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Arctic transitions in the Land - Atmosphere System (ATLAS): Background, objectives, results, and future directions

This paper briefly reviews the background, objectives, and results of the Arctic Transitions in the Land-Atmosphere System (ATLAS) Project to date and provides thoughts on future directions. The key goal of the ATLAS Project is to improve understanding of controls over spatial and temporal variability of terrestrial processes in the Arctic that have potential consequences for the climate system, i.e., processes that affect the exchange of water and energy with the atmosphere, the exchange of radiatively active gases with the atmosphere, and the delivery of freshwater to the Arctic Ocean. Three important conclusions have emerged from research associated with the ATLAS Project. First, associated with the observation that the Alaskan Arctic has warmed significantly in the last 30 years, permafrost is warming, shrubs are expanding, and there has been a temporary release of carbon dioxide from tundra soils. Second, the winter is a more important period of biological activity than previously appreciated. Biotic processes, including shrub expansion and decomposition, affect snow structure and accumulation and affect the annual carbon budget of tundra ecosystems. Third, observed vegetation changes can have a significant positive feedback to regional warming. These vegetation effects are, however, less strong than those exerted by land-ocean heating contrasts and the topographic constraints on air mass movements. The papers of this special section provide additional insights related to these conclusions and to the overall goal of ATLAS.

Journal of Geophysical Research D: Atmospheres↗

Review of electric and magnetic fields accompanying seismic and volcanic activity

New observations of magnetic, electric and electromagnetic field variations, possibly related to recent volcanic and seismic events, have been obtained on Mt. Unzen in Japan, Reunion Island in Indian Ocean, the Long Valley volcanic caldera in California, and for faults in China and Russia, California and several other locations. For volcanic events, contributions from different physical processes can be identified during the various eruption stages. Slow processes (weeks to months) include near-surface thermal demagnetization effects, piezomagnetic effects, and effects from rotation/displacement of magnetized material. Rapid processes (seconds to days) include piezomagnetic effects from instantaneous stress redistribution with explosive eruptions and electrokinetic effects from rupture of high pressure fluid compartments commonly encountered in volcanic regions. For seismic events, the observed coseismic offsets are instantaneous, provided care has been taken to ensure sensors are insensitive to seismic shaking and are in regions of low magnetic field gradient. Simple piezomagnetic dislocation models based on geodetically and seismically determined fault parameters generally match the observed signals in size and sign. Electrokinetic effects resulting from rupture of fluid filled compartments at hydrostatic to lithostatic pore pressures can generate transient signals in the frequency band 100 Hz to 0.01 Hz. However, large-scale fluid driven processes are not evident in near-field measurements in the epicentral region minutes to weeks before large earthquakes. The subset of ionospheric disturbances generated by trapped atmospheric pressure waves (also termed gravity waves and/or acoustic waves, traveling ionospheric disturbances or TID's) that are excited by earthquakes and volcanic eruptions are common and propagate to great distances. These are known and expected consequences of earthquakes, volcanic explosions (and other atmospheric disturbances), that must be identified and their effects removed from VLF/ULF electromagnetic field records before associating new observations of ionospheric disturbances with earthquake activity.

Surveys in Geophysics↗

Investigating landslides caused by earthquakes - A historical review

Post-earthquake field investigations of landslide occurrence have provided a basis for understanding, evaluating, and mapping the hazard and risk associated with earthquake-induced landslides. This paper traces the historical development of knowledge derived from these investigations. Before 1783, historical accounts of the occurrence of landslides in earthquake are typically so incomplete and vague that conclusions based on these accounts are of limited usefulness. For example, the number of landslides triggered by a given event is almost always greatly underestimated. The first formal, scientific post-earthquake investigation that included systematic documentation of the landslides was undertaken in the Calabria region of Italy after the 1783 earthquake swarm. From then until the mid-twentieth century, the best information on earthquake-induced landslides came from a succession of post-earthquake investigations largely carried out by formal commissions that undertook extensive ground-based field studies. Beginning in the mid-twentieth century, when the use of aerial photography became widespread, comprehensive inventories of landslide occurrence have been made for several earthquakes in the United States, Peru, Guatemala, Italy, El Salvador, Japan, and Taiwan. Techniques have also been developed for performing "retrospective" analyses years or decades after an earthquake that attempt to reconstruct the distribution of landslides triggered by the event. The additional use of Geographic Information System (GIS) processing and digital mapping since about 1989 has greatly facilitated the level of analysis that can applied to mapped distributions of landslides. Beginning in 1984, synthesis of worldwide and national data on earthquake-induced landslides have defined their general characteristics and relations between their occurrence and various geologic and seismic parameters. However, the number of comprehensive post-earthquake studies of landslides is still relatively small, and one of the most pressing needs in this area of research is for the complete documentation of landslides triggered by many more earthquakes in a wider variety of environments.

Surveys in Geophysics↗

Simulating the impacts of disturbances on forest carbon cycling in North America: Processes, data, models, and challenges

Forest disturbances greatly alter the carbon cycle at various spatial and temporal scales. It is critical to understand disturbance regimes and their impacts to better quantify regional and global carbon dynamics. This review of the status and major challenges in representing the impacts of disturbances in modeling the carbon dynamics across North America revealed some major advances and challenges. First, significant advances have been made in representation, scaling, and characterization of disturbances that should be included in regional modeling efforts. Second, there is a need to develop effective and comprehensive process‐based procedures and algorithms to quantify the immediate and long‐term impacts of disturbances on ecosystem succession, soils, microclimate, and cycles of carbon, water, and nutrients. Third, our capability to simulate the occurrences and severity of disturbances is very limited. Fourth, scaling issues have rarely been addressed in continental scale model applications. It is not fully understood which finer scale processes and properties need to be scaled to coarser spatial and temporal scales. Fifth, there are inadequate databases on disturbances at the continental scale to support the quantification of their effects on the carbon balance in North America. Finally, procedures are needed to quantify the uncertainty of model inputs, model parameters, and model structures, and thus to estimate their impacts on overall model uncertainty. Working together, the scientific community interested in disturbance and its impacts can identify the most uncertain issues surrounding the role of disturbance in the North American carbon budget and develop working hypotheses to reduce the uncertainty

Journal of Geophysical Research: Biogeosciences↗

Influence of inherited structure on flexural extension in foreland basin systems: Evidence from the northern Arkoma basin and southern Ozark dome, USA

Extensional faults are key components of foreland basin systems. They form within the upper crust in response to flexure of the lithosphere and accommodate subsidence within the foredeep and forebulge depozones. Such faults are excellent proxies for orogenic system evolution and control the distribution of natural resources and hazards. However, the spatiotemporal evolution of flexural extension has not been documented previously at a regional scale, thereby limiting our understanding of underlying geodynamic controls. Here, we resolve late Paleozoic flexural extension in the northern Arkoma basin and southern Ozark dome, USA. We synthesize a large database of previous mapping, existing research, subsurface data, and geophysical data into 3D geologic and 2D kinematic models. Mesh surfaces representing several key horizons from the Carboniferous Period (ca. 335-306 Ma) were constructed. These surfaces were built from oil and gas well tops (n = ∼10,000) and surface geologic map contacts using an advanced kriging method. The mesh surfaces are offset by a complex 3D fault network, allowing detailed analysis of along-strike and down-dip variations in fault displacement. Analysis of the 3D model reveals a regular and repeated fault segmentation pattern wherein E -W striking, left- and foreland-stepping en échelon normal faults are segmented by inherited NE striking basement faults. Maximum vertical separation along the E -W normal faults is generally focused between the inherited NE-trending faults. This suggests that the inherited basement faults delocalized extensional strain during late Paleozoic normal faulting. Maximum vertical separation and fault localization may correlate to areas with high-amplitude positive magnetic anomalies interpreted as Mesoproterozoic granitic rocks. Speculative covariance of magnetic anomalies and fault displacements implies that the relatively strong basement granite concentrated stress, leading to localized faulting within the relatively thin sedimentary cover. Lastly, we show that flexural extension migrated southeast to northwest from the Chesterian-Morrowan (ca. 335-319 Ma) to the Desmoinesian (ca. 306 Ma). The migratory flexural extension may be explained by diachronous loading during Pangean assembly, or by synchronous loading but variable load compensation due to inherent factors.

Arkansas, Oklahoma↗

California earthquake history

This paper presents an overview of the advancement in our knowledge of California's earthquake history since ??? 1800, and especially during the last 30 years. We first review the basic statewide research on earthquake occurrences that was published from 1928 through 2002, to show how the current catalogs and their levels of completeness have evolved with time. Then we review some of the significant new results in specific regions of California, and some of what remains to be done. Since 1850, 167 potentially damaging earthquakes of M ??? 6 or larger have been identified in California and its border regions, indicating an average rate of 1.1 such events per year. Table I lists the earthquakes of M ??? 6 to 6.5 that were also destructive since 1812 in California and its border regions, indicating an average rate of one such event every ??? 5 years. Many of these occurred before 1932 when epicenters and magnitudes started to be determined routinely using seismographs in California. The number of these early earthquakes is probably incomplete in sparsely populated remote parts of California before ??? 1870. For example, 6 of the 7 pre-1873 events in table I are of M ??? 7, suggesting that other earthquakes of M 6.5 to 6.9 occurred but were not properly identified, or were not destructive. The epicenters and magnitudes (M) of the pre-instrumental earthquakes were determined from isoseismal maps that were based on the Modified Mercalli Intensity of shaking (MMI) at the communities that reported feeling the earthquakes. The epicenters were estimated to be in the regions of most intense shaking, and values of M were estimated from the extent of the areas shaken at various MMI levels. MMI VII or greater shaking is the threshold of damage to weak buildings. Certain areas in the regions of Los Angeles, San Francisco, and Eureka were each shaken repeatedly at MMI VII or greater at least six times since ??? 1812, as depicted by Toppozada and Branum (2002, fig. 19).

Annals of Geophysics↗

Motion of the Scotia sea plates

Earthquake data from the Scotia Arc to early 2002 are reviewed in the light of satellite gravity and other data in order to derive a model for the motion of plates in the Scotia Sea region. Events with magnitude ???5, which occurred on or near the boundaries of the Scotia and Sandwich plates, and for which Centroid Moment Tensor (CMT) solutions are available, are examined. The newer data fill some of the previous sampling gaps along the boundaries of the Scotia and Sandwich plates, and provide tighter constraints on relative motions. Variations in the width of the Brunhes anomaly on evenly spaced marine magnetic profiles over the East Scotia Ridge provide new estimates of Scotia-Sandwich plate spreading rates. Since there are no stable fracture zones in the east Scotia Sea, the mean azimuth of sea floor fabric mapped by sidescan is used to constrain the direction of spreading. 18 new rate estimates and four azimuths from the East Scotia Ridge are combined with 68 selected earthquake slip vectors from the boundaries of the Scotia Sea in a least-squares inversion for the best-fitting set of Euler poles and angular rotation rates describing the 'present-day' motions of the Scotia and Sandwich plates relative to South America and Antarctica. Our preferred model (TLP2003) gives poles that are similar to previous estimates, except for Scotia Plate motion with respect to South America, which is significantly different from earlier estimates; predicted rates of motion also differ slightly. Our results are much more robust than earlier work. We examine the implications of the model for motion and deformation along the various plate boundaries, with particular reference to the North and South Scotia Ridges, where rates are obtained by closure.

Geophysical Journal International↗

A prelanding assessment of the ice table depth and ground ice characteristics in Martian permafrost at the Phoenix landing site

We review multiple estimates of the ice table depth at potential Phoenix landing sites and consider the possible state and distribution of subsurface ice. A two-layer model of ice-rich material overlain by ice-free material is consistent with both the observational and theoretical lines of evidence. Results indicate ground ice to be shallow and ubiquitous, 2-6 cm below the surface. Undulations in the ice table depth are expected because of the thermodynamic effects of rocks, slopes, and soil variations on the scale of the Phoenix Lander and within the digging area, which can be advantageous for analysis of both dry surficial soils and buried ice-rich materials. The ground ice at the ice table to be sampled by the Phoenix Lander is expected to be geologically young because of recent climate oscillations. However, estimates of the ratio of soil to ice in the ice-rich subsurface layer suggest that that the ice content exceeds the available pore space, which is difficult to reconcile with existing ground ice stability and dynamics models. These high concentrations of ice may be the result of either the burial of surface snow during times of higher obliquity, initially high-porosity soils, or the migration of water along thin films. Measurement of the D/H ratio within the ice at the ice table and of the soil-to-ice ratio, as well as imaging ice-soil textures, will help determine if the ice is indeed young and if the models of the effects of climate change on the ground ice are reasonable.

Journal of Geophysical Research E: Planets↗

A lacustrine paleoenvironment recorded at Vera Rubin ridge, Gale crater: Overview of the sedimentology and stratigraphy observed by the Mars Science Laboratory Curiosity rover

For ~500 Martian solar days (sols), the Mars Science Laboratory team explored Vera Rubin ridge (VRR), a topographic feature on the northwest slope of Aeolis Mons. Here we review the sedimentary facies and stratigraphy observed during sols 1,800–2,300, covering more than 100 m of stratigraphic thickness. Curiosity's traverse includes two transects across the ridge, which enables investigation of lateral variability over a distance of ~300 m. Three informally named stratigraphic members of the Murray formation are described: Blunts Point, Pettegrove Point, and Jura, with the latter two exposed on VRR. The Blunts Point member, exposed just below the ridge, is characterized by a recessive, fine-grained facies that exhibits extensive planar lamination and is crosscut by abundant curvi-planar veins. The Pettegrove Point member is more resistant, fine-grained, thinly planar laminated, and contains a higher abundance of diagenetic concretions. Conformable above the Pettegrove Point member is the Jura member, which is also fine-grained and parallel stratified, but is marked by a distinct step in topography, which coincides with localized meter-scale inclined strata, a thinly and thickly laminated facies, and occasional crystal molds. All members record low-energy lacustrine deposition, consistent with prior observations of the Murray formation. Uncommon outcrops of low-angle stratification suggest possible subaqueous currents, and steeply inclined beds may be the result of slumping. Collectively, the rocks exposed at VRR provide additional evidence for a long-lived lacustrine environment (in excess of 10 6 years via comparison to terrestrial records of sedimentation), which extends our understanding of the duration of habitable conditions in Gale crater.

Journal of Geophysical Research: Planets↗

Quantification of geodetic strain rate uncertainties and implications for seismic hazard estimates

Geodetic velocity data provide first-order constraints on crustal surface strain rates, which in turn are linked to seismic hazard. Estimating the 2-D surface strain tensor everywhere requires knowledge of the surface velocity field everywhere, while geodetic data such as Global Navigation Satellite System (GNSS) only have spatially scattered measurements on the surface of the Earth. To use these data to estimate strain rates, some type of interpolation is required. In this study, we review methodologies for strain rate estimation and compare a suite of methods, including a new implementation based on the geostatistical method of kriging, to compare variation between methods with uncertainty based on one method. We estimate the velocity field and calculate strain rates in southern California using a GNSS velocity field and five different interpolation methods to understand the sources of variability in inferred strain rates. Uncertainty related to data noise and station spacing (aleatoric uncertainty) is minimal where station spacing is dense and maximum far from observations. Differences between methods, related to epistemic uncertainty, are usually highest in areas of high strain rate due to differences in how gradients in the velocity field are handled by different interpolation methods. Parameter choices, unsurprisingly, have a strong influence on strain rate field, and we propose the traditional L -curve approach as one method for quantifying the inherent trade-off between fit to the data and models that are reflective of tectonic strain rates. Doing so, we find total variability between five representative strain rate models to be roughly 40 per cent, a much lower value than roughly 100 per cent that was found in previous studies (Hearn et al .). Using multiple methods to tune parameters and calculate strain rates provides a better understanding of the range of acceptable models for a given velocity field. Finally, we present an open-source Python package (Materna et al .) for calculating strain rates, Strain_2D, which allows for the same data and model grid to be used in multiple strain rate methods, can be extended with other methods from the community, and provides an interface for comparing strain rate models, calculating statistics and estimating strain rate uncertainty for a given GNSS data set.

Geophysical Journal International↗

Evolution of the Precambrian lithosphere: Seismological and geochemical constraints

Several recent models of crustal evolution are based on the belief that the thickness of the continental crust is proportional to its age, with ancient crust being the thickest. A worldwide review of seismic structure contradicts this belief and falsifies these models, at least for the Archean. Proterozoic crust has a thickness of 40–55 km and a substantial high‐velocity (>7 km/s) layer at its base, while Archean crust is only 27–40 km thick (except at the site of younger rifts and collisional boundaries) and lacks the basal high‐velocity layer. Seismology also provides evidence that the lithosphere is thickest beneath Archean cratons, while diamond ages show that this lithospheric keel must have already existed in the Archean. Geochemical data also indicate significant differences between Archean and Proterozoic lithosphere. Major and trace element studies of sediments show a change in upper crustal composition between the Archean and Proterozoic. Archean rocks are depleted in Si and K and enriched in Na, Ca, and Mg. There is also a marked change in the Eu/Eu * ratio. Mantle xenoliths and continental flood basalts show that the mantle lithosphere beneath Archean crust is ultradepleted in FeO compared to that beneath post‐Archean crust. The secular change in the crust‐forming process is attributed to a decline in mantle temperature, leading to a change in the composition of the lithospheric mantle. The higher temperature of the Archean mantle led to the eruption of komatiitic lavas, producing a refractory lithospheric mantle which is ultradepleted in FeO and volatiles. The resultant lithospheric keel is intrinsically less dense than the surrounding mantle and thus not susceptible to delamination. It was sufficiently thick and cool for diamonds to form during the Archean. In contrast, Proterozoic crust developed above fertile mantle. The eruption of continental flood basalts and underplating of basaltic sills is attributed to subsequent heating and partial melting of the lithospheric mantle. Consequently, Proterozoic crust is thickened and has a high‐velocity basal layer.

Journal of Geophysical Research B: Solid Earth↗

Earthquake locations determined by the Southern Alaska seismograph network for October 1971 through May 1989

This report describes the instrumentation and evolution of the U.S. Geological Survey’s regional seismograph network in southern Alaska, provides phase and hypocenter data for seismic events from October 1971 through May 1989, reviews the location methods used, and discusses the completeness of the catalog and the accuracy of the computed hypocenters. Included are arrival time data for explosions detonated under the Trans-Alaska Crustal Transect (TACT) in 1984 and 1985. The U.S. Geological Survey (USGS) operated a regional network of seismographs in southern Alaska from 1971 to the mid 1990s. The principal purpose of this network was to record seismic data to be used to precisely locate earthquakes in the seismic zones of southern Alaska, delineate seismically active faults, assess seismic risks, document potential premonitory earthquake phenomena, investigate current tectonic deformation, and study the structure and physical properties of the crust and upper mantle. A task fundamental to all of these goals was the routine cataloging of parameters for earthquakes located within and adjacent to the seismograph network. The initial network of 10 stations, 7 around Cook Inlet and 3 near Valdez, was installed in 1971. In subsequent summers additions or modifications to the network were made. By the fall of 1973, 26 stations extended from western Cook Inlet to eastern Prince William Sound, and 4 stations were located to the east between Cordova and Yakutat. A year later 20 additional stations were installed. Thirteen of these were placed along the eastern Gulf of Alaska with support from the National Oceanic and Atmospheric Administration (NOAA) under the Outer Continental Shelf Environmental Assessment Program to investigate the seismicity of the outer continental shelf, a region of interest for oil exploration. Since then the region covered by the network remained relatively fixed while efforts were made to make the stations more reliable through improved electronic instrumentation and strengthened antenna systems. The majority of the stations installed since 1980 were operated only temporarily (from one to several years) for special studies in various areas within the network. Due to reduced funding, the network was trimmed substantially in the summer of 1985 with the closure of 15 stations, 13 of which were located in and around the Yakataga seismic gap. To further reduce costs, two telephone circuits were dropped and multiple radio relays were installed in their place. This economy reduced the reliability of these telemetry links. In addition, data collection from the areas around Cordova and Yakutat was compromised by the necessity of relying on triggered event recording using PC-based systems (Rogers, 1993) that were not fully developed and which proved to be less reliable than anticipated. The principal means of recording throughout the time period of this catalog was 20-channel oscillographs on 16-mm film (Teledyne Geotech Develocorder, Model RF400 and 4000D). Initially one Develocorder was operated at the USGS Alaskan headquarters in Anchorage, but in 1972 recording was shifted to the National Oceanic and Atmospheric Administration (NOAA) Palmer Observatory (currently the West Coast and Alaska Tsunami Warning Center). The Develocorders were turned off at the end of May 1989, and after that time recording was done in digital format at the Geophysical Institute of the University of Alaska in Fairbanks (GIUA). Thus, this catalog covers the entire period of film recording.

Alaska↗

Water-level monitoring along San Andreas and San Jacinto faults, southern California, during fiscal year 1980

Beginning in October 1976, a program of water-level monitoring of abandoned water wells was initiated in the Palmdale area with the purpose of identifying possible water-level changes premonitory to a major earthquake on the San Andreas fault. In October 1977, the program was extended southeastward along the rift zone to the Valyermo area. In November 1977, the monitoring of water wells along the San Jacinto fault was initiated with the expectation of experiencing a moderate size earthquake while monitoring was in progress. Currently over thirty wells are being monitored. Eleven wells are monitored continuously with Stevens Type F recorders, two of which have been modified to operate with the Caltech Remote Observatory Support Systems (TIMS). The remaining wells are probed weekly, or in some cases semi-weekly or daily, by volunteers. We are endeavoring to improve the volunteer program by increasing the frequency of measurements and simplifying the procedure to minimize measurement errors. Weekly water-level data are displayed on computer-generated hydrographs for each well. Rainfall and earthquakes are plotted on the graphs for direct comparison with water levels. The hydrographs are updated and reviewed weekly. Weekly hydrographs are also prepared from recorder charts on two wells maintained by W. R. Moyle, Jr., of the U.S. Geological Survey, Water Resources Division Office, Laguna Niguel, California. A M5.5 earthquake occurred on 25 February 1980, between the Buck Ridge and San Jacinto strands of the San Jacinto fault zone, about 8 miles east-southeast of Anza. This is the largest earthquake which has occurred on the faults within our monitoring network. The Stevens recorder chart for well number 11S/6E-3N4 located in Borrego Valley about 20 miles southeast of the epicenter indicates that, during a period of about four hours on 21 February, the water level rose 1.5 to 1.6 feet and returned to its prior level. This is one of the most remarkable short-term water-level fluctuations observed during our monitoring program; it occurred about 88 hours prior to the earthquake. This well has been monitored since October 1977 and has had a Stevens recorder since October 1978. Long-term water levels have been remarkably steady compared to those in other wells we are monitoring. This well shows a strong response to earth tides. The Stevens record on a second well in Borrego Valley (11S/6E-1C1) showed a much smaller (0.1 foot) spike in water level at the same time as the spike in well number 11S/6E-3N4. Other continuously recording wells in Anza and Ocotillo Wells showed no identifiable water-level anomalies. The two wells in Borrego Valley which showed possible strain-induced water-level spikes appear to be more sensitive to earth tides than wells in the same area which did not show spikes in water level. We cannot conceive of any nontectonic cause for the spike on the Stevens record of well 11S/6E3N4. A creep event on the Coyote Creek fault about four miles from the well is one possibility. Because the spikes in the two wells in Borrego Valley are unique for the long-term record of these wells, they may represent precursors to the 25 February earthquake. Local seismic activity was also recorded in water levels of the two wells in Borrego Springs with continuous water-level recorders. One well showed peculiar high frequency water-level fluctuations from 22 July to 21 August 1980; since then the record has appeared normal. Several wells in the Palmdale-Valyermo area have shown peculiar changes in water level within the past year or so. The long-term hydrograph of well number 5N/12W-4H1 shows the most unusual behavior. The well showed no response to the 1977 and very heavy 1978 rainstorms, yet began to rise in early 1979 and continued to rise through the dry season of 1979. By comparison, most wells show a more normal seasonal response to rainfall. Eight wells in the Palmdale-Valyermo area have shown water-level changes which are different than would have been predicted from the previous history of water-level changes and seasonal rainfall. A longer period of observation is required to determine whether the changes are anomalous. Changes in the strain pattern and other geophysical phenomena have also been observed in southern California during about the same period as the water-level changes. If the water-level changes are the result of tectonic strain, the mechanism and significance are unknown. However, it is interesting that five of the eight wells with possibly anomalous water-level changes have been identified as good strain meters based on their response to earth tides. Six wells showing an unexpected rise in water level are located west of the earthquake swarm which occurred in 1976-1977 (McNally et al, 1978), whereas the two which show water levels lower than would have been predicted are located east of the earthquake swarm.

California↗

Crustal architecture beneath the southern Midcontinent (USA) and controls on Mesoproterozoic iron-oxide mineralization from 3D geophysical models

Several types of critical mineral-bearing ore deposits in the southern Midcontinent region of the U.S. are hosted in Mesoproterozoic igneous rocks largely concealed beneath Paleozoic cover. Discerning the architecture of igneous intrusions and volcanic centers in the crust is fundamental to understanding the geologic evolution of this vast region and its mineral resources. To advance the understanding of the geologic framework beneath the Southeast Missouri Iron Metallogenic Province, we invert continental-scale magnetic and gravity anomaly data to three-dimensional (3D) physical property models. The regional models image altered and mineralized igneous rocks near the Precambrian basement surface and underlying intrusive complexes that extend down to the Moho. At shallow crustal levels, our models confirm that iron oxide-apatite ± rare earth element (IOA±REE) deposits and iron oxide-copper-gold ± cobalt (IOCG) deposits occur within or near the edges of large low density/low susceptibility early Mesoproterozoic (ca 1.4 Ga) silicic calderas and (ca 1.3 Ga) granitic plutons. Previous isotopic and geochemical studies conclude that the iron deposits and their volcanic host rocks originated from mantle-derived and crustal melts that erupted during regional extension. Extension was associated with thermal event(s) that produced the large-scale silicic magmatism related to the ca 1.45 Ga Eastern Granite Rhyolite Province (EGRP) and the 1.35 Ga Southern Granite Rhyolite Province (SGRP). We postulate that early in the evolution of the EGRP, several trans-crustal magmatic plumbing systems developed that are evident in the 3D models. The Southeast Missouri Metallogenic Province is underlain by one such magmatic system that is expressed as a northwest-trending ~ 50 km-wide by 200 km-long elongate track of high susceptibility at deep crustal levels. The high susceptibility corridor splays upward through the crust to the Precambrian surface where the iron deposits are the epigenetic manifestation of this magmatic event. Our findings confirm that the iron deposits, with no distinct connection at the surface, are connected to one large magmatic system at depth. We propose that other similar susceptibility tracks, which are present along the top of the mantle, mark additional feeder zones that allowed magma to ascend to the main eruptive centers that produced the Granite Rhyolite Provinces. The early Mesoproterozoic extensional tectonic framework established crustal-scale pathways that controlled the distribution of subsequent magmatic activity, including the ca 1.4 Ga calderas and underlying intrusions, ca 1.3 Ga silicic plutons and Phanerozoic alkaline intrusions. If these interpretations are correct, our study has identified large areas that are prospective for critical mineral-bearing ore deposits and, importantly, suggests that the Mesoproterozoic architecture may have influenced subsequent magmatism and hydrothermal activity in the southern Midcontinent of the U.S.

Ore Geology Reviews↗

Potential interaction of groundwater and surface water including autonomous underwater vehicle reconnaissance at Nolin River Lake, Kentucky, 2016

The U.S. Geological Survey collaborated with the U.S. Army Corps of Engineers, Louisville District, on a synoptic study of water quality at Nolin River Lake during August 2016. The purpose of the study was to develop a better understanding of the potential for interaction between groundwater and surface water at Nolin River Lake, Kentucky. Groundwater can have properties that are measurably different from those in adjacent surface water, and inflows and outflows can be an important component of water quality and quantity. An improved understanding of potential interaction of groundwater and surface water at Nolin River Lake may be used to refine lake-management strategies. This study (1) compiled and interpreted existing information to characterize the hydrogeological setting and implications for potential interaction of groundwater and surface water in the Nolin River Lake watershed; (2) collected transects of onsite water-quality parameters using an autonomous underwater vehicle (AUV) in areas with potential for interaction of groundwater and surface water, including five sites on Nolin River Lake and one site on the Nolin River; and (3) collected discrete water-quality and phytoplankton community data at the same six sites. A review of existing hydrogeologic information did not indicate the presence of karst features adjacent to or beneath Nolin River Lake that would facilitate groundwater interaction with the reservoir. Observations leading to this conclusion include (1) limestone that is adjacent to the shoreline and perhaps beneath the lake, is overlain with siliciclastic rocks and fine-grained sediment that inhibits infiltration and development of karst features that encourage rapid groundwater flow; (2) the geologic deposits surrounding the reservoir are described as having limited or no potential for development of karst features, some exceptions may exist in tributary valleys; (3) very few karst features were mapped within 1 mile of the reservoir or in the area currently occupied by the reservoir; and (4) faults that intersect the reservoir but may not possess hydraulic properties that cause the faults to be conduits for groundwater flow. Groundwater interaction with reservoir tributaries is likely more common in areas of the watershed upstream from Nolin River Lake where karst hydrogeology is prevalent. Results of water-quality surveys using an AUV from August 15 to 19, 2016, did not identify areas of anomalous values that might indicate groundwater inflows through preferential flow zones. Spatial distributions of water-quality parameters were generally uniform within each constant-depth layer. The constant-depth layers were selected to be above, within, and below the thermocline and ranged from the water surface to 25 feet. Surveys near the bottom of the reservoir that might have been more sensitive to groundwater inflows were not done because presurvey data were not available to indicate locations of obstacles that could ensnare the AUV. Water-quality data collected with the AUV did identify water-quality anomalies where stream tributaries were discharging to the reservoir. The discrete water-quality samples indicated uniformity among the five reservoir sites. The riverine site that is immediately upstream from Nolin River Lake, however, had some unique water-quality characteristics relative to sites on the reservoir. The highest concentrations of nitrate plus nitrite as nitrogen (0.145 milligrams per liter [mg/L]), total phosphorous (0.07 mg/L), chlorophyll a (36.1 micrograms per liter), and pheophytin a (10.2 micrograms per liter) were measured at the Nolin River Lake riverine site (site 2NRR20034). The concentrations of nutrients and chlorophyll a at the riverine site did exceed the 25th percentile of median concentrations measured by the U.S. Environmental Protection Agency (EPA) at other lakes and reservoirs in EPA level IV ecoregion 71a. Concentrations of most nutrients and chlorophyll a at the five reservoir sites also exceeded the 25th percentile of median concentrations in EPA level IV ecoregion 72h. The exception was the concentrations of total phosphorus as phosphorus at the reservoir sites that were at or below the 25th percentile of median concentrations measured by EPA (0.03 mg/L). Concentrations of orthophosphate as phosphorus were less than the method detection limit of 0.004 mg/L at all sites. The phytoplankton community in Nolin River Lake was almost exclusively (greater than 90 percent of total phytoplankton abundance) cyanobacteria, also known as blue-green algae. A species of Cylindrospermopsis dominated the cyanobacterial community at the five reservoir sites, while Chroococcus microscopicus was most abundant at the riverine site. Cyanobacterial cell densities ranged from 10,000 to 198,067,460 cells per liter in five areas in the reservoir and from 4,800 to 73,751,253 cells per liter at the riverine site. Multiple potential sources of water to Nolin River Lake include direct precipitation, overland flow, interflow, groundwater, and surface water. Understanding the exact contribution of each of these components to the water budget at Nolin River Lake may help the U.S. Army Corps of Engineers manage the water quality, water quantity, and biological communities in the reservoir. Additional hydrogeologic and water-quality data that builds on the results of this study may refine the inferences of this study; for example, deeper AUV surveys that target the largest fault zones might further the understanding of the potential for groundwater flow through those features. A complete understanding of the reservoir hydrology, however, may require the use of scientific methods intended for water bodies as large as Nolin River Lake, such as aerial infrared photography and imagery; water mass, chemical, and isotopic balance studies; geophysical measurements; and numerical simulations.

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