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1.
The present paper provides an overview of cold-water corals protection in the Hatton Bank deep-water fisheries through the implementation of the United Nations General Assembly resolution 61/105. The methodology and scientific evidence used to propose protection of cold-water coral ecosystems in the high seas (∼16,000 km2) are briefly summarised. The role of international agents and importance of interdisciplinary research for making management decisions are furthermore described. Implementation was slow because (i) of scarce initial scientific knowledge, (ii) research on the high seas was difficult and expensive, (iii) there were several international interests at stake, (iv) agreement from a number of agents was needed, and (v) international advisory and decision making processes were quite slow. Some lessons learned are also discussed since these may help to increase protection efficiency of deep-sea vulnerable marine ecosystems in the high seas.  相似文献   

2.
Marine protected areas (MPAs) are increasingly being established to protect and rebuild coastal and marine ecosystems. However, while the high seas are increasingly subject to exploitation, globally few MPAs exist in areas beyond national jurisdiction. In 2010 a substantial step forward was made in the protection of high seas ecosystems with 286,200 km2 of the North-East Atlantic established as six MPAs. Here a summary is presented of how the world's first network of high seas marine protected areas was created under the OSPAR Convention, the main challenges and a series of key lessons learned, aiming to highlight approaches that also may be effective for similar efforts in the future. It is concluded that the designation of these six MPAs is just the start of the process and to achieve ecological coherence and representativity in the North-East Atlantic, the network will have to be complemented over time by additional MPA sites.  相似文献   

3.
To ensure that destructive bottom fishing activities do not have significant adverse impacts on Vulnerable Marine Ecosystems (VMEs) in high seas areas of the World Ocean, as required by United Nations General Assembly Resolution 61–105, knowledge of the locations of VMEs is required. Quantifying the occurrence and abundance of VME indicator taxa in research bottom-trawl samples, as well as from in situ observations with underwater photography, provides methods for detecting these ecosystems. A case study is presented in which a threshold density of indicator taxa was used as the basis for VME designation. In 2009, high densities of VME indicator taxa were encountered at 11 sites off th`e South Orkney Islands in the Atlantic sector of the Southern Ocean. In most cases, thresholds were exceeded by a limited number of VME indicator taxa, primarily representatives of the class Demospongiae (siliceous sponges), Hexactinellida (glass sponges) and Ascidiacea (tunicates). In situ imagery further showed the importance of bryozoans (lace corals), scleractinians (stony corals) and stylastrids (hydrocorals) in the study region. The approach outlined here, which relies on widely used sampling techniques, could be employed throughout the World Ocean to detect and document the presence of VMEs from existing datasets. To illustrate this point, the method was applied to a separate dataset, collected in 2006, from a research cruise off the northern Antarctic Peninsula, which led to the detection of 17 VMEs. The VMEs from both the 2006 and 2009 data are now registered and influence the management of fisheries in the Southern Ocean.  相似文献   

4.
The United Nations General Assembly in 2006 and 2009 adopted resolutions that call for the identification and protection of vulnerable marine ecosystems (VMEs) from significant adverse impacts of bottom fishing. While general criteria have been produced, there are no guidelines or protocols that elaborate on the process from initial identification through to the protection of VMEs. Here, based upon an expert review of existing practices, a 10-step framework is proposed: (1) Comparatively assess potential VME indicator taxa and habitats in a region; (2) determine VME thresholds; (3) consider areas already known for their ecological importance; (4) compile information on the distributions of likely VME taxa and habitats, as well as related environmental data; (5) develop predictive distribution models for VME indicator taxa and habitats; (6) compile known or likely fishing impacts; (7) produce a predicted VME naturalness distribution (areas of low cumulative impacts); (8) identify areas of higher value to user groups; (9) conduct management strategy evaluations to produce trade-off scenarios; (10) review and re-iterate, until spatial management scenarios are developed that fulfil international obligations and regional conservation and management objectives. To date, regional progress has been piecemeal and incremental. The proposed 10-step framework combines these various experiences into a systematic approach.  相似文献   

5.
The scale of landscape pattern formation of an ecological community may provide clues as to the processes influencing its spatial and temporal dynamics. We conducted an examination of the spatial organization of an annual seagrass (Halophila decipiens) in an open ocean setting at two spatial scales and growing seasons to identify the relative influence of external (hurricanes) versus internal (clonal growth) factors. Visual surveys of seagrass cover were conducted over 2 years within three replicate 1 km2 study areas each separated by ∼25 km in an inshore–offshore transect along the southwest coast of Florida at depths between ∼10 and 30 m. A towed video sled allowed observations of seagrass cover of 1 m2 areas approximately every 6 m over thousands of meters of evenly spaced transects within the study areas (coarse scale). The towed video revealed that 17.5% of the seafloor was disturbed irrespective of location or sample time. Randomly selected 10 × 10 m quadrats within the larger, 1 km2 study areas were completely surveyed for seagrass cover by divers at 0.625 m2 resolution (fine scale). The coarse-scale observations were tested using both conventional geostatistics and an application of a time-series technique (Runs test) for scale of seagrass cover contiguity. Fine-scale observations were examined using conventional geostatistics and a least squares approach (cumulative logistic).  相似文献   

6.
Andalusia is a region of Spain with an area of some 90,000 km2 and almost 900 km length of coastline. It has an important tradition in the fishing industry that makes it one of the areas of the European Union where fisheries policies have a great significance for the population. The present statistical study deals comprehensively with the so-called “artisanal fleet”, especially in respect of data on the typology of vessels (construction particulars) and on the extractive effort made (distances and depths where they fish, duration of fishing voyages, the fishing gear used and target species), with the aim of presenting a new approach in the policies for regulating this important fisheries sector.  相似文献   

7.
Mass wasting processes are a common phenomenon along the continental margin of NW-Africa. Located on the high-upwelling regime off the Mauritanian coastline, the Mauritania Slide Complex (MSC) is one of the largest events known on the Atlantic margin with an affected area of ∼30?000 km2. Understanding previous failure events as well as its current hazard potential are crucial for risk assessment with respect to offshore installations and tsunamis. We present the results of geotechnical measurements and strain analyses on sediment cores taken from both the stable and the failed part of the MSC and compare them to previously published geophysical and sedimentological data. The material originates from water depths of 1500–3000 m and consists of detached slide deposits separated by undisturbed hemipelagic sediments. While the hemipelagites are characterized by normal consolidation with a downward increase in bulk density and shear strength (from 1.68 to 1.8 g/cm3, 2–10 kPa), the slid deposits of the uppermost debris flow event preserve constant bulk density values (1.75 and 1.8 g/cm3) with incisions marking different flow events. These slid sediments comprise three different matrix types, with normal consolidation at the base (OCR = 1.04), strong overconsolidation (OCR = 3.96) in the middle and normal consolidation to slight overconsolidation at the top (OCR = 0.91–1.28). However, the hemipelagic sediments underlying the debris flow units, which have been 14C dated at <24 ka BP, show strong to slight underconsolidation (OCR = 0.65–0.79) with low friction coefficients of μ = 0.18. Fabric analyses show deformation intensities R ≥ 4 (ratio σ1/σ3) in several of the remobilized sediments. Such high deformation is also attested by observed disintegrated clasts from the underlying unit in the youngest debrites (14C-age of 10.5–10.9 ka BP). These clasts show strong consolidation and intense deformation, implying a pre-slide origin and amalgamation into the mass transport deposits. While previous studies propose an emplacement by retrogressive failure for thick slide deposits separated by undisturbed units, our new data on geotechnical properties, strain and age infer at least two different source areas with a sequential failure mechanism as the origin for the different mass wasting events.  相似文献   

8.
Three dimensional seismic data, offshore Brunei, provide evidence for a giant landslide with a volume of 1200 km3, an area of ∼ 5300 km2 and an average thickness of ∼ 240 m. It extends for over 120 km from the Baram Canyon in ∼ 200 m water depth to the deep basin floor of the North West Borneo Trough. The landslide is a unique example of a major submarine landslide located on a steep, tectonically active margin adjacent to a large river and canyon system. The landslide is mappable using 3D seismic data, which allow detailed imaging of internal flow structures, erosional headwall and the basal sliding surface. The landslide is a complex deposit, involving a chaotic debris flow matrix, with flow structures and blocks 500 to 1000 m wide and up to 250 m thick. Imaging of the basal sliding surface reveals large striations ∼ 30-120 km long, ∼ 100-600 m wide, and ∼ 10-30 m deep that show significant amounts of basal erosion. In the landslide source area we describe fluid escape structures, gas buildups and bottom simulating reflectors, which may provide a mechanism for weakening and triggering slope failure. We also report older landslides, buried several hundred meters beneath the basin floor that indicate giant landsliding is a recurrent process in the NW Borneo Trough.  相似文献   

9.
10.
The Northern Zone rock lobster fishery of South Australia is expansive, covering an area of ∼207,000 km2. From 1970 to 2002 it was managed under input controls that relied heavily on restrictions to days-at-sea and size limits. In 2003, output controls in the form of individual transferable quotas with a total allowable commercial catch were also introduced. Fishery performance from 1980 to 2007 was analysed based on catch data and model outputs. Trends in catch and effort increased through the 1980s and 1990s while nominal catch rate remained relatively stable. However, from 1999 to 2003 catch decreased by 49% from 1001 to 503 ton and has remained at <500 ton since. Importantly, nominal effort did not decline comparatively, decreasing by only 12% from 1999 to 2007. Consequently, nominal catch rate decreased by 47.5% from 1.43 to 0.75 kg/potlift, over the same period. Logbook data revealed strong evidence of spatial expansion through the 1980s and 1990s which is likely to have masked declining lobster abundance and contributed to a “hyperstability” scenario in catch rates. It is suggested that increasing effective effort, driven by advances in fishing technology and vessel design, fuelled this expansion. Model outputs, which account for increases in effective effort, indicate that biomass has decreased by ∼68% since the 1980s. The results highlight the limitations associated with input controls in controlling effort during periods of spatial expansion. Further evidence from puerulus settlement data stresses the importance of conservative quotas for lobster fisheries where annual recruitment is low or highly sporadic.  相似文献   

11.
A coupled ice-ocean model is configured for the pan-Arctic and northern North Atlantic Ocean with a 27.5 km resolution. The model is driven by the daily atmospheric climatology averaged from the 40-year NCEP reanalysis (1958–1997). The ocean model is the Princeton Ocean Model (POM), while the sea ice model is based on a full thermodynamical and dynamical model with plastic-viscous rheology. A sea ice model with multiple categories of thickness is utilized. A systematic model-data comparison was conducted. This model reasonably reproduces seasonal cycles of both the sea ice and the ocean. Climatological sea ice areas derived from historical data are used to validate the ice model performance. The simulated sea ice cover reaches a maximum of 14 × 106 km2 in winter and a minimum of 6.7 × 106 km2 in summer. This is close to the 95-year climatology with a maximum of 13.3 × 106 km2 in winter and a minimum of 7 × 106 km2 in summer. The simulated general circulation in the Arctic Ocean, the GIN (Greenland, Iceland, and Norwegian) seas, and northern North Atlantic Ocean are qualitatively consistent with historical mapping. It is found that the low winter salinity or freshwater in the Canada Basin tends to converge due to the strong anticyclonic atmospheric circulation that drives the anticyclonic ocean surface current, while low summer salinity or freshwater tends to spread inside the Arctic and exports out of the Arctic due to the relaxing wind field. It is also found that the warm, saline Atlantic Water has little seasonal variation, based on both simulation and observations. Seasonal cycles of temperature and salinity at several representative locations reveals regional features that characterize different water mass properties.  相似文献   

12.
Most of the Southeast Atlantic Ocean is abyssal, and global bathymetries suggest that only ~3.2% of the areas beyond national jurisdiction (ABNJ; also known as the high seas, as defined in the United Nations Convention on the Law of the Sea [UNCLOS]) are shallower than 2 500 m. This study mapped bathymetry and characterised substrates in selected seamount summit areas, including several that have been or may become fishing areas. The southernmost location, the Schmitt-Ott Seamount, has exposed volcanic bedrock with surrounding flats covered by thin biogenic sediments and/or coral rubble that appears ancient. At Wüst, Vema, Valdivia and Ewing seamounts the basaltic base appears to be overlain by coral caps and other coral substrates (sheets, rubble). Adjacent summit plains have biogenic sediments of varying thickness. Vema has a flat, roughly circular summit, <100 m deep, with the shallowest point being a 22-m-deep summit knoll; the upper slopes have ancient coral framework, but the summit has a mixture of coralline and volcanic rock and coarse sediments, including extensive areas with coralline algae and kelp forests. Valdivia Bank is a 230-m-deep, flat, rocky area (~11 × 5 km), protruding steeply from the extensive multi-summit Valdivia subarea of the Walvis Ridge. The distribution of past fisheries in the Convention Area of the South East Atlantic Fisheries Organisation (SEAFO) was considered in relation to the new information on bathymetry and substrate.  相似文献   

13.
Comprehensive, aggregate nutrient budgets were established for two compartments of the North Sea, the shallow coastal and deeper open regions, and for three different periods, representing pre-eutrophication (∼1950), eutrophication (∼1990) and contemporary (∼2000) phases. The aim was to quantify the major budget components, to identify their sources of variability, to specify the anthropogenic components, and to draw implications for past and future policy. For all three periods, open North Sea budgets were dominated (75%) by fluxes from and to the North-East Atlantic; sediment exchange was of secondary importance (18%). For the coastal North Sea, fluxes during the eutrophication period were dominated by sediment exchange (49% of all inputs), followed by exchange with the open sea (21%), and anthropogenic inputs (19%). Between 1950 and 1990, N-loading of coastal waters increased by a factor of 1.62 and P-loading by 1.45. These loads declined after 1990. Interannual variability in Atlantic inflow was found to correspond to a variability of 11% in nutrient load to the open North Sea. Area-specific external loads of both the open and coastal North Sea were below Vollenweider-type critical loads when expressed relative to depth and flushing. External area-specific load of the coastal North Sea has declined since 1990 from 1.8 to about 1.4 g P m−2 y−1 in 2000, which is close to the estimate of 1.3 for 1950. N-load declined less, leading to an increase in N/P ratio.  相似文献   

14.
为提高大西洋热带海域长鳍金枪鱼(Thunnus alalunga)渔场预报的准确率,对K最近邻(k nearest neighbor,KNN)、逻辑斯蒂回归(logistic regression,LR)、决策与分类树(classfication and regression tree,CART)、梯度提升决策树(gr...  相似文献   

15.
The temporal variability of estuarine sedimentation has been investigated in the northernmost part of the Wadden Sea (Denmark), using an estuarine sedimentary sequence at Ho Havn. The sedimentary sequence appears to have been deposited within the last ∼ 2000 yr based on detailed luminescence dating of the estuarine mud, whose ages range between 225 ± 40 and 2050 ± 300 yr. The age-depth profile reveals that the sedimentation rate has varied considerably in the past. Estuarine sedimentation was very rapid ∼ 1400 yr ago; the ages over almost 1 m of sediment are indistinguishable. After this accretion rate of ∼ 9 mm a− 1, the rate dropped abruptly to ∼ 0.3 mm a− 1 some time between 1340 and 970 yr ago. This slow rate of accretion continued until ∼ 350 yr ago, when it accelerated to ∼ 1.3 mm a− 1. These abrupt changes in the accretion rate are possibly related to local sea level fluctuations, thus the period with low accretion rate most probably reflects a situation with a stable or decreasing relative sea level. The rapid deposition of ∼ 0.9 m of sediment within about one century some 1400 yr ago shows that large amounts of fine-grained sediment were available for deposition in the region at that time, and an increasing relative sea level was most probably responsible for the creation of the accommodation space for sedimentation. Recent studies on mudflats and salt marshes in the region also tend to show high accretion rates, indicating that the coastal lagoons could be less vulnerable and threatened by a future sea level rise than generally believed.  相似文献   

16.
The solubility of iron, aluminium, manganese and phosphorus has been determined in aerosol samples collected between 49°N and 52°S during three cruises conducted in the Atlantic Ocean as part of the European Union funded IRONAGES programme. Solubilities (defined at pH 4.7) determined for Fe and Al in samples of Saharan dust were significantly lower (medians 1.7% and 3.0%, respectively) than the solubilities of these metals in aerosols from other source regions (whole dataset medians 5.2% and 9.0%, respectively). Mn solubility also varied with aerosol source, but the median solubility of Mn in Saharan dust was very similar to the median for the dataset as a whole (55% and 56%, respectively). The observed solubility of aerosol P was ∼ 32%, with P solubility in Saharan aerosol perhaps as low as 10%. Laboratory studies have indicated that aerosol Fe solubility is enhanced by acid processing. No relationship could be found between Fe solubility and the concentrations of acid species (non-seasalt SO42−, NO3) nor the net acidity of the aerosol, so we are unable to confirm that this process is significant in the atmosphere. In terms of the supply of soluble Fe to oceanic ecosystems on a global scale, the observed higher solubility for Fe in non-Saharan aerosols is probably not significant because the Sahara is easily the dominant source of Fe to the Atlantic. On a smaller scale however, higher solubility for aerosol Fe may alter our understanding of Fe cycling in regions such as the remote Southern Ocean.  相似文献   

17.
One way that illegal, unreported, and unregulated (IUU) fish catch is laundered into the seafood market is through transshipments at-sea. This practice, which often occurs on the high seas (the areas of ocean beyond national jurisdiction), allows vessels fishing illegally to evade most monitoring and enforcement measures, offload their cargo, and resume fishing without returning to port. At the same time, transshipment at-sea can facilitate trafficking and exploitation of workers who are trapped and abused on fishing vessels. This study gives an overview of high seas transshipment as well as evaluates transshipment at-sea regulations across 17 Regional Fisheries Management Organizations (RFMOs), which are responsible for regulating fisheries on the high seas. Transshipment at-sea regulations have become increasingly strict in most RFMOs since the late 1990s. However, only five RFMOs have mandated a partial ban, and only a single RFMO, the South East Atlantic Fisheries Organization (SEAFO), has mandated a total ban on transshipment at-sea. A total ban on transshipment at-sea across all RFMOs would support the ability of oversight and enforcement agencies to detect and prevent IUU fishing and also likely reduce human trafficking and forced labor on the high seas.  相似文献   

18.
The role of microorganisms in the transfer of carbon of marine systems is very important in open oligotrophic oceans. Here, we analyze the picoplankton structure, the heterotrophic bacterioplankton activity, and the predator-prey relationships between heterotrophic bacteria and nanoflagellates during two large scale cruises in the Central Atlantic Ocean (∼29°N to ∼40°S). Latitud cruises were performed in 1995 between March-April and October-November. During both cruises we crossed the regions of different trophic statuses; where we measured different biological variables both at the surface and at the deep chlorophyll maximum (DCM). The concentration of chlorophyll a varied between 0.1 and 0.8 mg m−3, the abundance of heterotrophic bacteria varied between <1.0 × 105 and >1.0 × 106 cells ml−1, and that of heterotrophic nanoflagellates between <100 and >1.0 × 104 cells ml−1. The production of heterotrophic bacteria varied more than three orders of magnitude between <0.01 and 24 μgC L−1 d−1; and the growth rates were in the range <0.01-2.1 d−1. In the Latitud-II cruise, Prochlorococcus ranged between <103 and >3 × 105 cells ml−1, Synechococcus between <100 and >1.0 × 104 cells ml−1, and picoeukaryotes between <100 and >104 cells ml−1.Two empirical models were used to learn more about the relationship between heterotrophic bacteria and nanoflagellates. Most bacterial production was ingested when this production was low, the heterotrophic nanoflagellates could be controlled by preys during Latitud-I cruise at the DCM, and by predators in the surface and in the Latitud-II cruise. Our results were placed in context with others about the structure and function of auto- and heterotrophic picoplankton and heterotrophic nanoplankton in the Central Atlantic Ocean.  相似文献   

19.
Fifty years of measurements at Ocean Station Papa (OSP, 50°N, 145°W) show trends in the interior waters of the subarctic Pacific that are both impacted by short term (few years to bi-decadal) atmospheric or ocean circulation oscillations and by persistent climate trends. Between 1956 and 2006, waters below the ocean mixed layer to a depth of at least 1000 m have been warming and losing oxygen. On density surfaces found in the depth range 100-400 m (σθ = 26.3-27.0), the ocean is warming at 0.005-0.012 °C y−1, whereas oxygen is declining at 0.39-0.70 μmol kg−1 y−1 or at an integrated rate of 123 mmol m−2 y−1 (decrease of 22% over 50 years). During this time, the hypoxic boundary (defined as 60 μmol O2 kg−1) has shoaled from ∼400 to 300 m. In the Alaska Gyre, the 26.2 isopycnal occasionally ventilates, whereas at OSP 26.0σθ has not been seen at the ocean surface since 1971 as the upper ocean continues to stratify. To interpret the 50 year record at OSP, the isopycnal transport of oxygenated waters within the interior of the subarctic Pacific is assessed by using a slightly modified “NO” parameter [Broecker, W., 1974. “NO” a conservative water-mass tracer. Earth and Planetary Science Letters 23, 100-107]. The highest nitrate-oxygen signature in interior waters of the North Pacific is found in the Bering Sea Gyre, Western Subarctic Gyre and East Kamchatka Current region as a consequence of winter mixing to the ∼26.6 isopycnal. By mixing with low NO waters found in the subtropics and Okhotsk Sea, this signature is diluted as waters flow eastward across the Pacific. Evidence of low NO waters flowing north from California is seen along the coasts of British Columbia and SE Alaska. Oxygen in the subsurface waters of the Alaskan Gyre was supplied ∼60% by subarctic and 40% by subtropical waters during WOCE surveys, whereas such estimates are shown to periodically vary by 20% at OSP. Other features discernable in the OSP data include periods of increased ventilation of deeper isopycnals on an ∼18 year cycle and strong, short term (few month) variability caused by passing mesoscale eddies. The potential impacts of declining oxygen on coastal ecosystems are discussed.  相似文献   

20.
In summer 1996, a tracer release experiment using sulphur hexafluoride (SF6) was launched in the intermediate-depth waters of the central Greenland Sea (GS), to study the mixing and ventilation processes in the region and its role in the northern limb of the Atlantic overturning circulation. Here we describe the hydrographic context of the experiment, the methods adopted and the results from the monitoring of the horizontal tracer spread for the 1996-2002 period documented by ∼10 shipboard surveys. The tracer marked “Greenland Sea Arctic Intermediate Water” (GSAIW). This was redistributed in the gyre by variable winter convection penetrating only to mid-depths, reaching at most 1800 m depth during the strongest event observed in 2002.For the first 18 months, the tracer remained mainly in the Greenland Sea. Vigorous horizontal mixing within the Greenland Sea gyre and a tight circulation of the gyre interacting slowly with the other basins under strong topographic influences were identified. We use the tracer distributions to derive the horizontal shear at the scale of the Greenland Sea gyre, and rates of horizontal mixing at ∼10 and ∼300 km scales. Mixing rates at small scale are high, several times those observed at comparable depths at lower latitudes. Horizontal stirring at the sub-gyre scale is mediated by numerous and vigorous eddies. Evidence obtained during the tracer release suggests that these play an important role in mixing water masses to form the intermediate waters of the central Greenland Sea.By year two, the tracer had entered the surrounding current systems at intermediate depths and small concentrations were in proximity to the overflows into the North Atlantic. After 3 years, the tracer had spread over the Nordic Seas basins. Finally by year six, an intensive large survey provided an overall synoptic documentation of the spreading of the tagged GSAIW in the Nordic Seas. A circulation scheme of the tagged water originating from the centre of the GS is deduced from the horizontal spread of the tracer. We present this circulation and evaluate the transport budgets of the tracer between the GS and the surroundings basins. The overall residence time for the tagged GSAIW in the Greenland Sea was about 2.5 years. We infer an export of intermediate water of GSAIW from the GS of 1 to 1.85 Sv (1 Sv = 106 m3 s−1) for the period from September 1998 to June 2002 based on the evolution of the amount of tracer leaving the GS gyre. There is strong exchange between the Greenland Sea and Arctic Ocean via Fram Strait, but the contribution of the Greenland Sea to the Denmark Strait and Iceland Scotland overflows is modest, probably not exceeding 6% during the period under study.  相似文献   

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