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At least 37 records · Page 2Linked to original sources

Cenozoic evolution of the abrupt Colorado Plateau–Basin and Range boundary, northwest Arizona: A tale of three basins, immense lacustrine-evaporite deposits, and the nascent Colorado River

In northwest Arizona, the relatively unextended Colorado Plateau gives way abruptly to the highly extended Colorado River extensional corridor within the Basin and Range province along a system of major west-dipping normal faults, including the Grand Wash fault zone and South Virgin–White Hills detachment fault. Large growth-fault basins developed in the hanging walls of these faults. Lowering of base level in the corridor facilitated development of the Colorado River and Grand Canyon. This trip explores stratigraphic constraints on the timing of deformation and paleogeographic evolution of the region. Highlights include growth-fault relations that constrain the timing of structural demarcation between the Colorado Plateau and Basin and Range, major fault zones, synextensional megabreccia deposits, nonmarine carbonate and halite deposits that immediately predate arrival of the Colorado River, and a basalt flow interbedded with Colorado River sediments. Structural and stratigraphic relations indicate that the current physiography of the Colorado Plateau–Basin and Range boundary in northwest Arizona began developing ca. 16 Ma, was essentially established by 13 Ma, and has changed little since ca. 8 Ma. The antiquity and abruptness of this boundary, as well as the stratigraphic record, suggest significant headward erosion into the high-standing plateau in middle Miocene time. Thick late Miocene evaporite and lacustrine deposits indicate that a long period of internal drainage followed the onset of extension. The widespread distribution of such deposits may signify, however, a large influx of surface waters and/or groundwater from the Colorado Plateau possibly from a precursor to the Colorado River. Stratigraphic relations bracket arrival of a through-flowing Colorado River between 5.6 and 4.4 Ma.

Arizona, California, Nevada

Apatite fission-track evidence for regional exhumation in the subtropical Eocene, block faulting, and localized fluid flow in east-central Alaska

The origin and antiquity of the subdued topography of the Yukon–Tanana Upland (YTU), the physiographic province between the Denali and Tintina faults, are unresolved questions in the geologic history of interior Alaska and adjacent Yukon. We present apatite fission-track (AFT) results for 33 samples from the 2300 km2 western Fortymile district in the YTU in Alaska and propose an exhumation model that is consistent with preservation of volcanic rocks in valleys that requires base level stability of several drainages since latest Cretaceous–Paleocene time. AFT thermochronology indicates widespread cooling below ∼110 °C at ∼56–47 Ma (early Eocene) and ∼44–36 Ma (middle Eocene). Samples with ∼33–27, ∼19, and ∼10 Ma AFT ages, obtained near a major northeast-trending fault zone, apparently reflect hydrothermal fluid flow. Uplift and erosion following ∼107 Ma magmatism exposed plutonic rocks to different extents in various crustal blocks by latest Cretaceous time. We interpret the Eocene AFT ages to suggest that higher elevations were eroded during the Paleogene subtropical climate of the subarctic, while base level remained essentially stable. Tertiary basins outboard of the YTU contain sediment that may account for the required >2 km of removed overburden that was not carried to the sea by the ancestral Yukon River system. We consider a climate driven explanation for the Eocene AFT ages to be most consistent with geologic constraints in concert with block faulting related to translation on the Denali and Tintina faults resulting from oblique subduction along the southern margin of Alaska.

Alaska

On the correct name of Icterus bullockii (Passeriformes: Icteridae)

William Bullock was an Englishman who owned the Egyptian Hall (also known as the London Museum or Bullock’s Museum) at Piccadilly in London, a museum opened in 1812 to display his collection of antiquities, artifacts, and natural history specimens. Following the sale of Bullock’s collection in 1819, the Egyptian Hall served as an exhibition space. Bullock and his son, William Bullock, Jr., both enthusiastic naturalists, travelled in Mexico in 1822–1823, spending some six months together collecting natural history specimens and other artifacts for exhibition and investigating mining and other business opportunities (Costeloe 2006). The elder Bullock returned to London with the collections in 1823, but his son, while ostensibly managing the silver mine his father had purchased in Temascaltepec, outside of Mexico City, continued to travel in Mexico and collect specimens, often in the company of German naturalist Ferdinand Deppe (Costeloe 2006). William Bullock, Sr., meanwhile prepared the Mexican collection for exhibition at the Egyptian Hall. Twin exhibitions on ancient and modern Mexico opened, with much fanfare, in April 1824, and were a great success, remaining open until September 1825 (Costeloe 2006). Afterwards, the contents of the exhibitions were dispersed via auction, but not before Bullock had made the bird specimens available to English naturalist William Swainson for “recording this portion of his discoveries” (Swainson 1827: 365).

Zootaxa

Founders of fish culture - European origins

Just where true fish culture appeared in history depends entirely upon what one considers fish culture to be. If the transportation of fishes from regions of plenty to those of few is to be regarded as fish culture - as it is by some even today - then this story should start in remotest antiquity and deal with an amazing series of failures. However, fish culture to be classed as a science must include far more than mere transportation, it must include a deliberate effort on the part of man to master a technique of fish raising which will yield results far superior to Nature's. Accordingly, the wheel of history must be spun forward to the fifteenth century, A. D., when man first conceived the idea that with care and exactitude, he could improve upon Nature. The fish cultural efforts of the Chinese, the Egyptians, the Greeks, and the Romans may be skipped over in a hurry, for they represented little more than the transportation and rearing of wild fish. With the renaissance of modern civilization in Europe came the birth of scientific fish culture.

Progressive Fish-Culturist

Age of uranium mineralization at the Jabiluka and Ranger deposits, Northern Territory, Australia: New U-Pb isotope evidence

The Ranger and Jabiluka uranium deposits are the largest in the Alligator Rivers uranium field, which contains at least 20 percent of the world's low-cost uranium reserves. Ore occurs in early Proterozoic metasediments, below an unconformity with sandstones of the 1.65-b.y.-old Kombolgie Formation. This study has used U-Pb isotope data from a large number of whole-rock drill core samples with a variety of mineral assemblages and textures. Ranger samples indicate a well-defined age of 1,737 + or - 20 m.y., consistent with earlier suggestions of the antiquity of this deposit. This age is distinctly pre-Kombolgie, so the Ranger deposit cannot have been formed by processes requiring its presence. The age is consistent, however, with mineralization related to heating associated with either the emplacement of early postmetamorphic granites, or possibly, with intrusion of the nearby Oenpelli Dolerite. In contrast, data for the least-altered Jabiluka ores yield a concordia intercept age of 1,437 + or - 40 m.y.--significantly younger than the Ranger age and also younger than the Kombolgie Formation. This age may correspond to a regional thermal event, as indicated both by mafic dikes of roughly this age and a zircon lower intercept age from a nearby granite-gneiss. Thus our data indicate that there must be at least three distinct periods of major U mineralization in the Alligator Rivers uranium field (including the previously determined approximately 900-m.y. age of the Nabarlek deposit), despite the fact that all of the deposits share strong similarities in their host rock, mineralogy, alteration, and geologic setting.Both Ranger and Jabiluka reflect a common, profound isotopic disturbance at about 400 to 600 m.y. This disturbance, which was especially pronounced at Jabiluka, may correspond to the development of basins and associated basalt flows to the west and southwest, as suggested by Crick et al. (1980).

Economic Geology

Metal-sulfate salts from sulfide mineral oxidation

The observation of “efflorescences,” or the flowering of salts, associated with periods of dryness in soils, in closed-basin lakes, in rock outcrops, and in mines and mine wastes has been noted since early antiquity. The formation of metal-sulfate salts, in connection with the mining of metals, was a phenomenon well known to the early Greek and Roman civilizations. Alum, most commonly potash alum KAl(SO 4 ) 2 · 12H 2 O, which is from the Latin alumen , was extensively mined and used by goldsmiths, dyers, paper manufacturers, and physicians in ancient civilizations. It forms from the oxidation of pyrite in shales and slates and from oxidation of sulfurous gases in geothermal areas. The Greeks and the Romans described stalactites of atramentum (soluble metal-sulfate salts) that formed within mines and along rock faces (Agricola 1546, 1556). Furthermore, the toxic effects of these salts on animals were also noted. For example, in De Natura Fossilium , Agricola (1546) stated “….I mention the congealed acid juice which usually produces cadmia . It is white, hard, and so acrid that it can eat away walls, grills and even destroy all living matter.” Cadmia is thought to be derived from the oxidation of zinc, cobalt, and arsenic sulfides, such as cobaltite. He goes on to say that “Pyrite, unless it contains sulphates, is either a golden or silver color, rarely any other, while cadmia is black, yellow brown, or gray. The former will cure gatherings while the latter is a deadly poison and will destroy any living substance. It is used to kill grasshoppers, mice and flies.” These descriptions suggest the presence of arsenic compounds. The range of colors from white to black commonly is caused by different amounts of admixed pyrite with sulfate minerals. From the days of the Greek philosopher Theophrastus ( ca 325 BCE) and the Greek physician Dioscorides (first century CE), the efflorescent salts atramentum sutorium virida or melanterite (also called melanteria ) and atramentum sutorium caeruleum or chalcanthite were well known to form from the corrosion of pyrite and chalcopyrite by moisture (Agricola 1546, footnotes on p. 47–51). By the time of Pliny the Second (Caius Plinius Secundus, 23–79 CE), the names “green vitriol” for melanterite and “blue vitriol” for chalcanthite were in common use and continued to be used from the Middle Ages to the 20th century.

Reviews in Mineralogy and Geochemistry

A comparative analysis of pre-Silurian crustal building blocks of the northern and the southern Appalachian orogen

The New York promontory serves as the divide between the northern and southern segments of the Appalachian orogen. Antiquated subdivisions, distinct for each segment, implied that they had lithotectonic histories that were independent of each other. Using new lithotectonic subdivisions we compare first order features of the pre-Silurian orogenic 'building blocks' in order to test the validity of the implication of independent lithotectonic histories for the two segments. Three lithotectonic divisions, termed here the Laurentian, Iapetan, and the peri-Gondwanan realms, characterize the entire orogen. The Laurentian realm, composed of native North American rocks, is remarkably uniform for the length of the orogen. It records the multistage Neoproterozoic-early Paleozoic rift-drift history of the Appalachian passive margin, formation of a Taconic Seaway, and the ultimate demise of both in the Middle Ordovician. The Iapetan realm encompasses mainly oceanic and magmatic arc tracts that once lay within the Iapetus Ocean, between Laurentia and Gondwana. In the northern segment, the realm is divisible on the basis of stratigraphy and faunal provinciality into peri-Laurentian and peri-Gondwanan tracts that were amalgamated in the Late Ordovician. South of New York, stratigraphic and faunal controls decrease markedly; rock associations are not inconsistent with those of the northern Appalachians, although second-order differences exist. Exposed exotic crustal blocks of the peri-Gondwanan realm include Ganderia, Avalonia, and Meguma in the north, and Carolinia in the south. Carolinia most closely resembles Ganderia, both in early evolution and Late Ordovician-Silurian docking to Laurentia. Our comparison indicates that, to a first order, the pre-Silurian Appalachian orogen developed uniformly, starting with complex rifting and a subsequent drift phase to form the Appalachian margin, followed by the consolidation of Iapetan components and ending with accretion of the peri-Gonwanan Ganderia and Carolinia. This deduction implies that any first-order differences between northern and southern segments post-date Late Ordovician consolidation of a large portion of the orogen.

American Journal of Science

Chapter J: Issues and challenges in the application of geostatistics and spatial-data analysis to the characterization of sand-and-gravel resources

Sand-and-gravel (aggregate) resources are a critical component of the Nation's infrastructure, yet aggregate-mining technologies lag far behind those of metalliferous mining and other sectors. Deposit-evaluation and site-characterization methodologies are antiquated, and few serious studies of the potential applications of spatial-data analysis and geostatistics have been published. However, because of commodity usage and the necessary proximity of a mine to end use, aggregate-resource exploration and evaluation differ fundamentally from comparable activities for metalliferous ores. Acceptable practices, therefore, can reflect this cruder scale. The increasing use of computer technologies is colliding with the need for sand-and-gravel mines to modernize and improve their overall efficiency of exploration, mine planning, scheduling, automation, and other operations. The emergence of megaquarries in the 21st century will also be a contributing factor. Preliminary research into the practical applications of exploratory-data analysis (EDA) have been promising. For example, EDA was used to develop a linear-regression equation to forecast freeze-thaw durability from absorption values for Lower Paleozoic carbonate rocks mined for crushed aggregate from quarries in Oklahoma. Applications of EDA within a spatial context, a method of spatial-data analysis, have also been promising, as with the investigation of undeveloped sand-and-gravel resources in the sedimentary deposits of Pleistocene Lake Bonneville, Utah. Formal geostatistical investigations of sand-and-gravel deposits are quite rare, and the primary focus of those studies that have been completed is on the spatial characterization of deposit thickness and its subsequent effect on ore reserves. A thorough investigation of a gravel deposit in an active aggregate-mining area in central Essex, U.K., emphasized the problems inherent in the geostatistical characterization of particle-size-analysis data. Beyond such factors as common drilling methods jeopardizing the accuracy of the size-distribution curve, the application of formal geostatistical principles has other limitations. Many of the variables used in evaluating gravel deposits, including such sedimentologic parameters as sorting and such United Soil Classification System parameters as gradation coefficient, are nonadditive. Also, uniform sampling methods, such as drilling, are relatively uncommon, and sampling is generally accomplished by a combination of boreholes, water-well logs, test pits, trenches, stratigraphic columns from exposures, and, possibly, some geophysical cross sections. When evaluated in consideration of the fact that uniform mining blocks are also uncommon in practice, subsequent complexities in establishment of the volume/variance relation are inevitable. Several approaches exist to confront the limitations of geostatistical methods in evaluating sand-and-gravel deposits. Initially, we must acknowledge the practical requirements of the aggregate industry, as well as the limitations of the data collected by that industry, as a function of what the industry requires at the practical level, and consider that broader acceptance of formal geostatistics may require modifications of typical exploration and sampling protocols. Future investigations should utilize data from the full spectrum of sand-and-gravel deposits (flood plain, glacial, catastrophic flood, and marine), integrate such other disci plines as sedimentology and geophysics into the research, develop commodity-specific approaches to nonadditive variables, and include the results of comparative drilling.

Bulletin

An assessment of volcanic threat and monitoring capabilities in the United States: Framework for a National Volcano Early Warning System

Executive Summary NVEWS – a National Volcano Early Warning System – is being formulated by the Consortium of U.S. Volcano Observatories (CUSVO) to establish a proactive, fully integrated, national-scale monitoring effort that ensures the most threatening volcanoes in the United States are properly monitored in advance of the onset of unrest and at levels commensurate with the threats posed. Volcanic threat is the combination of hazards (the destructive natural phenomena produced by a volcano) and exposure (people and property at risk from the hazards). The United States has abundant volcanoes, and over the past 25 years the Nation has experienced a diverse range of the destructive phenomena that volcanoes can produce. Hazardous volcanic activity will continue to occur, and – because of increasing population, increasing development, and expanding national and international air traffic over volcanic regions – the exposure of human life and enterprise to volcano hazards is increasing. Fortunately, volcanoes exhibit precursory unrest that if detected and analyzed in time allows eruptions to be anticipated and communities at risk to be forewarned with reliable information in sufficient time to implement response plans and mitigation measures. In the 25 years since the cataclysmic eruption of Mount St. Helens, scientific and technological advances in volcanology have been used to develop and test models of volcanic behavior and to make reliable forecasts of expected activity a reality. Until now, these technologies and methods have been applied on an ad hoc basis to volcanoes showing signs of activity. However, waiting to deploy a robust, modern monitoring effort until a hazardous volcano awakens and an unrest crisis begins is socially and scientifically unsatisfactory because it forces scientists, civil authorities, citizens, and businesses into “playing catch up” with the volcano, trying to get instruments and civil-defense measures in place before the unrest escalates and the situation worsens. Inevitably, this manner of response results in our missing crucial early stages of the volcanic unrest and hampers our ability to accurately forecast events. Restless volcanoes do not always progress to eruption; nevertheless, monitoring is necessary in such cases to minimize either over-reacting, which costs money, or under-reacting, which may cost lives. Volcano monitoring in the U.S. is conducted by five volcano observatories, supported primarily by the USGS Volcano Hazards Program. Under the Stafford Act, the USGS is responsible for issuing timely warnings of potential volcanic disasters to the affected populace and civil authorities. To make maximum use of the Nation’s scientific resources, the USGS operates the observatories with the help of universities and other governmental agencies, through formal partnerships. At present, about half of the most threatening U.S. volcanoes are monitored at a basic level with real-time sensors (primarily seismic arrays), and a few are well monitored with a suite of modern instrument types and methods. However, monitoring capabilities at many hazardous volcanoes are known to be sparse or antiquated, and some hazardous volcanoes have no ground-based monitoring whatsoever.

Marianas Islands

Size of the California Brown Pelican Metapopulation During a Non-El Nino Year

Overall, we estimated a total metapopulation within the geographical range of the California brown pelican subspecies (Pelecanus occidentalis californicus) as about 70,680 ? 2,640 breeding pairs (mean ? SD). Little change in at least three decades is indicated in the total metapopulation south of the Southern California Bight (SCB) subpopulation, but significant improvements in the breeding subpopulation size in the SCB reported elsewhere, support the present high numbers observed in this northernmost subpopulation. The largest breeding aggregation within the entire range (consisting of three immediately adjacent sub-colonies), at the San Lorenzo Archipelago, consisted of about 17,225 breeding pairs, or about 24.4% of the metapopulation in 2006. Other, smaller colonies are no less important, however, although each subpopulation defined by us seemed to have a single or small number of large 'core' breeding colonies, plus many smaller colonies (for example, in 2006, one colony consisted of only 2 breeding pairs). Small colonies (< about 70 nests) comprised about 35.6% of the total occupied colonies, but only about 0.87% of the total estimated numbers (values corrected for detectability). The modal colony-size throughout the range was much smaller (about 230 to 1,300 breeding pairs, depending on subpopulation), indicating that small, scattered colonies and sub-colonies, especially on the range peripheries, function in brown pelican population dynamics and are no less important from a conservation viewpoint. These smaller breeding colonies probably represent some colonies of antiquity, but also range expansions and contractions that occur within the typically-defined metapopulation, and local manifestations of source-sink phenomena. Given such dynamics, even unoccupied islands within the range in 2006 have conservation importance from the viewpoint of such dynamics as potential alternate nesting sites. Natural variations in the estimated population levels seem to be related to the natural cycles of El Ni?o/Southern Oscillation (ENSO) phenomena where very low breeding populations (as low as no nesting in many areas) might be expected to occur in these same areas censused in 2006 at least 40% of the time. From the 2006 aerial survey, extensive commercial and sport-fishing activity, resort/tourist developments and associated human activities along the coastal areas and at offshore islands, and extensive aquacultural (and to a lesser degree, agricultural) developments seen from the Rio Colorado Delta region, Sonora, south at least through San Blas, Nayarit (the southern terminus of our 2006 aerial survey) may result in substantial loss of breeding habitat. Juvenile (young of the 2005 breeding season) plus subadult brown pelicans comprised 28.1% ? 0.33% (mean ? 95% CI) of the total numbers in age-ratio samples. Thus, our overall metapopulation estimate for P. o. californicus in 2006 was 195,900 ? 7,225 individuals.

Open-File Report

Tin and related elements in sediments and beach sands from Afghanistan, Iran, and Turkey

Sixty samples of sediments from stream beds, outwash plains, and beaches were collected in Afghanistan, Iran, and Turkey by Fred L. Klinger, U.S. Bureau of Mines, as part of the field work undertaken by the National Geographic-Smithsonian Pyrotechnological Expedition of 1968. Facilities for the analysis of the samples for tin and other metals were not immediately available, but in 1973 arrangements were made for analyses to be made on a time-permitting basis in the U.S. Geological Survey. The original purpose in collecting the samples was to determine whether tin was present in amounts indicative of sources for tin ores used in antiquity for the manufacture of bronze. The results of the analyses not only permitted an evaluation of the potential for tin in the localities sampled, but also afforded chemical and mineralogical data that were interpretable in the context of regional potential for other elements of current industrial use. These include gold, base metals, ferro-alloy metals, beryllium, rare earths, and barium. The original 60 samples of sand were sieved to make three size fraction (>0.707 mm, <O.707->O.177 mm, and <0.177 mm) for spectrographic and chemical analysis. Splits of these fractions were used for replicate analyses to permit evaluation of the precision of the analytical procedures. Further splitting of the <0.707->0.177 mm sand gave fractions from each sample that were separated in bromoform. Concentrates from the heavy-liquid separations were divided magnetically into six parts from most magnetic to least magnetic. These concentrates were analyzed spectrographically. The precision of the spectrographic analyses is well within the limits of precision expected from semiquantitative procedures. Such precision allows semiquantitative spectrographic procedures to be used with confidence as a valuable tool for reconnaissance investigations in which multi-element analyses are necessary. The analyses of the various fractions of sediments and sediment concentrates indicate the sample media in which an element was most likely to occur. Tin exhibited no preferential concentration into any particular medium. However, many elements with which tin is associated, and other elements of industrial use, do concentrate into one or more of the sample media. This indication of a preferred medium permits interpretation of the analyses as to the best sample medium for a particular element in the environment of western Asia. Cassiterite and/or tin were detected in many samples from Afghanistan, Iran, and Turkey, but in most of the samples the tin was present in normal crustal abundance. Sixteen samples, including seven from Afghanistan, eight from Iran, and one from Turkey contain unusually large amounts of tin. The most notable areas of anomalous tin are near Mirzaka, Qala-i-Asad, and Shah Agha in Afghanistan; near Meshed, Shir Kuh, Natanz, Nodus, and Talmesi in Iran; and on the shore of the Balck Sea just west of Trabzon in Turkey. Even in these localities the tin appears to be a minor element associated with other ores. The most common association of tin is with copper at known mineralized areas. This relation may have historical significance in the context of the development of bronze. The results of the analyses provided geochemical data on the distribution of other elements of industrial use and clearly identified nine of the ten known mineral deposits represented by the samples. The known metallization at the reported deposits may be only a part of more complex groups of metals. In Afghanistan an array of anomalous elements at the known gold placers around Mirzaka and along the Anguri River signals the presence of complex ore deposits. These elements are silver, arsenic, gold, bismuth, cadmium, copper, mercury, indium, molybdenum, lead, antimony, tin, thallium, tungsten, and zinc. They may indicate a Carlin-type gold deposit in which the wall-rocks are enriched in micron-sized particles of gold. Other localities in Afghanistan signalled by the results of the analyses to be anomalous and to merit further geochemical exploration are: (1) a reach of the Panjshir River for beryllium, lead, zinc, chromium and nickel; (2) the area near Bamian for beryllium; (3) the Siakhak village area for gold and copper; (4) around Qala-i-Asad and Shah Agha for lead, zinc, gold, and tungsten. Some attention to the distribution of monazite around Siakhak, Shahjui, Qala-i-Asad, and Shah Agha is justified to determine if this ore mineral for the rare earths and thorium is enriched over its normally expectable trace as an accessory mineral in granitic rocks, pelitic schists, and gneisses. In Iran, the pluton of granodiorite porphyry near Sar Cheshmeh, an area where a huge porphyry copper deposit was being investigated by the Geological Survey of Iran when the present samples were collected in 1968, shows as a strong geochemical anomaly for copper and molybdenum. The granitic area near Meshed is geochemically enriched persistently in beryllium, tin, and barium, and locally in gold, lanthanum, niobium, yttrium, and other elements. This area deserves a thorough regional geochemical survey for beryl and nonberyl sources of beryllium, for fluorite, and for the ores of niobium, tin, barium, the rare earths, and thorium. Other localities in Iran that merit geochemical exploration on the basis of these data are: ;1) the areas between Tabas and Deyhuk, east of Naiband, and south of Naiband for barium and zinc; (2) a locality about midway between Kerman and Sirdjan for barium, lanthanum, strontium, and zinc; (4) the Meskani copper mine area for mercury, lead, and nickel as well as copper; (5) the Talmesi copper mine area for such other elements as barium, cobalt, mercury, strontium, and zinc; (6) a small pluton of granodiorite north of Natanz for tungsten and base metals; (7) the vicinity of Zendjan for auriferous polymetallic sufide deposits; (8) gold in the gorge 15 km east of Miyaneh; and (9) the area near Nodus for gold, base metals, molybdenum, and niobium, and possibly uranium. The Harsit River basin in Turkey appears to be a suitable target for geochemical exploration for gold and low-temperature hydrothermal deposits of base metals, barium, and mercury.

Open-File Report

Investigations needed to stimulate the development of Jordan's mineral resources

The level of living that any society can attain is a direct function of the use it makes of all kinds of raw materials (soil, water, metals, nonmetals, etc.), all kinds of energy (both animate and inanimate), and all kinds of human ingenuity; and is an inverse function of the size of the population that must share the collective product. The relation between raw materials, energy and ingenuity is such that use of a large amount of one may offset the need for large amounts of others. The most vital raw materials are water, soil, and construction materials, for these are needed in large quantities and are hard to import. Metals, chemicals, and inanimate energy are necessary for industrialization. The more of these minerals a nation possess, the better, but not nation can hope to be self-sufficient in all of the m and therefore must trade for some essential materials. Jordan’s natural resources have been little explored. The grantitc-metamorphic terrane in the southeastern part of the Kingdom could contain deposits of tungsten, rare earths, feldspar, mica, fluorite etc. and the sedimentary terrane over much of the rest of the county is favorable for the occurrence of oil. Even if none of these minerals is found, however, Jordan’s other mineral resource, if fully explored and developed in the light of modern technology, will support a far higher level of living than her people now enjoy. Very likely she can increase her rainfall by about 10 percent by cloud seeding, and she undeveloped supplies in both surface and ground water that are sufficient to nearly double her usable water supply. Even if she does not have oil or have it in large quantities, she can buy it cheaply from neighboring counties, and in addition has undeveloped sources of hydroelectric power, large reserves of bituminous limestone, large reserves of nuclear power as uranium in phosphate rock, and can use solar and wind power for special purposes. Her large supplies of construction, fertilizer, and other chemical raw materials will not only satisfy her own needs, but will yield both raw materials and some manufactured products for export. And she has valuable resource of touristic interest in the form of incomparable scenery, antiquities, and holy places, which, if properly advertised, could well become her largest single source of foreign currency. Revenues obtained from this source and from the export of agricultural products, nonmetallic minerals, and mineral products should support foreign oil purchase of oil, machinery, and other products not mined or produced internally. Full development of Jordan’s economic potential will take years to achieve and involves many complex activities. One of the most essential is one that can be pressed in the early years, namely the gathering of facts and basic data concerning the character, extent, and distribution of her resources, and the uses that can be made of them. Without each fundamental data or the understanding of their meaning or the ways to use and apply them, costly developmental projects and similar efforts to raise the level of living are likely to have limited success at best. Basic data and mineral resources are best gathered and published by permanent government agencies, for private organizations and individual cannot afford to take the risks involved in gathering data that may not have an immediate economic return; and even if private parties do collect such data they are not likely to make them general available. Of the activities needed in the field of mineral resources, some are already underway as the established function of government agencies. No bureau however, seems to have responsibility for making geologic maps and for gathering data on such things as steam flow, composition and properties of minerals and rocks, or for investigating the uses to which Jordan’s minerals might be put. To satisfy these needs, a Geological Survey and a Bureau of Mineral Industries should be formed and placed in operation as quickly as possible. The task of collecting and interpreting basic data or mineral resources must be done largely by Jordanians, for only in this way will Jordan acquire the technical competence needed to use the information. Few Jordanians have enough training or experience to work independently in these fields now, however, so help from outside technicians would be necessary over an initial training period of several years. But the number of outside technicians should never exceed the number of Jordanian technicians, and for this reason, neither organization could have a staff of more than a few people during the early years of operation.

Open-File Report

The Loma Prieta, California, Earthquake of October 17, 1989: Performance of the built environment

Professional Paper 1552 focuses on the response of buildings, lifelines, highway systems, and earth structures to the earthquake. Losses to these systems totaled approximated $5.9 billion. The earthquake displaced many residents from their homes and severely disrupted transportation systems. Some significant findings were: * Approximately 16,000 housing units were uninhabitable after the earthquake including 13,000 in the San Francisco Bay region. Another 30,000-35,000 units were moderately damaged in the earthquake. Renters and low-income residents were particularly hard hit. * Failure of highway systems was the single largest cause of loss of life during the earthquake. Forty-two of the 63 earthquake fatalities died when the Cypress Viaduct in Oakland collapsed. The cost to repair and replace highways damaged by the earthquake was $2 billion, about half of which was to replace the Cypress Viaduct. * Major bridge failures were the result of antiquated designs and inadequate anticipation of seismic loading. * Twenty one kilometers (13 mi) of gas-distribution lines had to be replaced in several communities and more than 1,200 leaks and breaks in water mains and service connections had to be excavated and repaired. At least 5 electrical substations were badly damaged, overwhelming the designed redundancy of the electrical system. * Instruments in 28 buildings recorded their response to earthquake shaking that provided opportunities to understand how different types of buildings responded, the importance of site amplification, and how buildings interact with their foundation when shaken (soil structure interaction).

Professional Paper

The corrosive well waters of Egypt's western desert

The discovery that ground waters of Egypt's Western Desert are highly corrosive is lost in antiquity. Inhabitants of the oases have been aware of the troublesome property for many decades and early investigators mention it in their reports concerning the area. Introduction of modern well-drilling techniques and replacements of native wood casing with steel during the 20th century increased corrosion problems and, in what is called the New Valley Project, led to an intense search for causes and corrective treatments. This revealed that extreme corrosiveness results from combined effects of relatively acidic waters with significant concentrations of destructive sulfide ion; unfavorable ratios of sulfate and chloride to less aggressive ions; mineral equilibria and electrode potential which hinder formation of protective films; relative high chemical reaction rates because of abnormal temperatures, and high surface velocities related to well design. There is general agreement among investigators that conventional corrosion control methods such as coating metal surfaces, chemical treatment of the water, and electrolytic protection with impressed current and sacrificial electrodes are ineffective or impracticable for wells in the Western Desert's New Valley. Thus, control must be sought through the use of materials more resistant to corrosion than plain carbon steel wherever well screens and casings are necessary. Of the alternatives considered, stainless steel appears to. be the most promising where high strength and long-term services are required and the alloy's relatively high cost is acceptable. Epoxy resin-bonded fiberglass and wood appear to be practicable, relatively inexpensive alternatives for installations which do. not exceed their strength limitations. Other materials such as high strength aluminum and Monel Metal have shown sufficient promise to. merit their consideration in particular locations and uses. The limited experience with pumping in these desert wells leaves uncertainties concerning the durability of conventional pump designs. Egypt's New Valley Project provides an excellent opportunity for continuing study of the corrosion problems that concern ground-water developers in many parts of the world.

Water Supply Paper

Eo-Ulrichian to Neo-Ulrichian views: The renaissance of "layer-cake stratigraphy"

Classical notions of "layer-cake stratigraphy" have been denigrated as representing an antiquated "Neptunian" view of the geologic record with the American paleontologist-stratigrapher E.O. Ulrich vilified as its quintessential advocate. Some of the extreme "layer-cake" interpretations of E.O. Ulrich are demonstrably incorrect, especially where applied in marginal marine and terrestrial settings. However, close scrutiny of Ulrich's work suggests that the bulk was correct and demonstrated considerable insight for the time. Subsequent development of facies concepts revolutionized geologists' view of time-space relationships in stratigraphy, but rather than focusing on facies patterns within the established stratigraphic (layer-cake) frameworks many geologists in North America came to view strata as parts of diachronous facies mosaics. Recent advances in the development of event and sequence stratigraphic paradigms are beginning to swing the pendulum back the other way. Possible causes of "layer-cake" patterns are numerous and varied, including: (1) parallelism of depositional strike and outcrop belts, especially in foreland basins, (2) very widespread environmental belts developed in low-relief cratonic areas, (3) time-averaging homogenizes facies to a limited extent, resulting in a very subtle signature of lateral change, (4) condensed beds (hardgrounds, bone beds, ironstones, etc.) often form in responses to extrabasinal forces, thus they cross-cut facies, and (5) large events (i.e. hurricanes, floods, tsunamis, eruptions, etc.) are "over represented" in the rock record. A revised ("Neo-Ulrichian") layer-cake paradigm carries many of the original correct empirical observations of pattern, noted by Ulrich, recast in terms of event and sequence stratigraphy.

Conference Paper

Preliminary examination of lunar samples: Part A: a petrographic and chemical description of samples from the lunar highlands

More than four-fifths of the surface of the Moon consists of a profoundly cratered irregular surface designated terra or highlands by analogy with the terrestrial continents. These terra regions have much higher albedos than the physiographically lower and much smoother mare regions. The difference in albedo can now be ascribed to a fundamental difference in the chemical and mineralogical character of these two regions. Lunar samples from landing sites in the mare regions and high-resolution photographs taken from lunar orbit have shown that the lunar maria are underlain by extensive lava flows. Isotopic dating of samples from four mare regions (refs. 7-1 to 7-4) indicate that mare volcanism covered a time span of 600 million years, beginning approximately 3.7 billion years ago. The intensely cratered character of terra regions is due to both the greater antiquity of these parts of the Moon and the higher flux of incoming objects that hit the Moon during very early lunar history (ref. 7-5). In contrast with the mare region, the origin of the underlying material of the terra is not easily inferred from physiographic criteria. The surface manifestations of early plutonic or extrusive igneous activity &mdash; if indeed they ever existed &mdash; were erased from the terra regions by the intense early bombardment of the lunar surface. Some portions of the highlands may be exceptions to this generalization; in particular, large craters such as Ptolemaeus, Hipparchus, Albategnius, and Alphonsus. The regions bounded by these craters are much smoother than the typical densely cratered highlands. These regions are generally assumed to be physiographic lows that have, in some way, been filled by younger material. The nature of the material and the mechanism by which it was introduced into the basins are not well understood. On the basis of rather detailed studies of the physiographic and albedo characteristics of the basin material, it has been suggested (ref. 7-6) that the filling of the highland basins was a result of volcanic processes similar to those which filled the large mare basins. Some highland basins also contain hilly, hummocky regions that bear no relation to large crater rims or crater ejecta. These regions have been interpreted as extrusive igneous features formed by viscous, silicic, igneous liquids (ref. 7-6).

Book chapter

Natural bitumen and extra-heavy oil

Crude oil is found in sedimentary rocks throughout the world, except, thus far, in Antarctica. In many places the oil has been degraded, so that it is represented by viscous black oil that is difficult to recover, transport, and refine. Depending upon the degree of degradation the result is extra-heavy oil or, in the extreme case, natural bitumen. Except in Canada, precise quantitative reserves and oilin-place data on a reservoir basis are seldom available because most countries and companies consider such information to be proprietary. Natural bitumen is the oil contained in clastic and carbonate reservoir rocks, most frequently in small deposits at, or near, the earth’s surface. These rocks are commonly referred to as tar sands or oil sands and have been mined since antiquity for use as paving. Occasionally such deposits are extremely large in areal extent and in contained resources, most notably those in northern Alberta, Canada. In 2003 only the Alberta bitumen deposits were being exploited as a source of crude oil. Similarly, reservoirs containing extra-heavy oil are geographically widespread but only one such deposit is sufficiently large to have a major supply and economic impact. That deposit is the Orinoco Oil Belt in Eastern Venezuela. Nowhere else in the world is such a concentration of extra heavy oil known or likely to exist. Definitions of terms used in this commentary may be found immediately prior to Table 4.1. The resource definitions are those of the World Petroleum Congress-Society of Petroleum Engineers-American Association of Petroleum Geologists, with minor additions. One such addition, e.g. is the term Original Reserves, comprised of Proved Reserves plus Cumulative Production, which tends to place new and mature reservoirs on a more nearly comparable basis than either term alone

Conference Paper

A brief history of commercial fishing in Lake Erie

Salient features of the development of the industry from about 1815 to 1968, changes in fishing gears and methods, changes in the kinds and abundance of fishes caught, and the attendant effects of disappearing species on the stability of the fishery are described. The history and present status of the walleye, yellow perch, and eight other fishes, still taken in commercial quantities, are presented in more detail and are considered in the context of their effect on the current moribund state of the U.S. fishery. Past and present contributions of Lake Erie's tributaries and northerly connecting waters to the fishery are outlined briefly. The "outlook" for the fishery under present conditions of selective overfishing for high-value species, excessive pollution, ineffective and uncoordinated regulation, and antiquated methods of handling, processing, and marketing fish are discussed, and possible solutions to these problems are suggested.

Lake Erie