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At least 793 records · Page 44Linked to original sources

Processing watershed-derived nitrogen in a well-flushed New England estuary

Isotopically labeled nitrate (15NO3-) was added continuously to the Rowley estuary, Massachusetts, for 22 d to assess the transport, uptake, and cycling of terrestrially derived nitrogen during a period of high river discharge and low phytoplankton activity. Isotopic enrichment of the 3.5-km tidal prism (150,000 m3) was achieved for the 3 weeks and allowed us to construct a nitrogen mass balance model for the upper estuary. Mean ??15NO3- in the estuary ranged from 300??? to 600???, and approximately 75%-80% of the 15N was exported conservatively as 15NO 3- to the coastal ocean. Essentially all of the 20%-25% of the 15N processed in the estuary occurred in the benthos and was evenly split between direct denitrification and autotrophic assimilation. The lack of water-column 15N uptake was attributed to low phytoplankton stocks and short water residence times (1.2-1.4 d). Uptake of water-column NO3- by benthic autotrophs (enriched in excess of 100???) was a function of NO3- concentration and satisfied up to 15% and 25% of the total nitrogen demand for benthic microalgae and macroalgae, respectively. Approximately 10% of tracer assimilated by benthic autotrophs was mineralized and released back to the water column as 15NH4+. By the end of the study, 15N storage in sediments and marsh macrophytes accounted for 50%-70% of the 15N assimilated in the estuary. These compartments may sequester watershed-derived nitrogen in the estuary for time scales of months to years.

Limnology and Oceanography↗

Geographic information systems (GIS) compilation of geophysical, geologic, and tectonic data for the circum-North Pacific

The accompanying directory structure contains a Geographic Information Systems (GIS) compilation of geophysical, geological, and tectonic data for the Circum-North Pacific. This area includes the Russian Far East, Alaska, the Canadian Cordillera, linking continental shelves, and adjacent oceans. This GIS compilation extends from 120°E to 115°W, and from 40°N to 80°N. This area encompasses: (1) to the south, the modern Pacific plate boundary of the Japan-Kuril and Aleutian subduction zones, the Queen Charlotte transform fault, and the Cascadia subduction zone; (2) to the north, the continent-ocean transition from the Eurasian and North American continents to the Arctic Ocean; (3) to the west, the diffuse Eurasian-North American plate boundary, including the probable Okhotsk plate; and (4) to the east, the Alaskan-Canadian Cordilleran fold belt. This compilation should be useful for: (1) studying the Mesozoic and Cenozoic collisional and accretionary tectonics that assembled this continental crust of this region; (2) studying the neotectonics of active and passive plate margins in this region; and (3) constructing and interpreting geophysical, geologic, and tectonic models of the region. Geographic Information Systems (GIS) programs provide powerful tools for managing and analyzing spatial databases. Geological applications include regional tectonics, geophysics, mineral and petroleum exploration, resource management, and land-use planning. This CD-ROM contains thematic layers of spatial data-sets for geology, gravity field, magnetic field, oceanic plates, overlap assemblages, seismology (earthquakes), tectonostratigraphic terranes, topography, and volcanoes. The GIS compilation can be viewed, manipulated, and plotted with commercial software (ArcView and ArcInfo) or through a freeware program (ArcExplorer) that can be downloaded from http://www.esri.com for both Unix and Windows computers using the button below.

North Pacific↗

Expanding our view of the cold-water coral niche and accounting of the ecosystem services of the reef habitat

Coral reefs are iconic ecosystems that support diverse, productive communities in both shallow and deep waters. However, our incomplete knowledge of cold-water coral (CWC) niche space limits our understanding of their distribution and precludes a complete accounting of the ecosystem services they provide. Here, we present the results of recent surveys of the CWC mound province on the Blake Plateau off the U.S. east coast, an area of intense human activity including fisheries and naval operations, and potentially energy and mineral extraction. At one site, CWC mounds are arranged in lines that total over 150 km in length, making this one of the largest reef complexes discovered in the deep ocean. This site experiences rapid and extreme shifts in temperature between 4.3 and 10.7 °C, and currents approaching 1 m s −1 . Carbon is transported to depth by mesopelagic micronekton and nutrient cycling on the reef results in some of the highest nitrate concentrations recorded in the region. Predictive models reveal expanded areas of highly suitable habitat that currently remain unexplored. Multidisciplinary exploration of this new site has expanded understanding of the cold-water coral niche, improved our accounting of the ecosystem services of the reef habitat, and emphasizes the importance of properly managing these systems.

Scientific Reports↗

Franciscan complex calera limestones: Accreted remnants of farallon plate oceanic plateaus

The Calera Limestone, part of the Franciscan Complex of northern California, may have formed in a palaeoenvironment similar to Hess and Shatsky Rises of the present north-west Pacific1. We report here new palaeomagnetic results, palaeontological data and recent plate-motion models that reinforce this assertion. The Calera Limestone may have formed on Farallon Plate plateaus, north of the Pacific-Farallon spreading centre as a counterpart to Hess or Shatsky Rises. In one model2, the plateaus were formed by hotspots close to the Farallon_Pacific ridge axis. On accretion to North America, plateau dissection in the late Cretaceous to Eocene (50-70 Myr) could explain the occurrence of large volumes of pillow basalt and exotic blocks of limestone in the Franciscan Complex. Partial subduction of the plateaus could have contributed to Laramide (70-40 Myr) compressional events3. ?? 1985 Nature Publishing Group.

Nature↗

Eastern Gulf of Alaska seismicity: Annual report to the National Oceanic and Atmospheric Administration for April 1, 1980, through March 31, 1981

The objective of this research is to collect and analyze data on earthquake activity in the northeast Gulf of Alaska (NEGOA) and adjacent onshore areas in order to develop a better regional seismotectonic model and more accurately assess the earthquake potential. This information is critical to the establishment of criteria for the safe development of oil and gas. Large (M s > 7) historical earthquakes have occurred in and around the NEGOA, and recent studies suggest that the NEGOA is a likely site for a magnitude 8 or larger earthquake to occur within the next two or three decades. A great earthquake (Ms>8) associated with low-angle oblique underthrusting of the sea floor beneath continental shelf could be accompanied by strong ground shaking throughout much of the eastern Gulf of Alaska, possibly from Cross Sound to Kayak Island (Page, 1975), and could trigger tsunamis, seiches, and submarine slumping, any of which could be hazardous to offshore and coastal structures (Meyers, 1976).

Alaska↗

NOAA/West coast and Alaska Tsunami warning center Atlantic Ocean response criteria

West Coast/Alaska Tsunami Warning Center (WCATWC) response criteria for earthquakesoccurring in the Atlantic and Caribbean basins are presented. Initial warning center decisions are based on an earthquake's location, magnitude, depth, distance from coastal locations, and precomputed threat estimates based on tsunami models computed from similar events. The new criteria will help limit the geographical extent of warnings and advisories to threatened regions, and complement the new operational tsunami product suite. Criteria are set for tsunamis generated by earthquakes, which are by far the main cause of tsunami generation (either directly through sea floor displacement or indirectly by triggering of sub-sea landslides).The new criteria require development of a threat data base which sets warning or advisory zones based on location, magnitude, and pre-computed tsunami models. The models determine coastal tsunami amplitudes based on likely tsunami source parameters for a given event. Based on the computed amplitude, warning and advisory zones are pre-set.

Science of Tsunami Hazards↗

Initiation of migration and movement rates of Atlantic salmon smolts in fresh water

Timing of ocean entry is critical for marine survival of both hatchery and wild Atlantic salmon ( Salmo salar ) smolts. Management practices and barriers to migration such as dams may constrain timing of smolt migrations resulting in suboptimal performance at saltwater entry. We modeled influences of stocking location, smolt development, and environmental conditions on ( i ) initiation of migration by hatchery-reared smolts and ( ii ) movement rate of hatchery- and wild-reared Atlantic salmon smolts in the Penobscot River, Maine, USA, from 2005 through 2014 using acoustic telemetry data. We also compared movement rates in free-flowing reaches with rates in reaches with hydropower dams and head ponds. We compared movement rates before and after (1) removal of two mainstem dams and (2) construction of new powerhouses. Initiation of movement by hatchery fish was influenced by smolt development, stocking location, and environmental conditions. Smolts with the greatest gill Na + , K + -ATPase (NKA) activity initiated migration 24 h sooner than fish with the lowest gill NKA activity. Fish with the greatest cumulative thermal experience initiated migration 5 days earlier than those with lowest cumulative thermal experience. Smolts released furthest from the ocean initiated migration earlier than those released downstream, but movement rate increased by fivefold closer to the ocean, indicating behavioral trade-offs between initiation and movement rate. Dams had a strong effect on movement rate. Movement rate increased from 2.8 to 5.4 km·h −1 in reaches where dams were removed, but decreased from 2.1 to 0.1 km·h −1 in reaches where new powerhouses were constructed. Movement rate varied throughout the migratory period and was inversely related to temperature. Fish moved slower at extreme high or low discharge. Responses in fish movement rates to dam removal indicate the potential scope of recovery for these activities.

Maine↗

Simulation of Groundwater Flow in the Coastal Plain Aquifer System of Virginia

The groundwater model documented in this report simulates the transient evolution of water levels in the aquifers and confining units of the Virginia Coastal Plain and adjacent portions of Maryland and North Carolina since 1890. Groundwater withdrawals have lowered water levels in Virginia Coastal Plain aquifers and have resulted in drawdown in the Potomac aquifer exceeding 200 feet in some areas. The discovery of the Chesapeake Bay impact crater and a revised conceptualization of the Potomac aquifer are two major changes to the hydrogeologic framework that have been incorporated into the groundwater model. The spatial scale of the model was selected on the basis of the primary function of the model of assessing the regional water-level responses of the confined aquifers beneath the Coastal Plain. The local horizontal groundwater flow through the surficial aquifer is not intended to be accurately simulated. Representation of recharge, evapotranspiration, and interaction with surface-water features, such as major rivers, lakes, the Chesapeake Bay, and the Atlantic Ocean, enable simulation of shallow flow-system details that influence locations of recharge to and discharge from the deeper confined flow system. The increased density of groundwater associated with the transition from fresh to salty groundwater near the Atlantic Ocean affects regional groundwater flow and was simulated with the Variable Density Flow Process of SEAWAT (a U.S. Geological Survey program for simulation of three-dimensional variable-density groundwater flow and transport). The groundwater density distribution was generated by a separate 108,000-year simulation of Pleistocene freshwater flushing around the Chesapeake Bay impact crater during transient sea-level changes. Specified-flux boundaries simulate increasing groundwater underflow out of the model domain into Maryland and minor underflow from the Piedmont Province into the model domain. Reported withdrawals accounted for approximately 75 percent of the total groundwater withdrawn from Coastal Plain aquifers during the year 2000. Unreported self-supplied withdrawals were simulated in the groundwater model by specifying their probable locations, magnitudes, and aquifer assignments on the basis of a separate study of domestic-well characteristics in Virginia. The groundwater flow model was calibrated to 7,183 historic water-level observations from 497 observation wells with the parameter-estimation codes UCODE-2005 and PEST. Most water-level observations were from the Potomac aquifer system, which permitted a more complex spatial distribution of simulated hydraulic conductivity within the Potomac aquifer than was possible for other aquifers. Zone, function, and pilot-point approaches were used to distribute assigned hydraulic properties within the aquifer system. The good fit (root mean square error = 3.6 feet) of simulated to observed water levels and reasonableness of the estimated parameter values indicate the model is a good representation of the physical groundwater flow system. The magnitudes and temporal and spatial distributions of residuals indicate no appreciable model bias. The model is intended to be useful for predicting changes in regional groundwater levels in the confined aquifer system in response to future pumping. Because the transient release of water stored in low-permeability confining units is simulated, drawdowns resulting from simulated pumping stresses may change substantially through time before reaching steady state. Consequently, transient simulations of water levels at different future times will be more accurate than a steady-state simulation for evaluating probable future aquifer-system responses to proposed pumping.

Scientific Investigations Report↗

Barrier-island and estuarine-wetland physical-change assessment after Hurricane Sandy

Introduction The Nation’s eastern coast is fringed by beaches, dunes, barrier islands, wetlands, and bluffs. These natural coastal barriers provide critical benefits and services, and can mitigate the impact of storms, erosion, and sea-level rise on our coastal communities. Waves and storm surge resulting from Hurricane Sandy, which made landfall along the New Jersey coast on October 29, 2012, impacted the U.S. coastline from North Carolina to Massachusetts, including Assateague Island, Maryland and Virginia, and the Delmarva coastal system. The storm impacts included changes in topography, coastal morphology, geology, hydrology, environmental quality, and ecosystems. In the immediate aftermath of the storm, light detection and ranging (lidar) surveys from North Carolina to New York documented storm impacts to coastal barriers, providing a baseline to assess vulnerability of the reconfigured coast. The focus of much of the existing coastal change assessment is along the ocean-facing coastline; however, much of the coastline affected by Hurricane Sandy includes the estuarine-facing coastlines of barrier-island systems. Specifically, the wetland and back-barrier shorelines experienced substantial change as a result of wave action and storm surge that occurred during Hurricane Sandy (see also USGS photograph, http://coastal.er.usgs.gov/hurricanes/sandy/photo-comparisons/virginia.php ). Assessing physical shoreline and wetland change (land loss as well as land gains) can help to determine the resiliency of wetland systems that protect adjacent habitat, shorelines, and communities. To address storm impacts to wetlands, a vulnerability assessment should describe both long-term (for example, several decades) and short-term (for example, Sandy’s landfall) extent and character of the interior wetlands and the back-barrier-shoreline changes. The objective of this report is to describe several new wetland vulnerability assessments based on the detailed physical changes estimated from observations. The scope includes understanding changes caused by both short- and long-term processes using both remotely sensed and in situ observations to characterize changes to the wetland in terms of accretion/expansion and erosion/contraction. Accretion may be due to net vertical and (or) horizontal deposition, including estuarine-shoreline change due to overwash. Wetland erosion may be due to elevated waves and water levels in the estuary itself. We included additional information based on wave runup and storm-surge elevations based on models and elevation data. We then developed a predictive assessment for wetland vulnerability that describes the likelihood of changes of the estuarine shoreline and the landward extent of sand overwash driven by processes occurring on the ocean-facing shoreline. This assessment is intended to be linked to the beach and dune vulnerability assessments that have been developed previously.

Open-File Report↗

Crustal structure of the Chugach Mountains, southern Alaska: A study of peg‐leg multiples from a low‐velocity zone

A seismic refraction profile recorded along the geologic strike of the Chugach Mountains in southern Alaska shows three upper crustal high‐velocity layers (6.9, 7.2, and 7.6 km/s) and a unique pattern of strongly focussed echelon arrivals to a distance of 225 km. The group velocity of the ensemble of echelon arrivals is 6.4 km/s. Modeling of this profile with the reflectivity method reveals that the echelon pattern is due to peg‐leg multiples generated from within a low‐velocity zone between the second and third upper crustal high‐velocity layers. The third high‐velocity layer (7.6 km/s) is underlain at 18 km depth by a pronounced low‐velocity zone that produces a seismic shadow zone wherein peg‐leg multiples are seen as echelon arrivals. The interpretation of these echelon arrivals as multiples supersedes an earlier interpretation which attributed them to successive primary reflections arising from alternating high‐ and low‐velocity layers. Synthetic seismogram modeling indicates that a low‐velocity zone with transitional upper and lower boundaries generates peg‐leg multiples as effectively as one with sharp boundaries. No PmP or Pn arrivals from the subducting oceanic Moho at 30 km depth beneath the western part of the line are observed on the long‐offset (90–225 km) data. This may be due to a lower crustal waveguide whose top is the high‐velocity (7.6 km/s) layer and whose base is the Moho. A deep (∼54 km) reflector is not affected by the waveguide and has been identified in the data. Although peg‐leg multiples have been interpreted on some long‐range refraction profiles that sound to upper mantle depths, the Chugach Mountains profile is one of the few crustal refraction profiles where peg‐leg multiples are clearly observed. This study indicates that multiple and converted phases may be more important in seismic refraction/wide‐angle reflection profiles than previously recognized.

Alaska↗

Multi-species telemetry quantifies current and future efficacy of a remote marine protected area

Large-scale marine protected areas (LSMPAs; > 1000 km 2 ) provide important refuge for large mobile species, but most do not encompass species' ranges. To better understand current and future LSMPA value, we concurrently tracked nine species (seabirds, cetaceans, pelagic fishes, manta rays, reef sharks) at Palmyra Atoll and Kingman Reef (PKMPA) in the U.S. Pacific Islands Heritage Marine National Monument. PKMPA and the U.S. Exclusive Economic Zone encompassed 39% and 54% of species movements ( n = 83; tracking duration range: 0.5–350 days), respectively. Species distribution models indicated 73% of PKMPA contained highly suitable habitat. Under two projected future scenarios (SSP 1–2.6, “Sustainability”; SSP 3–7.0, “Rocky Road”), strong sea surface temperature gradients initially could cause abrupt oceanic change resulting in predicted habitat loss in 2040–2050, followed by an equilibrium response and regained habitat by 2090–2100. Current and future suitable habitats were available adjacent to PKMPA, suggesting that increased MPA size could enhance protection. Our three-tiered approach combining animal tracking with publicly available remote sensing data and future projected environmental scenarios could be used to design, study, and monitor protected areas throughout the world. Holistic approaches that encompass diverse species and habitat use can enhance assessments of protected area designs. Animal telemetry and remote sensing may be helpful for ascertaining the extent to which other MPAs protect large mobile species in the future.

Kingman Reef, Palmyra Atoll, U.S. Pacific Islands ↗

Human perturbations to mercury in global rivers

Mercury compounds are potent neurotoxins that pose threats to human health, primarily through fish consumption. Rivers, critical for drinking water and food supply, have seen rapid increases in mercury concentrations and export to coastal margins since the Industrial Revolution (~1850). However, patterns of these changes remain understudied, limiting assessments of environmental policies. Here, we develop a global model to simulate preindustrial riverine total mercury and assess human perturbations by comparing it to present-day conditions. We find that global rivers transported ~390 megagrams annually of mercury to the oceans in the preindustrial era, with spatial variability. Human activities have elevated riverine mercury budgets by two to three times in the present day. Establishing a baseline riverine mercury level, our findings reveal rapid responses of riverine mercury to human perturbations and could be used to inform targets for global riverine mercury restoration. Total riverine mercury concentrations could also be used as indicators to comprehensively understand the effectiveness of mercury pollution governance.

Science Advances↗

Trondhjemite and metamorphosed quartz keratophyre tuff of the Ammonoosuc volcanics (Ordovician), western New Hampshire and adjacent Vermont and Massachusetts

The Ammonoosuc Volcanics and equivalent rocks of Ordovician age are exposed in the Oliverian domes along the Bronson Hill anti-clinorium (BHA) between northern New Hampshire and southern Connecticut. In western New Hampshire and adjacent Vermont and Massachusetts, the Ammonoosuc lithology consists of a lower, mainly mafic unit of homblende-plagioclase amphibolite, and an upper, mainly felsic, metamorphosed quartz keratophyre tuff. These lithologies are locally interlayered, and both are intruded by sills, dikes, and plugs of trondhjemite. Trondhjemite also constitutes the interior gneissic “core” of several small domes or plutons. The trondhjemite is highly siliceous (SiO 2 = 73%–81%), low in A1 2 O 3 (11.3%–13.5%), generally contains < 1% K 2 O, and thus resembles some trondhjemites in island-arc or continental-margin settings. Chemical trends of both trondhjemite and Ammonoosuc Volcanics (felsic and mafic) are essentially calc-alkaline. Variations in both major and trace elements of trondhjemites in several of the domes suggest several somewhat different sources along the BHA. Overall, however, the major- and minor-element chemistry of the trondhjemites is closely similar to that of the Ammonoosuc quartz keratophyre tuff. These rocks could have been produced either by partial melting or by fractional crystallization of basaltic source rocks. The partial-melting model is preferred because of the largely bimodal basalt-quartz keratophyre Ammonoosuc assemblage in which andesitic and other intermediate compositions are virtually lacking. The relatively thin Ammonoosuc section appears to preclude generation of trondhjemite at the presently exposed base of an island arc, as has been postulated for very similar trondhjemite-amphibolite assemblages (Twillingate trondhjemite, Little Port Complex) in Newfoundland. Instead, generation of the felsic Ammonoosuc rocks more likely occurred at deeper levels along a subduction zone dipping eastward under the BHA, as postulated in current plate-tectonic models. The close juxtaposition in space and time of sialic crust and Ammonoosuc Volcanics may explain the calc-alkaline trends of the latter and suggests a paleotectonic environment of convergent oceanic-continental plate margins, possibly with significant crustal shortening across the arc.

Geological Society of America Bulletin↗

New U-Pb geochronology and geochemistry of Paleozoic metaigneous rocks from western Yukon and eastern Alaska, cross-border synthesis, and implications for tectonic models

The tectonic evolution of and relation between the Yukon-Tanana terrane and the Lake George assemblage, as well as other associated tectonic assemblages in western Yukon and eastern Alaska, have been debated for decades. The Yukon-Tanana terrane is widely considered to be an allochthonous rifted fragment derived from the Laurentian continental margin, whereas the Lake George assemblage and associated assemblages are currently interpreted to be part of the parautochthonous continental margin of western North America (Laurentia). To address these topics, we present 40 new U-Pb zircon ages and 20 new whole-rock geochemical analyses. We incorporate these data into a new compilation of available geological mapping for a large area that straddles the Alaska-Yukon border, together with 34 previously published U-Pb age determinations and an extensive geochemical database of metaigneous rocks from Late Devonian to Early Mississippian and middle to late Permian assemblages in this area. Magmatism in the Lake George assemblage and related assemblages occurred in two pulses from about 371 to 360 and from about 358 to 347 million years ago (Ma); geochemical discrimination diagrams indicate a large crustal component, possibly indicative of arc magmatism, for felsic metaigneous rocks and a range of tectonic environments for mafic rocks. Magmatism in the Fortymile River and related assemblages, and parts of the Nasina assemblage—all parts of the Yukon-Tanana terrane—are mainly Early Mississippian and span a crystallization age range from about 361 to 343 Ma; geochemical discrimination diagrams for these rocks indicate primarily arc geochemical signatures for both mafic and felsic rocks. Middle to late Permian crystallization ages (about 261–253 Ma) are indicated for felsic metaigneous rocks in the Klondike assemblage and some of the felsic metaigneous rocks in the Nasina assemblage. Based on our mapping, we propose the existence of a possible unconformity between the Mississippian and Permian felsic metavolcanic rocks within the Nasina assemblage that is marked by sporadic occurrences of stretched-pebble conglomerate. Our combined database supports the well-established model of a magmatic arc comprising the Fortymile River and Finlayson assemblages of the rifted Yukon-Tanana terrane continental fragment on which a middle to late Permian arc (Klondike assemblage) was later built. The assemblages of the Yukon-Tanana terrane were subsequently intruded by Late Triassic to Early Jurassic granitoids, presumably during reaccretion of the Yukon-Tanana terrane to the continental margin. Permian and Late Triassic to Early Jurassic intrusions have not been mapped in the now structurally lower plate Lake George assemblage; their absence is one of the lines of evidence that have been used to support the parautochthonous, rather than allochthonous, origin of the Lake George assemblage and related assemblages. Our new data, together with previously published ranges of igneous crystallization ages and geochemical tectonic signatures of the Late Devonian to Early Mississippian magmatic rocks in the Lake George assemblage and associated assemblages and in the Fortymile River, Nasina, and correlated assemblages of the Yukon-Tanana terrane, indicate that the currently accepted interpretation of the Lake George assemblage and associated rocks being part of parauthochthonous North America is not the only possible interpretation of this tectonic entity. Approximately half of the dated intrusive rocks in the Lake George assemblage are contemporaneous with the metaigneous rocks of the Yukon-Tanana terrane arc (<361 Ma). We speculate that our approximately 361 Ma U-Pb age for quartz syenite in part of the North American continental margin in south-central Yukon defines the beginning of rifting of the Laurentian margin. Although the currently favored model of prolonged middle Paleozoic subduction and extension in both the Yukon-Tanana terrane and parautochthonous North America allows for simultaneous middle Paleozoic magmatism on both sides of the Slide Mountain Ocean, we now propose an alternative hypothesis in which the Lake George assemblage represents a deeper part of the rifted Yukon-Tanana terrane arc. If this is the case, the absence of Permian and Late Triassic to Early Jurassic arc rocks in the Lake George assemblage could be explained either by the arcs of these ages not being wide enough to have affected the Lake George assemblage or by tectonic displacement of these arc rocks away from the Lake George assemblage. Our approximately 259 Ma U-Pb zircon age and geochemical analyses of metarhyolite in the Seventymile terrane in Alaska, which comprises remnants of the back-arc basin that separated the Yukon-Tanana terrane from the Laurentian continental margin, confirm the presence of a late middle Permian volcanic arc component to the terrane. Our approximately 319 Ma U-Pb zircon age from the Chicken assemblage (as redefined in this study) in eastern Alaska, combined with previously reported fossil ages and a U-Pb zircon age from this assemblage, indicate that it is a Late Mississippian to Early Pennsylvanian arc assemblage. We propose several other relatively young, locally developed arc assemblages outboard of the ancient continental margin of Laurentia that may correlate with the Chicken assemblage, but we consider its origin to remain an enigma.

Alaska↗

Dynamic triggering

A growing body of evidence demonstrates that dynamic stresses propagating as seismic waves from large earthquakes are capable of triggering additional earthquakes ranging from aftershocks in the near-field (within one or two source dimensions of the mainshock epicenter) to remotely triggered earthquakes at distances exceeding 10 000 km. Most of the triggered earthquakes are small (generally M ≤ 3) except within the near field, where dynamic stresses may trigger slip on subadjacent fault segments leading to complex rupture comprising of several large earthquakes of comparable magnitude. Crustal surface waves with periods of 15–30 s and peak dynamic stresses greater than ∼0.01 MPa seem to be most efficient in triggering remote seismicity. Current models for dynamic triggering fall under two broad groups: one appealing to Coulomb failure with various friction laws, and the other appealing to the activation of crustal fluids either hydrous or magmatic. No single model appears capable of accounting for the wide variation observed in the nature of triggered activity. Spatial sampling of dynamic triggering on a global scale is still woefully inadequate because of the limited distribution of adequate seismic networks. From the limited data currently available, it appears that extensional stress regimes hosting geothermal and volcanic activity are more susceptible to remote dynamic triggering than compressional stress regimes, although remote triggering is not limited to extensional regimes. Instances of remote triggering in the few areas with continuous, high-resolution deformation instrumentation (all volcanic or geothermal areas) include distinctive deformation transients, suggesting that the locally triggered seismicity in these areas may be a secondary response to a more fundamental aseismic process that likely involves some form of fluid transport or phase change. Recent evidence for triggering by solid Earth tides and ocean loading in convergent plate margins provides a low-frequency, low-amplitude reference point for the spectrum of stresses capable of dynamic triggering. Remaining challenges include establishing better sampling of the distribution of triggered seismicity and better constraints on physical models for the triggering process.

Book chapter↗

Geophysical and isotopic constraints on crustal structure related to mineral trends in north-central Nevada and implications for tectonic history

We combined information from Sr and Pb isotope data and magnetotelluric models to develop a new magnetic and gravity interpretation of the crustal structure of north - central Nevada to better understand the origin of mineral trends . The new interpretation suggests a crustal structure that is composed of Precambrian continental crust, transitional crust, and primarily oceanic crust that are separated by northwest- and northeast-striking fault zones. The magnetic expression of the buried Precambrian continental crust is recognized for the first time. Low magnetic values primarily reflect magnetite-poor crystalline crust rather than elevated temperatures at depth. Northwest- and northeast-striking crustal boundaries are defined by isotopic data and abrupt gradients in gravity and magnetic data. The Carlin and Battle Mountain-Eureka mineral trends are associated with two of three northwest-striking boundaries. The Carlin boundary is primarily defined by a change in density and isotopic character of the lower to middle crust. The Battle Mountain-Eureka boundary coincides with a density contrast in the upper crust and a change in isotopic character in the lower to middle crust. Magnetotelluric models suggest that the Battle Mountain-Eureka boundary represents a crustal fault zone for most of its extent, but that deep-rooted faulting is more complex near and northwest of Battle Mountain. Crustal fault zones inferred from the magnetotelluric models near the Carlin trend are oblique to it, suggesting that they may not have been controlled by the deep boundary seen in the gravity and isotopic data. The third northwest-trending boundary is related to the western edge of the buried Precambrian continent in west- central Nevada , but lacks an associated mineral trend . A northeast-striking boundary forms the northern limit of Precambrian continental and transitional crust. The boundaries may have originated as rift or transform faults during Precambrian breakup of Rodinia or as faults accommodating lateral movements or accretion during later Paleozoic tectonic events. Comparing the crustal structure to tectonic elements produced by successively younger events shows that it had a profound influence on subsequent sedimentation, deformation, magmatism, extension, and most important, mineralization.

Nevada↗

Flux and age of dissolved organic carbon exported to the Arctic Ocean: A carbon isotopic study of the five largest arctic rivers

The export and Δ 14 C-age of dissolved organic carbon (DOC) was determined for the Yenisey, Lena, Ob', Mackenzie, and Yukon rivers for 2004–2005. Concentrations of DOC elevate significantly with increasing discharge in these rivers, causing approximately 60% of the annual export to occur during a 2-month period following spring ice breakup. We present a total annual flux from the five rivers of ∼16 teragrams (Tg), and conservatively estimate that the total input of DOC to the Arctic Ocean is 25–36 Tg, which is ∼5–20% greater than previous fluxes. These fluxes are also ∼2.5× greater than temperate rivers with similar watershed sizes and water discharge. Δ 14 C-DOC shows a clear relationship with hydrology. A small pool of DOC slightly depleted in Δ 14 C is exported with base flow. The large pool exported with spring thaw is enriched in Δ 14 C with respect to current-day atmospheric Δ 14 C-CO 2 values. A simple model predicts that ∼50% of DOC exported during the arctic spring thaw is 1–5 years old, ∼25% is 6–10 years in age, and 15% is 11–20 years old. The dominant spring melt period, a historically undersampled period, exports a large amount of young and presumably semilabile DOC to the Arctic Ocean.

Global Biogeochemical Cycles↗

Review of flow rate estimates of the Deepwater Horizon oil spill

The unprecedented nature of the Deepwater Horizon oil spill required the application of research methods to estimate the rate at which oil was escaping from the well in the deep sea, its disposition after it entered the ocean, and total reservoir depletion. Here, we review what advances were made in scientific understanding of quantification of flow rates during deep sea oil well blowouts. We assess the degree to which a consensus was reached on the flow rate of the well by comparing in situ observations of the leaking well with a time-dependent flow rate model derived from pressure readings taken after the Macondo well was shut in for the well integrity test. Model simulations also proved valuable for predicting the effect of partial deployment of the blowout preventer rams on flow rate. Taken together, the scientific analyses support flow rates in the range of ~50,000&ndash;70,000 barrels/d, perhaps modestly decreasing over the duration of the oil spill, for a total release of ~5.0 million barrels of oil, not accounting for BP's collection effort. By quantifying the amount of oil at different locations (wellhead, ocean surface, and atmosphere), we conclude that just over 2 million barrels of oil (after accounting for containment) and all of the released methane remained in the deep sea. By better understanding the fate of the hydrocarbons, the total discharge can be partitioned into separate components that pose threats to deep sea vs. coastal ecosystems, allowing responders in future events to scale their actions accordingly.

Alabama;Florida;Louisiana;Mississippi;Texas↗