37 research outputs found

    Equity trade-offs in conservation decision making

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    Conservation decisions increasingly involve multiple environmental and social objectives, which result in complex decision contexts with high potential for trade-offs. Improving social equity is one such objective that is often considered an enabler of successful outcomes and a virtuous ideal in itself. Despite its idealized importance in conservation policy, social equity is often highly simplified or ill-defined and is applied uncritically. What constitutes equitable outcomes and processes is highly normative and subject to ethical deliberation. Different ethical frameworks may lead to different conceptions of equity through alternative perspectives of what is good or right. This can lead to different and potentially conflicting equity objectives in practice. We promote a more transparent, nuanced, and pluralistic conceptualization of equity in conservation decision making that particularly recognizes where multidimensional equity objectives may conflict. To help identify and mitigate ethical conflicts and avoid cases of good intentions producing bad outcomes, we encourage a more analytical incorporation of equity into conservation decision making particularly during mechanistic integration of equity objectives. We recommend that in conservation planning motivations and objectives for equity be made explicit within the problem context, methods used to incorporate equity objectives be applied with respect to stated objectives, and, should objectives dictate, evaluation of equity outcomes and adaptation of strategies be employed during policy implementation

    The role of browsers in maintaining the openness of savanna grazing lawns

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    In savannas, ruminant herbivores can have divergent impacts on tree recruitment and subsequent woody cover. Whereas heavy grazing by cattle results in woody thickening, intensive grazing by wildlife instead tends to be associated with lower woody cover. To disentangle why woody cover is low in areas heavily grazed by wildlife, we investigated (a) whether grazing lawns attract indigenous mammalian browsers, and if a preference for short-grass habitat decreases with browser body mass as predator susceptibility decreases; and (b) whether browser attraction to grazing lawns translates into the suppression of woody plants, including seedlings and saplings, thus maintaining the openness of heavily grazed short-grass areas. In Kruger National Park, South Africa, we contrasted browser abundance (using dung counts) on grazing lawns and on low-herbivory sites characterised by tall grass. Additionally, a herbivore exclosure experiment was set up to investigate the combined impact of browser removal and grass height habitat type on seedling survival and sapling growth of a dominant woody plant species. Finally, in Hluhluwe-iMfolozi Park (HiP), we examined the long-term (10 years) impact of browser removal on the growth rates of a range of woody species, monitored across ten sites along a gradient of herbivory ranging from grazing lawn to tall grass. Steenbok and impala selected short- over tall grass as preferred browsing sites, while elephant preferred tall grass. Browser abundance on short grass decreased with browser body mass, indicating that predator avoidance might be a key factor driving mesoherbivores to utilise grazing lawns. Seedling survival was lowest on grazing lawns when browsers were present, with mortality occurring in two out of every three seedlings. Similarly, sapling growth was lowest on grazing lawns, although browser removal had no significant effect. Evidence for increased browser impact on grazing lawns was clearest from our long-term herbivore exclosure experiment in HiP, which demonstrated that browsers strongly modify the growth rates of woody plants in short-grass habitats. Synthesis. These results provide support for the hypothesis that browsers, particularly browsing mesoherbivores and mixed feeders, are attracted to short-grass habitats, and that they help maintain grazing lawn openness by suppressing seedling survival and woody plant growth where grass is kept short by grazers.SUPPORTING INFORMATION: Table S1. Proportion short grass calculated as the mean proportion of grass height below 10 cm, recorded at ten sites in HiP (Hluhluwe and iMfolozi Game Reserves). The mean number of grazer dung piles per year (species: buffalo, blue wildebeest, impala, warthog, white rhino and zebra) are shown for each site. Values in brackets represent standard errors.Figure S1. The effect of grass height and exclosure status (fenced vs. unfenced) on tree height gain (mean ± SE). Browsing impact on tree height gain was higher in areas with short grass i.e. browsers utilised trees in short-grass ecosystems more than in tall-grass ecosystems. Results of linear regression analyses are displayed for the unfenced treatment of two dominant woody plant species: a) D. cinerea (R2 = 0.38, p = 0.05) and b) A. nilotica (R2 = 0.44, p = 0.11), and for two woody plant functional types: c) fine-leaved (R2 = 0.33, p = 0.09) and d) broad-leaved (R2 = 0.60, p = 0.02), across 10 sites in Hluhluwe-iMfolozi Park for the period 2000-2009.DATA AVAILABILITY STATEMENT: Data are available from the Dryad Digital Repository https://doi-org.uplib.idm.oclc.org/10.5061/dryad.76hdr7st3 (Voysey et al., 2020).The USAID/NAS program ‘Partnerships for Enhanced Engagement in Research' (sub-grant 2000004946, Cycle 3) and the South African National Research Foundation, Department of Science and Technology, Innovation and Priority Research Masters Scholarship.http://www.wileyonlinelibrary.com/journal/jechj2022Plant Production and Soil Scienc

    Fairness and transparency are required for the inclusion of privately protected areas in publicly accessible conservation databases

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    There is a growing recognition of the contribution that privately-owned land makes to conservation efforts, and governments are increasingly counting privately protected areas (PPAs) towards their international conservation commitments. The public availability of spatial data on countries\u27 conservation estates is important for broad-scale conservation planning and monitoring and for evaluating progress towards targets. Yet there has been limited consideration of how PPA data is reported to national and international protected area databases, particularly whether such reporting is transparent and fair (i.e., equitable) to the landholders involved. Here we consider PPA reporting procedures from three countries with high numbers of PPAs-Australia, South Africa, and the United States-illustrating the diversity within and between countries regarding what data is reported and the transparency with which it is reported. Noting a potential tension between landholder preferences for privacy and security of their property information and the benefit of sharing this information for broader conservation efforts, we identify the need to consider equity in PPA reporting processes. Unpacking potential considerations and tensions into distributional, procedural, and recognitional dimensions of equity, we propose a series of broad principles to foster transparent and fair reporting. Our approach for navigating the complexity and context-dependency of equity considerations will help strengthen PPA reporting and facilitate the transparent integration of PPAs into broader conservation efforts

    Identifying opportunities for private land conservation

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    A recipe to reverse the loss of nature

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    Influence of HLA class I and HLA-KIR compound genotypes on HIV-2 infection and markers of disease progression in a Manjako community in West Africa.

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    Overall, the time to AIDS after HIV-2 infection is longer than with HIV-1, and many individuals infected with HIV-2 virus remain healthy throughout their lives. Multiple HLA and KIR gene products have been implicated in the control of HIV-1, but the effect of variation at these loci on HIV-2 disease is unknown. We show here for the first time that HLA-B*1503 is associated significantly with poor prognosis after HIV-2 infection and that HLA-B*0801 is associated with susceptibility to infection. Interestingly, previous data indicate that HLA-B*1503 is associated with low viral loads in HIV-1 clade B infection but has no significant effect on viral load in clade C infection. In general, alleles strongly associated with HIV-1 disease showed no effect in HIV-2 disease. These data emphasize the unique nature of the effects of HLA and HLA/KIR combinations on HIV-2 immune responses relative to HIV-1, which could be related to their distinct clinical course

    Program awareness, social capital, and perceptions of trees influence participation in private land conservation programs in Queensland, Australia

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    Voluntary private land conservation (PLC) is becoming an increasingly important complement to state protected areas around the world. PLC programs can serve as valuable strategies to increase biodiversity on agricultural lands, but their effectiveness depends on high participation rates. Amidst growing concerns regarding scalability and effectiveness of conservation strategies like national parks, researchers and practitioners are looking for new strategies to increase adoption of PLC. This study investigates the demographic, social, and psychological factors associated with participation in three classes of voluntary PLC programs—grant payments, land management agreements, and covenants—and how this relates to landholders’ attitudes toward tree clearing. We compare participation rates between these programs in Queensland and identify the most frequently cited reasons why land managers have or have not participated. Land managers who are more involved in agricultural organizations and whose tree clearing decisions are more influenced by the aesthetic value of trees are more likely to have participated in one or more of these programs. Participation was highly biased toward once-off grant payments, and participation in covenants was lowest of all programs. Although 58% of land managers have never participated, nearly half expressed interest in one or more programs. A lack of program knowledge and perceived losses of autonomy were the most frequently cited barriers to participation. We conclude with recommendations for increasing participation rates and raise important questions that need to be answered in order to promote a PLC culture that effectively curbs ongoing habitat degradation.</p

    The role of invasion and urbanization gradients in shaping avian community composition

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    Abstract The extent to which native species utilize urban environments depends on species responses to multiple threatening processes. Here, we aimed to quantify changes in bird communities in response to changing habitat structure, invasive species and aggressive native species. We conducted surveys in two independently invaded regions with similar patterns of urban development. The study regions were New South Wales (NSW) and Queensland (QLD), Australia. We observed 127 species in NSW and 144 species in QLD. Most species (NSW 83 and QLD 84) are urban adapters making use of some or all urban sub-environments. Urban avoiders, species only found in remnant vegetation, were the second largest group (urban avoiders: NSW 23 and QLD 31). We found the lowest richness in the most urban sites (urban exploiters: NSW 10 and QLD 15). Using generalized linear mixed models, we found a non-significant relationship between species richness and the abundance of aggressive species like the common myna and noisy miners, Manorina melanocephala, but a significant positive correlation with the percentage of shrub cover at a site. As there is a gradual loss of species with increasing urbanization, retaining higher complexity in vegetation structure in urban areas will support large numbers of species and could help mitigate the potential impacts of aggressive urban-adapted species and habitat loss.</jats:p

    Perceived and projected flood risk and adaptation in coastal Southeast Queensland, Australia

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    Evidence on the impacts of climate change is rapidly increasing but there is little change to the speed of climate adaptation by governments and individuals. There are multiple barriers to climate adaptation, including among others: the lack of the public understanding of risks, lack of leadership and availability of resources to adapt. In this study, we assess to what extent coastal residents understand their properties’ flood risk, and what predicts their risk perception and adaptation behaviour. We surveyed 420 individuals in South East Queensland projected to be within the permanent or temporary flood zone in 2100 based on combined sea-level rise and storm surge scenarios. We assessed the correlations between the projected (i.e. objective) and perceived risk of inundation, adaptation behaviour, and the individual characteristics considered to influence risk perception and adaptation. While we found a correlation between perceived and some objective flood risks, perceived risk only partially reflected objective risk. Other factors that influenced risk perception were previous experience of flooding events, belief in climate change, risk aversion, age and gender. Factors driving risk perception varied with the type (permanent, temporary) and frequency of flooding event (1 in 20 or 1 in 100 years). Previous experience with extreme event impacts and belief in climate change influenced all future perceived risks. However, even after being impacted by an extreme event, adaptation was moderate (58 %). Personal as well as environmental factors influence the likelihood of adaptation. The moderate adaptation response within our case study is likely a result of most respondents considering large flooding events to be rare and of limited impact, and anticipating future government aid to overcome flooding damage costs. Existing attitudes towards risk, which influence the extent of proactive adaptation, should be of concern to governments who will likely be facing these costs at increasing frequencies

    Development and validation of a multi-lingual online questionnaire for surveying the COVID-19 prevention and control measures used in global workplaces

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    Introduction: There is an ongoing need for targeted disease prevention and control efforts in high-risk occupational settings. This study aimed to develop, pilot, and validate an instrument for surveying occupational COVID-19 infection prevention and control (IPC) measures available to the global workforce. Material and Methods: A 44-item QualtricsXM survey was developed, translated, and validated for face, content, and cross-cultural validity according to literature review, expert consultation, and pre-testing. The survey was piloted with 890 workers from diverse industries and countries. Exploratory factor analysis (EFA) was conducted, and internal consistency reliability verified with Cronbach’s alpha. Hypothesis testing and Pearson correlation coefficients verified construct validity (i.e., known-groups technique, discriminant validity), and criterion validity. Results: EFA revealed nine key IPC domains relating to: environmental adjustments, testing and surveillance, education, costs incurred, restricted movements, physical distancing, masking, isolation strategies, and areas for improvement. Each domain showed sufficient internal consistency reliability (Cronbach’s alpha ≥ 0.60). Hypothesis testing confirmed construct validity (p < 0.001), criterion validity (p ≤ 0.03), and discriminant validity (r = -0.45). Conclusions: The occupational IPC measures survey showed strong validity and reliability. It can be used by decision makers in the distribution of IPC resources, and to guide occupational health and safety (OSH) recommendations for preventing COVID-19 and future infectious disease outbreaks.Science Foundation Irelan
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