Short-term effects of timber harvest and forest edges on ground-layer mosses and liverworts

2005 ◽  
Vol 83 (6) ◽  
pp. 610-620 ◽  
Author(s):  
Cara R Nelson ◽  
Charles B Halpern

Limited information exists on the effects of forest management practices on bryophytes, despite their importance to forest ecosystems. We examined short-term responses of ground-layer bryophytes to logging disturbance and creation of edges in mature Pseudotsuga forests of western Washington (USA). The abundance and richness of species were measured in four 1-ha forest aggregates (patches of intact forest) and in surrounding logged areas before and after structural retention harvests. One year after treatment, species richness, total cover, and frequency of most moss and liverwort taxa declined within harvest areas. Within forest aggregates, mosses did not show significant edge effects; however, richness and abundance of liverworts declined with proximity to the aggregate edge. Our results suggest that, over short time frames, 1-ha-sized aggregates are sufficient to maintain most common mosses through structural retention harvests but are not large enough to prevent declines or losses of liverworts. Thus, current standards for structural retention, which allow for aggregates as small as 0.2 ha, may be inadequate to retain the diversity and abundance of species found in mature, undisturbed forests.Key words: bryophyte, edge effects, forest borders, forest management, logging effects, structural retention harvest.

2014 ◽  
Vol 42 (2) ◽  
pp. 162-170 ◽  
Author(s):  
JENS FRIIS LUND ◽  
NEIL D. BURGESS ◽  
SHABANI A. O. CHAMSHAMA ◽  
KLAUS DONS ◽  
JACK A. ISANGO ◽  
...  

SUMMARYNearly 10% of the world's total forest area is formally owned by communities and indigenous groups, yet knowledge of the effects of decentralized forest management approaches on conservation (and livelihood) impacts remains elusive. In this paper, the conservation impact of decentralized forest management on two forests in Tanzania was evaluated using a mixed method approach. Current forest condition, forest increment and forest use patterns were assessed through forest inventories, and changes in forest disturbance levels before and after the implementation of decentralized forest management were assessed on the basis of analyses of Landsat images. This biophysical evidence was then linked to changes in actual management practices, assessed through records, interviews and participatory observations, to provide a measure of the conservation impact of the policy change. Both forests in the study were found to be in good condition, and extraction was lower than overall forest increment. Divergent changes in forest disturbance levels were in evidence following the implementation of decentralized forest management. The evidence from records, interviews and participatory observations indicated that decentralized management had led to increased control of forest use and the observed divergence in forest disturbance levels appeared to be linked to differences in the way that village-level forest managers prioritized conservation objectives and forest-based livelihood strategies. The study illustrates that a mixed methods approach comprises a valid and promising way to evaluate impacts of conservation policies, even in the absence of control sites. By carefully linking policy outcomes to policy outputs, such an approach not only identifies whether such policies work as intended, but also potential mechanisms.


The Condor ◽  
2020 ◽  
Author(s):  
Jesse M Wood ◽  
Amy K Tegeler ◽  
Beth E Ross

Abstract Conservation efforts on private lands are important for biodiversity conservation. On private lands in South Carolina, in the southeastern United States, forestry management practices (prescribed burning, thinning, herbicide application) are used to improve upland pine habitat for wildlife and timber harvest and are incentivized through U.S. Department of Agriculture Farm Bill cost-share programs. Because many forest-dependent avian species have habitat requirements created primarily through forest management, data are needed on the effectiveness of these management activities. We studied privately owned loblolly pine (Pinus taeda) stands in the South Carolina Piedmont region. Our objective was to understand how management practices influence avian species richness and abundance at local (forest stand) and landscape levels in relatively small stands (average ~28 ha). We surveyed 49 forest stands during 2 bird breeding seasons with traditional point counts and vegetation surveys. We evaluated the effects of management on pine stand characteristics, avian species richness, and abundance of state-designated bird species of concern. Repeated burning and thinning shifted stand conditions to open pine woodlands with reduced basal area and herbaceous understories. Stands with lower basal area supported greater avian species richness. Some species increased in abundance in response to active management (e.g., Brown-headed Nuthatch [Sitta pusilla] and Indigo Bunting [Passerina cyanea]), but relationships varied. Some species responded positively to increases in forest quantity at a landscape scale (1–5 km; e.g., Northern Bobwhite [Colinus virginianus]). We found species-rich avian communities and species of conservation concern on working timber lands, indicating that incentivized forest management on private lands can provide valuable habitat for wildlife.


2021 ◽  
Vol 2 (2) ◽  
pp. 110-118
Author(s):  
Subash Gautam ◽  
Sachin Timilsina ◽  
Manish Shrestha

Genetic diversity helps to survive forest trees in several environmental changes and disease conditions. Different forest management activities such as harvesting, thinning, natural or artificial regeneration, seedlings or coppice forests, fragmentation, and overexploitation have a tremendous influence on the genetic diversity and population structure of forest trees. This paper aimed to review the impacts of these activities on the genetic diversity of forest trees. For this, we reviewed several scientific literature related to forest management practices that affect genetic diversity. Altogether,75 papers were reviewed, interpreted, and evaluated to prepare our final manuscript. The result of this study recommends that the level of genetic impacts varies with management activities, stand structure as well as species characteristics. There is very limited information about the impacts of forest management practices on the genetic diversity of forest trees since it is only focused on the growth of stands. The field research activities for species-specific must be executed considering ecological and reproductive parameters to assure sustainable forest ecosystems. Hence, this review will be beneficial for forest conservationists, researchers, and managers for the management of forests through better forest management activities preserving a genetic pool of the forest trees, and sustainable utilization of forest products.  


2018 ◽  
Vol 48 (10) ◽  
Author(s):  
Suellen Gomes Monteiro Batista ◽  
Patrícia Anjos Bittencourt Barreto-Garcia ◽  
Alessandro de Paula ◽  
Divino Levi Miguel ◽  
Willyan Charles Amaral Batista

ABSTRACT: One of the main alternatives for the rational exploitation of the Caatinga biome’s natural resources is sustainable forest management. Soil organic carbon (SOC) and its fractions can be used to evaluate the conservation status of forest ecosystems after anthropic interventions. Therefore, the objective of this study was to evaluate the short-term effect of different forest management practices on the distribution of SOC fractions in the Caatinga area located in Contendas do Sincorá National Forest (BA). Three forest management practices (clear cutting, selective cutting by diameter and selective cutting by species) were evaluated, using the unmanaged Caatinga as a control. Soil samples were collected at the 0-10cm depth. The SOC was fractionated into four fractions (F1’, F1, F2 and F3), adopting the chemical wet oxidation method based on increasing degrees of oxidation. The forest management caused a short-term change in the oxidizable fraction distribution of the SOC, which was reflected by a reduction of the most labile fractions.


2020 ◽  
Vol 12 (19) ◽  
pp. 7845
Author(s):  
Xiaoshu Li ◽  
G. Andrew Stainback

An understanding of how public preferences vary among different stakeholders toward forest management policies would be helpful in the forest policy design and administration process. In this study, we investigate the preferences toward forest management policies of three stakeholder groups-woodlot owners, environmentalists, and the general public. We used a stated-preference survey to elicit information about stakeholder preferences for forest management practices at Holt Research Forest in Maine. The survey was administered to each group both before and after an on-site experience at the forest. We specifically investigated how information and experience acquired through the on-site experience would influence the preferences of each group. We also conducted a latent class analysis to further explore the preference heterogeneity among survey participants. The results show differences in preferences for forest management policies between stakeholders with the preferences of woodlot owners differing substantially from environmentalists and the general public both before and after the on-site experience. The on-site experience did not have a substantial impact on woodlot owners. In contrast, it increased the consistency of choice decisions among environmentalists and the public.


2014 ◽  
Author(s):  
◽  
Katherine M. O'Donnell

The goal of my dissertation was to assess how terrestrial salamanders respond to two common forest management practices -- prescribed fire and timber harvest. Previous studies have reported that timber harvest adversely affects terrestrial salamanders, but there is not enough information to draw conclusions about the effects of prescribed fire. It is important to understand how prescribed fire affects wildlife, as it is increasingly being used to decrease wildfire risk and restore fire-adapted ecosystems. However, many fire management decisions are currently based on predicted plant responses, since there is more data available on plants than wildlife. To estimate terrestrial salamander population size (abundance) prior to treatments, I conducted surveys for three years and used a statistical modeling approach that accounted for the tendency of terrestrial salamanders to be belowground and unavailable for surveys. I found that terrestrial salamander density at our Missouri Ozark study site ranged from 0.4 to 1.6 salamanders per square meter. I found that salamanders were most likely to be on the forest floor surface during or following rainfall, and that they were more likely to be in leaf litter than under cover objects if it had recently rained. Following timber harvest and prescribed fire, salamanders were less likely to be on the surface. It appears that terrestrial salamander abundance is more adversely affected by timber harvest than by prescribed fire. I also tracked individual salamanders before and after a prescribed burn, and found that they stayed belowground much more frequently in burned areas than non-burned areas. However, I did not find evidence of direct salamander mortality due to the fire. My results indicate that terrestrial salamanders respond to post-fire and post-harvest conditions by spending more time belowground to avoid increased physiological stress. Though it appears that terrestrial salamanders can generally avoid direct consequences of prescribed fire, behavioral responses to post-fire micro-environmental conditions could affect salamander populations in ways that are not yet apparent.


Author(s):  
Ashish Kumar Agarwal ◽  
Daulat Singh Meena ◽  
Vijay Pathak ◽  
Anoop Jain ◽  
Rakesh Kumar Ola

Background: The aim of the present study was to study the effect of percutaneous balloon mitral  valvuloplasty (PBMV) on P wave dispersion and to test the correlation between P-maximum and  P-dispersion to right ventricular function and pulmonary artery pressure before and after PMBV. Also to study the impact of P-maximum and P-wave dispersion on the short term clinical outcome after successful PBMV in patients with mitral stenosis (MS) and sinus rhythm. Methods: 75 patients undergoing PMBV were enrolled in this study. We evaluated P-maximum, P-minimum and P-wave dispersion before and one month and one year after PBMV . We studied the changes in pulmonary arterial pressure (PAP), left atrial (LA) dimension, mitral diastolic gradient, and mitral valve area, in addition to the changes in right ventricular function utilizing tissue Doppler assessment both before and after PMBV, in addition the role of the P-wave dispersion in prediction of late cardiac events. Results: There were significant decrease in mean diastolic gradient, PAP, and LA size and significant improvement in right ventricular tissue Doppler indices after PMBV. Accompany these hemodynamic changes after PMBV. P-maximum and P-wave dispersion were found to be decreased (P < 0.001). Conclusion: Successful PBMV was associated with a decrease in Pmax and PWD. These simple electrocardiographic indices may predict the success of the procedure immediately after PBMV.  The P-maximum and P-wave dispersion changes were correlated with significant impairment of right dysfunction and the degree of pulmonary artery pressure. Keywords: PBMV.PAP,LA


2019 ◽  
Vol 2 (4) ◽  
pp. 267-275
Author(s):  
Sung Suk Kim ◽  
Jacob Donald Tan ◽  
Rita Juliana ◽  
John Tampil Purba

This study aims to explore the financial management practices ofsmall-and-medium-enterprises (SMEs) in the Greater Jakarta (Jabodetabek). We investigate into 3 SME cases by conducting the semi-structured interviews with the owner-managers and using direct observations to know the practices of financial management of SMEs. Through the research, we have found six propositions related to the practice of short-term financial management. They apply bootstraps to ensure availability of working capital. They set aside cash reserves from retained earnings and minimize loans from financial institutions. They have the computerized system to track receivables facilitating working capital needs. They keep theirinventory control efficient to manage working capital. They screen customers using transactional records and reputations to minimize the risk of bad debts.


2019 ◽  
Vol 12 (3) ◽  
pp. 133-166 ◽  
Author(s):  
Alexander Gradel ◽  
Gerelbaatar Sukhbaatar ◽  
Daniel Karthe ◽  
Hoduck Kang

The natural conditions, climate change and socio-economic challenges related to the transformation from a socialistic society towards a market-driven system make the implementation of sustainable land management practices in Mongolia especially complicated. Forests play an important role in land management. In addition to providing resources and ecosystem functions, Mongolian forests protect against land degradation.We conducted a literature review of the status of forest management in Mongolia and lessons learned, with special consideration to halting deforestation and degradation. We grouped our review into seven challenges relevant to developing regionally adapted forest management systems that both safeguard forest health and consider socio-economic needs. In our review, we found that current forest management in Mongolia is not always sustainable, and that some practices lack scientific grounding. An overwhelming number of sources noticed a decrease in forest area and quality during the last decades, although afforestation initiatives are reported to have increased. We found that they have had, with few exceptions, only limited success. During our review, however, we found a number of case studies that presented or proposed promising approaches to (re-)establishing and managing forests. These studies are further supported by a body of literature that examines how forest administration, and local participation can be modified to better support sustainable forestry. Based on our review, we conclude that it is necessary to integrate capacity development and forest research into holistic initiatives. A special focus should be given to the linkages between vegetation cover and the hydrological regime.


2020 ◽  
pp. 1-6
Author(s):  
Paul Park ◽  
Victor Chang ◽  
Hsueh-Han Yeh ◽  
Jason M. Schwalb ◽  
David R. Nerenz ◽  
...  

OBJECTIVEIn 2017, Michigan passed new legislation designed to reduce opioid abuse. This study evaluated the impact of these new restrictive laws on preoperative narcotic use, short-term outcomes, and readmission rates after spinal surgery.METHODSPatient data from 1 year before and 1 year after initiation of the new opioid laws (beginning July 1, 2018) were queried from the Michigan Spine Surgery Improvement Collaborative database. Before and after implementation of the major elements of the new laws, 12,325 and 11,988 patients, respectively, were treated.RESULTSPatients before and after passage of the opioid laws had generally similar demographic and surgical characteristics. Notably, after passage of the opioid laws, the number of patients taking daily narcotics preoperatively decreased from 3783 (48.7%) to 2698 (39.7%; p < 0.0001). Three months postoperatively, there were no differences in minimum clinically important difference (56.0% vs 58.0%, p = 0.1068), numeric rating scale (NRS) score of back pain (3.5 vs 3.4, p = 0.1156), NRS score of leg pain (2.7 vs 2.7, p = 0.3595), satisfaction (84.4% vs 84.7%, p = 0.6852), or 90-day readmission rate (5.8% vs 6.2%, p = 0.3202) between groups. Although there was no difference in readmission rates, pain as a reason for readmission was marginally more common (0.86% vs 1.22%, p = 0.0323).CONCLUSIONSThere was a meaningful decrease in preoperative narcotic use, but notably there was no apparent negative impact on postoperative recovery, patient satisfaction, or short-term outcomes after spinal surgery despite more restrictive opioid prescribing. Although the readmission rate did not significantly increase, pain as a reason for readmission was marginally more frequently observed.


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