scholarly journals Animal Welfare in Predator Control: Lessons from Land and Sea. How the Management of Terrestrial and Marine Mammals Impacts Wild Animal Welfare in Human–Wildlife Conflict Scenarios in Europe

Animals ◽  
2020 ◽  
Vol 10 (2) ◽  
pp. 218 ◽  
Author(s):  
Laetitia Nunny

The control of predators, on land and in the sea, is a complex topic. Both marine and terrestrial mammal predators come into conflict with humans in Europe in many ways and yet their situations are rarely compared. Areas of conflict include the predation of livestock and farmed fish, and the perceived competition for wild prey (for example wolves competing with hunters for deer and seals competing with fishermen for salmon). A lethal method (shooting) and non-lethal methods of conflict reduction (including enclosures, guarding, and aversion) used for terrestrial large carnivores (e.g., bear, wolf, wolverine, lynx) and marine mammals (seals) are discussed. Control measures tend to be species- and habitat-specific, although shooting is a widely used method. Potential impacts on predator welfare are described and welfare assessments which have been developed for other wildlife control scenarios, e.g., control of introduced species, are considered for their potential use in assessing predator control. Such assessments should be applied before control methods are chosen so that decisions prioritizing animal welfare can be made. Further work needs to be carried out to achieve appropriate and widely-accepted animal welfare assessment approaches and these should be included in predator management planning. Future research should include further sharing of approaches and information between terrestrial and marine specialists to help ensure that animal welfare is prioritized.


Author(s):  
Michael Walker ◽  
María Díez-León ◽  
Georgia Mason

Animal welfare science is a young and thriving field. Over the last two decades, the output of scientific publications on welfare has increased by c. 10-15% annually (tripling as a proportion of all science papers logged by ISI’s Web of Science), with just under half the c. 8500 total being published in the last 4 years. These papers span an incredible 500+ journals, but around three quarters have been in 80 animal science, veterinary, ethology, conservation and specialized welfare publications, and nearly 25% are published in just two: Animal Welfare and Applied Animal Behaviour Science. Farmed animals – especially mammals – have attracted by far the most research. This broadly reflects the vastness of their populations and the degree of public concern they elicit; poultry, however, are under-studied, and farmed fish ever more so: fish have only recently attracted welfare research, and are by far the least studied of all agricultural species, perhaps because of ongoing doubts about their sentience. We predict this farm animal focus will continue in the future, but embracing more farmed fish, reptiles and invertebrates, and placing its findings within broader international contexts such as environmental and food security concerns. Laboratory animals have been consistently well studied, with a shift in recent years away from primates and towards rodents. Pets, the second largest animal sector after farmed animals, have in contrast been little studied considering their huge populations (cats being especially overlooked): we anticipate research on them increasing in the future. Captive wild animals, especially mammals, have attracted a consistent level of welfare research over the last two decades. Given the many thousands of diverse species kept by zoos, this must, and we predict will, increase. Future challenges and opportunities including refining the use of preference tests, stereotypic behaviour, corticosteroid outputs and putative indicators of positive affect, to enable more valid conclusions about welfare; investigating the evolution and functions of affective states; and last but not least, identifying which taxonomic groups and stages of development are actually sentient and so worthy of welfare concern.



2020 ◽  
Author(s):  
Sina Faizollahzadeh Ardabili ◽  
Amir Mosavi ◽  
Pedram Ghamisi ◽  
Filip Ferdinand ◽  
Annamaria R. Varkonyi-Koczy ◽  
...  

Several outbreak prediction models for COVID-19 are being used by officials around the world to make informed-decisions and enforce relevant control measures. Among the standard models for COVID-19 global pandemic prediction, simple epidemiological and statistical models have received more attention by authorities, and they are popular in the media. Due to a high level of uncertainty and lack of essential data, standard models have shown low accuracy for long-term prediction. Although the literature includes several attempts to address this issue, the essential generalization and robustness abilities of existing models needs to be improved. This paper presents a comparative analysis of machine learning and soft computing models to predict the COVID-19 outbreak as an alternative to SIR and SEIR models. Among a wide range of machine learning models investigated, two models showed promising results (i.e., multi-layered perceptron, MLP, and adaptive network-based fuzzy inference system, ANFIS). Based on the results reported here, and due to the highly complex nature of the COVID-19 outbreak and variation in its behavior from nation-to-nation, this study suggests machine learning as an effective tool to model the outbreak. This paper provides an initial benchmarking to demonstrate the potential of machine learning for future research. Paper further suggests that real novelty in outbreak prediction can be realized through integrating machine learning and SEIR models.



2021 ◽  
pp. jech-2020-216061
Author(s):  
Srinivasa Vittal Katikireddi ◽  
Sham Lal ◽  
Enitan D Carrol ◽  
Claire L Niedzwiedz ◽  
Kamlesh Khunti ◽  
...  

Minority ethnic groups have been disproportionately affected by the COVID-19 pandemic. While the exact reasons for this remain unclear, they are likely due to a complex interplay of factors rather than a single cause. Reducing these inequalities requires a greater understanding of the causes. Research to date, however, has been hampered by a lack of theoretical understanding of the meaning of ‘ethnicity’ (or race) and the potential pathways leading to inequalities. In particular, quantitative analyses have often adjusted away the pathways through which inequalities actually arise (ie, mediators for the effect of interest), leading to the effects of social processes, and particularly structural racism, becoming hidden. In this paper, we describe a framework for understanding the pathways that have generated ethnic (and racial) inequalities in COVID-19. We suggest that differences in health outcomes due to the pandemic could arise through six pathways: (1) differential exposure to the virus; (2) differential vulnerability to infection/disease; (3) differential health consequences of the disease; (4) differential social consequences of the disease; (5) differential effectiveness of pandemic control measures and (6) differential adverse consequences of control measures. Current research provides only a partial understanding of some of these pathways. Future research and action will require a clearer understanding of the multiple dimensions of ethnicity and an appreciation of the complex interplay of social and biological pathways through which ethnic inequalities arise. Our framework highlights the gaps in the current evidence and pathways that need further investigation in research that aims to address these inequalities.



1986 ◽  
Vol 7 (S2) ◽  
pp. 113-117 ◽  
Author(s):  
Dennis G. Maki

Whereas infections of the skin per se comprise only a fraction of all institutionally-acquired infections, the skin has become one of the most important reservoirs of nosocomial pathogens in the hospital. Professor Noble has provided a scholarly review of the increasing importance of the major constituents of the cutaneous microflora as nosocomial pathogens and what we know of their epidemiology. Unfortunately, the empiricism and limited scientific data which underlie essential infection control measures in this area, particularly in regard to cutaneous antisepsis and handwashing, is almost incongruous in an era in which controlled clinical trials have dominated most other areas of medicine. The numerous outbreaks traced to contaminated antiseptics and disinfectants over the past two decades, stand as mute testimony to the inadequate investigative attention this area has received.



2016 ◽  
Vol 43 (7) ◽  
pp. 553 ◽  
Author(s):  
N. J. Beausoleil ◽  
P. Fisher ◽  
K. E. Littin ◽  
B. Warburton ◽  
D. J. Mellor ◽  
...  

Context Control of unwanted wildlife (‘pest’ animals) is undertaken for conservation and economic reasons, and when such animals are considered a nuisance. Such control should be undertaken using approaches that minimise, as far as possible, detrimental impacts on the welfare of the animals. Using a scientific framework based on the Five Domains model, the relative welfare impacts of pest control methods can be compared across methods and pest species. Aims We demonstrate the application of a modified version of this framework to evaluate the relative impacts of seven Vertebrate Toxic Agents (VTAs) used to control brushtail possums (Trichosurus vulpecula) in New Zealand. The evaluation is used to produce a ranking of the seven VTAs based on their relative impacts on possum welfare. Methods Scientific literature describing mode of toxic action, specific effects in possums or other animals and reports from human poisonings was collated as reference material for a panel of six experts. The panel produced a median welfare impact score (‘none’ to ‘extreme’) for each of the Five Domains. The ‘Overall Grade’ (1 to 8) reflected the intensity and duration of all impacts of a VTA on possums. Key results All VTAs evaluated have at least moderate impacts on possum welfare, lasting for at least minutes. Cyanide was assessed as having the lowest welfare impacts (median grade 4), and cholecalciferol and the anticoagulants the highest impacts (7.5 to 8). Zinc phosphide was assigned an intermediate grade (6) with high confidence. While the overall impacts of sodium fluoroacetate (1080) and phosphorus were also assessed as intermediate (6), the panel’s confidence in these scores was low. Conclusions From an animal welfare perspective, anticoagulant poisons and cholecalciferol should be the least preferred options for controlling possums in New Zealand, as VTAs with less severe welfare impacts are available. Implications The results of such assessments allow animal welfare impacts to be integrated with other factors in wildlife management decision-making and policy development, and are thus useful for managers, researchers, regulators and operators. Evaluation of welfare impacts aligns with the goals and mandates of ethical wildlife control and may also be valuable in wider wildlife research and management activities.



Animals ◽  
2021 ◽  
Vol 11 (11) ◽  
pp. 3123
Author(s):  
Rebecca Souter ◽  
Anne-Lise Chaber ◽  
Ken Lee ◽  
Aaron Machado ◽  
Jia Lam ◽  
...  

Streptococcus iniae (S. iniae) is a significant aquatic pathogen of farmed fish species, important zoonotic pathogen, and reported cause of disease in captive Amazon River dolphins (Inia geoffrensis) and a bottlenose dolphin (Tursiops truncatus). Here we report S. iniae as the cause of subcutaneous abscesses, sepsis and mortality in a juvenile free-ranging short-beaked common dolphin (Delphinus delphis) found deceased on a metropolitan Australian beach. Body surfaces were covered by multifocal, depressed, deep, irregular cutaneous ulcerations, which microscopically were characterised by ruptured subcutaneous abscesses with intralesional cocci. Routine microbiological investigations revealed a heavy growth of beta-haemolytic Streptococcus sp. identified as Streptococcus iniae in skin lesions as well as from heart blood, the latter supportive of sepsis. Tissues were negative for cetacean morbillivirus and no other disease processes were identified. S. iniae has not been reported in free-ranging marine mammals, nor in Australian delphinids, previously. More notably a pathogen of captive animals, this case report identifies S. iniae as a pathogen of wild dolphins also. In addition to expanding the host reservoir of a significant zoonotic pathogen, determining the source of infection as well as possible consequences for other marine mammals and wild and intensive fish stocks warrants further investigations.



2021 ◽  
Author(s):  
Leslie Roberson ◽  
Chris Wilcox

Abstract Fisheries bycatch continues to drive the decline of many threatened marine species such as seabirds, sharks, marine mammals, and sea turtles. Management frameworks typically address bycatch with fleet-level controls on fishing. Yet, individual operators differ in their fishing practices and efficiency at catching fish. If operators have differing abilities to target species, they should also have differing abilities to anti-target bycatch species. We analyse variations in threatened species bycatch among individual operators from five industrial fisheries representing different geographic areas, gear types, and target species. The individual vessel is a significant predictor of bycatch for 15 of the 16 species-fishery interactions, including species that represent high or low costs to fishers, or have economic value as potentially targeted byproducts. Encouragingly, we found high performance operators in all five fishing sectors, including gears known for high bycatch mortality globally. These results show the potential to reduce negative environmental impacts of fisheries with incentive-based interventions targeting specific performance groups of individuals. Management of threatened species bycatch Incidental catch of marine animals in fishing gear ("bycatch") has been recognized as a serious problem for several decades. Despite widespread efforts to address it, bycatch remains one of the most pressing issues in fisheries management today, especially for threatened or protected species such as sea turtles, seabirds, elasmobranchs, and marine mammals1,2. The most common approaches to reducing bycatch have been command-and-control measures implemented across the entire fleet or industry, such as technology requirements or total allowable catch for particular bycatch species3,4. These conventional approaches have been far from universally successful, and have often performed worse in practice than models and trials suggested, even when the same approach is translated to a similar fishery5. The Skipper Effect Managing bycatch is a problem of fishing efficiency. Although management frameworks typically treat fishing fleets as a unit, several studies suggest that the skill of individual operators (the "skipper effect") could be a driver of important and unexplained variations in fishing efficiency. A skipper's skill is some combination of managerial ability, experience and knowledge of the environment, ability to respond to rapidly changing information and conditions at sea, and numerous other factors that are difficult to describe or record6. There is ongoing debate about the key components of operator skill and its importance in different contexts, such as different gears or technical advancement of fisheries7–10. Yet, numerous studies show consistent variation in target catch rates among anglers, skippers, or fishing vessels that is not explained by environmental variables or economic inputs7,11−13. This includes technically advanced and homogeneous fleets where a skipper's skill would seemingly be less important14. Previously, the skipper effect has been explored in relation to fishing efficiency and profitability (effort and target catch). However, if fishers have differing abilities to catch species they want, it follows that they would also have variable skill at avoiding unwanted species. Untangling the skipper effect is difficult without very detailed data, which are often not available for target catch and are extremely rare for bycatch. We capitalize on a rare opportunity to compare multiple high-resolution fisheries datasets that have information about both target and bycatch. We use fisheries observer data from five Australian Commonwealth fisheries sectors to answer three key questions: 1) Is there significant and predictable variation among operators in their target to bycatch ratios? We hypothesize that there are characteristics at the operator level that lead some vessels to perform worse than others on a consistent basis, and that operator skill is an important factor driving variations in bycatch across fishing fleets; 2) Does the pattern hold across species, gear types, and fisheries? We predict that, irrespective of the bycatch context, there are high performing operators that are able to avoid bycatch while maintaining high target catch; and 3) Does skipper skill transfer across species?” We posit that certain types of bycatch are inherently more difficult to avoid but expect to find correlations between bycatch rates, indicating that a skipper's ability to avoid one species extends to other types of bycatch. If these hypotheses hold true, then there exists untapped potential to reduce bycatch without imposing additional controls on fishing effort and gear. This would support an alternative approach to framing management questions such as those around threatened species bycatch. It may be that it is not a random event across a fishery, but in fact is an issue of particular low performance operators. In this case, measures aimed directly at those individual operators could be an opportunity to make considerable progress towards reducing threatened species bycatch, at potentially much lower cost than common whole-of-fishery solutions.



2015 ◽  
Vol 9 ◽  
pp. JEN.S25095 ◽  
Author(s):  
Navkiran Kalsi ◽  
Renata Tambelli ◽  
Paola Aceto ◽  
Carlo Lai

Tourette syndrome (TS) is a neurodevelopmental motor disorder described as an inability to inhibit unwanted motor movements. This article reviews research on the execution and inhibition of voluntary motor movements in TS. Over last two decades, a number of studies have addressed the structural and functional deficits associated with this syndrome. Only a limited number of studies have assessed the motor skills in these patients but have failed to reach any conclusive outcome. In the domain of response inhibition also, studies have reported arguable impairments in these patients. It is suggested that these conflicting results can be attributed to co-occurring comorbid conditions, the constraints posed by variable age groups, lack of control measures, and lack of specificity of domains addressed. This review will describe a way in which future research can be directed to increase our knowledge of this otherwise complex spectrum of disorders.



2019 ◽  
Vol 34 (4) ◽  
pp. 735-753 ◽  
Author(s):  
James R. Brown ◽  
Jody L. Crosno

Purpose Extant research has demonstrated that marketing channel control can produce both positive and negative effects. This paper aims to use meta-analysis to understand potential sources of those heterogeneous effects. This research also identifies areas in need of future research to help deepen the understanding of marketing channel control. Design/methodology/approach This study uses meta-analysis to quantitatively review some of the methodological factors that might explain conflicting results uncovered in previous empirical studies. Findings The results generally show a positive relationship between process and output control and their studied correlates. They also show that the effects of process and output control vary by the methodological factors used to study them. In particular, the effects of process and output control appears to be stronger in industrial (vs consumer) markets, service (vs goods) industries and in studies conducted in non-Western (vs Western) cultures; and output monitoring measures appear to be more effective than output control measures, yet process monitoring appears to be less effective than process control in marketing channels. Originality/value This original meta-analysis review of the literature on organizational control in marketing channels shows that the effects of process and output control vary according to the research context investigated as well as the specific measure of control used. The paper presents an agenda to guide future research on this topic to more fully develop knowledge of organizational control in marketing channels.



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