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At least 577 records · Page 32Linked to original sources

Following the tug of the audience from complex to simplified hazards maps at Cascade Range volcanoes

Volcano-hazard maps are broadly recognized as important tools for forecasting and managing volcanic crises and for disseminating spatial information to authorities and people at risk. As scientists, we might presume that hazards maps can be developed at the time and with the methods of our discretion, yet the co-production of maps with stakeholder groups, who have programmatic needs of their own, can sway the timing, usability, and acceptance of map products. We examine two volcano hazard map-making efforts by staff at the U.S. Geological Survey. During the 1990s and early 2000s scientists developed a series of hazard assessments and maps with detailed zonations for volcanoes in Washington and Oregon. In 2009, the National Park Service expressed the need for simplified versions of the existing hazard maps for a high-profile visitor center exhibit. This request created an opportunity for scientists to rethink the objectives, scope, content, and map representations of hazards. The primary focus of this article is a discussion of processes used by scientists to distill the most critical information within the official parent maps into a series of simplified maps using criteria specified. We contextualize this project with information about development of the parent maps, public response to the simplified hazard maps, the value of user engagement in mapmaking, and with reference to the abundance of guidance available to the next generation of hazard-mapmakers. We argue that simplified versions of maps should be developed in tandem with any hazard maps that contain technical complexities, not as a replacement, but as a mechanism to broaden awareness of hazards. We found that when scientists endeavor to design vivid and easy-to-understand maps, people in many professions find uses for them within their organization’s information products, resulting in extensive distribution.

Washington↗

Endocrine-disrupting chemicals and oil and natural gas operations: Potential environmental contamination and recommendations to assess complex environmental mixtures

Background : Hydraulic fracturing technologies, developed over the last 65 years, have only recently been combined with horizontal drilling to unlock oil and gas reserves previously deemed inaccessible. While these technologies have dramatically increased domestic oil and natural gas production, they have also raised concerns for the potential contamination of local water supplies with the approximately 1,000 chemicals used throughout the process, including many known or suspected endocrine-disrupting chemicals. Objectives : We discuss the need for an endocrine component to health assessments for drilling-dense regions in the context of hormonal and anti-hormonal activities for chemicals used. Methods : We discuss the literature on 1) surface and ground water contamination by oil and gas extraction operations, and 2) potential human exposure, particularly in context of the total hormonal and anti-hormonal activities present in surface and ground water from natural and anthropogenic sources, with initial analytical results and critical knowledge gaps discussed. Discussion : In light of the potential for environmental release of oil and gas chemicals that can disrupt hormone receptor systems, we recommend methods for assessing complex hormonally active environmental mixtures. Conclusions : We describe a need for an endocrine-centric component for overall health assessments and provide supporting information that using this may help explain reported adverse health trends as well as help develop recommendations for environmental impact assessments and monitoring programs.

Environmental Health Perspectives↗

Complex response of a midcontinent north America drainage system to late Wisconsinan sedimentation

The geomorphic evolution of Mud Creek basin in eastern Iowa, U.S.A. serves to illustrate how geomorphic influences such as sediment supply, valley gradient, climate, and vegetation are recorded in the alluvial stratigraphic record. Sediment supply to the fluvial system increased significantly during the late Wisconsinan through a combination of periglacial erosion and loess accumulation. Subsequent evolution of the Holocene alluvial stratigraphic record reflects long-term routing of the late Wisconsinan sediment through the drainage basin in a series of cut-and-fill cycles whose timing was influenced by hydrologic response to change in climate and vegetation. When viewed in a regional context, the alluvial stratigraphic record appears to reflect a long-term complex response of the fluvial system to increased sediment supply during the late Wisconsinan. Hydrologic and sediment-supply changes accompanying the spread of Euroamerican agriculture to the basin in the 1800s dramatically upset trends in sedimentation and channel behavior established during the Holocene.

Journal of Sedimentary Research↗

Spatial ecological processes and local factors predict the distribution and abundance of spawning by steelhead ( Oncorhynchus mykiss ) across a complex riverscape

Processes that influence habitat selection in landscapes involve the interaction of habitat composition and configuration and are particularly important for species with complex life cycles. We assessed the relative influence of landscape spatial processes and local habitat characteristics on patterns in the distribution and abundance of spawning steelhead (Oncorhynchus mykiss), a threatened salmonid fish, across ~15,000 stream km in the John Day River basin, Oregon, USA. We used hurdle regression and a multi-model information theoretic approach to identify the relative importance of covariates representing key aspects of the steelhead life cycle (e.g., site access, spawning habitat quality, juvenile survival) at two spatial scales: within 2-km long survey reaches (local sites) and ecological neighborhoods (5 km) surrounding the local sites. Based on Akaike’s Information Criterion, models that included covariates describing ecological neighborhoods provided the best description of the distribution and abundance of steelhead spawning given the data. Among these covariates, our representation of offspring survival (growing-season-degree-days, °C) had the strongest effect size (7x) relative to other predictors. Predictive performances of model-averaged composite and neighborhood-only models were better than a site-only model based on both occurrence (percentage of sites correctly classified = 0.80±0.03 SD, 0.78±0.02 vs. 0.62±0.05, respectively) and counts (root mean square error = 3.37, 3.93 vs. 5.57, respectively). The importance of both temperature and stream flow for steelhead spawning suggest this species may be highly sensitive to impacts of land and water uses, and to projected climate impacts in the region and that landscape context, complementation, and connectivity will drive how this species responds to future environments.

Oregon↗

Before-after, control-impact analysis of evidence for the impacts of water level on Walleye, Northern Pike and Yellow Perch in lakes of the Rainy-Namakan complex (MN, USA and ON, CA)

Water level (WL) fluctuations in lakes influence many aspects of ecosystem processes. Concern about the potential impact of WL fluctuations on fisheries was one of the factors that motivated the decision in 2000 to alter the management of WL in the Rainy-Namakan reservoir complex (on the border between the U.S. state of Minnesota and the Canadian province of Ontario). We used a Before-After, Control-Impact (BACI) framework to identify potential impacts of the change in WL management to Walleye, Northern Pike and Yellow Perch catch per unit effort (CPUE). The CPUE of these species from 1990±1999 and from 2005±2014 were compared in four impact lakes (Lake Kabetogama, Namakan Lake, Rainy Lake and Sand Point Lake) and two control lakes (Lake of the Woods and Lake Vermilion) using a simple Bayesian model. Changes in fish CPUE in the impact lakes were often similar to changes that occurred in at least one control lake. The only change that was not similar to changes in control lakes was an increase of Yellow Perch in Lake Kabetogama. The two control lakes often differed substantially from each other, such that if only one had been available our conclusions about the role of WL management on fisheries would be very different. In general, identifying cause-and-effect relationships in observational field data is very difficult, and the BACI analysis used here does not specify a causative mechanism, so co-occurring environmental and management changes may obscure the effect of WL management.

Minnesota, Ontario↗

Zooplankton dynamics in the Cache Slough complex of the upper San Francisco Estuary

We studied abundance and dynamics of zooplankton in the tidal freshwater Cache Slough Complex (CSC) in the northern Delta of the San Francisco Estuary during June, July, and October 2015. We asked whether the CSC was an area of high zooplankton production that could act as a source region for open waters of the estuary. Abundance of the copepod Pseudodiaptomus forbesi was similar to that in freshwater reaches of the central and eastern Delta and higher than that in the adjacent Sacramento River. Growth rate of P. forbesi was higher than previously measured in large estuarine channels because of higher temperature and phytoplankton biomass in the CSC. Samples of P. forbesi examined with molecular techniques contained an unexpectedly high proportion of DNA from cyanobacteria and little DNA from more nutritious phytoplankton. We also examined tidal exchanges of phytoplankton biomass and copepods between Liberty Island, a shallow tidal lake within the CSC, and the adjacent southern Cache Slough, which links the CSC to the Sacramento River. We calculated zero net flux of phytoplankton over 127 days between June and October. The tidal flux of copepods, calculated using tidal flow from an in situ flow station and half-hourly sampling over three 24.8-hr tidal cycles, varied a great deal because of temporal patchiness and day/night variation in abundance. Overall, the tidal flux was indistinguishable from zero, while the tidally-averaged water flow (and therefore the net copepod flux) was always into the wetland. Our results show some promise for the CSC as a productive habitat for planktivorous fishes and as a laboratory for learning how to design future wetland restoration. However, we remain cautious about whether wetlands such as the CSC may export large quantities of food organisms that can support fishes in other regions of the estuary.

San Francisco Estuary and Watershed Science↗

Temporal connectivity in a prairie pothole complex

A number of studies have noted the occurrence of intermittent surface-water connections between depressional wetlands in general and prairie potholes in particular. Yet, the ecological implications of such connections remain largely unexplored. In 1995, we observed spillage into and out of a North Dakota wetland during two field visits. Between May 3 and May 26, there was a positive relationship between specific conductance and water level at this site, suggesting an external source of dissolved ions. We estimated that specific conductance may have increased at the site by as much as 614 μS cm −1 due to spillage from the upslope wetland. Based on a spatial analysis that compared National Wetlands Inventory maps with 1996 color infrared imagery, we estimated that 28% of the area’s wetlands had a temporary surface water connection to at least one other wetland at that time, including one complex of 14 interconnected wetlands. These results indicate that the connectivity observed in 1995 was not confined to the two wetlands nor to that single year. The degree of connectivity we observed would be expected to occur during the wetter portions of the region’s 20-year wet-dry cycle. We hypothesize that intermittent surface-water connections between wetlands occur throughout the prairie pothole region. Given patterns in relief and precipitation, these connections most likely would have occurred in the eastern portion of the prairie pothole region. However, wetland drainage may have altered historical patterns. The implication of these spatial and temporal trends is that surface-water connections between depressional wetlands should be viewed as a probability event that has some distribution over time and space. We refer to connections that are impermanent, temporally discontinuous, or sporadic as temporal connectivity. The most intriguing feature of these temporary connections may be that they could affect biodiversity or population dynamics through transport of individuals or reproductive bodies. Research is needed to determine whether these connections actually cause these biological effects and to characterize the distribution and effects of this phenomenon.

Wetlands↗

A method and example of seismically imaging near‐surface fault zones in geologically complex areas using Vp, Vs, and their ratios

The determination of near‐surface (vadose zone and slightly below) fault locations and geometries is important because assessment of ground rupture, strong shaking, geologic slip rates, and rupture histories occurs at shallow depths. However, seismic imaging of fault zones at shallow depths can be difficult due to near‐surface complexities, such as weathering, groundwater saturation, massive (nonlayered) rocks, and vertically layered strata. Combined P ‐ and S ‐wave seismic‐refraction tomography data can overcome many of the near‐surface, fault‐zone seismic‐imaging problems because of differences in the responses of elastic (bulk and shear) moduli of P and S waves to shallow‐depth, fault‐zone properties. We show that high‐resolution refraction tomography images of P ‐ to S ‐wave velocity ratios ( V P / V S ) can reliably identify near‐surface faults. We demonstrate this method using tomography images of the San Andreas fault (SAF) surface‐rupture zone associated with the 18 April 1906 ∼ M 7.9 San Francisco earthquake on the San Francisco peninsula in California. There, the SAF cuts through Franciscan mélange, which consists of an incoherent assemblage of greywacke, chert, greenstone, and serpentinite. A near‐vertical zone (∼75° northeast dip) of high P ‐wave velocities (up to 3000 m/s), low S ‐wave velocities (∼150–600 m/s), high V P / V S ratios (4–8.8), and high Poisson’s ratios (0.44–0.49) characterizes the main surface‐rupture zone to a depth of about 20 m and is consistent with nearby trench observations. We suggest that the combined V P / V S imaging approach can reliably identify most near‐surface fault zones in locations where many other seismic methods cannot be applied.

Bulletin of the Seismological Society of America↗

Aftershocks of the 2014 South Napa, California, Earthquake: Complex faulting on secondary faults

We investigate the aftershock sequence of the 2014 M W 6.0 South Napa, California, earthquake. Low-magnitude aftershocks missing from the network catalog are detected by applying a matched-filter approach to continuous seismic data, with the catalog earthquakes serving as the waveform templates. We measure precise differential arrival times between events, which we use for double-difference event relocation in a 3D seismic velocity model. Most aftershocks are deeper than the mainshock slip, and most occur west of the mapped surface rupture. While the mainshock coseismic and postseismic slip appears to have occurred on the near-vertical, strike-slip West Napa fault, many of the aftershocks occur in a complex zone of secondary faulting. Earthquake locations in the main aftershock zone, near the mainshock hypocenter, delineate multiple dipping secondary faults. Composite focal mechanisms indicate strike-slip and oblique-reverse faulting on the secondary features. The secondary faults were moved towards failure by Coulomb stress changes from the mainshock slip. Clusters of aftershocks north and south of the main aftershock zone exhibit vertical strike-slip faulting more consistent with the West Napa Fault. The northern aftershocks correspond to the area of largest mainshock coseismic slip, while the main aftershock zone is adjacent to the fault area that has primarily slipped postseismically. Unlike most creeping faults, the zone of postseismic slip does not appear to contain embedded stick-slip patches that would have produced on-fault aftershocks. The lack of stick-slip patches along this portion of the fault may contribute to the low productivity of the South Napa aftershock sequence.

California↗

Ground motion in the presence of complex Topography II: Earthquake sources and 3D simulations

Eight seismic stations were placed in a linear array with a topographic relief of 222 m over Mission Peak in the east San Francisco Bay region for a period of one year to study topographic effects. Seventy‐two well‐recorded local earthquakes are used to calculate spectral amplitude ratios relative to a reference site. A well‐defined fundamental resonance peak is observed with individual station amplitudes following the theoretically predicted progression of larger amplitudes in the upslope direction. Favored directions of vibration are also seen that are related to the trapping of shear waves within the primary ridge dimensions. Spectral peaks above the fundamental one are also related to topographic effects but follow a more complex pattern. Theoretical predictions using a 3D velocity model and accurate topography reproduce many of the general frequency and time‐domain features of the data. Shifts in spectral frequencies and amplitude differences, however, are related to deficiencies of the model and point out the importance of contributing factors, including the shear‐wave velocity under the topographic feature, near‐surface velocity gradients, and source parameters.

California↗

High-precision earthquake catalog for Minto Flats fault zone, central Alaska, reveals complex and conjugate faulting

The Minto Flats fault zone (MFFZ) in central Alaska is a left‐lateral strike‐slip fault system situated between the continental‐scale right‐lateral Denali and Kaltag‐Tintina faults. The MFFZ has the potential to generate magnitude 7 earthquakes, and it hosted a magnitude 6 earthquake in 1995. It has also produced exotic events, such as very‐low‐frequency earthquakes and nucleation signals. We use network‐matched filtering and relative earthquake relocation techniques to derive a detailed catalog of earthquake locations for the MFFZ. The catalog spans from August 2014 to December 2019, a time period including 13 temporary seismic stations in the region. Our results provide the most complete catalog for the MFFZ and include deeper events, clusters of shallow seismicity, and a complex and segmented fault structure not observed in the original regional catalog. We document right‐lateral strike‐slip faulting, conjugate to the main northeast‐striking left‐lateral faults of the MFFZ. Below Nenana basin, the relocated seismicity reveals northwest‐dipping left‐lateral faults, supporting the inference that deep crustal active faulting is associated with recent basin deformation.

Alaska↗

A high-resolution seismic catalog for the initial 2019 Ridgecrest Earthquake sequence: Foreshocks, aftershocks, and faulting complexity

I use template matching and precise relative relocation techniques to develop a high-resolution earthquake catalog for the initial portion of the 2019 Ridgecrest earthquake sequence, from July 4-16, encompassing the foreshock sequence and the first 10+ days of aftershocks following the M w 7.1 mainshock. Using 13,525 routinely cataloged events as waveform templates, I detect and precisely locate a total of 34,091 events. Precisely located earthquakes reveal numerous cross-cutting fault structures with dominantly perpendicular SW- and NW-strikes. Foreshocks of the M w 6.4 event appear to align on a NW-striking fault. Aftershocks of the M w 6.4 event suggest that it further ruptured this NW-striking fault, as well as the SW-striking fault where surface rupture was observed. Finally, aftershocks of the M w 7.1 show a highly complex distribution, illuminating a primary NW-striking fault zone consistent with surface rupture, but also numerous cross-cutting SW-striking faults. Aftershock relocations suggest that the M w 7.1 event ruptured adjacent to the previous NW-striking rupture of the M w 6.4, perhaps activating a subparallel structure southwest of the earlier rupture. Both the NW and SE rupture termini of the M w 7.1 rupture exhibited multiple-fault branching, with particularly high rates of aftershocks and multiple fault orientations in the dilatational quadrant NE of the NW rupture terminus.

California↗

Routine estimation of earthquake source complexity: The 18 October 1992 Colombian earthquake

We describe two methods, suitable for routine application to teleseismic recordings, that characterize the time history of seismic events. Stacking short-period signals from large regional arrays provides stable estimates of high-frequency radiation from the source, and an empirical Green's function deconvolution procedure extracts reliable, broadband time functions suitable for analysis of faulting complexity and the spatio-temporal extent of rupture. Combined, these procedures characterize the source radiation of large events ( M s > 7) between 200- and 0.5-sec periods.

Bulletin of the Seismological Society of America↗

The Southeastern U.S. as a complex of use sites for nonbreeding rufa Red Knots: Fifteen years of band-encounter data

Shorebirds have been banded for decades and monitoring programs have helped to accumulate large band-encounter datasets from across the globe; however, many of these datasets are left largely unused, particularly those collected by citizen scientists. These datasets can provide valuable insight into the migration and movement strategies of shorebirds and the threats they face throughout their migratory cycle. We used long-term (2003–2018) band-encounter data of Red Knots Calidris canutus rufa in North America to determine: (1) the spatiotemporal distribution during the nonbreeding season, (2) site fidelity to nonbreeding sites, and (3) migratory connectivity of knots using the southeastern United States (Southeast), an important overwintering and stopover area for this subspecies. Annual mean site fidelity ranged from 0% to 86% across 24 sites. We found movement between sites across the Southeast during migratory and wintering periods, indicating that knots are using the region as interconnected sites, as opposed to relying on a single site or a cluster of adjacent sites. We identified ‘hop migration’ as a common strategy for knots in the region, and showed regular within-year movement between sites in South Carolina, Georgia, and Florida. The Southeast is an understudied part of the rufa range; our results show the importance of the region to the subspecies both as a stopover and wintering area. Despite the inherent biases in the data and imperfect detection due to inconsistent survey effort, the data showed large-scale movements and confirmed the region as a complex of sites connected by knots.

Wader Study↗

Incorporating diverse data and realistic complexity into demographic estimation procedures for sea otters

Reliable information on historical and current population dynamics is central to understanding patterns of growth and decline in animal populations. We developed a maximum likelihood-based analysis to estimate spatial and temporal trends in age/sex-specific survival rates for the threatened southern sea otter (Enhydra lutris nereis), using annual population censuses and the age structure of salvaged carcass collections. We evaluated a wide range of possible spatial and temporal effects and used model averaging to incorporate model uncertainty into the resulting estimates of key vital rates and their variances. We compared these results to current demographic parameters estimated in a telemetry-based study conducted between 2001 and 2004. These results show that survival has decreased substantially from the early 1990s to the present and is generally lowest in the north-central portion of the population's range. The greatest temporal decrease in survival was for adult females, and variation in the survival of this age/sex class is primarily responsible for regulating population growth and driving population trends. Our results can be used to focus future research on southern sea otters by highlighting the life history stages and mortality factors most relevant to conservation. More broadly, we have illustrated how the powerful and relatively straightforward tools of information-theoretic-based model fitting can be used to sort through and parameterize quite complex demographic modeling frameworks. ?? 2006 by the Ecological Society of America.

Ecological Applications↗

Foliation development and reaction softening by dissolution and precipitation in the transformation of granodiorite to orthogneiss, Glastonbury Complex, Connecticut, U.S.A

Textures, microstructures, and patterns of chemical zoning in minerals in a granodioritic orthogneiss in the Glastonbury Complex, Connecticut, lead to the interpretation that foliation development was facilitated by retrograde hydration reactions in the presence of an aqueous fluid. Incomplete replacement of the metastable magmatic minerals K-feldspar + hastingsite + magnetite produced foliation-defining biotite + epidote + quartz. These reaction products did not replace K-feldspar – hastingsite interfaces; rather, either biotite or epidote replaced the amphibole, and plagioclase replaced K-feldspar. Biotite and epidote precipitated syntectonically in discrete layers that define the foliation in the orthogneiss, whereas quartz precipitated primarily in ribbons, further enhancing the fabric. Metastable REE-rich igneous titanite also dissolved, and was incompletely replaced by REE-poor, Al-bearing metamorphic titanite. The similar concentrations of the REE in epidote and titanite show that the REE released by titanite dissolution were precipitated locally as the allanite component in adjacent grains of epidote. The entire process was syntectonic, with most grains showing multiple overgrowths in the direction of extension as defined by stretched xenoliths. Sufficient U was present in the titanite overgrowths to allow SHRIMP dating of cores, mantles, and rims. These results suggest at least three retrograde Alleghanian events of growth in a span of ~30 m.y. Thus the dissolution – transportation –precipitation process not only describes the reaction mechanism but also leads to the redistribution of reaction products into nearly monomineralic layers, thus contributing to metamorphic differentiation and to the development of the foliation. The resulting orthogneiss was much weaker that the granodiorite protolith, owing to this reaction and textural softening.

Connecticut↗

Geographic relatedness and predictability of Escherichia coli along a peninsular beach complex of Lake Michigan

To determine more accurately the real-time concentration of fecal indicator bacteria (FIB) in beach water, predictive modeling has been applied in several locations around the Great Lakes to individual or small groups of similar beaches. Using 24 beaches in Door County, Wisconsin, we attempted to expand predictive models to multiple beaches of complex geography. We examined the importance of geographic location and independent variables and the consequential limitations for potential beach or beach group models. An analysis of Escherichia coli populations over 4 yr revealed a geographic gradient to the beaches, with mean E. coli concentrations decreasing with increasing distance from the city of Sturgeon Bay. Beaches grouped strongly by water type (lake, bay, Sturgeon Bay) and proximity to one another, followed by presence of a storm or creek outfall or amount of shoreline enclosure. Predictive models developed for beach groups commonly included wave height and cumulative 48-h rainfall but generally explained little E. coli variation (adj. R 2 = 0.19-0.36). Generally low concentrations of E. coli at the beaches influenced the effectiveness of model results presumably because of low signal-to-noise ratios and the rarity of elevated concentrations. Our results highlight the importance of the sensitivity of regressors and the need for careful methods evaluation. Despite the attractiveness of predictive models as an alternative beach monitoring approach, it is likely that FIB fluctuations at some beaches defy simple prediction approaches. Regional, multi-beach, and individual beach predictive models should be explored alongside other techniques for improving monitoring reliability at Great Lakes beaches. Copyright ?? 2009 by the American Society of Agronomy, Crop Science Society of America, and Soil Science Society of America. All rights reserved.

Journal of Environmental Quality↗

Wangyanite, PdNi8S8, a new Pd end-member mineral of the pentlandite group from the J-M reef, Stillwater Complex, Montana, USA

Wangyanite (IMA2024-008a), ideally PdNi 8 S 8 , is a Pd end-member mineral of the pentlandite group that was discovered in the J-M reef of the Stillwater Complex, Montana, USA. Wangyanite occurs as anhedral-subhedral granular crystals 200–400 µm in size, associated with isoferroplatinum, braggite, pentlandite, and chalcopyrite interstitial to plagioclase grains within anorthosite. Wangyanite exhibits a yellowish brown color with a black streak and a metallic luster. It is brittle with uneven fractures, and has a calculated density of 5.14 g/cm 3 . The mineral does not show discernible pleochroism, bireflectance, or anisotropy. It has an average composition of 9.95 wt.% Pd, 31.95 wt.% Ni, 25.02 wt.% Fe, 0.57 wt.% Co, 31.74 wt.% S, totaling 99.23 wt.%. The empirical formula, based on eight sulfur atoms per formula unit, is (Pd 0.76 Co 0.08 ) Σ0.84 (Ni 4.39 Fe 3.60 ) Σ7.99 S 8 . Wangyanite has a cubic cell with a space group of Fm -3 m (#225), having lattice parameters of a = 10.1167(12) Å, V = 1035.4(4) Å 3 , and Z = 4. Its crystal structure has been solved by single-crystal three-dimensional electron diffraction study. The strongest X-ray diffraction lines of wangyanite are claculated at [ d in Å ( I %)( hkl )]: 5.841(14.03)(111), 3.050(100)(311), 1.947(29.16)(115,333), 1.264(11.66)(800), 3.577(8.79)(220), 2.920(20.82)(222), and 2.321(9.34)(331). Wangyanite shares the same crystal structure as pentlandite, but the octahedrally coordinated site is mainly occupied by Pd in wangyanite. Based on the textural features and previous experimental Pd-Fe-Ni-S phase system, wangyanite could form by peritectic reaction between braggite, pentlandite and sulfide liquid. These mineral associations are stable in a Ni-Pd-rich sulfide melt system at about 550 °C or even lower temperature. Therefore, wangyanite can potentially serve as an indicator of the presence of Pd-rich residual melts. The mineral is named in honor of Prof. Christina Yan Wang, a well-known researcher on platinum-group element (PGE) occurrences and enrichment mechanisms in mafic-ultramafic intrusions, notably those deposits related to the Emeishan large igneous province in China.

Montana↗