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1.
PLoS One ; 9(7): e103654, 2014.
Article in English | MEDLINE | ID: mdl-25077486

ABSTRACT

A complete understanding of population connectivity via larval dispersal is of great value to the effective design and management of marine protected areas (MPA). However empirical estimates of larval dispersal distance, self-recruitment, and within season variability of population connectivity patterns and their influence on metapopulation structure remain rare. We used high-resolution otolith microchemistry data from the temperate reef fish Hypsypops rubicundus to explore biweekly, seasonal, and annual connectivity patterns in an open-coast MPA network. The three MPAs, spanning 46 km along the southern California coastline were connected by larval dispersal, but the magnitude and direction of connections reversed between 2008 and 2009. Self-recruitment, i.e. spawning, dispersal, and settlement to the same location, was observed at two locations, one of which is a MPA. Self-recruitment to this MPA ranged from 50-84%; within the entire 60 km study region, self-recruitment accounted for 45% of all individuals settling to study reefs. On biweekly time scales we observed directional variability in alongshore current data and larval dispersal trajectories; if viewed in isolation these data suggest the system behaves as a source-sink metapopulation. However aggregate biweekly data over two years reveal a reef network in which H. rubicundus behaves more like a well-mixed metapopulation. As one of the few empirical studies of population connectivity within a temperate open coast reef network, this work can inform the MPA design process, implementation of ecosystem based management plans, and facilitate conservation decisions.


Subject(s)
Fishes/physiology , Animal Distribution , Animals , California , Coral Reefs , Female , Larva/physiology , Male , Nesting Behavior , Otolithic Membrane/metabolism , Population Dynamics
2.
Nature ; 506(7487): 216-20, 2014 Feb 13.
Article in English | MEDLINE | ID: mdl-24499817

ABSTRACT

In line with global targets agreed under the Convention on Biological Diversity, the number of marine protected areas (MPAs) is increasing rapidly, yet socio-economic benefits generated by MPAs remain difficult to predict and under debate. MPAs often fail to reach their full potential as a consequence of factors such as illegal harvesting, regulations that legally allow detrimental harvesting, or emigration of animals outside boundaries because of continuous habitat or inadequate size of reserve. Here we show that the conservation benefits of 87 MPAs investigated worldwide increase exponentially with the accumulation of five key features: no take, well enforced, old (>10 years), large (>100 km(2)), and isolated by deep water or sand. Using effective MPAs with four or five key features as an unfished standard, comparisons of underwater survey data from effective MPAs with predictions based on survey data from fished coasts indicate that total fish biomass has declined about two-thirds from historical baselines as a result of fishing. Effective MPAs also had twice as many large (>250 mm total length) fish species per transect, five times more large fish biomass, and fourteen times more shark biomass than fished areas. Most (59%) of the MPAs studied had only one or two key features and were not ecologically distinguishable from fished sites. Our results show that global conservation targets based on area alone will not optimize protection of marine biodiversity. More emphasis is needed on better MPA design, durable management and compliance to ensure that MPAs achieve their desired conservation value.


Subject(s)
Conservation of Natural Resources/statistics & numerical data , Ecology/statistics & numerical data , Ecosystem , Fisheries/statistics & numerical data , Fishes/physiology , Animals , Aquatic Organisms/physiology , Biodiversity , Biomass , Conservation of Natural Resources/economics , Conservation of Natural Resources/legislation & jurisprudence , Conservation of Natural Resources/methods , Coral Reefs , Ecology/economics , Ecology/legislation & jurisprudence , Ecology/methods , Fisheries/legislation & jurisprudence , Fisheries/standards , Marine Biology/economics , Marine Biology/legislation & jurisprudence , Marine Biology/methods , Marine Biology/statistics & numerical data , Seawater , Sharks , Silicon Dioxide , Time Factors
3.
Ecol Appl ; 20(8): 2203-22, 2010 Dec.
Article in English | MEDLINE | ID: mdl-21265452

ABSTRACT

The essence of ecosystem-based management is managing human practices to conserve the ecosystem. Ecologists focus on understanding the ecosystem, but there are fundamental information gaps including patterns of human exploitation. In particular, the spatial distribution of fishing effort must be known at the scales needed for ecologically relevant management. Fishing is a primary impact on coastal ecosystems, yet catch distribution at scales relevant to habitats and processes are not well known for many fisheries. Here we utilized photographic time series, logbook records, and angler surveys to estimate the intensity and spatial pattern of commercial and recreational fishing. Effort was clearly aggregated for most types of fishing, the motivating factors for effort distribution varied among areas, and effort was coupled or uncoupled to habitat depending on the area and type of fishing. We estimated that approximately 60% and approximately 74% of private recreational and recreational charter vessel fishing effort, respectively, were concentrated into two small areas that also included approximately 78% of commercial sea urchin effort. Exploitation and effort were considerably greater in one kelp forest, which has important implications for patterns of kelp persistence, productivity, and ecosystem function. Areas subject to the greatest recreational fishing pressure appeared to have lower diversity. Our results indicate that fine-scale patterns of fishing effort and exploitation have profound consequences for ecosystem functioning and biodiversity. 'Ecosystem-based management of nearshore ecosystems depends on an understanding of the fine-scale patterns of exploitation.


Subject(s)
Ecosystem , Environmental Monitoring/methods , Fisheries , Animals , California , Crustacea , Fishes , Humans , Kelp , Pacific Ocean , Time Factors
4.
Ecol Appl ; 16(3): 945-62, 2006 Jun.
Article in English | MEDLINE | ID: mdl-16826994

ABSTRACT

The design of marine reserves is complex and fraught with uncertainty. However, protection of critical habitat is of paramount importance for reserve design. We present a case study as an example of a reserve design based on fine-scale habitats, the affinities of exploited species to these habitats, adult mobility, and the physical forcing affecting the dynamics of the habitats. These factors and their interaction are integrated in an algorithm that determines the optimal size and location of a marine reserve for a set of 20 exploited species within five different habitats inside a large kelp forest in southern California. The result is a reserve that encompasses approximately 42% of the kelp forest. Our approach differs fundamentally from many other marine reserve siting methods in which goals of area, diversity, or biomass are targeted a priori. Rather, our method was developed to determine how large a reserve must be within a specific area to protect a self-sustaining assemblage of exploited species. The algorithm is applicable across different ecosystems, spatial scales, and for any number of species. The result is a reserve in which habitat value is optimized for a predetermined set of exploited species against the area left open to exploitation. The importance of fine-scale habitat definitions for the exploited species off La Jolla is exemplified by the spatial pattern of habitats and the stability of these habitats within the kelp forest, both of which appear to be determined by ocean microclimate.


Subject(s)
Climate , Environment , Species Specificity , California , Oceans and Seas , Trees
5.
Mar Environ Res ; 55(4): 293-311, 2003 May.
Article in English | MEDLINE | ID: mdl-12517422

ABSTRACT

The effects of sewage discharge on algal populations and the quality of Hawai'ian coastal waters were investigated. Two outfalls were studied. One discharges primary treated sewage and the other discharges secondary treated sewage but are otherwise similar. This enabled comparisons of the effects of these different levels of treatment on the water quality and algal productivity of receiving waters. Plumes were followed and repeatedly sampled in a time-series manner. Rhodamine dye was used as a conservative tracer to compare the dilution behavior of the plume constituents MRP, NO(3)+NO(2), NH(4), Silicate, TDP, TDN, total bacteria, PC, and PN. Rates of initial dilution ranged from two to almost three orders of magnitude, and were in reasonable agreement with engineering model predictions. Dilution of plume constituents approximated that of Rhodamine until background concentrations were reached, typically within 10 min of discharge. Chl a concentrations did not increase through time in the primary sewage plume but did increase up to 30% in the secondary sewage plume. However, rates of far-field dilution were so rapid that the increase could not have been due to algal growth. The increase was attributed to the plume mixing with a water mass whose relative chl a concentrations were greater. Rates of secondary dilution ranged from 2 to 3 orders of magnitude resulting in total dilutions of 10(5)-10(6) within 3 h of discharge. These rates of secondary dilution were much greater than model predictions. From a nutrient standpoint, secondary treatment exhibited no advantages over primary treatment because dilutions were so rapid.


Subject(s)
Phytoplankton/drug effects , Sewage , Water/standards , Animals , Hawaii , Kinetics , Models, Biological , Phytoplankton/growth & development , Quality Control , Seawater/microbiology , Seawater/parasitology , Sewage/adverse effects , Water Pollution/adverse effects , Water Pollution/analysis
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