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  • 101
    Publication Date: 2016-07-27
    Description: The octopus Eledone cirrhosa and the catshark Scyliorhinus canicula present the same feeding habits and distributional preferences in the Mediterranean Sea. We explore patterns of spatial overlap between these species to address coexistence and infer possible competition from spatial patterns in the western Mediterranean Sea. A spatially explicit modelling approach revealed that spatial overlap mainly responded to the distribution of shared resources, where coexistence is allowed by different ecological processes. Catshark (k-strategy) was highly abundant and widely distributed. However, the fluctuating population dynamics of octopus (r-strategy) explained the variations in spatial patterns of overlap. Spatial structuring across the study area was observed both in population distributions and in species interactions (coexistence or exclusion). Areas with high resources in terms of specific prey items (Catalan Sea) or alternative supplies, such as niche opportunities and ecosystem functions defined by community diversity (Balearic Islands), favoured species coexistence. Sea surface temperature showed opposite effects on overlap in northern and southern regions of the study area, which were not related to differences in species sensitivity. We suggest a surface trophic link, where different phytoplankton communities at each region might have opposite responses to temperature. This triggers contrasting mechanisms of food transfer to deeper benthic communities that subsequently facilitates species overlap. Characterizing how benthic and pelagic seascape properties shape species interactions across space and time is pivotal to properly address community spatial dynamics and move towards ecosystem-based management for sustainable fisheries and conservation planning.
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  • 102
    Publication Date: 2015-04-14
    Description: American Manufacturing Belt (AMB) emergence has been used by NEG theorists as a prime example of how increasing returns foster industrial concentration. Other studies suggest the AMB was in place before increasing returns became established. This study examines this previously unrecognized contradiction. An analysis of Cleveland, one of the fastest growing of AMB cities, is undertaken using new data sources. This finds the railroad sector crucial in generating direct employment and stimulating related industrial investment through forward and backward linkages. The former are associated with ‘factor channeling’—planned strategies to direct raw material flows to the city. NEG theorists’ under-emphasis on raw material provision and their use of the iceberg model to avoid analysis of the railroad sector is therefore found to be erroneous. The increasing returns hypothesis is evaluated using new data for several industrial sectors and rejected as a valid explanation for early manufacturing growth in Cleveland.
    Keywords: N61 - U.S. ; Canada: Pre-1913, N71 - U.S. ; Canada: Pre-1913, R15 - Econometric and Input-Output Models ; Other Models
    Print ISSN: 1468-2702
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    Topics: Geography , Economics
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  • 103
    Publication Date: 2015-04-14
    Description: Using data on 418 Norwegian firms, the results confirm the hypotheses that innovative/radically innovative firms tend to be more involved in international personal and formal networks than non-innovative/incrementally innovative ones. While regional and national networks are much more widespread than international ones, they are not significantly positively associated with innovation. International personal networks and international links with suppliers and customers and with universities and research institutions, as well as global buzz with strangers, are positively related to innovation. This suggests that innovation management and policy, in particular in countries with a limited national innovation base, could benefit from facilitating certain international networks.
    Keywords: O31 - Innovation and Invention: Processes and Incentives, R00 - General
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  • 104
    Publication Date: 2015-04-14
    Description: We document the spatial diffusion of Friedrich Froebel’s radical invention of kindergartens in 19th-century Germany. The first kindergarten was founded at Froebel’s birthplace. Early spatial diffusion can be explained by cultural proximity, measured by historical dialect similarity, to Froebel’s birthplace. This result is robust to the inclusion of higher order polynomials in geographic distance and similarity measures with respect to industry, geography or religion. Our findings suggest that a common cultural basis facilitates the spill-over of ideas. We further show that the contemporaneous spatial pattern of child care coverage is still correlated with cultural similarity to Froebel’s place of birth.
    Keywords: J13 - Fertility ; Family Planning ; Child Care ; Children ; Youth, N33 - Europe: Pre-1913, Z13 - Economic Sociology ; Economic Anthropology
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  • 105
    Publication Date: 2015-04-14
    Description: Our article contributes to the emerging micro-level strand of the literature on the link between local variations in weather shocks and conflicts by focusing on a pixel-level analysis for North and South Sudan between 1997 and 2009. Temperature anomalies are found to strongly affect the risk of conflict, whereas the risk is expected to magnify in a range of 24–31% in the future under a median scenario. Our analysis also sheds light on the competition over natural resources, in particular water, as the main driver of such relationship in a region where pastoralism constitutes the dominant livelihood.
    Keywords: D74 - Conflict ; Conflict Resolution ; Alliances, O13 - Agriculture ; Natural Resources ; Energy ; Environment ; Other Primary Products, Q54 - Climate ; Natural Disasters ; Global Warming, R11 - Regional Economic Activity: Growth, Development, and Changes
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  • 106
    Publication Date: 2016-03-23
    Description: Economic valuation of marine ecosystem services in the Baltic Sea region has gained importance, as policy-makers are recognizing their decline and focusing on achieving good environmental status there in terms of, for example, reduced eutrophication. Parallel with this development, several initiatives have been launched, leading to a large number of economic valuation studies. However, current research indicates that neither a common approach to classifying ecosystem services nor a widely accepted methodological framework for assessing their economic value exist yet. This paper seeks to shed light on the current state of the economic valuation of ecosystem services provided by the Baltic Sea through reviewing all currently available empirical studies on the topic. The results indicate that only a few ecosystem services, including recreation and reduction of eutrophication, have been extensively monetarily valued, and still lack cross-study methodological consistency, while many other marine ecosystem services have rarely or never been valued with economic methods. The paper concludes that existing economic valuation studies provide only limited practical guidance for policy-makers intending to improve the environmental status of the Baltic Sea. There is a need for more widely shared agreement on the systematic nature of marine and coastal ecosystem services and especially on a coherent methodological framework for assessing their economic value.
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  • 107
    Publication Date: 2016-03-23
    Description: We used bibliometric indicators to characterize recent (2010–2013) research activity in fisheries science with the objective of garnering insights into how this increased effort has been directed. Specifically, we provide an overview of the primary literature on fisheries research, including which countries are the largest contributors (USA, China, Japan, Australia, Canada, and Norway), and an assessment of the citation impact of the research conducted by different countries. The countries with the highest impact were the UK, Norway, Germany, France, Canada, and Italy. We further assessed the research topics that are most commonly studied and attempt to understand what drives that. During the past three decades, research appears to have shifted from a focus on species-related questions to processes. An analysis of how publication output is distributed at the level of fish species indicates that a small number of species (e.g. Atlantic salmon, rainbow trout, and Atlantic cod) account for a disproportionate volume of the total research effort. Interestingly, publication output is not correlated with the commercial importance of a species. Although fisheries management is purportedly based upon scientific research, our analysis reveals that hardly any research at all is conducted on several of the (commercially) most important species, at least as measured by articles appearing in international scientific journals.
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  • 108
    Publication Date: 2016-03-23
    Description: Whether jellyfish are increasing or not in the global ocean is a subject of some debate, but the fact remains that when they bloom, jellyfish can negatively affect local economies. Despite this, there has been no robust debate about the idea of deliberately removing jellyfish as a means of population control. Here, we discuss the effects of fishing for jellyfish, either as a sustainable resource and/or as a way to simply reduce their nuisance value, on both individual jellyfish populations and the ecosystem. Given that the drivers influencing each local bloom are different, or that the effects of more widespread drivers may be manifested differently at each locale, our priority at population control/use needs to be more basic research on jellyfish. While we do not advocate a no-fishing approach, we emphasize the need to be cautious in embracing jellyfish fisheries as a panacea and we need to consider the management of each bloom on a case-by-case basis.
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  • 109
    Publication Date: 2016-03-23
    Description: Annual growth zones in cod otoliths from the eastern Baltic stock are less discrete than in other cod stocks leading to biased age reading, which recently led to a failure of age-based assessment in the eastern Baltic cod stock. In this study, we explored the applicability of minor and trace element patterns in cod otoliths for age determination. By first identifying elements of interest in a stock without ageing problems, western Baltic cod, we then tested their applicability on another stock without ageing problems, North Sea cod, and finally applied this knowledge to estimate age of eastern Baltic cod. In western Baltic cod, matching patterns with respect to occurrence of minima and maxima in both otolith opacity and element concentrations were found for Cu, Zn, and Rb, and inverse patterns with Mg and Mn. No match was found for Pb, Ba, and Sr. In the test stock, the North Sea cod, the same patterns in Cu, Zn, Rb, Mg, and Mn signals occurred. All eastern Baltic cod with low visual contrast between growth zones exhibited clearly defined synchronous cycles in Cu, Zn, Rb and Pb. Using a combined finite differencing method and structural break models approach, the statistical significance of the local profile minima were identified, based on which their age could be estimated. Despite extensive environmental differences between the three areas examined, the element concentrations of Cu, Zn, and Rb were strongly correlated in all individuals with similar correlations in all three areas, suggesting that the incorporation mechanisms are the same for these elements and independent of environmental concentrations.
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  • 110
    Publication Date: 2016-03-23
    Description: Anchovy population dynamics in the Gulf of Cádiz are governed by environmental processes. Sea surface temperature, intense easterly winds, and discharges from the Guadalquivir River have been identified as key factors determining early life stage mortality in this anchovy stock. We have constructed an environment-based recruitment model that simulates the abundance of juveniles under alternative parameters representing plausible biological hypotheses. We are able to evaluate how modelling environment-based recruitment can affect stock assessment and how responding to environmental information can benefit fishery management to allow greater average catch levels through the application of harvest control rules (HCRs) based on environmental conditions. While the environment-based rules generally increase allowable catch levels the variance in catch levels also increases, detracting from the improved value based only on average yield. In addition to changes in revenue, the probability of stock collapse is also reduced by using environmental factors in HCRs. To assess the value of these management systems we simulate a notional insurance scheme, which applies a value to both average yields and uncertainty. The value of the information-driven rules can be determined by comparing the relevant premiums payable for equal levels of insurance cover on revenue within each specific management regime. We demonstrate the net value of incorporating environmental factors in the management of anchovies in the Gulf of Cádiz despite the increased variability in revenue. This could be an effective method to describe outcomes for both commercial fisheries and ecosystem management policies, and as a guide to management of other species whose dynamics are predictable based on in-season observations.
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  • 111
    Publication Date: 2016-03-23
    Description: Ecosystem management (EM) suffers from linguistic uncertainty surrounding the definition of "EM" and how it can be operationalized. Using fisheries management as an example, we clarify how EM exists in different paradigms along a continuum, starting with a single-species focus and building towards a more systemic and multi-sector perspective. Focusing on the specification of biological and other systemic reference points (SRPs) used in each paradigm and its related regulatory and governance structures, we compare and contrast similarities among these paradigms. We find that although EM is a hierarchical continuum, similar SRPs can be used throughout the continuum, but the scope of these reference points are broader at higher levels of management. This work interprets the current state of the conversation, and may help to clarify the levels of how EM is applied now and how it can be applied in the future, further advancing its implementation.
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  • 112
    Publication Date: 2016-03-23
    Description: Marine ecosystem models assume spatially homogeneous population dynamics at sub-grid scale resolution, despite evidence that marine systems are highly structured on fine scales. This structuring can influence the predator–prey interactions driving trophic transfer and thereby overall ecosystem production. Here we apply a statistic, the AB ratio ( AB ), to quantify increased predator production due to fine-scale overlap with its prey. We calculated AB from available literature sources (spatial observations of predator and prey) and from data obtained with a towed plankton imaging system, demonstrating that organisms from a range of trophic levels and oceanographic regions tended to overlap with their prey both in the horizontal and vertical dimensions. The values of AB indicate that spatially homogeneous calculations underestimate productivity. This pattern was accentuated when accounting for swimming over a diel cycle and by increasing sampling resolution, especially when prey were highly aggregated. We recommend that ecosystem models incorporate more fine-scale information both to more accurately capture trophic transfer processes and to capitalize on the increasing sampling resolution, data volume, and data sharing platforms from empirical studies.
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  • 113
    Publication Date: 2016-03-23
    Description: Conventional yield-per-recruit ( Y / R ) and spawning-stock biomass-per-recruit (SSB/ R ) models make no allowance for spatial heterogeneity in fishing mortality, natural mortality, or growth across the stock area, although variability in these processes can affect model results. For example, areas with higher growth and/or lower natural mortality rates should be fished at a lower rate to maximize Y / R ; however, these areas may be especially attractive to fishers and are often fished harder. Here, Y / R and SSB/ R models are developed that simultaneously account for spatial heterogeneity in growth and fishing effort. These models are applied to the US Atlantic sea scallop ( Placopecten magellanicus ) fishery. The spatial variability in growth uses depth-integrated models from the literature and variability in effort is based on, alternatively, uniform, observed, and relative-optimal spatial harvesting distributions. The observed effort patterns are derived from vessel monitoring system positions, and illustrate one application for these widely collected but underutilized spatial data. In this example, the distribution of observed fishing effort reduces Y / R compared with the relative-optimal, or the uniform effort distribution implicitly assumed by conventional Y / R analysis. SSB/ R was in some cases considerably higher under the relative-optimal distribution of effort than when calculated using observed or uniform effort patterns. Such more realistic spatially integrated Y / R and SSB/ R models can help to evaluate the impact of effort patterns on fishery yield and stock egg production. These models demonstrate that the spatial distribution of effort can be as important as the overall average fishing mortality when managing fisheries to optimize Y / R , SSB/ R , and yield.
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  • 114
    Publication Date: 2016-03-23
    Description: In age-structured fisheries stock assessments, ageing errors within age composition data can lead to biased mortality rate and year-class strength estimates. These errors may be further compounded where fishery-dependent age composition data are influenced by temporal changes in fishery selectivity and selectivity misspecification. In this study, we investigated how ageing error within age composition data interacts with time-varying fishery selectivity and selectivity misspecification to affect estimates derived from a statistical catch-at-age (SCA) model that used fishery-dependent data. We tested three key model parameters: average unfished recruitment ( R 0 ), spawning stock depletion ( D final ), and fishing mortality in the terminal year ( F terminal ). The Patagonian toothfish ( Dissostichus eleginoides ) fishery in southern Chile was used as a case study. Age composition data used to assess this fishery were split into two sets based on scale (1989–2006) and otolith (2007–2012) readings, where the scale readings show clear age-truncation effects. We used a simulation-estimation approach to examine the bias and precision of parameter estimates under various combinations of ageing error, selectivity type (asymptotic or dome-shaped), selectivity misspecification, and variation in selectivity over time. Generally, ageing error led to overly optimistic perceptions of current fishery status relative to historical reference points. Ageing error generated imprecise and positively biased estimates of R 0 (range 10 to 〉200%), D final (range –20 to 〉100%), and F terminal (range –15 to 〉150%). The bias in D final and R 0 was more severe when selectivity was dome-shaped. Time-varying selectivity (both asymptotic and dome-shaped) increased the bias in D final and F terminal, but decreased the bias in R 0 . The effect of ageing error was more severe, or was masked, with selectivity misspecification. Correcting the ageing error inside the SCA reduced bias and improved precision of estimated parameters .
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  • 115
    Publication Date: 2016-03-23
    Description: The Ecosystem Approach to Fisheries Management claims that fisheries management should take into account the ecosystem processes; in that context, it is useful to examine the functional traits of fisheries assemblages. This can be a challenge in multispecies fisheries. We used 21 biological traits of 86 species to investigate the relationship between-species and trait composition and to identify species with rare functional traits. Combining these traits with two catch datasets from the eastern Mediterranean (Patraikos Gulf: small-scale fleet, eastern Ionian Sea: entire multispecies fleet), we investigated whether certain fishing tactics or gears tend to remove specific traits, using multivariate methodologies. Species and traits composition of the catches were related, but an important part of trait variability was not explained by species composition. Rare traits and trait combinations were found for important target or bycatch species. Differences in the traits composition of fishing operations were revealed both between fishing tactics (Patraikos) as well as gears and areas (eastern Ionian); hierarchical clustering and MDS indicated the distinction of purse-seine catches at gear level. SIMPER analysis by trait indicated associations of certain trait categories mainly with purse-seines (at gear level) and longline métiers and a trammel-net métier (at métier level). The identification of rare traits or their combinations can have significant management implications as overfishing of the species with these traits could result in altering assemblage functioning. It seems that the multispecies character of the benthic fisheries results in a balanced trait removal, while management should regulate the effects of purse-seine fisheries on the fisheries assemblage functioning. Further investigation of the functions that fishing may remove from the ecosystem could contribute to understanding the effects of fishing and reveal overlooked aspects useful for the improvement of fisheries management.
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  • 116
    Publication Date: 2016-03-23
    Description: Atlantic halibut ( Hippoglossus hippoglossus ) have a long history of exploitation in the Northwest Atlantic and have gone through several periods of high biomass followed by a population crash. An assessment model using data collected on the Scotian Shelf and southern Grand Banks shows that the population peaked in 1984, then decreased sharply to a low in 1993. Several management measures were taken during the decline, including reductions in total allowable catch and a minimum size limit. Concurrently, removals by the otter trawl fishery were drastically reduced following the collapse of the cod ( Gadus morhua ) fishery. In 2003, recruitment increased and continued to be high for 6 years. Fishing mortality rates were moderate in the late 1990s and 2000s and the population increased. By 2009, the Atlantic halibut population was highly productive with both high biomass and high levels of recruitment. The coincidence in the timing of population recovery and management actions indicates that effective management contributed to the recovery of Atlantic halibut.
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  • 117
    Publication Date: 2016-03-23
    Description: High abundance of Northeast Atlantic mackerel ( Scomber scombrus L.), combined with limited food resources, may now force mackerel to enter new and productive regions in the northern Norwegian Sea. However, it is not known how mackerel exploit the spatially varying feeding resources, and their vertical distribution and swimming behaviour are also largely unknown. During an ecosystem survey in the Norwegian Sea during the summer feeding season, swimming direction, and speed of mackerel schools were recorded with high-frequency omnidirectional sonar in four different regions relative to currents, ambient temperature, and zooplankton. A total of 251 schools were tracked, and fish and zooplankton were sampled with pelagic trawl and WP-2 plankton net. Except for the southwest region, swimming direction of the tracked schools coincided with the prevailing northerly Atlantic current direction in the Norwegian Sea. Swimming with the current saves energy, and the current also provides a directional cue towards the most productive areas in the northern Norwegian Sea. Average mean swimming speed in all regions combined was ~3.8 body lengths s –1 . However, fish did not swim in a straight course, but often changed direction, suggesting active feeding in the near field. Fish were largest and swimming speed lowest in the northwest region which had the highest plankton concentrations and lowest temperature. Mackerel swam close to the surface at a depth of 8–39 m, with all schools staying above the thermocline in waters of at least 6°C. In surface waters, mackerel encounter improved foraging rate and swimming performance. Going with the flow until temperature is too low, based on an expectation of increasing foraging rate towards the north while utilizing available prey under way, could be a simple and robust feeding strategy for mackerel in the Norwegian Sea.
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  • 118
    Publication Date: 2016-03-23
    Description: Annual spatial distribution and relative abundance of age-2 and age-3 northern rock sole ( Lepidopsetta polyxystra ) and summer bottom temperatures were analysed using data from eastern Bering Sea summer trawl surveys from 1982 through 2012. Previously observed differences in age-0 northern rock sole distribution persisted until age-2 and age-3. Latitudinal distributions of age-2 and age-3 fish were correlated most strongly with summer bottom temperatures 2 and 3 years prior to the survey year, during the time that the fish would have been age-0. Thus, temperature during the age-0 year may affect spatial distribution for the first few years of life. Distribution of age-2 and age-3 fish shifted northwards 2 years after the beginning of a warming trend from 1999 to 2003, and shifted southwards 2 years after a cooling trend from 2004 through 2010. Northerly distributions were correlated with high abundances. Density dependence was ruled out as a reason for northward shifts in distribution given a lack of correlation between latitudinal distributions and the annual abundances within the southern part of the distribution. We propose that the large northern nursery area produces large cohorts of northern rock sole, and that bottom temperatures in the age-0 year affect use of the northern nursery area.
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  • 119
    Publication Date: 2016-03-23
    Description: Lumpfish ( Cyclopterus lumpus ) is a high latitude species most abundant in Arctic and sub-Arctic waters of the North Atlantic. Vertical behaviour of this fish is unclear as it is often caught by both pelagic and demersal trawls. To gain greater insight into its behaviour, 41 female lumpfish caught during the Icelandic Groundfish Survey (IGFS) in March were tagged with data storage tags (DSTs); the IGFS finishes ~1 week before the beginning of the lumpfish fishing season (20 March). Data retrieved from returned tags were compared with information on depth and distribution of catches of lumpfish from the IGFS. Thirteen tags were returned with days at liberty ranging from 20 to 61 d. Maximum depth recorded was 308 m (maximum depth of the tag) but based upon interpolation of temperature recordings, one fish may have descended to ~418 m. Lumpfish displayed a range of vertical behaviours termed demersal, surface, and pelagic. During March, most exhibited either demersal or pelagic behaviour but the time spent in surface behaviour increased from March to April. During demersal behaviour, depth was rarely constant indicating the fish were not stationary. Both DST and catch data from the IGFS indicate that lumpfish exhibit diel patterns in vertical behaviour. As lumpfish frequently exhibit demersal behaviour, the use of the IGFS to monitor changes in abundance is justified. As lumpfish spend a significant amount of time in both the pelagic and demersal zone, they should be considered as a semi-pelagic (or semi-demersal) fish during this life stage/time of year.
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  • 120
    Publication Date: 2016-03-23
    Description: Floating fish farm installations attract a number of marine species, probably because they provide both shelter and excess feed from the cages. Saithe are by far the most numerous fish visitors to fish farms on the Norwegian coast, and may gather in large numbers beneath the cages, but detailed knowledge of their swimming behaviour is limited. This study examined the vertical movements and distribution of saithe equipped with acoustic transmitters at 15 fish farms over a period of almost 2 years. The saithe aggregating around fish farms displayed behavioural patterns reported from saithe elsewhere; diel rhytms in vertical distribution, reduced activity level at night and seasonality in swimming depth. Typical residence depth was from 25 to 50 m in summer and 60 to 90 m during winter. However, an anomaly was observed, as fish moved 10–20 m closer to the surface during mid-winter. The reason for this is not known, but may be associated with the use of artificial light to illuminate the fish farm sea cages. The fish were usually distributed through ~100 m of the water column. In 38% of the observations, there was no apparent diel vertical migration pattern, but 46% of the data showed fish either moved up or down during the daylight hours. Interindividual and intersite variability, in preferred night-resting depth, is a possible explanation for the differing vertical migratory patterns. Fish also moved away from fish farms in daytime (16% of all observations), probably to feed elsewhere. The results suggest that saithe establish core residence areas close to fish farms.
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  • 121
    Publication Date: 2016-03-23
    Description: This study provides an inventory of the recent benthic macrofaunal communities in the entire Baltic Sea. The analyses of soft-bottom benthic invertebrate community data based on over 7000 locations in the Baltic Sea suggested the existence of 10 major communities based on species abundances and 17 communities based on species biomasses, respectively. The low-saline northern Baltic, characterized by silty sediments, is dominated by Monoporeia affinis, Marenzelleria spp ., and Macoma balthica . Hydrobiidae , Pygospio elegans , and Cerastoderma glaucum dominate the community in sandy habitats off the Estonian west coast and in the southeastern and southern Baltic Sea. Deep parts of the Gulf of Finland and central Baltic Sea often experience hypoxia, and when oxygen levels in these regions recover, Bylgides sarsi was the first species to colonize. The southwestern Baltic Sea, with high salinity, has higher macrofaunal diversity compared with the northern parts. To spatially interpolate the distribution of the major communities, we used the Random Forest method. Substrate data, bathymetric maps, and modelled hydrographical fields were used as predictors. Model predictions were in good agreement with observations, quantified by Cohen's of 0.90 for the abundance and 0.89 in the wet weight-based model. Misclassifications were mainly associated with uncommon classes in regions with high spatial variability. Our analysis provides a detailed baseline map of the distribution of benthic communities in the Baltic Sea to be used both in science and management.
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  • 122
    Publication Date: 2016-03-23
    Description: The purse-seine tuna fleet in the Western Pacific Ocean has undergone an accelerated expansion since the 1980s. The fishery is primarily managed using fishing effort limits. Constraining effort to ensure the biological health of the stock, while enhancing economic benefits generated by the fishery, is a major challenge faced by fisheries managers in this region. To maintain effort levels that achieve those objectives, there is a need to take into account technical and efficiency changes over time that influence the productivity of fleets. This study evaluates how the productivity of four of the region's purse-seine fleets has changed year on year between 1993 and 2010 using a robust bootstrapped Malmquist index approach. This index is separated into: technical change, which represents the change in productivity due to the introduction of new technology and efficiency change, the change in productivity resulting from a change in the level of efficiency in the use of inputs. The results show that half of the 56 purse-seine vessels examined displayed significant gains in productivity, which appeared to be driven primarily by technical change. The technical efficiency of fleets showed less marked changes, potentially due to the practical inability to maximize performance in the face of dramatic technological advances.
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  • 123
    Publication Date: 2016-03-23
    Description: Microplastics in the marine environment are well documented, and interactions with marine biota have been described worldwide. However, interactions with vertically migrating fish are poorly understood. The diel vertical migration of mesopelagic fish represents one, if not the largest, vertical migration of biomass on the planet, and is thus an important link between the euphotic zone, transporting carbon and other nutrients to global deep sea communities. Knowledge of how mesopelagic fish interact and distribute plastic as a marine contaminant is required as these populations have been identified as a potential global industrial fishery for fishmeal production. Ingestion of microplastic by mesopelagic fish in the Northeast Atlantic was studied. Approximately 11% of the 761 fish examined had microplastics present in their digestive tracts. No clear difference in ingestion frequency was identified between species, location, migration behaviour, or time of capture. While ingesting microplastic may not negatively impact individual mesopelagic fish, the movement of mesopelagic fish from the euphotic zone to deeper waters could mediate transfer of microplastics to otherwise unexposed species and regions of the world's oceans.
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  • 124
    Publication Date: 2016-03-23
    Description: We examined the interannual variations in distribution and abundance of Japanese jack mackerel Trachurus japonicus larvae 〈5 mm standard length (SL), based on sampling surveys over a broad area of the shelf break region of the East China Sea (ECS) during late winter and spring for 12 years from 2001 to 2012. Larval abundances in late winter were higher than those in spring. In late winter, ratios (expressed as %) of larval abundance in the southern ECS south of 28°N to the whole study area were highest during the study period, with values ranging from 80.0 to 95.8%. In spring, the ratios in the southern ECS were still high (34.3–88.8%), although the values increased slightly in the northern and central ECS. There was no significant interannual variation in the centre of distribution of the larvae, suggesting that the formation of spawning grounds would be related to topographic rather than hydrographic conditions. Habitat temperature of larvae in the central and southern ECS was ~3–5°C higher than that in the northern ECS throughout the study period, indicating that larval growth and survival processes may differ between the two areas. In the southern ECS, larval abundances fluctuated largely from year-to-year, and the interannual variations were closely correlated with water temperature and chlorophyll a concentration. However, larval abundance did not correlate with an index of recruited juveniles (~50–75 mm SL) in the ECS, suggesting that mortality during the late larval and early juvenile stages is responsible for recruitment success or failure.
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  • 125
    Publication Date: 2016-03-23
    Description: Atlantic menhaden, Brevoortia tyrannus , is an abundant, schooling pelagic fish that is widely distributed in the coastal Northwest Atlantic. It supports the largest single-species fishery by volume on the east coast of the United States. However, relatively little is known about factors that control recruitment, and its stock–recruitment relationship is poorly defined. Atlantic menhaden is managed as a single unit stock, but fisheries and environmental variables likely act regionally on recruitments. To better understand spatial and temporal variability in recruitment, fishery-independent time-series (1959–2013) of young-of-year (YOY) abundance indices from the Mid-Atlantic to Southern New England (SNE) were analysed using dynamic factor analysis and generalized additive models. Recruitment time-series demonstrated low-frequency variability and the analyses identified two broad geographical groupings, the Chesapeake Bay (CB) and SNE. Each of these two regions exhibited changes in YOY abundance and different periods of relatively high YOY abundance that were inversely related to each other; CB indices were highest from ca. 1971 to 1991, whereas SNE indices were high from ca. 1995 to 2005. We tested for effects of climatic, environmental, biological, and fishing-related variables that have been documented or hypothesized to influence stock productivity. A broad-scale indicator of climate, the Atlantic Multidecadal Oscillation, was the best single predictor of coast-wide recruitment patterns, and had opposing effects on the CB and SNE regions. Underlying mechanisms of spatial and interannual variability in recruitment likely derive from interactions among climatology, larval transport, adult menhaden distribution, and habitat suitability. The identified regional patterns and climatic effects have implications for the stock assessment of Atlantic menhaden, particularly given the geographically constrained nature of the existing fishery and the climatic oscillations characteristic of the coastal ocean.
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  • 126
    Publication Date: 2016-03-23
    Description: This paper focuses on the transition in the Dutch cutter fleet-targeting flatfish, from the conventional beam trawl to the pulse trawl fishing gear. In doing so, we explore the process of gear transition, presenting the challenges that fishers and policy-makers face. The pulse trawl technique represents a particularly controversial gear transition as it makes use of electricity, which has been banned by the European Union since 1988. However, it is seen by those developing it in the Netherlands as an important alternative fishing gear to the conventional beam trawl technique, which is becoming increasingly inefficient with rising fuel prices and well-documented impact on benthic habitats. By using a multi-level perspective on socio-technical transitions as the analytical framework, we explore the development of the pulse trawl and the interaction between different levels. We also discuss the influence of technology-push on its transition into practice and regulation. This paper demonstrates the importance of social dimensions in the adoption of new fishing gears and in doing so contributes to our knowledge on how technological transitions in fisheries can be managed.
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  • 127
    Publication Date: 2016-03-23
    Description: Fisheries independent monitoring of widely distributed pelagic fish species which conduct large seasonal migrations is logistically complex and expensive. One of the commercially most important examples of such a species in the Northeast Atlantic Ocean is mackerel for which up to recently only an international triennial egg survey contributed to the stock assessment. In this study, we explore whether fisheries acoustic data, recorded opportunistically during the English component of the North Sea International Bottom Trawl Survey, can contribute to an improved understanding of mackerel distribution and provide supplementary data to existing dedicated monitoring surveys. Using a previously published multifrequency acoustic mackerel detection algorithm, we extracted the distribution and abundance of schooling mackerel for the whole of the North Sea during August and September between 2007 and 2013. The spatio-temporal coverage of this unique dataset is of particular interest because it includes part of the unsurveyed summer mackerel feeding grounds in the northern North Sea. Recent increases in landings in Icelandic waters during this season suggested that changes have occurred in the mackerel feeding distribution. Thus far it is poorly understood whether these changes are due to a shift, i.e. mackerel moving away from their traditional feeding grounds in the northern North Sea and southern Norwegian Sea, or whether the species' distribution has expanded. We therefore explored whether acoustically derived biomass of schooling mackerel declined in the northern North Sea during the study period, which would suggest a shift in mackerel distribution rather than an expansion. The results of this study show that in the North Sea, schooling mackerel abundance has increased and that its distribution in this area has not changed over this period. Both of these findings provide, to our knowledge, the first evidence in support of the hypothesis that mackerel have expanded their distribution rather than moved away.
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  • 128
    Publication Date: 2016-03-23
    Description: Weight-at-length and length-/weight-at-age were analysed for mature 3- to 8-year-old Northeast Atlantic mackerel ( Scomber scombrus ; n = 26 084) collected annually in autumn (September and October) at the end of the annual feeding season during 1984–2013 in the northern North Sea. The age range represented 92% of the mackerel stock size (age 3+). During the most recent decade, mackerel length- and weight-at-age continually declined. In 2013, the average mackerel was 3.7 cm shorter and weighed 175 g less than the average individual in 2002. Individual weight-at-length, demonstrating annual summer feeding success, continually declined during the most recent 5 years, whereas somatic growth of cohorts aged 3–8 continually declined for the last 11 of 25 cohorts investigated. Growth of the latest cohort was 34% of the maximum cohort growth recorded. Both weight-at-length and cohort growth were negatively affected by mackerel stock size and Norwegian spring-spawning herring ( Clupea harengus ) stock size (weight-at-length: r 2 = 0.89; growth (length): r 2 = 0.68; growth (weight): r 2 = 0.78), while temperature was not significant. Conspecific density-dependence was most likely mediated via intensified competition associated with greater mackerel density. Negative effects of herring were likely mediated by exploitative competition for shared food resources rather than direct competition due to limited spatio-temporal overlap between mackerel and herring during the feeding season. Herring begin their seasonal feeding migration at least a month before mackerel; therefore, herring consumption influences prey availability for the later-arriving mackerel. Record low mackerel growth and negative effects of mackerel and herring stock size suggest that the carrying capacity of the Norwegian Sea and adjacent areas for plankton-feeding fish stocks have been reached. However, compounding effects of a less productive Norwegian Sea during the 30-year period cannot be excluded.
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  • 129
    Publication Date: 2016-03-23
    Description: Under the "high survival" exemption of the European landing obligation or discard ban, monitoring vitality and survival of European flatfish becomes relevant to a discard-intensive beam trawl fishery. The reflex action mortality predictor (RAMP) method may be useful in this context. It involves scoring for the presence or absence of natural animal reflexes to generate an impairment score which is then correlated with post-release or discard mortality. In our first experiment, we determined suitable candidate reflexes for acclimated, laboratory-held European plaice ( Pleuronectes platessa ) and common sole ( Solea solea ). In a second experiment, we quantified reflex impairment of commercially trawled-and-handled plaice and sole in response to commercial fishing stressors. In a third experiment, we tested whether a combined reflex impairment and injury (vitality) score of plaice was correlated with delayed post-release mortality to establish RAMP. Five-hundred fourteen trawled-and-discarded plaice and 176 sole were assessed for experimentally confirmed reflexes such as righting, evasion, stabilise, and tail grab, among others. Of these fish, 316 plaice were monitored for at least 14 d in captivity, alongside 60 control plaice. All control fish survived, together with an average of 50% (±29 SD) plaice after being trawled from conventional, 60 min trawls and sorted on-board a coastal beam trawler. Stressors such as trawl duration, wave height, air, and seawater temperature were not as relevant as a vitality score and total length in predicting post-release survival probability. In the second experiment where survival was not assessed, reflex impairment of plaice became more frequent with prolonged air exposure. For sole, a researcher handling-and-reflex scoring bias rather than a fishing stressor may have confounded results. Scoring a larger number of individuals for injuries and reflexes from a representative selection of trawls and trips may allow for a fleet-scale discard survival estimate to facilitate implementation of the discard ban.
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  • 130
    Publication Date: 2015-06-20
    Description: Lucas and Rossi-Hansberg (L&RH) (2002, Econometrica , 70: 1445–1476) and Fujita and Ogawa (F&O) (1982, Regional Science and Urban Economics , 12: 161–196, 1989, Environment and Planning A , 21: 363–374) develop urban models in which economic activity self-organizes due to spillovers in production. However, F&O (1982, Regional Science and Urban Economics , 12: 161–196, 1989, Environment and Planning A , 21: 363–374) show that rents and employment density are flat or falling as the city center is approached, while in the simulations of L&RH (2002, Econometrica , 70: 1445–1476), rents rise at an increasing rate toward the center suggesting a concentration of employment near the center. For the Lucas and Rossi-Hansberg model, we prove that land rents and density must be flat or falling near the center. We explain how using a polar coordinate system when approximating a two-dimensional integral can create systematic imprecision in their simulations, and then present revised simulations. The proofs and simulations suggest that in urban models where economic activity self-organizes firms do not unduly cluster at the center of a central business district even in monocentric equilibria.
    Keywords: R13 - General Equilibrium and Welfare Economic Analysis of Regional Economies, R14 - Land Use Patterns, R30 - General
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  • 131
    Publication Date: 2015-05-30
    Description: In the context of the landing obligation under the European Common Fisheries Policy, electronic monitoring (EM) is often presented as one of the solutions to fully document catches. EM includes video monitoring to record the catch handling process on board the vessels. This study evaluated the efficacy of EM for cod ( Gadus morhua ) catches on vessels in a mixed bottom-trawl fishery and tested the hypothesis that cod catches are difficult to detect with video monitoring, specifically in catches with large volumes of bycatch. In 2011, a catch quota pilot study started for cod in the Dutch bottom-trawl fishery in which EM was used as an audit system to review the consistency of reported cod catches. Eleven vessels joined the pilot study on a voluntary basis. Participants received a 30% increase in individual quota for cod and were compensated with extra effort in days at sea. In return, all cod catches were counted against their cod quota. This mixed bottom-trawl fishery differs from fisheries where EM was proven to be a successful method, e.g. hook and line or single-species fisheries with low bycatch volumes. We conclude that distinguishing small numbers of cod in catches of mixed bottom-trawl fisheries is difficult because there is a low correlation between logbook and video data (Pearson r = 0.17). We expect similar difficulty in other mixed demersal trawl fisheries with large bycatch volumes, when similar-looking species are targeted. Meanwhile, implementing a landing obligation will pose large challenges for fisheries with large volumes of bycatch. Limitations in the applicability of EM to control one of the most common types of fisheries in Europe will be a burden on the implementation of the European landing obligation. Improved protocols and technical adaptations may reduce some of the limitations encountered in this study.
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  • 132
    Publication Date: 2015-10-14
    Description: To analyse the mutually dependent relationship between local economic performance, demand for and supply of transport services, we employ the structural panel VAR method that is popular in the macroeconomic literature, but has not previously been applied to the modelling of the within-city dynamics of transportation. We focus on a within-city panel of Berlin, Germany during the heyday of the construction of its dense public transit network (1890–1914). Our results suggest that economic outcomes and a supply of transport infrastructure mutually determine each other. We find a short-run (long-run) elasticity of property prices with respect to transport supply of 2% (8.5%). Both transport demand and supply seem to be driven more by firms than by residents.
    Keywords: N73 - Europe: Pre-1913, N74 - Europe: 1913-, R12 - Size and Spatial Distributions of Regional Economic Activity, R14 - Land Use Patterns, R41 - Transportation: Demand, Supply, and Congestion ; Safety and Accidents ; Transportation Noise
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  • 133
    Publication Date: 2015-10-14
    Description: Questions remain about the factors that influence the ability of transnational corporations (TNCs) to shape processes of institutional change. In particular, questions about power relations need more attention. To address such questions, this article develops a neo-institutional theory-inspired analysis of the case of English law firms and their impacts on institutional change in Germany. The article shows that the shaping of the direction of institutional change by English legal TNCs was a product of conjunctural moments in which local institutional instability combined with the presence, resources and strategies of the TNCs to redirect the path of institutional evolution. This draws attention to the need to go beyond the TNC and its resources and to consider the way a diverse array of local actors and their generating of instability in existing institutional structures influence the ability of TNCs to become involved in processes of institutional change in particular, conjunctural moments in time.
    Keywords: General, L84 - Personal, Professional, and Business Services, M16 - International Business Administration
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  • 134
    Publication Date: 2015-10-14
    Description: Using Census 2000 CTPP tract-level data for the 51 largest U.S. metropolitan areas, airport cities—agglomerations of employment anchored by airports—are placed in the context of metropolitan spatial form in order to understand their emergence and function. Major airports anchor significant concentrations of employment which average one-third to one-half the size of the respective CBDs, depending upon the operationalization, while 80% of the airports anchor employment agglomerations. Airport cities are anchored by airports but not driven by aviation. The relationship between spatial form and economic function suggests that need for airport access determines the location of transportation-providing employment while spatial employment filtering, based on urban land costs and agglomeration benefits, are responsible for the presence of transportation-supporting and transportation-using employment, such as producer services.
    Keywords: L93 - Air Transportation, O18 - Regional, Urban, and Rural Analyses, R12 - Size and Spatial Distributions of Regional Economic Activity
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  • 135
    Publication Date: 2015-10-22
    Description: Because of the increasing oil industry development in the Arabian Gulf, hundreds of oil and gas facilities have been installed in both offshore and inshore areas during the last few decades. However, no studies have been conducted till now on the influence of these platforms on the structure and composition of marine faunal assemblages. The present work addresses this issue to propose environmental management measures connected to the utilization of fishery resources. Offshore and inshore surveys were carried out along the Saudi Gulf waters using trawl and beach-seine nets, respectively. Data relative to only fish (offshore) and fish and invertebrates (inshore) were collected concurrently with several factors: density of oil and gas facilities (offshore), distance to the nearest coastal platform (inshore), oceanographic variables, and habitat characteristics. Results of offshore surveys indicated higher fish density—both total and of fishery resources—in locations with a higher number of oil and gas facilities within a 5 km radius, whereas biomass density was not significantly different. Hence, oil and gas facilities seem to serve as nursery areas for small fish. For inshore communities, more species and diversity were found in stations closer to coastal oil and gas facilities. In addition, among the five coastal embayments sampled, those with more oil and gas facilities had more species. The findings of the present work support the hypothesis of a positive net ecological role of oil and gas platforms of the Saudi Arabian Gulf, with the implication that this effect could be extended to improve the sustainability of important fishery resources.
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  • 136
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    Unknown
    Oxford University Press
    Publication Date: 2015-10-22
    Description: This article summarizes some of my accomplishments during a 45-year career in fisheries science that ranged from conducting fish stock assessments, working for an international marine science organization, and managing a variety of scientific projects and activities, to finally serving as a scientific editor. In doing so, I have tried to focus on lessons learned. Starting my working life as a high-school math teacher, I soon opted for a different career, returned to the university, and received a PhD in fisheries biology. The first 15 years of my career were at the Woods Hole Laboratory of the National Marine Fisheries Service (NMFS) doing fish stock assessments, where my main interest was Atlantic mackerel ( Scomber scombrus ). Until the USA declared a 200-mile Exclusive Economic Zone (EEZ) in early 1977, the focal point of my work was the International Commission for the Northwest Atlantic Fisheries (ICNAF). Lasting friendships with scientists from other countries developed during the ICNAF meetings and continued for years thereafter, some to the present day. During 1977–1985, my assessment activities were confined to domestic fisheries and interactions with regional fishery management councils, where I found that a cooperative attitude and the use of non-technical language made a positive impression and helped build trust. Involvement in ICES assessment working groups led, in 1985, to being appointed Statistician in the ICES Secretariat in Copenhagen and the start of an 8-year life in the international community that culminated in becoming General Secretary. Some major changes in ICES in which I was intimately involved are discussed. After my return to the USA in 1994, my career included managing a variety of activities and projects in Woods Hole and at NOAA/NMFS headquarters in Silver Spring, MD (where I was NMFS liaison to the National Sea Grant Office), finally concluding, after my retirement from NMFS in 2004, with continued engagement in fisheries science as an editor for ICES. Having benefited from experiences in science and administration and the lessons learned therein, it is a pleasure, via this article, to offer advice to young scientists contemplating potential paths to pursue in their careers.
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  • 137
    Publication Date: 2015-10-22
    Description: For several decades, the fisheries stock assessment paradigms of virtual population analysis (VPA) and statistical catch-at-age (SCA) models have been routinely applied to major fish stocks, and their prevalence often dictated by historical continuity, local experience, and geographical differences in standard practices. Similarly, there is a growing split among models using short and long time-series. In one approach, only the recent time-series, where the data are relatively complete, and the assumptions about stationarity in population and sampling processes are relatively simple, are included. In the other, long time-series include far more historical data, but necessitate the relaxation of many common assumptions regarding stationarity. Unlike scientific paradigms in fields outside of fisheries science where empirical validation can provide a growing body of irrefutable evidence (such as physics), there is no expectation that some "truth" will emerge or that a single best stock assessment modelling approach will ultimately displace the others. The 2013 Pacific halibut SCA stock assessment, with the addition of a VPA-based analysis, is used to illustrate how an ensemble approach can represent a more complete description of the uncertainty in management quantities, relative to selecting just one of these competing model paradigms. We suggest that risk assessment for fisheries management, based on stock assessment models, should seek to avoid binary decisions about which models to include, and instead seek better approaches to incorporate alternative models. The ensemble approach to stock assessment also provides a conceptual link between traditional "best model" analyses and fully developed management strategy evaluation of harvest policy and management procedures.
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  • 138
    Publication Date: 2015-10-22
    Description: The eastern Baltic (EB) cod ( Gadus morhua ) stock was depleted and overexploited for decades until the mid-2000s, when fishing mortality rapidly declined and biomass started to increase, as shown by stock assessments. These positive developments were partly assigned to effective management measures, and the EB cod was considered one of the most successful stock recoveries in recent times. In contrast to this optimistic view, the analytical stock assessment failed in 2014, leaving the present stock status unclear. Deteriorated quality of some basic input data for stock assessment in combination with changes in environmental and ecological conditions has led to an unusual situation for cod in the Baltic Sea, which poses new challenges for stock assessment and management advice. A number of adverse developments such as low nutritional condition and disappearance of larger individuals indicate that the stock is in distress. In this study, we (i) summarize the knowledge of recent changes in cod biology and ecosystem conditions, (ii) describe the subsequent challenges for stock assessment, and (iii) highlight the key questions where answers are urgently needed to understand the present stock status and provide scientifically solid support for cod management in the Baltic Sea.
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  • 139
    Publication Date: 2015-10-22
    Description: This study presents a state-space modelling framework for the purposes of stock assessment. The stochastic population dynamics build on the notion of correlated survival and capture events among individuals. The correlation is thought to arise as a combination of schooling behaviour, a spatially patchy environment, and common but unobserved environmental factors affecting all the individuals. The population dynamics model isolates the key biological processes, so that they are not condensed into one parameter but are kept separate. This approach is chosen to aid the inclusion of biological knowledge from sources other than the assessment data at hand. The model can be tailored to each case by choosing appropriate models for the biological processes. Uncertainty about the model parameters and about the appropriate model structures is then described using prior distributions. Different combinations of, for example, age, size, phenotype, life stage, species, and spatial location can be used to structure the population. To update the prior knowledge, the model can be fitted to data by defining appropriate observation models. Much like the biological parameters, the observation models must also be tailored to fit each individual case.
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  • 140
    Publication Date: 2015-10-22
    Description: Ecosystem models, specifically multispecies dynamic models, have been increasingly used to project impacts of fishing activity on the trophodynamics of ecosystems to support ecosystem-based fisheries management. Uncertainty is unavoidable in modelling processes and needs to be recognized and properly quantified before models are utilized. Uncertainty was assessed in this study for a multispecies size-spectrum model that quantifies community structure and ecological characteristics. The uncertainty was assumed to result from errors in fish life-history and metabolic scale parameters, environmental variability, fishing variability, and sampling errors. Given the same level of imprecision, metabolic scale parameters had the dominant influence on the uncertainty of the size spectrum modelling results, followed by life-history parameters. Both types of errors led to "scenario uncertainty", suggesting the possible existence of alternative states of community structure. Environmental variability, fishing variability, and observation errors resulted in "statistical uncertainty", implying that such uncertainty can be described adequately in statistical terms. The results derived from such a simulation study can provide guidance for identifying research priorities to help narrow the gap in scientific knowledge and reduce the uncertainty in fisheries management.
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  • 141
    Publication Date: 2015-10-22
    Description: Contrary to the declared recovery of the stock, the density-dependent growth of Eastern Baltic cod ( Gadus morhua , Gadidae), probably related to increased gear selectivity, may have disrupted the size structure and substantially lowered the productivity of the stock. This naturally affects the profitability and future development of industry as well as ecosystem objectives in relation to policies such as the Marine Strategy Framework Directive. As a result, current management frameworks need to be reconsidered with a clear priority on setting objectives related to both socio-economic and ecosystem considerations. We explore various management options, using bioeconomic modelling to visualize potential trade-offs, and form an integrated decision support to inform managers regarding potential yield in biomass, revenue at both the fleet and individual levels, and environmental impact of fishing. We also investigate the consequences of preventing density-dependence by lowering selectivity, L c , while optimizing for economic revenue and minimizing ecosystem impacts. Our findings indicate that new strategies need to be adopted by reducing L c as well as fishing mortality, F , to restore individual growth and, hence, stock productivity. We also note that these more risk-averting strategies are positively linked to better profitability at both the individual and fleet levels as well as with enhanced ecosystem functioning and lower ecological stress.
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  • 142
    Publication Date: 2015-10-22
    Description: Under the 2013 Reform of the European Union's Common Fisheries Policy (CFP), fisheries management aims to ensure that, within a reasonable time frame, the exploitation of marine biological resources restores and maintains populations of harvested stocks above levels that can produce the maximum sustainable yield ( MSY ). The CFP also calls for the implementation of an ecosystem-based approach to fisheries management (EBFM). In this paper, we present the concept of maximum sustainable dead biomass ( MSDB ) and its associated management reference points for fishing mortality and spawning-stock biomass as alternatives to those associated with MSY . The concept of MSDB is illustrated by a dynamic pool production model of a virtual fish stock which takes into account variations in natural mortality ( M ), fishing mortality ( F ), and exploitation pattern. Our approach implies a compensatory mechanism whereby survivors may benefit from compensatory density dependence and is implemented through progressive substitution of M with F for varying rates of total mortality ( Z ). We demonstrate that the reference points for fishing mortality and spawning-stock biomass associated with MSDB are less sensitive to increasing compensation of M with F than those associated with MSY and more sensitive to changes in selection pattern. MSDB -based reference points, which are consistent with maximum stock productivity, are also associated with lower fishing mortality rates and higher stock biomasses than their MSY -based counterparts. Given that selection pattern can be influenced through fishery input measures (e.g. technical gear measures, decisions on areas, and/or times of fishing), whereas variations of M in response to F are not controllable (indeed poorly understood), that the results of many fish stock assessments are imprecise, that maximum stock productivity corresponds to MSDB and that MSY -based reference points may best be considered as limits, we propose that MSDB -based reference points provide a more appropriate basis for management under an EBFM.
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  • 143
    Publication Date: 2015-10-22
    Description: Our oceans are heavily utilized by a wide variety of human activities that exert pressures which negatively impact marine ecosystems, occasionally leading to unsustainable rates of exploitation. A linkage framework approach can be used to make independent associations between sectors, activities, and the pressures they introduce. However, in reality, many different sectors and their associated activities overlap in time and space, potentially changing the severity of their impact as pressures combine, and undermine the efforts of environmental managers to mitigate the harmful effects of those activities. Here, we present a spatially resolved approach to assess the potential for combined effects using a linkage framework assessment. Using illustrative examples from the Northeast Atlantic, we show the likelihood of changes in pressure severity as a result of multiple overlapping activities. Management options to limit pressure introduction are explored and their benefit—measured as a reduction in the area of seabed impacted—assessed. In its simplest form, the approach can be used to develop potential precautionary management options in areas where data availability is poor and more comprehensive management measures where data are more widely available.
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  • 144
    Publication Date: 2015-10-22
    Description: In the course of the past two decades, Atlantic mackerel, Scomber scombrus , have expanded their summer feeding distribution in the Norwegian Sea substantially, and now potentially overlap with pelagic larvae of Norwegian spring-spawning herring, Clupea harengus , as these drift northwards. Mackerel are known to be opportunistic predators, and the aim of this study was to evaluate mackerel predation in an area of overlap between mackerel and herring larvae, with particular focus on predation on herring larvae. In early June 2013, we followed a predefined transect in the expected core larvae distribution area on the Norwegian coastal shelf between about 66°N and 69°N. The transect was repeated twice, and samples of mackerel for stomach analyses and subsequent herring larvae samples were obtained at pre-defined stations. Mackerel were caught in all but one of the trawl hauls, but were hardly ever observed acoustically, suggesting that they were dispersed close to the surface throughout the study area. Herring larvae were caught in all samples. Calanoid copepods were the dominant prey of the mackerel, but 45% of the mackerel guts contained herring larvae, with a maximum of 225 larvae counted in a single gut. Both the frequency of guts containing herring larvae and the average amount of herring larvae increased in line with increasing abundance of larvae. On the other hand, no spatial correlation between mackerel abundance and herring larvae abundance was found at the station level. The results suggest that mackerel fed opportunistically on herring larvae, and that predation pressure therefore largely depends on the degree of overlap in time and space. Rough areal projections suggest that the mackerel would be capable of consuming the herring larvae present in the investigation area in 6–7 d, and that such predation therefore could have regulatory effects on stocks of Norwegian spring-spawning herring.
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  • 145
    Publication Date: 2015-10-22
    Description: Predicting the effects of aquaculture development for coastal ecosystems remains challenging, particularly for data-limited systems, and tools that account for complex ecological interactions are needed to support ecosystem approaches to aquaculture. Here, we used qualitative network models (QNMs) to examine the potential community effects of increasing bivalve aquaculture in South Puget Sound, a large estuarine system in Washington, United States. QNMs are formalized conceptual models that require only a qualitative understanding of how variables composing a system interact (that is, the sign of interactions: +, –, and 0) and are therefore well-suited to data-limited systems. Specifically, we examined community-wide responses to scenarios in which bivalve cultivation effort increased for three different bivalve species (Manila clam Venerupis philippinarum , Pacific oyster Crassostrea gigas , and geoduck Panopea generosa ). Further, we evaluated community-wide responses to the removal of benthic bivalve predators, a future increase in nutrient loadings, and combinations of these scenarios acting simultaneously. The scenarios enabled identification of potential trade-offs between increased aquaculture and shifts in the abundance of community members and assessment of the possible effects of different management actions. We also analysed the QNM to identify key interactions that influence the sign outcome of community responses to press perturbations, highlighting potential points for management intervention and linkages deserving of more focused quantitative study. QNMs are mathematically robust and highly flexible, but remain underutilized. We suggest that they may serve as valuable tools for supporting ecosystem approaches to aquaculture.
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  • 146
    Publication Date: 2015-10-22
    Description: Protecting essential habitats through the implementation of area closures has been recognized as a useful management tool for rebuilding overfished populations and minimizing habitat degradation. School shark ( Galeorhinus galeus ) have suffered significant stock declines in Australia; however, recent stock assessments suggest the population may have stabilized and the protection of closed nursery areas has been identified as a key management strategy to rebuilding their numbers. Young-of-the-year (YOY) and juvenile G. galeus were acoustically tagged and monitored to determine ontogenetic differences in residency and seasonal use of an important protected nursery area (Shark Refuge Area or SRA) in southeastern Tasmania. Both YOY and juvenile G. galeus showed a distinct seasonal pattern of occurrence in the SRA with most departing the area during winter and only a small proportion of YOY (33%) and no juveniles returning the following spring, suggesting areas outside the SRA may also be important during these early life-history stages. While these behaviors confirm SRAs continue to function as essential habitat during G. galeus early life history, evidence of YOY and juveniles emigrating from these areas within their first 1–2 years and the fact that few YOY return suggest that these areas may only afford protection for a more limited amount of time than previously thought. Determining the importance of neighbouring coastal waters and maintaining the use of traditional fisheries management tools are therefore required to ensure effective conservation of G. galeus during early life history.
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  • 147
    Publication Date: 2015-10-22
    Description: Fishery management production models tend to stress only the elements directly linked to fish (i.e. fish, fish food, and fish predators). Large coastal jellyfish are major consumers of plankton in heavily fished ecosystems; yet, they are frequently not included as model components. We explore the relationship between gulf menhaden ( Brevoortia patronus ) and the large scyphozoan jellyfish ( Aurelia spp. and Chrysaora sp.), and provide an examination of trophic energy transfer pathways to higher trophic levels in the northern Gulf of Mexico. A trophic network model developed within the ECOPATH framework was transformed to an end-to-end model to map foodweb energy flows. Relative changes in functional group productivity to varying gulf menhaden consumption rates, jellyfish consumption rates, and forage fish (i.e. gulf menhaden, anchovies, and herrings) harvest rates were evaluated within a suite of static, alternative energy-demand scenarios using ECOTRAN techniques. Scenario analyses revealed forage fish harvest enhanced jellyfish productivity, which, in turn, depressed menhaden productivity. Modelled increases in forage fish harvest caused pronounced changes in ecosystem structure, affecting jellyfish, marine birds, piscivorous fish, and apex predators. Menhaden were found to be a more efficient and important energy transfer pathway to higher trophic levels compared with jellyfish. A simulated increase in jellyfish abundance caused the relative production of all model groups to decline. These outcomes suggest that jellyfish blooms and forage fish harvest have demonstrable effects on the structure of the northern Gulf of Mexico ecosystem.
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  • 148
    Publication Date: 2015-10-22
    Description: The European Union Marine Strategy Framework Directive (MSFD) uses indicators to track ecosystem state in relation to Good Environmental Status (GES). These indicators were initially expected to be "operational", i.e. to have well-understood relationships between state and specified anthropogenic pressure(s), and to have defined targets. Recent discussion on MSFD implementation has highlighted an additional class of "surveillance" indicators. Surveillance indicators monitor key aspects of the ecosystem for which there is: first, insufficient evidence to define targets and support formal state assessment; and/or second, where links to anthropogenic pressures are either weak or not sufficiently well understood to underpin specific management advice. Surveillance indicators are not only expected to directly track state in relation to GES, but also to provide complementary information (including warning signals) that presents a broader and more holistic picture of state, and inform and support science, policy, and management. In this study, we (i) present a framework for including surveillance indicators into the Activity–Pressure–State–Response process, (ii) consider a range of possible indicators that could perform this surveillance role, and (iii) suggest criteria for assessing the performance of candidate surveillance indicators, which might guide selection of the most effective indicators to perform this function.
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  • 149
    Publication Date: 2015-10-22
    Description: We evaluated the influence of environmental exposure of juvenile Atlantic cod ( Gadus morhua ) to inform interpretations of natal origins and movement patterns using otolith geochemistry. Laboratory rearing experiments were conducted with a variety of temperature (~5, 8.5, and 12°C) and salinity (~25, 28.5, and 32 PSU) combinations. We measured magnesium (Mg), manganese (Mn), strontium (Sr), and barium (Ba), expressed as a ratio to calcium (Ca), using laser ablation inductively coupled plasma mass spectrometry (ICP-MS), and stable carbon ( 13 C) and oxygen ( 18 O) isotopes using isotope ratio monitoring mass spectrometry. Temperature and salinity significantly affected all elements and isotopes measured, except salinity on Mg:Ca. We detected significant interactions among temperature and salinity for Mn:Ca and Ba:Ca partition coefficients (ratio of otolith chemistry to water chemistry), with significant temperature effects only detected in the 32 and 28.5 PSU salinity treatments. Similarly, we detected a significant interaction between temperature and salinity in incorporation of 13 C, with a significant temperature effect except at intermediate salinity. These results support the contention that environmental mediation of otolith composition varies among species, thus limiting the ability of generalized models to infer life history patterns from chemistry. Our results provide essential baseline information detailing environmental influence on juvenile Atlantic cod otolith composition, punctuating the importance of laboratory validations to translate species-specific otolith composition when inferring in situ life histories and movements.
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  • 150
    Publication Date: 2015-10-22
    Description: Fecundity and reproductive potential are important factors to be considered in evaluating trajectories and demographic predictions of fish populations. Therefore, characterizing the nature and quantifying the extent of any reproductive failure should be considered in fisheries studies. Here, we describe morphological changes in developed ovaries of autumn-spawning herring ( Clupea harengus membras ) caught in the northern Baltic Sea and evaluate the magnitude of this phenomenon during 3 consecutive years. Visibly, abnormal ovaries were histologically characterized by irregular-shaped oocytes in a vitellogenic or final maturation stage with coagulative necrosis and liquefaction of the yolk sphere, degraded follicle membranes, and fibrinous adhesion among oocytes. Such degeneration is presumed to cause complete infertility in the fish. The frequency of fish with abnormal ovaries varied annually between 10 and 15% among all females sampled. However, specific sampling events showed up to 90% females with abnormal gonads. The specific cause of this abnormality remains unknown; however, prevalence was associated with unfavourable environmental conditions encountered before spawning. Thus, ovarian abnormality was positively related to water temperatures, with the highest level found at ≥15°C and negatively related to the frequency of strong winds. The frequency of occurrence of abnormal gonads decreased with the progression of spawning from August to October. The observed abnormality and associated spawning failure will negatively affect the realized fecundity of autumn herring in the Baltic Sea and may act as a limiting factor for recovery of the stock, which has experienced profound depression during the last three decades.
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  • 151
    Publication Date: 2015-10-22
    Description: We studied seasonal and small-scale spatial variation in fish assemblage structure in the northern Baltic Proper archipelago. The study was conducted in a shallow coastal basin during three consecutive production-seasons. The structure of the fish assemblage changes significantly seasonally, from early summer (May–June) to late summer (August–September), and spatially over short distances (ca. 500 m) and small depth intervals (ca. 5 m) in an area without physical barriers. The magnitude of the seasonal variation was depth zone-specific, indicating that seasonal patterns from a given depth zone cannot be directly extrapolated to adjacent ones, let alone to a whole water body. In early summer, the adult fish displayed spawning aggregations, and their abundance was highest closest to the shoreline. In late summer, the adult fish were more evenly distributed and the assemblage was dominated by high abundances of juvenile fish. The results underline the importance of including several spatial and temporal scales into studies on fish distribution. The resulting patterns from such studies may appear idiosyncratic unless the nature and magnitude of seasonal variation and small-scale depth zone distribution are taken into account.
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  • 152
    Publication Date: 2015-10-22
    Description: Early post-settlement mortality is one of the main processes determining distribution and abundance patterns of marine benthic invertebrates. Most scallops have an attached phase as spat before they release the byssus and move onto the soft sediments. Thus, spat differ from other stages of life in their use of microhabitat, lack of mobility, and therefore in their vulnerability to mortality processes such as predation. However, the contribution of predation to explain levels of mortality experienced by spat and early juvenile scallops is unknown. Complex habitats such as seagrasses and algae provide a substrate upon which spat can attach and might confer an advantage as a refuge from predation. This study investigates the contribution of early post-settlement predation on abundance of Pecten fumatus and determines the role of the algae Hincksia sordida as a refuge from predation. Data were collected using field observations, a predator exclusion experiment, and tethering techniques. Mortality of up to 85% during the first weeks after settlement appeared to have prevented the establishment of an adult population at our study site. Mats of the macroalgae H. sordida provided a settlement substrate for P. fumatus spat. However, increased algal biomass did not provide greater protection from predation to juvenile scallops than lower algal biomass. Our study suggests that prey survival in submersed vegetation is likely to be dynamic among years, and affected by prey behaviour and density as well as the characteristics of the submerged vegetation.
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  • 153
    Publication Date: 2015-10-22
    Description: Estimates of trophic levels (TLs) are used to calibrate, parameterize, and validate foodweb models and to calculate metrics and indicators of foodweb structure and human impacts. We develop a method to estimate TL from nitrogen stable isotope data ( $${\delta }^{15}\hbox{ N }$$ ) and apply it to 5535 individuals from 62 species of marine fish and squids sampled from the Celtic Sea, English Channel, Irish Sea, and North Sea. With this method, uncertainties in $${\delta }^{15}\hbox{ N }$$ at the base of the foodweb (from a marine isoscape generated with environmental data) and in trophic fractionation (from existing fixed and scaled fractionation models) are propagated through the analysis to quantify uncertainty in TL. Higher values of base and consumer 15 N lead to greater uncertainty in TL estimates for individual consumers. Base and consumer $${\delta }^{15}\hbox{ N }$$ are higher in coastal regions with lower salinity, such as the Irish Sea and Channel coasts, so uncertainty in individual TL estimates is relatively high in these regions. Conversely, when base and consumer $${\delta }^{15}\hbox{ N }$$ are low, as in the high salinity waters of the northern North Sea, uncertainty is relatively low. Uncertainty intervals for species' predicted TL at a reference mass (based on ≥10 individuals spanning a range of body sizes) are small compared with estimates for individual consumers, as are estimates of slope of the TL body mass relationship. For ~50% of region and species combinations showing trends in TL with body mass, there are eight times more positive relationships than negative ones. Our approach can be applied at large spatial scales. It generates estimates of uncertainty that support more rigorous and informed comparisons of the trophic ecology of size classes, species, and species-groups. A data file that includes estimates of TL and associated uncertainty for all sampled individuals accompanies this study.
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  • 154
    Publication Date: 2015-10-22
    Description: Distribution patterns and species composition of macrozoobenthos were studied in the Dutch coastal zone in front of the Port of Rotterdam. Relationships between macrozoobenthic assemblages and environmental variables were determined using non-metric dimensional scaling (nMDS) based on 470 boxcore, bottom sledge, and sediment samples collected in spring 2006 and 2008 in a 2500-km 2 research area. We investigated two types of benthic assemblages, infaunal assemblages sampled with a boxcorer and epifaunal assemblages sampled with a bottom sledge. Five main in- and epifaunal assemblages were distinguished using clustering techniques and nMDS ordinations. Macrozoobenthic species composition correlated with combinations of measured sediment variables and modelled hydrodynamic variables. Macrozoobenthic species richness and biomass were highest at 20 m deep areas with a grain size of 200 µm, elevated mud and sediment organic matter, and low mean bed shear stress. Considerable interannual differences in macrozoobenthic assemblage distribution were observed which resulted from more Echinoids, Phoronids, and jackknife clams. A distinct, highly productive and species-rich macrozoobenthic white furrow shell Abra alba assemblage coincided in a 8-m deepened shipping lane and near a disposal site for dredged fine sediment. This may be an indication that the benthic system can be changed by these human activities. Modelled bed shear stress is an important variable in addition to sediment variables in explaining distribution patterns in macrozoobenthos.
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  • 155
    Publication Date: 2015-10-22
    Description: Pop-up satellite archival tags were deployed on 40 white marlin Kajika albida (synonym: Tetrapturus albidus ) off the coasts of Maryland and North Carolina (United States), and the island nation of Aruba in the Caribbean. Useful data were available for analysing vertical and horizontal habitat use from 28 individuals. Time at liberty ranged from 10 to 181 d (mean 115, SD 53.3). Seasonal southerly fall migration routes were documented for fish released off the northeastern United States, while those released off Aruba remained in the Caribbean basin. Horizontal movements ranged from 228 to 8084 km (19–100 km d –1 ) based on light-level geolocation estimates using a sea surface temperature and bathymetry-corrected Kalman filter. Analyses included an evaluation of vertical movements using T , the time spent at temperature relative to the uniform temperature surface layer. Movements included exploration of depths as great as 387 m and ambient temperatures as low as 7.8°C. However, the greatest proportion of time was spent in the upper 20 m of the water column for both day (50.8%) and night (81.6%), and time spent in water colder than 7°C below the uniform temperature surface layer was negligible. Overall, this group showed less variability in vertical movement, and less tolerance to colder temperatures compared with similar studies for blue marlin Makaira nigricans and sailfish Istiophorus platypterus . Values for T are presented in tabular format to allow direct input into habitat standardization models used to estimate vertical distribution and population abundance. The large spatial dispersion and disparate tracks illustrated in the present study serve to underscore the complexity of white marlin behaviour and habitat use, and further emphasize the many challenges facing the management and conservation of this overexploited species.
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  • 156
    Publication Date: 2015-10-22
    Description: Interactions between cetaceans and the purse-seine fishery operating along the whole Portuguese continental coast were studied based on on-board observations from 2010 to 2011. Cetacean presence and mortality were estimated and characteristics under which interactions were most likely to occur were identified. Observations were made on 163 fishing trips (0.7% of the average annual number of fishing trips) and 302 fishing operations/hauls. Cetaceans were present during 16.9% of fishing events; common dolphins ( Delphinus delphis ) accounted for 96% of occurrences, mostly overnight in summer and early autumn. Regression models showed that cetacean presence during a fishing set was significantly ( p 〈 0.05) associated with sardine catches, effort, and latitude/longitude. Encirclement and mortality occurred in 2.3 and 1.0% of fishing events, respectively. Encircled species were the common dolphin, bottlenose dolphin ( Tursiops truncatus ), and harbour porpoise ( Phocoena phocoena ), but only common dolphin showed mortality (three individuals); raised to fleet level, estimated total mortality rates of common dolphins were 69 (95% CI 37–110) in the north and 91 (95% CI 55–165) in the south for 2010 and 78 (95% CI 47–140) in the south only for 2011. The estimated annual mortality rate due to purse seining is 113 (95% CI 3–264) common dolphins, which is ~0.63% of the current most optimistic estimate of population size for the Portuguese fishing area (SCANS II). The wide confidence limits, as well as variation between years, reflect low observer coverage, emphasizing the need for increased monitoring to cover gaps in the spatial and seasonal distribution of observer effort and provide reliable estimates of bycatch.
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  • 157
    Publication Date: 2015-10-22
    Description: The timing and duration of spawning and maturation schedules of Chrysophrys auratus were determined for populations in one subtropical (~25°S on the upper west coast) and two temperate regions (~32°S on the lower west and ~35°S on the south coasts) over 〉2000 km of coastline along the west coast of Australia. This study thus encompassed the wide latitudinal range of this recreationally and commercially important sparid in this region. The results were used, in conjunction with previously published data, to explore traditional paradigms regarding the relationships between the reproductive characteristics and variations in water temperature. Spawning at each latitude occurred mainly at 19–21°C, but following a decline in temperature in the subtropical region and after a rise in temperature in the two temperate regions. Spawning on the upper west coast thus occurred between mid-autumn and early spring (~7 months) as opposed to late winter to early summer on the lower west coast (~6 months). Spawning on the south coast was mainly restricted to mid-spring to early summer (~2–3 months) in 2003 and 2004 and did not occur in 2005 when temperatures in this period were the coldest on record. Thus, marked interannual differences in the prevalence of mature fish on the south coast probably reflect the "marginality" of the population. The length ( L 50 ) and age ( A 50 ) at which C. auratus matured increased markedly from 25 to 32°S. Studies such as this allow for latitudinal variations in reproductive characteristics to be incorporated into population models to optimize fisheries sustainable yield, and contribute towards appropriate spatial scales for sustainable management strategies (e.g. minimum legal lengths consistent with latitudinal variation in length-based maturity schedules). The narrow temperature range over which this species spawns accounts for its current latitudinal distribution and enables predictions of how this distribution might alter with climate change. This study provides relevant information for management and climate change implications for similar subtropical and temperate marine teleosts.
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  • 158
    Publication Date: 2015-10-22
    Description: Dams are a major contributor to the historic decline and current low abundance of diadromous fish. We developed a population viability analysis to assess demographic effects of dams on diadromous fish within a river system and demonstrated an application of the model with Atlantic salmon in the Penobscot River, Maine. We used abundance and distribution of wild- and hatchery-origin adult salmon throughout the watershed as performance metrics. Salmon abundance, distribution to upper reaches of the Penobscot watershed, and the number and proportion of wild-origin fish in the upper reaches of the Penobscot watershed increased when dams, particularly mainstem dams, were removed or passage efficiency was increased. Salmon abundance decreased as indirect latent mortality per dam was increased. Salmon abundance increased as marine or freshwater survival rates were increased, but the increase in abundance was larger when marine survival was increased than when freshwater survival was increased. Without hatchery supplementation, salmon abundance equalled zero with low marine and freshwater survival but increased when marine and freshwater survival rates were increased. Models, such as this one, that incorporate biological, environmental, and functional parameters can be used to predict ecological responses of fish populations and can help evaluate and prioritize management and restoration actions for diadromous fish.
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  • 159
    Publication Date: 2015-10-22
    Description: Reducing otter-board angle of attack (AOA) has been proposed as a way to limit the habitat impacts of demersal trawls, but there are few quantitative assessments. This study tested the hypothesis that a novel otter-board design, termed the "batwing" (comprising a 0.1-m wide sled with an offset sail at 20° AOA) would have relatively fewer bottom impacts than a conventional flat-rectangular otter board (35° AOA, with a similar hydrodynamic spreading force). Pairs of each otter board were suspended beneath a purpose-built rig comprising a beam and posterior semi-pelagic collection net and repeatedly deployed across established trawl grounds in an Australian estuary. Compared with the conventional otter boards, the batwings displaced significantly fewer empty shells ( Anadara trapezia and Spisula trigonella ) by 89% and school prawns ( Metapenaeus macleayi ) by up to 78%. These rates were similar to the difference in base-plate bottom contact (87%). Further, the batwing damaged proportionally fewer damaged shells, attributed to their displacement away from the board's surface area. Other debris (lighter pieces of wood) and benthic fish (bridled gobies, Arenigobius bifrenatus ) were not as greatly mobilised (i.e. reduced by 50 and 25%, respectively); possibly due to their position on or slightly off the bottom, and a similar influence of hydrodynamic displacement by the hydro-vane surface areas. Although the consequences of reducing otter-board bottom contact largely remain unknown, low AOA designs like the batwing may represent a practical option for fisheries where trawling is perceived to be hazardous to sensitive habitats.
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  • 160
    Publication Date: 2015-10-22
    Description: Artificial reefs are used to enhance populations of marine organisms, but relatively few studies have quantitatively evaluated which attributes of reef structure are most critical in determining whether assemblages of organisms on artificial reefs are similar to those on natural reefs. Using five pairs of artificial and natural reefs that spanned 225 km in the Southern California Bight, we evaluated how well fish assemblages on artificial reefs mimicked those on natural reefs and which attributes of reefs best predicted assemblage structure. Along underwater visual transects, we quantified fish species richness, density, and size structure, as well as substrate structure (rugosity and cover of substrate types), giant kelp density, and invertebrate density. Artificial reefs that were more similar in physical structure to natural reefs (low relief, low rugosity, and composed of small- to medium -sized boulders) supported fish assemblages that were similar to those on natural reefs. Fish species richness was not significantly different between artificial and natural reefs, but density and biomass tended to be higher on average on artificial reefs, body size was slightly smaller, and assemblage structure differed between the two reef types. Generally, artificial reefs extended higher off the seabed, were made of larger boulders, had higher rugosity, harboured more invertebrates, and supported less giant kelp. At both the within-reef (transect) and whole-reef scales, fish density and biomass were positively correlated with complex substrate structure, positively correlated with invertebrate density, and negatively correlated with giant kelp abundance, which was sparse or absent on most artificial reefs. Our results indicate that artificial reefs can support fish assemblages that are similar to those found on natural reefs if they are constructed to match the physical characteristics of natural reefs, or they can be made to exceed natural reefs in some regards at the expense of other biological attributes.
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  • 161
    Publication Date: 2015-10-22
    Description: Trawling has been reported worldwide to alter seabed structure, and thus benthic habitats and ecosystems. Usually, a decrease in species richness and biomass is observed, and community structure is modified towards more opportunistic species. The Gulf of St Lawrence (Canada) has been intensely exploited since the 17th century, including net, longline, dredge and trawl fishing activities. Recently, the collapse of groundfish stocks induced a shift in fishing practices toward shrimp trawling, which is currently considered a sustainable fishing activity in the region. However, no long-term study has evaluated the potential effects of trawling disturbances on benthic mega-invertebrates. We investigated whether shrimp trawling had long- (ca. 20 years), mid- (ca. 10 years), and short-term (ca. 4 years) impacts on benthic mega-invertebrate taxa richness, biomass, and community structure. Scientific and fishery trawling data analyses showed that no significant long-, mid-, or short-term effect was detected on taxa richness. Significant but weak effects on biomass and community structure were detected at the mesoscale, i.e. at the scale of fishing grounds. In this long-exploited ecosystem, we suggest that a critical level of disturbance was attained by the first gear passages, which occurred decades ago and had irreversible impacts on the seabed by removing vulnerable taxa and structures that provided three-dimensional habitats. It is likely that benthic communities have subsequently reached a disturbed state of equilibrium on which current trawling disturbance has limited or no further impacts.
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  • 162
    Publication Date: 2015-10-22
    Description: Understanding the way catchability of exploited fish species varies due to changes in individual fish behaviour is a seldom addressed but important requisite for extracting accurate information on fish abundance from catch per unit effort (cpue) data, particularly from baited gears. In this study, cpue data analysis was combined with analysis of movement and activity data from acoustic telemetry tags to determine the nature of seasonal changes in cpue of the recreationally caught sand flathead ( Platycephalus bassensis ) in a coastal bay and estuary in southeast Tasmania, Australia. Water temperature had a significant influence on cpue of sand flathead with lower catches at lower temperatures. Yet, even at the relatively small scale of this study (10 s of km), the mechanisms in which temperature affects cpue were highly area specific. In the shallow, estuarine part of the study area, changes in cpue were driven by changes in availability, due to seasonal movements of fish in and out of the area. In the deeper bay at the mouth of the estuary, on the other hand, changes in cpue with temperature were most likely driven by temperature-related changes in activity. At lower temperatures, fish were less active, indicating that fish will have a lower probability of encountering bait as well as lower feeding motivation due to lower metabolic debt. This shows the importance of the inclusion of an environmentally influenced catchability parameter in stock assessment models that utilize cpue data from baited gear types, which is often only done implicitly on a coarse temporal scale by accounting for changes in cpue with season. Our study furthermore highlights the usefulness of acoustic telemetry in a fisheries context beyond the basic study of fish movement, allowing the monitoring of activity levels of exploited fish in relation to environmental parameters in the field.
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  • 163
    Publication Date: 2015-10-22
    Description: Measurements of mean volume backscattering strength ( S v , dB re 1 m –1 ) at ocean-basin scale were made using 38-kHz hull-mounted echosounders on ships of opportunity as part of Australia's Integrated Marine Observing System. The data were collected on vessels of various designs, none of which were purposely built for collecting high-quality acoustic data. A full range of weather extremes affected the quality of the data and could cause large biases in S v . To remove first-order biases and improve processing efficiency, a sequence of new and existing data processing filters were applied in a semi-automated procedure. These filters were designed to mitigate the effects of three types of noise: impulsive (less than one ping), transient (multiple pings), and background (hours or longer). A filter was also applied to identify signals that were attenuated by air bubbles beneath the transducer. These filters were applied to data from transits across the Southwest Pacific, Indian, and Southern Oceans to produce quality-controlled S v datasets that are now available from a publicly accessible repository. These filters may be relevant to other open-ocean acoustic observing endeavours, and one or more could be used to mitigate bias in data from a range of acoustic applications.
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  • 164
    Publication Date: 2015-10-22
    Description: The natural body orientation adopted by krill is a crucial parameter for understanding and estimating the acoustic backscattering from these animals. Published data are scarce and are usually acquired with single camera systems that provide suboptimal control over the measurement accuracy. Here, we describe a stereo photo camera application for accurate krill measurements in situ , based on several Euphausia superba and Meganyctiphanes norvegica datasets. Body tilt orientation, body length, and school volume density from scattered and schooling krill are presented. Some challenges to the practical implementation of the method are discussed, including practical limits on krill body yaw angles for obtaining useful measurement accuracy and how to account accurately for the true vertical. Calibration and measurement accuracy is discussed together with a practical definition of krill body orientation. Krill sizes determined from stereo images are compared with those measured from trawl samples. The krill body tilt measurements yielded mean estimates of positive (head-up) or negative tilt of 9–17° with rather large spread for scattered aggregations of M. norvegica ( SD = 30–37°) and about half of that for polarized schools of E. superba ( SD = 14–17°). The measured krill body orientation distributions were also used to calculate krill acoustic target strength as predicted by the stochastic distorted wave Born approximation (SDWBA) model.
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  • 165
    Publication Date: 2015-10-22
    Description: Recent research on the relationship between coral reef water temperature and fish swimming activity has stated that swimming speed is inversely correlated with temperature above a species' optimum temperature (Johansen, J. L., and Jones, G. P. 2011. Increasing ocean temperature reduces the metabolic performance and swimming ability of coral reef damselfishes. Global Change Biology, 17: 2971–2979; Johansen, J. L., Messmer,V., Coker, D. J., Hoey, A. S., and Pratchett, M. S. 2014. Increasing ocean temperatures reduce activity patterns of a large commercially important coral reef fish. Global Change Biology, 20: 1067–1074). For tropical coral reefs, one anticipated consequence of global warming is an increase of ≥3°C in average water temperature in addition to greater thermal fluctuations [IPCC (Intergovernmental Panel on Climate Change). 2007. Summary for policymakers. In Climate Change 2007: The Physical Science Basis. Contribution of Working, Group I to the Fourth Assessment Report of the Intergovernmental Panel on Climate Change. Ed. by S. Solomon, D. Qin, and M. Manning et al. Cambridge University Press, Cambridge, UK; Lough, J. 2007. Climate and climate change on the Great Barrier Reef. In Climate Change and the Great Barrier Reef. Ed. by J. Johnson and P. A. Marshall, pp. 15–50. Great Barrier Reef Marine Park Authority and Australian Greenhouse Office, Townsville, Qld, Australia; Johansen and Jones, 2011]. Evaluating the behaviour of coral reef associated fish species at different temperatures can help to assess their sensitivity to climate change. In this study, the speed of freely swimming fish in a natural setting is investigated as a function of seasonal changes in water temperature, as contrasted with systematic temperature increases in a fish tank. We show that Dascyllus reticulatus swim faster as a function of increased water temperature over the range 20.9–30.3°C. The experiments were carried out using ~3.6 million fish trajectories observed at the Kenting National Park in Taiwan. Fish speed was computed by detecting and tracking the fish through consecutive video frames, then converting image speeds to scene speeds. Temperatures were grouped into 10 intervals. The data reveal an ~2 mm s –1 increase in average speed per additional temperature degree over the range of 20.9–30.3°C. The Mann–Kendall test using the mean and median speed for each interval revealed that there is a speed increase trend as temperature increases at the 0.05 significance level, rather than a random increase. Our results complement previous studies that investigated the effect of temperature on the swimming performance of different fish species in the laboratory (Johansen and Jones, 2011; Myrick, C. A. and Cech, J. J. 2000. Swimming performance of four California stream fishes: temperature effects. Environmental Biology of Fishes, 58: 289–295; Ojanguren, A. F. and Braña, F. 2000. Thermal dependence of swimming endurance in juvenile brown trout. Journal of Fish Biology, 56: 1342–1347; Lough 2007; Johansen et al ., 2014).
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  • 166
    Publication Date: 2015-10-22
    Description: Atlantic cod ( Gadus morhua ) caught in recreational fisheries are commonly released, often with barotrauma after rapid decompression. Mouth-hooked, non-bleeding cod kept in a floating net pen showed mortalities ≥40% when angled from 〉50 m depth, likely because of cumulative stress from ongoing barotrauma and exposure to warm surface water. In a natural setting, however, cod have the opportunity to descend after release and are not restricted to the surface. In a follow-up study, 97.8% of similarly selected cod managed to dive following immediate release, whereas 2.2% were floaters. No mortality was observed for divers kept in cages, which were lowered to capture depth for 72 h. While the floaters would likely have died in a natural setting, no mortality was observed when they were recompressed and kept at capture depth for 72 h. The occurrence of swim bladder ruptures, swollen coelomic cavities, venous gas embolisms, and gas release around the anus was significantly influenced by capture depth (range 0–90 m). A supplementary radiology study showed inflated swim bladders in 87% of the cod after 72 h, and most barotrauma signs had disappeared after 1 month. This study encourages investigation of survival potential for physoclistous species when high mortalities are assumed but undocumented. Matching natural post-release and containment environment is essential in the experimental setup, as failure to do so may bias survival estimates, particularly when a thermocline is present. Assuming minimal predation, short-term mortality of cod experiencing barotrauma is negligible if cod submerge quickly by themselves and are otherwise not substantially injured. Survival of floaters may be increased by forced recompression to capture depth. Sublethal and long-term impacts of barotrauma remain to be studied. To ensure that cod have sufficient energy to submerge, anglers are encouraged to avoid fighting the fish to exhaustion and to minimize handling before release.
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  • 167
    Publication Date: 2015-10-14
    Description: The link between airports, air service and regional economic development has been well-established and used to justify airport expansion at the expense of local communities because of subsequent region-wide benefits. However, local-level spatial analyses based on US Economic Census data indicate that economic benefits in terms of professional and administrative employment do not necessarily offset local economic and quality of life costs. Furthermore, arguments for an airport city or aerotropolis phenomenon in the US context ignore the individual histories and morphologies of metropolitan areas and overstate the influence an airport has on the economic development of its region.
    Keywords: L93 - Air Transportation, O18 - Regional, Urban, and Rural Analyses, R41 - Transportation: Demand, Supply, and Congestion ; Safety and Accidents ; Transportation Noise, R53 - Public Facility Location Analysis ; Public Investment and Capital Stock
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  • 168
    facet.materialart.
    Unknown
    Oxford University Press
    Publication Date: 2015-10-14
    Description: This article measures restaurant variety in US cities and argues that city structure directly increases product variety by spatially aggregating demand. I discuss a model of entry thresholds in which market size is a function of both population and geographic space and evaluate implications of this model with a new data set of 127,000 restaurants across 726 cities. I find that geographic concentration of a population leads to a greater number of cuisines and the likelihood of having a specific cuisine is increasing in population and population density, with the rarest cuisines found only in the biggest, densest cities. Further, there is a strong hierarchical pattern to the distribution of variety across cities in which the specific cuisines available can be predicted by the total count. These findings parallel empirical work on Central Place Theory and provide evidence that demand aggregation has a significant impact on consumer product variety.
    Keywords: L10 - General, R12 - Size and Spatial Distributions of Regional Economic Activity
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  • 169
    Publication Date: 2015-10-14
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  • 170
    Publication Date: 2015-10-14
    Description: By adopting a semiparametric approach, the ‘traditional’ regional knowledge production function is developed in three complementary directions. First, the model is augmented with region-specific time trends to account for endogeneity due to selection on unobservables . Second, the nonparametric part of the model relaxes the standard assumptions of linearity and additivity regarding the effect of R&D and human capital. Finally, the assumption of homogeneity in the effects of R&D and human capital is also relaxed by explicitly accounting for the differences between developed and lagging regions. The analysis of the genesis of innovation in the regions of the European Union unveils nonlinearities, threshold effects, complex interactions and shadow effects that cannot be uncovered by standard parametric formulations.
    Keywords: C14 - Semiparametric and Nonparametric Methods, C23 - Models with Panel Data, O32 - Management of Technological Innovation and R&D, R11 - Regional Economic Activity: Growth, Development, and Changes
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  • 171
    Publication Date: 2016-09-20
    Description: The aim of this article is to investigate whether and how local agglomeration forces—related and unrelated variety—influence firm diversification. Using a large dataset of 5112 Italian manufacturing business groups for the year 2001, and estimating Tobit models, we show the ‘consistency’ between the patterns of firm diversification and that of the local system in which the firm is located. Specifically, firms located in local systems dominated by unrelated variety are more likely to show unrelated diversification patterns, while firms located in local systems dominated by related variety are more likely to show related diversification patterns. This supports the Evolutionary Economic Geography prediction of firm similarity ‘within’ the same local system, and firm heterogeneity ‘between’ different local systems.
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  • 172
    Publication Date: 2016-09-20
    Description: The aggregate German economy is characterized by a secular decline of manufacturing and a rise of modern service industries. This trend of structural change is not uniform across space, however. Some regions exhibit it at an accelerated pace, while other regions reinforced their manufacturing specializations. We first categorize all German regions into one of three groups, with ‘pro-trend’, ‘anti-trend’ or ‘featureless’ growth and provide a detailed comparison of these groups. Afterwards we propose an explanation why a particular region ended up in one of those groups: We argue that the profiles of regional growth and change are systematically related to the initial sizes, and the import and export exposures of the local manufacturing sectors.
    Keywords: F16 - Trade and Labor Market Interactions, O14 - Industrialization ; Manufacturing and Service Industries ; Choice of Technology, R11 - Regional Economic Activity: Growth, Development, and Changes
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  • 173
    Publication Date: 2016-09-20
    Description: We explore the role of firm- and local product-specific capabilities in fostering the introduction of new products in the Turkish manufacturing. Firms’ product space evolution is characterised by strong cognitive path dependence that, however, is relaxed by firm heterogeneity in terms of size, efficiency and international exposure. The introduction of new products in laggard Eastern regions, which is importantly linked to the evolution of their industrial output, is mainly affected by firm’s internal product- specific resources. On the contrary, product innovations in Western advanced regions hinge relatively more on the availability of local technological- related competencies.
    Keywords: D22 - Firm Behavior: Empirical Analysis, O12 - Microeconomic Analyses of Economic Development, O53 - Asia including Middle East
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  • 174
    Publication Date: 2016-09-20
    Description: Understanding industry agglomeration and its driving forces is critical for the formulation of industrial policy in developing countries. Crucial to this process is the definition and measurement of agglomeration. We construct a new coagglomeration index based purely on the location of firms. We examine what this index reveals about the importance of transport costs, labour market pooling and technology transfer for agglomeration processes, controlling for overall industry agglomeration. We compare the results based on our new measure to existing measures in the literature and find very different underlying stories at work. We conclude that in conducting analyses of this kind giving consideration to the source of agglomeration economies, employees or entrepreneurs, and finding an appropriate measure for agglomeration, are both crucial to the process of identifying agglomerative forces.
    Keywords: L14 - Transactional Relationships ; Contracts and Reputation ; Networks, L60 - General, O14 - Industrialization ; Manufacturing and Service Industries ; Choice of Technology, O33 - Technological Change: Choices and Consequences ; Diffusion Processes
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  • 175
    Publication Date: 2015-04-14
    Description: This article examines home bias in U.S. domestic trade in 1949 and 2007. We use a unique data set of 1949 carload waybill statistics produced by the Interstate Commerce Commission, and 2007 Commodity Flow Survey data. The results show that home bias was considerably smaller in 1949 than in 2007 and that home bias in 1949 was even negative for several commodities. We argue that the difference between the geographical distribution of the manufacturing activities in 1949 and that of 2007 is an important factor explaining the differences in the magnitudes of home-bias estimates in those years.
    Keywords: F14 - Country and Industry Studies of Trade, F18 - Trade and Environment
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  • 176
    Publication Date: 2015-04-14
    Description: In this article, I advance understandings of the intersection between financial and educational services from an economic geographical perspective by examining the importance of financial networks in shaping the internationalization activities of for-profit business education service firms. By combining relational approaches to the globalization of transnational corporations (TNCs) with work on monetary networks I argue that extra-firm networks with financial services are an important element in understanding how, where and why business education service firms internationalize. Theoretically, this argument responds to calls for firm finances to be more fully incorporated into understandings of wider economic geographies and, in particular, addresses the neglect of finance in extant understandings of the internationalization of TNCs. Empirically, I position educational services as an overlooked business services sector that deserves greater attention within economic geography.
    Keywords: G20 - General, I22 - Educational Finance, L80 - General
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  • 177
    Publication Date: 2015-04-14
    Description: Recent theorizing of path dependence supplements the traditional view of regional path-dependent industrial development characterized by lock-in effects with paths dealing with change, that is, path renewal and path creation. Few studies, however, examine why different types of regions experience diverse path-dependent development. This article examines why organizationally thin regions are much less likely to achieve path renewal and path creation than core regions. By use of a case study of industrial development in an organizationally thin and rather peripheral region in Norway the article contends that thin regions often need external investments to avoid being trapped in path extension.
    Keywords: R11 - Regional Economic Activity: Growth, Development, and Changes
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  • 178
    Publication Date: 2015-04-14
    Description: In this article, I reassess the undeserved reputation of Inditex’s Zara as a ‘home-sewn exception to globalization’ for supposedly keeping manufacturing at home despite larger trends; and I use the occasion to make a case for rigorous, evidentially strong single-firm case studies. In the process, I draw attention to the manner in which the value-adding qualities of scholarly work are being judged in economic geography; and argue that the prioritization of novelty over unenhanced readings of realities may encourage case studies to be presented as more unique and exceptional than they actually are.
    Keywords: D21 - Firm Behavior, F23 - Multinational Firms ; International Business, L14 - Transactional Relationships ; Contracts and Reputation ; Networks, L25 - Firm Performance: Size, Diversification, and Scope, L67 - Other Consumer Nondurables: Clothing, Textiles, Shoes, and Leather
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  • 179
    Publication Date: 2015-06-20
    Description: To date, theoretical and empirical insights in the determinants of regional resilience are still limited. Using a model, we explore how three regional factors jointly contribute to the resilience of regional labour markets to economic shocks. The localization of the supply network (1) is used to model the propagation of the shock, while possibilities for intersectoral (2) and interregional labour mobility (3) to analyse the recovery. An application of the model to Dutch data suggests that labour markets in centrally located and service-oriented regions have, on average, a higher recovery speed, irrespective of the type of shock hitting the economy.
    Keywords: J61 - Geographic Labor Mobility ; Immigrant Workers, O18 - Regional, Urban, and Rural Analyses, R11 - Regional Economic Activity: Growth, Development, and Changes
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  • 180
    Publication Date: 2015-06-20
    Description: The growing cultural diversity caused by immigration is seen as important for innovation. Research has focused on two potential mechanisms: a firm effect, with diversity at the firm level improving knowledge sourcing or ideas generation, and a city effect, where diverse cities help firms innovate. This article uses a dataset of over 2000 UK small- and medium-sized enterprises to test between these two. Controlling for firm characteristics, city characteristics and firm and city diversity, there is strong evidence for the firm effect. Firms with a greater share of migrant owners or partners are more likely to introduce new products and processes. This effect has diminishing returns, suggesting that it is a ‘diversity’ effect rather than simply the benefits of migrant run firms. However, there is no relationship between the share of foreign workers in a local labour market or fractionalization by country of birth and firm level innovation, nor do migrant-run firms in diverse cities appear particularly innovative. But urban context does matter and firms in London with more migrant owners and partners are more innovative than others. Firms in cities with high levels of human capital are also more innovative.
    Keywords: J61 - Geographic Labor Mobility ; Immigrant Workers, L21 - Business Objectives of the Firm, M13 - New Firms ; Startups, R23 - Regional Migration ; Regional Labor Markets ; Population
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  • 181
    Publication Date: 2015-06-20
    Description: The diffusion of new technologies is often mediated by spatial and socioeconomic factors. This article empirically examines the diffusion of an important renewable energy technology: residential solar photovoltaic (PV) systems. Using detailed data on PV installations in Connecticut, we identify the spatial patterns of diffusion, which indicate considerable clustering of adoptions. This clustering does not simply follow the spatial distribution of income or population. We find that smaller centers contribute to adoption more than larger urban areas, in a wave-like centrifugal pattern. Our empirical estimation demonstrates a strong relationship between adoption and the number of nearby previously installed systems as well as built environment and policy variables. The effect of nearby systems diminishes with distance and time, suggesting a spatial neighbor effect conveyed through social interaction and visibility. These results disentangle the process of diffusion of PV systems and provide guidance to stakeholders in the solar market.
    Keywords: O33 - Technological Change: Choices and Consequences ; Diffusion Processes, Q42 - Alternative Energy Sources, R11 - Regional Economic Activity: Growth, Development, and Changes, R12 - Size and Spatial Distributions of Regional Economic Activity
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  • 182
    facet.materialart.
    Unknown
    Oxford University Press
    Publication Date: 2015-06-20
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  • 183
    Publication Date: 2015-06-20
    Description: This article aims to shed light on how institutions shape innovative capacity, by focusing on how regional government quality affects innovative performance in the regions of Europe. By exploiting new data on quality of government, we assess how government quality and its components (control of corruption, rule of law, government effectiveness and government accountability) shape patenting across the regions of the European Union (EU). The results of the analysis—which are robust to controlling for the endogeneity of institutions—provide strong evidence of a link between the quality of government and the capacity of regions to innovate. In particular, ineffective and corrupt governments represent a fundamental barrier for the innovative capacity of the periphery of the EU, strongly undermining any potential effect of any other measures aimed at promoting greater innovation. The results have important implications for the definition of innovation strategies in EU regions.
    Keywords: O52 - Europe, R11 - Regional Economic Activity: Growth, Development, and Changes
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  • 184
    Publication Date: 2015-06-20
    Description: The patterns and dynamics of contemporary financial capitalism are mirrored in micro-production structures of finance in international financial centres (IFCs). Applying the global production network framework allows for analyses of these structures in greater detail, better illuminating the industry’s organization, its locally anchored professional practices, and the far-reaching power relationships between IFCs. The example of the IFC Luxembourg, the world’s largest cross-border investment fund centre, shows that, in particular, advanced business services firms facilitate the global reach of investment funds (i) in their close collaboration with both local and global financial corporations, and (ii) in their exploitation of localized arbitrage assets.
    Keywords: G23 - Pension Funds ; Other Private Financial Institutions, L22 - Firm Organization and Market Structure, L80 - General
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  • 185
    Publication Date: 2015-06-20
    Description: The article investigates whether the patenting activity of the most inventive companies has any causal effect on the number of patents granted to other local inventors in the same metropolitan area in USA. Economic theory predicts that positive agglomeration economies may be counterbalanced by upward pressure on wages, which are stronger within technological classes in the short term. The empirical analysis exploits the panel structure of the dataset to account for various fixed effects, and adopts an instrumental variable approach to prove causality. The results show that the effect is overall positive and stronger with a time lag. In addition, the effect is not bounded within narrow technological categories, suggesting that Jacob-type knowledge spillovers across sectors tend to prevail over other source of agglomeration economies within sectors, including sharing and matching mechanisms. The implications for local development policy are discussed.
    Keywords: O31 - Innovation and Invention: Processes and Incentives, R10 - General
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  • 186
    Publication Date: 2015-06-06
    Description: A real-time PCR based method involving a species-specific probe was applied to detect Engraulis encrasicolus eggs predation by the macrozooplankton community during the 2011 spawning season. Three locations along the shelf break presenting contrasting but high prey densities were sampled. A total of 840 individuals from 38 taxa of potential macrozooplankton predators were assayed for E. encrasicolus DNA presence and 27 presented at least one positive signal. Carnivorous copepods were responsible for the most predation events (66%) followed by euphausiids (16%), chaetognaths (5%), and myctophid fish (4%). Macrozooplankton predation on anchovy eggs followed a type-I functional response with daily mortalities 〈4% of available prey abundance suggesting a negligible impact on the species recruitment at the shelf break spawning centre.
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  • 187
    Publication Date: 2015-06-06
    Description: Invertebrate catches are increasing globally following the depletion of many finfish stocks, yet stock assessments and management plans for invertebrates are limited, as is an understanding of the ecosystem effects of these fisheries. Using an ecosystem modelling approach, we explored the trade-offs between invertebrate catches and their impacts on the associated ecosystem on the south coast of Wellington, New Zealand. We simulated exploitation of lobster ( Jasus edwardsii ), abalone ( Haliotis australis , H. iris ), and sea urchin ( Evechinus chloroticus ) over a range of depletion levels—from no depletion to local extinction—to estimate changes in target catches and associated effects on other species groups, trophic levels, and benthic and pelagic components. Exploitation of lobster showed the strongest ecosystem effects, followed by abalone and urchin. In all three fisheries, the current exploitation rate exceeds that which produces maximum sustainable yield, with considerable ecosystem effects. Interestingly, a reduced exploitation rate is predicted to increase target catches (and catch-per-unit-effort), thereby strongly reducing ecosystem effects, a win–win situation. Our results suggest that invertebrate exploitation clearly influences ecosystem structure and function, yet the direction and magnitude of responses depend on the target group and exploitation rate. An ecosystem-based fisheries management approach that includes the role of invertebrates would improve the conservation and management of invertebrate resources and marine ecosystems on broader scales.
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  • 188
    Publication Date: 2015-06-06
    Description: Stocking with eggs has been widely used as a management measure to support degraded salmonid stocks. In Finland, Atlantic salmon and both sea-migrating and lake-migrating brown trout are stocked as eggs, alevins, fry, parr, and smolt, whereas trout are also stocked as mature fish. The aim of this stocking is to improve catches and to support collapsed spawning stocks. We assessed the success of stocking with brown trout eggs in a study of 17 Finnish boreal forest rivers, of which 9 were subject to egg stocking. All rivers contained some naturally spawning trout. In 16 rivers, including non-stocking years and unstocked rivers, egg stocking did not increase the total (wild and stocked) density of 0-year-old parr. However, those rivers with higher existing trout densities in non-stocking years seemed to benefit most from stocking, suggesting some role of river-specific extrinsic factors affecting egg-to-parr survival. In one river monitored for 14 years, only a weak correlation was found between the total density of 0-year-old parr and the number of eggs stocked. However, in nine parr samples from five rivers, the mean proportion of parr derived from stocked eggs was 40%. The mean survival to first autumn parr of egg-stocked and wild individuals was 1.0 and 3.3%, respectively. Probable reasons for the detected low to moderate impact of egg-stocking are (i) large variation in total parr density between years and rivers, (ii) small number of stocked eggs, (iii) placing egg boxes and egg pockets in unsuitable microhabitats, and (iv) unsuitable emergence time of egg-stocked individuals, or other extrinsic factors creating extra mortality. We recommend field and laboratory experiments to improve and standardize stocking methods, and monitoring the connection of wild spawning stocks and parr recruitment. Finally, we encourage fishery authorities to create clear management goals for threatened wild salmonid stocks.
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  • 189
    Publication Date: 2015-06-06
    Description: Determining the maturity condition of a large number of individuals is crucial for stock assessment and management of cephalopod populations, but this task is difficult to conduct in practice. We propose a novel approach for maturity stage classification using observer-independent criteria. Relevant morphological variables for classification are determined via decision tree (DT) analysis. Using Illex argentinus and Enteroctopus megalocyathus as case studies, individuals were sexed and assigned to a maturity stage defined by specific macroscopic maturity scales. Also, for each individual, the weight of the gonad, accessory glands/ducts, mantle length, and total weight were recorded and maturity indices were calculated (Hayashi index and gonadosomatic index). Two different DT models were fitted: one considering all maturity stages and the other considering only intermediate maturity stages since these are the most difficult to determine in practice. For the classification of I. argentinus among all stages, the weights of the nidamental gland and oviducts were the most relevant variables for females (misclassification 23%), while spermatophoric complex and testis weights were the key variables for males (misclassification 23%). For classification of intermediate stages only, the nidamental gland and spermatophoric complex weights were the most relevant variables to classify females (misclassification 19%) and males (misclassification 21%), respectively. For E. megalocyathus , the oviducts and ovary weights of females and the terminal organ weight of males were the most relevant variables for classification among all maturity stages (misclassification 16% and 18%, respectively). For intermediate maturity stages, the same variables were most important and misclassification improved to 13% for both sexes. Gonadosomatic and Hayashi's indices were not relevant in either model. DTs based on measurements of cephalopod reproductive systems revealed a simple classification system for maturity stages using only a few variables that are easy to measure in the field and are independent of observer training.
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  • 190
    Publication Date: 2015-06-06
    Description: Assessing the vulnerability of biological communities to anthropic pressures in marine systems may be challenging because of the difficulty to properly model each species' response to the pressure due to lack of information. One solution is to apply factor-mediated vulnerability assessment which combines (i) information on species ecological traits and conservation status organized in a matrix of so-called "vulnerability factors", (ii) a conceptual model of how these factors affect species vulnerability, and (iii) data on the spatial distribution and abundance of each species issued from at-sea surveys. Such factor-mediated vulnerability assessment was originally introduced in the seabird–wind farm context by Garthe and Hüppop (2004. Scaling possible adverse effects of marine wind farms on seabirds: developing and applying a vulnerability index. Journal of Applied Ecology, 41: 724–734) and has since then been expanded to many case studies. However, the mathematical formulations that were proposed at that time are overly simplistic and may overlook critical components of the impact assessment. Our study briefly reviews the original approach and highlights its hidden assumptions and associated interpretation problems, for example, the overestimation of disturbance pressure to the detriment of collision, or the very high contribution of log abundances in vulnerability maps. Then, we propose a revised framework that solves these issues and permits easy transposition to other community-pressure case studies. To illustrate the usefulness and generality of the revised framework, we apply it to two case studies, one concerning the vulnerability assessment of a seabird community to offshore wind farms in the Bay of Biscay, and another focusing on the vulnerability assessment of the benthic megafauna community to trawling pressure in the Barents Sea.
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  • 191
    Publication Date: 2015-06-06
    Description: The High Seas are increasingly the subject of exploitation. Although Marine Protected Areas (MPAs) are seen as a useful tool in the sustainable management of the oceans, progress in the implementation of MPA networks in areas beyond national jurisdiction has been limited. Specifically, the criteria of "representativeness" has received little consideration. This study uses the systematic conservation planning software Marxan coupled with a biologically meaningful biophysical habitat map to investigate representative MPA network scenarios and to assess the efficiency and representativeness of the existing High Seas MPA network in the Northeast Atlantic. Habitat maps were created based on the layers of water mass structure and seabed topography resulting in 30 different habitats, in six distinct regions. Conservation targets were set at 10 and 30% representation of each habitat within the final network. Two portfolios were created. The first portfolio (P1) ignored the presence of the existing MPA network within the study area allowing a non-biased selection of planning units (PUs) or sites to be chosen. The second (P2) enforced the selection of areas within the existing MPA network. Efficiency was measured as the difference in the percentage area contained within the "best scenario" MPAs from the un-bias run (P1) compared with (P2). Representativety of the existing network was assessed through the investigation of the properties of PUs included within MPAs in the "best scenario" Marxan output of P2. The results suggest that the current MPA network is neither efficient nor representative. There were clear differences in the spatial distribution of PUs selected in P1 compared with P2. The area required to be protected to achieve that the representation of 10 and 30% of each habitat was 8–10 and 1–4% higher, respectively, in P2 compared with P1. Abyssal areas in all regions are underrepresented within the current MPA network.
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  • 192
    Publication Date: 2015-06-06
    Description: Marine habitat mapping provides information on seabed substrata and faunal community structure to users including research scientists, conservation organizations, and policy makers. Full-coverage acoustic data are frequently used for habitat mapping in combination with video ground-truth data in either a supervised or unsupervised classification. In this investigation, video ground-truth data with a camera footprint of 1 m 2 were classified to level 4 of the European Nature Information System habitat classification scheme. Acoustic data with a horizontal resolution of 1 m 2 were collected over an area of 130 km 2 using a multibeam echosounder, and processed to provide bathymetry and backscatter data. Bathymetric derivatives including eastness, northness, slope, topographic roughness index, vector rugosity measure, and two measures of curvature were created. A feature selection process based on Kruskal–Wallis and post hoc pairwise testing was used to select environmental variables able to discriminate ground-truth classes. Subsequently, three datasets were formed: backscatter alone (BS), backscatter combined with bathymetry and derivatives (BSDER), and bathymetry and derivatives alone (DER). Two classifications were performed on each of the datasets to produce habitat maps: maximum likelihood supervised classification (MLC) and ISO Cluster unsupervised classification. Accuracy of the supervised habitat maps was assessed using total agreement, quantity disagreement, and allocation disagreement. Agreement in the unsupervised maps was assessed using the Cramer's V coefficient. Choice of input data produced large differences in the accuracy of the supervised maps, but did not have the same effect on the unsupervised maps. Accuracies were 46, 56, and 49% when calculated using the sample and 52, 65, and 51% when using an unbiased estimate of the population for the BS, BSDER, and DER maps, respectively. Cramer's V was 0.371, 0.417, and 0.366 for the BS, BSDER, and DER maps, respectively.
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  • 193
    Publication Date: 2015-06-06
    Description: Fish and invertebrates that are unintentionally captured during commercial fishing operations and then released back into the ocean suffer mortality at unknown rates, introducing uncertainty into the fishery management process. Attempts have been made to quantify discard mortality rates using reflex action mortality predictors or RAMP which use the presence or absence of a suite of reflexes to predict discard mortality. This method was applied to snow crab, Chionoecetes opilio , during the 2010–2012 fisheries in the Bering Sea. Discard mortality in the fishery is currently assumed to be 50% in stock assessment models, but that rate is not based on empirical data and is widely recognized to be in need of refinement. Over 19 000 crab were evaluated using the RAMP method. The estimated discard mortality rate was 4.5% (s.d. = 0.812), significantly below the rate used in stock assessment models. Predicted discard mortality rates from the 2010 to 2012 study were strongly correlated with the air temperature at the St Paul Island airport in the Pribilof Islands. Using this relationship, the discard mortality rate from 1991 to 2011 was estimated at 4.8% (s.d. = 1.08).
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  • 194
    Publication Date: 2015-06-06
    Description: We estimate temporal variation in fecundity, the reproduction rate, for Barents Sea and Greenland Sea harp seals using a state–space approach. A stochastic process model for fecundity is integrated with an age-structured population dynamics model and fit to available data for these two harp seal populations. Owing to scarceness of data, it is necessary to "borrow strength" from the Northwest Atlantic harp seal population in form of prior distributions on autocorrelation and variance in fecundity. Comparison is made to a simpler deterministic population dynamics model. The state–space model is more flexible and is able to account for the variations in the data. For Barents Sea harp seals, the state–space model gives a higher estimate of current population size but also a much higher associated uncertainty. In the Greenland Sea, the differences between the stochastic and deterministic models are much smaller.
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  • 195
    Publication Date: 2015-06-06
    Description: Three primary factors affecting genetic patterns of marine species in the Northwestern Pacific Ocean have been proposed: isolation and population expansion during Pleistocene glacial cycles, ocean currents facilitating the gene flow, and the Yangtze River outflow imposing a physical barrier to gene flow. Here, we examined these factors affecting population structuring of the Asian paddle crab, Charybdis japonica , in the Yellow Sea, East China Sea, and adjacent areas. Genetic variation in nine populations of C. japonica ( n = 169) was determined from partial mitochondrial cytochrome c oxidase subunit I sequences. Among the 14 haplotypes identified, a dominant haplotype H1 was present in all populations, and a relatively abundant localized haplotype H2 was found in four of the northern populations. Furthermore, the frequency of the common haplotype H1 decreased from south to north. A genetic discontinuity was detected in Haizhou Bay, which divided species into two groups (north group and south group). The lack of genetic structure in the south and north groups indicates high dispersal of C. japonica within groups. Local marine gyres in Haizhou Bay might be responsible for the divergence of the north and south groups. Our study highlights the importance of local marine gyres for influencing genetic structure in marine coastal species in the Northwestern Pacific, especially in species spawning inshore.
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  • 196
    Publication Date: 2015-06-06
    Description: With the growing grey seal population in the Baltic Sea, the inshore cod fishery has suffered dramatic increases in both catch losses and damage to fishing gear. To mitigate this situation, cod pots were evaluated as an alternative to traditional gillnets and longlines. During a 3-year study, cod pots were used by commercial fishers in two areas off the coast of Sweden. Using the data from this study, we evaluated catches from pots in relation to other gear types and investigated the effects of environmental and fisheries-related variables such as depth and soak time. The comparison of pots with other gear types showed that, during the first half of the year, the pot fishery generated lower daily catches than the gillnet and longline fisheries at comparable fishing efforts. During the second half of the year, catches in the pot fishery exceeded or were equal to those in the traditional fisheries. Using generalized additive models to evaluate the impact of environmental and fisheries-related variables on pot catches, we showed that, in both areas, the catch per unit effort (cpue) of legal-sized cod was affected by the water depth, the time of year (months), and the soak time. In one of the areas, cpue was also affected by the direction of the water current in relation to the orientation of the string of pots. The cpue of undersized cod was affected by topographic variables such as the slope and the complexity of the bottom, in addition to the water depth, month of the year, and soak time. The results from the study indicate that pots can be a useful alternative gear in the Baltic cod fishery, at least during part of the year. By using our information on how catches are affected by environmental and fisheries-related variables, the pot fishery may be further optimized to increase catches.
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  • 197
    Publication Date: 2015-06-06
    Description: Bycatch is one of the main causes of human-caused mortality and population decline of many marine mammals. Monitoring bycatch is the first step to understand the impact of the fisheries on the species affected. Understanding how the interaction between marine mammals and fishing operations varies in space and time, and how it is influenced by environmental variables, is essential for designing mitigation strategies to reduce bycatch mortality. In this paper, we use data gathered by scientific observers and a fishing skipper to analyse marine mammals bycatch by the Uruguayan pelagic longline fishery operating in the Southwestern Atlantic Ocean from 1996 to 2007. The total bycatch per unit effort (Bcpue) was 0.0150 marine mammals/1000 hooks and the highest values (~0.2) were recorded between 37°–38°S and 49°–51°W. Total cetacean Bcpue during the study period was low (0.0051 cetacean/1000 hooks) and occurred between 32°–37°S and 46°–54°W. Generalized additive models showed that cetaceans' bycatch was mainly affected by the depth, sea surface temperature, and season. Although cetaceans were captured year-round, the highest values were registered in spring months, most bycatch events occurred over the continental slope (median = 619 m) and in waters with a median temperature of 19.7°C. The bycatch of pinnipeds was influenced by depth, location, and season. Pinniped bycatch occurred mainly in winter, in waters ranging from 80 to 5000 m of depth (median = 2366 m) between 34°–37°S (median = 35.9°S) and 54°–49°W (median = 51.8°W). The spatial analysis showed that most bycatch events occurred within the Brazil–Malvinas Confluence zone, an area of high productivity where the pelagic longline fleet concentrates its fishing effort and where marine mammals probably concentrate to feed.
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  • 198
    Publication Date: 2015-06-06
    Description: In Alaska, sperm whale ( Physeter macrocephalus ) depredation on longline sets has increased since implementation of the Individual Fishing Quota programme in 1995. A collaborative effort (SEASWAP) between longliners, scientists, and managers has undertaken research to evaluate this depredation with a primary objective to develop and test a passive deterrent that would reduce depredation without reducing catch rate of sablefish ( Anoplopoma fimbria ). Commercial longliners, fishing for their own sablefish quotas during the regular season, deployed beaded gear (25 mm lucite beads attached to gangions) with control gear and set recorders to collect acoustic data. Beaded and control gear were randomly assigned by skate quad (672 hooks) with 5 quads in each longline set. Acoustic recorders were used to document sperm whale creak–pause events, representative of depredation of the longline gear. Although there were more sablefish per skate quad on the beaded gear and there was a decrease in depredation events on the beaded gear compared with the control, neither effect was significant ( p = 0.205 and 0.364, respectively). The SEASWAP project is testing other deterrent strategies including gear modifications and the establishment of a sighting network to improve avoidance.
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  • 199
    Publication Date: 2015-06-06
    Description: Depredation by false killer whales ( Pseudorca crassidens ) and short-finned pilot whales ( Globicephala macrorhynchus ) in pelagic longlining is an issue leading to negative impacts on the economics of the fishery and on odontocetes themselves. We investigated the efficacy of a new depredation mitigation device called "DEPRED" in the interaction between bottlenose dolphins ( Tursiops aduncus ), spinner dolphins ( Stenella longirostris ), and small pelagic fish (SPF) attached to branchlines to simulate caught fish. We suggest implications for DEPRED efficacy with larger toothed whales interacting with pelagic longline capture in the open ocean. The design of the device uses streamers to both deter cetaceans and protect fish from predation. In controlled experiments, we tested its efficacy by observing changes in the dolphin's behaviour brought on by the presence or absence of the device on branchlines. First, dolphin–SPF interactions were observed at the small scale using video footage recorded with an underwater camcorder. Second, the efficacy of the device was quantified from interactions between dolphins and 80 branchlines deployed on a longline 500 m long baited with SPF. One half of the SPF on successive branchlines was protected by DEPRED and the other half was not. A total of 707 branchlines were set when dolphins interacted with SPF, and among them, 355 were equipped with DEPRED. Encouraging results were obtained: over the short term, the number of damaged unprotected SPF was on average more than twice the number of protected ones. Nevertheless, habituation behaviour was observed for a resident group of T. aduncus in the experimental area. The relation between the deterrent effect of the device and constraints related to the design of such a device to be used at a commercial operational level are discussed.
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  • 200
    Publication Date: 2015-06-06
    Description: Several species of odontocete cetaceans depredate bait and catch and, as a result, become hooked and entangled in pelagic longline fisheries. The present study measured how selected commercial longline hooks, including "weak hooks", behaved within odontocete mouths. Five hooks (Mustad-16/0, Mustad-18/0, Mustad J-9/0, Korean 16, and Korean 18) were tested on three species of odontocetes known to interact with longline fisheries—short-finned pilot whales ( Globicephala macrorhynchus ), Risso's dolphins ( Grampus griseus ), and false killer whales ( Pseudorca crassidens ). Specimens were secured to a stanchion, hooks were placed in the mouth at multiple positions along the dorsal lip, and the force required to pull each hook free was measured. The soft tissue lips of these odontocetes were capable of resisting forces up to 250 kg before failing. The polished steel M-16, M-18, and J-9 hooks straightened at forces between 50 and 225 kg, depending on hook gauge. When straightened, these hooks exposed the sharpened barb, which sliced through the lip tissue, usually releasing the hook intact. The K-16 and K-18 hooks behaved very differently, breaking at higher forces (110–250 kg) and consistently just at the barb; usually, there was measurable soft-tissue loss and often shards of the hook were retained within those soft tissues. The different behaviours of these two hook types—the M and J type polished steel vs . the K type carbon steel—were consistent across all species tested. Mechanical tests were also conducted to determine if hooks could fracture the mandible of these same odontocetes. Only the M-18 and K-18 hooks had sufficiently large gapes to hook around the mandible, and both hook types fractured bone in short-finned pilot whales and Risso's dolphins. These results support other lines of evidence indicating that longline hooks can cause serious injury to these species, and suggest possible steps to mitigate these impacts.
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