Patterns of bryophyte diversity in humid coastal and inland cedar–hemlock forests of British Columbia

2003 ◽  
Vol 11 (S1) ◽  
pp. S159-S185 ◽  
Author(s):  
Steven G Newmaster ◽  
René J Belland ◽  
André Arsenault ◽  
Dale H Vitt

Mosses and hepatics (bryophytes) are the most diverse and abundant understorey vegetation within the Coastal Western Hemlock (CWH) and Interior Cedar–Hemlock (ICH) zones of British Columbia. This study intensively sampled bryophytes in 287 young- and old-growth stands in the CWH and ICH zones. Two major variables strongly influence the patterning of bryophyte diversity in these zones: stand age and habitat heterogeneity. Canonical correspondence analyses (CCA) identified these as the most important variables explaining stand–environment interactions. Alpha diversity is much greater in old-growth forests and beta diversity is high between young and old forests. Old-growth cedar–hemlock forests have between 60 (ICH) and 100% (CWH) more species than younger forests disturbed by wildfire in the ICH zones or logging in the CWH zones. Furthermore, a stand classification built on species composition partitioned species into stands of different ages and mesohabitat heterogeneity. Beta diversity was also partitioned between stands of different ages and habitat heterogeneity. This indicates that both young and old forests have a unique assemblage of species. Indicator analysis was used to choose a partial lists of species that are indicators of "old growthness". These old forests support a rich flora of hepatics and rare western North American endemics. High environmental continuity is associated with the most humid watersheds and cedar–hemlock forests within these watersheds have the highest bryophyte diversity. The establishment of rich communities of bryophytes in the moist cedar–hemlock forest has been occurring over the last 2000–7000 years, with the coastal rainforest much older than the inland rainforest. Large-scale disturbance, such as forestry, threatens the existence of these highly diverse communities. A better understanding of the patterning of bryophyte diversity will provide an opportunity to minimize the impact of forest operations on biodiversity. Bryophyte diversity in British Columbia cedar–hemlock forests will be sustained through ecosystem management of old-growth legacies (i.e., landscapes, stands, and their components) and preservation of areas of high diversity. Temporal and habitat variables are influential in the patterning of bryophyte diversity. Management plans that consider these variables will be better equipped to manage cedar–hemlock forests for maintaining biodiversity. Key words: biodiversity, bryophytes, cedar–hemlock, CWH, disturbance, ecosystem management, floristic habitat sampling, forest conservation, ICH, old growth, patterning of diversity, rare species, species richness.

2019 ◽  
Vol 6 (1) ◽  
Author(s):  
Jessica Leaver ◽  
Johann C. Carstens ◽  
Michael I. Cherry

Abstract Background Harvesting of forest products is a widespread driver of disturbance in developing nations, where policies are increasingly aimed at managing natural forests for sustainable use. There is thus need for research aimed at understanding the impact of resource use on forest habitats and concomitant effects on biodiversity. Afromontane forests in the Eastern Cape, South Africa are harvested informally for poles and medicinal bark and occur along elevational gradients of 800–1600 m above sea level. Patterns of spatial diversity and human disturbance are expected to be affected by elevation. Furthermore, species’ responses to disturbance are expected to vary depending on their level of habitat specialisation. Understanding harvest impacts on forest biodiversity thus requires disentangling the separate effects of elevation and disturbance, and considering forest-specialist and forest-generalist species separately. This study comprises two components. First, harvest activities, resultant harvest-mediated habitat heterogeneity, and avifaunal species richness, composition and beta-diversity were compared across two elevational zones in a harvested forest. Second, the role of harvest-mediated habitat heterogeneity in driving patterns of avifaunal diversity were assessed, while controlling for elevation, and considering forest-specialist and forest-generalist species separately. Results Harvest rates were higher, and activities more varied in the lower elevation zone, with significant impacts of harvesting on habitat features resulting in higher harvest-mediated habitat heterogeneity at lower elevations. Harvest-mediated increases in habitat heterogeneity positively affected forest-generalist species richness, while forest-specialist richness was negatively affected. While species composition of both groups differed across elevational zones, variation in harvest-mediated habitat heterogeneity did not fully account for this, suggesting that factors other than disturbance shape avifaunal communities along the elevation gradient. However, variation in harvest-mediated habitat heterogeneity accounted for the amount of beta-diversity attributed to species turnover in the forest-specialist assemblage, indicating that harvest disturbances affect the mechanisms driving beta-diversity of this group. Conclusion Spatial patterns of avifaunal diversity are affected by elevation over a 300-m gradient. Harvesting results in increased habitat heterogeneity, which variably affects avifaunal communities at the forest-scale, with positive effects for forest generalists and negative effects for forest-specialists.


Forests ◽  
2020 ◽  
Vol 11 (5) ◽  
pp. 578
Author(s):  
Jean-Claude Ruel

Research Highlights: Windthrow can interfere significantly with ecosystem management practices. In some cases, their goal could still be reached but this may prove more complex in other cases, like the partial cutting of old-growth stands. In situations where windthrow is common without any human intervention, the use of partial cutting to maintain some stand structures may lead to a feedback loop leading to additional windthrow. Background and Objectives: Forest ecosystem management using natural disturbances as a template has become the management paradigm in many regions. Most of the time, the focus is on fire regime and effects. However, windthrow can be common in some places or can interfere with practices implemented in an ecosystem management strategy. This paper looks at interactions between ecosystem management and windthrow. Materials and Methods: The paper builds on three case studies looking at various elements that could be part of ecosystem management strategies. The first one looks at the impact of green tree retention, while the second one looks at the impact of reducing the size and dispersing clearcuts, and the last one examines the impact of a range of cutting practices in irregular old-growth stands. Results: Green tree retention leads to increased windthrow, especially when applied within mature even-aged stands. Reducing the size of clearcuts and dispersing them over the landscape also involves substantial windthrow along edges. Partial cutting in old-growth stands can lead to relatively high mortality, but part of it is not necessarily related to wind since it occurs as standing dead trees. Differences in the amount of damage with tree size and species have been found and could be used to reduce wind damage. Conclusions: Approaches to minimize wind damage in ecosystem management can be designed using existing knowledge. However, using windthrow as a template to design management strategies would prove more complex.


BMJ Open ◽  
2021 ◽  
Vol 11 (5) ◽  
pp. e048744
Author(s):  
Andreea Bratu ◽  
Taylor McLinden ◽  
Katherine Kooij ◽  
Monica Ye ◽  
Jenny Li ◽  
...  

IntroductionPeople living with HIV (PLHIV) are increasingly at risk of age-related comorbidities such as diabetes mellitus (DM). While DM is associated with elevated mortality and morbidity, understanding of DM among PLHIV is limited. We assessed the incidence of DM among people living with and without HIV in British Columbia (BC), Canada, during 2001–2013.MethodsWe used longitudinal data from a population-based cohort study linking clinical data and administrative health data. We included PLHIV who were antiretroviral therapy (ART) naïve at baseline, and 1:5 age-sex-matched persons without HIV. All participants had ≥5 years of historic data pre-baseline and ≥1 year(s) of follow-up. DM was identified using the BC Ministry of Health’s definitions applied to hospitalisation, physician billing and drug dispensation datasets. Incident DM was identified using a 5-year run-in period. In addition to unadjusted incidence rates (IRs), we estimated adjusted incidence rate ratios (IRR) using Poisson regression and assessed annual trends in DM IRs per 1000 person years (PYs) between 2001 and 2013.ResultsA total of 129 PLHIV and 636 individuals without HIV developed DM over 17 529 PYs and 88,672 PYs, respectively. The unadjusted IRs of DM per 1000 PYs were 7.4 (95% CI 6.2 to 8.8) among PLHIV and 7.2 (95% CI 6.6 to 7.8) for individuals without HIV. After adjustment for confounding, HIV serostatus was not associated with DM incidence (adjusted IRR: 1.03, 95% CI 0.83 to 1.27). DM incidence did not increase over time among PLHIV (Kendall trend test: p=0.9369), but it increased among persons without HIV between 2001 and 2013 (p=0.0136).ConclusionsAfter adjustment, HIV serostatus was not associated with incidence of DM, between 2001 and 2013. Future studies should investigate the impact of ART on mitigating the potential risk of DM among PLHIV.


2019 ◽  
Vol 66 (4) ◽  
pp. 501-508 ◽  
Author(s):  
Katalin Waga ◽  
Piotr Tompalski ◽  
Nicholas C Coops ◽  
Joanne C White ◽  
Michael A Wulder ◽  
...  

Abstract Forest roads allow access for silvicultural operations, harvesting, recreational activities, wildlife management, and fire suppression. In British Columbia, Canada, roads that are no longer required must be deactivated (temporarily, semipermanently, or permanently) in order to minimize the impact on the overall forested ecosystem. However, the remoteness and size of the road network present challenges for monitoring. Our aim was to examine the utility of airborne laser scanning data to assess the status and quality of forest roads across 52,000 hectares of coastal forest in British Columbia. Within the forest estate, roads can be active or deactivated, or have an unknown status. We classified road segments based on the vegetation growth on the road surface, and edges, by classifying the height distribution of airborne laser scanning returns within each road segment into four groups: no vegetation, minor vegetation, dense understory vegetation, and dense overstory vegetation. Validation indicated that 73 percent of roads were classified correctly when compared to independent field observations. The majority were classified as active roads with no vegetation or deactivated with dense vegetation. The approach presented herein can aid forest managers in verifying the status of the roads in their management area, especially in remote areas where field assessments are costly and time-consuming.


2014 ◽  
Vol 1010-1012 ◽  
pp. 121-125
Author(s):  
Wen Bin Li ◽  
Zhi Ming Mo ◽  
Xing Ting Chen ◽  
Chun Huang ◽  
Ming Feng Xu

To examine the impact of habitat heterogeneity on the bird communities, we investigated the structural differences of various bird communities occurring in heterogeneous habitats in the subtropical hilly areas of southern China. We used indicator Species Analysis (ISA) to test the association of specific bird species to particular habitats. We performed Two-way Cluster Analysis to find species patterning in response to habitat fragmentation. Our results demonstrated that heterogeneous habitats promoted bird diversity and human activities affected bird behavior. Indicator Species Analysis demonstrated that similar habitats had similar bird communities, while different habitats supported various bird indicator species. Although habitat diversity increased bird diversity of a region, it was unfavorable for the maintenance of specialized birds in the forests of the subtropical hilly area.


2021 ◽  
Author(s):  
Kristen Kieta ◽  
Philip Owens ◽  
Ellen Petticrew

<p>The Nechako River Basin (NRB) in central British Columbia is a large (52,000 km<sup>2</sup>), regulated basin that supports populations of sockeye and chinook salmon and the endangered Nechako white sturgeon. These important species are experiencing population declines and one potential cause of this decline is excess sediment, which can clog their spawning habitat and reduce juvenile success. This excess sediment is likely the product of a combination of factors, the most visible being the significant land cover changes that have occurred in the basin, which includes pressure from forestry and agriculture, the Mountain Pine Beetle epidemic, and large-scale wildfires in 2018. Focusing specifically on the impact of the 2018 wildfires on sediment transport from upland burned areas to adjacent waterways, this research aimed to determine the spatial and temporal contamination of tributaries and the mainstem of the Nechako River with polycyclic aromatic hydrocarbons (PAHs), which are produced during the combustion of organic matter and have been identified as toxic to aquatic organisms and to humans. Additionally, this study intended to determine if burned areas were a more significant contributor of sediment than unburned areas and better understand the utility of PAHs as a potential tracer. Source soil samples were collected in 2018 and 2020 from burned and unburned sites, and suspended sediment samples were collected throughout the ice-free period from 2018-2020 in three tributaries and three mainstem sites. All samples were analysed for PAHs, magnetic susceptibility, colour, and particle size. Results from the fall 2018 source samples show a significant difference in PAH concentrations between unburned and burned soils, and while concentrations of PAHs in source soils in 2020 were lower than in 2018, they were still elevated compared to unburned soils. Sediment samples showed that concentrations of total PAHs are higher in the mainstem sites than in the tributaries, with the greatest concentrations consistently found at the most downstream site on the mainstem of the Nechako River. Concentrations across sites were highest in samples taken during the spring snowmelt period in 2019, have decreased throughout the rest of the sampling period (2019-2020), and are well below sediment quality guidelines for total PAHs. In addition to determining the spatial and temporal extent of PAH contamination, this study also aims to use PAHs along with colour and measurements of magnetic susceptibility to trace sediments associated with the 2018 wildfires. The high cost of PAH analysis limits the number of samples that can be analysed and thus, these additional tracers will allow for the use of models such as MixSIAR that improve with a more robust number of samples. As large-scale megafires continue to burn across the globe, understanding their potential to contribute PAHs to local waterbodies and potentially be used as a tracer is as prescient as ever.</p>


2015 ◽  
Vol 38 (9) ◽  
pp. 992-1015 ◽  
Author(s):  
Thomas Köllen

Purpose – The purpose of this paper is to explore the influence demographic factors have on the way lesbians and gay men manage their sexual orientation at work. Design/methodology/approach – Based on data taken from a cross-sectional survey of 1,308 gay and lesbian employees working in Germany, four regression models are proposed. The means of handling one’s homosexuality at work was measured by the 31 items containing Workplace Sexual Identity Management Measure from Anderson et al. (2001). Findings – Results indicate that being in a relationship is related to increased openness about one’s homosexuality at work. Furthermore, it appears that the older and the more religious lesbian and gay employees are, the more open (and therefore less hidden) about their sexuality they are. Having a migratory background is related to being more guarded about one’s sexual orientation, whereas personal mobility within the country is not related to the way one manages one’s sexual orientation at work. Lesbians tend to be a little more open and less guarded about their homosexuality compared to gay men. Research limitations/implications – The focus of this research (and the related limitations) offers several starting and connecting points for more intersectional research on workforce diversity and diversity management. Practical implications – The study’s findings indicate the need for an intersectional approach to organizational diversity management strategies. Exemplified by the dimension “sexual orientation”, it can be shown that the impact each dimension has for an employee’s everyday workplace experiences and behavior in terms of a certain manifestation of one dimension of diversity can only be understood in terms of its interplay with other dimensions of diversity. Originality/value – It is shown that manifestations of demographic factors that tend to broaden the individual’s coping resources for stigma-relevant stressors lead to more openness about one’s homosexuality in the workplace.


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