scholarly journals Habitat Restoration as a Key Conservation Lever for Woodland Caribou: A review of restoration programs and key learnings from Alberta

Rangifer ◽  
2015 ◽  
Vol 35 (2) ◽  
pp. 123 ◽  
Author(s):  
Paula Bentham ◽  
Brian Coupal

The Recovery Strategy for the Woodland Caribou (Rangifer tarandus caribou), Boreal Population in Canada (EC, 2012), identifies coordinated actions to reclaim woodland caribou habitat as a key step to meeting current and future caribou population objectives. Actions include restoring industrial landscape features such as roads, seismic lines, pipelines, cut-lines, and cleared areas in an effort to reduce landscape fragmentation and the changes in caribou population dynamics associated with changing predator-prey dynamics in highly fragmented landscapes. Reliance on habitat restoration as a recovery action within the federal recovery strategy is high, considering all Alberta populations have less than 65% undisturbed habitat, which is identified in the recovery strategy as a threshold providing a 60% chance that a local population will be self-sustaining. Alberta’s Provincial Woodland Caribou Policy also identifies habitat restoration as a critical component of long-term caribou habitat management. We review and discuss the history of caribou habitat restoration programs in Alberta and present outcomes and highlights of a caribou habitat restoration workshop attended by over 80 representatives from oil and gas, forestry, provincial and federal regulators, academia and consulting who have worked on restoration programs. Restoration initiatives in Alberta began in 2001 and have generally focused on construction methods, revegetation treatments, access control programs, and limiting plant species favourable to alternate prey. Specific treatments include tree planting initiatives, coarse woody debris management along linear features, and efforts for multi-company and multi-stakeholder coordinated habitat restoration on caribou range. Lessons learned from these programs have been incorporated into large scale habitat restoration projects near Grande Prairie, Cold Lake, and Fort McMurray. A key outcome of our review is the opportunity to provide a unified approach for restoration program planning, best practices, key performance indicators, and monitoring considerations for future programs within Canada.

Author(s):  
Brian Coupal ◽  
Paula Bentham

The federal Recovery Strategy for the Woodland Caribou (Rangifer tarandus caribou), Boreal Population in Canada, identifies coordinated actions to reclaim woodland caribou habitat as a key step to meeting current and future caribou population objectives. Actions include restoring industrial landscape features such as roads, seismic lines, pipelines, cut-lines, and cleared areas in an effort to reduce landscape fragmentation and the changes in caribou population dynamics associated with changing predator-prey dynamics in highly fragmented landscapes. Reliance on habitat restoration as a recovery action within the federal Recovery Strategy is high, identifying 65% undisturbed habitat in a caribou range as the threshold to providing a 60% chance that a local population will be self-sustaining. In alignment with the federal Recovery Strategy, Alberta’s Provincial Woodland Caribou Policy identifies habitat restoration as a critical component of long-term caribou habitat management. Habitat restoration initiatives of Alberta’s historical industrial footprint within caribou ranges began in 2001 and have largely focused on linear corridors, including pipelines. Initiatives include revegetation treatments, access control programs and studies, and restricting the growth of plant species that are favourable to moose and deer, the primary prey for wolves. Habitat restoration for pipelines also includes pre-construction planning to reduce disturbance and create line-of-sight breaks, and construction techniques that promote natural vegetation recovery. Lessons learned from habitat restoration programs implemented on pipeline projects in northeastern Alberta will be shared as an opportunity to improve common understanding of restoration techniques, the barriers to implementation, and potential outcomes.


2014 ◽  
Author(s):  
Eric Dutrieux ◽  
Christophe Proisy ◽  
Francois Fromard ◽  
Romain Walcker ◽  
Muhammad Ilman ◽  
...  

Water ◽  
2021 ◽  
Vol 13 (11) ◽  
pp. 1528
Author(s):  
Angelina Freeman ◽  
James Pahl ◽  
Eric White ◽  
Summer Langlois ◽  
David Lindquist ◽  
...  

Louisiana has lost over 4800 km2 of coastal land since 1932, and a large-scale effort to restore coastal Louisiana is underway, guided by Louisiana’s Comprehensive Master Plan for a Sustainable Coast. This paper reviews science-based planning processes to address uncertainties in management decisions, and determine the most effective combination of restoration and flood risk reduction projects to reduce land loss, maintain and restore coastal environments, and sustain communities. The large-scale effort to restore coastal Louisiana is made more challenging by uncertainties in sediment in the Mississippi River, rising sea levels, subsidence, storms, oil and gas activities, flood-control levees, and navigation infrastructure. To inform decision making, CPRA uses structured approaches to incorporate science at all stages of restoration project planning and implementation to: (1) identify alternative management actions, (2) select the management action based on the best available science, and (3) assess performance of the implemented management decisions. Applied science and synthesis initiatives are critical for solving scientific and technical uncertainties in the successive stages of program and project management, from planning, implementation, operations, to monitoring and assessment. The processes developed and lessons learned from planning and implementing restoration in coastal Louisiana are relevant to other vulnerable coastal regions around the globe.


2021 ◽  
Vol 6 (1) ◽  
Author(s):  
Anna Kalbarczyk ◽  
Aditi Rao ◽  
Adedamola Adebayo ◽  
Ellie Decker ◽  
Sue Gerber ◽  
...  

Abstract Background Globally, gender as a barrier or facilitator in achieving health outcomes is increasingly being documented. However, the role of gender in health programming and organization is frequently ignored. The Global Polio Eradication Initiative, one of the largest globally coordinated public health programs in history, has faced and worked to address gender-based challenges as they emerge. This paper seeks to describe the role of gender power relations in the polio program across global, national, subnational, and front-line levels to offer lessons learned for global programs. Methods We conducted qualitative key-informant interviews with individuals purposively selected from the polio universe globally and within seven country partners: Afghanistan, Bangladesh, the Democratic Republic of the Congo, Ethiopia, India, Indonesia, and Nigeria. The interview tool was designed to explore nuances of implementation challenges, strategies, and consequences within polio eradication. All interviews were conducted in the local or official language, audio-recorded, and transcribed. We employed a deductive coding approach and used four gender analysis domains to explore data at the household, community, workplace, and organizational levels. Results We completed 196 interviews globally and within each partner country; 74.5% of respondents were male and 25.5% were female. Male polio workers were not allowed to enter many households in conservative communities which created demand for female vaccinators. This changed the dynamics of front-line program teams and workplaces and empowered many women to enter the workplace for the first time. However, some faced challenges with safety and balancing obligations at home. Women were less likely to receive promotions to managerial or supervisory roles; this was also reflected at the global level. Some described how this lack of diverse management and leadership negatively affected the quality of program planning, delivery and limited accountability. Conclusions Gender power relations play an important role in determining the success of global health programs from global to local levels. Without consideration of gender, large-scale programs may fail to meet targets and/or reinforce gender inequities. Global disease programs should incorporate a gender lens in planning and implementation by engaging men and boys, supporting women in the workplace, and increasing diversity and representation among leadership.


2017 ◽  
Vol 2017 (1) ◽  
pp. 657-677
Author(s):  
Thomas Coolbaugh ◽  
Geeva Varghese ◽  
Lau Siau Li

ABSTRACT Following the Macondo Incident, the international oil and gas industry spent significant time and effort analyzing lessons learned and implementing key projects to ensure that critical response and preparedness issues that were identified are addressed to improve response capabilities. The Global Dispersant Stockpile (GDS) was established as part of a post-Macondo Joint Industry Project through Oil Spill Response Limited (OSRL), recognizing that delivery of sufficient quantities of dispersant is a key element for a successful dispersant operation, especially during the initial phases of a large scale response to an event such as a subsea well blowout. Taking into account the global approval status and proven effectiveness on a range of crude oils, three key oil dispersants, Finasol® OSR 52 (Total), Corexit® EC9500A (Nalco) and Slickgone® NS (Dasic) were selected for the Global Dispersant Stockpile. A total of 5,000 m3 of these dispersants are now stored and ready to be deployed from five strategically positioned global locations. For example, sizable volumes of two of these products (total volume = 700 m3) are located at OSRL’s response base in Singapore, which can be quickly mobilized to support a response in the Asia Pacific region. An ongoing effort associated with the management of the GDS is to enable the pre-approval of at least one of the three products for countries in the region where spill response may be required. At present, this is not the case in the region for a variety of reasons, e.g., toxicity concerns and biodegradation processes of dispersed oil. A particularly cautious approach by regulatory authorities following the Macondo incident, coupled with a number of other specific regional concerns, has exacerbated the issue of obtaining and maintaining dispersant approvals in the region. The aim of this paper is to identify and discuss the existing regulatory framework governing the dispersant product approval process and dispersant use authorization for countries in Asia Pacific. The paper will detail the present status of regulations related to dispersant use for a number of countries in the region, the potential challenges associated with achieving permissions in countries with no regulations and a discussion of strategies to address identified obstacles. Additionally the activities that are being undertaken to expand regulatory approvals will also be addressed. It is anticipated that a greater understanding of the reasoning behind the GDS will facilitate a positive regulatory perspective and the potential for dispersant pre-approval in the region.


2020 ◽  
Vol 312 ◽  
pp. 02006
Author(s):  
Ruveyda Komurlu ◽  
Akin Er

Billion-dollar investments are quite common in oil and gas industry and owners generally prefer engineering, procurement, construction (EPC) contracts since they would like to minimize their risks and guarantee the most consistent project cost and shortest timeline scheme. Considering the size of contracts, owners are unsurprisingly seeking an ideal tender awarding method to avoid deviation from project schedule or budget and get the maximum benefit for them. They may prefer to award the EPC contract directly (i), have a front-end engineering design (FEED) study done first and award the EPC contract afterwards (ii), or set up a convertible contract and convert it to EPC after an open book cost estimate (OBCE) process (iii). It is a question of concern which option for large-scale oil and gas projects is the most favourable. As a case study, outcomes of a project which was administrated with a conversion type of contract will be reviewed in detail, and a number of principles based on lessons learned will be listed. Thus, the authors aim to provide a verifying approach for the interpretation of EPC conversion type contract management based on analysis of the distinguishing features of large-scale oil and gas projects.


2007 ◽  
Vol 37 (3) ◽  
pp. 530-539 ◽  
Author(s):  
Hugo Jacqmain ◽  
Louis Bélanger ◽  
Susanne Hilton ◽  
Luc Bouthillier

Large-scale timber harvesting in the northern black spruce forest, on Quebec Cree territory, causes immediate loss of productive wildlife habitat for Cree hunters. Duration of this impact is key information to improve forest management. The objective here was to examine the postharvesting habitat restoration delay for snowshoe hare, a species valuable to Cree hunters, as well as a wildlife indicator of the sapling stage. A minimum threshold for vegetation development was established, at which the return of hare populations is considered acceptable by Cree hunters. To do so, an adaptive approach was used, combining Cree hunter knowledge and biological assessment. Hare populations were monitored in 36 cut blocks, ranging from 0 to 30 years after harvest. Cree hunters were interviewed to determine when a cut block becomes adequate for snaring. The combined analysis of the two knowledge sources indicated that stands that meet the threshold average 4 m in height, 6300 trees/ha in density, and are aged between 13 and 27 years. Current regulation sets this threshold at 3 m in height, regardless of cut block scale, and at 20 years postcut when considering family hunting ground scale, and thus, does not fully meet sustainable resource development objectives.


Rangifer ◽  
2007 ◽  
Vol 27 (4) ◽  
pp. 29 ◽  
Author(s):  
Gerald D. Racey ◽  
A. Alan Arsenault

A hierarchical approach to critical habitat identification has been proposed in the draft National Recovery Strategy for the Woodland Caribou (Rangifer tarandus caribou), Boreal Population. This approach proposes that critical habitat for boreal caribou be identified as equivalent with caribou ranges and their composite range components, and that it be consistent with the biological needs of a wild, self-sustaining local population of woodland caribou. These components include seasonal ranges, high use areas and calving sites, each of which provide for important ecological functions and are subject to specific risks from human development activities. Protection of critical habitat is accomplished through management of the amount and type of human developments and potential natural disturbances, not by prohibiting all activity. This approach to critical habitat sets the stage for management and monitoring of habitat at spatial and temporal scales appropriate for conservation of a wide ranging species such as woodland caribou.


2020 ◽  
Vol 29 (3S) ◽  
pp. 638-647 ◽  
Author(s):  
Janine F. J. Meijerink ◽  
Marieke Pronk ◽  
Sophia E. Kramer

Purpose The SUpport PRogram (SUPR) study was carried out in the context of a private academic partnership and is the first study to evaluate the long-term effects of a communication program (SUPR) for older hearing aid users and their communication partners on a large scale in a hearing aid dispensing setting. The purpose of this research note is to reflect on the lessons that we learned during the different development, implementation, and evaluation phases of the SUPR project. Procedure This research note describes the procedures that were followed during the different phases of the SUPR project and provides a critical discussion to describe the strengths and weaknesses of the approach taken. Conclusion This research note might provide researchers and intervention developers with useful insights as to how aural rehabilitation interventions, such as the SUPR, can be developed by incorporating the needs of the different stakeholders, evaluated by using a robust research design (including a large sample size and a longer term follow-up assessment), and implemented widely by collaborating with a private partner (hearing aid dispensing practice chain).


2019 ◽  
Vol 12 (3) ◽  
pp. 77-85
Author(s):  
L. D. Kapranova ◽  
T. V. Pogodina

The subject of the research is the current state of the fuel and energy complex (FEC) that ensures generation of a significant part of the budget and the innovative development of the economy.The purpose of the research was to establish priority directions for the development of the FEC sectors based on a comprehensive analysis of their innovative and investment activities. The dynamics of investment in the fuel and energy sector are considered. It is noted that large-scale modernization of the fuel and energy complex requires substantial investment and support from the government. The results of the government programs of corporate innovative development are analyzed. The results of the research identified innovative development priorities in the power, oil, gas and coal sectors of the fuel and energy complex. The most promising areas of innovative development in the oil and gas sector are the technologies of enhanced oil recovery; the development of hard-to-recover oil reserves; the production of liquefied natural gas and its transportation. In the power sector, the prospective areas are activities aimed at improving the performance reliability of the national energy systems and the introduction of digital technologies. Based on the research findings, it is concluded that the innovation activities in the fuel and energy complex primarily include the development of new technologies, modernization of the FEC technical base; adoption of state-of-the-art methods of coal mining and oil recovery; creating favorable economic conditions for industrial extraction of hard-to-recover reserves; transition to carbon-free fuel sources and energy carriers that can reduce energy consumption and cost as well as reducing the negative FEC impact on the environment.


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