1,349 research outputs found

    Seabed mapping on Australia's southern margin: Baseline information for science and marine management

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    In ratifying the United Nations Convention on the Law of the Sea in 1994, Australia took responsibility for a marine jurisdiction that is more than 1.5 times the area of the landmass. While ownership of offshore resources provided under UNCLOS bestows certain rights (including exploitation), it also carries a range of obligations, including the protection and preservation of the marine environment. In order to fulfil these obligations, there is a key need for the acquisition and interpretation of baseline scientific information that will support the sustainable use and management of marine resources. The most critical baseline information required is the detailed depth and shape of the seafloor and the nature of the shallow substrate, particularly in high-use areas. Such information underpins the activities of virtually all government, industry and academic sectors working offshore, including petroleum and minerals, fisheries and mariculture, engineering, defence, transport, tourism and environmental management. Knowledge of the seabed is also critical for the issues of multiple sequential land use to be addressed offshore. The current state of such knowledge is extremely variable, with the highest quality 3-D seabed mapping data being available over only about 5% of the Australian marine jurisdiction. Certain basic data sets should be available to all organisations and individuals working in the marine environment. Description and discussion of the seabed mapping component of acquiring those data sets on the southern margin of Australia form the basis of this paper. Priorities for seabed mapping are suggested, e.g. the southeastern and somhwestern margins of the continent

    Behavioural responses to spatial variation in perceived predation risk and resource availability in an arboreal primate

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    Prey species must often face a trade-off between acquiring resources and minimising predation risk. The spatial variation in predation risk across a landscape, as perceived by prey across their foraging or home range, creates a ‘landscape of fear’ by which individuals modify their behaviour in response to the level of perceived risk. Here, we explored the influence of perceived predation risk, habitat features associated with risk, and fruit availability, on the spatial variation in behaviour of the endangered forest-dwelling samango monkey (Cercopithecus albogularis schwarzi). We collected behavioural and location data on two habituated samango monkey groups in the Soutpansberg Mountains, South Africa between 2012 and 2016. We further collected location data of the samango monkey’s acoustically distinct alarm call, which has an unambiguous association with aerial predators, to spatially map perceived risk across the landscape. Using generalised linear mixed models, we found that perceived risk from eagles significantly influenced the spatial distribution of critical life-functioning behaviours, with samango monkeys increasing feeding and foraging in high-risk areas. To mitigate this risk samangos increased cohesion between group members, which subsequently reduced vigilance levels. Group cohesion further increased in high-risk areas with abundant fruit, relative to high-risk, fruit-poor areas, demonstrating the monkey’s foraging/risk trade-off. Feeding was also reduced in areas of low canopy height, whilst vigilance decreased with increasing understory visibility and distance from sleep site, showing the influence of landscape features on risk perception from other predator guilds. Thus, for arboreal species foraging in a 3-D landscape, risk perception may occur at multiple scales and in response to multiple predator guilds. Only moving was influenced by fruit availability, either due to moving between localised food patches or from escaping high-risk areas following feeding bouts. These findings highlight that risk-taking in samango monkeys is only associated with behaviours fundamental to survival and that increased cohesion between neighbours is the main antipredator response in this species

    Reframing the concept of alternative livelihoods

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    Alternative livelihood project (ALP) is a widely used term for interventions that aim to reduce the prevalence of activities deemed to be environmentally damaging by substituting them with lower impact livelihood activities that provide at least equivalent benefits. ALPs are widely implemented in conservation, but in 2012, an International Union for Conservation of Nature resolution called for a critical review of such projects based on concern that their effectiveness was unproven. We focused on the conceptual design of ALPs by considering their underlying assumptions. We placed ALPs within a broad category of livelihood-focused interventions to better understand their role in conservation and their intended impacts. We dissected 3 flawed assumptions about ALPs based on the notions of substitution, the homogenous community, and impact scalability. Interventions based on flawed assumptions about people's needs, aspirations, and the factors that influence livelihood choice are unlikely to achieve conservation objectives. We therefore recommend use of a sustainable livelihoods approach to understand the role and function of environmentally damaging behaviors within livelihood strategies; differentiate between households in a community that have the greatest environmental impact and those most vulnerable to resource access restrictions to improve intervention targeting; and learn more about the social–ecological system within which household livelihood strategies are embedded. Rather than using livelihood-focused interventions as a direct behavior-change tool, it may be more appropriate to focus on either enhancing the existing livelihood strategies of those most vulnerable to conservation-imposed resource access restrictions or on use of livelihood-focused interventions that establish a clear link to conservation as a means of building good community relations. However, we recommend that the term ALP be replaced by the broader term livelihood-focused intervention. This avoids the implicit assumption that alternatives can fully substitute for natural resource-based livelihood activities

    Adapting methodology used on captive subjects for estimating gut passage time in wild monkeys

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    Gut passage time of food has consequences for primate digestive strategies, which subsequently affect seed dispersal. Seed dispersal models are critical in understanding plant population and community dynamics through estimation of seed dispersal distances, combining movement data with gut passage times. Thus, developing methods to collect in-situ data on gut passage time are of great importance. Here we present a first attempt to develop an in-situ study of gut passage time in an arboreal forest guenon, samango monkey (Cercopithecus albogularis schwarzi) in the Soutpansberg Mountain, South Africa. Cercopithecus spp. consume large proportions of fruit and are important seed dispersers. However, previous studies on gut passage times have been conducted only on captive Cercopithecus spp. subjects, where movement is restricted, and diets are generally dissimilar to those observed in the wild. Using artificial digestive markers, we targeted provisioning of a male and a female samango monkey four times over three and four days respectively. We followed focal subjects from dawn until dusk following each feeding event, collecting faecal samples, and recording the date and time of deposition and the number of markers found in each faecal sample. We recovered 6.61% ± 4% and 13% ± 9% of markers from the male and the female respectively and were able to estimate a gut passage window of 16.63 – 25.12 hrs from three of the eight trials. We discuss methodological issues to help future researchers to develop in-situ studies on gut passage times

    The validity and reliability of observational assessment tools available to measure fundamental movement skills in school-age children: A systematic review

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    Background Fundamental Movement Skills (FMS) play a critical role in ontogenesis. Many children have insufficient FMS, highlighting the need for universal screening in schools. There are many observational FMS assessment tools, but their psychometric properties are not readily accessible. A systematic review was therefore undertaken to compile evidence of the validity and reliability of observational FMS assessments, to evaluate their suitability for screening. Methods A pre-search of ‘fundamental movement skills’ OR ‘fundamental motor skills’ in seven online databases (PubMed, Ovid MEDLINE, Ovid Embase, EBSCO CINAHL, EBSCO SPORTDiscus, Ovid PsycINFO and Web of Science) identified 24 assessment tools for school-aged children that: (i) assess FMS; (ii) measure actual motor competence and (iii) evaluate performance on a standard battery of tasks. Studies were subsequently identified that: (a) used these tools; (b) quantified validity or reliability and (c) sampled school-aged children. Study quality was assessed using COnsensus-based Standards for the selection of health Measurement INstruments (COSMIN) checklists. Results Ninety studies were included following the screening of 1863 articles. Twenty-one assessment tools had limited or no evidence to support their psychometric properties. The Test of Gross Motor Development (TGMD, n = 34) and the Movement Assessment Battery for Children (MABC, n = 37) were the most researched tools. Studies consistently reported good evidence for validity, reliability for the TGMD, whilst only 64% of studies reported similarly promising results for the MABC. Twelve studies found good evidence for the reliability and validity of the Bruininks-Oseretsky Test of Motor Proficiency but poor study quality appeared to inflate results. Considering all assessment tools, those with promising psychometric properties often measured limited aspects of validity/reliability, and/or had limited feasibility for large scale deployment in a school-setting. Conclusion There is insufficient evidence to justify the use of any observational FMS assessment tools for universal screening in schools, in their current form

    Evolutionary history of endogenous Human Herpesvirus 6 reflects human migration out of Africa

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    Human herpesvirus 6A and 6B (HHV-6) can integrate into the germline, and as a result, ∼70 million people harbor the genome of one of these viruses in every cell of their body. Until now, it has been largely unknown if 1) these integrations are ancient, 2) if they still occur, and 3) whether circulating virus strains differ from integrated ones. Here, we used next-generation sequencing and mining of public human genome data sets to generate the largest and most diverse collection of circulating and integrated HHV-6 genomes studied to date. In genomes of geographically dispersed, only distantly related people, we identified clades of integrated viruses that originated from a single ancestral event, confirming this with fluorescent in situ hybridization to directly observe the integration locus. In contrast to HHV-6B, circulating and integrated HHV-6A sequences form distinct clades, arguing against ongoing integration of circulating HHV-6A or “reactivation” of integrated HHV-6A. Taken together, our study provides the first comprehensive picture of the evolution of HHV-6, and reveals that integration of heritable HHV-6 has occurred since the time of, if not before, human migrations out of Africa

    The Effect of Real-World Personal Familiarity on the Speed of Face Information Processing

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    Background. Previous studies have explored the effects of familiarity on various kinds of visual face judgments, yet the role of familiarity in face processing is not fully understood. Across different face judgments and stimulus sets, the data is equivocal as to whether or not familiarity impacts recognition processes. Methodology/Principal Findings. Here, we examine the effect of real-world personal familiarity in three simple delayed-match-to-sample tasks in which subjects were required to match faces on the basis of orientation (upright v. inverted), gender and identity. We find that subjects had a significant speed advantage with familiar faces in all three tasks, with large effects for the gender and identity matching tasks. Conclusion/Significance. Our data indicates that real-world experience with a face exerts a powerful influence on face processing in tasks where identity information is irrelevant, even in tasks that could in principle be solved via low-level cues. These results underscore the importance of experience in shaping visual recognition processes

    Quantification of the energy gap in young overweight children. The PIAMA birth cohort study

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    Background: Overweight develops gradually as a result of a long term surplus on the balance between energy intake and energy expenditure. Aim of this study was to quantify the positive energy balance responsible for excess body weight gain (energy gap) in young overweight children. Methods. Reported data on weight and height were used of 2190 Dutch children participating in the PIAMA birth cohort study. Accumulated body energy was estimated from the weight gain observed between age 2 and age 5-7. Energy gap was calculated as the difference in positive energy balance between children with and without overweight assuming an energy efficiency of 50%. Results: Ten percent of the children were overweight at the age of 5-7 years. For these children, median weight gain during 4-years follow-up was 13.3 kg, as compared to 8.5 kg in the group of children who had a normal weight at the end of the study. A daily energy gap of 289-320 kJ (69-77 kcal) was responsible for the excess weight gain or weight maintenance in the majority of the children who were overweight at the age of 5-7 years. The increase in daily energy requirement to maintain the 4.8 kilograms excess weight gain among overweight children at the end of the study was approximately 1371 kJ. Conclusions: An energy gap of about 289-320 kJ per day over a number of years can make the difference between normal weight and overweight in young children. Closing the energy gap in overweight children can be achieved by r

    The influence of blood on the efficacy of intraperitoneally applied phospholipids for prevention of adhesions

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    <p>Abstract</p> <p>Background</p> <p>The formation of adhesions following abdominal surgery is a well known problem. In previous studies we demonstrated the efficacy and safety of intraperitoneally applied phospholipids in order to prevent adhesion formation. This study evaluates the influence of blood on the efficacy of intraperitoneally applied phospholipids for prevention of adhesions.</p> <p>Methods</p> <p>In 40 Chinchilla rabbits adhesions were induced by median laparotomy, standardized abrasion of the visceral and parietal peritoneum in defined areas of the ventral abdominal wall and the caecum. The animals were randomly divided into four groups. They received either phospholipids 3.0% or normal saline (NaCl 0,9%) (5 ml/kg body weight). In 50% of the rabbits we simulated intraperitoneal bleeding by administration of blood (1,5 ml/kg body weight). The other half served as control group. Ten days following the operation the animals were sacrificed and adhesion formation was assessed by computer aided planimetry and histopathologic examination.</p> <p>Results</p> <p>The median adhesion surface area in the NaCl-group (n = 9) amounted to 68,72 mm<sup>2</sup>, in the NaCl+Blood-group (n = 10) 147,68 mm<sup>2</sup>. In the Phospholipid (PhL)-group (n = 9) the median adhesion surface area measured 9,35 mm<sup>2</sup>, in the PhL+Blood-group (n = 9) 11,95 mm<sup>2</sup>. The phospholipid groups had a significantly smaller adhesion surface area (p < 0.05).</p> <p>Conclusion</p> <p>Again these results confirm the efficacy of phospholipids in the prevention of adhesions in comparison to NaCl (p = 0,04). We also demonstrated the adhesion preventing effect of phospholipids in the presence of intraperitoneal blood.</p

    The Pheromone of the Cave Cricket, Hadenoecus cumberlandicus, Causes Cricket Aggregation but Does Not Attract the Co-Distributed Predatory Spider, Meta ovalis

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    Food input by the cave cricket, Hadenoecus cumberlandicus Hubble & Norton (Orthoptera: Rhaphidophoridae), is vital to the cave community, making this cricket a true keystone species. Bioassays conducted on cave walls and in the laboratory show that clustering in H. cumberlandicus is guided by a pheromone, presumably excreta. This aggregation pheromone was demonstrated by using filter paper discs that had previous adult H. cumberlandicus exposure, resulting in > 70% response by either nymphs or adults, prompting attraction (thus, active component is a volatile), followed by reduced mobility (arrestment) on treated surfaces. Adults were similarly responsive to pheromone from nymphs, agreeing with mixed stage composition of clusters in the cave. Effects of [0.001M – 0.1M] uric acid (insect excreta's principle component) on H. cumberlandicus behavior were inconsistent. This pheromone is not a host cue (kairomone) and is not used as a repellent (allomone) as noted through lack of responses to natural H. cumberlandicus pheromone and uric acid concentrations by a co-occurring predatory cave orb weaver spider, Meta ovalis Gertsch (Araneae: Tetragnathidae). This pheromone is not serving as a sex pheromone because nymphs were affected by it and because this population of H. cumberlandicus is parthenogenic. The conclusion of this study is that the biological value of the aggregation pheromone is to concentrate H. cumberlandicus in sheltered sites in the cave conducive for minimizing water stress. Rather than signaling H. cumberlandicus presence and quality, the reduced mobility expressed as a result of contacting this pheromone conceivably may act as a defense tactic (antipredator behavior) against M. ovalis, which shares this favored habitat site
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