The impact of a range of different threats has resulted in the listing of six out of seven sea turtle species on the IUCN Red List of endangered species. Disease risk analysis (DRA) tools are designed to provide objective, repeatable and documented assessment of the disease risks for a population and measures to reduce these risks through management options. To the best of our knowledge, DRAs have not previously been published for sea turtles, although disease is reported to contribute to sea turtle population decline. Here, a comprehensive list of health hazards is provided for all seven species of sea turtles. The possible risk these hazards pose to the health of sea turtles were assessed and “One Health” aspects of interacting with sea turtles were also investigated. The risk assessment was undertaken in collaboration with more than 30 experts in the field including veterinarians, microbiologists, social scientists, epidemiologists and stakeholders, in the form of two international workshops and one local workshop. The general finding of the DRA was the distinct lack of knowledge regarding a link between the presence of pathogens and diseases manifestation in sea turtles. A higher rate of disease in immunocompromised individuals was repeatedly reported and a possible link between immunosuppression and environmental contaminants as a result of anthropogenic influences was suggested. Society based conservation initiatives and as a result the cultural and social aspect of interacting with sea turtles appeared to need more attention and research. A risk management workshop was carried out to acquire the insights of local policy makers about management options for the risks relevant to Queensland and the options were evaluated considering their feasibility and effectiveness. The sea turtle DRA presented here, is a structured guide for future risk assessments to be used in specific scenarios such as translocation and head-starting programs.
A regional frequency analysis (RFA) of tide gauge (TG) data fit with a Generalized Pareto Distribution (GPD) is used to estimate contemporary extreme sea level (ESL) probabilities and the risk of a damaging flood along Pacific Basin coastlines. Methods to localize and spatially granulate the regional ESL (sub-annual to 500-year) probabilities and their uncertainties are presented to help planners of often-remote Pacific Basin communities assess (ocean) flood risk of various threshold severities under current and future sea levels. Downscaling methods include use of local TG observations of various record lengths (e.g., 1–19+ years), and if no in situ data exist, tide range information. Low-probability RFA ESLs localized at TG locations are higher than other recent assessments and generally more precise (narrower confidence intervals). This is due to increased rare-event sampling as measured by numerous TGs regionally. For example, the 100-year ESLs (1% annual chance event) are 0.15 m and 0.25 higher (median at-site difference) than a single-TG based analysis that is closely aligned to those supporting recent Intergovernmental Panel on Climate Change (IPCC) assessments and a third-generation global tide and surge model, respectively. Height thresholds for damaging flood levels along Pacific Basin coastlines are proposed. These floods vary between about 0.6–1.2 m or more above the average highest tide and are associated with warning levels of the U.S. National Oceanic and Atmospheric Administration (NOAA). The risk of a damaging flood assessed by the RFA ESL probabilities under contemporary sea levels have about a (median) 20–25-year return interval (4–5% annual chance) for TG locations along Pacific coastlines. Considering localized sea level rise projections of the IPCC associated with a global rise of about 0.5 m by 2100 under a reduced emissions scenario, damaging floods are projected to occur annually by 2055 and >10 times/year by 2100 at the majority of TG locations.
Climate-change associated changes in oceanographic conditions, particularly sea surface temperatures (SSTs), have systematically affected many marine fisheries resources around Japan. The Pacific Decadal Oscillation (PDO) index is considered one of the most important climate indices for describing basin-scale SST variations in the North Pacific, which are closely related to decadal variations in fisheries resources. Time series of the PDO index has been used to conventionally classify decadal conditions of ocean and fisheries resources around Japan as either warming or cooling regimes. It is now clear that for the 2000s to the mid-2010s, mostly during the “global surface warming slowdown,” the SST regime around Japan was unconventional; despite the PDO index being in a negative phase, which normally corresponds to a warming regime around Japan, SSTs exhibited decadal cooling in some waters and seasons. SSTs in the western part of the North Pacific subtropical gyre gradually decreased, particularly in autumn–spring, whereas SSTs in the western subarctic gyre and the Sea of Okhotsk increased. Moreover, SSTs between the subtropical and subarctic waters around northern Japan exhibited seasonal contrasts that were decadally intensified through the combined effects of cooling in winter–spring and warming in summer–autumn. Some major marine fisheries resources around Japan showed decadal increases or decreases beginning in the mid-2000s, and appeared to respond to the unconventional SST changes in their early life stages. In this paper, we review atmosphere and ocean conditions around Japan in the 2000s–2010s in terms of global climate, present an overview of potential impacts of decadal SST trends on five major commercial fisheries resources (walleye pollock, chum salmon, Japanese sardine, Japanese anchovy, and Japanese flying squid), and raise awareness that an unconventional regime can appear transiently during a state of global warming.
The American lobster (Homarus americanus) fishery is an economically important commercial activity in Prince Edward Island (PEI), Canada. This fishery requires substantial amounts of bait, resulting in an emerging conservation challenge. To address this issue, an alternative lobster bait, manufactured using fresh and process pelagic fish, and dehydrated fish, corresponding to 75% less fresh pelagic fish than traditional bait has been developed by Bait Masters Inc. The performance of the alternative bait compared to that of the traditional bait was evaluated in a field study. This field trial was conducted in eight lobster fishing bays around PEI, during the 2019 lobster fishing seasons. Bait effectiveness was assessed based on catch-per-unit-effort (total lobsters and number of legal-sized lobsters caught per trap), and the ability to produce a catch. An average of five lobsters per trap were caught for both alternative and traditional baits. The results showed that both lobster bait types performed equally well in all PEI lobster fishing areas studied. This indicates that the alternative bait is a viable replacement for traditional bait, allowing the lobster fishery industry to address the bait-species shortage and ongoing conservation challenge.
Urban sources, wastewater treatment plants (WWTPs), untreated wastewater (not connected to WWTPs), and especially combined sewer overflow systems (CSS) including stormwater are major pathways for microplastics in the aquatic environment. We compile microplastics emission data for the Baltic Sea region, calculate emissions for each pathway and develop emission scenarios for selected polymer types, namely polyethylene (PE)/polypropylene (PP) and the polyester polyethylene terephthalate (PET). PE/PP and PET differ with respect to their density and can be regarded as representative for large groups of polymers. We consider particles between 20–500 μm with varying shapes. The emission scenarios serve as input for 3D-model simulations, which allow us to estimate transport, behavior, and deposition in the Baltic Sea environment. According to our model results, the average residence time of PET and PE/PP in the Baltic Sea water body is about 14 days. Microplastics from urban sources cause average concentrations of 1.4 PE/PP (0.7 PET) particles/m2 sea surface (20–500 μm size range) in the Baltic Sea during summer. Average concentrations of PET, resulting from urban sources, at the sea floor are 4 particles/m2 sediment surface during summer. Our model approach suggests that accumulation at the shoreline is the major sink for microplastic with annual coastal PE/PP and PET accumulation rates of up to 108 particles/m each near emission hot-spots and in enclosed and semi-closed systems. All concentrations show strong spatial and temporal variability and are linked to high uncertainties. The seasonality of CSS (including stormwater) emissions is assessed in detail. In the south-eastern Baltic, emissions during July and August can be up to 50% of the annual CSS and above 1/3 of the total annual microplastic emissions. The practical consequences especially for monitoring, which should focus on beaches, are discussed. Further, it seems that PET, PE/PP can serve as indicators to assess the state of pollution.
Caribbean coral reefs provide essential ecosystem services to society, including fisheries, tourism and shoreline protection from coastal erosion. However, these reefs are also exhibiting major declining trends, leading to the evolution of novel ecosystems dominated by non-reef building taxa, with potentially altered ecological functions. In the search for effective management strategies, this study characterized coral reefs in front of a touristic beach which provides economic benefits to the surrounding coastal communities yet faces increasing anthropogenic pressures and conservation challenges. Haphazard photo-transects were used to address spatial variation patterns in the reef’s benthic community structure in eight locations. Statistically significant differences were found with increasing distance from the shoreline, reef rugosity, Diadema antillarum density, among reef locations, and as a function of recreational use. Nearshore reefs reflected higher percent macroalgal cover, likely due to increased exposure from both recreational activities and nearby unsustainable land-use practices. However, nearshore reefs still support a high abundance of the endangered reef-building coral Orbicella annularis, highlighting the need to conserve these natural shoreline protectors. There is an opportunity for local stakeholders and regulatory institutions to collaboratively implement sea-urchin propagation, restoration of endangered Acroporid coral populations, and zoning of recreational densities across reefs. Our results illustrate vulnerable reef hotspots where these management interventions are needed and recommend guidelines to address them.
Coastal seas and oceans receive engineered nanoparticles that are released from nano-enabled consumer and industrial products and incidental nanoparticles that are formed as byproducts of combustion and friction. The marine environment is often perceived as a rapid sink for particles, because of the high salinity promoting the attachment between particles producing heavy agglomerates that sediment on the seafloor. In this work the effect of seasonal production of extracellular polymeric substances (EPS) on particle stability is tested using seawater collected from the Gullmarn fjord in the winter, spring, and summer. A novel approach is used that is based on light scattering of the bulk particle population for tracking agglomerates and of single particles for tracking particles smaller than approximately 300 nm. Results show that organic particles formed from EPS during algal blooms are capable of stabilizing nanoparticles in marine waters for at least 48 h. In contrast, particles agglomerate rapidly in the same seawater that has previously been filtered through 0.02 μm pore size membranes. Furthermore, particles with fibrillar shape have been detected using atomic force microscopy, supporting the argument that organic particles from EPS are responsible for the stabilization effect. These results suggest that seasonal biological activity can act as an intermittent stabilization factor for nanoparticles in marine waters.
Photo-identification (photo-id) is a method used in field studies by biologists to monitor animals according to their density, movement patterns and behavior, with the aim of predicting and preventing ecological risks. However, these methods can introduce subjectivity when manually classifying an individual animal, creating uncertainty or inaccuracy in the data as a result of the human criteria involved. One of the main objectives in photo-id is to implement an automated mechanism that is free of biases, portable, and easy to use. The main aim of this work is to develop an autonomous and portable photo-id system through the optimization of image classification algorithms that have high statistical dependence, with the goal of classifying dorsal fin images of the blue whale through offline information processing on a mobile platform. The new proposed methodology is based on the Scale Invariant Feature Transform (SIFT) that, in conjunction with statistical discriminators such as the variance and the standard deviation, fits the extracted data and selects the closest pixels that comprise the edges of the dorsal fin of the blue whale. In this way, we ensure the elimination of the most common external factors that could affect the quality of the image, thus avoiding the elimination of relevant sections of the dorsal fin. The photo-id method presented in this work has been developed using blue whale images collected off the coast of Baja California Sur. The results shown have qualitatively and quantitatively validated the method in terms of its sensitivity, specificity and accuracy on the Jetson Tegra TK1 mobile platform. The solution optimizes classic SIFT, balancing the results obtained with the computational cost, provides a more economical form of processing and obtains a portable system that could be beneficial for field studies through mobile platforms, making it available to scientists, government and the general public.
Coastally distributed dolphin species are vulnerable to a variety of anthropogenic pressures, yet a lack of abundance data often prevents data-driven conservation management strategies from being implemented. We investigated the abundance of Indo-Pacific bottlenose dolphins (Tursiops aduncus) along the south coast of South Africa, from the Goukamma Marine Protected Area (MPA) to the Tsitsikamma MPA, between 2014 and 2016. During this period, 662.3h of boat-based photo-identification survey effort was carried out during 189 surveys. The sighting histories of 817 identified individuals were used to estimate abundance using capture-recapture modelling. Using open population (POPAN) models, we estimated that 2,155 individuals (95% CI: 1,873–2,479) occurred in the study area, although many individuals appeared to be transients. We recorded smaller group sizes and an apparent decline in abundance in a subset of the study area (Plettenberg Bay) compared to estimates obtained in 2002–2003 at this location. We recorded declines of more than 70% in both abundance and group size for a subset of the study area (Plettenberg Bay), in relation to estimates obtained in 2002–2003 at this location. We discuss plausible hypotheses for causes of the declines, including anthropogenic pressure, ecosystem change, and methodological inconsistencies. Our study highlights the importance of assessing trends in abundance at other locations to inform data-driven conservation management strategies of T. aduncus in South Africa.
Globally, economies and marine ecosystems are increasingly dependent on sustainable fisheries management (SFM) to balance social, economic, and conservation needs. The overarching objectives of SFM are to maximize both conservation and socio-economic benefits, while minimizing short-term socio-economic costs. A number of tools have been developed to achieve SFM objectives, ranging from fishery specific to ecosystem-based strategies. Closures are a common SFM tool used to balance the trade-off between socio-economic and conservation considerations; they vary in scope from small-scale temporary closures to large-scale permanent networks. Unfortunately, closures are frequently implemented without a plan for monitoring or assessing whether SFM objectives are met. In situations in which a monitoring plan is not in place we propose that commonly available fishery data can often be used to evaluate whether management tools are effective in meeting SFM objectives. Here, we present a case study of closures on Georges Bank that shows how fishery data can be analyzed to perform such an assessment. Since 2006, on the Canadian side of Georges Bank, seasonal scallop fishery closures have been implemented with the aim of reducing by-catch of Atlantic cod (Gadus morhua) and yellowtail flounder (Pleuronectes ferruginea) during spawning. In lieu of data from a dedicated monitoring program, we analyzed data from Vessel Monitoring Systems (VMS), fishery logbooks, and a scallop survey to assess the impact of these closures on the scallop fishery, and use observer data (i.e. by-catch) to assess the effectiveness of these closures in meeting their conservation objective. While compliance for these time-area closures was high, the closures did not significantly displace fishing activity and overall there was limited evidence of an impact on the scallop fishery. Further, the discard rates for both cod and yellowtail were above average when their respective closures were active. These results suggest that improvements to the closures design and/or other measures may be required to achieve the desired SFM objectives.
Aligning nature protection with human well-being for the UN Sustainable Development Goals implies that conservation monitoring should indicate the sustainability of ecosystem services (ES). Here we test the value of the ES cascade framework using national, multi-decadal data for an iconic freshwater fish, the Atlantic salmon Salmo salar. For the first time, we assemble all long-term monitoring data for England and Wales along the ES cascade for this species from resource to benefit: juvenile density to measure the biological resource, returning adult numbers to measure potential ES use, and rod catches and angling effort as measures of actual ES use. We aimed to understand how the ES cascade framework reconciled conservation with ES sustainability targets.
Only some linkages along the ES cascade could be evidenced: in catchments where juveniles declined, rod catches also generally decreased, but angling effort declined everywhere irrespective of the biological resource trends. We suggest that i) programmes focused on juvenile monitoring provide an early-warning system for ES provision as well as nature conservation, ii) the ES cascade framework can reconcile nature conservation and ES sustainability if monitoring efforts link biological resources fully to the ES, and ES monitoring explicitly relates biological resources to human use.
Microplastics, particularly microfibers, are ubiquitous, found in aquatic (freshwater and marine) and terrestrial environments and within the food web worldwide. It is well-established that microplastics in the form of textile fibers enter the environment via washing machines and wastewater treatment effluent. Less is known about the release of microfibers from electric clothes dryers. In this study we measure microfiber emissions from home installed dryers at two different sites. At each site the distribution of fibers landing on the snow’s surface outside dryer vents and the weight of lint in dryer exhaust exiting dryer vents were measured. Fibers from the pink polyester fleece blankets used in this study were found in plots throughout a 30ft (9.14m) radius from the dryer vents, with an average number across all plots of 404 ± 192 (SD) (Site 1) and 1,169 ± 606 (SD) (Site 2). The majority of the fibers collected were located within 5 ft (1.52m) of the vents. Averages of 35 ± 16(SD)mg (Site 1) and 70 ± 77 (SD)mg (Site 2) of lint from three consecutive dry cycles were collected from dryer vent exhaust. This study establishes that electric clothes dryers emit masses of microfiber directly into the environment. Microfiber emissions vary based on dryer type, age, vent installation and lint trap characteristics. Therefore, dryers should be included in discussions when considering strategies, policies and innovations to prevent and mitigate microfiber pollution.
As urbanisation pressures on ecosystems are set to increase, trade-offs between ecosystem service are also likely to increase. Management strategies that minimise trade-offs and promote sustainable development to optimise ecosystem multi-functionality are therefore needed. Many coastal cities may however struggle to find the resources and capacity to operationalise ecosystem service agendas. Therefore, the objective of this study is to propose and test the suitability of a multi-functional landscape approach to ecosystem service assessments using the case study of Singapore, with focus on five ecosystem services: water and air pollution control, global climate, local temperature and recreational potential services. Our results show clear heterogeneity in the capacity of mangroves to supply different ecosystem services, with a general tendency for greater amounts of supply in larger mangrove patches, and for ecosystem services to aggregate producing hotspots of supply. Overall, a 24% of the mangrove landscape supported aggregations of at least one, two or three ecosystem services, but only <1% of the mangrove landscape supporting overlapping aggregations of all five services. Ecosystem services also co-varied to produce trade-offs and synergies, with ecosystem service bundling largely driven by regulating services. Areas of ecosystem service synergy and hotsport overlap represent possible priority areas of future conservation or management, and highlight what might be lost if significant degradation were allowed to occur. Further, the large spatial mismatch among ecosystem service hotspots also highlights the difficulty in identifying single areas capable of delivering substantial amounts of multiple ecosystem services. We conclude that this framework provides a basis to look at ecosystem services in combination, as well as individually, and to do so in a spatially explicit manner than can be overlaid with maps of land use or other development planning.
A standing data gap for management of high-seas seamounts of the Northwestern Hawaiian Ridge and Emperor Seamounts (ES-NHR) by the North Pacific Fisheries Commission is the footprint of fisheries activities on these seamounts. Using satellite AIS data and the algorithms of the publicly available Global Fishing Watch database, a spatial map of trawling in a 0.01-degree latitude by 0.01-degree longitude square grid was created to review the data available to map this footprint. From 2012 to 2018 much of the trawling effort for all countries focused on Koko, Yuryaku, Kammu, and Colahan Seamounts at depths between 400 m (summits) and the depth limit currently set by the North Pacific Fisheries Commission of 1500 m. Additional seamounts with fishing activity included Annei (North Koko), Kinmei, Jingu, and Suiko. The remaining ES-NHR seamount locations show no trawling in those years. Bottom contact fishing was predominately carried out by ships with flag states of Japan and Korea. To date there appears to be compliance with the recent small-scale closures on C–H seamount and Koko.
An additional source of data comes from scientific Autonomous Underwater Vehicle (AUV) surveys in 2014 and 2015 from three of these seamounts, in which scars from bottom contact gear are readily visible. These cover a smaller spatial area and depth range than the satellite data, but indicate the full footprint is not encompassed by the satellite data, suggesting either the fishing footprint is not fully captured by the AIS approach or that the footprint has shifted through time. AUV surveys also provide data on areas where abundant megafauna occur, which can provide candidate starting points for VME management efforts and further closures, similar to ones already in effect in the ES-NHR. The combination of satellite and AUV data provide a finer-scale fisheries footprint for this region that can aid in management of these sites.
Shallow tropical bays in the Caribbean, like Orient Bay and Galion Bay in Saint Martin, are often sheltered by coral reefs. In the relatively calm environment behind the reefs, seagrass meadows grow. Together, these ecosystems provide valuable ecosystem services like coastal protection, biodiversity hotspots, nursery grounds for animals and enhancing tourism and fisheries. However, sea-level rise imperils these ecosystems and the services they provide because of changing hydrodynamic conditions, with potential effects on the interdependencies between these ecosystems. By means of a hydrodynamic model that accounts for the interaction with vegetation (Delft3D Flexible Mesh), the impact of sea-level rise (0.87 m in 2100) is investigated for three scenarios of future reef development (i.e. keep-up, give-up and catch-up). If coral reefs cannot keep up with sea-level rise, the wave height and flow velocity increase significantly within associated bays, with the wave height doubling locally in case of eroding reefs in our model simulations. Since the presence of seagrass strongly depends on the hydrodynamic conditions, the response of seagrass to the future hydrodynamic conditions is projected using a habitat suitability model that is based on a logistic regression. The spatial character of the bays determines the response of seagrass. In Orient Bay, which is deeper and partly exposed to higher waves, the seagrass will likely migrate from the deeper parts to shallow areas that become suitable for seagrass because of the surf zone moving landward. In contrast, the conditions for seagrass worsen in Galion Bay for the catch-up and give-up scenario; due to the shallowness of this bay, the seagrass cannot escape to more suitable areas, resulting in significant seagrass loss. It is shown that healthy coastal ecosystems are able to limit the change in hydrodynamic conditions due to sea-level rise. Therefore, preserving these ecosystems is key for ensuring the resilience of shallow tropical bays to sea-level rise and maintaining their ecosystem services.
Marine litter is a significant and growing pollutant in the oceans. In recent years, the number of studies and initiatives trying to assess and tackle the global threat of marine litter has grown exponentially. Most of these studies, when considering macro-litter, focus on floating or stranded litter, whereas there is less information available about marine litter on the seabed. The aim of this article is to give an overview of the current state-of-the-art methods to address the issue of seafloor macro-litter pollution. The overview includes the following topics: the monitoring of macro-litter on the seafloor, the identification of possible litter accumulation hot spots on the seafloor through numerical models, and seafloor litter management approaches (from removal protocols to recycling processes). The article briefly analyzes the different approaches to involve stakeholders, since the marine litter topic is strongly related to the societal engagement. Finally, attempting to answer to all the critical aspects highlighted in the overview, the article highlights the need of innovative multi-level solutions to induce a change toward sustainable practices, transforming a problem into a real circular economy opportunity.
Biogenic reefs are known worldwide to play a key role in benthic ecosystems, enhancing biodiversity and ecosystem functioning at every level, from shallow to deeper waters. Unfortunately, several stressors threaten these vulnerable systems. The widespread presence of marine litter represents one of these. The harmful effects of marine litter on several organisms are known so far. However, only in the last decade, there was increasingly scientific and public attention on the impacts on reef organisms and habitats caused by litter accumulating on the seafloor. This review aims to synthesize literature and discuss the state of current knowledge on the interactions between marine litter and reef organisms in a strongly polluted basin, the Mediterranean Sea. The multiple impacts (e.g., entanglement, ghost-fishing, coverage, etc.) of litter on reef systems, the list of species impacted, and the main litter categories were identified, and a map of the knowledge available so far on this topic was provided. Seventy-eight taxa resulted impacted by marine litter on Mediterranean reefs, and the majority belonged to the phylum Cnidaria (41%), including endangered species like the red coral (Corallium rubrum) and the madrepora coral (Madrepora oculata). Entanglement, caused mainly by abandoned, lost, or otherwise discarded fishing gear (ALDFG), was the most frequent impact, playing a detrimental effect mainly on coralligenous arborescent species and cold-water corals (CWCs). The information was spatially heterogeneous, with some areas almost uncovered by scientific studies (e.g., the Aegean-Levantine Sea and the Southern Mediterranean Sea). Although many legal and policy frameworks have been established to tackle this issue [e.g., marine strategy framework directive (MSFD) and the Barcelona Convention], several gaps still exist concerning the assessment of the impact of marine litter on marine organisms, and in particular on reefs. There is a need for harmonized and standardized monitoring protocols for the collection of quantitative data to assess the impact of litter on reefs and animal forests. At the same time, urgent management measures limiting, for instance, the impact of ALDFG and other marine litter are needed to preserve these valuable and vulnerable marine ecosystems.
Environmental harm to deep-sea coral reefs on seamounts is widely attributed to bottom trawl fishing. Yet, accurate diagnoses of impacts truly caused by trawling are surprisingly rare. Similarly, comprehensive regional assessments of fishing damage rarely exist, impeding evaluations of, and improvements to, conservation measures. Here we report on trawling impacts to deep-sea scleractinian coral reefs in a regional (10–100s of km) fishery seascape off Tasmania (Australia). Our study was based on 148 km of towed camera transects (95 transects on 51 different seamounts with 284,660 separate video annotations and 4,674 “on-seamount” images analysed), and commercial trawling logbook data indexing fishing effort on and around seamounts. We detect trawling damage on 88% (45 of 51) of seamounts. Conversely, intact deep-sea coral reefs persist in refuge areas on about 39% (20 of 51) of the seamounts, and extend onto rocky seabed adjacent to seamounts. Depth significantly shapes the severity of trawl damage. The most profound impacts are evident on shallow seamounts (those peaking in < 950 m depths) where recent and repeated trawling reduced reefs built by scleractinian corals to rubble, forming extensive accumulations around seamount peaks and flanks. At intermediate depths (∼950–1,500 m), trawling damage is highly variable on individual seamounts, ranging from substantial impacts to no detection of coral loss. Deep seamounts (summit depth > 1,500 m) are beyond the typical operating depth of the trawl fishery and exceed the depth range of living deep-sea coral reefs in the region. Accurately diagnosing the nature and extent of direct trawling impacts on seamount scleractinian coral reefs must use stringent criteria to guard against false positive identifications of trawl impact stemming from either (1) misidentifying areas that naturally lacked deep-sea coral reef as areas where coral had been removed, or (2) attributing trawling as the cause of natural processes of reef degradation. The existence of sizeable deep-sea coral reef refuges in a complex mosaic of spatially variable fishing effort suggests that more nuanced approaches to conservation may be warranted than simply protecting untrawled areas, especially when the biological resources with conservation value are rare in a broader seascape context.
The fitness of a predator depends upon its ability to locate and capture prey; and thus, increasing dietary specialization should favor the evolution of species-specific foraging tactics tuned to taxon-specific habitats and cues. Within marine environments, prey detectability (e.g., via visual or chemical cues) is affected by environmental conditions (e.g., water clarity and tidal flow), such that specialist predators would be expected to synchronize their foraging activity with cyclic variation in such conditions. In the present study, we combined behavioral-ecology experiments on captive sea snakes and their prey (catfish) with acoustic tracking of free-ranging sea snakes, to explore the use of waterborne chemical cues in this predator-prey interaction. In coral-reef ecosystems of New Caledonia, the greater sea snake (Hydrophis major) feeds only upon striped eel catfish (Plotosus lineatus). Captive snakes became more active after exposure to waterborne chemical cues from catfish, whereas catfish did not avoid chemical cues from snakes. Movement patterns of tracked snakes showed that individuals were most active on a rapidly falling tide, which is the time when chemical cues from hidden catfish are likely to be most readily available to a foraging predator. By synchronizing foraging effort with the tidal cycle, greater sea snakes may be able to exploit the availability of chemical cues during a rapidly falling tide to maximize efficiency in locating and capturing prey.
Interest in understanding the extent of plastic and specifically microplastic pollution has increased on a global scale. However, we still know relatively little about how much plastic pollution has found its way into the deeper areas of the world’s oceans. The extent of microplastic pollution in deep-sea sediments remains poorly quantified, but this knowledge is imperative for predicting the distribution and potential impacts of global plastic pollution. To address this knowledge gap, we quantified microplastics in deep-sea sediments from the Great Australian Bight using an adapted density separation and dye fluorescence technique. We analyzed sediment cores from six locations (1–6 cores each, n = 16 total samples) ranging in depth from 1,655 to 3,062 m and offshore distances ranging from 288 to 356 km from the Australian coastline. Microplastic counts ranged from 0 to 13.6 fragments per g dry sediment (mean 1.26 ± 0.68; n = 51). We found substantially higher microplastic counts than recorded in other analyses of deep-sea sediments. Overall, the number of microplastic fragments in the sediment increased as surface plastic counts increased, and as the seafloor slope angle increased. However, microplastic counts were highly variable, with heterogeneity between sediment cores from the same location greater than the variation across sampling sites. Based on our empirical data, we conservatively estimate 14 million tonnes of microplastic reside on the ocean floor.