Ecophenotypy, temporal and spatial fidelity, functional morphology, and physiological trade-offs among intertidal bivalves

Paleobiology ◽  
2018 ◽  
Vol 44 (3) ◽  
pp. 530-545
Author(s):  
John Warren Huntley ◽  
James D. Schiffbauer ◽  
Teresa D. Avila ◽  
Jesse S. Broce

AbstractEcophenotypic variation in populations is driven by differences in environmental variables. In marine environments, ecophenotypic variation may be caused by differences in hydrodynamic conditions, substrate type, water depth, temperature, salinity, oxygen concentration, and habitat heterogeneity, among others. Instances of ecophenotypic variation in modern and fossil settings are common, but little is known about the influences of time averaging and spatial averaging on their preservation. Here we examine the shell morphology of two adjacent populations, both live collected and death assemblages, of the infaunal, suspension-feeding, intertidal bivalve Leukoma staminea from the well-studied Argyle Creek and Argyle Lagoon locations on San Juan Island, Washington. Individuals in the low-energy lagoon are free to burrow in the fine-grained substrate, while clams in the high-energy creek are precluded from burrowing in the rocky channel. Our results demonstrate variation in size and shape between the adjacent habitats. Lagoon clams are larger, more disk-shaped, and have relatively larger siphons than their creek counterparts, which are smaller, more spherical in shape, and have a relatively shallower pallial sinus. This ecophenotypy is preserved among death assemblages, although with generally greater variation due to time averaging and shell transport. Our interpretation is that ecophenotypic variation, in this case, is induced by differing hydrodynamic regimes and substrate types, cumulatively resulting in physiological trade-offs diverting resources from feeding and respiration to stability and shell strength, all of which have the potential to be preserved in the fossil record.

2020 ◽  
Vol 1 (1) ◽  
Author(s):  
Wolfgang Seibel

This article addresses the question of to what extent conventional theories of high reliability organizations and normal accidents theory are applicable to public bureaucracy. Empirical evidence suggests precisely this. Relevant cases are, for instance, collapsing buildings and bridges due to insufficient supervision of engineering by the relevant authorities, infants dying at the hands of their own parents due to misperceptions and neglect on the part of child protection agencies, uninterrupted serial killings due to a lack of coordination among police services, or improper planning and risk assessment in the preparation of mass events such as soccer games or street parades. The basic argument is that conceptualizing distinct and differentiated causal mechanisms is useful for developing more fine-grained variants of both normal accident theory and high reliability organization theory that take into account standard pathologies of public bureaucracies and inevitable trade-offs connected to their political embeddedness in democratic and rule-of-law-based systems to which belong the tensions between responsiveness and responsibility and between goal attainment and system maintenance. This, the article argues, makes it possible to identify distinct points of intervention at which permissive conditions with the potential to trigger risk-generating human action can be neutralized while the threshold that separates risk-generating human action from actual disaster can be raised to a level that makes disastrous outcomes less probable.


2018 ◽  
Author(s):  
Kristopher M. Kusnerik ◽  
◽  
Harley Means ◽  
Roger W. Portell ◽  
Michal Kowalewski

Universe ◽  
2021 ◽  
Vol 7 (11) ◽  
pp. 421
Author(s):  
Mathieu de Naurois

Thirty years after the discovery of the first very-high-energy γ-ray source by the Whipple telescope, the field experienced a revolution mainly driven by the third generation of imaging atmospheric Cherenkov telescopes (IACTs). The combined use of large mirrors and the invention of the imaging technique at the Whipple telescope, stereoscopic observations, developed by the HEGRA array and the fine-grained camera, pioneered by the CAT telescope, led to a jump by a factor of more than ten in sensitivity. The advent of advanced analysis techniques led to a vast improvement in background rejection, as well as in angular and energy resolutions. Recent instruments already have to deal with a very large amount of data (petabytes), containing a large number of sources often very extended (at least within the Galactic plane) and overlapping each other, and the situation will become even more dramatic with future instruments. The first large catalogues of sources have emerged during the last decade, which required numerous, dedicated observations and developments, but also made the first population studies possible. This paper is an attempt to summarize the evolution of the field towards the building up of the source catalogues, to describe the first population studies already made possible, and to give some perspectives in the context of the upcoming, new generation of instruments.


2017 ◽  
Author(s):  
Etienne P. LeBel ◽  
Derek Michael Berger ◽  
Lorne Campbell ◽  
Timothy Loving

Finkel, Eastwick, and Reis (2016; FER2016) argued the post-2011 methodological reform movement has focused narrowly on replicability, neglecting other essential goals of research. We agree multiple scientific goals are essential, but argue, however, a more fine-grained language, conceptualization, and approach to replication is needed to accomplish these goals. Replication is the general empirical mechanism for testing and falsifying theory. Sufficiently methodologically similar replications, also known as direct replications, test the basic existence of phenomena and ensure cumulative progress is possible a priori. In contrast, increasingly methodologically dissimilar replications, also known as conceptual replications, test the relevance of auxiliary hypotheses (e.g., manipulation and measurement issues, contextual factors) required to productively investigate validity and generalizability. Without prioritizing replicability, a field is not empirically falsifiable. We also disagree with FER2016’s position that “bigger samples are generally better, but … that very large samples could have the downside of commandeering resources that would have been better invested in other studies” (abstract). We identify problematic assumptions involved in FER2016’s modifications of our original research-economic model, and present an improved model that quantifies when (and whether) it is reasonable to worry that increasing statistical power will engender potential trade-offs. Sufficiently-powering studies (i.e., >80%) maximizes both research efficiency and confidence in the literature (research quality). Given we are in agreement with FER2016 on all key open science points, we are eager to start seeing the accelerated rate of cumulative knowledge development of social psychological phenomena such a sufficiently transparent, powered, and falsifiable approach will generate.


2021 ◽  
Author(s):  
Adam Tomašových ◽  
Susan M. Kidwell

<p>Differences in the taxonomic or functional composition of living and death assemblages is a key means of identifying the magnitude and drivers of past ecological changes in conservation paleobiology, especially when assessing the effects of anthropogenic impacts. However, such live-dead differences in species abundances can arise not only from ecological (stochastic or deterministic) changes in abundance over the duration of time averaging but also from interspecific differences in the postmortem durability of skeletal remains or from the lifespan of the individuals. Here, we attempt to directly incorporate the effects of durability on species abundances in death assemblages by modeling dead abundance as a function of species’ durability traits and using abundances in living assemblages as a prior. Species inferred to be negatively affected by anthropogenic impacts should be over-represented in death assemblages relative to their abundance in death assemblages predicted by the durability model (rather than just relative to their abundance in living assemblages). Using species-level durability trait data for bivalves (shell size, thickness, mineralogy, shell organic content, and life habit) from the southern California shelf, we find that, among these traits, valve thickness correlates consistently positively and at multiple spatial scales with the log of the dead:live ratio of species abundances, and accounts for ~20-30% of live-dead mismatch. Using this benchmark for the discordance that might be taphonomic in origin, we confirm that the over-representation of epifaunal suspension-feeders and siphonate deposit-feeders in death assemblages of the southern California shelf owes in fact to their ecological decline in recent centuries, even when accounting for their greater durability.</p>


1992 ◽  
Vol 6 ◽  
pp. 81-81
Author(s):  
David J. Davies ◽  
Molly F. Miller

Compared to their terrigenous counterparts, carbonate shell accumulations have until recently been relatively little studied to determine either descriptive or genetic classifications of shell bed types, the preservation potential of each type, or their relative ability to preserve community-level information. A partial classification of Paleozoic carbonate shell-rich soft sediment accumulations is proposed using sedimentation patterns in the Lebanon limestone of the Stones River Group. Paleoecological information preserved therein is then contrasted by shell bed type. The Lebanon represents typical Ordovician shallow to moderate subtidal carbonate shelf deposits in outcrops flanking the Nashville Dome and peritidal deposits in the Sequatchie Anticline of Eastern Tennessee; shell beds alternate with shell poor sediments (micrites, wackestones and diagenetically enhanced dolomites and clay-rich partings).None of the analyzed shell beds was strictly biological in origin; most are sedimentological although >10% are combined sedimentological/diagenetic. While the majority are single simple shell beds, >20% are amalgamated. All are thin (1 shell to 15 cm) stringers that pinch and swell showing poor lateral continuity (outcrop scale, tens to hundreds of meters) likely enhanced by burial dissolution. These shell beds differ greatly in fabric (packing/sorting), clast composition, taphonomic signature, and intensity of time averaging; thus community information retrieval is biased in predictable patterns. Virtually no shell beds show common shell dissolution or encrustation from long-term sediment surface exposure or hardground formation. Five major categories of accumulation are herein proposed using a DESCRIPTIVE, non-genetic terminology modified from previous works of DJD, as well as a Genetic interpretation for each. These are easily distinguished in the field and are also discriminated by Q-mode cluster analysis.Categories include, in decreasing frequency of occurrence: 1. SHELL GRAVELS; Storm/“event” beds: Sharp bases; poorly sorted coarse basal bioclasts and/or intraclasts, often with no preferred orientation; clasts fine upward to comminuted shell material and micrite. Horizontal platy brachiopods often cap the beds. High diversity and a wide range in shell alteration is represented, from whole unaltered brachiopods to minor abraded fragments, indicating extreme time averaging and poor resolution of short-term community dynamics. 2. COMMINUTED SHELLY LS; Current/ripple concentrations: Small tidal channel fill and discrete ripple trough accumulations are composed of cross-stratified bioclastic deposits with local concentrations of rip-ups. Beds are not graded; typically clasts are abraded, rounded and concordant with cross-beds. Intense time averaging and mixing of discrete communities is inferred due to continual reworking in these background deposits. 3. SHELL/CEMENT LS; Early cementation beds: Intense early diagenetic alteration is inferred due to red discoloration and rapid intergranular cementation; some beds show diagenetic micritic rinds. Beds may be brecciated and show deep burial stylolitization cutting bioclasts and cement. They may represent zones of preferred early cementation rather than a change in shell accumulation rate. Many shells from some beds show little postmortem alteration; these units may preserve much of the original community structure. 4. DENSE SHELL PAVEMENTS; Subtidal surficial pavements: Single layers of shells, commonly concave down, overlie mudstones/wackestones with no basal erosion. No obrution deposits were noted. Bioclasts are typically disarticulated and reoriented, but are not substantially abraded, broken, or dissolved. Diversity is low. Only minor temporal and lateral community mixing with small environmental fluctuation is indicated. 5. VERTICALLY IMBRICATE SHELLY LS; High energy beach zones: Platy whole and major fragments of brachiopods are deposited in low diversity, high angle imbricate beds. Less postmortem reworking and time averaging is evident compared to types 1 and 2.Thus, the most common (physically reworked) shell bed types show the most intense loss of short-term paleocommunity information. There are surprisingly few insitu community pavements or obligate long-term accumulations. This pattern differs from some described Ordovician carbonates, which may contain common community beds or hardgrounds/hiatal accumulations. This implies a relatively low rate of net sediment accumulation on a shallow, periodically wave swept shelf, and no major flooding surfaces or other indications of significant sea level change. Delineation of the sequence stratigraphic position of these carbonates is enhanced from this type of integrated community/biostratinomic analysis.


2020 ◽  
Vol 47 (7) ◽  
pp. 1494-1509
Author(s):  
Ashley M. Hamilton ◽  
Jason D. Selwyn ◽  
Rebecca M. Hamner ◽  
Hokuala K. Johnson ◽  
Tia Brown ◽  
...  
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2019 ◽  
Vol 45 (16) ◽  
pp. 19895-19901 ◽  
Author(s):  
Weigang Ma ◽  
Pengyuan Fan ◽  
David Salamon ◽  
Suwadee Kongparakul ◽  
Chanatip Samart ◽  
...  

2020 ◽  
pp. 146954052092624
Author(s):  
Murilo Carrazedo Costa Filho ◽  
Angela Cavalcanti Rocha

This study investigates how meanings ascribed to education influence lower-income parents on investing (or not) in their children’s education, and how this in turn influences family expenditures and consumption priorities. Based on 62 ethnographic interviews with individuals who had ascended from poverty to the lower fractions of the Brazilian urban middle-class, we examine differences within a relatively homogeneous fraction in terms of social status and income. Three distinct groups emerged: (1) parents who live in the favelas (slums) and see school as an agent to keep children away from deviant behaviours, (2) parents who live in the favelas and invest in education as an enabler of upwards social mobility, and (3) parents from less affluent suburbs who pay for private education to keep their children from interacting with bad influences outside the territory. Even in socially segregated territories, meanings were shaped less by parents’ amount and composition of cultural and economic capitals, and more by their own experiences with the educational system and access to positive role models (or lack thereof). It appears that the meanings attached to education end up defining family expenditures, family budget and important consumption trade-offs. In addition, our findings reveal a subtle, fine-grained mechanism of distinction based on school choice among the class fraction’s members. We draw on Wilson’s social isolation theory to show how parents of similar economic and cultural capital, and who were socialized in a similar cultural milieu, ascribe different meanings to education, and the resulting differences in household consumption patterns. We thus offer insights on the different reproduction mechanisms at play within an economically disadvantaged social fraction that had moved from poverty to the lower urban middle-class in Brazil.


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