacific Ocean the driftnet controversy first emerged in the North Pacific transition zone and subarctic frontal zone, where driftnet vessels from Japan, the Republic of Korea, and Taiwan pursue their target species of neon flying squid. Other North Pacific driftnet fleets from Japan and Taiwan target stocks of tunas and billfishes. Both types of driftnet fishing incidentally kill valued non-target species of marine life, including fish, mammals, birds, and turtles. In response to public concerns about driftnet fishing, government scientists began early on to assemble available information and consider what new data were required to assess impacts on North Pacific marine resources and the broader pelagic ecosystem. Accordingly, a workshop was convened at the NMFS Honolulu Laboratory in May 1988 to review current information on the biology, oceanography, and fisheries of the North Pacific transition zone and subarctic frontal zone. The workshop participants, from the United States and Canada, also developed a strategic plan to guide NMFS in developing a program of driftnet fishery research and impact assessment. This volume contains a selection of scientific review papers presented at the 1988 Honolulu workshop. The papers represent part of the small kernel of information available then, prior to the expansion of cooperative international scientific programs. Subsequent driftnet fishery monitoring and research by the United States, Canada, Japan, Korea, and Taiwan have added much new data. Nevertheless, this collection of papers provides a historical perspective and contains useful information not readily available elsewhere. (PDF file contains 118 pages.)
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The sprat of the Baltic Sea is not as short-lived as inother Seas probably because fish predator species arerestricted mainly on cod and salmon. Sea bird popula-tions are much smaller and marine mammals are rare inthe Baltic Sea. The sprat stock biomass is fluctuatingstrongly. The fluctuation is mainly influenced by thestock recruitment and is also dependent on the strengthof the cod stock. After a strong decrease during the1980ies sprat catches increased again from 1992 onwardsand reached a peak with over half a million tonnes in 1997. At about the same time the character of the BalticSea sprat fishery changed from catches mainly for hu-man consumption to catches mainly for industrial pur-poses initiated by the fishery of Sweden. The recentrecord high catches of sprat have been possible only dueto the low level of the cod stock of the main Baltic SeaBasins over some years. A sprat fishery on such a highcatch level might cause conflicts with a recovering codstock in future.
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Although maritime regions support a large portion of the world’s human population, their value as habitat for other species is overlooked. Urban structures that are built in the marine environment are not designed or managed for the habitat they provide, and are built without considering the communities of marine organisms that could colonize them (Clynick et al., 2008). However, the urban waterfront may be capable of supporting a significant proportion of regional aquatic biodiversity (Duffy-Anderson et al., 2003). While urban shorelines will never return to their original condition, some scientists think that the habitat quality of urban waterfronts could be significantly improved through further research and some design modifications, and that many opportunities exist to make these modifications (Russel et al., 1983, Goff, 2008). Habitat enhancing marine structures (or HEMS) are a potentially promising approach to address the impact of cities on marine organisms including habitat fragmentation and degradation. HEMS are a type of habitat improvement project that are ecologically engineered to improve the habitat quality of urban marine structures such as bulkheads and docks for marine organisms. More specifically, HEMS attempt to improve or enhance the physical habitat that organisms depend on for survival in the inter- and sub-tidal waterfronts of densely populated areas. HEMS projects are targeted at areas where human-made structures cannot be significantly altered or removed. While these techniques can be used in suburban or rural areas restoration or removal is preferred in these settings, and HEMS are resorted to only if removal of the human-made structure is not an option. Recent research supports the use of HEMS projects. Researchers have examined the communities found on urban structures including docks, bulkheads, and breakwaters. Complete community shifts have been observed where the natural shoreline was sandy, silty, or muddy. There is also evidence of declines in community composition, ecosystem functioning, and increases in non-native species abundances in assemblages on urban marine structures. Researchers have identified two key differences between these substrates including the slope (seawalls are vertical; rocky shores contain multiple slopes) and microhabitat availability (seawalls have very little; rocky shores contain many different types). In response, researchers have suggested designing and building seawalls with gentler slopes or a combination of horizontal and vertical surfaces. Researchers have also suggested incorporating microhabitat, including cavities designed to retain water during low tide, crevices, and other analogous features (Chapman, 2003; Moreira et al., 2006) (PDF contains 4 pages)
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This brief article summarizes the ecological role of non-salmonid fishes in Scottish fresh waters. Most government-sponsored research has focused on the ecologically valuable salmonids in this area, yet non-salmonid species are widely distributed in Scotland and play an important ecological role in freshwater ecosystems. The fish fauna of Scotland differs from other parts of the British Isles by being more impoverished following the end of the last Ice Age, ca. 10 000 years ago.
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As espécies do gênero Acinetobacter são freqüentes no ambiente, mas nas últimas décadas vêm se destacando como patógenos hospitalares, especialmente Acinetobacter baumannii e as genoespécies 3 e 13TU, que formam o Complexo A. baumannii e cuja diferenciação só é possível pela utilização de metodologias moleculares. São associadas a diferentes apresentações clínicas, principalmente em pacientes internados em unidades de tratamento intensivo. Freqüentemente apresentam resistência a uma ampla variedade de antimicrobianos, incluindo os carbapenêmicos. Nestes casos as opções de tratamento podem, algumas vezes, limitar-se à polimixina. Esse trabalho objetivou avaliar a susceptibilidade a antimicrobianos, a diversidade genética e a dinâmica de colonização de Acinetobacter spp. isolados de pacientes internados no Centro de Tratamento Intensivo do Hospital Universitário Pedro Ernesto em um ano de estudo. Durante o ano de 2009 foram estudadas 76 amostras de Acinetobacter spp. isoladas de 34 pacientes, sendo a maioria obtida do trato respiratório (42,1 %), seguido de sangue (19,7%). Do total, 96,1% (73) foram identificadas como A. baumannii através da detecção do gene intrínseco blaOXA-51-like. Todas as amostras de A. baumannii foram produtoras da carbapenemase OXA-23 e apresentaram perfil de multirresistência, enquanto as três espécies não-baumannii foram sensíveis a todos os antimicrobianos testados. Não houve produto de amplificação para os genes blaOXA-24-like, blaOXA-58-like e blaOXA-143 pela técnica de PCR multiplex. As amostras apresentaram taxa de resistência maior que 70% para oito dos onze antimicrobianos testados: piperacilina-tazobactam, ceftazidima, cefotaxima, cefepime, amicacina, ciprofloxacina, imipenem e meropenem. A droga com melhor atividade in vitro foi a polimixina B. Quatro amostras foram resistentes com CIM determinada pelo E-test variando de 6 g/mL a 32 g/mL. Observou-se uma grande diversidade genética dentre as amostras, com dez grupos clonais identificados pelo PFGE. O grupo clonal B foi prevalente e persistente na unidade, representado por 32 (42,1%) amostras. Esse foi o mesmo clone descrito como o mais freqüente no Rio de Janeiro em estudo prévio. O clone associado a um surto ocorrido na mesma instituição entre 2007 e 2008 esteve presente em apenas sete (9,2%) amostras, tendo sido substituído pelo genótipo B. A análise prospectiva dos pacientes que permaneceram internados por pelo menos um mês mostrou casos de substituição clonal após terapia antimicrobiana, indicando a existência de reservatório ambiental dos genótipos circulantes. A colonização do trato respiratório por A. baumannii foi bastante comum, mas também foram observados casos de substituição de uma espécie não-baumannii por A. baumannii, além de infecção de corrente sanguínea por um genótipo diferente daquele responsável pela colonização. A presença de cepas resistentes à polimixina é preocupante, pois representa uma ameaça à terapia com a droga. A existência de um clone multirresistente disseminado no Rio de Janeiro, possivelmente pela transferência de pacientes e por profissionais que trabalham em mais de um hospital, aponta a necessidade de se adotar medidas de controle de infecção mais eficazes a fim de reduzir as taxas de morbidade e mortalidade. Além disso, a identificação de focos ambientais de dispersão das cepas epidêmicas parece essencial para garantir a eficácia das demais medidas de contenção de surtos
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Os fatores que explicam a distribuição observada em plantas e animais é uma pergunta que intriga naturalistas, biogeógrafos e ecólogos há mais de um século. Ainda nos primórdios da disciplina de ecologia, as tolerâncias ambientais já haviam sido apontadas como as grandes responsáveis pelo padrão observado da distribuição dos seres vivos, o que mais tarde levou à concepção de nicho ecológico das espécies. Nos últimos anos, o estudo das distribuições dos organismos ganhou grande impulso e destaque na literatura. O motivo foi a maior disponibilidade de catálogos de presença de espécies, o desenvolvimento de bancos de variáveis ambientais de todo o planeta e de ferramentas computacionais capazes de projetar mapas de distribuição potencial de um dado organismo. Estes instrumentos, coletivamente chamados de Modelos de Distribuição de Espécies (MDEs) têm sido desde então amplamente utilizados em estudos de diferentes escopos. Um deles é a avaliação de potenciais áreas suscetíveis à invasão de organismos exóticos. Este estudo tem, portanto, o objetivo de compreender, através de MDEs, os fatores subjacentes à distribuição de duas espécies de corais escleractíneos invasores nativos do Oceano Pacífico e ambas invasoras bem sucedidas de diversas partes do Oceano Atlântico, destacadamente o litoral fluminense. Os resultados mostraram que os modelos preditivos da espécie Tubastraea coccinea (LESSON, 1829), cosmopolita amplamente difundida na sua região nativa pelo Indo- Pacífico demonstraram de maneira satisfatória suas áreas de distribuição nas áreas invadidas do Atlântico. Sua distribuição está basicamente associada a regiões com alta disponibilidade de calcita e baixa produtividade fitoplanctônica. Por outro lado, a aplicação de MDEs foi incapaz de predizer a distribuição de T. tagusensis (WELLS,1982) no Atlântico. Essta espécie, ao contrário de sua congênere, tem distribuição bastante restrita em sua região nativa, o arquipélago de Galápagos. Através de análises posteriores foi possível constatar a mudança no nicho observado durante o processo de invasão. Finalmente, o sucesso preditivo para T. coccinea e o fracasso dos modelos para T. tagusensis levantam importantes questões sobre quais os aspectos ecológicos das espécies são mais favoráveis à aplicação de MDEs. Adicionalmente, lança importantes ressalvas na utilização recentemente tão difundida destas ferramentas como forma de previsão de invasões biológicas e em estudos de efeitos de alterações climáticas sobre a distribuição das espécies.
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We compared numbers of strikes, proportions of fish that hooked up after strikes, proportions of fish that stayed on hook (retained) after hook up, and numbers of fish caught between circle and J hooks rigged with dead natural fish bait (ballyhoo)and trolled for three oceanic predator species: dolphinfish (Coryphaena hippurus), yellowfin tuna (Thunnus albacares), and wahoo (Acanthocybium solandri). Interactions were compared between circle and J hooks fished on 75 trips by two user groups (charter and recreational fishermen). Hooks were affixed to three species-specific leader types most commonly fished in this region: monofilament (dolphinfish), fluorocarbon (tuna), and wire (wahoo). Numbers of fish caught per trip and three potential mechanisms that might inf luence numbers caught (i.e., number of strikes, proportion of fish hooked, and proportion retained) were modeled with generalized linear models that considered hook type, leader type, species, user (fishing) group, and wave height as main effects. Hook type was a main effect at the catch level; generally, more fish were caught on J hooks than on circle hooks. The effect of hook type on strike rates was equivocal. However, J hooks had a greater proportion of hook-ups than did circle hooks. Finally, the proportion of fish retained once hooked was generally equal between hook types. We found similar results when data from additional species were pooled as a “tuna” group and a “mackerel” group. We conclude that J hooks are more effective than circle hooks at the hook-up level and result in greater numbers of troll-caught dolphinfish, tunas
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No presente estudo foi avaliada a variação na dieta e na composição elementar corporal (C:N:P) de oito espécies de peixes que coocorrem em dois trechos de um riacho. Além disso, foram investigadas as diferenças na demanda e excreção de nutrientes por duas espécies de Loricariidae, sendo uma nativa (Hypostomus punctatus) e a outra não nativa (Parotocinclus maculicauda). As coletas foram realizadas no rio Ubatiba, através de pesca elétrica em diferentes meses entre os anos de 2010 e 2012. A partir da análise alimentar, observamos que as espécies apresentaram variação na dieta entre as localidades, com exceção das duas espécies de Characidium. Apesar destas variações, o presente estudo corroborou a hipótese de homeostase estequiométrica corporal. A exceção foi a espécie Hoplias malabaricus que apresentou variação na concentração elementar corporal e alto desbalanço alimentar entre as localidades, sendo as diferenças mais acentuadas na área aberta. Analisando as diferenças na demanda nutricional dos Loricariidae verificamos uma maior concentração corporal de carbono e nitrogênio para a espécie nativa e maior de fósforo na espécie não nativa, sendo essa diferença confirmada por um maior consumo de fósforo pela espécie não nativa. A análise da excreção revelou que a espécie nativa excreta mais nitrogênio e fósforo que a não nativa. Sendo assim, os resultados sugerem que a espécie não nativa apresenta uma requisição de fósforo maior do que a nativa. Logo, ambientes com altas concentrações de nutrientes, tal como o riacho estudado, podem favorecer o estabelecimento desta espécie
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The Age and Growth Program at the Alaska Fisheries Science Center is tasked with providing age data in order to improve the basic understanding of the ecology and fisheries dynamics of Alaskan fish species. The primary focus of the Age and Growth Program is to estimate ages from otoliths and other calcified structures for age-structured modeling of commercially exploited stocks; however, the program has recently expanded its interests to include numerous studies on topics ranging from age estimate validation to the growth and life history of non-target species. Because so many applications rely upon age data and particularly upon assurances as to their accuracy and precision, the Age and Growth Program has developed this practical guide to document the age determination of key groundfish species from Alaskan waters. The main objective of this manual is to describe techniques specific to the age determination of commercially and ecologically important species studied by the Age and Growth Program. The manual also provides general background information on otolith morphology, dissection, and preparation, as well as descriptions of methods used to measure precision and accuracy of age estimates. This manual is intended not only as a reference for age readers at the AFSC and other laboratories, but also to give insight into the quality of age estimates to scientists who routinely use such data.
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Culture of a non-native species, such as the Suminoe oyster (Crassostrea ariakensis), could offset the harvest of the declining native eastern oyster (Crassostrea virginica) fishery in Chesapeake Bay. Because of possible ecological impacts from introducing a fertile non-native species, introduction of sterile triploid oysters has been proposed. However, recent data show that a small percentage of triploid individuals progressively revert toward diploidy, introducing the possibility that Suminoe oysters might establish self-sustaining populations. To assess the risk of Suminoe oyster populations becoming established in Chesapeake Bay, a demographic population model was developed. Parameters modeled were salinity, stocking density, reversion rate, reproductive potential, natural and harvest-induced mortality, growth rates, and effects of various management strategies, including harvest strategies. The probability of a Suminoe oyster population becoming self-sustaining decreased in the model when oysters are grown at low salinity sites, certainty of harvest is high, mini-mum shell length-at-harvest is small, and stocking density is low. From the results of the model, we suggest adopting the proposed management strategies shown by the model to decrease the probability of a Suminoe oyster population becoming self-sustaining. Policy makers and fishery managers can use the model to predict potential outcomes of policy decisions, supporting the ability to make science-based policy decisions about the proposed introduction of triploid Suminoe oysters into the Chesapeake Bay.
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There has been much recent interest in the effects of fishing on habitat and non-target species, as well as in protecting certain areas of the seabed from these effects (e.g. Jennings and Kaiser, 1998; Benaka, 1999; Langton and Auster, 1999; Kaiser and de Groot, 2000). As part of an effort to determine the effectiveness of marine closed areas in promoting recovery of commercial species (e.g. haddock, Melanogrammus aegelfinus; sea scallops, Placopecten magellanicus; yellowtail flounder, Limanda ferruginea; cod, Gadus morhua), nontarget species, and habitat, a multidisciplinary research cruise was conducted by the Northeast Fisheries Science Center (NEFSC), National Marine Fisheries Service. The cruise was conducted in closed area II (CA-II) of the eastern portion of Georges Bank during 19–29 June 2000 (Fig. 1). The area has historically produced high landings of scallops but was closed in 1994 principally for groundfish recovery (Fogarty and Murawski, 1998). The southern portion of the area was reopened to scallop fishing from 15 June to 12 November 1999, and again from 15 June to 15 August 2000. While conducting our planned sampling, we observed scallop viscera (the noncalcareous remains from scallops that have been shucked by commercial fishermen at sea) in the stomachs of several fish species at some of these locations, namely little skate (Raja erinacea), winter skate (R. ocellata), red hake (Urophycis chuss), and longhorn sculpin (Myoxocephalus octodecemspinosus). We examined the stomach contents of a known scavenger, the longhorn sculpin, to evaluate and document the extent of this phenomenon.