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At least 577 records · Page 32Linked to original sources

Integrated use of continuous seismic-reflection profiling and ground-penetrating radar methods at John's Pond, Cape Cod, Massachusetts

Continuous seismic-reflection profiling (CSP) and ground-penetrating radar (GPR) surveys were conducted by the U.S. Geological Survey in April 1998 over the northern part of John’s Pond, a glacial kettle pond southeast of Otis Air National Guard Base, Cape Cod, Massachusetts. The surveys were conducted to delineate the types and thickness of sedimentary units that may control the infiltration of contaminated groundwater into John’s Pond. Sand-and-gravel deposits, collapse features and recent organic sediments were imaged with the CSP and GPR methods. Hummocky to chaotic reflections were interpreted as sand- and-gravel deposits. Slightly wavy, parallel reflections located in depressions in the sand-and- gravel deposits were interpreted as filled collapse features. Lower amplitude, horizontal, laminar reflections were interpreted as organic sediments. Entrapped methane gas within some of the organic sediments created a reflection zone that obscured deeper reflections in the CSP records. The CSP and GPR methods provide complementary information over most of the surveyed part of the pond. The methods detect similar interfaces, but a particular interface may produce a stronger reflection in one record than in the other. For example, regions of the pond containing organic sediments with entrapped methane gas, which prevent penetration of the acoustic signal, were penetrated and imaged by GPR. Conversely, regions of the pond containing electrically conductive sediments or deep water, which attenuate the GPR signal, were imaged using CSP. The CSP and GPR data were interpreted to generate a bathymetric map and a map of sediment type and thickness beneath John’s Pond.

Massachusetts↗

Mapping hydraulically permeable fractures using directional borehole radar and hole-to-hole tomography with a saline tracer

Reflection-mode borehole radar and transmission-mode radar tomograms image heterogeneity in the electromagnetic properties of rock. Heterogeneity may be produced by interfaces between different rock types, foliation, and fracturing. In crystalline rock, hydraulic flow is primarily through fracture networks rather than through the rock matrix. Borehole radar methods have been applied to help map flow paths in crystalline rock. Correlation of features identified in borehole radar reflection records and tomograms with hydraulic flow paths is generally uncertain because the records show responses to heterogeneity of all- kinds, not just to hydraulically permeable fractures. Even in lithologically uniform rock, it is often not possible to distinguish fractures of high hydraulic permeabilities from those with low permeabilities. It is possible to “erase” signatures from lithologic interfaces and rock fabric to identify the signatures of hydraulically permeable fractures by using a saline tracer in fractured crystalline rock because the electrical properties of the rock, except for the fractures that are open to infiltration by the brine solution, remain the same after the injection of the brine and may be removed by examining differences. Saline tracer experiments were carried out in 1995, 1996, and 1997 in the FSE well field at the Mirror Lake fractured-rock hydrology research site in Grafton County, New Hampshire. Comparisons of results from directional radar reflection surveys to well-to-well difference attenuation tomography in the same pairs of wells show generally good correspondence between the location of radar reflections and attenuation anomalies. Our results demonstrate the advantage of using a saline tracer for before-and-after difference mapping of hydraulically permeable fractures in lithologically heterogeneous rock and the utility of the coordinated use of directional borehole radar and hole-to-hole radar tomography.

New Hampshire↗

Shallow water table fluctuations in relation to soil penetration resistance

Hydrologic modeling of catchments is frequently hampered by lack of information on subsurface stratigraphy and zones of preferred flow. We evaluated the usefulness of soil penetration resistance, easily measured by a dynamic cone penetrometer, together with measurements of ground water level fluctuations, as a cost-effective means to infer subsurface flow patterns. At our field site at Sleepers River, Vermont, penetration resistance was lowest in the surficial 10 to 30 cm, then typically increased to a local maximum at 60 to 80 cm, which we interpreted as the soil/till interface. Below this depth usually lies a zone of decreased resistance in the till, giving way to either a gradual or abrupt increase in resistance toward the bedrock surface at 1 to 4.5 m depth. Penetration resistance had a weak but significant negative correlation with saturated hydraulic conductivity determined by bail tests (r 2 = 0.25, p < 0.05). At many wells, monthly ground water levels tended to cluster at or just above the resistant zone near the soil/till interface. Chemical and isotopic dynamics in nested wells finished above and below the resistant zone suggest that the zone may temporarily isolate the deeper ground water reservoir from meltwater inputs, which were clearly identified by low δ 18 O values. In ground water discharge zones, δ 18 O values tended to converge throughout the profile. In contrast, dissolved organic carbon (DOC) maintained a gradient of increasing concentration toward land surface, even in otherwise well-mixed waters, reflecting its rapid release from organic horizons. Understanding the effect of soil penetration resistance on ground water behavior may be useful in future catchment modeling efforts.

Vermont↗

Amphibian use of recently created wetlands in the Palouse region of northern Idaho, USA

Human development has resulted in the loss of natural wetlands in many regions and thus has led to amphibian habitat loss. Human-constructed wetlands are increasingly prevalent, particularly in human-modified landscapes, and can be used as breeding habitats by amphibians. It is important to identify factors influencing amphibian use of constructed wetlands to guide future wetland creation efforts. We examined wetland- and landscape-level factors influencing the presence and reproduction of native amphibians in 33 recently created (2–11 yold) wetlands within an urban-agricultural interface in northern Idaho, USA. We recorded wetland age, perimeter vegetation, and percentage of surrounding land cover as covariates and modeled detection and occupancy using Bayesian Multi-scale Occupancy Models for the three species we detected: Sierran Treefrog ( Pseudacris sierra ), Colombia Spotted Frog ( Rana luteiventris ), and Long-Toed Salamander ( Ambystoma macrodactylum ). Our results indicate that these three species can rapidly colonize recently created wetlands in an urban-agricultural interface. The effects of wetland- and landscape-scale features varied across species. Colombia Spotted Frog occupancy was greatest in older wetlands with some evidence for a negative association with more urbanized landscapes. Long Toed Salamanders and Sierran Treefrogs were not associated with wetland age but also showed some evidence of negative associations with urbanization. Long-Toed Salamanders showed evidence of using less vegetated wetlands while Sierran Treefrogs showed evidence of using more vegetated wetlands. Our results are consistent with multiple studies showing that wetlands in human-modified landscapes can provide amphibian breeding habitat, and they suggest that including vegetation plantings within recently created wetlands may promote amphibian colonization. Anecdotal observations also indicate that designing wetlands with sufficient hydroperiod for metamorphoses may be important for ensuring that newly created wetlands benefit amphibian populations.

Idaho↗

Developing international standards and guidelines for disseminating and validating simulated ground motions

We are leading an effort to develop international standards and guidelines for curating, disseminating, and validating simulated ground-motion data. This effort is organized as a working group within the Consortium of Organizations for Strong Motion Observation Systems (COSMOS). In 2022 we held online workshops on 7 and 8 June and 20 October. The first workshop focused on curating and disseminating simulated ground-motion data. The second workshop focused on validating simulated ground-motions for engineering applications. About 100 people participated in each of the workshops with strong representation from North America, Europe, and western Asia. In the coming year, we intend to form a technical committee to draft the international guidelines and standards while continuing to engage stakeholders from across the globe through online and in-person meetings. The key points from the workshops include: (1) Numerous groups are generating simulated earthquake ground motions and making them openly available; however there is very little coordination among groups to provide consistent interfaces for searching and retrieving data; (2) Standardizing interfaces for metadata and data access should consider agile approaches that can adapt to changing capabilities and user needs while building upon existing efforts; (3) A distributed architecture is preferred by most participants to allow institutions to host and manage their own data while broadcasting their holdings to a combined catalog; (4) Validation of ground-motion simulations applies to the entire workflow for simulating earthquake ground-motions, including the rupture model, seismic velocity model, and seismic wave propagation software; (5) Metrics to evaluate the validation are application dependent; more research is needed to tie structural response characteristics to ground-motion characteristics; and (6) Validation results should provide a clear, transparent, and quantitative assessment of the simulated ground motions.

Conference Paper↗

EXAFS study of mercury(II) sorption to Fe- and Al-(hydr)oxides - II. Effects of chloride and sulfate

Common complexing ligands such as chloride and sulfate can significantly impact the sorption of Hg(II) to particle surfaces in aqueous environmental systems. To examine the effects of these ligands on Hg(II) sorption to mineral sorbents, macroscopic Hg(II) uptake measurements were conducted at pH 6 and [Hg]i=0.5 mM on goethite (??-FeOOH), ??-alumina (??-Al2O3), and bayerite (??-Al(OH)3) in the presence of chloride or sulfate, and the sorption products were characterized by extended X-ray absorption fine structure (EXAFS) spectroscopy. The presence of chloride resulted in reduced uptake of Hg(II) on all three substrates over the Cl- concentration ([Cl-]) range 10-5 to 10-2 M, lowering Hg surface coverages on goethite, ??-alumina, and bayerite from 0.42 to 0.07 ??mol/m2, 0.06 to 0.006 ??mol/m2, and 0.55 to 0.39 ??mol/m2 ([Cl -]=10-5 to 10-3 M only), respectively. This reduction in Hg(II) uptake is primarily a result of the formation of stable, nonsorbing aqueous HgCl2 complexes in solution, limiting the amount of free Hg(II) available to sorb. At higher [Cl-] beam reduction of Hg(II) to Hg(I) was observed, resulting in the possible formation of aqueous Hg2Cl2 species and the precipitation of calomel, Hg 2Cl2(s). The presence of sulfate caused enhanced Hg(II) uptake over the sulfate concentration ([SO42-]) range 10-5 to 0.9 M, increasing Hg surface coverages on goethite, ??-alumina, and bayerite from 0.39 to 0.45 ??mol/m2, 0.11 to 0.38 ??mol/m2, and 0.36 to 3.33 ??mol/m2, respectively. This effect is likely due to the direct sorption or accumulation of sulfate ions at the substrate interface, effectively reducing the positive surface charge that electrostatically inhibits Hg(II) sorption. Spectroscopic evidence for ternary surface complexation was observed in isolated cases, specifically in the Hg-goethite-sulfate system at high [SO42-] and in the Hg-goethite-chloride system. ?? 2003 Elsevier Inc. All rights reserved.

Journal of Colloid and Interface Science↗

Effects of sulfate ligand on uranyl carbonato surface species on ferrihydrite surfaces

Understanding uranium (U) sorption processes in permeable reactive barriers (PRB) are critical in modeling reactive transport for evaluating PRB performance at the Fry Canyon demonstration site in Utah, USA. To gain insight into the U sequestration mechanism in the amorphous ferric oxyhydroxide (AFO)-coated gravel PRB, U(VI) sorption processes on ferrihydrite surfaces were studied in 0.01 M Na 2 SO 4 solutions to simulate the major chemical composition of U-contaminatedgroundwater (i.e., [SO 4 2- ]~13 mM L -1 ) at the site. Uranyl sorption was greater at pH 7.5 than that at pH 4 in both air- and 2% pCO 2 -equilibrated systems. While there were negligible effects of sulfate ligands on the pH-dependent U(VI) sorption (<24 h) in both systems, X-ray absorption spectroscopy (XAS) analysis showed sulfate ligand associated U(VI) surface species at the ferrihydrite&ndash;water interface. In air-equilibrated systems, binary and mono-sulfate U(VI) ternary surface species co-existed at pH 5.43. At pH 6.55&ndash;7.83, a mixture of mono-sulfate and bis-carbonato U(VI) ternary surface species became more important. At 2% pCO 2 , there was no contribution of sulfate ligands on the U(VI) ternary surface species. Instead, a mixture of bis-carbonato inner-sphere (38%) and tris-carbonato outer-sphere U(VI) ternary surface species (62%) was found at pH 7.62. The study suggests that the competitive ligand (bicarbonate and sulfate) coordination on U(VI) surface species might be important in evaluating the U solid-state speciation in the AFO PRB at the study site where pCO 2 fluctuates between 1 and 2 pCO 2 %.

Journal of Colloid and Interface Science↗

EXAFS study of mercury(II) sorption to Fe- and Al-(hydr)oxides: I. Effects of pH

The study of mercury sorption products in model systems using appropriate in situ molecular-scale probes can provide detailed information on the modes of sorption at mineral/water interfaces. Such studies are essential for assessing the influence of sorption processes on the transport of Hg in contaminated natural systems. Macroscopic uptake of Hg(II) on goethite (??-FeOOH), ??-alumina (??-Al2O3), and bayerite (??-Al(OH)3) as a function of pH has been combined with Hg L III-edge EXAFS spectroscopy, FTIR spectroscopy, and bond valence analysis of possible sorption products to provide this type of information. Macroscopic uptake measurements show that Hg(II) sorbs strongly to fine-grained powders of synthetic goethite (Hg sorption density ??=0.39-0.42 ??mol/m2) and bayerite (??=0.39-0.44 ??mol/m2), while sorbing more weakly to ??-alumina (??=0.04-0.13 ??mol/m 2). EXAFS spectroscopy on the sorption samples shows that the dominant mode of Hg sorption on these phases is as monodentate and bidentate inner-sphere complexes. The mode of Hg(II) sorption to goethite was similar over the pH range 4.3-7.4, as were those of Hg(II) sorption to bayerite over the pH range 5.1-7.9. Conversion of the ??-Al2O3 sorbent to a bayerite-like phase in addition to the apparent reduction of Hg(II) to Hg(I), possibly by photoreduction during EXAFS data collection, resulted in enhanced Hg uptake from pH 5.2-7.8 and changes in the modes of sorption that correlate with the formation of the bayerite-like phase. Bond valence calculations are consistent with the sorption modes proposed from EXAFS analysis. EXAFS analysis of Hg(II) sorption products on a natural Fe oxyhydroxide precipitate and Al/Si-bearing flocculent material showed sorption products and modes of surface attachment similar to those for the model substrates, indicating that the model substrates are useful surrogates for the natural sediments. ?? 2003 Elsevier Inc. All rights reserved.

Journal of Colloid and Interface Science↗

Rebuttal of "Polar bear population forecasts: a public-policy forecasting audit"

Observed declines in the Arctic sea ice have resulted in a variety of negative effects on polar bears ( Ursus maritimus ). Projections for additional future declines in sea ice resulted in a proposal to list polar bears as a threatened species under the United States Endangered Species Act. To provide information for the Department of the Interior's listing-decision process, the US Geological Survey (USGS) produced a series of nine research reports evaluating the present and future status of polar bears throughout their range. In response, Armstrong et al. [Armstrong, J. S., K. C. Green, W. Soon. 2008. Polar bear population forecasts: A public-policy forecasting audit. Interfaces 38 (5) 382&ndash;405], which we will refer to as AGS, performed an audit of two of these nine reports. AGS claimed that the general circulation models upon which the USGS reports relied were not valid forecasting tools, that USGS researchers were not objective or lacked independence from policy decisions, that they did not utilize all available information in constructing their forecasts, and that they violated numerous principles of forecasting espoused by AGS. AGS (p. 382) concluded that the two USGS reports were "unscientific and inconsequential to decision makers." We evaluate the AGS audit and show how AGS are mistaken or misleading on every claim. We provide evidence that general circulation models are useful in forecasting future climate conditions and that corporate and government leaders are relying on these models to do so. We clarify the strict independence of the USGS from the listing decision. We show that the allegations of failure to follow the principles of forecasting espoused by AGS are either incorrect or are based on misconceptions about the Arctic environment, polar bear biology, or statistical and mathematical methods. We conclude by showing that the AGS principles of forecasting are too ambiguous and subjective to be used as a reliable basis for auditing scientific investigations. In summary, we show that the AGS audit offers no valid criticism of the USGS conclusion that global warming poses a serious threat to the future welfare of polar bears and that it only serves to distract from reasoned public-policy debate.

Interfaces↗

Hyporheic flow and transport processes: mechanisms, models, and biogeochemical implications

Fifty years of hyporheic zone research have shown the important role played by the hyporheic zone as an interface between groundwater and surface waters. However, it is only in the last two decades that what began as an empirical science has become a mechanistic science devoted to modeling studies of the complex fluid dynamical and biogeochemical mechanisms occurring in the hyporheic zone. These efforts have led to the picture of surface-subsurface water interactions as regulators of the form and function of fluvial ecosystems. Rather than being isolated systems, surface water bodies continuously interact with the subsurface. Exploration of hyporheic zone processes has led to a new appreciation of their wide reaching consequences for water quality and stream ecology. Modern research aims toward a unified approach, in which processes occurring in the hyporheic zone are key elements for the appreciation, management, and restoration of the whole river environment. In this unifying context, this review summarizes results from modeling studies and field observations about flow and transport processes in the hyporheic zone and describes the theories proposed in hydrology and fluid dynamics developed to quantitatively model and predict the hyporheic transport of water, heat, and dissolved and suspended compounds from sediment grain scale up to the watershed scale. The implications of these processes for stream biogeochemistry and ecology are also discussed."

Reviews of Geophysics↗

Slip rate and tremor genesis in Cascadia

At many plate boundaries, conditions in the transition zone between seismogenic and stable slip produce slow earthquakes. In the Cascadia subduction zone, these events are consistently observed as slow, aseismic slip on the plate interface accompanied by persistent tectonic tremor. However, not all slow slip at other plate boundaries coincides spatially and temporally with tremor, leaving the physics of tremor genesis poorly understood. Here we analyze seismic, geodetic, and strainmeter data in Cascadia to observe for the first time a large, tremor-generating slow earthquake change from tremor-genic to silent and back again. The tremor falls silent at reduced slip speeds when the migrating slip front pauses as it loads the stronger adjacent fault segment to failure. The finding suggests that rheology and slip-speed-regulated stressing rate control tremor genesis, and the same section of fault can slip both with and without detectable tremor, limiting tremor's use as a proxy for slip.

British Columbia, California, Oregon, Washington↗

Triggered tremor sweet spots in Alaska

To better understand what controls fault slip along plate boundaries, we have exploited the abundance of seismic and geodetic data available from the richly varied tectonic environments composing Alaska. A search for tremor triggered by 11 large earthquakes throughout all of seismically monitored Alaska reveals two tremor “sweet spots”—regions where large-amplitude seismic waves repeatedly triggered tremor between 2006 and 2012. The two sweet spots locate in very different tectonic environments—one just trenchward and between the Aleutian islands of Unalaska and Akutan and the other in central mainland Alaska. The Unalaska/Akutan spot corroborates previous evidence that the region is ripe for tremor, perhaps because it is located where plate-interface frictional properties transition between stick-slip and stably sliding in both the dip direction and laterally. The mainland sweet spot coincides with a region of complex and uncertain plate interactions, and where no slow slip events or major crustal faults have been noted previously. Analyses showed that larger triggering wave amplitudes, and perhaps lower frequencies (<~0.03 Hz), may enhance the probability of triggering tremor. However, neither the maximum amplitude in the time domain or in a particular frequency band, nor the geometric relationship of the wavefield to the tremor source faults alone ensures a high probability of triggering. Triggered tremor at the two sweet spots also does not occur during slow slip events visually detectable in GPS data, although slow slip below the detection threshold may have facilitated tremor triggering.

Alaska↗

Entrainment of bed material by Earth-surface mass flows: review and reformulation of depth-integrated theory

Earth-surface mass flows such as debris flows, rock avalanches, and dam-break floods can grow greatly in size and destructive potential by entraining bed material they encounter. Increasing use of depth-integrated mass- and momentum-conservation equations to model these erosive flows motivates a review of the underlying theory. Our review indicates that many existing models apply depth-integrated conservation principles incorrectly, leading to spurious inferences about the role of mass and momentum exchanges at flow-bed boundaries. Model discrepancies can be rectified by analyzing conservation of mass and momentum in a two-layer system consisting of a moving upper layer and static lower layer. Our analysis shows that erosion or deposition rates at the interface between layers must in general satisfy three jump conditions. These conditions impose constraints on valid erosion formulas, and they help determine the correct forms of depth-integrated conservation equations. Two of the three jump conditions are closely analogous to Rankine-Hugoniot conditions that describe the behavior of shocks in compressible gasses, and the third jump condition describes shear traction discontinuities that necessarily exist across eroding boundaries. Grain-fluid mixtures commonly behave as compressible materials as they undergo entrainment, because changes in bulk density occur as the mixtures mobilize and merge with an overriding flow. If no bulk density change occurs, then only the shear-traction jump condition applies. Even for this special case, however, accurate formulation of depth-integrated momentum equations requires a clear distinction between boundary shear tractions that exist in the presence or absence of bed erosion.

Reviews of Geophysics↗

Segmentation of plate coupling, fate of subduction fluids, and modes of arc magmatism in Cascadia, inferred from magnetotelluric resistivity

Five magnetotelluric (MT) profiles have been acquired across the Cascadia subduction system and transformed using 2-D and 3-D nonlinear inversion to yield electrical resistivity cross sections to depths of ∼200 km. Distinct changes in plate coupling, subduction fluid evolution, and modes of arc magmatism along the length of Cascadia are clearly expressed in the resistivity structure. Relatively high resistivities under the coasts of northern and southern Cascadia correlate with elevated degrees of inferred plate locking, and suggest fluid- and sediment-deficient conditions. In contrast, the north-central Oregon coastal structure is quite conductive from the plate interface to shallow depths offshore, correlating with poor plate locking and the possible presence of subducted sediments. Low-resistivity fluidized zones develop at slab depths of 35–40 km starting ∼100 km west of the arc on all profiles, and are interpreted to represent prograde metamorphic fluid release from the subducting slab. The fluids rise to forearc Moho levels, and sometimes shallower, as the arc is approached. The zones begin close to clusters of low-frequency earthquakes, suggesting fluid controls on the transition to steady sliding. Under the northern and southern Cascadia arc segments, low upper mantle resistivities are consistent with flux melting above the slab plus possible deep convective backarc upwelling toward the arc. In central Cascadia, extensional deformation is interpreted to segregate upper mantle melts leading to underplating and low resistivities at Moho to lower crustal levels below the arc and nearby backarc. The low- to high-temperature mantle wedge transition lies slightly trenchward of the arc.

Geochemistry, Geophysics, Geosystems↗

Strain accumulation across the Prince William Sound asperity, Southcentral Alaska

The surface velocities predicted by the conventional subduction model are compared to velocities measured in a GPS array (surveyed in 1993, 1995, 1997, 2000, and 2004) spanning the Prince William Sound asperity. The observed velocities in the comparison have been corrected to remove the contributions from postseismic (1964 Alaska earthquake) mantle relaxation. Except at the most seaward monument (located on Middleton Island at the seaward edge of the continental shelf, just 50&thinsp;km landward of the deformation front in the Aleutian Trench), the corrected velocities qualitatively agree with those predicted by an improved, two-dimensional, back slip, subduction model in which the locked megathrust coincides with the plate interface identified by seismic refraction surveys, and the back slip rate is equal to the plate convergence rate. A better fit to the corrected velocities is furnished by either a back slip rate 20% greater than the plate convergence rate or a 30% shallower megathrust. The shallow megathrust in the latter fit may be an artifact of the uniform half-space Earth model used in the inversion. Backslip at the plate convergence rate on the megathrust mapped by refraction surveys would fit the data as well if the rigidity of the underthrust plate was twice that of the overlying plate, a rigidity contrast higher than expected. The anomalous motion at Middleton Island is attributed to continuous slip at near the plate convergence rate on a postulated, listric fault that splays off the megathrust at depth of about 12&thinsp;km and outcrops on the continental slope south-southeast of Middleton Island.

Journal of Geophysical Research B: Solid Earth↗

A possible transoceanic tsunami directed toward the U.S. west coast from the Semidi segment, Alaska convergent margin

The Semidi segment of the Alaska convergent margin appears capable of generating a giant tsunami like the one produced along the nearby Unimak segment in 1946. Reprocessed legacy seismic reflection data and a compilation of multibeam bathymetric surveys reveal structures that could generate such a tsunami. A 200 km long ridge or escarpment with crests >1 km high is the surface expression of an active out-of-sequence fault zone, recently referred to as a splay fault. Such faults are potentially tsunamigenic. This type of fault zone separates the relatively rigid rock of the margin framework from the anelastic accreted sediment prism. Seafloor relief of the ridge exceeds that of similar age accretionary prism ridges indicating preferential slip along the splay fault zone. The greater slip may derive from Quaternary subduction of the Patton Murray hot spot ridge that extends 200 km toward the east across the north Pacific. Estimates of tsunami repeat times from paleotsunami studies indicate that the Semidi segment could be near the end of its current inter-seismic cycle. GPS records from Chirikof Island at the shelf edge indicate 90% locking of plate interface faults. An earthquake in the shallow Semidi subduction zone could generate a tsunami that will inundate the US west coast more than the 1946 and 1964 earthquakes because the Semidi continental slope azimuth directs a tsunami southeastward.

Geochemistry, Geophysics, Geosystems↗

Helium as a tracer for fluids released from Juan de Fuca lithosphere beneath the Cascadia forearc

The ratio between helium isotopes (3He/4He) provides an excellent geochemical tracer for investigating the sources of fluids sampled at the Earth's surface. 3He/4He values observed in 25 mineral springs and wells above the Cascadia forearc document a significant component of mantle-derived helium above Juan de Fuca lithosphere, as well as variability in 3He enrichment across the forearc. Sample sites arcward of the forearc mantle corner (FMC) generally yield significantly higher ratios (1.2-4.0 RA) than those seaward of the corner (0.03-0.7 RA). The highest ratios in the Cascadia forearc coincide with slab depths (40-45 km) where metamorphic dehydration of young oceanic lithosphere is expected to release significant fluid and where tectonic tremor occurs, whereas little fluid is expected to be released from the slab depths (25-30 km) beneath sites seaward of the corner.Tremor (considered a marker for high fluid pressure) and high RA values in the forearc are spatially correlated. The Cascadia tremor band is centered on its FMC, and we tentatively postulate that hydrated forearc mantle beneath Cascadia deflects a significant portion of slab-derived fluids updip along the subduction interface, to vent in the vicinity of its corner. Furthermore, high RA values within the tremor band just arcward of the FMC, suggest that the innermost mantle wedge is relatively permeable.Conceptual models require: (1) a deep fluid source as a medium to transport primordial 3He; (2) conduits through the lithosphere which serve to speed fluid ascent to the surface before significant dilution from radiogenic 4He can occur; and (3) near lithostatic fluid pressure to keep conduits open. Our spatial correlation between high RA values and tectonic tremor provides independent evidence that tremor is associated with deep fluids, and it further suggests that high pore pressures associated with tremor may serve to keep fractures open for 3He migration through ductile upper mantle and lower crust.

Geochemistry International↗

Groundwater exchanges near a channelized versus unmodified stream mouth discharging to a subalpine lake

The terminus of a stream flowing into a larger river, pond, lake, or reservoir is referred to as the stream-mouth reach or simply the stream mouth . The terminus is often characterized by rapidly changing thermal and hydraulic conditions that result in abrupt shifts in surface water/groundwater (sw/gw) exchange patterns, creating the potential for unique biogeochemical processes and ecosystems. Worldwide shoreline development is changing stream-lake interfaces through channelization of stream mouths, i.e., channel straightening and bank stabilization to prevent natural meandering at the shoreline. In the central Sierra Nevada (USA), Lake Tahoe's shoreline has an abundance of both &ldquo;unmodified&rdquo; (i.e., not engineered though potentially impacted by broader watershed engineering) and channelized stream mouths. Two representative stream mouths along the lake's north shore, one channelized and one unmodified, were selected to compare and contrast water and heat exchanges. Hydraulic and thermal properties were monitored during separate campaigns in September 2012 and 2013 and sw/gw exchanges were estimated within the stream mouth-shoreline continuum. Heat-flow and water-flow patterns indicated clear differences in the channelized versus the unmodified stream mouth. For the channelized stream mouth, relatively modulated, cool-temperature, low-velocity longitudinal streambed flows discharged offshore beneath warmer buoyant lakeshore water. In contrast, a seasonal barrier bar formed across the unmodified stream mouth, creating higher-velocity subsurface flow paths and higher diurnal temperature variations relative to shoreline water. As a consequence, channelization altered sw/gw exchanges potentially altering biogeochemical processing and ecological systems in and near the stream mouth.

California, Nevada↗