journal article Oct 24, 2012

Understanding diversity–stability relationships: towards a unified model of portfolio effects

Ecology Letters Vol. 16 No. 2 pp. 140-150 · Wiley
View at Publisher Save 10.1111/ele.12019
Abstract
Abstract

A major ecosystem effect of biodiversity is to stabilise assemblages that perform particular functions. However, diversity–stability relationships (
DSR
s) are analysed using a variety of different population and community properties, most of which are adopted from theory that makes several restrictive assumptions that are unlikely to be reflected in nature. Here, we construct a simple synthesis and generalisation of previous theory for the
DSR
. We show that community stability is a product of two quantities: the synchrony of population fluctuations, and an average species‐level population stability that is weighted by relative abundance. Weighted average population stability can be decomposed to consider effects of the mean‐variance scaling of abundance, changes in mean abundance with diversity and differences in species' mean abundance in monoculture. Our framework makes explicit how unevenness in the abundances of species in real communities influences the
DSR
, which occurs both through effects on community synchrony, and effects on weighted average population variability. This theory provides a more robust framework for analysing the results of empirical studies of the
DSR
, and facilitates the integration of findings from real and model communities.
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Showing 50 of 54 references

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Citations
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References
Details
Published
Oct 24, 2012
Vol/Issue
16(2)
Pages
140-150
License
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Cite This Article
Loïc M. Thibaut, Sean R. Connolly (2012). Understanding diversity–stability relationships: towards a unified model of portfolio effects. Ecology Letters, 16(2), 140-150. https://doi.org/10.1111/ele.12019
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