Diadromous fishes have drastically declined over the last century, especially in Europe. Several authors have highlighted the role of large dams in this decline, but in fact, its causes are potentially multiple and cumulative, including degradation of local environmental conditions and widespread fragmentation of hydrographic networks associated with the pervasive establishment of smaller barriers. Consequently, there is a need to improve the identification and prioritization of the drivers of diadromous species loss in order to identify and apply the most appropriate conservation and restoration measures. In this study, we used both historical sources (from mid-18th to early 20th century) and current data to quantify the long-term loss of diadromous taxa over 555 sites throughout the French river network. Then, we modeled the effects of several anthropogenic pressures (e.g. barriers, water quality, hydrological and river morphological alterations) on diadromous taxon loss. Lastly, we assessed the potential consequences of four different scenarios of anthropogenic pressure reduction. Due to uncertainties in historical sources, some species were grouped into taxa leading to a potential underestimation of actual species extinctions. Despite this limitation, our results showed that the decline in diadromous assemblages is widespread but with contrasting magnitudes depending on site locations. The maximum height and density of barriers appeared as the major factors of taxon loss. Over the scenarios tested, we observed that exclusively improving local conditions have much more limited effects than restoring river continuity. Focusing actions on large dam removal did not show the strongest responses compared to removing medium and small-sized barriers. For effective and sustainable restoration of diadromous fish assemblage, (1) historical occurrences of diadromous fishes should be used as an indicator for assessing recovery, and (2) undertaken measures must be adapted to each basin to target and limit the number of barriers to remove while allowing diadromous fish recovery.
An increasing number of studies have shown that anthropogenic noise can negatively affect aspects of the anti-predator behaviour of reef fishes, potentially affecting fitness and survival. However, it has been suggested that effects could differ among noise sources. The present study compared two common sources of anthropogenic noise and investigated its effects on behavioural traits critical for fish survival. In a tank-based experiment we examined the effects of noise from 4-stroke motorboats and ships (bulk carriers > 50,000 tonnes) on the routine swimming and escape response of a coral reef fish, the whitetail damselfish (Pomacentrus chrysurus). Both 4-stroke boat and ship noise playbacks affected the fast-start response and routine swimming of whitetail damselfish, however the magnitude of the effects differed. Fish exposed to ship noise moved shorter distances and responded more slowly (higher response latency) to the startle stimulus compared to individuals under the 4-stroke noise treatment. Our study suggests that 4-stroke and ship noise can affect activity and escape response of individuals to a simulated predation threat, potentially compromising their anti-predator behaviour.
The crisis facing the world’s oceans from plastics is well documented, yet there is little knowledge of the perspectives, experiences and options of the coastal communities facing overwhelming quantities of plastics on their beaches and in their fishing waters. In emerging economies such as those in the Coral Triangle, the communities affected are among the poorest of their countries. To understand the consequences of ocean plastic pollution in coastal regions, through the eyes of local people, this study examines the knowledge, use, disposal and local consequences of single use plastics in remote island communities in two archipelagos of southern Sulawesi, Indonesia. Using mixed methods—a survey of plastic literacy and behaviour, household interviews about purchasing and disposal, and focus group discussions to generate shared mental models—we identify a complex set of factors contributing to extensive plastic leakage into the marine environment. The rising standard of living has allowed people in low resource, remote communities to buy more single-use plastic items than they could before. Meanwhile complex geography and minimal collection services make waste management a difficult issue, and leave the communities themselves to shoulder the impacts of the ocean plastic crisis. Although plastic literacy is low, there is little the coastal communities can do unless presented with better choice architecture both on the supply side and in disposal options. Our results suggest that for such coastal communities improved waste disposal is urgent. Responsible supply chains and non-plastic alternatives are needed. Producers and manufacturers can no longer focus only on low-cost packaged products, without taking responsibility for the outcomes. Without access to biodegradable, environmentally friendly products, and a circular plastic system, coastal communities and surrounding marine ecosystems will continue to be inundated in plastic waste.
Monitoring compliance and enforcing laws are integral to ensuring the success of marine protected areas (MPAs), but traditional monitoring techniques are costly and resource demanding. Three SoundTrap 300 recorders were deployed for one month between 1 July and September 12, 2018 to collect acoustic data in two marine parks off southeastern Australia: one recorder in Cod Grounds Marine Park (CGMP) and two in the Solitary Islands Marine Park National Park Zone (SIMP NPZ). Extractive activities such as fishing are not permitted in these zones. Raven Pro 2.0 was used to analyze data for vessel presence. Transmission loss equations for each site were generated using patrol boat GPS tracks and used to predict if acoustically recorded vessels were inside park boundaries based on received sound levels. In CGMP, 41 vessels were predicted within the park during the recording period; 34 vessels were predicted within the SIMP NPZ. Thursdays and Saturdays were identified as peak days for vessel presence in CGMP while Thursdays were the peak day in the SIMP NPZ. Most vessel activity at both locations took place between 06:00 and 17:00 AEST. Peak vessel presence in CGMP occurred at 09:00 AEST while the peak vessel presence in the SIMP NPZ occurred at 16:00 AEST. Approximately 12.7 h of vessel sounds were recorded within CGMP; approximately 3.8 h of vessel noise were recorded within the SIMP NPZ. Passive acoustic monitoring of vessel patterns in Australian Marine Parks has provided valuable insight to redirect compliance decisions on how to focus surveillance efforts.
Waterborne pathogens and their associated diseases are major threats to public health, and surveillance of pathogens and identification of the sources of pollution are imperative for preventing infections. However, simultaneously quantitative detection of multiple pathogens and pollution sources in water environments is the major challenge. In this study, we developed and validated a highly sensitive (mostly >80%) and highly specific (>99%) high-throughput quantitative PCR (HT-qPCR) approach, which could simultaneously quantify 68 marker genes of 33 human pathogens and 23 fecal markers of 10 hosts. The HT-qPCR approach was then successfully used to investigate pathogens and fecal pollution in marine recreational water samples of Xiamen, China. Totally, seven pathogenic marker genes were found in 13 beach bathing waters, which targeted Acanthamoeba spp., Clostridium perfringens, enteropathogenic Escherichia coli, Klebsiella pneumoniae, Vibrio cholera/V. parahaemolyticus and Legionella spp.. Fecal markers from human and dog were the most frequently detected, indicating human and dog feces were the main contamination in the recreational waters. Nanopore sequencing of full-length 16S rRNA gene revealed that 28 potential human pathogens were detected and electrical conductivity, salinity, oxidation-reduction potential and dissolved oxygen were significantly correlated with the variation in bacterial community. Our results demonstrated that HT-qPCR approach had the potential rapid quantification of microbial contamination, providing useful data for assessment of microbial pathogen associated health risk and development of management practices to protect human health.
Plastic debris has been identified as a potential threat to Antarctic marine ecosystems, however, the impact of nanoplastics (<1 μm) is currently unexplored. Antarctic krill (Euphausia superba) is a keystone species of Southern Ocean pelagic ecosystems, which plays a central role in the Antarctic food webs and carbon (C) cycle. Krill has been shown to rapidly fragment microplastic beads through the digestive system, releasing nanoplastics with unknown toxicological effects. Here we exposed krill juveniles to carboxylic (COOH, anionic) and amino- (NH2, cationic) polystyrene nanoparticles (PS NPs) and we investigated lethal and sub-lethal endpoints after 48 h. The analysis of PS NP suspensions in Antarctic sea water (SW) media showed that PS-COOH formed large agglomerates (1043 ± 121 nm), while PS-NH2 kept their nominal size (56.8 ± 3 nm) during the exposure time. After 48 h, no mortality was found but increase in exuviae production (12.6 ± 1.3%) and reduced swimming activity were observed in juveniles exposed to PS-NH2. The microbial community composition in SW supports the release of krill moults upon PS NP exposure and stimulates further research on the pivotal role of krill in shaping Southern Ocean bacterial assemblages. The presence of fluorescent signal in krill faecal pellets (FPs) confirmed the waterborne ingestion and egestion of PS-COOH at 48 h of exposure. Changes in FP structure and properties were also associated to the incorporation of PS NPs regardless of their surface charge. The effects of PS NPs on krill FP properties were compared to Control 0 h as a reference for full FPs (plastic vs food) and Control 48 h as a reference for more empty-like FPs (plastic vs lack of food). Exposure to PS NPs led to a FP sinking rate comparable to Control 48 h, but significantly lower than Control 0 h (58.40 ± 23.60 m/d and 51.23 ± 28.60 m/d for PS-COOH and PS-NH2; 168.80 ± 74.58 m/d for Control 0 h). Considering the important role played by krill in the food web and C export in the Southern Ocean, the present study provides cues about the potential impact of nanoplastics on Antarctic pelagic ecosystems and their biogeochemical cycles.
The human footprint on earth is now so great that we must become environmental stewards. To encourage stewardship and achieve better conservation outcomes, research is needed to connect practice with sound theory, and to empirically measure stewardship so we can identify its predictors and motivators.
In this study, we use mixed methods to develop a new quantitative indicator for local environmental stewardship in a coastal context. We interviewed 111 people in eastern Australia about their knowledge and use of the coast and extracted information on seven generalised stewardship actions. We combined these into a single indicator which allowed us to evaluate and compare stewardship levels between participants and develop quantitative models.
We found that stewardship was predicted by four traits: attraction to marine wildlife, self-identifying as local, size of local social network, and norms regarding informal enforcement. High-stewardship individuals exhibited eco-centric and anthropocentric worldviews and were motivated by a combination of intrinsic and extrinsic factors. We combined these with stewardship actions in a refined model which highlights the importance of people, policy and place in environmental stewardship.
We believe this is the first study to quantify stewardship behaviour and its motivating factors in a broad social-ecological context spanning both terrestrial and marine realms. Our research allows stewardship to be measured, modelled and analysed via a transferable indicator. This enables a deeper understanding of local environmental stewardship and the factors that predict and motivate it and allows us to propose practical strategies to engage people to improve stewardship and conservation outcomes.
The present study quantifies the magnitude of Arctic sea-ice loss in the boreal summer (July–September), especially in September at different timescales (daily, monthly, annual and decadal). The investigation on the accelerated decline in the Arctic sea-ice was performed using different datasets of passive microwave satellite imagery and model reanalysis. Arctic sea-ice declined rapidly in the boreal summer (-10.2 ± 0.8 %decade−1) during 1979–2018, while, the highest decline in sea-ice extent (SIE) (i.e., 82,300 km2 yr−1/-12.8 ± 1.1 %decade−1) is reported in the month of September. Since late 1979, the SIE recorded the sixth-lowest decline during September 2018 (4.71 million km2). Incidentally, the records of twelve lowest extents in the satellite era occurred in the last twelve years. The loss of SIE and sea-ice concentration (SIC) are attributed to the impacts of land-ocean warming and the northward heat advection into the Arctic Ocean. This has resulted in considerable thinning of sea-ice thickness (SIT) and reduction in the multiyear ice (MYI) for summer 2018. Global and Arctic land-ocean temperatures have increased by ~0.78 °C and ~3.1 °C, respectively, over the past 40 years (1979–2018) while substantial warming rates have been identified in the Arctic Ocean (~3.5 °C in the last 40-year) relative to the Arctic land (~2.8 °C in the last 40-year). The prevailing ocean-atmospheric warming in the Arctic, the SIE, SIC and SIT have reduced, resulting in the decline of the sea-ice volume (SIV) at the rate of -3.0 ± 0.2 (1000 km3 decade−1). Further, it observed that the SIV in September 2018 was three times lower than September 1979. The present study demonstrates the linkages of sea-ice dynamics to ice drifting and accelerated melting due to persistent low pressure, high air-ocean temperatures, supplemented by the coupled ocean-atmospheric forcing.
When states legalised the maritime domain in the 20th century, the relationship between states and maritime space changed. Since the turn of the millennium, certain global trends have further amplified the role of the oceans in international affairs. This has led to a renewed focus on maritime space, as well as states' rights and responsibilities within this domain, delineated through the concept of a ‘boundary’ at sea. What, in essence, is a maritime boundary? Why do states end up disputing them? Perhaps more important, how do states go about settling such disputes, and how can we better understand the development of the legal and political principles that frame such endeavours? These are the questions examined in this article, which sets out to examine the concept of maritime boundaries and related disputes. Leaning on political science, international law and political geography, it reviews how the idea of a maritime boundary came about; what principles govern how they are drawn; how they at times are resolved; and possible future trends that might impact boundary-making at sea.
Fishers, and the communities they support face a range of challenges brought on by complexity and uncertainty in their social-ecological systems (SESs). This undermines their ability to achieve sustainability whilst hampering proactive planning and decision-making. To capacitate fishers to apply risk aversion strategies at smaller scales of operation and for managers to apply inclusive management approaches such as the ecosystem approach to fisheries management (EAF), a better understanding of the relationships and interactions in marine SESs must be developed. At the same time, the EAF requires the inclusion of multiple stakeholders, disciplines and objectives into decision-making processes. Previous work in the southern Cape with fishers, identified drivers of change. Building on this previous research, and using causal mapping, fishers mapped out drivers of change in an iterative process in a problem framing exercise which also highlighted hidden drivers of change and feedback loops. To explore the relative importance of key drivers of change with participants, weighted hierarchies as well as a Bayesian Belief Network (BBN) were developed. By identifying and highlighting these hidden system interactions a more integrated systems view has been facilitated, adding to the understanding of this fishery system. Drivers identified in the weighted hierarchy were consistent with those identified in the causal maps and previous research, of interest is the relative weighting attributed to these drivers. Whereas the weighted hierarchies emphasised the political dimensions, group work already indicated the range of perceptions, reflecting the considerable uncertainties in this SES. While methodologically challenging at first, the individual approach behind the BBN construction yielded a better reflection of the diversity of views and a better balance of political, economic and climate dimensions of drivers of change. We show how, by using SDMTs, the most disenfranchised community members can engage meaningfully in a structured process. As structure is crucial to management processes, the research shows that where the appropriate groundwork, capacity building and resourcing takes place, disenfranchised stakeholders can be integrated into formal management processes; fulfilling a key requirement of an EAF.
The decline in numbers of reef manta rays (Mobula alfredi) throughout their range has highlighted the need for improved information on their spatial ecology in order to design effective conservation strategies for vulnerable populations. To understand their patterns of movement in Seychelles, we used three techniques—archival pop-up satellite tags, acoustic tags, and photo-identification—and focussed on the aggregation at D’Arros Island and St. Joseph Atoll within the Amirantes Group. M. alfredi were photographed within six of the seven Island Groups of Seychelles, with 64% of individuals being resighted at least once between July 2006 and December 2019 over timeframes of 1–3,462 days (9.5 years; median = 1,018 days). Only three individuals from D’Arros Island were resighted at a second aggregation site located more than 200 km away at St. François Atoll during photo-identification surveys. Satellite-tracked M. alfredi (n = 5 tracks; maximum 180 days) remained within the boundary of the Seychelles Exclusive Economic Zone, where they spent the majority of their time (87%) in the upper 50 m of the water column in close proximity to the Amirantes Bank. The inclusion of acoustic tagging data in the models of estimated satellite-track paths significantly reduced the errors associated with the geolocation positions derived from archived light level data. The insights gained into the patterns of horizontal and vertical movements of M. alfredi using this multi-technique approach highlight the significance of D’Arros Island and St. Joseph Atoll, and the wider Amirantes Group, to M. alfredi in Seychelles, and will benefit future conservation efforts for this species within Seychelles and the broader Western Indian Ocean.
The ingestion of plastic debris has been studied in many marine fish species, although comparisons between species can be difficult due to factors thought to influence ingestion rates, such as habitat preference, feeding behaviours and trophic level. Sardines are found internationally in many coastal environments and represent a potential sentinel species for monitoring and comparing marine plastic exposure rates. We conducted a pilot study, examining the rate of plastic ingestion in 27 commercially caught sardines (Sardinops sagax) from a low populated coastal region of Western Australia. A total of 251 potentially anthropogenic particles were extracted by chemical digestion of the gastrointestinal tract and classified visually. Fibres were the dominant type of material recovered (82.9%), with both yellow (39.8%) and black (32.7%) coloured particles commonly observed. A subset of 64 particles (25.5%), were subject to Fourier transform infrared (FTIR) spectroscopy to identify polymer composition. This chemical characterisation identified seven plastic items (polypropylene, nylon and polyethylene) and a variety of cellulose-based material that was further examined and classified as natural or semi-synthetic. The mean plastic ingestion rate was 0.3 ± 0.4 particles per fish, suggesting Western Australian sardines ingest relatively low concentrations of plastic when compared to international sardine populations examined using similar methodologies. Despite comparatively low concentrations, plastic and semi-synthetic material are still being ingested by sardines from a low populated coastal region demonstrating the ubiquitous nature of the marine debris problem.
Data from coastal tide gauges, oceanographic moorings, and a numerical model show that Arctic storm surges force continental shelf waves (CSWs) that dynamically link the circumpolar Arctic continental shelf system. These trains of barotropic disturbances result from coastal convergences driven by cross-shelf Ekman transport. Observed propagation speeds of 600−3000 km day–1, periods of 2−6 days, wavelengths of 2000−7000 km, and elevation maxima near the coast but velocity maxima near the upper slope are all consistent with theoretical CSW characteristics. Other, more isolated events are tied to local responses to propagating storm systems. Energy and phase propagation is from west to east: ocean elevation anomalies in the Laptev Sea follow Kara Sea anomalies by one day and precede Chukchi and Beaufort Sea anomalies by 4−6 days. Some leakage and dissipation occurs. About half of the eastward-propagating energy in the Kara Sea passes Severnaya Zemlya into the Laptev Sea. About half of the eastward-propagating energy from the East Siberian Sea passes southward through Bering Strait, while one quarter is dissipated locally in the Chukchi Sea and another quarter passes eastward into the Beaufort Sea. Likewise, CSW generation in the Bering Sea can trigger elevation and current speed anomalies downstream in the Northeast Chukchi Sea of 25 cm and 20 cm s–1, respectively. Although each event is ephemeral, the large number of CSWs generated annually suggest that they represent a non-negligible source of time-averaged energy transport and bottom stress-induced dissipative mixing, particularly near the outer shelf and upper slope. Coastal water level and landfast ice breakout event forecasts should include CSW effects and associated lag times from distant upstream winds.
The composition, spatial structure, diversity and abundance of Antarctic nematode and copepod meiobenthic communities was examined in shallow (5–25 m) marine coastal sediments at Casey Station, East Antarctica. The sampling design incorporated spatial scales ranging from 10 meters to kilometers and included testing for human impacts by comparing polluted (metal and hydrocarbon contaminated sediments adjacent to old waste disposal sites) and control areas. A total of 38 nematode genera and 20 copepod families were recorded with nematodes being dominant, comprising up to 95% of the total abundance. Variation was greatest at the largest scale (km’s) but each location had distinct assemblages. At smaller scales there were different patterns of variation for nematodes and copepods. There were significant differences between communities at control and impacted locations. Community patterns had strong correlations with concentrations of metals introduced by human activity in sediments as well as sediment grain size and total organic content. Given the strong association with environmental patterns, particularly those associated with human impacts, we provide further evidence that meiofauna are very useful indicators of anthropogenic environmental changes in Antarctica.
Ocean acidification (OA) is projected to have profound impacts on marine ecosystems and resources, especially in estuarine habitats. Here, we describe biological risks under current levels of exposure to anthropogenic OA in the Salish Sea, an estuarine system that already experiences inherently low pH and aragonite saturation state (Ωar) conditions. We used the Pacific Northwest National Laboratory and Washington State Department of Ecology Salish Sea biogeochemical model (SSM) informed by a selection of OA-related biological thresholds of ecologically and economically important calcifiers, pteropods, and Dungeness crabs. The SSM was implemented to assess current exposure and associated risk due to reduced Ωar and pH conditions with respect to the magnitude, duration, and severity of exposure below the biological thresholds in the Salish Sea in comparison to the pre-industrial era. We further investigated the individual effects of atmospheric CO2 uptake and nutrient-driven eutrophication on changes in chemical exposure since pre-industrial times. Our model predicts average decreases in Ωar and pH since pre-industrial times of about 0.11 and 0.06, respectively, in the top 100 m of the water column of the Salish Sea. These decreases predispose pelagic calcifiers to increased duration, intensity, and severity of exposure. For pteropods, present-day exposure is below the thresholds related to sublethal effects across the entire Salish Sea basin, while mortality threshold exposure occurs on a spatially limited basis. The greatest risk for larval Dungeness crabs is associated with spatially limited exposures to low calcite saturation state in the South Sound in the springtime, triggering an increase in internal dissolution. The main anthropogenic driver behind the predicted impacts is atmospheric CO2 uptake, while nutrient-driven eutrophication plays only a marginal role over spatially and temporally limited scales. Reduction of CO2 emissions can help sustain biological species vital for ecosystem functions and society.
Active restoration is becoming an increasingly important conservation intervention to counteract the degradation of marine coastal ecosystems. Understanding what has motivated the scientific community to research the restoration of marine coastal ecosystems and how restoration research projects are funded is essential if we want to scale-up restoration interventions to meaningful extents. Here, we systematically review and synthesize data to understand the motivations for research on the restoration of coral reefs, seagrass, mangroves, saltmarsh, and oyster reefs. We base this analysis off a published database of marine restoration studies, originally designed to estimate the cost and feasibility of marine coastal restoration, derived from mostly scientific studies published in peer-reviewed and some gray literature. For the present study, the database was updated with fields aimed at assessing the motivations, outcomes, and funding sources for each project. We classify restoration motivations into five categories: biotic, experimental, idealistic, legislative, and pragmatic. Moreover, we evaluate the variables measured and outcomes reported by the researchers and evaluate whether projects adhered to the Society for Ecological Restoration's (SER) standards for the practice of ecological restoration. The most common motivation of the scientific community to study restoration in marine coastal ecosystems was experimental i.e., to seek experimental data to answer ecological research questions or improve restoration approach, as expected since mostly peer-reviewed literature was evaluated here. There were differences in motivations among the five coastal ecosystems. For instance, biodiversity enhancement was the most common case for a biotic motivation in mangrove restoration projects. The most common metrics evaluated were growth/productivity, survivorship, habitat function, physical attributes, and reproduction. For most ecosystems, ecological outcomes were frequently reported, with socio-economic implications of the restoration rarely mentioned, except for mangroves. Projects were largely funded by governmental grants with some investment from private donations, non-governmental organizations, and the involvement of volunteers. Our findings and database provide critical data to align future research of the scientific community with the real social, economic and policy needs required to scale-up marine coastal restoration projects.
Kelp forests are highly productive foundation species along much of the world’s coastline. As a result, kelp are crucial to the ecological, social, and economic well-being of coastal communities. Yet, due to a combination of acute and chronic stressors, kelp forests are under threat and have declined in many locations worldwide. Active restoration of kelp ecosystems is an emerging field that aims to reverse these declines by mitigating negative stressors and then, if needed, introducing biotic material into the environment. To date, few restoration efforts have incorporated positive species interactions. This gap presents a potential shortcoming for the field as evidence from other marine ecosystems illustrates that the inclusion of positive species interactions can enhance restoration success. Additionally, as the climate continues to warm, this approach will be particularly pertinent as positive interactions can also expand the range of physical conditions under which species can persist. Here, we highlight how practitioners can use positive density dependence within and amongst kelp species to increase the chances of restoration success. At higher trophic levels, we emphasize how co-restoring predators can prime ecosystems for restoration. We also investigate how emerging technologies in genetic and microbial selection and manipulation can increase the tolerance of target species to warming and other stressors. Finally, we provide examples of how we can use existing anthropogenic activities to facilitate restoration while performing alternative purposes. As kelp forests continue to decline and the field of kelp restoration continues to develop, it is also important that we monitor these potential advancements and ensure they do not have unintended ecosystem effects, particularly with untested techniques such as genetic and microbial manipulations. Nevertheless, incorporating positive species interactions into future restoration practice stands to promote a more holistic form of restoration that also increases the likelihood of success in a shifting seascape.
Structure-from-Motion (SfM) photogrammetry can be used with digital underwater photographs to generate high-resolution bathymetry and orthomosaics with millimeter-to-centimeter scale resolution at relatively low cost. Although these products are useful for assessing species diversity and health, they have additional utility for quantifying benthic community structure, such as coral growth and fine-scale elevation change over time, if accurate length scales and georeferencing are included. This georeferencing is commonly provided with “ground control,” such as pre-installed seafloor benchmarks or identifiable “static” features, which can be difficult and time consuming to install, survey, and maintain. To address these challenges, we developed the SfM Quantitative Underwater Imaging Device with Five Cameras (SQUID-5), a towed surface vehicle with an onboard survey-grade Global Navigation Satellite System (GNSS) and five rigidly mounted downward-looking cameras with overlapping views of the seafloor. The cameras are tightly synchronized with both the GNSS and each other to collect quintet photo sets and record the precise location of every collection event. The system was field tested in July 2019 in the U.S. Florida Keys, in water depths ranging from 3 to 9 m over a variety of bottom types. Surveying accuracy was assessed using pre-installed stations with known coordinates, machined scale bars, and two independent surveys of a site to evaluate repeatability. Under a range of sea conditions, ambient lighting, and water clarity, we were able to map living and senile coral reef habitats and sand waves at mm-scale resolution. Data were processed using best practice SfM techniques without ground control and local measurement errors of horizontal and vertical scales were consistently sub-millimeter, equivalent to 0.013% RMSE relative to water depth. Survey-to-survey repeatability RMSE was on the order of 3 cm without georeferencing but could be improved to several millimeters with the incorporation of one or more non-surveyed marker points. We demonstrate that the SQUID-5 platform can map complex coral reef and other seafloor habitats and measure mm-to-cm scale changes in the morphology and location of seafloor features over time without pre-existing ground control.
The Northeast Canyons and Seamounts Marine National Monument (NECSMNM) was designated by President Barack Obama in 2016, using his authority under the Antiquities Act of 1906. The Act allows a President to proclaim as national monuments “historic landmarks, historic and prehistoric structures, and other objects of historic or scientific interest” that are “upon the lands owned or controlled” by the United States but to reserve each designation to “the smallest area compatible with the proper care and management of the objects to be protected.” Protection in general excludes commercial scale extraction and is in perpetuity. Here we present analyses of physiographic and ecological datasets that facilitated assessment of the conservation benefits of protections for a new monument. We also review and synthesize the ecological literature to describe processes that operate in continental margin and deep-sea settings, in order to demonstrate the monument area is bounded for proper management and is an object of scientific interest. Results indicate that the current monument designation is an area of high diversity and ecological connectivity across depths and along the continental margin. The monument boundaries contain hot spots (areas of high abundance and species richness) for seafloor communities (inclusive of benthic invertebrate and demersal fish) as well as marine mammals in the epipelagic. Many species are sensitive to disturbance and vulnerable to human activities (e.g., deep-sea corals and sponges) with very long recovery times and extremely low resilience. The monument contains at least nine exemplars of offshore northwest Atlantic marine wildlife communities and habitats (e.g., deep shelf invertebrates, shelf fish, deep sea corals and sponges in canyons and on seamounts, deep sea fish, chemosynthetic communities, deep sea soft sediment, shelf edge cetaceans, and seabirds). The region is relatively undisturbed and can serve as a reference site to focus future research on ecological processes in an increasingly industrialized ocean and one subject to the synergies of regional climate effects. These results suggest that there is great potential for discovery and novel research in this first Atlantic Ocean Marine National Monument.
In the Gulf of Mexico, especially along the southwest Florida coast, blooms of the dinoflagellate Karenia brevis are a coastal natural hazard. The organism produces a potent class of toxins, known as brevetoxins, which are released following cell lysis into ocean or estuarine waters or, upon aerosolization, into the atmosphere. When exposed to sufficient levels of brevetoxins, humans may suffer from respiratory, gastrointestinal, or neurological illnesses. The hazard has been exacerbated by the geometric growth of human populations, including both residents and tourists, along Florida’s southwest coast. Impacts to marine organisms or ecosystems also may occur, such as fish kills or deaths of protected mammals, turtles, or birds. Since the occurrence of a severe Karenia brevis bloom off the southwest Florida coast three-quarters of a century ago, there has been an ongoing debate about the best way for humans to mitigate the impacts of this hazard. Because of the importance of tourism to coastal Florida, there are incentives for businesses and governments alike to obfuscate descriptions of these blooms, leading to the social amplification of risk. We argue that policies to improve the public’s ability to understand the physical attributes of blooms, specifically risk communication policies, are to be preferred over physical, chemical, or biological controls. In particular, we argue that responses to this type of hazard must emphasize maintaining the continuity of programs of scientific research, environmental monitoring, public education, and notification. We propose a common-sense approach to risk communication, comprising a simplification of the public provision of existing sources of information to be made available on a mobile website.