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Marine Resources (marine + resource)
Selected AbstractsObstacles to Bottom-Up Implementation of Marine Ecosystem ManagementCONSERVATION BIOLOGY, Issue 5 2008KIRSTEN E. EVANS manejo de ecosistemas; manejo marino basado en ecosistemas; participación de partes interesadas; planificación de la conservación Abstract:,Ecosystem management (EM) offers a means to address multiple threats to marine resources. Despite recognition of the importance of stakeholder involvement, most efforts to implement EM in marine systems are the product of top-down regulatory control. We describe a rare, stakeholder-driven attempt to implement EM from the bottom up in San Juan County, Washington (U.S.A.). A citizens advisory group led a 2-year, highly participatory effort to develop an ecosystem-based management plan, guided by a preexisting conservation-planning framework. A key innovation was to incorporate social dimensions by designating both sociocultural and biodiversity targets in the planning process. Multiple obstacles hindered implementation of EM in this setting. Despite using a surrogate scheme, the information-related transaction costs of planning were substantial: information deficits prevented assessment of some biodiversity targets and insufficient resources combined with information deficits prevented scientific assessment of the sociocultural targets. Substantial uncertainty, practical constraints to stakeholder involvement, and the existence of multiple, potentially conflicting, objectives increased negotiation-related costs. Although information deficits and uncertainty, coupled with underinvestment in the transaction costs of planning, could reduce the long-term effectiveness of the plan itself, the social capital and momentum developed through the planning process could yield unforeseeable future gains in protection of marine resources. The obstacles we identified here will require early and sustained attention in efforts to implement ecosystem management in other grassroots settings. Resumen:,El manejo de ecosistemas es un medio para abordar múltiples amenazas a los recursos marinos. No obstante el reconocimiento de la importancia de la participación de las partes interesadas, la mayoría de los esfuerzos para implementar el manejo de ecosistemas en sistemas marinos son producto del control normativo de arriba hacia abajo. Describimos un intento raro, conducido por las partes interesadas, por implementar el manejo del ecosistema de abajo hacia arriba en el Condado San Juan, Washington (E.U.A.). Un grupo consultivo de ciudadanos dirigió un esfuerzo altamente participativo para desarrollar un plan de manejo basado en el ecosistema, guiados por un marco de planificación de la conservación preexistente. Una innovación clave fue la incorporación de dimensiones sociales al incluir objetivos tanto socioculturales como de biodiversidad en el proceso de planificación. Múltiples obstáculos dificultaron la implementación del manejo del ecosistema en este escenario. No obstante que se utilizó un plan sustituto, los costos de transacción de la planificación relacionados con la información fueron mayores de lo que el grupo pudo superar: los déficits de información impidieron la evaluación de algunos objetivos de biodiversidad y la insuficiencia de recursos combinada con los déficits de información impidieron la evaluación científica de los objetivos socioculturales. Los costos relacionados con la negociación incrementaron por la incertidumbre, por limitaciones prácticas en la participación de partes interesadas y la existencia de objetivos múltiples, potencialmente conflictivos. Aunque los déficits de información y la incertidumbre, aunados con la baja inversión en los costos de transacción de la planificación, pudieran reducir la efectividad a largo plazo del plan mismo, el capital social y el ímpetu desarrollados durante el proceso de planificación podrían producir ganancias futuras imprevisibles para la protección de recursos marinos. Los obstáculos que identificamos aquí requerirán de atención temprana y sostenida en los esfuerzos para implementar el manejo de ecosistemas en otros escenarios de base popular. [source] Recognising the necessity for Indo-Pacific seagrass conservationCONSERVATION LETTERS, Issue 2 2010Richard K.F. Unsworth Abstract Seagrass meadows are declining globally at an unprecedented rate, yet these valuable ecosystem service providers remain marginalized within many conservation agendas. In the Indo-Pacific, this is principally because marine conservation priorities do not recognize the economic and ecological value of the goods and services that seagrasses provide. Dependency on coastal marine resources in the Indo-Pacific for daily protein needs is high relative to other regions and has been found in some places to be up to 100%. Habitat loss therefore may have negative consequences for food security in the region. Whether seagrass resources comprise an important contribution to this dependency remains largely untested. Here, we assemble information sources from throughout the Indo-Pacific region that discuss shallow water fisheries, and examine the role of seagrass meadows in supporting production, both directly, and indirectly through process of habitat connectivity (e.g., nursery function and foraging areas). We find information to support the premise that seagrass meadows are important for fisheries production. They are important fishery areas, and they support the productivity and biodiversity of coral reefs. We argue the value of a different paradigm to the current consensus on marine conservation priorities within the Indo-Pacific that places seagrass conservation as a priority. [source] An Evaluation of the Cod Fishing Policies of Denmark Iceland and NorwayEUROCHOICES, Issue 3 2004R. Arnason Summary An Evaluation of the Cod Fishing Policies of Denmark, Iceland and Norway Many ocean fisheries are subject to a fundamental economic problem generally referred to as the common property problem. This problem manifests itself as excessive fishing fleets and fishing effort, depressed fish stocks and little or no profitability of the fishing activity, irrespective of the richness of the underlying marine resources. European fisheries represent some of the most dramatic examples of the common property problem. This article employs simple empirical models and recently developed mathematical techniques to examine the economic efficiency of three European fisheries, namely the Danish, Icelandic and Norwegian cod fisheries, The optimal harvesting policies for each of these fisheries are calculated. Comparing these optimal policies with actual harvests provides a measure of the relative efficiency in these three cod fisheries. The comparison confirms the widely held impression that the cod harvesting policies of ail three countries have been hugely inefficient in the past. Moreover, it appears that the inefficiency has been increasing over time. Only during the last few years of our data are there indications that this negative trend may have been halted. Somewhat more surprisingly, in spite of radically different fisheries management systems, we find relatively little difference in the level of stock over-exploitation between these three countries. Politiques compareées de pêhe à la morue au Danemark, en Islande et en Norvège Beaucoup de pêcheries océaniques sont confrontées au problème nique fondamental de la "propriété collective". Celui-ci se manifeste par des flottes de taille excessive, au service d' efforts de péche exagérés, qui aboutissent à détruire les stocks de poisson et la rentabilité des pécheries, en dépit de la richesse des ressources marines sousjacentes. Les pêcheries européennes constituent actuellement l'un des exemples les plus dramatiques des problèmes associés a la propriété collective. On présente ici un modèle empirique assez simple mais associéà de nouvelles techniques mathématiques récemment développé es pour mesurer l' efficacitééconomique de trois types de politiques de pêche à la morue, au Danemark, en Norvège et en Islande. On commence par calculer le volume optimal des prises pour chacun de ces pays. La comparaison entre le niveau optimal et le niveau réel des prises permet de mesurer le degré d' efficacité des politiques suivies. Elle permet de confirmer l'opinion largement répandue selon laquelle les politiques passées ont été extrêmement peu efficaces. En outre, il apparaît que l'inefficacité est croissante avec le temps. C'est seulement dans les toutes dernières années des séries de données que l' on observe un infléchissement de cette tendance négative. Enfin, et c'est le plus surprenant, on trouve peu de differences entre les trois pays en ce qui conceme le degré de surexploitation du stock, et cela, bien que les principes de gestion des pêcheries y soient entiArement différents. Eine Bewertung der Kabeljaufischereipolitik in Dänemark, Island und Norwegen ahlreiche Hochseefischereien tehen einem grundlegenden ftliehen Problem gegenüber, das allgemein als Problem des kollektiven Eigentums bezeichnet wird. Dieses Problem zeigt sich in übermäßig großen Fangflotten und beträchtlichem Fischereiaufwand, geschrumpften Fischbeständen und geringer oder fehlender Rentabilität der Fischerei; dabei ist die Höhe der Fischressourcen unbedeutend für das Problem. Die europäischen Fischereien stellen einige der drastischsten Beispiele für das Problem des kollektiven Eigentums dar. In diesem Beitrag werden einfache empirische Modelle und kürzlich entwickelte mathematische Verfahren angewendet, um die wirtschaftliche Effizienz von drei europäischen Fischereien zu untersuchem der dänischen, der isländischen und der norwegischen Kabeljaufischerei. Für jede dieser Fischereien wird die optimale Nutzungsstrategie berechnet. Aus dem Vergleich dieser optimalen Nutzungsstrategie mit den tatsächlichen Erträgen ergibt sich ein Maß fur die relative Effizienz, die bei diesen drei Kabeljaufischereien vorliegt. Der Vergleich bestätigt den weit verbreiteten Eindruck, dass die Strategien zum Kabeljaufang in alien drei Ländern in der Vergangenheit enorm ineffizient waren. Darüber hinaus wird deutlich, dass die Ineffizienz im Laufe der Zeit zugenommen hat. Lediglich die Daten der letzten jahre enthalten Hinweise darauf, dass dieser negative Trend zum Stillstand gekommen sein könnte. Obwohl sich die Fischwirtschaft in jedem dieser drei Länder sehr stark unterscheidet, lassen sich erstaunlich wenige Unterschiede im Maß der Übernutzung des Fischbestandes finden. [source] A framework for incorporating climate regime shifts into the management of marine resourcesFISHERIES MANAGEMENT & ECOLOGY, Issue 2 2006J. R. KING Abstract, It is possible to use an ecosystem-based management approach to incorporate knowledge of climate regime impacts on ecosystem productivity to manage fishery resources. To do so, it requires the development of a coherent framework that can be built using existing stock assessment and management activities: ecosystem assessment, risk analyses, adaptive management and reference points. This paper builds such a framework and uses two population simulations to illustrate the benefits and tradeoffs of variable regime-specific harvest rates. The framework does not require prediction of regime shifts, but assumes that detection can occur soon after one has happened. As such, decisions do not need to be coincident to regime shifts, but can be delayed by an appropriate period of time that is linked to a species' life history, i.e. age of maturity or recruitment. Fisheries scientists should provide harvest recommendations that reflect a range of levels of risk to the stock under different assumptions of productivity. Coupling ecosystem assessment with ecosystem-based management would allow managers to select appropriate regime-specific harvest rates. [source] Interactions between the implementation of marine protected areas and right-based fisheries management in AustraliaFISHERIES MANAGEMENT & ECOLOGY, Issue 1 2005Article first published online: 11 JAN 200, P. BAELDE Abstract, The declaration of marine protected areas (MPAs) in Australia generates much confusion and controversy between government conservation and fisheries agencies, the fishing industry and NGOs. There are fundamental differences between the principles and practices underpinning the implementation of MPAs and fisheries management. This paper analyses the interactions between these two approaches to natural resource management and highlights the difficulties in integrating them effectively. The major challenges for governments are: poor cooperation between fisheries and conservation agencies; in principle inconsistencies between allocation of fishing rights by fisheries agencies and loss of these rights through MPA declaration; re-allocation of resources between user groups through spatial zoning; lack of fisheries expertise in conservation planning, and inappropriate single-species/single-issue approach to fisheries management. As fisheries agencies are now considering developing their own MPAs as tools for fisheries management, the need to address inconsistencies between conservation and fisheries approaches to the spatial management of natural resources increases further. Better collaboration between government agencies and better coordination of their activities would help more effective and less conflicting management of marine resources. [source] Potential changes in skipjack tuna (Katsuwonus pelamis) habitat from a global warming scenario: modelling approach and preliminary resultsFISHERIES OCEANOGRAPHY, Issue 4-5 2003Harilaos Loukos Abstract Recent studies suggest a reduction of primary production in the tropical oceans because of changes in oceanic circulation under global warming conditions caused by increasing atmospheric CO2 concentration. This might affect the productivity of medium and higher trophic levels with potential consequences on marine resources such as tropical tuna. Here we combine the projections of up-to-date climate and ocean biogeochemical models with recent concepts of representation of fish habitat based on prey abundance and ambient temperature to gain some insight into the impact of climate change on skipjack tuna (Katsuwonus pelamis), the species that dominates present-day tuna catch. For a world with doubled atmospheric CO2 concentration, our results suggest significant large-scale changes of skipjack habitat in the equatorial Pacific. East of the date line, conditions could be improved by an extension of the present favourable habitat zones of the western equatorial Pacific, a feature reminiscent of warming conditions associated with El Niño events. Despite its simplicity and the associated underlying hypothesis, this first simulation is used to stress future research directions and key issues for modelling developments associated to global change. [source] The paleoecology and archaeology of long-term water storage in a Hohokam reservoir, southwestern Arizona, U.S.A.GEOARCHAEOLOGY: AN INTERNATIONAL JOURNAL, Issue 2 2004James M. Bayman Water storage reservoirs were an important feature of economic organization among ancient societies in the North American Southwest. Analyses of reservoir sediments from a Hohokam archaeological site in the Sonoran Desert yielded taxonomic species of ostracodes (microscopic crustaceans) and pollen grains that are indicative of a past water-rich environment. The discovery that this reservoir was capable of storing water on a long-term basis indicates that archaeological models for the region, which have relied on direct historic analogy, must be reexamined. In contrast to the local ethnographic record, paleoecological data generated by this study imply that the Hohokam could establish permanent desert settlements with water storage reservoirs away from perennial rivers and streams. Moreover, residents of these areas were geographically positioned to facilitate the circulation of marine resources (i.e., salt and shell) from the Gulf of California to territories within and beyond the Hohokam region. © 2004 Wiley Periodicals, Inc. [source] Blue fish burgers: nutritional characterisation and sensory optimisationINTERNATIONAL JOURNAL OF FOOD SCIENCE & TECHNOLOGY, Issue 8 2009Rossella Di Monaco Summary In order to reduce waste of marine resources, valorise fishing discards and move towards fish consumption, a new ready-to-cook seafood product was developed. In particular, a chemical investigation on chub mackerel and hake was conducted to the aim of mixing the two fish species to produce nutritionally balanced fish burgers. In addition, to evaluate consumer opinion about these new fresh products and best acceptability of different proportions of mackerel and hake, focus group interviews and consumer test were also performed. The results of the chemical analyses achieved on both selected fish species gave rise to minimally processed fish products with a high amount of chub mackerel, therefore providing the desired nutritional properties and low level of hake in order to obtain firmer and wetter burgers. By means of focus group interviews, the novelty and high level of convenience of the developed fresh commodity was highlighted. Consumer test declared that the most successful sample was that with 70% chub mackerel and 30% hake. [source] The intersection of scientific and indigenous ecological knowledge in coastal Melanesia: implications for contemporary marine resource management*INTERNATIONAL SOCIAL SCIENCE JOURNAL, Issue 187 2006Simon Foale Fundamental differences in the worldviews of western marine scientists and coastal Melanesian fishers have resulted in very different conclusions being drawn from similar sets of observations. The same inductive logic may lead both scientists and indigenous fishers to conclude that, say, square-tail trout aggregate at a certain phase of the moon in a certain reef passage, but different assumptions derived from disparate worldviews may lead to very different conclusions about why the fish are there. In some cases these differences have significant implications for the way marine resources are (or are not) exploited and managed. Here I analyse examples of what I call empirical gaps in both scientific and indigenous knowledge concerning the biology and ecology of fished organisms that in some cases have led to the poor management of stocks of these species. I argue that scientific education can complement indigenous knowledge systems and thus lead to improved resource management, despite some claims that scientific and indigenous knowledge systems are incommensurable. [source] Habitat utilisation during staging affects body condition in a long distance migrant, Branta bernicla hrota: potential impacts on fitness?JOURNAL OF AVIAN BIOLOGY, Issue 6 2008R. Inger There is considerable evidence to suggest that an animal's ability to access the appropriate resources at one time of year may profoundly restrict its performance at another. For migrants, wintering and breeding periods are often connected by refuelling or staging periods, critical (particularly for females) in attaining the body reserves required to ensure successful breeding. However in many instances there are differences in the extent to which different individuals gain access to the highest quality resources. Here we demonstrate how body condition in brent geese Branta bernicla hrota, during spring staging is related to differences in marine and terrestrial habitat utilisation (inferred from stable isotope analysis). Female birds with high fat scores feed to a greater extent on marine resources. Body mass and condition are also higher in individuals utilising more marine resources. Given that body mass at spring staging is correlated with reproductive success, the extent of marine habitat maybe critical to this population. Combining this with data from previous studies of dark-bellied brent geese Branta bernicla bernicla, we predict the potential impacts of spring staging resource utilisation on future breeding success. Although staging is of short duration compared to the other components of annual cycles of migratory species, our results suggest that the quality of staging grounds may be vitally important to population processes. [source] Closing the open sea: Development of fishery management in four Icelandic fisheriesNATURAL RESOURCES FORUM, Issue 1 2003Thórólfur Matthíasson The article outlines the development of Iceland's fishery rights and the extension of its territorial waters between the 1950s and the mid-1970s, whereby Iceland gained exclusive control and use of the marine resources of the waters within 12, later 50, and ultimately 200 nautical miles around the island. The article concentrates on four of Iceland's main fisheries: shrimp, herring, capelin and cod. These four fisheries are discussed separately and in depth, presenting the beginnings and growth of the industry and detailing the development of management practices and the corresponding legislation and regulatory measures. Iceland's initial concern was to gain control over the marine resources surrounding the island, but once this was achieved, the focus of attention shifted to managing first the economic and soon also the ecological aspects of its tremendous resource. Informed mainly by indigenous expertise, Iceland's concern was to limit overfishing, manage its fisheries sustainably both from the economic and ecological points of view, and find the best ways to distribute the revenues from the marine harvest. The article looks at each of the four fisheries to clarify how the individual transferable quota (ITQ) system came into being, how initial quota holdings were allotted, and analyses the circumstances under which the ITQ system became the management tool of choice. For each fishery, the process of regulatory evolution was quite unique. At the same time, there is a common pattern to all the fisheries, which may be summarized as follows. Firstly, serious attempts to reform management practices only got underway when the fishery had collapsed or was close to collapse. Secondly, stakeholders invariably started the process of regulation by limiting access to the fishery. Thirdly, a variety of rules were implemented to allocate rights to participate in the fishery to additional entrants once membership had been closed. Finally, prior to the invention of the ITQ system, prices were used to manage fisheries in Iceland. It may be concluded that the management of fisheries by ITQs may be a historical accident, rather than the end point of a logical evolution. [source] Strength of asymmetric competition between predators in food webs ruled by fluctuating prey: the case of foxes in tundraOIKOS, Issue 1 2010John-André Henden In food webs heavily influenced by multi-annual population fluctuations of key herbivores, predator species may differ in their functional and numerical responses as well as their competitive ability. Focusing on red and arctic fox in tundra with cyclic populations of rodents as key prey, we develop a model to predict how population dynamics of a dominant and versatile predator (red fox) impacted long-term growth rate of a subdominant and less versatile predator (arctic fox). We compare three realistic scenarios of red fox performance: (1) a numerical response scenario where red fox acted as a resident rodent specialist exhibiting population cycles lagging one year after the rodent cycle, (2) an aggregative response scenario where red fox shifted between tundra and a nearby ecosystem (i.e. boreal forest) so as to track rodent peaks in tundra without delay, and (3) a constant subsidy scenario in which the red fox population was stabilized at the same mean density as in the other two scenarios. For all three scenarios it is assumed that the arctic fox responded numerically as a rodent specialist and that the mechanisms of competition is of a interference type for space, in which the arctic fox is excluded from the most resource rich patches in tundra. Arctic fox is impacted most by the constant subsidy scenario and least by the numerical response scenario. The differential effects of the scenarios stemmed from cyclic phase-dependent sensitivity to competition mediated by changes in temporal mean and variance of available prey to the subdominant predator. A general implication from our result is that external resource subsidies (prey or habitats), monopolized by the dominant competitor, can significantly reduce the likelihood for co-existence within the predator guild. In terms of conservation of vulnerable arctic fox populations this means that the likelihood of extinction increases with increasing amount of subsidies (e.g. carcasses of large herbivores or marine resources) in tundra and nearby forest areas, since it will act to both increase and stabilize populations of red fox. [source] Diet and mobility in Early Medieval Bavaria: A study of carbon and nitrogen stable isotopesAMERICAN JOURNAL OF PHYSICAL ANTHROPOLOGY, Issue 2 2010Susanne Hakenbeck Abstract This study investigates patterns of mobility in Early Medieval Bavaria through a combined study of diet and associated burial practice. Carbon and nitrogen isotope ratios were analyzed in human bone samples from the Late Roman cemetery of Klettham and from the Early Medieval cemeteries of Altenerding and Straubing-Bajuwarenstrasse. For dietary comparison, samples of faunal bone from one Late Roman and three Early Medieval settlement sites were also analyzed. The results indicate that the average diet was in keeping with a landlocked environment and fairly limited availability of freshwater or marine resources. The diet appears not to have changed significantly from the Late Roman to the Early Medieval period. However, in the population of Altenerding, there were significant differences in the diet of men and women, supporting a hypothesis of greater mobility among women. Furthermore, the isotopic evidence from dietary outliers is supported by "foreign" grave goods and practices, such as artificial skull modification. These results reveal the potential of carbon and nitrogen isotope analysis for questions regarding migration and mobility. Am J Phys Anthropol 143:235,249, 2010. © 2010 Wiley-Liss, Inc. [source] Isotopic evidence of dietary variations and weaning practices in the Gaya cemetery at Yeanri, Gimhae, South KoreaAMERICAN JOURNAL OF PHYSICAL ANTHROPOLOGY, Issue 1 2010Kyungcheol Choy Abstract Stable carbon and nitrogen isotope analyses were conducted to investigate dietary variation in human skeletons (n = 109) from the Gaya cemetery at Yeanri located near Gimhae City, South Korea. The cemetery contained three distinct grave types dating to 4th,7th century AD. The main purposes of this research were to reconstruct palaeodiet in the Gaya population and to explore correlations between stable isotope compositions and burial types, inferred age, and sex of these individuals. The isotopic data indicate that the people at Yeanri consumed a predominantly C3 -based terrestrial diet supplemented with freshwater and/or marine resources. The comparison of isotopic results reveals significant differences in ,13C values among three adult burial types (wood-cist coffin: ,18.5 ± 0.5,, stone-cist coffin: ,18.1 ± 0.6,, mausoleum: ,17.8 ± 0.9,). Males in wood-cist and stone-cist coffins have relatively more elevated mean ,13C and ,15N values than females. The isotopic ratios from the two adult age groups (21,40 years and 40,60 years) indicate that there was no significant dietary change in individuals with age. The isotope data from the infants and children suggest the weaning was a gradual process that was completed between 3 and 4 years of age in the Gaya population. This evidence indicates that the dietary variations within the cemetery reflect social status, sex, and childhood consumption patterns. Am J Phys Anthropol, 2010. © 2009 Wiley-Liss, Inc. [source] Stable isotopic evidence for diet at the Imperial Roman coastal site of Velia (1st and 2nd Centuries AD) in Southern ItalyAMERICAN JOURNAL OF PHYSICAL ANTHROPOLOGY, Issue 4 2009Oliver E. Craig Abstract Here we report on a stable isotope palaeodietary study of a Imperial Roman population interred near the port of Velia in Southern Italy during the 1st and 2nd centuries AD. Carbon and nitrogen stable isotope analyses were performed on collagen extracted from 117 adult humans as well as a range of fauna to reconstruct individual dietary histories. For the majority of individuals, we found that stable isotope data were consistent with a diet high in cereals, with relatively modest contributions of meat and only minor contributions of marine fish. However, substantial isotopic variation was found within the population, indicating that diets were not uniform. We suggest that a number of individuals, mainly but not exclusively males, had greater access to marine resources, especially high trophic level fish. However, the observed dietary variation did not correlate with burial type, number of grave goods, nor age at death. Also, individuals buried at the necropolis at Velia ate much less fish overall compared with the contemporaneous population from the necropolis of Portus at Isola Sacra, located on the coast close to Rome. Marine and riverine transport and commerce dominated the economy of Portus, and its people were in a position to supplement their own stocks of fish with imported goods in transit to Rome, whereas at Velia marine exploitation existed side-by-side with land-based economic activities. Am J Phys Anthropol, 2009. © 2009 Wiley-Liss, Inc. [source] Dietary variation and stress among prehistoric Jomon foragers from JapanAMERICAN JOURNAL OF PHYSICAL ANTHROPOLOGY, Issue 4 2007Daniel H. Temple Abstract Current archaeological evidence indicates that greater dietary reliance on marine resources is recorded among the eastern Jomon, while plant dependence prevailed in western/inland Japan. The hypothesis that the dietary choices of the western/inland Jomon will be associated with greater systemic stress is tested by comparing carious tooth and enamel hypoplasia frequencies between the eastern and western/inland Jomon. Demographic collapse coincides with climate change during the Middle to Late Jomon period, suggesting dwindling resource availability. It is hypothesized that this change was associated with greater systemic stress and/or dietary change among the Middle to Late Jomon. This hypothesis is tested by comparing enamel hypoplasia and carious tooth frequencies between Middle to Late and Late to Final Jomon foragers. Enamel hypoplasia was significantly more prevalent among the western/inland Jomon. Such findings are consistent with archaeological studies that argue for greater plant consumption and stresses associated with seasonal resource depletion among the western/inland Jomon. Approximately equivalent enamel hypoplasia frequencies between Middle to Late and Late to Final Jomon foragers argues against a demographic collapse in association with diminished nutritional returns. Significant differences in carious tooth frequencies are, however, observed between Middle to Late and Late to Final Jomon foragers. These results suggest a subsistence shift during the Middle to Late Jomon period, perhaps in response to a changed climate. The overall patterns of stress documented by this study indicate wide-spread environmentally directed biological variation among the prehistoric Jomon. Am J Phys Anthropol, 2007. © 2007 Wiley-Liss, Inc. [source] Atlantic salmon (Salmo salar) postsmolts adapt lipid digestion according to elevated dietary wax esters from Calanus finmarchicusAQUACULTURE NUTRITION, Issue 1 2009A.S. BOGEVIK Abstract Wax esters (WE) in copepods constitute huge natural marine lipid resources, which can contribute as future lipid source in formulated diets in aquaculture, and thereby reduce the pressure on use of marine resources at higher trophic levels. The present study was undertaken to investigate factors affecting WE digestibility, including production of bile and lipases in Atlantic salmon fed diets containing high proportions of oil derived from copepods. Individually tagged postsmolt Atlantic salmon (initial weight 250 g) were distributed into three dietary groups in triplicate tanks and fed either a fish oil supplemented diet or diets where 50% or 100% of the fish oil was replaced with oil extracted from Calanus finmarchicus. WE accounted for 30.7% or 47.7% of the lipids in these latter diets, respectively. Over the 100 day feeding period, the salmon fed the fish oil diet displayed a significantly higher specific growth rate (SGR; 0.74) than fish fed the 100%Calanus oil diet (SGR; 0.67). The apparent digestibility coefficient of total lipid and total fatty acids was significantly higher in salmon fed the fish oil and the mixed diet compared to fish fed the pure Calanus oil diet. However, the fish appeared to enhance the lipid digestive capacity by increasing bile volume and the lipolytic activity. It is concluded that the digestion of WE in Atlantic salmon is poorer than for triacylglycerols. However, the digestive capacity is increased by elevating the bile content and lipase activity. At very high levels however, WE of lipid between 37.5% and 47.7%, are there no more compensation and WE utilisation decreases. [source] An ecosystem-scale predictive model of coastal seagrass distributionAQUATIC CONSERVATION: MARINE AND FRESHWATER ECOSYSTEMS, Issue 4 2010A. Grech Abstract 1.Maintaining ecological processes that underpin the functioning of marine ecosystems requires planning and management of marine resources at an appropriate spatial scale. 2.The Great Barrier Reef World Heritage Area (GBR) is the world's largest World Heritage Area (approximately 348,000,km2) and second largest marine protected area. It is difficult to inform the planning and management of marine ecosystems at that scale because of the high cost associated with collecting data. To address this and to inform the management of coastal (approximately 15,m below mean sea level) habitats at the scale of the GBR, this study determined the presence and distribution of seagrass by generating a Geographic Information System (GIS)-based habitat suitability model. 3.A Bayesian belief network was used to quantify the relationship (dependencies) between seagrass and eight environmental drivers: relative wave exposure, bathymetry, spatial extent of flood plumes, season, substrate, region, tidal range and sea surface temperature. The analysis showed at the scale of the entire coastal GBR that the main drivers of seagrass presence were tidal range and relative wave exposure. Outputs of the model include probabilistic GIS-surfaces of seagrass habitat suitability in two seasons and at a planning unit of cell size 2,km×2,km. 4.The habitat suitability maps developed in this study extend along the entire GBR coast, and can inform the management of coastal seagrasses at an ecosystem scale. The predictive modelling approach addresses the problems associated with delineating habitats at the scale appropriate for the management of ecosystems and the cost of collecting field data. Copyright © 2010 John Wiley & Sons, Ltd. [source] Changes in frigate tuna populations on the south coast of Sri Lanka: evidence of the shifting baseline syndrome from analysis of fisher observationsAQUATIC CONSERVATION: MARINE AND FRESHWATER ECOSYSTEMS, Issue 2 2010A. J. Venkatachalam Abstract 1.This study examines changes in frigate tuna populations in southern Sri Lanka, based on reports from fishers in three age classes. Significantly higher values for best day's catch and largest specimen ever caught were obtained by older fishers than younger ones. Values were also significantly higher during early years, providing clear evidence of a decrease in the resource over time (1951,2007). 2.Older fishers reported best catches further inshore and in shallower waters which, on becoming depleted, forced younger generations to fish in less exploited areas further offshore. Heavy harvesting is also evident from the significantly greater number of sites reported by older fishers as being depleted, compared with observations of younger fishers. 3.These findings contrast markedly with catch and catch per effort patterns from statistics for frigate tuna and bullet tuna (combined) in southern Sri Lanka (1994,2004). No stock decline is evident, and at least one report in the early 1990s advocated increasing exploitation rates by 40% to maximize yields. 4.Although not a primary research objective, fisher observations on frigate tuna populations were also analysed to help evaluate possible effects of the 2004 tsunami. Most fishers reported post-tsunami decline, but mainly from a larger new generation of fishers, rather than extra boats provided by aid money or (direct or indirect) biophysical impacts from the tsunami. 5.Reliance on fishery statistics, especially for mixed species and over a limited period, can be risky and easily mask true stock status. Evidence of harvesting effects on frigate tuna in southern Sri Lanka is evident using questionnaire data over a longer time scale. 6.This study provides another compelling case of the ,shifting baseline syndrome', whereby fishers of different ages have altered perceptions/experiences of their environment. This may be its first reported occurrence in Sri Lanka. Traditional knowledge from this and similar surveys may provide national fishery management with valuable insights and help improve conservation prospects for frigate tuna and other marine resources. Copyright © 2009 John Wiley & Sons, Ltd. [source] Differences in benthic cover inside and outside marine protected areas on the Great Barrier Reef: influence of protection or disturbance history?AQUATIC CONSERVATION: MARINE AND FRESHWATER ECOSYSTEMS, Issue 7 2009Monique R. Myers Abstract 1.Marine protected areas (MPAs) are being used increasingly to manage and protect marine resources. Most studies of MPAs have focused on fish. In this study, the influence of MPA protection on coral reef benthic organisms on the Great Barrier Reef (GBR) was investigated. In addition, the interaction between protection and natural disturbance history was examined. 2.Differences in benthic cover inside and outside MPAs were assessed at 15 pairs of Protected and General Use reefs on the GBR using annual monitoring data from the Australian Institute of Marine Science's Long-Term Monitoring Programme (LTMP). At each reef, benthic cover was determined using a benthic video survey at three sites, with each site consisting of five 50,m transect lines separated by at least 250,m running parallel to the reef crest at 6,9,m depth. 3.Benthic cover was related to both protection status and disturbance history, but natural perturbations exerted a stronger influence on benthic cover than did protection status. The influence of natural perturbation was most noticeable for hard coral. 4.Most reefs where no natural disturbance events had occurred (,undisturbed reefs') had higher hard coral cover and lower soft coral cover than General Use reefs. While the high levels of hard coral on Protected reefs may be a result of protection status, it might also have resulted from selection bias that occurred during the initial zoning of the Great Barrier Reef Marine Park (i.e. managers may have given protection status to reefs with high coral cover). 5.These results are likely influenced by the relatively low intensity of human use, both on the Great Barrier Reef in general and at the particular monitoring sites studied. Over time, as local populations and tourism increase, the effect of protection may become more evident at LTMP sites. Copyright © 2009 John Wiley & Sons, Ltd. [source] A Marquesan coral reef (French Polynesia) in historical context: an integrated socio-ecological approachAQUATIC CONSERVATION: MARINE AND FRESHWATER ECOSYSTEMS, Issue 6 2009Shankar Aswani Abstract 1.Marine biologists are increasingly aware of the impact that even small human populations can have on coral reefs around the world, while conservationists and fisheries managers have a growing appreciation of the importance of culturally informed management strategies in coral reef conservation efforts. Despite these recognitions, however, examples of integrated field studies are limited. 2.In this paper evidence from various disciplines is used to study the interaction between humans and one of the largest reefs in the Marquesas Islands, at Anaho Bay, Nuku Hiva Island, with the aim of assessing possible anthropogenic impacts over time. 3.First, it reports on a marine biological survey of the benthic substrates of the bay and the taxonomic composition and spatial distributions of the local fish species. Second, it draws on results from an ongoing archaeological study and integrates these with interviews of village elders to gain a historical perspective on the reef and potential human impacts. 4.The biological results indicated that the reef is in a state of decline, although fish densities are moderately high. The archaeological evidence, in turn, demonstrates that human populations have occupied this valley for at least the last 700 years. Throughout this period marine resources have been an important source of both food and raw materials for tools. The archaeological study also highlights aspects of landscape change, both natural and human-induced, that probably have been detrimental to reef health. 5.Using the combined biological and anthropological data, this paper considers the nexus of factors that have led to the current reef conditions and considers management issues for the future. Key in this regard are processes that have initiated erosion and soil run-off, and fluctuations in the local human populations. Copyright © 2008 John Wiley & Sons, Ltd. [source] EXPLOITING MARINE WILDLIFE IN QUEENSLAND: THE COMMERCIAL DUGONG AND MARINE TURTLE FISHERIES, 1847,1969AUSTRALIAN ECONOMIC HISTORY REVIEW, Issue 3 2008Ben Daley commercial fisheries; dugongs; Great Barrier Reef; marine turtles; Australia The historical exploitation of marine resources in Queensland has only been partially documented. In particular, the history of the commercial fishing of dugongs and marine turtles has received comparatively little scholarly attention. Since European settlement in Queensland, various human activities have exploited these resources. We present documentary and oral history evidence of the scale of those industries. Based on extensive archival and oral history research, we argue that diverse fishing practices occurred and that the sustained exploitation of dugongs, green turtles, and hawksbill turtles led to observable declines in the numbers of these animals , now species of conservation concern. [source] Conflicting uses of marine resources: can ITQs promote an efficient solution?,AUSTRALIAN JOURNAL OF AGRICULTURAL & RESOURCE ECONOMICS, Issue 1 2009Ragnar Arnason This paper examines the allocation problem arising from conflicting demands for marine resource use by (i) commercial fishers, (ii) recreational fishers, and (iii) conservationists. It is shown that decentralised trading of individual transferable quotas (ITQs) is capable of an efficient allocation of resource use between the first two parties. In contrast, it is found that the standard ITQ system is not capable of performing the same ideal co-ordination between the conflicting interests of extractive users, that is, all fishers, and the non-extractive ones, that is, conservationists. The reason is that quota trades between individual fishers and conservationists are inevitably accompanied by (positive) externalities on both other fishers and conservationists. As a result, decentralised quota trades between these parties cannot be efficient. The fundamental economic observation is that quotas for conservation and for extraction constitute two different goods. It follows that a socially optimal market allocation of these two goods requires two prices instead of the single quota price in the standard ITQ system. Thus, to achieve efficiency, the ITQ system has to be extended to incorporate both types of goods. It is shown in the paper that if fishers and conservationists can organise themselves into groups, trades of conservation quotas between the two groups can in principle lead to fully efficient allocation. An interesting implication of this modified ITQ system is that the need for a fisheries authority to set the total allowable catch (TACs) disappears. [source] |