Posts Tagged fish stocks

May 16 2012

The 15th Annual Report to Congress on the Status of Stocks for 2011: A record number of rebuilt fisheries

Annual Report to Congress on the Status of U.S. Fisheries

 

NOAA’s Fisheries Service has released the 15th annual report to Congress on the nation’s Status of Stocks.  More than any a previous year, the Status of Stocks report for 2011 underscores the strength of the science-based management process and demonstrates we are actively turning the corner on ending overfishing and rebuilding our nation’s fisheries.  A record number of stocks were declared rebuilt in 2011, with a decrease in both categories of overfishing and overfished determinations.

 

To read the full report, visit the NOAA’s website and download the report titled, “Status of Stocks 2011“.

 
Apr 19 2012

Online Report: Profiles of North Coast Fishing Communities

Charter boats at Trinidad dock Photo: C. Pomeroy

By: Caroline Pomeroy, Cynthia J. Thomas and Melissa M. Stevens

LA JOLLA, CA – California Sea Grant is pleased to announce the availability of an online edition of “California’s North Coast Fishing Communities: Historical Perspective and Recent Trends.”

The 340-pp. technical report presents a historic, demographic and economic overview of the region’s four major fishing communities: Crescent City in Del Norte County, Trinidad and Eureka/Fields Landing in Humboldt County, and Noyo/Fort Bragg in Mendocino County.

Profiles of each community highlight major commercial and recreational fisheries, their values, fleet sizes and how they have changed over time. There is also key information on fishing infrastructure – such as docks, piers, slips, launch ramps and cold storage facilities – and market channels for local commercial catches. But perhaps the most interesting sections are those that describe the current challenges and outlooks for sustaining the fishing communities.

The report was prepared originally, with funding from the California Coastal Conservancy and NOAA Fisheries in 2010 as a resource for addressing a diversity of fishery management and policy issues. It has since been used to inform local decision-making and to evaluate some of the potential social and economic consequences of establishing marine protected areas along the North Coast.
Sorting fish at Caito Fisheries in Fort Bragg. Photo: C. Pomeroy

“It (the report) is an invaluable reference for fielding public and media requests about local fishing, because it explains the value of our fisheries to the overall port community,” said Dan Berman, Director of the Conservation Division for the Humboldt Bay Harbor, Recreation and Conservation District.

“We know what is going on at our docks,” said Eureka-based fisherman Dave Bitts, president of Pacific Coast Federation of Fishing Associations and one of the more than 180 fishery participants interviewed for the project. “What the report has done is assemble our knowledge in a way that is accessible to academics, consultants and government workers.”

Fisheries managers, both state and federal, are required to consider the social and economic impacts of regulations. “Yet, in-depth social science information on California fishing communities has been quite scarce,” said Caroline Pomeroy, a California Sea Grant marine advisor based in Santa Cruz and the lead author of the report, explaining her motivation for pursuing the research.

The full reportexecutive summary and individual community profiles can be downloaded at the California Sea Grant Extension web page or through the University of California’s eScholarship open-access repository.

California Sea Grant is part of NOAA’s National Sea Grant, a network of 32 university-based programs.

 

 

Apr 13 2012

House Panel Drafting Magnuson Reforms

By Richard Gaines | Staff Writer

The U.S. House Natural Resources Committee is drafting “a comprehensive” change to the Magnuson-Stevens Act, a fisheries management law, in an attempt to ensure that NOAA makes “informed decisions based on sufficient scientific information,” Chairman Doc Hastings has told the Times.

Incorporating elements from a suite of eight bills vetted by the committee last December, the federal legislation has been in construction by committee staff for some time — before a national fishermen’s rally at the Capitol last month and an April 3 letter to the committee from 21 House members. Those signers included John Tierney, who represents Cape Ann, and Barney Frank, whose district includes New Bedford.

A mix of about two dozen federal lawmakers of both parties and houses of Congress including Sens. John Kerry and Scott Brown, spoke to the rally of the need for writing flexibility into the Magnuson-Stevens Act.

Along with rewriting parts of and writing inserts to Magnuson, the committee is reported to be struggling with the problem of trying to fix misinterpretations of the overriding fisheries management law by the National Oceanic and Atmospheric Administration.

Crystal Feldman, the committee press secretary, said some problems with fisheries management have been created by NOAA’s interpretation of the law and not necessarily by the law itself, and that is harder to fix legislatively.

Similar complaints are at the core of a lawsuit initiated by the fishing ports of New Bedford and Gloucester and industry interests from Maine to North Carolina. That appeal is now before the U.S. First Circuit Court of Appeals in Boston.

 
Read the rest of the article on Gloucester Times.
 
Mar 7 2012

Abundant Sacramento and Klamath Salmon Drive Season Options

Photo of the Pacific Fishery Management Council meeting to develop season options courtesy of the PFMC.

Written By Dan Bacher 

In the Klamath River, biologists are forecasting four times more salmon than last year – and an astounding 15 times more than in 2006, according to the PFMC. The ocean salmon population is estimated to be 1.6 million adult Klamath River fall Chinook, compared to last year’s forecast of 371,100.

The Pacific Fishery Management Council (PFMC) at its meeting in Sacramento on March 7, encouraged by predictions of plentiful salmon returns along the West Coast, released three alternatives for ocean salmon fisheries including those based on Sacramento River and Klamath River stocks.

In all three alternatives, the recreational ocean salmon season is slated to open on April 7 in the Fort Bragg, San Francisco and Monterey areas, from Horse Mountain to the U.S./Mexico Border. There are three opening date alternatives – May 1, May 12 and May 26 – for the Oregon and California Klamath Management Zones.

After hearing public comment on the alternatives, the Council will make a final recommendation at their next meeting in Seattle on April 1-6.

 

Read the full article on AlterNet.

 

Feb 27 2012

KION Radio: Monterey’s Harbormaster on Protecting Fishing in California

Steve Scheiblauer, Harbormaster of Monterey 

Steve Scheiblauer, Monterey’s harbormaster, discusses environmental groups efforts to stop a lawsuit that aims to massively curtail sport and commercial fishing in California on KION 1460 AM in Monterey, CA.

 
 

Listen to the interview online.

 
 
 
 
Feb 24 2012

Fishermen fight suit over forage limits; battle set over state’s dominant fisheries

Squid fishing boat in Monterey, California. Photo Credit: DP Pleschner

By JASON HOPPIN – Santa Cruz Sentinel

February 23, 2012

Note – The story below incorrectly states that the majority of California’s forage catch is used in the aquaculture industry. In actuality, most are canned for export and global consumption. Also, the scientific research utilized by the CWPA – and mentioned in the article – is peer reviewed by an independent science panel and was deemed the ‘best available science’. 

 

Joined by Monterey officials, California’s wetfish producers are fighting a lawsuit that aims for greater protections for anchovies, sardines and squid, setting the stage for a major battle over one of the state’s dominant fisheries.

So-called “wetfish,” also known as forage fish, live near the bottom of the food chain but make up a substantial percentage ofCalifornia’s commercial catch, including 97 percent of all landings in Moss Landing and Monterey. In December, environmentalists filed suit to change how the federal government manages those fisheries.

“If they were to prevail, I think we’d lose our industry,” said Diane Pleschner-Steele, executive director of the California Wetfish Producers Association, which asked a federal court on Tuesday for the right to intervene in the suit.

Much of the forage catch is shipped abroad to literally feed the global growth of fish farms, which raise salmon, tuna and other top fish predators popular with consumers. Squid are the exception, often heading directly to local plates as calamari appetizers or other delicious dishes, and now represents the state’s most valuable fishery.

But environmentalists, including Monterey-based Oceana, have raised alarms about forage fisheries, and in December filed suit to force the federal government to consider impacts on the broader marine ecosystem when setting limits.

“Basically, what Oceana’s trying to do is put this historic industry out of business,” Pleschner-Steele said, pointing to Monterey’s link with sardine fisheries of the past.

Read the rest at the San Jose Mercury News.

Feb 22 2012

Local Municipalities, Fishing Interests Intervene in Lawsuit to Protect Fishing in California

Groups Aim to Stop Extremist Lawsuit Seeking Drastic Cuts in Fishing Quotas

Monterey, Calif. – The California Wetfish Producers Association, a non-profit association promoting sustainable marine resources and fishing communities, announced today that it is working with a diverse group – including the City of Monterey and the Ventura Port District – to challenge a federal lawsuit by Oceana that would decimate California’s historic wetfish industry.

The group filed to intervene as defendants in the ongoing case by Earthjustice, representing Oceana, against the Secretary of Commerce, National Oceanic and Atmospheric Administration and the National Marine Fisheries Service.

Oceana wants deep and unnecessary cutbacks in sardine fishing, as well as substantial harvest reductions in other “forage fish” fisheries, including herring, anchovies and squid – which are also already managed strictly and sustainably.

“Fishing for coastal pelagic species in California is under attack. Oceana has based this lawsuit on pseudo-scientific studies loaded with faulty calculations and conclusions, all to force federal regulators to massively curtail fishing limits, if not ban fishing outright,” said Diane. Pleschner-Steele, executive director of the California Wetfish Producers Association. 

“That’s why a diverse group representing cities and ports, as well as fishing families, including fishermen and seafood processors, has come together to help block this extremist lawsuit,” Pleschner-Steele continued. “In this tough economy, we can’t afford to destroy this historic fishing industry and the local economies in which it operates, especially when the action is not based on the best available science.”

Oceana’s lawsuit claims that sardines and other so-called forage species are being massively overfished. Ironically, California’s coastal pelagic fisheries have one of the lowest harvest rates in the world.  Further, fishery management in California and, the California Current Ecosystem is recognized as one of only a few areas worldwide deemed ‘sustainable’ by internationally recognized scientists, according to a 2009 Science magazine article, Rebuilding Global Fisheries, and other recent studies.

“Oceana’s lawsuit is baseless; California already has the most precautionary fishery management system in the world. If successful, this lawsuit would restrict our state’s fishermen unnecessarily, and unfairly, because virtually all the forage species listed are actively managed or monitored by the federal government as well as the state,” said Steve Scheiblauer, Monterey’s harbormaster.

The state and federal government established guidelines more than a decade ago for coastal pelagic species harvested in California and on the west coast, maintaining at least 75 percent of the fish in the ocean, far below the science standard set for other fisheries.

The sardine protection rate is even higher at close to 90 percent. In addition, California implemented a network of marine reserves in state waters through the Marine Life Protection Act.  Many reserves were established explicitly to protect forage for other marine life, including important bird rookery and haul out areas around Año Nuevo and the Farallon Islands, as well as the Channel Islands in Southern California. In addition, more than 30 percent of traditional squid harvest grounds are now closed in reserve.

“Oceana failed to get a bill passed in California’s state legislature last year, so now they are trying the federal courts to get their agenda implemented,” said Scheiblauer. “Legislators on both sides of the political aisle saw through the ill-crafted bill, AB 1299, and it died because legislators knew it would have unnecessarily decimated local coastal economies like Monterey.”

About California Wetfish Producers Association

The California Wetfish Producers Association strives for sustainable fishery resources, access, education and scientific research. Find more info at www.CaliforniaWetfish.org.

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Dec 8 2011

Reforming the Magnuson-Stevens Fishery Conservation and Management Act of 2006

Written Testimony of

Rick E. Marks

Hoffman, Silver, Gilman & Blasco

Arlington, Virginia

 

Reforming the Magnuson-Stevens Fishery Conservation and Management Act of 2006

 

To the

Committee on Natural Resources

United States House of Representatives

 

December 1, 2011

Chairman Hastings, Ranking Member Markey and distinguished Members of the Committee, I appreciate the opportunity to speak with you about reforming the Magnuson-Stevens Fishery Conservation and Management Act of 2006 (MSA).  I am Rick Marks, a principal at Hoffman, Silver, Gilman & Blasco P.C. (“HSGB”) of Arlington, VA. Our fisheries clients operate in many regions around the nation. Prior to joining HSGB, I was appointed by the Secretary of Commerce to serve on the Mid-Atlantic Fishery Management Council and worked as a marine fish biologist for the State of North Carolina. I worked for NOAA as a Fishery Reporting Specialist and a Benthic Field Technician. I hold a Masters Degree in Marine Environmental Science with emphasis in Coastal Fish Ecology and a Bachelor of Science Degree in Biology. I have authored scientific papers in peer-reviewed journals regarding various aspects of finfish ecology. I am currently working on professional certification in Environmental Conflict Resolution with the Morris K. Udall Foundation in Arizona.

Mr. Chairman, for the record my comments here today are solely my own as an advocate for the commercial seafood industry. Please note my testimony reflects issues critical to many of my clients whom operate in Alaska, Washington, Oregon, California, Florida (both coasts, and the FL Keys), New Jersey, New York and Rhode Island.

(1) Need for MSA Reform

The 2006 MSA Amendments fundamentally altered the way domestic fishery resources are managed. The new provisions focused on ending overfishing, rebuilding stocks, reducing fishing capacity, and developing limited access programs — all in the context of a more intensive reliance on fisheries science in the decision-making process. The changes created higher demands on science and management. Requirements to end overfishing added a whole new layer of requirements and tighter deadlines have created premiums for resources and increased dependence on short-term monitoring of annual catch limits and quotas. In sum, the new MSA demands are high and the federal government is struggling to meet those demands within a restrictive budgetary situation.

The fact that the Committee is considering eight bills targeting MSA reform is a clear indication serious problems precipitated from the 2006 authorization. Historically, MSA reauthorizations occur about every 10 years so the sheer number of bills introduced thus far further supports the need for comprehensive reform, sooner rather than later.

In 2009 NOAA revised the National Standard One Guidelines (NSG1) requiring the Regional Fishery Management Councils (RFMCs) to consider both scientific and management uncertainty when setting quotas. The revisions were designed to prevent overfishing, rebuild overfished stocks, and achieve optimum yield (OY).  For the 2006 reauthorization to work it requires a heavy reliance on high quality scientific information. Unfortunately, this is information that in most regions we simply do not have. Juxtaposition of insufficient data with consideration of uncertainty in the quota setting process results in larger precautionary buffers and lower yields at the expense of the industry and our nation. In addition, proliferation of unpopular catch share programs has fanned the flames of reform.

NOAA currently manages 528 stocks of fish. Of this total, roughly 114 are considered adequately assessed by the agency. Most of the 114 assessments (approx. 80) occur regularly on economically important stocks in Alaska and New England. In other regions, the assessment periodicity is reportedly far less, accounting for approximately 15 per year in the Gulf of Mexico, South Atlantic and Caribbean combined (Angers 2011). Thus, a large majority of fish stocks are data poor or not adequately assessed at all with the result being uncertainty trumping opportunity for additional fishery yields.

Congress clearly intended for science-based decision-making to be the order of the day. In theory, I agree with this premise but in reality, our fishing industry is paying dearly for the lack of adequate science. We built an implementation model that exceeds our scientific capabilities. We need this Committee to consider comprehensive MSA reform at the earliest possible time to effectively rebalance our management system.

(2) Comments on Current MSA Legislative Reform Efforts   

H.R. 594: “The Coastal Jobs Creation Act of 2011” (Rep. Pallone-NJ): This legislation would create a national grant program with a specified list of qualified activities and funding criteria. On a positive note, if funded, the legislation could provide grant opportunities to improve science-based decision-making. However, this depends on how the specific guidelines are crafted — the Secretary of Commerce is given sole responsibility to develop them within 30 days. Based on industry’s recent experiences with implementation of the MSA, National Ocean Policy, Coastal and Marine Spatial Planning, National Catch Share Policy, and the most recent 2011 National Fish & Wildlife Foundation (NFWF) Bycatch Engineering Grant Program (which was disbursed solely to catch share program proponents), it is unclear which of the 13 qualified activities would be consistent with NOAA philosophy and is therefore problematic absent more detail.

H.R. 1013: “The Strengthen Fisheries Management in New England Act of 2011” (Rep. Keating-MA): The U.S. Department of Commerce Office of the Inspector General issued report No. OIG-19887 on January 12, 2010. The report detailed OIG concerns regarding, among other things, NOAA’s retention of civil penalties and its Asset Forfeiture Fund (AFF). Clearly, NOAA has the statutory authority to retain such relevant proceeds. However, the OIG noted concerns about internal controls and questions about how such resources were being expended. Congressman Keating’s responsiveness to the OIG report is to be commended. I agree with the basic idea of H.R. 1013; to provide a transparent separation between fines/penalties/seizures and program operations, to remove the direct incentive for excessive fines, and to use AFF monies for improving fisheries management.

I note two concerns here. First, if all the funds are shifted from the AFF then NOAA will have to fund the program from somewhere else in its continually shrinking budget. I am concerned that scientific funding may suffer in this transaction and we may end up no better in the bargain.  Second, the bill is New England-centric in that it specifies improving fisheries research in the waters off New England for fisheries under the jurisdiction of the New England Fishery Management Council (NEFMC).  However, it is important to note here the NEFMC has sole jurisdiction for some fisheries that extend deep into the Mid-Atlantic region (e.g. Atlantic scallops, New England groundfish, Atlantic herring) and joint jurisdiction with the Mid-Atlantic Fishery Management Council (MAFMC) for species such as Atlantic monkfish. H.R. 1013 should be combined with H.R. 2610 to develop a more comprehensive approach.

H.R. 1646: “The American Angler Preservation Act” (Rep. Runyan-NJ): H.R. 1646 is the most comprehensive MSA reform legislation before the Committee. There are a number of provisions contained in this legislation that have merit and should be considered (specifically or conceptually) for inclusion in a comprehensive MSA reform package. First, the bill endeavors to add oversight to the SSC process through a peer review trigger, risk-neutral decision making, and requiring the SSC to file research recommendations with Congress. At the October 27, 2009 hearing on the “Implementation of the Magnuson-Stevens Fishery and Conservation Management Reauthorization Act of 2006” Representative Rob Whitman (R-VA-1) questioned then NOAA/NMFS Chief Science Advisor Dr. Steve Murawski about the need for SSC oversight. Dr. Murawski replied that “None was planned but that it is a good idea” (Murawski, 2009). I too support the concept of adding SSC oversight.

H.R. 1646 contains similar provisions regarding stock rebuilding flexibility included in H.R. 3061, further indicating there are ongoing problems with this component of the MSA, at least in the Mid-Atlantic region.

Mr. Runyan’s bill also reforms the Fisheries Disaster Relief provision contained in Section 312 by requiring the Secretary to make a determination within 60 days after the Secretary receives a request. I agree with this provision since Section 312 currently applies no time constraint for the Secretary to render a declaration, leaving constituents in dire economic situations with little recourse.

The Secretary closed the entire Gulf of Mexico snapper-grouper fishery to protect sea turtles for 5 consecutive months starting in May, 2009. The Governor of Florida issued a formal request to the Secretary for a fisheries disaster declaration along with 350 members of the Florida fishing industry who also submitted a letter of support. The Secretary did not respond to this situation until early 2011, nearly 18 months later, having determined that despite the hardship the industry survived the closure so no disaster declaration was necessary.

Furthermore, the Secretary is placed in the difficult position of being both the author of the regulations (that created the problem) and the decision authority on the remedy. There is also the complicating factor that disaster aid will come from the Department of Commerce budget. I believe this puts the Secretary in direct conflict and encourages delay in decision-making. To address this conflict it may be useful for the Committee to consider, in instances where the disaster is the direct result of fisheries regulations implemented by the Secretary, that the Small Business Administration (SBA) or some other relevant entity have input into the disaster determination.

H.R. 1646 contains some excellent catch share reform ideas (See also H.R. 2772 discussion below).  The critical elements of Rep. Runyan’s approach on catch shares that are absolutely necessary are to provide eligible fishermen with a petition and a final referendum on how they want to develop their fishery. Only in this way will the process be truly organic and industry-driven.

It is important to note here that catch share programs are not conservation tools, they are business plans and a type of social engineering. NOAA clearly recognizes this, stating in the National Catch Share Policy that “Taken together, ACLs and LAPs [limited access privilege programs] combine the positive benefits of a firm cap on fishery removals with the additional benefits of achieving important economic and social objectives….” (NOAA 2010). It is the social and economic relevance of a LAP that is all the more reason for the fishing industry to have an honest vote in the process.

H.R. 1646 contains a provision that requires additional discussion – the 5-year program termination unless the ongoing program is approved by a 2/3rds vote of the participants. There has been much discussion in the history of catch shares regarding the ability for the fishing industry to effectively finance the purchase (or lease) of catch share allocation. I am concerned that a firm sunset trigger might hamper financing opportunity and this issue must be thoroughly vetted before including such a provision in law.

That said, once a catch share program is implemented the law does not contemplate a clear process for removing it. Thus, a 2/3rds vote of the current participants to keep the existing program, concurrent with the plan review requirements of Section 303A(c)(G), may be the less intrusive but still effective approach to pursue with H.R. 1646.

Finally, H.R. 1646 provides a certification process for a fishery to be closed (including application to fisheries already closed under current law). In effect, the Secretary may not close a fishery that would have a direct or indirect affect on a specified number of businesses at a specified economic impact if certain scientific standards are not met. While I am not certain the certification process specified in H.R. 1646 provides the most perfect answer, there is great value in considering what information is necessary before the Secretary can completely close a fishery.

H.R. 2304: “The Fisheries Science and Improvement Act of 2011” (Rep. Wittman-VA):

I believe the basic premise of H.R. 2304 is on point but that we need to expand and refine some provisions before moving forward if we are to make this bill helpful to the entire regulated community. The basic idea of ensuring that NOAA bases management decisions on sound science is critical. The lack of credible science and subsequent use of the precautionary approach are major issues driving the need for MSA reform.

First, extending the ACL deadline to 2014 is moot since the species application requirements set forth in MSA Section 303 (as added by P.L. 109-479) specified deadlines in 2010 (for species subject to overfishing) and 2011 (for all others). The RFMCs (or the Secretary in the case of New England groundfish) have already developed ACL consistency amendments.

Regarding scientific improvements, there is great value in Rep. Whitman’s concept of up-to-date stock assessments and surveys as prerequisites for ACLs.  Many in the commercial, charter and sport fishing sectors believe the ACL/AM requirements are contrary to achieving OY and that quotas will be continually reduced due to scientific uncertainties to compensate for avoiding overfishing at any cost and achieving rebuilding in as short a time as possible.

The Atlantic monkfish fishery along the U.S. East Coast is an excellent example of how poor science (assessments and surveys) can negatively impact the fishing industry, especially when layered with precautionary decision-making. It also illustrates the benefits of improved science. In 1999, the NEFMC developed the initial fishery management plan for monkfish and proposed to permanently close the directed monkfish fishery, citing concerns that the stock was so small it could not sustain a directed fishery. The primary problem was that the NMFS survey vessels did not catch monkfish. Poor survey results (a.k.a. “best available science”) forced managers to conclude that the stock was in trouble.

A NOAA-industry cooperative monkfish bottom trawl survey was completed in 2001. The results of this survey proved that monkfish biomass was substantially larger than the estimate generated by the federal trawl surveys. Thankfully, the monkfish fishery continues but unfortunately, the data-poor condition persists. Annual quotas were set for the first 7 years of management using unreliable survey data. Thus, available fishing days for fishermen from New Jersey to North Carolina went from 40 days a year in 2000 to a low of 12 days in 2006. The quota was reduced from a high of 21,325,318 pounds in 2005 to a low of 8,084,353 pounds in 2006 – a precipitous near 40% decrease in one year due solely to a lack of reliable science and subsequent precautionary decision-making.

The approach embodied in H.R. 2304, if inclusive of “data poor” species, could provide relief from rigid ACL control rules in the absence of sufficient data. If not, fishermen will be continually subjected to precautionary decisions with no clear plan to address the lack of reliable scientific information.

H.R. 2304 also provides an exemption from the ACL requirements for “Ecosystem Stocks” (ES). Here again, I agree with the basic concept of exempting certain data poor and minor stocks from the ACL requirement but recommend some improvements to the bill before moving forward.  My recommendation would be to develop broader application that closely links scientific capabilities with the ACL/AM requirements. Rather than ES we should designate stocks into “core” and “minor” components based on clear metrics including value and scientific need. ACL/AM requirements could be applied to core stocks but for minor stock components, or for stocks where status is unknown or those in a data poor condition, the ACL/AM requirement need not apply or could be made less rigorous.

H.R. 2610: “The Asset Forfeiture Fund Reform and Distribution Act of 2011” (Rep. Frank-MA): In some ways similar to H.R. 1013, Representative Frank’s legislation is more comprehensive, addressing elements of reform in the wake of the OIG report on the AFF oversight, especially in the New England region but not solely in that region. Representative Frank recognizes and preserves the role of the individual States as well as the joint nature of the RFMC relationship.

Overall, I support the key provisions of H.R.2610 – reimburse any person who was treated unfairly by the federal government, provide a transparent separation between fines/penalties/seizures and program operations to remove the incentive for excessive fines, and use AFF monies for activities in direct support of sound fisheries management research where violations occurred. I note here NOAA subsequently revised the AFF Policy (See 76 FR 16386) but provided no funds in support of scientific activities. Also, I am concerned that with no other source of funding specified by Congress for OLE activities that funding for scientific work may be tapped which is unacceptable.

H.R. 2753: “The Fishery Management Transparency and Accountability Act” (Rep. Jones-NC): I support H.R. 2753. In this era of transparency there should be no need for such basic legislation. However, the 2006 MSA amendments and the idea to “separate politics from science”, ceded an unprecedented amount of authority to the RFMC SSCs. While each council operates differently, and the range of comfort in the regulated community varies from region to region, there is no reason why we should not require RFMC, SSC and Council Coordinating Committee meetings be widely available and archived.

H.R. 2772: “The Saving Fishing Jobs Act of 2011” (Rep. Runyan-NJ): Similar to H.R. 1646, Representative Runyan’s H.R. 2772 is in response to the groundswell of animosity against implementation of NOAA’s National Catch Share policy. It is important to note here this widespread opposition is not against the policy but rather, how it is being implemented. Many in the fishing industry consider the catch share process to be a rushed, top-down process. Indeed, NOAA indicated as early as December 2009 that “32 additional programs will begin development in FY 2012” (NOAA 2009).  Many fishermen also perceive the process to be tainted by Walton Foundation trust grants to NGO interests who may not have the best interests of the U.S. commercial fishing industry in mind. I agree with many of these perceptions and they exist as an industry reality.

Besides inadequate science undermining on our management system, the proliferation of catch share programs is presently one of the most problematic industry issues. Recently, 41 Members of Congress from 12 states filed letters with the House Commerce, Justice, and Science Appropriations Committee expressing concern over the expansion of new programs in New England, the Mid-Atlantic, Southeast and Gulf of Mexico. This level of concern is a strong indication there are serious problems with some of the existing programs and that the majority of fishermen in many regions do not wish to see these programs expanded into new fisheries absent a firewall in the form of a clear referendum process.

H.R. 2772 contains provisions identical to those in H.R. 1646 with two noted additions: (1) any new catch share program that results in a 15% reduction in the number of eligible fishermen is subject to termination; and (2) the 3% fee cap provision in Section 304 is replaced with a requirement for the program to cover all costs, including observer costs.

Regarding the 15% termination provision for newly created programs, I completely support Representative Runyan’s efforts to protect jobs. Catch share programs are widely reported to consolidate fleet size and reduce employment. However, in the event that a catch share program is supported by eligible fishermen via a transparent and fair petition and referendum, the 15% provision should not apply.

Regarding the requirement for fiscal responsibility, this could also be a valuable consideration in a perfect world where catch share programs are completely open, market-based systems where the responsibilities of management are balanced by the privileges of economically efficient harvest. However, that is not the case as programs are constrained by such things as ownership caps, ultra-conservative control rules, strict bycatch limitations, and excessive observer coverage requirements. As long as there is heavy government constraint on these programs the 3% cap limitation should apply. In situations where the system is based on a free market economy and eligible fishermen are fully aware of the programmatic costs prior to a final referendum vote the fiscal responsibility requirement should apply.

H.R. 3061: “The Flexibility and Access in Rebuilding American Fisheries Act of 2011” (Rep. Pallone-NJ): While the RFMCs are given some flexibility to tailor their approaches to management plans the one area that remains rigid is in regard to stock rebuilding. The law still retains the requirement that rebuilding be completed in 10 years or sooner, if possible, rather than what is practicable. The RFMC chairmen supported adding an element of stock rebuilding flexibility during the 2006 reauthorization but their efforts were unsuccessful.

The 10-year deadline is completely arbitrary, has no basis in science, and its impacts may be worsened in data poor situations. We all agree that stocks must be rebuilt – we simply disagree on the time frame. It makes no practical sense to visit extreme hardship on coastal communities if a stock can rebuilt to the exact same level in 12, 15 or 18 years rather than in 10 years under more onerous restrictions. I believe by not including a clear flexibility provision in the MSA we missed an opportunity to inject some common sense into the management process.

H.R. 3601 requires each SSC submit an annual report detailing their scientific advice, condition of the assessment data, and recommendations for improvements. This reporting requirement will precipitate a more transparent scientific process.

Regarding suspension of the ACL requirements, H.R. 3601 allows the Secretary the option to suspend ACLs if the stock is not overfished, not approaching the overfished condition, is fully rebuilt, or if the scientific advice from the SSC is based on such a high level of uncertainty that is insufficient to ensure the fishery management plan is consistent with the components of National Standard 8 (See MSA Section 301(a)(8)). I agree conceptually with one core aspect of the ACL suspension issue – ACL control rules should not be set on data poor or minor stocks for which we do not have adequate information to make the necessary and timely determinations.

I also agree with the provisions in H.R. 3601 that require the Secretary to identify whether fishery management plans are having adverse economic impacts, for the Secretary to take actions as necessary to attempt to mitigate those adverse impacts, and for the Secretary to report to Congress on those actions. In the end these provisions may not ease all the socioeconomic pain stemming from necessary regulations but they may minimize the impact and encourage the Secretary to think creatively outside the regulatory box.

(3) Other Relevant Reform Issues That Should Be Considered By the Committee

Mixed Stock Exemption: A clear provision should be added to the MSA to allow the RFMCs to set a single ACL for a group of fish stocks that are commonly found in association with each other, often referred to as a mixed stock assemblage. Although this provision was a clearly defined component of the NSG for years the agency never implemented the tool. Often times, the availability of individual species within a mixed stock grouping will fluctuate and may be inconsistent with the ACL provisions. This is aggravated as stocks rebuild or in data poor situations or where monitoring is not timely. This situation prevents fishermen from accessing more abundant stocks and impedes our ability to achieve OY.

Statutory Exceptions for Trans-boundary and Short-lived Species (MSA Section 303 note): The MSA currently provides an exemption from the ACL/AM control rules for stocks managed under an international agreement in which the U.S. participates and also to a fishery for a species that has a life cycle of approximately one year that is not subject to overfishing. In my opinion this provision is too narrow in scope and does not address species that are truly trans-boundary in nature but lack a formal agreement, or are species whose life history characteristics prevent NOAA from being able to apply the ACL control rules in an efficient manner.

I provide here three examples where a clear case can be made for MSA control rule exemptions – Atlantic mackerel and Gulf of Mexico Spiny Lobster and Atlantic butterfish.  In the case of Atlantic mackerel, scientific evidence indicates the stock distribution is shifting into Canadian waters (Overholtz, 2011). Unfortunately, the U.S. has no formal trans-boundary sharing agreement and Canada takes what they can harvest. Unilateral U.S. management actions pursuant to MSA will not affect rebuilding or end overfishing but will disadvantage our fishermen and weaken the U.S. negotiating position.

While the U.S. opportunity to harvest mackerel was reduced by more than 80,000 metric tons (mt) since 2007 (from 115,000 mt to 34,907 mt) the Canadian government allows their fishermen to harvest most of the available quota since their fishermen are under no obligation to fish under MSA control rules. Due to the lack of a trans-boundary exemption, rigid interpretation of MSA requirements, confusion among fishery managers about whether or not the law requires the production of sustainable fishery yields or the application of layers of scientific uncertainty, the U.S. mackerel fishery (which is not overfished) has been severely restricted.  Thus, Congressional action is necessary to require the U.S. government to implement an Atlantic mackerel resource sharing agreement with Canada and provide the Atlantic mackerel fishery with an ACL exemption.

Regarding the State of Florida’s valuable Spiny Lobster (Panulirus agrus) fishery in the Gulf of Mexico, domestic fishermen account for a mere 6% of the total harvest. In fact, genetic evidence indicates that stock recruitment occurs entirely outside U.S. jurisdiction within the Caribbean Basin and waters of Southern Cuba, Brazil, Belize, Honduras and Columbia.  In 2011, NOAA’s Southeast Data Assessment Review (SEDAR) determined it was not possible to establish population benchmarks based only on the U.S. segment of the population (FKCFA 2011).  There is no formal Pan-Caribbean agreement to manage this international stock. Despite the trans-boundary characteristics of this stock coupled with insufficient data available to make a stock status determination, MSA requirements force the RFMC’s to set ACL/AM control rules for this species. Though the current ACL is sufficient there is real concern that scientific and management uncertainty will, over time, artificially reduce the allowable catch level. Spiny lobster should be exempt from the ACL rule.

I also agree with the statutory exemption provided for species with a short life cycle or unusual life history characteristics such as the Atlantic squids (Loligo and Ilex spp.), and warm-water species of shrimp. Allowing management flexibility for such species is appropriate and Atlantic butterfish is a perfect example. In 2004, NOAA determined that the butterfish stock was overfished and must be rebuilt in as short a time as possible but not to exceed 10 years. In 2010 NOAA determined the stock was not undergoing overfishing but could not determine if the stock was overfished. NOAA also concluded that the results of in 2004 were inaccurate and not suitable for management decisions.

Six years later, a rebuilding program is in place based on data that are insufficient to determine the condition of the stock. Given the fact that butterfish has a short lifespan (1-3 years), extremely high natural mortality rate, uncertain and variable survey indices, and an exceedingly variable catch level it is not possible to accurately determine the condition of the stock on a timely basis. These uncertainties force precautionary decision-making when setting ACLs which negatively impacts fishing activities directed at other species, in particular the Loligo squid fishery.

Conforming the National Environmental Policy Act and MSA: In spite of clear direction given by Congress in 2006 (Section 304(i), as added by P.L. 109-479), NMFS and the Council on Environmental Quality have yet to adequately streamline the procedures for review under the two statutes. The results are unconscionable delays in conserving and managing our fish stocks. For example, 2012 measures for Pacific groundfish are based on data from 2008 to inform a regulatory process that began in 2009 in order to comply with environmental review timelines. At its November 2011 meeting the Pacific Fishery Management Council voted to maintain status quo on almost all ACLs through 2014 in spite of data showing markedly increased abundance on key stocks, simply because the environmental review time requirements would prevent the fishery from starting on time.

Stock Assessment Prioritization and Cooperative Research: The issues related to fishery science and stock assessment needs can be addressed using a transparent approach designed to provide a framework in which Commerce, NOAA/NMFS and the RFMCs can objectively prioritize research and assessment needs as well as cooperative research (CR) requirements on an annual basis for 5-year periods. These prioritized needs can inform budgetary allocations from Congress to NOAA and the Regional Science Centers.

I recommend that each NOAA/NMFS Regional Office, in conjunction with the Regional Science Centers, be required to complete a prioritization schedule of scientific research and stock assessment needs using a hierarchical score of pre-determined scientific and fishery attributes (i.e. economic value, stock status, survey needs, core/minor stock, level of uncertainty, protected species concerns, etc.) for each upcoming 5-year period. A similar process should be used for cooperative research recommendations recognizing that CR projects are Science Center directed and should be tailored to meet the unique needs of each region. Each RFMC, in conjunction with its SSC and consistent with requirements of MSA Section 302(h)(7), should review and adjust the recommendations of the NOAA/NMFS Regional Offices based on the Council’s data needs. NOAA/NMFS Headquarters staff could then finalize the recommendations and cost estimates for each region and forward on a timely basis to Congress and the Office of Management & Budget (OMB) for consideration in the budgetary allocation process.

Consideration of Shore Side Investment in Catch Share Programs: In certain high volume fisheries around the country (i.e. Atlantic mackerel & pelagic squids, Alaska and Pacific groundfish) there is a heavy reliance shore side processing capacity, investment and marketing capability. In these distinct situations catch share programs must be made inclusive to protect these elements of the infrastructure. The consolidation of fishing vessels under typical catch share program is not the only source of job loss for fishery-dependent communities. Consolidation can also occur in the processing sector. For example, there are seven groundfish processing facilities in the Gulf of Alaska (five in Kodiak, one in Sand Point, and one in King Cove). These seven facilities compete with each other for a market share in pollock, cod, rockfish, and flatfish. The companies also buy salmon, halibut, sablefish, crab, and herring from local fishermen.

The companies owning these facilities invested heavily to compete under an open access system to handle large volumes of pollock and cod. However, under a typical catch share system, consolidation in the fishing sector will likely be followed by consolidation in the processing sector. A program that does not factor in processing infrastructure may well result in shrinkage from seven facilities to two or three. This will adversely impact markets for all AK fishermen, including those engaged in salmon, halibut, sablefish, crab, and herring. Consolidation of processing capacity could hurt the local labor force in communities such as Kodiak where shore based processing workforce stands at roughly 1500 workers. Two-thirds of those jobs could be lost if a new catch share program triggers consolidation within the processing community.

Fisheries Management Responsibility in National Marine Sanctuaries: I continue to believe there are competing management jurisdictions between the National Marine Sanctuary Act (See NMSA 16 U.S.C. 1434) and the MSA (See MSA 16 U.S.C. 1852) when it comes to fishing regulations in sanctuaries. The specific problem appears in Section 304(a)(5) of NMSA (16 U.S.C. 1434) whereby the Councils are afforded the opportunity to prepare draft regulations using the MSA as guidance only “to the extent that the standards are consistent and compatible with the goals and objectives” of the Sanctuary designation. This is the crux of the jurisdictional and philosophical inconsistency.

RFMC Chairmen adopted a unanimous position in 2006 to amend both the NMSA and the MSA to exclude fishery resources as sanctuary resources and to achieve jurisdictional clarity by vesting federal fisheries management under the MSA. The House Natural Resources Committee attempted to address this issue during the 2006 reauthorization but Members deferred to the NMSA reauthorization. I agree with the position of the RFMCs and recommend the Committee consider including a jurisdictional clarification in the MSA. This approach will ensure that fishery resources are managed consistently throughout the range and subject to the National Standards.

Create Separate Definitions for the Terms “Overfished” and “Overfishing”: MSA Section 3 (See (34)) combines both terms into one definition. This is an inaccuracy that should be corrected. Simply stated, overfishing is an ongoing rate of removal from a fish stock that is too high and may lead to a stock becoming overfished. A stock that is determined to be overfished has already been exposed to a level of fishing mortality that jeopardizes the capacity to produce maximum sustainable yield and must be rebuilt.

Once clearly defined, a separate consideration could be developed for specific instances in which a robust, non-overfished stock is being subjected to too high an ongoing rate of removal. Rather than an immediate fishing closure, the fishing effort could be phased down over short period of time (i.e. 1-3 years) to reduce severe economic impacts but still provide adequate protection to the resource.

(4) Recommendations

Simply put — implementation of the 2006 MSA amendments exceeded our scientific capabilities with little improvement expected in the future, and the result being losses in fishery yields due to chronic application of ever-increasing uncertainty buffers. The NSG1 evolved to include precautionary decision-making leading to safety buffers that effectively prevent the U.S. fishing industry from achieving OY. Furthermore, for stocks that are not overfished or where overfishing is not occurring, or when stock assessments yield inconclusive results, we may never reach the OY benchmark.  These are the core weaknesses of U.S. fisheries policy yet achieving OY is a primary objective of MSA. My recommendation is for Congress to begin substantive reauthorization discussions now with a plan to offer a comprehensive reform package at the first appropriate opportunity. The eight pieces of legislation discussed today offer an excellent start with numerous elements that can be incorporated into such a package.

Mr. Chairman, thank you and the Ranking Member and the Members of this Committee for beginning this process in earnest. I look forward to working with you and your staff to secure positive changes to our Nation’s fisheries policy.

References

Angers, J. 2011. In Testimony to the House Natural Resources Fisheries Subcommittee Hearing on NOAA Science Costing Jobs, July 26, 2011.

FKCFA, 2011. Report titled “Florida’s Spiny Lobster (Panulirus argus) Issues for Consideration by the National Marine Fisheries Service and the 112th Congress”, 2 pages.

 

Murawski, Steve, 2009. In NOAA Testimony to the House Subcommittee on Insular Affairs, Ocean and Wildlife Oversight Hearing on MSA Implementation, during Q&A Session, October 27, 2009.

 

NOAA 2009. Powerpoint slide from NOAA presentation to RFMCs on Draft National Catch Share Policy titled “Catch Share Programs by Region”, December 2009.

 

NOAA, 2010. National Catch Share Policy, 21 pages.

 

Overholtz, W.J., J.A. Hare & M.Keith. 2011. Impacts of Interannual Environmental Forcing and Climate Change on the Distribution of Atlantic Mackerel on the U.S. Northeast Continental Shelf, Marine and Coastal Fisheries, 3:1, 219-232.

Dec 3 2011

Begich, Murkowski, Landrieu, and Nelson introduce bill to modify Magnuson rules on setting ACL’s

A bill introduced by Florida Senators Nelson and Rubio, with fairly bi-partisan support is being rushed through both houses of Congress that would make a significant improvement to the federal fisheries management process.Co-sponsors include Oceans Subcommittee Chairman Sen. Mark Begich (D-Alaska); Congressional Sportsmens Caucus Co-Chairman Sen. John Thune (R-S.D.); Sen. Mary Landrieu (D-La.); Sen. Lisa Murkowski (R-Alaska); Sen. David Vitter (R-La.), and Sen. Roger Wicker (R-Miss.).

The 2006 revision of Magnuson-Stevens required that NOAA set annual catch limits on all species, regardless as to whether there was scientific information to do so or not. The Regional Fishery Management Councils have to put in place ACLs for every fishery by Dec. 31, 2011. This provision has been interpreted to apply to every stock of fish under management, leaving Councils with the conundrum of either deleting stocks from federal management or applying highly restrictive ACLs based on very poor data – or in some cases, non-existent data.

NOAA presently has 528 stocks of fish or complexes of stocks under management. And there is updated stock assessment data on only 121 of the 528. The Fishery Science Improvement Act (FSIA) lifts the requirement to implement ACLs on stocks for which there is inadequate data and no evidence of overfishing. The legislation allows NOAA Fisheries to better conform to the intent of the 2006 reauthorization of MSA: ending overfishing based on sound scientific management.

The legislation directs NOAA Fisheries to set annual catch limits (ACLs) only on those stocks of fish for which they have up-to-date scientific information to inform that decision. The bill’s two conditions exempting a fishery from the ACL requirements are 1) the lack of a stock assessment in the prior six years and 2) the absence of any indication that overfishing is occurring. This will overturn the agency’s current interpretation that it must set ACL’s on all species, regardless as to whether it has any data or not.

Supporters of the bill have provided two examples of its positive impact with Mahi Mahi and North Pacific cod.

Read the rest on Saving SeaFood.

 

 

Nov 29 2011

Partnership Preserves Livelihoods and Fish Stocks

Stevie Fitz leases a fishing permit from the Nature Conservancy. He reports his catches as part of the group's effort to manage fish stocks in Half Moon Bay. (Peter DaSilva for The New York Times)

By 

HALF MOON BAY, Calif. — Stevie Fitz, a commercial fisherman, was pulling up his catch in one of his favorite spots off of Point Reyes in June when he saw something terrifying — in his nets were nearly 300 bocaccio, a dwindling species of rockfish protected by the government.

There are such strict limits on catching the overfished bocaccio that netting a large load, even by accident, can sideline and even ruin an independent fisherman.

Still, Mr. Fitz did not try to hide his mistake by slipping it back into the deep. Instead, he reported himself. With a few swipes on his iPad, he posted the exact time and location of the catch to a computerized mapping system shared by a fleet of 13 commercial boats, helping others to avoid his mistake.

“It was a slap in the face,” he said, “but we are trying to build an information base that will help everyone out.” He was later able to sell the bocaccio, although the catch still counted against his quota for the year.

A lifelong fisherman, Mr. Fitz is part of a very unusual business arrangement with the Nature Conservancy, an environmental group that is trying to transform commercial fishing in the region by offering a model of how to keep the industry vital without damaging fish stocks or sensitive areas of the ocean floor.

Five years ago, the conservancy bought out area fishing boats and licenses in a fairly extreme deal — forged with the local fishing industry — to protect millions of acres of fish habitat. The unusual collaboration was enjoined to meet stricter federal regulations and the results of a successful legal challenge. But once the conservancy had access to what was essentially its own private commercial fishing fleet, the group decided to put the boats back to work and set up a collaborative model for sustainable fishing.

Bringing information technology and better data collection to such an old-world industry is part of the plan. So is working with the fishermen it licenses to control overfishing by expanding closed areas and converting trawlers — boats that drag weighted nets across the ocean floor — to engage in more gentle and less ecologically damaging techniques like using traps, hooks and line, and seine netting.

The conservancy’s model is designed to take advantage of radical new changes in government regulation that allow fishermen in the region both more control and more responsibility for their operating choices. The new rules have led to better conservation practices across all fleets, government monitors say.

“It is blowing me away what is happening out there,” said William Stelle, the administrator for Pacific Northwest region of the National Oceanic and Atmospheric Administration’s marine fisheries service. But, he added, the conservancy “may be the most sophisticated example of the successful marriage of interests between the environmental community and the fishing industry in marine conservation.” Similar programs are beginning to appear in other places.

American fish stocks have been troubled since the early 1990s and remain so because of overfishing, pollution, and warming seas. The government says that today 23 percent of fish stocks are not at self-sustaining levels at current fishing pressure.

Congress passed a law in 1996 demanding that local fishery councils protect “essential fish habitat.” In 2006, it also imposed tight catch limits for overfished species. As a result, if a fishery exceeds its limit on just one of these species, under federal law, the entire area could be closed to commercial boats for a season.

Local councils have struggled to balance the inherent tensions of adhering to these limits without ruining the fishermen’s ability to make a living. To do this, they have imposed regulations like prohibiting fishing in some areas, dictating the catch season and limiting what techniques and gear are used.

But last year, the Pacific Fisheries Management Council replaced some of those restrictions with strict quotas on six imperiled species and parceled them out among all 138 commercial vessels along the coast. Government observers are now put on every boat to make sure there is no cheating.

The downside is that if one boat lands too much of a sensitive species, known as bycatch, it must be docked until it can buy another boat’s unused quota — and there is not always a market to balance the catch. The quota system also provides incentive for each fisherman in the risk pool to help prevent others from using up their quota. And the early results for fish stocks are promising. Bycatch has dropped from 15 percent to 20 percent of the total haul to less than 1 percent.

The Nature Conservancy first got involved in central California in 2004 when it was looking to invest in marine conservation zones. The group realized that it needed better information to preserve the most critical areas.

“What the fishermen had was a deep local knowledge of the habitats of certain species,” said Michael Bell, senior project director with the conservancy. “There wasn’t scientific information at that level that could match the fisherman knowledge.”

Read the rest from The New York Times.