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Solar energy development impacts on land cover change and protected areas
Decisions determining the use of land for energy are of exigent concern as land scarcity, the need for ecosystem services, and demands for energy generation have concomitantly increased globally. Utility-scale solar energy (USSE) [i.e., ≥1 megawatt (MW)] development requires large quantities of space and land; however, studies quantifying the effect of USSE on land cover change and protected areas are limited. We assessed siting impacts of >160 USSE installations by technology type [photovoltaic (PV) vs. concentrating solar power (CSP)], area (in square kilometers), and capacity (in MW) within the global solar hot spot of the state of California (United States). Additionally, we used the Carnegie Energy and Environmental Compatibility model, a multiple criteria model, to quantify each installation according to environmental and technical compatibility. Last, we evaluated installations according to their proximity to protected areas, including inventoried roadless areas, endangered and threatened species habitat, and federally protected areas. We found the plurality of USSE (6,995 MW) in California is sited in shrublands and scrublands, comprising 375 km2 of land cover change. Twenty-eight percent of USSE installations are located in croplands and pastures, comprising 155 km2 of change. Less than 15% of USSE installations are sited in “Compatible” areas. The majority of “Incompatible” USSE power plants are sited far from existing transmission infrastructure, and all USSE installations average at most 7 and 5 km from protected areas, for PV and CSP, respectively. Where energy, food, and conservation goals intersect, environmental compatibility can be achieved when resource opportunities, constraints, and trade-offs are integrated into siting decisions.
Downstream Warming and Headwater Acidity May Diminish Coldwater Habitat in Southern Appalachian Mountain Streams
Stream-dwelling species in the U.S. southern Appalachian Mountains region are particularly vulnerable to climate change and acidification. The objectives of this study were to quantify the spatial extent of contemporary suitable habitat for acid- and thermally sensitive aquatic species and to forecast future habitat loss resulting from expected temperature increases on national forest lands in the southern Appalachian Mountain region. The goal of this study was to help watershed managers identify and assess stream reaches that are potentially vulnerable to warming, acidification, or both. To our knowledge, these results represent the first regional assessment of aquatic habitat suitability with respect to the combined effects of stream water temperature and acid-base status in the United States. Statistical models were developed to predict July mean daily maximum water temperatures and air-water tem- perature relations to determine potential changes in future stream water temperatures. The length of stream considered suitable habitat for acid- and thermally sensitive species, based on temperature and acid neutralizing capacity thresholds of 20°C and 50 μeq/L, was variable throughout the national forests considered. Stream length displaying temperature above 20°C was generally more than five times greater than the length predicted to have acid neutralizing capacity below 50 μeq/L. It was uncommon for these two stressors to occur within the same stream segment. Results suggested that species’ distributional shifts to colder, higher elevation habitats under a warming climate can be constrained by acidification of headwater streams. The approach used in this study can be applied to evaluate climate change impacts to stream water resources in other regions.
Accounting for groundwater in stream fish thermal habitat responses to climate change
Forecasting climate change effects on aquatic fauna and their habitat requires an understanding of how water temperature responds to changing air temperature (i.e., thermal sensitivity). Previous efforts to forecast climate effects on brook trout (Salvelinus fontinalis) habitat have generally assumed uniform air–water temperature relationships over large areas that cannot account for groundwater inputs and other processes that operate at finer spatial scales. We developed regression models that accounted for groundwater influences on thermal sensitivity from measured air–water temperature relationships within forested watersheds in eastern North America (Shenandoah National Park, Virginia, USA, 78 sites in nine watersheds). We used these reach-scale models to forecast climate change effects on stream temperature and brook trout thermal habitat, and compared our results to previous forecasts based upon large-scale models. Observed stream temperatures were generally less sensitive to air temperature than previously assumed, and we attribute this to the moderating effect of shallow groundwater inputs. Predicted groundwater temperatures from air–water regression models corresponded well to observed groundwater temperatures elsewhere in the study area. Predictions of brook trout future habitat loss derived from our fine-grained models were far less pessimistic than those from prior models developed at coarser spatial resolutions. However, our models also revealed spatial variation in thermal sensitivity within and among catchments resulting in a patchy distribution of thermally suitable habitat. Habitat fragmentation due to thermal barriers therefore may have an increasingly important role for trout population viability in headwater streams. Our results demonstrate that simple adjustments to air–water temperature regression models can provide a powerful and cost-effective approach
Tree mortality from drought, insects, and their interactions in a changing climate
Climate change is expected to drive increased tree mortality through drought, heat stress, and insect attacks, with manifold impacts on forest ecosystems. Yet, climate-induced tree mortality and biotic disturbance agents are largely absent from process-based ecosystem models. Using data sets from the western USA and associated studies, we present a framework for determining the relative contribution of drought stress, insect attack, and their interactions, which is critical for modeling mortality in future climates. We outline a simple approach that identifies the mechanisms associated with two guilds of insects – bark beetles and defoliators – which are responsible for substantial tree mortality. We then discuss cross-biome patterns of insect-driven tree mortality and draw upon available evidence contrasting the prevalence of insect outbreaks in temperate and tropical regions. We conclude with an overview of tools and promising avenues to address major challenges. Ultimately, a multitrophic approach that captures tree physiology, insect populations, and tree–insect interactions will better inform projections of forest ecosystem responses to climate change.
Effect of fine wood on juvenile brown trout behaviour in experimental stream channels
In-stream wood can increase shelter availability and prey abundance for stream-living fish such as brown trout, Salmo trutta, but the input of wood to streams has decreased in recent years due to harvesting of riparian vegetation. During the last decades, fine wood (FW) has been increasingly used for biofuel, and the input of FW to streams may therefore decrease. Although effects of in-stream FW have not been studied as extensively as those of large wood (LW), it is probably important as shelter for small-sized trout. In a laboratory stream experiment, we tested the behavioural response of young-of-the-year wild brown trout to three densities of FW, with trout tested alone and in groups of four. Video recordings were used to measure the proportion of time allocated to sheltering, cruising and foraging, as well as the number of aggressive interactions and prey attacks. Cruising activity increased with decreasing FW density and was higher in the four-fish groups than when fish were alone. Foraging decreased and time spent sheltering in FW increased with increasing FW density. Our study shows that juvenile trout activity is higher in higher fish densities and that trout response to FW is related to FW density and differs from the response to LW as reported by others.
Experimental studies of dead-wood biodiversity — A review identifying global gaps in knowledge
The importance of dead wood for biodiversity is widely recognized but strategies for conservation exist only in some regions worldwide. Most strategies combine knowledge from observational and experimental studies but remain preliminary as many facets of the complex relationships are unstudied. In this first global review of 79 experimental studies addressing biodiversity patterns in dead wood, we identify major knowledge gaps and aim to foster collaboration among researchers by providing a map of previous and ongoing experiments. We show that research has focused primarily on temperate and boreal forests, where results have helped in developing evidence-based conservation strategies, whereas comparatively few such efforts have been made in subtropical or tropical zones. Most studies have been limited to early stages of wood decomposition and many diverse and functionally important saproxylic taxa, e.g., fungi, flies and termites, remain under-represented. Our meta-analysis confirms the benefits of dead-wood addition for biodiversity, particularly for saproxylic taxa, but shows that responses of non-saproxylic taxa are heterogeneous. Our analysis indicates that global conservation of organisms associated with dead wood would benefit most by prioritizing research in the tropics and other neglected regions, focusing on advanced stages of wood decomposition and assessing a wider range of taxa. By using existing experimental set-ups to study advanced decay stages and additional taxa, results could be obtained more quickly and with less effort compared to initiating new experiments.
Worldwide evidence of a unimodal relationship between productivity and plant species richness
The search for predictions of species diversity across environmental gradients has challenged ecologists for decades. The humped-back model (HBM) suggests that plant diversity peaks at intermediate productivity; at low productivity few species can tolerate the environmental stresses, and at high productivity a few highly competitive species dominate. Over time the HBM has become increasingly controversial, and recent studies claim to have refuted it. Here, by using data from coordinated surveys conducted throughout grasslands worldwide and comprising a wide range of site productivities, we provide evidence in support of the HBM pattern at both global and regional extents. The relationships described here provide a foundation for further research into the local, landscape, and historical factors that maintain biodiversity.
Global non-linear effect of temperature on economic production
Growing evidence demonstrates that climatic conditions can have a profound impact on the functioning of modern human societies (1,2), but effects on economic activity appear inconsistent. Fundamental productive elements of modern economies, such as workers and crops, exhibit highly non-linear responses to local temperature even in wealthy countries (3,4). In contrast, aggregate macroeconomic productivity of entire wealthy countries is reported not to respond to temperature (5), while poor countries respond only linearly (5,6). Resolving this conflict between micro and macro observations is critical to understanding the role of wealth in coupled human–natural systems (7,8) and to anticipating the global impact of climate change (9,10). Here we unify these seemingly contradictory results by accounting for non-linearity at the macro scale. We show that overall economic productivity is non- linear in temperature for all countries, with productivity peaking at an annual average temperature of 13 6C and declining strongly at higher temperatures. The relationship is globally generalizable, unchanged since 1960, and apparent for agricultural and non-agricultural activity in both rich and poor countries. These results provide the first evidence that economic activity in all regions is coupled to the global climate and establish a new empirical foundation for modelling economic loss in response to climate change (11,12), with important implications. If future adaptation mimics past adaptation, unmitigated warming is expected to reshape the global economy by reducing average global incomes roughly 23% by 2100 and widening global income inequality, relative to scenarios without climate change. In contrast to prior estimates, expected global losses are approximately linear in global mean temperature, with median losses many times larger than leading models indicate.
A Chinese cave links climate change, social impacts, and human adaptation over the last 500 years
The collapse of some pre-historical and historical cultures, including Chinese dynasties were presumably linked to widespread droughts, on the basis of synchronicities of societal crises and proxy-based climate events. Here, we present a comparison of ancient inscriptions in Dayu Cave from Qinling Mountains, central China, which described accurate times and detailed impacts of seven drought events during the period of 1520–1920 CE, with high-resolution speleothem records from the same cave. The comparable results provide unique and robust tests on relationships among speleothem δ18O changes, drought events, and societal unrest. With direct historical evidences, our results suggest that droughts and even modest events interrupting otherwise wet intervals can cause serious social crises. Modeling results of speleothem δ18O series suggest that future precipitation in central China may be below the average of the past 500 years. As Qinling Mountain is the main recharge area of two large water transfer projects and habitats of many endangered species, it is imperative to explore an adaptive strategy for the decline in precipitation and/or drought events.
Significant anthropogenic-induced changes of climate classes since 1950
Anthropogenic forcings have contributed to global and regional warming in the last few decades and likely affected terrestrial precipitation. Here we examine changes in major Köppen climate classes from gridded observed data and their uncertainties due to internal climate variability using control simulations from Coupled Model Intercomparison Project 5 (CMIP5). About 5.7% of the global total land area has shifted toward warmer and drier climate types from 1950–2010, and significant changes include expansion of arid and high-latitude continental climate zones, shrinkage in polar and midlatitude continental climates, poleward shifts in temperate, continental and polar climates, and increasing average elevation of tropical and polar climates. Using CMIP5 multi-model averaged historical simulations forced by observed anthropogenic and natural, or natural only, forcing components, we find that these changes of climate types since 1950 cannot be explained as natural variations but are driven by anthropogenic factors.
Conservation in a social-ecological system experiencing climate-induced tree mortality
We present a social-ecological framework to provide insight into climate adaptation strategies and diverse perspectives on interventions in protected areas for species experiencing climate-induced impacts. To develop this framework, we examined the current ecological condition of a culturally and commercially valuable species, considered the predicted future effects of climate change on that species in a protected area, and assessed the perspectives held by forest users and managers on future adaptive practices. We mapped the distribution of yellow-cedar (Callitropsis nootkatensis) and examined its health status in Glacier Bay National Park and Preserve by comparing forest structure, tree stress-indicators, and associated thermal regimes between forests inside the park and forests at the current latitudinal limit of the species dieback. Yellow-cedar trees inside the park were healthy and relatively unstressed compared to trees outside the park that exhibited reduced crown fullness and increased foliar damage. Considering risk factors for mortality under future climate scenarios, our vulnerability model indicated future expected dieback occurring within park boundaries. Interviews with forest users and managers revealed strong support for increasing monitoring to inform interventions outside protected areas, improving management collaboration across land designations, and using a portfolio of interventions on actively managed lands. Study participants who perceived humans as separate from nature were more opposed to inter- ventions in protected areas. Linking social and ecological analyses, our study provides an interdisciplinary approach to identify system-specific metrics (e.g., stress indicators) that can better connect monitoring with management, and adaptation strategies for species impacted by climate change.
Palaeodata-informed modelling of large carbon losses from recent burning of boreal forests
Wildfires play a key role in the boreal forest carbon cycle(1,2), and models suggest that accelerated burning will increase boreal C emissions in the coming century (3). However, these predictions may be compromised because brief observational records provide limited constraints to model initial conditions (4). We confronted this limitation by using palaeoenvironmental data to drive simulations of long-term C dynamics in the Alaskan bo- real forest. Results show that fire was the dominant control on C cycling over the past millennium, with changes in fire frequency accounting for 84% of C stock variability. A recent rise in fire frequency inferred from the palaeorecord5 led to simulated C losses of 1.4 kg C m?2(12% of ecosystem C stocks) from 1950 to 2006. In stark contrast, a small net C sink of 0.3 kg C m?2 occurred if the past fire regime was assumed to be similar to the modern regime, as is common in models of C dynamics. Although boreal fire regimes are heterogeneous, recent trends6 and future projections (7) point to increasing fire activity in response to climate warming throughout the biome. Thus, predictions (8) that terrestrial C sinks of northern high latitudes will mitigate rising atmospheric CO2 may be over-optimistic.
Pedoecological Modeling to Guide Forest Restoration using Ecological Site Descriptions
the u.s. department of agriculture (usda)-natural resources conservation service (nrcs) uses an ecological site description (esd) framework to help incorporate interactions between local soil, climate, flora, fauna, and humans into schema for land management decision-making. we demonstrate esd and digital soil mapping tools to (i) estimate potential o horizon carbon (c) stock accumulation from restoring alternative ecological states in high-elevation forests of the central appalachian Mountains in west Virginia (wV), usa, and (ii) map areas in alternative ecological states that can be targeted for restoration. this region was extensively disturbed by clear-cut harvests and related fires during the 1880s through 1930s. we combined spodic soil property maps, recently linked to historic red spruce–eastern hemlock (Picea rubens–Tsuga canadensis) forest communities, with current forest inventories to provide guidance for restoration to a historic reference state. this allowed mapping of alternative hardwood states within areas of the spodic shale uplands conifer forest (scF) ecological site, which is mapped along the regional conifer-hardwood transition of the central appalachian Mountains. Plots examined in these areas suggest that many of the spruce-hemlock dominated stands in wV converted to a hardwood state by historic disturbance have lost at least 10 cm of o horizon thickness, and possibly much more. Based on this 10 cm estimate, we calculate that at least 3.74 to 6.62 tg of c were lost from areas above 880 m elevation in wV due to historic disturbance of o horizons, and that much of these stocks and related ecosystem functions could potentially be restored within 100 yr under focused management, but more practical scenarios would likely require closer to 200 yr.
Pedoecological Modeling to Guide Forest Restoration using Ecological Site Descriptions
the u.s. department of agriculture (usda)-natural resources conservation service (nrcs) uses an ecological site description (esd) framework to help incorporate interactions between local soil, climate, flora, fauna, and humans into schema for land management decision-making. we demonstrate esd and digital soil mapping tools to (i) estimate potential o horizon carbon (c) stock accumulation from restoring alternative ecological states in high-elevation forests of the central appalachian Mountains in west Virginia (wV), usa, and (ii) map areas in alternative ecological states that can be targeted for restoration. this region was extensively disturbed by clear-cut harvests and related fires during the 1880s through 1930s. we combined spodic soil property maps, recently linked to historic red spruce–eastern hemlock (Picea rubens–Tsuga canadensis) forest communities, with current forest inventories to provide guidance for restoration to a historic reference state. this allowed mapping of alternative hardwood states within areas of the spodic shale uplands conifer forest (scF) ecological site, which is mapped along the regional conifer-hardwood transition of the central appalachian Mountains. Plots examined in these areas suggest that many of the spruce-hemlock dominated stands in wV converted to a hardwood state by historic disturbance have lost at least 10 cm of o horizon thickness, and possibly much more. Based on this 10 cm estimate, we calculate that at least 3.74 to 6.62 tg of c were lost from areas above 880 m elevation in wV due to historic disturbance of o horizons, and that much of these stocks and related ecosystem functions could potentially be restored within 100 yr under focused management, but more practical scenarios would likely require closer to 200 yr.
Future temperature in southwest Asia projected to exceed a threshold for human adaptability
A human body may be able to adapt to extremes of dry-bulb temperature (commonly referred to as simply temperature) through perspiration and associated evaporative cooling provided that the wet-bulb temperature (a combined measure of temperature and humidity or degree of ‘mugginess’) remains below a threshold of 35C. (ref. 1). This threshold defines a limit of survivability for a fit human under well-ventilated outdoor conditions and is lower for most people. We project using an ensemble of high-resolution regional climate model simulations that extremes of wet-bulb temperature in the region around the Arabian Gulf are likely to approach and exceed this critical threshold under the business-as-usual scenario of future greenhouse gas concentrations. Our results expose a specific regional hotspot where climate change, in the absence of significant mitigation, is likely to severely impact human habitability in the future.
Eocene atmospheric CO2 from the nahcolite proxy
Paleotemperature estimates from leaf fossils and fluid inclusions in halite suggest an upper limit for [CO2]atm in the EECO from the nahcolite proxy of ~1260 ppm. These data support a causal connection between ele- vated [CO2]atm and early Eocene global warmth, but at significantly lower [CO2]atm than previously thought, which suggests that ancient climates on Earth may have been more sensitive to a doubling of [CO2]atm than is currently assumed.
The global volume and distribution of modern groundwater
Groundwater is important for energy and food security, human health and ecosystems. The time since groundwater was recharged—or groundwater age—can be important for diverse geologic processes, such as chemical weathering, ocean eutrophication and climate change. However, measured groundwater ages range from months to millions of years. The global volume and distribution of groundwater less than 50 years old—modern groundwater that is the most recently recharged and also the most vulnerable to global change—are unknown. Here we combine geochemical, geologic, hydrologic and geospatial data sets with numerical simulations of groundwater and analyse tritium ages to show that less than 6% of the groundwater in the uppermost portion of Earth’s landmass is modern. We find that the total groundwater volume in the upper 2 km of continental crust is approximately 22.6 million km3 , of which 0.1–5.0 million km3 is less than 50 years old. Although modern groundwater represents a small percentage of the total groundwater on Earth, the volume of modern groundwater is equivalent to a body of water with a depth of about 3 m spread over the continents. This water resource dwarfs all other components of the active hydrologic cycle.
Global separation of plant transpiration from groundwater and streamflow
Current land surface models assume that groundwater, streamflow and plant transpiration are all sourced and mediated by the same well mixed water reservoir—the soil. However, recent work in Oregon1 and Mexico2 has shown evidence of ecohydrological sepa- ration, whereby different subsurface compartmentalized pools of water supply either plant transpiration fluxes or the combined fluxes of groundwater and streamflow. These findings have not yet been widely tested. Here we use hydrogen and oxygen isotopic data (2H/1H (d2H) and 18O/16O (d18O)) from 47 globally distrib- uted sites to show that ecohydrological separation is widespread across different biomes. Precipitation, stream water and ground- water from each site plot approximately along the d2H/d18O slope of local precipitation inputs. But soil and plant xylem waters extracted from the 47 sites all plot below the local stream water and groundwater on the meteoric water line, suggesting that plants use soil water that does not itself contribute to groundwater recharge or streamflow. Our results further show that, at 80% of the sites, the precipitation that supplies groundwater recharge and streamflow is different from the water that supplies parts of soil water recharge and plant transpiration. The ubiquity of subsurface water compartmentalization found here, and the segregation of storm types relative to hydrological and ecological fluxes, may be used to improve numerical simulations of runoff generation, stream water transit time and evaporation–transpiration partitioning. Future land surface model parameterizations should be closely examined for how vegetation, groundwater recharge and streamflow are assumed to be coupled.
Spatial aspects of tree mortality strongly differ between young and old-growth forests
In young forests, mortality should be primarily density dependent due to competition for light, leading to an increasingly spatially uniform pattern of surviving trees. In contrast, mortality in old-growth forests should be primarily caused by contagious and spatially autocorrelated agents (e.g., insects, wind), causing spatial aggregation of surviving trees to increase through time. We tested these predictions by contrasting a three- decade record of tree mortality from replicated mapped permanent plots located in young (,60-year-old) and old-growth (.300-year-old) Abies amabilis forests. Trees in young forests died at a rate of 4.42% per year, whereas trees in old-growth forests died at 0.60% per year. Tree mortality in young forests was significantly aggregated, strongly density dependent, and caused live tree patterns to become more uniform through time. Mortality in old-growth forests was spatially aggregated, but was density independent and did not change the spatial pattern of surviving trees. These results extend current theory by demonstrating that density- dependent competitive mortality leading to increasingly uniform tree spacing in young forests ultimately transitions late in succession to a more diverse tree mortality regime that maintains spatial heterogeneity through time.
Thermodynamics of firms’ growth
The distribution of firms’ growth and firms’ sizes is a topic under intense scrutiny. In this paper, we show that a thermodynamic model based on the maximum entropy principle, with dynamical prior information, can be constructed that adequately describes the dynamics and distribution of firms’ growth. Our theoretical framework is tested against a comprehensive database of Spanish firms, which covers, to a very large extent, Spain’s econ- omic activity, with a total of 1,155,142 firms evolving along a full decade. We show that the empirical exponent of Pareto’s law, a rule often observed in the rank distribution of large-size firms, is explained by the capacity of economic system for creating/destroying firms, and that can be used to measure the health of a capitalist-based economy. Indeed, our model predicts that when the exponent is larger than 1, creation of firms is favoured; when it is smaller than 1, destruction of firms is favoured instead; and when it equals 1 (matching Zipf’s law), the system is in a full macroeconomic equilibrium, entailing ‘free’ creation and/or destruction of firms. For medium and smaller firm sizes, the dynamical regime changes, the whole distribution can no longer be fitted to a single simple analytical form and numerical prediction is required. Our model constitutes the basis for a full predictive framework regarding the economic evolution of an ensemble of firms. Such a structure can be potentially used to develop simulations and test hypothetical scenarios, such as economic crisis or the response to specific policy measures.