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Detecting earthquakes in noisy real-time GNSS data with deep learning for improved PGD magnitude estimation

To disseminate accurate and useful warnings, earthquake early warning (EEW) systems must quickly determine the size and location of an earthquake to estimate expected shaking. Traditional seismic‐based algorithms tend to underestimate the true magnitudes of large earthquakes, a phenomenon known as magnitude saturation. This limitation motivated the recent inclusion of Global Navigation Satellite Systems (GNSS) data into the U.S. Geological Survey’s ShakeAlert EEW system with the Geodetic First Approximation of Size and Time (GFAST) algorithm because GNSS data do not saturate with large ground motions. However, the noise levels of GNSS data are very high compared with traditional seismic data, which obscures P ‐wave arrivals and can result in less accurate magnitude estimations if displacement amplitudes are low, such as for lower magnitude earthquakes or large source–station distances. In this study, we develop a deep‐learning model that detects earthquakes in GNSS data and use the Ridgecrest, California, earthquake sequence as a case study to demonstrate how the model could act as a filter to reduce the amount of low‐quality data that enters an algorithm like GFAST. To preserve our limited real earthquake data for model inference, we generated a training dataset composed of >700,000 synthetic displacement waveforms. We combined the synthetic waveforms with real‐time GNSS noise to produce realistically noisy training waveforms and then tested our model on additional synthetic data and performed inference using the real data that were held back. We discuss the performance of our trained model on both the unseen synthetic data and real inference data. Our model can be used to selectively filter only high‐quality data where an earthquake signal is observed for input into an algorithm like GFAST (outperforming a simple signal‐to‐noise ratio–based filter) to reduce the error in GFAST’s real‐time earthquake magnitude estimations.

California

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

Latest Pleistocene to 19th-century earthquakes on bending-moment reverse faults of the Seattle fault zone, Washington

Fault-related folds and their associated secondary faults play a critical yet often underrecognized role in accommodating strain and generating earthquakes in active fold-and-thrust belts. In the Seattle fault zone (SFZ), Washington, USA, we present new paleoseismic, geomorphic, and geophysical evidence for late Pleistocene and Holocene earthquakes on shallow, south-dipping secondary faults—the Lytle Beach and Vasa Park faults—that lie within the hanging wall of the greater SFZ and are on trend with the primary, blind Blakely Harbor fault. Our data show that these structures have ruptured independently, producing localized uplift and deformation at the surface, with the most recent event (RH2) likely occurring in the early nineteenth century. While a temporal overlap between the late Pleistocene RH1 and VP1 earthquakes raises the possibility of a ≥35 km rupture along the Blakely Harbor fault, structural and temporal evidence instead supports independent rupture on individual faults related to folding. We interpret these faults as bending-moment reverse faults that formed within a synclinal hinge zone of the main fault, reflecting mechanical and kinematic influences of the broader fault system. Combined with prior studies, our findings indicate that faulting related to folding dominates the mode of strain release within the SFZ since the late Pleistocene with more frequent earthquake recurrence (∼350 yr) over the past ∼2500 yr.

Washington

Utilizing hydrophones to detect streambed mobilization in the Wild and Scenic reach of the Rio Chama

This paper describes a study that deployed underwater acoustic sensors (hydrophones) to detect streambed mobilization in the Wild and Scenic reach of the Rio Chama, New Mexico. Fine sediment accumulation in the gravel‑cobble bed affects brown trout spawning habitat, and understanding incipient motion thresholds is essential for planning effective environmental flushing flows released from El Vado Dam. Two hydrophone stations were operated during 2021–2022, capturing audio data during a high‑flow pulse in late 2021. Acoustic processing techniques, including spectral analysis and threshold‑based impact detection, were used to identify sediment‑generated noise associated with coarse sediment transport. Results indicate detectable sediment mobilization during the high‑flow pulse, demonstrating hydrophones’ potential as a passive monitoring tool for environmental flow planning and sediment‑management decision support.

Conference Paper

Turbidite correlation for paleoseismology

Marine turbidite paleoseismology relies on the assumption of synchronous triggering of turbidity currents by earthquake shaking to infer rupture extent and recurrence. Such inference commonly depends on age dating and correlation of the physical stratigraphy of deposits carried by turbidity currents (i.e., turbidites) across great distances. Along the Cascadia subduction zone, which lies offshore the Pacific Northwest, USA, turbidite facies in core photographs, X-ray computed tomography images, and magnetic susceptibility (MS) data exhibit differences in character over relatively short distances, which implies that not all deposits can be correlated with confidence. Thus, subjective correlation based on expected similarity over great distances and weak age constraints does not independently support paleoseismic models. We present a new method for correlating turbidites along the Cascadia margin that can yield a more objective and repeatable stratigraphic framework to underpin earthquake recurrence. We use dynamic time warping to correlate MS logs and measure correlation coefficients of core pairs to evaluate correlation strength. We then compare these measures to a distribution of correlation coefficients of randomly generated turbidite sequences and find that only a small number of core pairs can be correlated more confidently than randomly stacked turbidites. This methodology promises a more robust correlation strategy for future stratigraphic studies.

Oregon, Washington

Assessing legacy nitrogen in groundwater using numerical models of the Long Island aquifer system, New York

Nitrogen transported along groundwater flow paths in coastal aquifers can contribute substantially to nitrogen loading into surface water receptors, particularly in hydrologic systems dominated by groundwater discharge. Nitrogen entrained in the aquifer is a function of land use and associated nitrogen sources at the time of groundwater recharge, which may differ considerably from present-day sources. Legacy nitrogen can result in substantial discrepancies between observed present-day nitrogen loading to surface water receptors and loading estimated from present-day sources. Additionally, legacy nitrogen can continue to discharge into surface waters after nitrogen mitigation actions have been undertaken. Here, we use a numerical modeling framework to compare three methods of estimating time-varying historical nitrogen loads to four water bodies (receptors) on eastern Long Island, New York. The methods span a range of data requirements and process complexity, from instantaneous receptor loads calculated from steady-state groundwater contributing areas, to transient loads estimated by explicitly simulating legacy groundwater nitrogen transport over a century with large changes in nitrogen sources and hydrologic conditions. The effects of legacy nitrogen on estimated receptor loads varied temporally and spatially within the study area. Depending on antecedent nitrogen inputs and hydrologic conditions, historical annual nitrogen loads estimated from transient simulations accounting for legacy nitrogen can be quite similar (<10% difference) or substantially different (±100%) from those estimated from simpler instantaneous methods. Continued input of present-day nitrogen sources using methods that account for legacy nitrogen results in asymptotic increases in receptor nitrogen loads over time, indicating that simulated present-day receptor nitrogen loads are not in equilibrium with present-day inputs. For these receptors in disequilibrium, models simulating transient groundwater nitrogen transport could be used to account for legacy nitrogen lag times to help resource managers evaluate the potential effectiveness of proposed nitrogen mitigation actions.

EarthArXiv

Surface-wave relocation and characterization of the October 2023 tsunamigenic seismic unrest near Sofugan volcano, Izu Islands, Japan

A moderate-magnitude earthquake swarm occurred in the remote Izu Islands region of Japan between October 1 and 8, 2023. The swarm included 151 shallow earthquakes cataloged by the U.S. Geological Survey, which notably included a roughly 2.5-hr episode of 15 successive magnitude (M) < 5.5 earthquakes. Origin times were coincident with regionally recorded tsunami waves, but tsunamigenesis for moderate-magnitude earthquakes is uncommon, indicating that volcanic activity generated the ocean displacements. Leveraging a surface-wave relative relocation approach, we estimate precise epicentroid locations for the remote swarm. Final epicentroids and caldera analogs indicate a three-stage model to explain swarm activity: (a) caldera pressurization due to magma intrusion, (b) depressurization via dike propagation away from the caldera, and (c) eruption corresponding with caldera reactivation either by collapse or additional intrusion.

Sofugan volcano, Izu Islands

Application of non-stationary shear-wave velocity randomization approach to predict 1D seismic site response and its variability at two downhole array recordings

Accounting for uncertainties in seismic site response is crucial to improving the performance of one-dimensional (1D) ground response analyses (GRAs) at downhole array recording sites. In addition to site effects, uncertainties in 1D-GRAs can also be contributed from the seismic source and/or path. Though often representing not more than one percent of the distance (path) from the source, site conditions are known to have an enormous influence on ground shaking. In this study, we focus on the site shear-wave velocity ( V S ) structure, which is the main ingredient for estimating the variability of site response. As such, V S can manifest aleatory uncertainties related to the effects of small-scale spatial heterogeneities within the near surface, thus V S can substantially modify ground shaking during earthquakes. We apply a novel V S randomization approach to propagate the small-scale heterogeneities of V S to estimate seismic site response within a non-stationary probabilistic framework. The randomization approach generates samples of V S profiles that are used to perform several 1D-GRAs and obtain an averaged site response and related variability. The proposed method is implemented on data recorded at two downhole array sites with different subsurface soil conditions: a soft soil site on Treasure Island (California, United States of America) and a rock outcrop site in Cadarache (South-East France). We show that synthetic surface-to-borehole transfer functions from 1D-GRAs provide an acceptable fit to the empirical transfer functions from low-motion earthquake records and succeed in reproducing most of the site-specific seismic response variability. The remaining mismatch between transfer functions is likely due to insufficient precision on the seismic bedrock and the impedance contrast. The variability in site response is discussed with emphasis on the role of V S small-scale heterogeneities, attenuation, and input motion incidence angle in ground motion variability for the site and soil conditions at both locations.

California

Site-specific, extended ShakeMaps for earthquake engineering applications

The U.S. Geological Survey (USGS) routinely produces ShakeMaps of shaking intensity across the globe. Due to practical constraints, the number of response spectral periods was limited to three standard periods (0.3, 1.0, and 3.0 sec). We have recently developed the tools that are necessary to expand this functionality to include 22 periods (matching the current U.S. National Seismic Hazard Model periods) as well as the orientation-independent components (e.g., “RotD50”). We refer to ShakeMap products that include these extensions as “extended ShakeMaps.” The added level of complexity motivated us to also develop a user-friendly tool called the “ShakeMap Sampling Tool” (SST) that gives all the estimated shaking metrics for a specific location (or list of locations). Additionally, we develop a web application where users can input locations of interest and view/download the SST results. We further familiarize users with the concept of “Composite ShakeMaps.” For earthquakes sequences such as a mainshock and larger foreshocks and aftershocks, this provides a map of the maximum value of each shaking metric, which is useful for overall loss estimates, the full extent of ground failure triggering potential, and a better portrayal of the repeated shaking levels at a given point for a series of earthquakes. Such a site-specific shaking history facilitates earthquake forensics at building or infrastructure sites for which damage may be of concern, as described in the Disproportionate Damage Earthquake trigger specified in the IEBC (2018, Section 405.2.2) and in developing ATC-145 guidelines (Guidelines for Post-Earthquake Assessment, Repair, and Retrofit of Buildings). The composite ShakeMap can be combined with the SST for a variety of earthquake-hazard applications, such as systematically inferring triggering shaking estimates at specific sites of geotechnical interest for landsliding, liquefaction, and lateral-spreading hazards.

Kahramanmaraş

Earthquake magnitude and source parameter estimation with a distributed acoustic sensing dataset in the Gorda subduction zone

Distributed acoustic sensing (DAS) systems offer a cost‐effective way to create large‐scale strainmeter arrays for seismological applications using fiber‐optic cables. DAS‐based strain measurements are known to be influenced by various factors, bringing into question their general reliability for accurate earthquake characterization. A 15‐km‐long DAS deployment in northern California was operational within 3 days of the 2022 M w 6.4 Ferndale earthquake and ran continuously throughout the aftershock sequence. We utilize these aftershock data to validate DAS‐based strain measurements in two ways. We first test the accuracy of DAS‐based magnitude estimates from peak dynamic strains by comparing them with magnitude and attenuation scaling relations derived independently from traditional borehole strainmeter (BSM) data. We demonstrate that DAS‐based magnitudes are comparable to BSM‐based magnitudes when corrections for variations in site response along the fiber‐optic cable are properly made. Magnitude errors are spatially correlated, potentially because of factors such as finite‐fault effects (e.g., stress drop) or more complex, unmodeled path attenuation or because of wave propagation effects in heterogeneous media. We then apply more advanced source characterization methodology to the DAS data using a time‐domain empirical Green’s function (EGF) deconvolution approach to measure details of the moment rate history. The EGF approach using DAS data depends on careful treatment of distorting factors such as anthropogenic sources of noise and optical phase wrapping but successfully isolates source spectra for moderate‐magnitude earthquakes: source spectral ratios obtained from DAS data, broadband seismometer data, and BSM data in the same region show consistent results, revealing differences in directivity and spectral shape among earthquakes. Although further research is needed to refine source‐time‐function estimation techniques for DAS data, particularly for larger magnitude events, these case studies demonstrate the clear potential of DAS for earthquake source characterization.

California

Central Valley Hydrologic Model version 2 (CVHM2): Decision support tool for groundwater and land subsidence management

The San Joaquin Valley (SJV) of California is one of the world’s most productive agricultural regions. Reliance on groundwater has led to some of the greatest rates of human-induced land subsidence in the world in the 20th century, as well as more recently. The United States Geological Survey (USGS) has recently developed an integrated surface–subsurface hydrologic model, the Central Valley Hydrologic Model 2 (CVHM2), that represents the major components of the hydrologic system of California’s Central Valley. In this study, CVHM2 was applied as a decision support tool while simulating various management strategies to mitigate the land subsidence caused by the extraction of groundwater. CVHM2 was extended through to 2073 and applied to simulate management scenarios in terms of three primary drivers and their impact on subsidence along the Delta–Mendota Canal (DMC), a critical piece of infrastructure in the western SJV. The drivers considered were agricultural water demands, managed aquifer recharge (MAR), and changes in future climate. The results show that future subsidence is most sensitive to water demands, second most sensitive to future changes in climate, and relatively insensitive to MAR when it is applied as a surface application in the western SJV. However, we demonstrate via proof-of-concept scenarios that the MAR is capable of arresting subsidence when implemented via injection below the Corcoran Clay Member of the Tulare Formation instead of as a surface application. We also examine the uncertainty that is the result of climate variability and how to use the tool to identify the most appropriate strategies to constrain future subsidence to acceptable levels.

California

Integration of rupture directivity models for the US National Seismic Hazard Model

Several rupture directivity models (DMs) have been developed in recent years to describe the near-source spatial variations in ground motion amplitudes related to propagation of rupture along the fault. We recently organized an effort towards incorporating these directivity effects into the USGS National Seismic Hazard Model (NSHM), by first evaluating the community's work and potential methods to implement directivity adjustments into probabilistic seismic hazard analysis (PSHA). Guided by this evaluation and comparison among the considered DMs, we selected an approach that can be readily implemented into the USGS hazard software, that provides an azimuthally varying adjustment to the median ground motion and its aleatory variability. This method allows assessment of the impact on hazard levels and provides a platform to test the DM amplification predictions using a generalized coordinate system, necessary for consistent calculation of source-to-site distance terms for complex ruptures. We give examples of the directivity-related impact on hazard, progressing from a simple, hypothetical rupture, to more complex fault systems, composed of multiple rupture segments and sources. The directivity adjustments were constrained to strike-slip faulting, where DMs have good agreement. We find that rupture directivity adjustments using a simple median and aleatory adjustment approach can impact hazard both from a site perspective and on a regional scale, increasing shaking off the end of the fault trace up to 30--40\% and potentially reducing it for sites along strike. Statewide hazard maps of California show that the change in shaking along major faults can be a factor to consider for assessing long-period (>ls) near-source effects within the USGS NSHM going forward, reaching up to 10--20\%. Finally, we suggest consideration of minimum parameter ranges and baseline requirements as future DMs are developed to minimize single approach adaptations, to enable more consistent application within both ground motion and hazard studies.

Earthquake Spectra

The influence of pre-existing structures on geothermal springs: Inferences from potential field mapping in Surprise Valley, CA and other sites In the northwestern Great Basin

Surprise Valley, located in the northwestern Great Basin, is an asymmetric extensional basin that marks a major tectonic transition between the relatively un-extended volcanic Modoc Plateau to the west, and the Basin and Range to the east that has undergone 10-15% extension. In addition, it sits just north of the Walker Lane which accommodates up to 20% of dextral slip associated with Pacific-North American plate interactions. Thermal springs issue from eight areas within Surprise Valley. Most of these occur within the basin and are not situated on the main basin forming range-front faults. As a result, efforts to resolve the structural setting of the valley’s hydrothermal system have relied on geophysics to characterize basin structure and geology. Extensive efforts to map the basin with ground and airborne magnetics have revealed a >35 km-long linear, intra-basin magnetic high, interpreted as a buried dike swarm. Geothermal springs on the eastern side of the valley, including Seifert hot springs, Leonards hot springs, and Surprise Valley hot springs (SVHS), are all situated along the magnetic high and occur at local breaks and bends in the anomaly, suggesting that fracture permeability is enhanced along the feature and particularly at these discontinuities. Recent studies, including drilling over the anomaly near SVHS that likely intersected dike material, as well as subsequent mapping and sampling of dikes outcropping along the anomaly on the playa surface south of SVHS, confirm (as previously inferred) that mafic intrusives are the principal source of the anomaly. Similar interpretations made in two other valleys (in southern Oregon and northwestern Nevada), where inferred intra-basin dikes appear to be spatially correlated with hot springs or prospective geothermal resource areas, suggest that the impact of pre-existing basement structure on hydrothermal activity may pertain more generally to other hydrothermal settings throughout the Great Basin. If so, efforts to map basement may enhance understanding structural controls on some geothermal systems. Furthermore, similarities across these disparate sites suggest that magmatism may play a much larger role in accommodating extension and influencing basin evolution across the western Great Basin than previously recognized.

Conference Paper

Tringa flavipes (Lesser Yellowlegs) from separate breeding sites subdivides the Prairie Pothole Region in space and time during southbound migration

Some staging regions support multiple groups of the same migratory species, each of which may use the region differently. Characterizing the ways, in which separate groups use such regions can therefore help to identify vulnerabilities during this sensitive period of the annual cycle. The Prairie Pothole Region (PPR) is a massive wetland complex in the northern Great Plains of North America used by ∼11 million shorebirds during migration. The PPR has been heavily modified by agriculture and is experiencing varied effects of global climate change, threatening the health of the shorebirds that rely on it. Here, we used 6 seasons of southbound tracking data of Tringa flavipes (Lesser Yellowlegs)—a long-distance migratory shorebird species with an estimated population decline of 63% over the last 4 decades—from 9 sites across their breeding range to explore differences in migratory behavior within this important staging region. We found that 75% of tracked individuals used the region during southbound migration, and T. flavipes from different breeding sites detoured 110–875 km from their most direct migratory route to access the PPR. Individuals that arrived later stayed longer and made more stops within the region than those that arrived early. Individuals originating from different breeding sites also displayed spatial and temporal segregation within the region: T. flavipes from southwest and central Alaska relied heavily on the northwestern PPR, while those from Canada used the central and southeastern portions of the PPR. Finally, timing of use varied among groups, but the southeastern PPR became increasingly important over the course of the southbound migratory window, as other wetlands likely dried out. Our study highlights the portions of the PPR of critical importance to migrating T. flavipes and the diversity of ways, in which different groups from within the same species can use a single staging region.

Alaska, Manitoba, Northwest Territories, Ontario,

Updating the crustal fault model for the 2023 National Seismic Hazard Model for Alaska

We present the crustal fault model for Alaska, based on geologic observations, as a primary input for the 2023 revision of the U.S. Geological Survey National Seismic Hazard Model. We update the 2013 Alaska Quaternary fault and fold database to produce a simplified model of 105 fault sections and four fault zone polygons with basic geologic parameters including slip sense and rate. Significant updates include the following: (1) a slip rate of ∼53 mm/year on the Queen Charlotte Fault indicating it accommodates all of the plate boundary motion; (2) quantified slip rates on megathrust splay faults in the southern Prince William Sound region and near Kodiak Island; (3) improved details of structures in the Chugach-St. Elias orogen; (4) revision of the Castle Mountain Fault from right-lateral slip to a predominantly reverse fault; (5) improved Interior Alaska tectonic models that clarify relationships between the Denali, Totschunda, and thrust faults on both sides of the Alaska Range; (6) identified large earthquake sources in the eastern Brooks Range; and (7) omission of the Chatham Strait section of the Denali Fault. The fault model underscores that the collision of the Yakutat microplate is the dominant driver of active crustal faulting in most of Alaska.

Alaska, Yukon

U.S. Geological Survey—Department of the Interior, Region 11, Alaska—2023–24 biennial science report

Introduction U.S. Geological Survey (USGS) Mission—The USGS national mission is to monitor, analyze, and predict the current and evolving dynamics of complex human and natural Earth-system interactions and to deliver actionable information at scales and timeframes relevant to decision makers. Consistent with the national mission, the USGS in Alaska provides timely and objective scientific information to help address issues and inform management decisions across five interconnected focus areas: Energy and Minerals; Geospatial Mapping; Natural Hazards; Water Quality, Streamflow, and Ice Dynamics; and Ecosystems. The USGS in Alaska consists of approximately 350 scientists and support staff working in 3 Alaska-based science centers. USGS science activities are also initiated by the Cooperative Research Unit and USGS centers outside Alaska. In the last 5 years, USGS research in Alaska has produced many scientific benefits resulting from more than 900 publications. Publications relevant to Alaska can be conveniently searched by keyword through the USGS Publications Warehouse at https://pubs.usgs.gov/.

Alaska

Aftershock forecasting

Aftershocks can compound the impacts of a major earthquake, disrupting recovery efforts and potentially further damaging weakened buildings and infrastructure. Forecasts of the probability of aftershocks can therefore aid decision-making during earthquake response and recovery. Several countries issue authoritative aftershock forecasts. Most aftershock forecasts are based on simple statistical models that were first developed in the 1980s and remain the best available models. We review these statistical models, and the wide-ranging research to advance aftershock forecasting through better statistical, physical, and machine learning methods. Physics-based forecasts based on mainshock stress changes can sometimes match the statistical models in testing, but don’t yet outperform them. Physical models are also hampered by unsolved problems such as the mechanics of dynamic triggering and the influence of background conditions. Initial work on machine learning forecasts shows promise, and new machine learning earthquake catalogs provide an opportunity to advance all types of aftershock forecasts.

Annual Review of Earth and Planetary Sciences

Effect of land cover type on 3D deformation recovery from synthetically deformed high-resolution satellite optical imagery

The limits of detection for earthquake surface deformation in the spatial domain have improved with advances in remote sensing imagery data availability, resolution, and analysis. Sub-pixel correlation and digital elevation model (DEM) differencing from sub-meter, earthquake-spanning satellite optical imagery has enhanced surface rupture mapping and deformation measurements. However, knowledge of measurement accuracy and uncertainty is limited. To address this, we construct orthophotos and digital elevation models (DEMs) from repeat high resolution (∼0.5 m) satellite optical imagery along two sections of the Garlock fault, California with clear fault geomorphology and differing land cover. We deform later sets of DEMs and images with synthetic earthquakes containing both diffuse and discrete horizontal and vertical displacements. Sub-pixel image correlation and DEM differencing demonstrate how vegetation degrades recovered displacement accuracy. In barren land cover, horizontal displacements are detectable to an expected ∼1/10th-pixel size. With shrubs, trees, and grass, detectable displacements increase to >1/2-pixel size, and filtering results by correlation score and using elevation values as input rather than image values improves accuracy. Vertical displacement detection thresholds remain lower in vegetation, at >1-pixel size. Higher slope angles degrade displacement recovery, worsened by vegetation. Diminishing seasonal separation improves accuracy over vegetated regions, though not to the level achieved in barren environments. These results will inform research and operational efforts on the utility of high resolution satellite optical imagery for detecting deformation in varied land cover. Furthermore, they reveal where alternative measurements, such as from LiDAR or radar interferometry, are required to mitigate the effects of vegetation and capture fine-scale crustal deformation.

California