Species co-occurrence networks show reptile community reorganization under agricultural transformation
- Kay, Geoffrey, Tulloch, Ayesha, Barton, Philip, Cunningham, Saul, Driscoll, Don, Lindenmayer, David
- Authors: Kay, Geoffrey , Tulloch, Ayesha , Barton, Philip , Cunningham, Saul , Driscoll, Don , Lindenmayer, David
- Date: 2018
- Type: Text , Journal article
- Relation: Ecography Vol. 41, no. 1 (2018), p. 113-125
- Full Text:
- Reviewed:
- Description: Agricultural transformation represents one of the greatest threats to biodiversity, causing degradation and loss of habitat, leading to changes in the richness and composition of communities. These changes in richness and composition may, in turn, lead to altered species co-occurrence, but our knowledge of this remains limited. We used a novel co-occurrence network approach to examine the impact of agricultural transformation on reptile community structure within two large (> 172 000 km2; 224 sites) agricultural regions in southeastern Australia. We contrasted assemblages from sites surrounded by intact and modified landscapes and tested four key hypotheses that agricultural transformation leads to (H1) declines in species richness, (H2) altered assemblages, (H3) declines in overall co-occurrence, and (H4) complex restructuring of pairwise associations. We found that modified landscapes differed in composition but not richness compared with intact sites. Modified landscapes were also characterized by differences in co-occurrence network structure; with species sharing fewer sites with each other (reduced co-occurrence connectance), fewer highly-connected species (truncation of the frequency distribution of co-occurrence degree) and increased modularity of co-occurrence networks. Critically, overall loss of co-occurrence was underpinned by complex changes to the number and distribution of pair-wise co-occurrence links, with 41–44% of species also gaining associations with other species. Change in co-occurrence was not correlated with changes in occupancy, nor by functional trait membership, allowing a novel classification of species susceptibility to agricultural transformation. Our study reveals the value of using co-occurrence analysis to uncover impacts of agricultural transformation that may be masked in conventional studies of species richness and community composition. © 2017 The Authors
- Authors: Kay, Geoffrey , Tulloch, Ayesha , Barton, Philip , Cunningham, Saul , Driscoll, Don , Lindenmayer, David
- Date: 2018
- Type: Text , Journal article
- Relation: Ecography Vol. 41, no. 1 (2018), p. 113-125
- Full Text:
- Reviewed:
- Description: Agricultural transformation represents one of the greatest threats to biodiversity, causing degradation and loss of habitat, leading to changes in the richness and composition of communities. These changes in richness and composition may, in turn, lead to altered species co-occurrence, but our knowledge of this remains limited. We used a novel co-occurrence network approach to examine the impact of agricultural transformation on reptile community structure within two large (> 172 000 km2; 224 sites) agricultural regions in southeastern Australia. We contrasted assemblages from sites surrounded by intact and modified landscapes and tested four key hypotheses that agricultural transformation leads to (H1) declines in species richness, (H2) altered assemblages, (H3) declines in overall co-occurrence, and (H4) complex restructuring of pairwise associations. We found that modified landscapes differed in composition but not richness compared with intact sites. Modified landscapes were also characterized by differences in co-occurrence network structure; with species sharing fewer sites with each other (reduced co-occurrence connectance), fewer highly-connected species (truncation of the frequency distribution of co-occurrence degree) and increased modularity of co-occurrence networks. Critically, overall loss of co-occurrence was underpinned by complex changes to the number and distribution of pair-wise co-occurrence links, with 41–44% of species also gaining associations with other species. Change in co-occurrence was not correlated with changes in occupancy, nor by functional trait membership, allowing a novel classification of species susceptibility to agricultural transformation. Our study reveals the value of using co-occurrence analysis to uncover impacts of agricultural transformation that may be masked in conventional studies of species richness and community composition. © 2017 The Authors
- Ottmann, Goetz, McVilly, Keith, Anderson, Julie, Chapman, Jessica, Karlyawasam, Imalka
- Authors: Ottmann, Goetz , McVilly, Keith , Anderson, Julie , Chapman, Jessica , Karlyawasam, Imalka
- Date: 2017
- Type: Text , Journal article
- Relation: Social Policy and Administration Vol. 51, no. 3 (2017), p. 488-510
- Full Text: false
- Reviewed:
- Description: Research conducted in the 1990s revealed the tragic irony that exposure to the disability support system, and particularly to its institutional forms, was a major risk factor related to the neglect and abuse of children and adults with a disability. Subsequently, a range of policies have been introduced to minimize risk. However, recurring events of abuse and neglect in the disability services sector in high and middle income countries demonstrate that processes geared to safeguard children and adults with a disability from abuse and neglect remain insufficient. To establish the wider fabric of organizational factors that contribute to effective safeguarding practices within the Australian disability support sector, a modified online Delphi study was conducted, capturing the views of disability services staff and managers (n = 249) regarding barriers and enablers to effective safeguarding. This study identified issues concerning organizational culture, management practice, workforce development, client capacity building and contextual factors. During Round Two of the Delphi, participants were asked to rate the categorized enabler statements according to importance on a 10-point Likert scale, to ascertain the degree of consensus. A total of 262 of the statements were regarded as important or very important. The Delphi result highlighted the considerable gap between the wider systemic and cultural processes that, in the eyes of disability services staff and management, contribute to good safeguarding practice and the safeguarding measures currently in place. The article calls for a holistic approach to safeguarding that addresses procedural issues and to the transformation of the wider systemic and cultural fabric of an organization. © 2015 John Wiley & Sons Ltd. **Please note that there are multiple authors for this article therefore only the name of the first 5 including Federation University Australia affiliate “Goetz Ottmann” is provided in this record**
Increased susceptibility to Haemonchus contortus infection by interleukin-5 modulation of eosinophil responses in sheep
- Hernández, Julia, Meeusen, Els, Rodríguez, Francisco, Piedrafita, David, González, Jorge
- Authors: Hernández, Julia , Meeusen, Els , Rodríguez, Francisco , Piedrafita, David , González, Jorge
- Date: 2020
- Type: Text , Journal article
- Relation: Parasite Immunology Vol. 42, no. 1 (2020), p.
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- Description: Eosinophils are prominent effector cells in immune responses against gastrointestinal nematode infections in ruminants, but their in vivo role has been hard to establish in large animals. Interleukin-5 is a key cytokine in the induction and stimulation of anti-parasitic eosinophil responses. This study attempted to modulate the eosinophil response in sheep through vaccination with recombinant interleukin-5 (rIL-5) and determine the effect on subsequent Haemonchus contortus infection. Nematode-resistant Canaria Hair Breed (CHB) sheep vaccinated with rIL-5 in Quil-A adjuvant, had lower blood eosinophil counts and higher mean worm burdens than control sheep vaccinated with Quil-A adjuvant alone. In addition, adult worms in IL-5-vaccinated sheep were significantly longer with higher eggs in utero in female worms, supporting an active role of eosinophils against adult parasites in CHB sheep. These results confirm that eosinophils can play a direct role in effective control of H contortus infection in sheep and offer a new approach to study immune responses in ruminants. © 2019 John Wiley & Sons Ltd
- Authors: Hernández, Julia , Meeusen, Els , Rodríguez, Francisco , Piedrafita, David , González, Jorge
- Date: 2020
- Type: Text , Journal article
- Relation: Parasite Immunology Vol. 42, no. 1 (2020), p.
- Full Text:
- Reviewed:
- Description: Eosinophils are prominent effector cells in immune responses against gastrointestinal nematode infections in ruminants, but their in vivo role has been hard to establish in large animals. Interleukin-5 is a key cytokine in the induction and stimulation of anti-parasitic eosinophil responses. This study attempted to modulate the eosinophil response in sheep through vaccination with recombinant interleukin-5 (rIL-5) and determine the effect on subsequent Haemonchus contortus infection. Nematode-resistant Canaria Hair Breed (CHB) sheep vaccinated with rIL-5 in Quil-A adjuvant, had lower blood eosinophil counts and higher mean worm burdens than control sheep vaccinated with Quil-A adjuvant alone. In addition, adult worms in IL-5-vaccinated sheep were significantly longer with higher eggs in utero in female worms, supporting an active role of eosinophils against adult parasites in CHB sheep. These results confirm that eosinophils can play a direct role in effective control of H contortus infection in sheep and offer a new approach to study immune responses in ruminants. © 2019 John Wiley & Sons Ltd
Categorising the broad impacts of continuing professional development : a scoping review
- Allen, Louise, Palermo, Claire, Armstrong, Elizabeth, Hay, Margaret
- Authors: Allen, Louise , Palermo, Claire , Armstrong, Elizabeth , Hay, Margaret
- Date: 2019
- Type: Text , Journal article , Review
- Relation: Medical Education Vol. 53, no. 11 (2019), p. 1087-1099
- Full Text: false
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- Description: Context: A number of systematic reviews have evaluated the impacts of continuing professional development (CPD). These reviews, due to their focused nature, may fail to capture the full range of impacts of CPD. This scoping review aims to explore the broader impacts of CPD with the intention of developing a categorisation of the types of impact of CPD. Methods: The authors searched MEDLINE, CINAHL and ERIC databases for studies published between 2007 and 2017 that looked at the impacts of formal CPD programmes for all health professionals. Studies were independently screened for eligibility; one reviewer charted data for all included studies, a sample of 10% was reviewed by a second reviewer. The charted data were analysed using both qualitative and quantitative content analysis. Results: The search returned 2750 manuscripts; 192 manuscripts describing 191 studies were included in this review. Most articles were from the USA (78 studies, 41%) and included medical doctors in the population (105 studies, 55%). Twelve categories of impact were generated through conventional content analysis: knowledge, practice change, skill, confidence, attitudes, career development, networking, user outcomes, intention to change, organisational change, personal change and scholarly accomplishments. Knowledge was most commonly measured (103 studies, 54%), whereas measurement of scholarly accomplishments was the least common (10 studies, 5%). Conclusions: Existing evidence takes a narrow view when assessing the impacts of CPD. Emphasis on measuring impacts as knowledge, behaviour, confidence, skills and attitudes may be due to the widely accepted four levels of evaluation from the Kirkpatrick Model or because the majority of studies used quantitative methods. The categories proposed in this review may be used to capture a broader view of the impacts of CPD programmes, contributing to the evidence base for their value and translating into CPD programmes that truly transform health professionals, their careers and their practice. © 2019 John Wiley & Sons Ltd and The Association for the Study of Medical Education
Integrating theory into disturbance interaction experiments to better inform ecosystem management
- Foster, Claire, Sato, Chloe, Lindenmayer, David, Barton, Philip
- Authors: Foster, Claire , Sato, Chloe , Lindenmayer, David , Barton, Philip
- Date: 2016
- Type: Text , Journal article
- Relation: Global Change Biology Vol. 22, no. 4 (2016), p. 1325-1335
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- Description: Managing multiple, interacting disturbances is a key challenge to biodiversity conservation, and one that will only increase as global change drivers continue to alter disturbance regimes. Theoretical studies have highlighted the importance of a mechanistic understanding of stressor interactions for improving the prediction and management of interactive effects. However, many conservation studies are not designed or interpreted in the context of theory and instead focus on case-specific management questions. This is a problem as it means that few studies test the relationships highlighted in theoretical models as being important for ecological management. We explore the extent of this problem among studies of interacting disturbances by reviewing recent experimental studies of the interaction between fire and grazing in terrestrial ecosystems. Interactions between fire and grazing can occur via a number of pathways; one disturbance can modify the other's likelihood, intensity or spatial distribution, or one disturbance can alter the other's impacts on individual organisms. The strength of such interactions will vary depending on disturbance attributes (e.g. size or intensity), and this variation is likely to be nonlinear. We show that few experiments testing fire-grazing interactions are able to identify the mechanistic pathway driving an observed interaction, and most are unable to detect nonlinear effects. We demonstrate how these limitations compromise the ability of experimental studies to effectively inform ecological management. We propose a series of adjustments to the design of disturbance interaction experiments that would enable tests of key theoretical pathways and provide the deeper ecological understanding necessary for effective management. Such considerations are relevant to studies of a broad range of ecological interactions and are critical to informing the management of disturbance regimes in the context of accelerating global change. © 2016 John Wiley & Sons Ltd.
- Authors: Foster, Claire , Sato, Chloe , Lindenmayer, David , Barton, Philip
- Date: 2016
- Type: Text , Journal article
- Relation: Global Change Biology Vol. 22, no. 4 (2016), p. 1325-1335
- Full Text:
- Reviewed:
- Description: Managing multiple, interacting disturbances is a key challenge to biodiversity conservation, and one that will only increase as global change drivers continue to alter disturbance regimes. Theoretical studies have highlighted the importance of a mechanistic understanding of stressor interactions for improving the prediction and management of interactive effects. However, many conservation studies are not designed or interpreted in the context of theory and instead focus on case-specific management questions. This is a problem as it means that few studies test the relationships highlighted in theoretical models as being important for ecological management. We explore the extent of this problem among studies of interacting disturbances by reviewing recent experimental studies of the interaction between fire and grazing in terrestrial ecosystems. Interactions between fire and grazing can occur via a number of pathways; one disturbance can modify the other's likelihood, intensity or spatial distribution, or one disturbance can alter the other's impacts on individual organisms. The strength of such interactions will vary depending on disturbance attributes (e.g. size or intensity), and this variation is likely to be nonlinear. We show that few experiments testing fire-grazing interactions are able to identify the mechanistic pathway driving an observed interaction, and most are unable to detect nonlinear effects. We demonstrate how these limitations compromise the ability of experimental studies to effectively inform ecological management. We propose a series of adjustments to the design of disturbance interaction experiments that would enable tests of key theoretical pathways and provide the deeper ecological understanding necessary for effective management. Such considerations are relevant to studies of a broad range of ecological interactions and are critical to informing the management of disturbance regimes in the context of accelerating global change. © 2016 John Wiley & Sons Ltd.
Herbivory and fire interact to affect forest understory habitat, but not its use by small vertebrates
- Foster, Claire, Barton, Philip, Sato, C. F., Wood, J. T., Macgregor, C. I., Lindenmayer, David
- Authors: Foster, Claire , Barton, Philip , Sato, C. F. , Wood, J. T. , Macgregor, C. I. , Lindenmayer, David
- Date: 2016
- Type: Text , Journal article
- Relation: Animal Conservation Vol. 19, no. 1 (2016), p. 15-25
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- Reviewed:
- Description: Herbivory and fire are two disturbances that often co-occur, but studies of their interactive effects are rare outside of grassland ecosystems. We experimentally tested the interactive effects of prescribed fire and macropod herbivory on forest understory vegetation and its vertebrate fauna. Fire and herbivory interacted synergistically to affect forest understory vegetation, with palatable plants showing poor post-fire recovery in unfenced sites compared with herbivore exclusion sites. Despite this strong interactive effect on vegetation, small vertebrates responded to the individual, and not the interactive effects of disturbance. The native insectivorous mammal Antechinus stuartii was more frequently encountered on large herbivore exclusion sites, as was the introduced European rabbit. In contrast, the small skink Lampropholis delicata was more common on sites with high densities of large herbivores. Skinks, snakes and European rabbits were also more active on burnt than unburnt sites. Our results suggest that it may be necessary to manage the macropod herbivore population after fire to prevent the decline of palatable plants, and maintain the dense habitat required by some small mammals. However, as the invasive rabbit was most active in macropod-free sites after fire, any management must include control of both types of herbivores. A mix of understory densities may also need to be maintained to ensure the persistence of species preferring more open habitats. Our study demonstrates that interactive effects of disturbance on vegetation communities may not lead to predictable effects on animals, and highlights the importance of considering both multiple stressors, and multiple species, in the management of disturbance regimes. © 2016 The Zoological Society of London.
- Authors: Foster, Claire , Barton, Philip , Sato, C. F. , Wood, J. T. , Macgregor, C. I. , Lindenmayer, David
- Date: 2016
- Type: Text , Journal article
- Relation: Animal Conservation Vol. 19, no. 1 (2016), p. 15-25
- Full Text:
- Reviewed:
- Description: Herbivory and fire are two disturbances that often co-occur, but studies of their interactive effects are rare outside of grassland ecosystems. We experimentally tested the interactive effects of prescribed fire and macropod herbivory on forest understory vegetation and its vertebrate fauna. Fire and herbivory interacted synergistically to affect forest understory vegetation, with palatable plants showing poor post-fire recovery in unfenced sites compared with herbivore exclusion sites. Despite this strong interactive effect on vegetation, small vertebrates responded to the individual, and not the interactive effects of disturbance. The native insectivorous mammal Antechinus stuartii was more frequently encountered on large herbivore exclusion sites, as was the introduced European rabbit. In contrast, the small skink Lampropholis delicata was more common on sites with high densities of large herbivores. Skinks, snakes and European rabbits were also more active on burnt than unburnt sites. Our results suggest that it may be necessary to manage the macropod herbivore population after fire to prevent the decline of palatable plants, and maintain the dense habitat required by some small mammals. However, as the invasive rabbit was most active in macropod-free sites after fire, any management must include control of both types of herbivores. A mix of understory densities may also need to be maintained to ensure the persistence of species preferring more open habitats. Our study demonstrates that interactive effects of disturbance on vegetation communities may not lead to predictable effects on animals, and highlights the importance of considering both multiple stressors, and multiple species, in the management of disturbance regimes. © 2016 The Zoological Society of London.
Insect biodiversity meets ecosystem function : differential effects of habitat and insects on carrion decomposition
- Barton, Philip, Evans, Maldwyn
- Authors: Barton, Philip , Evans, Maldwyn
- Date: 2017
- Type: Text , Journal article
- Relation: Ecological Entomology Vol. 42, no. 3 (2017), p. 364-374
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- Description: 1. Ecological processes are maintained in different environments by different species performing similar functional roles. Yet, little is known about the role of the environment in shaping insect biodiversity associated with a process that is ephemeral and patchy. 2. In this study, the mass loss of carrion in response to contrasting habitat types (grassland or tree) was quantified experimentally, as well as the presence, diversity and composition of insect assemblages. Differences in insect assemblages between these two habitats were also examined. 3. It was found that the presence of insects led to a doubling in mass loss, but that grassland or tree habitat type had no effect on this process. By contrast, habitat type had a significant effect on the composition of generalist ant and beetle assemblages, but not on specialist fly assemblages. Given the colonisation of insects, carrion mass loss was negatively associated with increasing evenness of fly assemblages and increasing ant abundance. Variation in fly assemblage composition was also found to correlate with variation in carrion mass loss. 4. This study highlights the major role of habitat type in shaping the composition of generalist insects at carrion, but the minor role in affecting specialist and highly vagile insects. This complements the authors' findings that insect colonisation of carrion was critical to accelerated mass loss, and that fly assemblages were responsible for variation in this process, regardless of habitat. The present study sheds new light on the contribution of insect biodiversity to decomposition in variable environments, with consequences for carrion food webs and nutrient cycling. © 2017 The Royal Entomological Society
- Authors: Barton, Philip , Evans, Maldwyn
- Date: 2017
- Type: Text , Journal article
- Relation: Ecological Entomology Vol. 42, no. 3 (2017), p. 364-374
- Full Text:
- Reviewed:
- Description: 1. Ecological processes are maintained in different environments by different species performing similar functional roles. Yet, little is known about the role of the environment in shaping insect biodiversity associated with a process that is ephemeral and patchy. 2. In this study, the mass loss of carrion in response to contrasting habitat types (grassland or tree) was quantified experimentally, as well as the presence, diversity and composition of insect assemblages. Differences in insect assemblages between these two habitats were also examined. 3. It was found that the presence of insects led to a doubling in mass loss, but that grassland or tree habitat type had no effect on this process. By contrast, habitat type had a significant effect on the composition of generalist ant and beetle assemblages, but not on specialist fly assemblages. Given the colonisation of insects, carrion mass loss was negatively associated with increasing evenness of fly assemblages and increasing ant abundance. Variation in fly assemblage composition was also found to correlate with variation in carrion mass loss. 4. This study highlights the major role of habitat type in shaping the composition of generalist insects at carrion, but the minor role in affecting specialist and highly vagile insects. This complements the authors' findings that insect colonisation of carrion was critical to accelerated mass loss, and that fly assemblages were responsible for variation in this process, regardless of habitat. The present study sheds new light on the contribution of insect biodiversity to decomposition in variable environments, with consequences for carrion food webs and nutrient cycling. © 2017 The Royal Entomological Society
Remnant vegetation, plantings and fences are beneficial for reptiles in agricultural landscapes
- Pulsford, Stephanie, Driscoll, Don, Barton, Philip, Lindenmayer, David
- Authors: Pulsford, Stephanie , Driscoll, Don , Barton, Philip , Lindenmayer, David
- Date: 2017
- Type: Text , Journal article
- Relation: Journal of Applied Ecology Vol. 54, no. 6 (2017), p. 1710-1719
- Full Text:
- Reviewed:
- Description: Managing agricultural landscapes for biodiversity conservation is increasingly difficult as land use is modified or intensified for production. Finding ways to mitigate the negative effects of agriculture on biodiversity is therefore critical. We asked the question: How do remnant patches, paddock types and grazing regimes influence reptile assemblages in a grazing landscape? At 12 sites, we surveyed reptiles and environmental covariates in remnant woodland patches and in four paddock types: (i) grazed pasture, (ii) linear plantings, (iii) coarse woody debris (CWD) added to grazed pasture and (iv) fences between grazed pasture. Each site was either continuously or rotationally grazed. Remnant vegetation and other vegetation attributes such as tree cover and leaf litter greatly influenced reptiles. We recorded higher reptile abundance and species richness in areas with more tree cover and leaf litter. For rare species (captured in ≤4 sites <70 captures), there were 5·7 more animals and 2·6 more species in sites with 50% woody cover within 3 km compared to 5% woody cover. The abundance and richness of rare species, and one common species differed between paddock types and were higher in linear plantings and fence transects compared to CWD and pasture transects. Synthesis and applications. Grazed paddocks, particularly those with key features such as fences and plantings can provide habitat for reptiles. This suggests that discrete differentiation between patch and matrix does not apply for reptiles in these systems. Management to promote reptile conservation in agricultural landscapes should involve protecting existing remnant vegetation, regardless of amount; and promote key habitat features of trees, leaf litter and shrubs. Establishing plantings and fences is important as they support high numbers of less common reptiles and may facilitate reptiles to move through and use greater amounts of the landscape. © 2017 The Authors. Journal of Applied Ecology © 2017 British Ecological Society
- Authors: Pulsford, Stephanie , Driscoll, Don , Barton, Philip , Lindenmayer, David
- Date: 2017
- Type: Text , Journal article
- Relation: Journal of Applied Ecology Vol. 54, no. 6 (2017), p. 1710-1719
- Full Text:
- Reviewed:
- Description: Managing agricultural landscapes for biodiversity conservation is increasingly difficult as land use is modified or intensified for production. Finding ways to mitigate the negative effects of agriculture on biodiversity is therefore critical. We asked the question: How do remnant patches, paddock types and grazing regimes influence reptile assemblages in a grazing landscape? At 12 sites, we surveyed reptiles and environmental covariates in remnant woodland patches and in four paddock types: (i) grazed pasture, (ii) linear plantings, (iii) coarse woody debris (CWD) added to grazed pasture and (iv) fences between grazed pasture. Each site was either continuously or rotationally grazed. Remnant vegetation and other vegetation attributes such as tree cover and leaf litter greatly influenced reptiles. We recorded higher reptile abundance and species richness in areas with more tree cover and leaf litter. For rare species (captured in ≤4 sites <70 captures), there were 5·7 more animals and 2·6 more species in sites with 50% woody cover within 3 km compared to 5% woody cover. The abundance and richness of rare species, and one common species differed between paddock types and were higher in linear plantings and fence transects compared to CWD and pasture transects. Synthesis and applications. Grazed paddocks, particularly those with key features such as fences and plantings can provide habitat for reptiles. This suggests that discrete differentiation between patch and matrix does not apply for reptiles in these systems. Management to promote reptile conservation in agricultural landscapes should involve protecting existing remnant vegetation, regardless of amount; and promote key habitat features of trees, leaf litter and shrubs. Establishing plantings and fences is important as they support high numbers of less common reptiles and may facilitate reptiles to move through and use greater amounts of the landscape. © 2017 The Authors. Journal of Applied Ecology © 2017 British Ecological Society
Optimal taxonomic groups for biodiversity assessment: a meta-analytic approach
- Westgate, Martin, Tulloch, Ayesha, Barton, Philip, Pierson, Jennifer, Lindenmayer, David
- Authors: Westgate, Martin , Tulloch, Ayesha , Barton, Philip , Pierson, Jennifer , Lindenmayer, David
- Date: 2017
- Type: Text , Journal article
- Relation: Ecography Vol. 40, no. 4 (2017), p. 539-548
- Full Text:
- Reviewed:
- Description: A fundamental decision in biodiversity assessment is the selection of one or more study taxa, a choice that is often made using qualitative criteria such as historical precedent, ease of detection, or available technical or taxonomic expertise. A more robust approach would involve selecting taxa based on the a priori expectation that they will provide the best possible information on unmeasured groups, but data to inform such hypotheses are often lacking. Using a global meta-analysis, we quantified the proportion of variability that each of 12 taxonomic groups (at the Order level or above) explained in the richness or composition of other taxa. We then applied optimization to matrices of pairwise congruency to identify the best set of complementary surrogate groups. We found that no single taxon was an optimal surrogate for both the richness and composition of unmeasured taxa if we used simple methods to aggregate congruence data between studies. In contrast, statistical methods that accounted for well-known drivers of cross-taxon congruence (spatial extent, grain size, and latitude) lead to the prioritization of similar surrogates for both species richness and composition. Advanced statistical methods were also more effective at describing known ecological relationships between taxa than simple methods, and show that congruence is typically highest between taxonomically and functionally dissimilar taxa. Birds and vascular plants were most frequently selected by our algorithm as surrogates for other taxonomic groups, but the extent to which any one taxon was the ‘optimal’ choice of surrogate for other biodiversity was highly context-dependent. In the absence of other information – such as in data-poor areas of the globe, and under limited budgets for monitoring or assessment – ecologists can use our results to assess which taxa are most likely to reflect the distribution of the richness or composition of ‘total’ biodiversity. © 2016 The Authors
- Authors: Westgate, Martin , Tulloch, Ayesha , Barton, Philip , Pierson, Jennifer , Lindenmayer, David
- Date: 2017
- Type: Text , Journal article
- Relation: Ecography Vol. 40, no. 4 (2017), p. 539-548
- Full Text:
- Reviewed:
- Description: A fundamental decision in biodiversity assessment is the selection of one or more study taxa, a choice that is often made using qualitative criteria such as historical precedent, ease of detection, or available technical or taxonomic expertise. A more robust approach would involve selecting taxa based on the a priori expectation that they will provide the best possible information on unmeasured groups, but data to inform such hypotheses are often lacking. Using a global meta-analysis, we quantified the proportion of variability that each of 12 taxonomic groups (at the Order level or above) explained in the richness or composition of other taxa. We then applied optimization to matrices of pairwise congruency to identify the best set of complementary surrogate groups. We found that no single taxon was an optimal surrogate for both the richness and composition of unmeasured taxa if we used simple methods to aggregate congruence data between studies. In contrast, statistical methods that accounted for well-known drivers of cross-taxon congruence (spatial extent, grain size, and latitude) lead to the prioritization of similar surrogates for both species richness and composition. Advanced statistical methods were also more effective at describing known ecological relationships between taxa than simple methods, and show that congruence is typically highest between taxonomically and functionally dissimilar taxa. Birds and vascular plants were most frequently selected by our algorithm as surrogates for other taxonomic groups, but the extent to which any one taxon was the ‘optimal’ choice of surrogate for other biodiversity was highly context-dependent. In the absence of other information – such as in data-poor areas of the globe, and under limited budgets for monitoring or assessment – ecologists can use our results to assess which taxa are most likely to reflect the distribution of the richness or composition of ‘total’ biodiversity. © 2016 The Authors
Managing consequences of climate-driven species redistribution requires integration of ecology, conservation and social science
- Bonebrake, Timothy, Brown, Christopher, Bell, Johann, Blanchard, Julia, Chauvenet, Alienor, Champion, Curtis, Chen, I-Ching, Clark, Timothy, Colwell, Robert, Danielsen, Finn, Dell, Anthony, Donelson, Jennifer, Evengård, Birgitta, Ferrier, Simon, Frusher, Stewart, Garcia, Raquel, Griffis, Roger, Hobday, Alistair, Jarzyna, Marta, Lee, Emma, Lenoir, Jonathan, Linnetved, Hlif, Martin, Victoria, McCormack, Phillipa, McDonald, Jan, McDonald-Madden, Eve, Mitchell, Nicola, Mustonen, Tero, Pandolfi, John, Pettorelli, Nathalie
- Authors: Bonebrake, Timothy , Brown, Christopher , Bell, Johann , Blanchard, Julia , Chauvenet, Alienor , Champion, Curtis , Chen, I-Ching , Clark, Timothy , Colwell, Robert , Danielsen, Finn , Dell, Anthony , Donelson, Jennifer , Evengård, Birgitta , Ferrier, Simon , Frusher, Stewart , Garcia, Raquel , Griffis, Roger , Hobday, Alistair , Jarzyna, Marta , Lee, Emma , Lenoir, Jonathan , Linnetved, Hlif , Martin, Victoria , McCormack, Phillipa , McDonald, Jan , McDonald-Madden, Eve , Mitchell, Nicola , Mustonen, Tero , Pandolfi, John , Pettorelli, Nathalie
- Date: 2018
- Type: Text , Journal article
- Relation: Biological Reviews Vol. 93, no. 1 (2018), p. 284-305
- Full Text:
- Reviewed:
- Description: Climate change is driving a pervasive global redistribution of the planet's species. Species redistribution poses new questions for the study of ecosystems, conservation science and human societies that require a coordinated and integrated approach. Here we review recent progress, key gaps and strategic directions in this nascent research area, emphasising emerging themes in species redistribution biology, the importance of understanding underlying drivers and the need to anticipate novel outcomes of changes in species ranges. We highlight that species redistribution has manifest implications across multiple temporal and spatial scales and from genes to ecosystems. Understanding range shifts from ecological, physiological, genetic and biogeographical perspectives is essential for informing changing paradigms in conservation science and for designing conservation strategies that incorporate changing population connectivity and advance adaptation to climate change. Species redistributions present challenges for human well-being, environmental management and sustainable development. By synthesising recent approaches, theories and tools, our review establishes an interdisciplinary foundation for the development of future research on species redistribution. Specifically, we demonstrate how ecological, conservation and social research on species redistribution can best be achieved by working across disciplinary boundaries to develop and implement solutions to climate change challenges. Future studies should therefore integrate existing and complementary scientific frameworks while incorporating social science and human-centred approaches. Finally, we emphasise that the best science will not be useful unless more scientists engage with managers, policy makers and the public to develop responsible and socially acceptable options for the global challenges arising from species redistributions. © 2017 Cambridge Philosophical Society **Please note that there are multiple authors for this article therefore only the name of the first 30 including the now Federation University Australia affiliate “Emma Lee” is provided in this record**
- Authors: Bonebrake, Timothy , Brown, Christopher , Bell, Johann , Blanchard, Julia , Chauvenet, Alienor , Champion, Curtis , Chen, I-Ching , Clark, Timothy , Colwell, Robert , Danielsen, Finn , Dell, Anthony , Donelson, Jennifer , Evengård, Birgitta , Ferrier, Simon , Frusher, Stewart , Garcia, Raquel , Griffis, Roger , Hobday, Alistair , Jarzyna, Marta , Lee, Emma , Lenoir, Jonathan , Linnetved, Hlif , Martin, Victoria , McCormack, Phillipa , McDonald, Jan , McDonald-Madden, Eve , Mitchell, Nicola , Mustonen, Tero , Pandolfi, John , Pettorelli, Nathalie
- Date: 2018
- Type: Text , Journal article
- Relation: Biological Reviews Vol. 93, no. 1 (2018), p. 284-305
- Full Text:
- Reviewed:
- Description: Climate change is driving a pervasive global redistribution of the planet's species. Species redistribution poses new questions for the study of ecosystems, conservation science and human societies that require a coordinated and integrated approach. Here we review recent progress, key gaps and strategic directions in this nascent research area, emphasising emerging themes in species redistribution biology, the importance of understanding underlying drivers and the need to anticipate novel outcomes of changes in species ranges. We highlight that species redistribution has manifest implications across multiple temporal and spatial scales and from genes to ecosystems. Understanding range shifts from ecological, physiological, genetic and biogeographical perspectives is essential for informing changing paradigms in conservation science and for designing conservation strategies that incorporate changing population connectivity and advance adaptation to climate change. Species redistributions present challenges for human well-being, environmental management and sustainable development. By synthesising recent approaches, theories and tools, our review establishes an interdisciplinary foundation for the development of future research on species redistribution. Specifically, we demonstrate how ecological, conservation and social research on species redistribution can best be achieved by working across disciplinary boundaries to develop and implement solutions to climate change challenges. Future studies should therefore integrate existing and complementary scientific frameworks while incorporating social science and human-centred approaches. Finally, we emphasise that the best science will not be useful unless more scientists engage with managers, policy makers and the public to develop responsible and socially acceptable options for the global challenges arising from species redistributions. © 2017 Cambridge Philosophical Society **Please note that there are multiple authors for this article therefore only the name of the first 30 including the now Federation University Australia affiliate “Emma Lee” is provided in this record**
The aboriginal adjustment movement in colonial Victoria
- Cahir, David (Fred), Kerin, Rani, Rippon, Kylie
- Authors: Cahir, David (Fred) , Kerin, Rani , Rippon, Kylie
- Date: 2019
- Type: Text , Journal article , Conference paper
- Relation: Journal of Religious History Vol. 43, no. 4 (2019), p. 478-494
- Full Text: false
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- Description: Whilst much has been written about Aboriginal religious syncretism in Australia, particularly about what has become known as the “Adjustment Movement” that occurred in Arnhem Land in the 1950s (see McIntosh 2004), there were several remarkable examples of spiritual adjustment by Aboriginal people a century earlier on the Victorian goldfields that hitherto have not been explored by historians. Building on Magowan's (2003) discussion of the connection between Christianity and the ancestral law of Aboriginal culture in northern Australia, this article will examine how Christian influences in colonial Victoria competed with, and conversely moulded, southern Kulin ancestral understanding. Several Kulin ceremonies — including the Myndee ceremony and the “Veinie Sacred Sunday Dance” — will be examined. These ceremonies were described by colonial officials (Joseph Panton, a Gold Commissioner, and William Thomas, the Aboriginal Guardian of Aborigines in Victoria) in the midst of a second wave of invasion and rupture for Victorian Aboriginal people — the first being the sheep herders in the 1830s, and the second being the gold rush which commenced in 1851. Serving as exemplars of what might be called the Victorian Aboriginal Adjustment Movement, these ceremonies demonstrate the extent to which Aboriginal people on the goldfields of Victoria engaged in a culturally congruent mode of Christianity. © 2019 Religious History Association
"All that appears possible now is to mitigate as much as possible the trials of their closing years"
- Cahir, David (Fred), Tout, Dan
- Authors: Cahir, David (Fred) , Tout, Dan
- Date: 2018
- Type: Text , Journal article
- Relation: Australian Journal of Politics and History Vol. 64, no. 2 (2018), p. 177-193
- Full Text: false
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- Description: This article examines Alfred Deakin’s attitudes towards, and impacts upon, Aboriginal people during the period 1880-1910, drawing on newspaper articles and parliamentary debates as principal source materials. The discussion begins by charting the long, influential and often positive relationships Deakin had with several Aboriginal communities during a period as a Victorian MLA between 1881 and 1884. It then proceeds to document Deakin’s extraordinary descent into paternalism and racially-based fatalism which pervaded his later association with Aboriginal affairs whilst Victoria’s Chief Secretary (1886–1890), Victorian MLA for Essendon and delegate to Federal conventions (1890-1900), as the Federation debates took shape. And finally, the article outlines the attitudes Deakin expressed towards Aboriginal people in his various post-Federation political roles, including Attorney-General, Prime Minister and Minister for External Affairs. In doing so, the discussion draws out the connections between Deakin’s advocacy of a white Australia and his attitudes towards Aboriginal Australia, and demonstrates the extent to which the creation of a new nation both informed and responded to socio-racial ideologies that mandated the exclusion of non-white identities from the nation-to-come
By design : professional learning ecologies to develop primary school teachers’ makerspaces pedagogical capabilities
- Stevenson, Michael, Bower, Matt, Falloon, Garry, Forbes, Anne, Hatzigianni, Maria
- Authors: Stevenson, Michael , Bower, Matt , Falloon, Garry , Forbes, Anne , Hatzigianni, Maria
- Date: 2019
- Type: Text , Journal article
- Relation: British Journal of Educational Technology Vol. 50, no. 3 (2019), p. 1260-1274
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- Description: Makerspaces embody a growing movement of educators promoting constructionist learning with physical materials and digital technologies such as 3D design and 3D printing. As it gains traction in K-12 settings, the maker movement represents an interesting context in which to explore how professional ecologies can equip teachers with the knowledge, skills and dispositions needed to implement twenty-first century learning in their school context. This study investigated the roles of different participants from industry, school leadership and colleagues in influencing teachers’ confidence, enthusiasm, capabilities and beliefs when teaching in makerspaces. Utilising triangulated observations of activities through online questionnaires at beginning, middle and end points, as well as postproject interviews, the study explored the participation of 27 primary school teachers in a blended professional learning programme, followed by classroom delivery of modules focusing on tablet-based 3D design applications and the use of newly instaled 3D printers. Reporting no prior knowledge or experience with makerspaces, quantitative analyses revealed significant increases in teachers’ confidence and enthusiasm. Qualitative analyses of questionnaire and interview data underscored the influence of hands-on and theoretically grounded professional learning providing practical exposure to constructionist ideas, design thinking methodologies and 3D design technologies. Findings reveal the importance of targeted professional learning coupled with a substantial collegially supported implementation phase, as well as support from school leaders and industry partners to promote meaningful pedagogical change in technology-mediated maker-based learning. © 2019 British Educational Research Association
- Authors: Stevenson, Michael , Bower, Matt , Falloon, Garry , Forbes, Anne , Hatzigianni, Maria
- Date: 2019
- Type: Text , Journal article
- Relation: British Journal of Educational Technology Vol. 50, no. 3 (2019), p. 1260-1274
- Full Text:
- Reviewed:
- Description: Makerspaces embody a growing movement of educators promoting constructionist learning with physical materials and digital technologies such as 3D design and 3D printing. As it gains traction in K-12 settings, the maker movement represents an interesting context in which to explore how professional ecologies can equip teachers with the knowledge, skills and dispositions needed to implement twenty-first century learning in their school context. This study investigated the roles of different participants from industry, school leadership and colleagues in influencing teachers’ confidence, enthusiasm, capabilities and beliefs when teaching in makerspaces. Utilising triangulated observations of activities through online questionnaires at beginning, middle and end points, as well as postproject interviews, the study explored the participation of 27 primary school teachers in a blended professional learning programme, followed by classroom delivery of modules focusing on tablet-based 3D design applications and the use of newly instaled 3D printers. Reporting no prior knowledge or experience with makerspaces, quantitative analyses revealed significant increases in teachers’ confidence and enthusiasm. Qualitative analyses of questionnaire and interview data underscored the influence of hands-on and theoretically grounded professional learning providing practical exposure to constructionist ideas, design thinking methodologies and 3D design technologies. Findings reveal the importance of targeted professional learning coupled with a substantial collegially supported implementation phase, as well as support from school leaders and industry partners to promote meaningful pedagogical change in technology-mediated maker-based learning. © 2019 British Educational Research Association
- Vaseghi, Bita, Zoghi, Maryam, Jaberzadeh, Shapour
- Authors: Vaseghi, Bita , Zoghi, Maryam , Jaberzadeh, Shapour
- Date: 2016
- Type: Text , Journal article
- Relation: European Journal of Neuroscience Vol. 43, no. 9 (2016), p. 1161-1172
- Full Text: false
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- Description: We aimed to assess the effects of concurrent cathodal transcranial direct current stimulation (c‐tDCS) of two targets in a hemisphere, termed unihemispheric concurrent dual‐site cathodal tDCS (c‐tDCSUHCDS), on the size of M1 corticospinal excitability and its lasting effect. Secondary aims were to identify the mechanisms behind the efficacy of c‐tDCSUHCDS and to evaluate the side effects of this new technique. Twelve healthy volunteers received 20 min c‐tDCS under five conditions in a random order: M1 c‐tDCS, c‐tDCSUHCDS of M1–dorsolateral prefrontal cortex (DLPFC), M1–primary sensory cortex (S1), M1–primary visual cortex (V1) and sham. The M1 corticospinal excitability of the first dorsal interossei muscle was assessed before, immediately after, and 30 min, 60 min and 24 h after the interventions. Short‐interval intracortical inhibition (SICI) and intracortical facilitation (ICF) were also assessed, using a paired‐pulse paradigm. Compared to conventional M1 c‐tDCS, corticospinal excitability significantly increased following c‐tDCSUHCDS of M1‐DLPFC and M1‐V1 for up to 24 h (P = 0.001). Significant increases in ICF were observed following c‐tDCSUHCDS of M1‐DLPFC (P = 0.005) and M1‐V1 (P = 0.002). Compared to baseline values, ICF and SICI increased significantly at T60 (P < 0.001) and T24 h (P < 0.001) following the concurrent c‐tDCS of M1 and V1. Sham c‐tDCSUHCDS did not induce any significant alteration. The corticospinal excitability increase was mainly accompanied by ICF increase, which indirectly indicates the activity of glutamergic mechanisms. The findings may help us to more fully understand the brain function and develop future motor learning studies. No significant excitability change induced by sham c‐tDCSUHCDS suggests that there is no placebo effect associated with this new tDCS technique. Corticospinal excitability of primary motor cortex (M1) significantly increased by unihemispheric concurrent dual‐site cathodal tDCS of M1‐dorsolateral prefrontal cortex and M1‐primary visual cortex for up to 24 h. This increase was mainly accompanied with ICF increase, which indirectly indicates the activity of glutamergic mechanisms.
The effect of altering knee position and squat depth on vmo : Vl emg ratio during squat exercises
- Jaberzadeh, Shapour, Yeo, Daniel, Zoghi, Maryam
- Authors: Jaberzadeh, Shapour , Yeo, Daniel , Zoghi, Maryam
- Date: 2016
- Type: Text , Journal article
- Relation: Physiotherapy Research International Vol. 21, no. 3 (2016), p. 164-173
- Full Text: false
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- Description: Background Patellofemoral pain syndrome is an extremely common condition, believed to be caused by altered activation of vastus medialis obliquus (VMO), leading to maltracking of the patella. Aim This study aimed to investigate the effect of altering knee movement and squat depth on the ratio of VMO and vastus lateralis (VMO : VL) during squat exercises. Method Eighteen (7 male and 11 female) healthy, asymptomatic participants performed semi‐squat exercises with three squat depths (20°, 50° and 80° of knee flexion) while following three knee movement paths (neutral, varus or valgus). Normalized VMO : VL ratio from linear envelope surface electromyography was analysed. Results No significant effect was found for gender (p = 0.87), leg dominance (p = 0.99) or knee position (p = 0.44). A significant effect was found for squat depth (p < 0.001) with both the 50° and 80° squats showing increases in VMO : VL ratio (p = 0.031 and p = 0.028), respectively. The VMO : VL ratio was not influenced by gender, leg dominance or knee position in semi‐squat exercises. Discussion and Conclusion Increases in relative VMO activation did occur in ‘deeper’ squat depths (50° and 80° knee flexion) compared with the 20° condition. Further research is needed in this area concerning the effects of such exercise modifications on a symptomatic patellofemoral pain syndrome population. Copyright © 2015 John Wiley & Sons, Ltd.
Incorporating regional-scale ecological knowledge to improve the effectiveness of large-scale conservation programmes
- Kay, G., Barton, Philip, Driscoll, D., Cunningham, S., Blanchard, Wade
- Authors: Kay, G. , Barton, Philip , Driscoll, D. , Cunningham, S. , Blanchard, Wade
- Date: 2016
- Type: Text , Journal article
- Relation: Animal Conservation Vol. 19, no. 6 (2016), p. 515-525
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- Description: Land-stewardship programmes are a major focus of investment by governments for conserving biodiversity in agricultural landscapes. These programmes are generally large-scale (e.g. >1000 km) spanning multiple biogeographic regions but developed using spatially limited (e.g. landscape-scale; <100 km) ecological data interpolated across broad areas for one, or a few, well-studied taxonomic groups. Information about how less-studied taxa respond to regional differences in management and environmental effects has potential to further inform land-stewardship conservation programmes, but suitable data sets are rarely available. In this study, we sought to enhance planning of large-scale conservation programmes by quantifying relationships between reptile assemblages and key environmental attributes at regional scales within a large-scale (>172 000 km2) Australian land-stewardship programme. Using 234 remnant woodland monitoring sites spanning four distinct biogeographic regions, we asked: Do reptile assemblages show different environmental associations across biogeographically distinct regions? We found that environmental features important to reptile diversity differed over each region. Abundance and rare species richness of reptiles responded at regional-scales to elevation, native groundcover and aspect. We identified four implications from our study: (1) large-scale conservation schemes can achieve better outcomes for reptiles using regional-scale knowledge of environmental associations; (2) regional-scale knowledge is particularly valuable for conservation of rare reptile taxa; (3) consideration of abiotic environmental features which cannot be directly managed (e.g. aspect, elevation) is important; (4) programmes can be tailored to better support reptile groups at higher conservation risk. Our study shows that reptile-environment associations differ among biogeographic regions, and this presents opportunity for tailoring stronger policy and management strategies for conserving large-scale agricultural landscapes globally. © 2016 The Zoological Society of London. **Please note that there are multiple authors for this article therefore only the name of the first 5 including Federation University Australia affiliate “Philip Barton” is provided in this record**
- Authors: Kay, G. , Barton, Philip , Driscoll, D. , Cunningham, S. , Blanchard, Wade
- Date: 2016
- Type: Text , Journal article
- Relation: Animal Conservation Vol. 19, no. 6 (2016), p. 515-525
- Full Text:
- Reviewed:
- Description: Land-stewardship programmes are a major focus of investment by governments for conserving biodiversity in agricultural landscapes. These programmes are generally large-scale (e.g. >1000 km) spanning multiple biogeographic regions but developed using spatially limited (e.g. landscape-scale; <100 km) ecological data interpolated across broad areas for one, or a few, well-studied taxonomic groups. Information about how less-studied taxa respond to regional differences in management and environmental effects has potential to further inform land-stewardship conservation programmes, but suitable data sets are rarely available. In this study, we sought to enhance planning of large-scale conservation programmes by quantifying relationships between reptile assemblages and key environmental attributes at regional scales within a large-scale (>172 000 km2) Australian land-stewardship programme. Using 234 remnant woodland monitoring sites spanning four distinct biogeographic regions, we asked: Do reptile assemblages show different environmental associations across biogeographically distinct regions? We found that environmental features important to reptile diversity differed over each region. Abundance and rare species richness of reptiles responded at regional-scales to elevation, native groundcover and aspect. We identified four implications from our study: (1) large-scale conservation schemes can achieve better outcomes for reptiles using regional-scale knowledge of environmental associations; (2) regional-scale knowledge is particularly valuable for conservation of rare reptile taxa; (3) consideration of abiotic environmental features which cannot be directly managed (e.g. aspect, elevation) is important; (4) programmes can be tailored to better support reptile groups at higher conservation risk. Our study shows that reptile-environment associations differ among biogeographic regions, and this presents opportunity for tailoring stronger policy and management strategies for conserving large-scale agricultural landscapes globally. © 2016 The Zoological Society of London. **Please note that there are multiple authors for this article therefore only the name of the first 5 including Federation University Australia affiliate “Philip Barton” is provided in this record**
- Humphries, Talia, Dowling, Kim, Turville, Christopher, Sinclair, Steve, Florentine, Singarayer
- Authors: Humphries, Talia , Dowling, Kim , Turville, Christopher , Sinclair, Steve , Florentine, Singarayer
- Date: 2020
- Type: Text , Journal article , Review
- Relation: Weed Research Vol. 60, no. 6 (2020), p. 392-405
- Full Text: false
- Reviewed:
- Description: Nassella trichotoma (serrated tussock) is a highly invasive perennial C3 weed from South America. It grows in most soil conditions, can resist fire and frost, and is unpalatable to grazing animals. Each plant can produce up to 140,000 seeds annually, and together, these characteristics make it a damaging landscape weed. It has diminished the agricultural carrying capacity of pastures in south-eastern Australia, New Zealand and South Africa, and emerging populations have now been identified in Europe and the United States, and bioclimatic models suggest its distribution could significantly expand within these regions in the near future. Research into control methods for this weed has been explored, and these include herbicides applied alone and in combination, the establishment of plant competition, the introduction of seed mitigation fencing, grazing management and exclusion zones, specific biological management and alteration of soil composition. Currently, the most effective and widely used control method is the residual herbicide flupropanate (2,2,3,3-tetrafluoropropanoic acid). This review will investigate the ecology, distribution, current control techniques and past research on this species, and make recommendations for future research and management. © 2020 European Weed Research Society
Impacts of land management practices on blue carbon stocks and greenhouse gas fluxes in coastal ecosystems—a meta-analysis
- O’Connor, Jack, Fest, Benedikt, Sievers, Michael, Swearer, Stephen
- Authors: O’Connor, Jack , Fest, Benedikt , Sievers, Michael , Swearer, Stephen
- Date: 2020
- Type: Text , Journal article
- Relation: Global Change Biology Vol. 26, no. 3 (2020), p. 1354-1366
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- Description: Global recognition of climate change and its predicted consequences has created the need for practical management strategies for increasing the ability of natural ecosystems to capture and store atmospheric carbon. Mangrove forests, saltmarshes and seagrass meadows, referred to as blue carbon ecosystems (BCEs), are hotspots of atmospheric CO2 storage due to their capacity to sequester carbon at a far higher rate than terrestrial forests. Despite increased effort to understand the mechanisms underpinning blue carbon fluxes, there has been little synthesis of how management activities influence carbon stocks and greenhouse gas (GHG) fluxes in BCEs. Here, we present a global meta-analysis of 111 studies that measured how carbon stocks and GHG fluxes in BCEs respond to various coastal management strategies. Research effort has focused mainly on restoration approaches, which resulted in significant increases in blue carbon after 4 years compared to degraded sites, and the potential to reach parity with natural sites after 7–17 years. Lesser studied management alternatives, such as sediment manipulation and altered hydrology, showed only increases in biomass and weaker responses for soil carbon stocks and sequestration. The response of GHG emissions to management was complex, with managed sites emitting less than natural reference sites but emitting more compared to degraded sites. Individual GHGs also differed in their responses to management. To date, blue carbon management studies are underrepresented in the southern hemisphere and are usually limited in duration (61% of studies <3 years duration). Our meta-analysis describes the current state of blue carbon management from the available data and highlights recommendations for prioritizing conservation management, extending monitoring time frames of BCE carbon stocks, improving our understanding of GHG fluxes in open coastal systems and redistributing management and research effort into understudied, high-risk areas. © 2019 John Wiley & Sons Ltd
- Authors: O’Connor, Jack , Fest, Benedikt , Sievers, Michael , Swearer, Stephen
- Date: 2020
- Type: Text , Journal article
- Relation: Global Change Biology Vol. 26, no. 3 (2020), p. 1354-1366
- Full Text:
- Reviewed:
- Description: Global recognition of climate change and its predicted consequences has created the need for practical management strategies for increasing the ability of natural ecosystems to capture and store atmospheric carbon. Mangrove forests, saltmarshes and seagrass meadows, referred to as blue carbon ecosystems (BCEs), are hotspots of atmospheric CO2 storage due to their capacity to sequester carbon at a far higher rate than terrestrial forests. Despite increased effort to understand the mechanisms underpinning blue carbon fluxes, there has been little synthesis of how management activities influence carbon stocks and greenhouse gas (GHG) fluxes in BCEs. Here, we present a global meta-analysis of 111 studies that measured how carbon stocks and GHG fluxes in BCEs respond to various coastal management strategies. Research effort has focused mainly on restoration approaches, which resulted in significant increases in blue carbon after 4 years compared to degraded sites, and the potential to reach parity with natural sites after 7–17 years. Lesser studied management alternatives, such as sediment manipulation and altered hydrology, showed only increases in biomass and weaker responses for soil carbon stocks and sequestration. The response of GHG emissions to management was complex, with managed sites emitting less than natural reference sites but emitting more compared to degraded sites. Individual GHGs also differed in their responses to management. To date, blue carbon management studies are underrepresented in the southern hemisphere and are usually limited in duration (61% of studies <3 years duration). Our meta-analysis describes the current state of blue carbon management from the available data and highlights recommendations for prioritizing conservation management, extending monitoring time frames of BCE carbon stocks, improving our understanding of GHG fluxes in open coastal systems and redistributing management and research effort into understudied, high-risk areas. © 2019 John Wiley & Sons Ltd
Can genetic polymorphisms predict response variability to anodal transcranial direct current stimulation of the primary motor cortex?
- Pellegrini, Michael, Zoghi, Maryam, Jaberzadeh, Shapour
- Authors: Pellegrini, Michael , Zoghi, Maryam , Jaberzadeh, Shapour
- Date: 2021
- Type: Text , Journal article
- Relation: European Journal of Neuroscience Vol. 53, no. 5 (2021), p. 1569-1591
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- Description: Genetic mediation of cortical plasticity and the role genetic variants play in previously observed response variability to transcranial direct current stimulation (tDCS) have become important issues in the tDCS literature in recent years. This study investigated whether inter-individual variability to tDCS was in-part genetically mediated. In 61 healthy males, anodal-tDCS (a-tDCS) and sham-tDCS were administered to the primary motor cortex at 1 mA for 10-min via 6 × 4 cm active and 7 × 5 cm return electrodes. Twenty-five single-pulse transcranial magnetic stimulation (TMS) motor evoked potentials (MEP) were recorded to represent corticospinal excitability (CSE). Twenty-five paired-pulse MEPs were recorded with 3 ms inter-stimulus interval (ISI) to assess intracortical inhibition (ICI) via short-interval intracranial inhibition (SICI) and 10 ms ISI for intracortical facilitation (ICF). Saliva samples were tested for specific genetic polymorphisms in genes encoding for excitatory and inhibitory neuroreceptors. Individuals were sub-grouped based on a pre-determined threshold and via statistical cluster analysis. Two distinct subgroups were identified, increases in CSE following a-tDCS (i.e. Responders) and no increase or even reductions in CSE (i.e. Non-responders). No changes in ICI or ICF were reported. No relationships were reported between genetic polymorphisms in excitatory receptor genes and a-tDCS responders. An association was reported between a-tDCS responders and GABRA3 gene polymorphisms encoding for GABA-A receptors suggesting potential relationships between GABA-A receptor variations and capacity to undergo tDCS-induced cortical plasticity. In the largest tDCS study of its kind, this study presents an important step forward in determining the contribution genetic factors play in previously observed inter-individual variability to tDCS. © 2020 Federation of European Neuroscience Societies and John Wiley & Sons Ltd
- Authors: Pellegrini, Michael , Zoghi, Maryam , Jaberzadeh, Shapour
- Date: 2021
- Type: Text , Journal article
- Relation: European Journal of Neuroscience Vol. 53, no. 5 (2021), p. 1569-1591
- Full Text:
- Reviewed:
- Description: Genetic mediation of cortical plasticity and the role genetic variants play in previously observed response variability to transcranial direct current stimulation (tDCS) have become important issues in the tDCS literature in recent years. This study investigated whether inter-individual variability to tDCS was in-part genetically mediated. In 61 healthy males, anodal-tDCS (a-tDCS) and sham-tDCS were administered to the primary motor cortex at 1 mA for 10-min via 6 × 4 cm active and 7 × 5 cm return electrodes. Twenty-five single-pulse transcranial magnetic stimulation (TMS) motor evoked potentials (MEP) were recorded to represent corticospinal excitability (CSE). Twenty-five paired-pulse MEPs were recorded with 3 ms inter-stimulus interval (ISI) to assess intracortical inhibition (ICI) via short-interval intracranial inhibition (SICI) and 10 ms ISI for intracortical facilitation (ICF). Saliva samples were tested for specific genetic polymorphisms in genes encoding for excitatory and inhibitory neuroreceptors. Individuals were sub-grouped based on a pre-determined threshold and via statistical cluster analysis. Two distinct subgroups were identified, increases in CSE following a-tDCS (i.e. Responders) and no increase or even reductions in CSE (i.e. Non-responders). No changes in ICI or ICF were reported. No relationships were reported between genetic polymorphisms in excitatory receptor genes and a-tDCS responders. An association was reported between a-tDCS responders and GABRA3 gene polymorphisms encoding for GABA-A receptors suggesting potential relationships between GABA-A receptor variations and capacity to undergo tDCS-induced cortical plasticity. In the largest tDCS study of its kind, this study presents an important step forward in determining the contribution genetic factors play in previously observed inter-individual variability to tDCS. © 2020 Federation of European Neuroscience Societies and John Wiley & Sons Ltd
- Willey, Suzanne, Cant, Robyn, Williams, Allison, McIntyre, Meredith
- Authors: Willey, Suzanne , Cant, Robyn , Williams, Allison , McIntyre, Meredith
- Date: 2018
- Type: Text , Journal article
- Relation: Journal of Clinical Nursing Vol. 27, no. 17-18 (2018), p. 3387-3396
- Full Text: false
- Reviewed:
- Description: Aims and objectives: To explore service provision for Victorian regional refugee families from the perspective of maternal and child health nurses. Background: Increasingly, more families from a refugee background are resettling in regional Victoria. The refugee journey has significant effect on families. Refugee families with infants and young children can be provided with support by maternal and child health services; however, many families experience barriers to ongoing engagement with this service. Design: This descriptive study used focus group and questionnaire. A purposive sample of 26 maternal and child health nurses was drawn from six municipalities throughout regional Victoria, where higher numbers of people from a refugee background resettle. Six focus groups were held in 2014. Audio-recorded narratives were transcribed, prior to inductive thematic analysis. Methods: This descriptive study used focus group and questionnaire. A purposive sample of 26 Maternal and Child Health nurses was drawn from six municipalities throughout regional Victoria where higher numbers of people from a refugee background resettle. Six focus groups were held in 2014. Audio-recorded narratives were transcribed verbatim, prior to inductive thematic analysis. Results: Participating nurses were experienced nurses, averaging 12 years in the service. Four major themes emerged from thematic analysis: “How to identify women from a refugee background”; “The Maternal and Child Health nurse role when working with families from a refugee background”; “Interpreting issues”; and “Access to other referral agencies.” Nurses worked to develop a relationship with families, attending to a complex mix of issues which were complicated by language barriers. Nurses found their role in supporting refugee families required additional time and more home visits. Conclusions: To provide best practice, maternal and child health nurses need (i) ongoing professional development; (ii) time, flexibility and creativity to build relationships with refugee families and (iii) better access to services that enhance communication, such as interpreting services and translated resources. Relevance to clinical practice: Nurses require ongoing professional development to help them address the multifaceted needs of families of refugee background. With limited resources available in regional areas, accessing further education can be challenging. Distance education models and organisational support could provide nurses with educational opportunities aimed at improving service provision and clinical practice. © 2018 John Wiley & Sons Ltd