scholarly journals Ecosystem Management of Eastern Canadian Boreal Forests: Potential Impacts on Wind Damage

Forests ◽  
2020 ◽  
Vol 11 (5) ◽  
pp. 578
Author(s):  
Jean-Claude Ruel

Research Highlights: Windthrow can interfere significantly with ecosystem management practices. In some cases, their goal could still be reached but this may prove more complex in other cases, like the partial cutting of old-growth stands. In situations where windthrow is common without any human intervention, the use of partial cutting to maintain some stand structures may lead to a feedback loop leading to additional windthrow. Background and Objectives: Forest ecosystem management using natural disturbances as a template has become the management paradigm in many regions. Most of the time, the focus is on fire regime and effects. However, windthrow can be common in some places or can interfere with practices implemented in an ecosystem management strategy. This paper looks at interactions between ecosystem management and windthrow. Materials and Methods: The paper builds on three case studies looking at various elements that could be part of ecosystem management strategies. The first one looks at the impact of green tree retention, while the second one looks at the impact of reducing the size and dispersing clearcuts, and the last one examines the impact of a range of cutting practices in irregular old-growth stands. Results: Green tree retention leads to increased windthrow, especially when applied within mature even-aged stands. Reducing the size of clearcuts and dispersing them over the landscape also involves substantial windthrow along edges. Partial cutting in old-growth stands can lead to relatively high mortality, but part of it is not necessarily related to wind since it occurs as standing dead trees. Differences in the amount of damage with tree size and species have been found and could be used to reduce wind damage. Conclusions: Approaches to minimize wind damage in ecosystem management can be designed using existing knowledge. However, using windthrow as a template to design management strategies would prove more complex.

Author(s):  
Matteo Jucker Riva ◽  
Gudrun Schwilch ◽  
Hanspeter Liniger ◽  
Alejandro Valdecantos

Wildfires have always been a part of the history of Mediterranean forests. However, forest regeneration after a wildfire is not certain. It depends on many factors, some of which may be influenced by land management activities. Failure of regeneration will cause a regime shift in the ecosystem, reducing the provision of ecosystem services and ultimately leading to desertification. How can we increase Mediterranean forests’ resilience to fire? To answer this question, we did a literature review, investigating chains of processes that allow forests to regenerate (which we label “regeneration mechanisms”), and assessed the impact of selected management practices documented in the WOCAT database on the regeneration mechanisms. We identified three distinct regeneration mechanisms that enable Mediterranean forests to recover, as well as the time frame before and after a fire in which they are at work, and factors that can hinder or support resilience. The three regeneration mechanisms enabling a forest to regenerate after a fire consist of regeneration (1) from a seed bank; (2) from resprouting individuals; and (3) from unburned plants that escaped the fire. Management practices were grouped into four categories: (1) fuel breaks, (2) fuel management, (3) afforestation, and (4) mulching. We assessed how and under what conditions land management modifies the ecosystem’s resilience. The results show that land management influences resilience by interacting with resilience mechanisms before and after the fire, and not just by modifying the fire regime. Our analysis demonstrates a need for adaptive – i.e. context- and time-specific – management strategies.


2005 ◽  
Vol 35 (6) ◽  
pp. 1442-1454 ◽  
Author(s):  
Lance W Lazaruk ◽  
Gavin Kernaghan ◽  
S Ellen Macdonald ◽  
Damase Khasa

This study assessed the impact of various harvesting practices (including those designed to emulate natural disturbances) on ectomycorrhizae (ECM) associated with white spruce (Picea glauca (Moench) Voss) in northwestern Alberta, Canada. Treatments included clearcuts, partial cuts (dispersed green-tree retention with 20%, 50%, and 75% residual live trees, and aggregated green-tree retention), unharvested control sites, and a burned stand. The percentage of active white spruce root tips and ECM richness and diversity, as observed in soil cores collected throughout the study site, all decreased with increasing disturbance intensity. Effects were particularly pronounced in clearcuts, machine corridors used for access by harvesting equipment in the dispersed green-tree retention stands, and in burned areas. Reductions in ECM biodiversity could be attributed to the sensitivity of late-stage ectomycorrhizae (e.g., Cortinarius spp., Lactarius spp., and Russula spp.) to soil disturbances and changes in microclimate associated with harvesting or burning. Areas of dispersed and aggregated green-tree retention were not dramatically different than unharvested forest in terms of root tip density and ECM richness, diversity, and composition. Harvesting practices that retain a percentage of residual live trees, either dispersed throughout the cutting unit or in aggregated patches, could be an effective means of maintaining ectomycorrhizal biodiversity at the stand level.


Land ◽  
2021 ◽  
Vol 10 (3) ◽  
pp. 330
Author(s):  
Jean-Christophe Castella ◽  
Sonnasack Phaipasith

Road expansion has played a prominent role in the agrarian transition that marked the integration of swidden-based farming systems into the market economy in Southeast Asia. Rural roads deeply altered the landscape and livelihood structures by allowing the penetration of boom crops such as hybrid maize in remote territories. In this article, we investigate the impact of rural road developments on livelihoods in northern Laos through a longitudinal study conducted over a period of 15 years in a forest frontier. We studied adaptive management strategies of local stakeholders through the combination of individual surveys, focus group discussions, participatory mapping and remote-sensing approaches. The study revealed the short-term benefits of the maize feeder roads on poverty alleviation and rural development, but also the negative long-term effects on agroecosystem health and agricultural productivity related to unsustainable land use. Lessons learnt about the mechanisms of agricultural intensification helped understanding the constraints faced by external interventions promoting sustainable land management practices. When negotiated by local communities for their own interest, roads may provide livelihood-enhancing opportunities through access to external resources, rather than undermining them.


BMC Cancer ◽  
2021 ◽  
Vol 21 (1) ◽  
Author(s):  
Robert Knoerl ◽  
Emanuele Mazzola ◽  
Fangxin Hong ◽  
Elahe Salehi ◽  
Nadine McCleary ◽  
...  

Abstract Background Chemotherapy-induced peripheral neuropathy (CIPN) negatively affects physical function and chemotherapy dosing, yet, clinicians infrequently document CIPN assessment and/or adhere to evidence-based CIPN management in practice. The primary aims of this two-phase, pre-posttest study were to explore the impact of a CIPN clinician decision support algorithm on clinicians’ frequency of CIPN assessment documentation and adherence to evidence-based management. Methods One hundred sixty-two patients receiving neurotoxic chemotherapy (e.g., taxanes, platinums, or bortezomib) answered patient-reported outcome measures on CIPN severity and interference prior to three clinic visits at breast, gastrointestinal, or multiple myeloma outpatient clinics (n = 81 usual care phase [UCP], n = 81 algorithm phase [AP]). During the AP, study staff delivered a copy of the CIPN assessment and management algorithm to clinicians (N = 53) prior to each clinic visit. Changes in clinicians’ CIPN assessment documentation (i.e., index of numbness, tingling, and/or CIPN pain documentation) and adherence to evidence-based management at the third clinic visit were compared between the AP and UCP using Pearson’s chi-squared test. Results Clinicians’ frequency of adherence to evidence-based CIPN management was higher in the AP (29/52 [56%]) than the UCP (20/46 [43%]), but the change was not statistically significant (p = 0.31). There were no improvements in clinicians’ CIPN assessment frequency during the AP (assessment index = 0.5440) in comparison to during the UCP (assessment index = 0.6468). Conclusions Implementation of a clinician-decision support algorithm did not significantly improve clinicians’ CIPN assessment documentation or adherence to evidence-based management. Further research is needed to develop theory-based implementation interventions to bolster the frequency of CIPN assessment and use of evidence-based management strategies in practice. Trial registration ClinicalTrials.Gov, NCT03514680. Registered 21 April 2018.


Author(s):  
Irma Booyens ◽  
Christian M. Rogerson ◽  
Jayne M. Rogerson ◽  
Tom Baum

Although the literature on COVID-19 is expanding, particularly in relation to crisis management responses pursued by large tourism enterprises, currently few studies exist on the responses of small tourism firms and more specifically of the crisis management practices of small and microaccom modation establishments. The aim in this study is to investigate the business management responses of small tourism firms to the COVID-19 pandemic crisis and restrictions in South Africa. Themes of concern are whether enterprises have been able to sustain operations and adopt certain coping mechanisms or management strategies to mitigate the pandemic’s impact. The article reports on an interview survey of small and microenterprises engaged in accommodation services (N = 75) in South Africa under lockdown restrictions as a means of assessing the responses and coping strategies during an unprecedented crisis of this core component of the country’s tourism industry. Among key findings are that small and microlodging firms that have suffered severe financial losses because of the COVID-19 shock have few viable mechanisms to cope with the impact of the crisis and that government support to aid recovery has been insufficient in South Africa. This research contributes to the limited body of international scholarship that examines how small and microaccommodation firms, a major group and contributor of many economies, are navigating the unprecedented COVID-19 environment.


Author(s):  
Fiona Kost

Though early historical records frequently mention Aboriginal, or Noongar, firing in south-western Australia, little is known about how the Noongar people managed the vegetation with fire, or the impact this has had on the environment. This study uses interdisciplinary archaeology, with information from ethnographic data, historical records, and pollen records from the last 6,000 years to determine the actions of the Noongar people and demonstrate how the Southwest Botanical Province can be viewed as an artefact of Noongar land management. It is widely accepted that Aboriginal people have had an effect on some of Australia’s vegetation types through fire (Bowman 1998; Hallam 1975; Kershaw et al. 2002) although the extent of the influence of Aboriginal firing is debated (Mooney et al. 2007). However, pollen data and the study of fire indicators in Xanthorrhoea and Eucalyptus trunks have been used to demonstrate that the frequency of fire events in the south-west has decreased since European colonization (Atahan et al. 2004; Ward et al. 2001), resulting in the loss of fire-dependent vegetation species and changes in vegetation distribution patterns. This disruption of the vegetation communities has been compounded by the extensive clearing of land for farming and the displacement of the Noongar people (Dodson 2001). The impact that European colonization had on vegetation becomes more apparent as an understanding of the Noongar fire management practices is gained. There is increasing acknowledgement by researchers of the need to understand the influence of the past fire regime on vegetation patterns and to acknowledge traditional land management practices (Hopper and Gioia 2004), as well as the changes caused by European attempts to create a ‘natural’ regime, so that land management groups can take them into account when determining modern-day prescribed burning timetables. Archaeological studies such as this one can provide a unique insight into the past actions of people such as the Noongar, allowing us to determine how they shaped the landscape prior to European colonization (see Balée, Chapter 3 this volume for a more direct discussion of the ‘indigenous’ nature of pre-colonial landscapes; see Stump, Chapter 10 this volume for similar discussions of colonial and postcolonial environmental narratives).


Agronomy ◽  
2020 ◽  
Vol 10 (11) ◽  
pp. 1633
Author(s):  
Christoph Emmerling ◽  
Andreas Krein ◽  
Jürgen Junk

The intensification of livestock production, to accommodate rising human population, has led to a higher emission of ammonia into the environment. For the reduction of ammonia emissions, different management steps have been reported in most EU countries. Some authors, however, have criticized such individual measures, because attempts to abate the emission of ammonia may lead to significant increases in either methane, nitrous oxide, or carbon dioxide. In this study, we carried out a meta-analysis of experimental European data published in peer-reviewed journals to evaluate the impact of major agricultural management practices on ammonia emissions, including the pollution swapping effect. The result of our meta-analysis showed that for the treatment, storage, and application stages, only slurry acidification was effective for the reduction of ammonia emissions (−69%), and had no pollution swapping effect with other greenhouse gases, like nitrous oxide (−21%), methane (−86%), and carbon dioxide (−15%). All other management strategies, like biological treatment, separation strategies, different storage types, the concealing of the liquid slurry with different materials, and variable field applications were effective to varying degrees for the abatement of ammonia emission, but also resulted in the increased emission of at least one other greenhouse gas. The strategies focusing on the decrease of ammonia emissions neglected the consequences of the emissions of other greenhouse gases. We recommend a combination of treatment technologies, like acidification and soil incorporation, and/or embracing emerging technologies, such as microbial inhibitors and slow release fertilizers.


2011 ◽  
Vol 41 (6) ◽  
pp. 1352-1358 ◽  
Author(s):  
Asko Lõhmus ◽  
Tiiu Kull

The current knowledge on the impact of forest management on plant species of conservation concern is poor. We asked how three basic silvicultural techniques (clear-cutting, green-tree retention, and artificial drainage) affect the abundance of terrestrial orchid species and their communities in Estonia, hemiboreal Europe. Fixed-area, fixed-effort surveys (4 h per 2 ha plot) were used in 29 plot clusters representing five site types, with each cluster including plots of four treatments (old growth, mature managed forest, and cutover with and without live retention trees). Altogether 11 species of orchids were recorded in those 116 plots, with the most complete sets of species in artificially drained plots and mature stands. Five species were widely distributed among treatments and site types, but most site types also hosted shade-tolerant orchids (six species) that characteristically disappeared after timber harvesting. Cutover areas (3–7 years after harvest) hosted no species absent from uncut forest stands, and retention of solitary trees had no effect on orchid abundance over clear-cuts. Modern Estonian forest landscapes appear to support viable populations of many orchids, with rotation ages sufficient for population development of the majority of shade-tolerant species.


Author(s):  
G. I. Touckia ◽  
L. Aba-Toumnou ◽  
O. D. Yongo ◽  
M. Ganima Yara ◽  
K. Kokou

Few studies have been carried out on Yam (Dioscorea alata and Dioscorea rotundata) in relation with the conservation agriculture in CAR. Yam is cultivated in limited quantities despite its role in improving food security.  In order to increase  Yam   production  in the smallholder farms in CAR, the potential effect   of  crop management practices  like    nutrient application,  mulching and minimum  tillage  on  Yam  crop  yield  and  household  financial  returns,  needs  to  be  understood. A  questionnaire  was  prepared  and  used  as  a  tool  for the  collection  of  information  from 100 producers  of Yam without distinction of ages and sexes. In order to determinate the agronomical performance of Yam, two plots were explored. The first plot with 625m² (12.5m ×50m), known as the improved plot, is a plot on which all conservation agriculture practices were applied. The second plot, known as the traditional plot, is one on which traditional farming techniques were applied. The results of the survey show that 32% of the farmers are in favor for CA practice nevertheless 68% are not favor, which shows that a large proportion of farmers in Kalangoé are not aware of the benefits of this technique. The most widely cultivated variety is D. rotundata, because of its taste qualities.  Some producers also grow both varieties at the same time. Some producers (28%) clear their plots by cutting down all the trees to leave the field bare, while a large number (72%) practice partial cutting by removing the shrubs to keep the large trees in order to protect the forest. A large number of producers (62%) also burn their plots for various reasons, including freeing up space and making it easier to move around the field because the plant debris from clearing prevents them from working properly. A small proportion of producers (26%) practice ploughing against 74% who do not practice this technique. The conservation agriculture practice applied to Yam gave interesting agronomic performances (growth and production parameters) than the farmers practices.


2021 ◽  
pp. 1-16
Author(s):  
C.L. Challinor ◽  
H. Randle ◽  
J.M. Williams

Horse riders in the UK have a legal responsibility for the welfare of the horses in their care, outlined by the Animal Welfare Act (2006). Understanding weight management factors that influence rider: horse bodyweight (RHBW) ratio is key to safeguarding horse welfare as human obesity rates increase. Recent high-profile incidents have seen riders being asked to dismount for being too heavy, demonstrating an awareness of the possible impact of excessive rider weight, threatening the equestrian industry’s social licence to operate. This study investigated RHBW trends within the UK leisure and amateur rider population to understand rider perception of ‘ideal’ RHBW and factors influencing rider and horse weight management. An online survey (SurveyMonkey®) was distributed via UK equine-related Facebook™ groups and collected information on horse and rider demographics, rider weight management strategies and respondents’ views on the importance of rider weight on horse welfare. Kruskal-Wallis analyses with Mann Whitney U post-hoc tests identified whether differences in respondent views differed between RHBW groups. A total of 971 riders completed the survey; respondents were aged between 18-65+ years old and 88% (n=953) were experienced riders. RHBWs were calculated for 764 (79%) of respondents as 21.2% (n=206) did not know either their own and/or their horses’ weight. Weight tapes (44.5%; n=432) and weigh bridges (29.5%; n=286) were common horse weight estimation methods. RHBWs ranged from 4.9% to 21.88%, mean: 12.5%±2.7%. Riders with lower RHBW thought about their own weight less and measured their horses’ weight less often than those with higher ratios (P<0.005, P<0.0004, respectively). The majority of riders who participated were weight conscious and recognised potential detrimental impacts associated with increased rider weight. Development of RHBW guidelines supported by equestrian governing bodies would highlight the need for riders to consider the impact of weight and support them in choosing suitable horses.


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