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Numerical modeling of Late Pleistocene to Holocene earthquake-induced progressive rock slope damage in the paraglacial Serpentine valley, Prince William Sound, Alaska

Landslides in deglaciating fjords pose a potential tsunami threat to nearby communities; however, processes contributing to long-term progressive rock damage and landslide conditioning remain poorly constrained in paraglacial settings. Here, we analyse the role of earthquake-induced rock mass damage over late Pleistocene to Holocene time scales, as a conditioning factor for modern landslides, using distinct element numerical modelling to assess spatial and temporal patterns of fracture propagation influenced by varying glacier thickness. Conceptualised numerical models were parameterised by in situ rock mass, glacial and topographic conditions in Serpentine valley, located in Prince William Sound, Alaska, where several large landslides are actively developing along the western valley wall. Results show that although rigid glacier buttressing reduces co-seismic rock mass damage, it does not suppress it completely, and damage occurs both above and below the glacier surface elevation. We demonstrate that topography, and especially steep slopes with topographic convexity, as well as preexisting damage of joint networks and faults inherited from tectonic and exhumation induced stresses, exert primary control on the location of new co-seismic damage. Simulations representing a simplified deglaciation sequence over the past 25 ka, with a series of 10 evenly spaced earthquakes, generated rock mass damage patterns that qualitatively match in situ landslide structural and kinematic observations at one instability in Serpentine valley. Our conceptual study helps clarify the role of repeated seismicity over glacial timescales as a long-term conditioning process for paraglacial rock slope failure, highlighting spatial and temporal patterns of progressive damage accumulation, with outcomes relevant for modern landslide hazard assessment.

Alaska

Light-dependent activity of deepwater sculpin (Myoxocephalus thompsonii) across substrates with and without predation risk

Light availability strongly influences predator–prey interactions in deepwater ecosystems, where visual constraints shape both foraging success and prey behavior. The behavioral response of deepwater sculpin ( Myoxocephalus thompsonii ) to siscowet lake trout ( Salvelinus namaycush siscowet ) was studied under ecologically relevant light intensities spanning several orders of magnitude typical of daytime downwelling light in the 20–100 m depth range of Lake Superior. Trials were conducted over varying substrates (gravel, sand, and black fabric). Deepwater sculpin showed a significant preference for gravel over sand and black fabric. In the absence of siscowet, sculpin movement frequency increased as light intensity decreased. Sculpin reaction distance to siscowet was influenced by both light and substrate. Reaction distance was shortest at low light intensities, peaked at intermediate light intensities (3.05 × 10⁹ to < 6.0 × 10⁹ photons m⁻2 s⁻1), and declined again at the highest light intensities tested. In the presence of siscowet, sculpin activity was suppressed at the upper end of the light range (≥ 6.0 × 10⁹ photons m⁻2 s⁻1). The greatest increase in movement occurred between 6.0 × 10⁹ and 3.05 × 10⁹ photons m⁻2 s⁻1, which corresponded to the range where siscowet prey capture declined, suggesting sculpin exploit this low-light window to move with reduced risk. Reduced activity in the presence of predators is common among cryptic species, and our findings suggest that sculpin restrict movement at higher light levels to avoid detection by siscowet.

Wisconsin

Earthquake stress-drop values delineate spatial variations in maximum shear stress in the Japanese forearc lithosphere

Earthquake stress drop (Δσ) may increase with depth and stress in the brittle lithosphere. However, the range of uncertainty in Δσ and the lack of constraints on absolute stress make it difficult to establish whether they are correlated. Here, we investigate Δσ dependence on depth and maximum shear stress ( τ max ) based on ~11 years of seismicity in the northeastern Japanese forearc following the 2011 Tohoku-Oki megathrust earthquake. We interpret Δσ estimates computed using both individual spectra and spectral-ratio methods and find that Δσ exhibits a clear depth dependence within the seismically active upper ~60 km of the forearc lithosphere ( ~ 0.8 MPa per 10 km). We further compare Δσ values with quantitative τ max estimates from finite-element models of force balance. We find that median Δσ values increase with τ max in the brittle forearc lithosphere and that earthquake stress release is proportional to τ max . The dependence of Δσ on τ max explains the apparent depth dependence of Δσ and suggests that average Δσ values provide a relative measure of the stress at failure. In the northeastern Japanese forearc, Δσ values remained roughly constant in the decade following the Tohoku-Oki earthquake, suggesting negligible changes in failure stress in the forearc since the mainshock.

Communications Earth and Environment

Mechanics and statistics of postseismic shaking

Analysis of two weeks of continuous post-seismic shaking after the 2019 M7.1 Ridgecrest, CA earthquake sequence using 4 nearby borehole seismometers reveals that continuous ground motions decay as Omori’s law in time and follow the Gutenberg-Richter distribution in logarithmic amplitude. The measured temporal decay in amplitudes agrees with predictions of the rate-and-state framework and indicates shaking amplitudes are proportional to the velocity of afterslip. Our ground motion-based statistical framework provides a basis to forecast shaking intensity in the minutes to hours after a large earthquake.

California

Evaluating mass flow meter measurements from chambers for greenhouse gas emissions from orphan wells and other point sources

This study evaluates the performance of a rigid gas flux chamber equipped with a mass flow meter (MFM) for measuring gas emissions from leaking orphan wells and similar pressure-driven gas point sources. We conducted a series of laboratory and field experiments to evaluate the sensitivity, stability, and dynamic range of an MFM chamber system and found an optimal method for sealing the chamber to the ground to isolate the emission source. From these results, we estimate the effects of different soil gas permeabilities on measurements and identify the uncertainty of environmental processes that can impact measurements. Simulations of an MFM chamber are compared to those of a dynamic flux chamber to contrast the data derived with both methodologies and illustrate the potential for measuring high variability leaks with the MFM chamber. Using a low flow resistance MFM and a chamber well-sealed to the ground, it is possible to measure leaks down to 1.08 x 10 -3 cubic meters per hour (m 3 h −1 ) (refenced to 25°/1 atm), corresponding to 0.77 grams per hour (g h −1 ) methane or 2.11 g h −1 carbon dioxide, with a mean uncertainty of 0.89 % relative standard deviation. Environmental processes such as heated gas inside the chamber from solar gain, wind blowing across the chamber vent, and changing humidity in the chamber, can cause variation in MFM measurements. Over 11 d of continuous monitoring under varying weather conditions, the standard deviation of the environmentally sourced signals was found to be 7.40 x 10 -3 m 3 h −1 (equivalent to or 5.27 g h −1 methane or 14.45 g h −1 carbon dioxide). Strategies to obtain the highest quality data from MFM chambers include burying the edges of the chamber below the surface sufficiently deep to seal the chamber edges against gas flow and soaking the dirt with water to lower the chances of escaping gases, while monitoring the gas flow and adjusting the chamber seal to achieve a maximum flow rate.

Atmospheric Measurement Techniques

An empirical Green’s function approach for isolating directivity effects in earthquake ground-motion amplitudes

In this study, we apply an empirical Green’s function (eGf) method within a ground‐motion modeling framework to mitigate trade‐offs between source, path, and site effects. Many physical processes contribute to spatial variations in observed ground motions, including earthquake radiation pattern, directivity, variable path attenuation, and site effects. Current nonergodic ground‐motion models use spatially varying coefficients for path and site effects, but they do not address trade‐offs with complex earthquake source effects. To quantify the influence of directivity on ground‐motion amplitudes, we use records from multiple smaller earthquakes with epicenters near that of a larger event. We use these small magnitude events as eGfs and estimate repeatable path and site effects at individual stations, assuming that the average adjustments are not controlled by directivity. We adjust residuals from the larger earthquake using the eGf terms, isolating effects related to the rupture. This method clearly enhances the observed broadband directivity observed in the 2022 M 5.1 and 2007 M 5.4 Alum Rock earthquake ground motions, reinforcing the conclusion that their ruptures were unilateral. For the 2004 M 6.0 Parkfield earthquake, we find a bilateral rupture model better fits the data because variations in rupture velocity, slip rate, and slip distribution seem to have a stronger effect on the ground motions than rupture direction alone. Applying eGf adjustments reduces the standard deviation of the rupture models over the three earthquakes by 32% on average and by up to 57% for the 2022 Alum Rock earthquake, confirming we have effectively removed repeatable effects related to the wave propagation path and site response. We propose a novel measure of the frequency‐dependent directivity amplification strength as the reduction in ground‐motion residual variability gained by fitting a directivity model; for the three earthquakes considered, this parameter varies between 25% and 75%, indicating that directivity can strongly influence ground motions and should be considered in ground‐motion modeling.

California

Geochemical, mineralogical, and isotopic evidence for multi-stage genesis of the Hicks Dome REE + Y-HFSE-fluorite deposit, Illinois, USA

Hicks Dome hosts breccias enriched in rare earth elements (REE), Y, Th, F, Ba, Ti, Nb, and Be, alongside spatially associated lamprophyre dikes (ca. 271 Ma). Hicks Dome is located within the Illinois–Kentucky Fluorspar District, which hosts fluorite, Pb–Zn, and barite resources. This study investigates the genetic relationships between Hicks Dome mineralization in breccias, alkaline magmatism, and Illinois–Kentucky Fluorspar District mineralization. Lamprophyre dikes are light REE–enriched with chondrite-normalized abundances decreasing from La to Lu. The Host Breccia exhibits middle and heavy REE–enriched patterns that mirror those of the principal REE–Th host minerals, including fluorapatite, xenotime, and thorite. Textural evidence suggests recrystallization of phosphates, sulfates, and Ti–Nb oxides in the Host Breccia. U–Pb geochronology constrains multiple mineralizing events, with ages of 277 ± 18 Ma from low-Th apatite interpreted as main-stage mineralization, and 121.6 ± 9.7 Ma from high-Th apatite indicating later overprinting. O–H–C stable isotope data provide evidence for multiple stages of fluid-rock interaction and fluid mixing: (1) early magmatic fluids dissolved limestone country rock, (2) mixing between magmatic fluids and basinal brines led to main-stage mineralization in the Host Breccia, and (3) late-stage mineralization occurred following mixing of meteoric water and basinal brine. These results indicate that heavy REEs, high field strength elements, and fluorine precipitated proximal to its alkaline magmatic source because of fluid–rock interactions and fluid mixing. Subsequent fluid mixing drove late-stage recrystallization and additional fluorite formation, a process that may be similar to mineralization in the Illinois-Kentucky Fluorspar District.

Illinois

National population exposure and evacuation potential in the United States to earthquake-generated tsunami threats

Previous efforts to characterize tsunami threats to people have focused primarily on individual scenarios in specific areas but have not recognized multiple scenarios across an entire country. This study addresses this gap by quantifying population exposure and evacuation potential in the United States to 102 earthquake-related, tsunami-hazard zones, including 92 local scenarios, 8 distant scenarios, and 2 probabilistic products. Geospatial path-distance modeling quantified evacuation potential and the influence of departure delays. We focused on residents to support other national, multi-hazard risk analyses. Millions of residents are in distant-tsunami zones, and hundreds of thousands of residents are in local-tsunami zones. In 41 scenarios, there is at least one resident that may have insufficient time to evacuate before wave arrival. Tens of thousands of residents may have insufficient time to evacuate from local tsunamis that impact the U.S. Pacific Northwest or Puerto Rican coastlines. The largest improvements in evacuation potential may come from reducing departure delays in some areas but may involve vertical-evacuation structures or changing land use in other areas.

International Journal of Disaster Risk Reduction

Climate change and future water availability in the United States

The steady rise in global temperature as a result of human activity is causing changes in Earth’s water cycle. The balance of water stored within and moving between vapor, liquid, and frozen states in the water cycle is shifting, with consequences for water availability that include increases in drought, fire weather, flooding, and heavy precipitation, as well as cryosphere decline and sea-level rise. In this chapter of the U.S. Geological Survey Integrated Water Availability Assessment—2010–20, we provide an overview of climate-change observations and projections from Earth-system model simulations that relate to future water availability, from global and national climate assessments and from the published literature. Effects of climate change on primary water-cycle components are discussed in context of how global-scale hydroclimate drivers influence regional processes within the United States. Understanding the major climate drivers impacting the water cycle is crucial to predicting future changes in water availability and developing adaptation strategies to ensure human and ecosystem water supplies. First, we provide background information on the water cycle, the climate-model ensemble simulations developed to produce projections based on warming scenarios, and attribution and certainty levels. Tipping points, self-reinforcing feedbacks, cascading effects, and compound extremes are introduced. The framework of climatic impact drivers (CIDs) outlined in the Intergovernmental Panel on Climate Change Sixth Assessment Report (IPCC AR6) is used to show primary drivers of physical change to the water cycle and to understand and predict changes in future water availability. Specific climate-change related observations and projections are discussed for water cycle components of precipitation, evapotranspiration, soil moisture, streamflow, lakes and wetlands, ice and snow, and groundwater, as well as their implications for future water availability for humans and ecosystems. The chapter concludes with a synthesis discussion of three examples of complex regional-scale hydroclimate processes that influence water availability for populations in the United States, including (1) mountain and coastal precipitation, (2) aridification and drought, and (3) the influence of forest-cover change on terrestrial water-vapor recycling.

Professional Paper

What 25+ years of "Did You Feel It" intensities tell us about shaking in California

“When will the Big One happen?” is a question that people often have for earthquake scientists. But while waiting for the “Big One” to occur, people will usually experience frightening or damaging shaking from multiple relatively smaller‐magnitude earthquakes. Given this context, it raises the question: “Where does most of the damage come from?” Could smaller, yet more frequent, earthquakes account for the majority of reported impactful shaking? To explore this question, we consider reports of earthquake damage and felt shaking experiences from a catalog of community‐collected intensity values from the U.S. Geological Survey’s “Did You Feel It?” system. Comparing these intensities to expectations from a ground‐motion model, we find that earthquakes of magnitudes smaller than expected are responsible for most reported intensities of community decimal intensities (CDI) 4.5 and above (moderate and higher shaking intensity levels). (Here “expected value” is meant in its mathematical sense of the mean or equivalently median shaking intensity.) We also present a regional analysis of observed earthquake shaking for specific areas, detailing the maximum intensity experienced within a predetermined area. We identify several instances of M < 4.5 events that generated maximum intensities of CDI > 5 in regions in California surrounding the cities of Eureka, San Francisco, Los Angeles, and San Diego. Our results motivate the need to include smaller‐magnitude earthquakes in communications about earthquake hazard and risk reduction.

California

Regionalization of low-flow characteristics of Tennessee streams

Procedures for estimating 3-day 2-year, 3-day 10-year, 3-day 20-year, and 7-day 10-year low flows at ungaged stream sites in Tennessee are based on surface geology and drainage area size. One set of equations applies to west Tennessee streams, and another set applies to central and east Tennessee streams. The equations do not apply to streams where flow is significantly altered by activities of man. Standard errors of estimate of equations for west Tennessee are 24 to 32% and for central and east Tennessee 31 to 35%. Streamflow recession indexes, in days/log cycle, are used to account for effects of geology of the drainage basin on low flow of streams. The indexes in Tennessee range from 32 days/log cycle for clay and shale to 350 days/log cycle for gravel and sand, indicating different aquifer characteristics of the geologic units that sustain streamflows during periods of no surface runoff. Streamflow recession rate depends primarily on transmissivity and storage characteristics of the aquifers, and the average distance from stream channels to basin divides. Geology and drainage basin size are the most significant variables affecting low flow in Tennessee streams according to regression analyses. (Author 's abstract)

Tennessee

The value of electronic tagging and tracking studies for understanding fish–hypoxia interactions

Objective Hypoxia (i.e., low dissolved oxygen availability) is a natural phenomenon but can also be induced by human activities (e.g., nutrient enrichment from runoff). Given that dissolved oxygen is essential for aquatic life, periods of hypoxia tend to have negative consequences (e.g., sublethal disturbances, mortality) for most fishes. Extensive laboratory research has documented hypoxia thresholds and physiological and behavioral outcomes for a variety of freshwater and marine fishes and there is also an extensive body of fieldwork assessing population-level responses (e.g., survival, distribution). Yet, studying how individual fish respond to hypoxia in the wild has proved challenging; electronic tagging and tracking tools (e.g., biotelemetry, biologging) have made it easier to study individual responses to hypoxia and complement other tools like hydroacoustics that tend to focus on population-level responses. Methods We review what has been learned from contemporary studies that employ electronic tagging and tracking tools to understand how fish respond to hypoxia in the wild. Topics explored include identifying and validating hypoxia thresholds, habitat compression, connectivity, mortality, physiological and bioenergetic consequences, and extreme weather conditions. We also consider what we have learned about evaluating various management plans for hypoxia and reflect on how electronic tags have also been used in aquaculture systems and in hybrid studies that combine laboratory and field research. We highlight fishes in Lake Erie as a research narrative to demonstrate how electronic tagging and tracking have markedly improved our understanding of a longstanding hypoxia issue. Results Our synthesis revealed that electronic tagging and tracking have provided critical information on how fish respond to hypoxia in the field, revealing complex trade-offs and compensatory mechanisms as well as cryptic hypoxia-induced mortality. Beyond just illuminating space use and mortality, tags equipped with various sensors are revealing how fish deal with hypoxia in real time in terms of physiology, bioenergetics, and behavior. Conclusions As electronic tagging and tracking methods experience further innovation and are increasingly applied to understand the effects of hypoxia on fish, we expect more unanticipated findings about the effects of hypoxia on fish in all aquatic ecosystems, which will strengthen our ability to manage and mitigate hypoxia. Combining tools and approaches (e.g., lab and field) is perhaps the best way to generate comprehensive understanding.

Transactions of the American Fisheries Society

Estimating groundwater level records using MOVE.1 and computing monthly percentiles from estimated groundwater records in Massachusetts

The U.S. Geological Survey, in cooperation with the Massachusetts Department of Environmental Protection, performed record extensions on groundwater levels at select wells using the Maintenance of Variance Extension type 1 (MOVE.1) method. The groundwater levels estimated from these record extensions were used to compute monthly percentiles to improve future determinations of a groundwater index. In Massachusetts, 27 of 29 short-record study wells with continuous groundwater levels between 0.8 and 8.1 years were suitable for record extensions; 37 long-record index wells were used to extend the groundwater level records at the study wells. The index well selected to pair with a study well was chosen based on Pearson correlation coefficient values; cross-correlation between the two wells; geologic and topographic similarity; and smallest distance spanning the wells. Each study well and its corresponding index well have 1 or more years of concurrent, overlapping data; a Pearson correlation coefficient that exceeded a threshold value of 0.8; and a similar aquifer type and hydrologic characteristics. Of the 29 study wells, 2 showed poor correlations with all index wells and were not considered for record extensions. Performance metrics used to assess the accuracy of the MOVE.1 models indicated that most models provided reasonable estimates of groundwater levels. Root mean square error values ranged from 0.097 to 2.292 feet, with a median of 0.536 foot. Nash-Sutcliffe efficiency coefficient values ranged from 0.623 to 0.996, with a median value of 0.759. Generally, study wells in close geographical proximity to their index well resulted in stronger model performance. The average length of groundwater level records was extended by 14.1 years to a new average of 18.1 years. The estimated groundwater level records from the MOVE.1 models resulted in an increase in the range of highest and lowest groundwater levels at 23 of 27 wells. The increase in range of groundwater levels was between 0.08 to 7.95 feet. Monthly percentiles for State drought indices were computed from the estimated MOVE.1 records and observed records through December 31, 2021. Percentiles computed from estimated records show an average groundwater level about 1.0 foot lower than observed data at the 2d percentile and 0.1 foot lower at the 30th percentile.

Massachusetts

Simulated ground motion dataset in the Azores Plateau, Portugal, on rock and soil sites

Building on a previously developed bedrock dataset, this study extends the Azores Plateau ground motion simulations to include soil-amplified records and introduces a comprehensive validation framework. Soil amplification is modeled using one-dimensional soil profiles. A stochastic source-based approach is employed to generate the dataset, incorporating randomization of input-model parameters to account for the aleatory uncertainty in seismic activity. The accuracy of the dataset is verified through a comprehensive validation framework, showing that the randomization effectively captures variance and inter-period correlation observed in records. This work provides a robust dataset for advancing seismic hazard and risk assessment in the Azores Plateau.

central and eastern Azores islands

Vegetation cover and composition in environments surrounding uranium mines in the Grand Canyon ecosystem, Northern Arizona

Mining uranium from breccia-pipe deposits in the greater Grand Canyon region has occurred since the mid-1900s. However, possible ecosystem contamination with harmful levels of radionuclides may have occurred due to mining activities in the 21st century. In response, a 20-year Federal moratorium on new mining claims in the Grand Canyon watershed was initiated in 2012, to allow time to evaluate the potential effects of uranium exploration and mining on human health, wildlife, and water resources. This moratorium, nor the 2023 designation of the “Baaj Nwaavjo I’tah Kukveni–Ancestral Footprints of the Grand Canyon National Monument,” precludes operation or development of mining claims predating 2012. Vegetation is a core ecosystem component that may be affected by uranium mining (for instance, through uptake and storage of radionuclides from the air or soil) or may act as a vector of exposure to wildlife, livestock, and humans (for instance, via their consumption of contaminated plant tissues). To provide baseline information about the plant communities associated with uranium mines in the Grand Canyon region, the U.S. Geological Survey surveyed an approximately 200-meter-wide buffer surrounding four breccia-pipe deposits, each in a unique stage of mine development, and at one reference area (a livestock water tank) that underwent ground disturbance but contains no mineral deposits. We sectioned the buffer zones into 0.65–4.52 hectare plots, within which we (1) inventoried all plant species, (2) measured percent cover of plant species, plant functional groups, and ground surface types (dark cyanobacteria, lichen, moss, bedrock, rock, embedded litter, duff, plant bases, and bare soil) using line-point intercept, and (3) measured length and frequency of gaps between perennial plant canopies using canopy gap intercept. We found that plant composition at the mines and the reference area differed from one another but were all characteristic of expected regional vegetation patterns. We provide this data summary as potential baseline information for future research and management efforts.

Arizona

Preliminary ground and airborne-based geophysical mapping and modelling of an active hydrothermal system at Mammoth Lakes, California

Mammoth Lakes, California hosts a productive hydrothermal system within the seismically active south moat of Long Valley Caldera. Surficial evidence of the shallow hydrothermal system includes discrete zones of tree-kill dispersed between Shady Rest Park and the Casa Diablo Geothermal Power Plant (40 MW), as well as east of the power plant. The tree-kill areas are associated with elevated diffuse CO₂ emissions, heated ground, hydrothermal alteration, diffuse soil H₂S emissions, and gas vents. Previous mapping delineates prominent north and northwest trending structures within the south moat along the southwestern edge of the resurgent dome that may accommodate gas and fluid flow at the Shady Rest Park and Basalt Canyon Tree Kill Areas (SRTKA and BCTKA, respectively). Both tree-kill areas are also located along contacts between resurgent rhyolite, mafic lavas, and surficial deposits which may provide additional pathways for gas and fluid migration in the shallow subsurface. Characterizing structure and lithology using geophysical anomalies is critical to determining primary structural controls on the hydrothermal system and the extent of subsurface alteration at these sites. We conducted ground and airborne-based potential field geophysical surveys to map gravity and magnetic anomalies. These anomalies are then used to model subsurface geology, structure, and hydrothermal alteration. Here we present our preliminary geophysical mapping and modelling results at both tree-kill locations. Gravity and magnetic data suggest complex structural intersections are coincident with heated ground and gas emissions at the SRTKA and BCTKA. Hydrothermal systems are often observed or interpreted to exploit fault intersections which can serve as highly permeable pathways for hydrothermal fluid and gas discharge, enabling economic geothermal energy production. Geophysical mapping and modelling are an effective means of investigating such structural complexity at Mammoth Lakes due to the presence of unidentified and concealed structures.

California

Analyzing spatial distributions and alignments of pitted cone features in Utopia Planitia on Mars

Martian geomorphology and surface features provide links to understanding past geologic processes such as fluid movement, local and regional tectonics, and feature formation mechanisms. Pitted cones are common features in the northern plains basins of Mars. They have been proposed to have formed from upwelling volatile-rich fluids, such as magma or water-sediment slurries. In this study, we map the spatial distributions of pitted cone features across the Utopia Planitia (UP) basin. Using the Average Nearest Neighbor technique, we find that pitted cone features appear to be clustered across the basin, occurring in a narrow band around the circumferential rim of UP. Additionally, we find that pitted cone features also appear to be aligned in chains that are sub-parallel with the basin margin. Parallel bands of cones generally follow elevation contours of the UP basin, which suggests elevation or a correlated factor plays a major role in pitted cone and cone chain formation. We propose that pitted cones and cone chains may be related to vertical fractures formed around the UP basin rim from subsidence of infilling basin material.

Icarus

Sedimentary exhalative (sedex) zinc-lead-silver deposit model

This report draws on previous syntheses and basic research studies of sedimentary exhalative (sedex) deposits to arrive at the defining criteria, both descriptive and genetic, for sedex-type deposits. Studies of the tectonic, sedimentary, and fluid evolution of modern and ancient sedimentary basins have also been used to select defining criteria. The focus here is on the geologic characteristics of sedex deposit-hosting basins that contain greater than 10 million metric tons of zinc and lead. The enormous size of sedex deposits strongly suggests that basin-scale geologic processes are involved in their formation. It follows that mass balance constraints of basinal processes can provide a conceptual underpinning for the evaluation of potential ore-forming mechanisms and the identification of geologic indicators for ore potential in specific sedimentary basins. Empirical data and a genetic understanding of the physicochemical, geologic, and mass balance conditions required for each of these elements are used to establish a hierarchy of quantifiable geologic criteria that can be used in U.S. Geological Survey national assessments. In addition, this report also provides a comprehensive evaluation of environmental considerations associated with the mining of sedex deposits.

Scientific Investigations Report