83 research outputs found

    Roosting and associated feeding behaviour of turnstones Arenaria Interpres and purple sandpipers Calidris maritima in north-east England

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    Both individual Turnstones and Purple Sandpipers were largely site-faithful during winter; after the breeding season, however, fewer surviving Purple Sandpipers than Turnstones returned to the study area. Both species were sedentary on small low water home ranges and were faithful to a small number of roost and high water sites. Numbers of Turnstones and Purple Sandpipers flying to the main high water roost, Hartlepool West Harbour, were greatest on spring high tides, but were reduced m high winds. Numbers at other high water sites at nearby Hartlepool Headland were greatest on neap tides. Maximum Purple Sandpiper numbers at West Harbour showed a steady decline over the period from 1986/87 to 1993/94; maximum numbers of Turnstones dropped sharply in 1993/94 after redevelopment of the harbour m 1991/92. Overall disturbance rates to roosting shorebirds at West Harbour, and those from boats and man, increased over the study period and were probably responsible for the decline in Turnstone numbers and those of two other species. An artificial island, built m 1991/92, is now the main roost site for all species. Intraspecific aggression on the feeding grounds was primarily a result of encounters over food; infringements of individual distance were relatively infrequent Dominance hierarchies on low water feeding grounds were stable for both species; adult Turnstones dominated first-winter bkds; Purple Sandpiper dominance was positively correlated with size. Survival was not related to dominance for either species. Both species were segregated at the West Harbour roost into groups from different low water feeding areas; Purple Sandpipers also into groups of different (bill-length) size class. Aggression at the roost resulted from encounters over roosting sites or infringements of individual distance. As wind speed increased, encounters over roosting sites became more frequent and intensity of aggression increased. Dominance hierarchies at the roost were stable for both species; individual roosting dominance was positively correlated, though not always significantly so, to low water feeding dominance. Adult Turnstones dominated first-winter birds; Purple Sandpiper dominance was positively correlated with size. Roosting flocks were structured in accordance with dominance relationships: adults and dominants occupying denser, middle positions and first-winters and subordinates less dense, peripheral sites. Individuals (of both species) that were subordinate at the West Harbour roost frequented it less often than dominants (at least in some seasons), probably because they could not obtain good roosting positions there. Other sites allowed these birds to feed over high water. Turnstones and Purple Sandpipers associated together frequently at the West Harbour roost in comparison to other species. There was no evidence that either species roosted with the other in order to exchange information concerning food resources or to save energy through the roost's microclimate. Both species shared vigilance with each other and probably roosted together m order to decrease the risk of being taken by a predator

    Individual, sexual and temporal variation in the winter home range sizes of GPS-tagged Eurasian Curlews Numenius arquata

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    Capsule: Eurasian Curlews Numenius arquata were faithful to foraging and roosting areas on their coastal wintering grounds, including a habitat creation site. Home range sizes were greater at night than during the day, and showed high inter-individual variability which was not related to sex. Aims: To examine factors affecting variation in the winter home range size of the largest European wader species: the near-threatened Eurasian Curlew Numenius arquata. Methods: We examined individual, sexual and temporal (day/night, seasonal and annual) variation in the size of the home ranges of 18 GPS tagged Curlews captured at two sites on the Humber Estuary, UK. Results: Home ranges were small (mean ± SD = 555.5 ± 557.9 ha) and varied slightly in size through the non-breeding season (September–March). We found some annual differences in home range size, and there was some evidence that home range size was greater at night compared to daytime. There was strong inter-individual variation in home range size, which was not related to the species’ sexual size dimorphism and thus potential differences in resource use. Conclusions: Our results highlight that wintering Curlews on the Humber Estuary maintain small home ranges which vary strongly between individuals. Knowledge of the home range size of wintering waders is vital to inform management responses to the potential impacts of environmental changes such as sea-level rise and improving the efficacy of compensatory habitats

    Nest survival of threatened Eurasian Curlew (Numenius arquata) breeding at low densities across a human-modified landscape

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    Targeted management actions to boost key demographic rates can help to restore rare and localised populations but are increasingly required to stabilise or reverse declines of formerly common and widespread species. Many breeding wader populations across Europe are declining because of unsustainably low rates of productivity, and the conservation tools designed to boost wader breeding productivity have been most effectively used for semi-colonial species within protected areas. Targeted management for wader species that breed at low densities across human-modified landscapes, such as the rapidly declining Eurasian Curlew Numenius arquata, is likely to be more challenging. Here, we quantify variation in curlew nest survival in order to explore how management could be targeted to boost this key component of breeding productivity. Up to 80 pairs of Eurasian Curlew were monitored annually between 2019 and 2021 in eight locations across Breckland, eastern England, where nesting densities range from < 1 to ca.7 pairs km-2. For 136 nests across grassland- and arable-dominated sites, the majority of failure (86%) was caused by (primarily nocturnal) predation and the mean probability of surviving incubation (PSI) for all hatched or predated nests (127) was ca. 0.25. Nest survival showed little annual or seasonal variation but did vary slightly between sites, however, this spatial variation was not clearly related to management conditions or nest concealment at these sites. Fencing to exclude mammalian nest predators can be effective for waders, but too few Eurasian Curlews currently nest within fenced areas in Breckland to produce observable effects. Fencing the few sites with high nesting densities could potentially double the number of chicks hatched each year within the study area, but landscape-scale actions to reduce predator impacts on nests and chicks are likely to be needed to maintain breeding numbers in the wider countryside

    Unfinished Decolonisation and Globalisation

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    This article locates John Darwin’s work on decolonisation within an Oxbridge tradition which portrays a British world system, of which formal empire was but one part, emerging to increasing global dominance from the early nineteenth century. In this mental universe, decolonisation was the mirror image of that expanding global power. According to this point of view, it was not the sloughing oïŹ€ of individual territories, but rather the shrinking away of the system and of the international norms that supported it, until only its ghost remained by the end of the 1960s. The article then asks, echoing the title of Darwin’s UnïŹnished Empire, whether the decolonisation project is all but complete, or still ongoing. In addition, what is the responsibility of the imperial historian to engage with, inform, or indeed refrain from, contemporary debates that relate to some of these issues? The answer is twofold. On the one hand, the toolkit that the Oxbridge tradition and Darwin provide remains relevant, and also useful in thinking about contemporary issues such as China’s move towards being a global power, the United States’ declining hegemony, and some states and groups desires to rearticulate their relationship with the global. On the other hand, the decline of world systems of power needs to be recognised as just one of several types of, and approaches to, analysing ‘decolonisation’. One which cannot be allowed to ignore or marginalise the study of others, such as experience, ïŹrst nations issues, the shaping of the postcolonial state, and empire legacies. The article concludes by placing the Oxbridge tradition into a broader typology of types and methodologies of decolonisation, and by asking what a new historiography of decolonisation might look like. It suggests that it would address the Oxbridge concern with the lifecycles of systems of power and their relationship to global changes, but also place them alongside, and in dialogue with, a much broader set of perspectives and analytical approaches

    Perceptual Artifacts and Phenomena: Gibson's Role in the 20th Century

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    One of lit &quot; JJl&lt;&gt;:&gt;l i&quot;flu&quot;ntial f,dU&apos;l&quot;&quot;&apos;od,,, for lite &quot;tudy of pe&apos;&apos;&apos;&apos;&apos;p-lion has been James J. Gibson&apos;s ecological approach. This approach is noi a theory, but a melatheory, of ho..... we perceive and under-stand the \\TOrld around us through our senses. As a melalhoory it dissolves old problems and creatl&apos;S new ones, fostering neW ways 10 think about perception and creating 00..... antinomies 10 ponder. This essay outlines the successes of the approach, SOme of its ne..... problems, and traces so:ne of its more and less fruilfulleads. The ancient problem of.pace perception became my burden. It was worrisome, for, as [ gradually came 10 realize, nothing of any practical value was known by psychologists aboulthe perception of motion, or of locomotion in ~pau &quot; or of spact &apos; itself (Gibson, 1967, p. 133). Z31 With this autobiographical sta tement James J. Gibson described the Lunu&quot;,lrum th &quot; t faLw him IIlOl&apos;e tha &quot; 25 years earlier, in 1941, while se-rv

    Habitat selection and specialisation of herring gulls during the non-breeding season

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    Understanding both the distribution and habitat use of populations through the annual cycle is vital to understanding how vulnerable species are to environmental change. However, distributions and habitat use can vary among individuals and populations, particularly in generalist species, with variation depending on external environmental factors, such as resource availability. Comprehensive information across multiple populations is important to guide spatial planning of protected areas and is increasingly available for breeding individuals, but it is still lacking for many species, particularly seabirds, during the non-breeding season, especially those with declining populations. We investigated within-species variation in migratory strategies, non-breeding habitat selection and habitat and spatial specialisation in a declining, opportunistic, generalist seabird, the European herring gull Larus argentatus, from multiple breeding colonies across northwest England and southwest Scotland using global positioning system (GPS) tracking during the non-breeding season of 2014/15. Although several individuals stayed within the area of the breeding colony, the majority of individuals migrated in a southerly direction and spent half of the annual cycle (on average 53%) away from the breeding area and kept moving through the non-breeding period. During non-breeding, herring gulls selected mainly marine intertidal, but also a range of anthropogenic terrestrial habitats. However, habitat selection differed between geographical regions, within a geographical region and among individuals. There was a generalist use of non-breeding habitats at the population level, but some habitat specialisation at the individual level that was repeatable through the non-breeding period despite individuals showing low spatial specialisation. The results highlight the importance of intertidal habitat and a mix of alternative foraging habitats in the wintering areas of herring gulls. The results also highlight that habitat selection in an opportunistic generalist can vary even between nearby regions and that appropriate conservation management plans may need to be tailored to regional differences in specific non-breeding areas

    Depression and anxiety symptoms post-stroke/TIA:prevalence and associations in cross-sectional data from a regional stroke registry

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    BACKGROUND: Mood disorders are commonly seen in those with cerebrovascular disease. Literature to-date has tended to focus on depression and on patients with stroke, with relatively little known about post-stroke anxiety or mood disorder in those with transient ischaemic attack (TIA). We aimed to describe prevalence of depression and anxiety symptoms in stroke and TIA cohorts and to explore association with clinical and socio-demographic factors. METHODS: We used a city wide primary care stroke registry (Glasgow Local Enhanced Service for Stroke - LES). All community dwelling stroke-survivors were included. We described cross-sectional prevalence of depression and anxiety symptoms using the Hospital Anxiety and Depression Scale (HADS). Data on clinical and demographic details was collected and univariable and multivariable analyses performed to describe associations with HADS scores. We examined those with a diagnosis of 'stroke' and 'TIA' as separate cohorts. RESULTS: From 13,283 potentially eligible stroke patients in the registry, we had full HADS data on 4,079. Of the 3,584 potentially eligible TIA patients, we had full HADS data on 1,247 patients. Across the stroke cohort, 1181 (29%) had HADS anxiety scores suggestive of probable or possible anxiety; 993 (24%) for depression. For TIA patients, 361 (29%) had anxiety and 254 (21%) had depression. Independent predictors of both depression and anxiety symptoms were female sex, younger age and higher socioeconomic deprivation score (all p < 0.001). CONCLUSION: Using HADS, we found a high prevalence of anxiety and depression symptoms in a community-based cohort of patients with cerebrovascular disease

    Localization of type 1 diabetes susceptibility to the MHC class I genes HLA-B and HLA-A

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    The major histocompatibility complex (MHC) on chromosome 6 is associated with susceptibility to more common diseases than any other region of the human genome, including almost all disorders classified as autoimmune. In type 1 diabetes the major genetic susceptibility determinants have been mapped to the MHC class II genes HLA-DQB1 and HLA-DRB1 (refs 1-3), but these genes cannot completely explain the association between type 1 diabetes and the MHC region. Owing to the region's extreme gene density, the multiplicity of disease-associated alleles, strong associations between alleles, limited genotyping capability, and inadequate statistical approaches and sample sizes, which, and how many, loci within the MHC determine susceptibility remains unclear. Here, in several large type 1 diabetes data sets, we analyse a combined total of 1,729 polymorphisms, and apply statistical methods - recursive partitioning and regression - to pinpoint disease susceptibility to the MHC class I genes HLA-B and HLA-A (risk ratios >1.5; Pcombined = 2.01 × 10-19 and 2.35 × 10-13, respectively) in addition to the established associations of the MHC class II genes. Other loci with smaller and/or rarer effects might also be involved, but to find these, future searches must take into account both the HLA class II and class I genes and use even larger samples. Taken together with previous studies, we conclude that MHC-class-I-mediated events, principally involving HLA-B*39, contribute to the aetiology of type 1 diabetes. ©2007 Nature Publishing Group

    Hotspots in the grid: Avian sensitivity and vulnerability to collision risk from energy infrastructure interactions in Europe and North Africa

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    Wind turbines and power lines can cause bird mortality due to collision or electrocution. The biodiversity impacts of energy infrastructure (EI) can be minimised through effective landscape-scale planning and mitigation. The identification of high-vulnerability areas is urgently needed to assess potential cumulative impacts of EI while supporting the transition to zero carbon energy. We collected GPS location data from 1,454 birds from 27 species susceptible to collision within Europe and North Africa and identified areas where tracked birds are most at risk of colliding with existing EI. Sensitivity to EI development was estimated for wind turbines and power lines by calculating the proportion of GPS flight locations at heights where birds were at risk of collision and accounting for species' specific susceptibility to collision. We mapped the maximum collision sensitivity value obtained across all species, in each 5 × 5 km grid cell, across Europe and North Africa. Vulnerability to collision was obtained by overlaying the sensitivity surfaces with density of wind turbines and transmission power lines. Results: Exposure to risk varied across the 27 species, with some species flying consistently at heights where they risk collision. For areas with sufficient tracking data within Europe and North Africa, 13.6% of the area was classified as high sensitivity to wind turbines and 9.4% was classified as high sensitivity to transmission power lines. Sensitive areas were concentrated within important migratory corridors and along coastlines. Hotspots of vulnerability to collision with wind turbines and transmission power lines (2018 data) were scattered across the study region with highest concentrations occurring in central Europe, near the strait of Gibraltar and the Bosporus in Turkey. Synthesis and applications. We identify the areas of Europe and North Africa that are most sensitive for the specific populations of birds for which sufficient GPS tracking data at high spatial resolution were available. We also map vulnerability hotspots where mitigation at existing EI should be prioritised to reduce collision risks. As tracking data availability improves our method could be applied to more species and areas to help reduce bird-EI conflicts

    Increasing frailty is associated with higher prevalence and reduced recognition of delirium in older hospitalised inpatients: results of a multi-centre study

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    Purpose: Delirium is a neuropsychiatric disorder delineated by an acute change in cognition, attention, and consciousness. It is common, particularly in older adults, but poorly recognised. Frailty is the accumulation of deficits conferring an increased risk of adverse outcomes. We set out to determine how severity of frailty, as measured using the CFS, affected delirium rates, and recognition in hospitalised older people in the United Kingdom. Methods: Adults over 65 years were included in an observational multi-centre audit across UK hospitals, two prospective rounds, and one retrospective note review. Clinical Frailty Scale (CFS), delirium status, and 30-day outcomes were recorded. Results: The overall prevalence of delirium was 16.3% (483). Patients with delirium were more frail than patients without delirium (median CFS 6 vs 4). The risk of delirium was greater with increasing frailty [OR 2.9 (1.8–4.6) in CFS 4 vs 1–3; OR 12.4 (6.2–24.5) in CFS 8 vs 1–3]. Higher CFS was associated with reduced recognition of delirium (OR of 0.7 (0.3–1.9) in CFS 4 compared to 0.2 (0.1–0.7) in CFS 8). These risks were both independent of age and dementia. Conclusion: We have demonstrated an incremental increase in risk of delirium with increasing frailty. This has important clinical implications, suggesting that frailty may provide a more nuanced measure of vulnerability to delirium and poor outcomes. However, the most frail patients are least likely to have their delirium diagnosed and there is a significant lack of research into the underlying pathophysiology of both of these common geriatric syndromes
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