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At least 1,297 records · Page 72Linked to original sources

GHASTLI — Determining physical properties of sediment containing natural and laboratory-formed gas hydrate

Gas-hydrate samples have been recovered at about 16 areas worldwide (Booth et al., 1996). However, gas hydrate is known to occur at about 50 locations on continental margins (Kvenvolden, 1993) and is certainly far more widespread so it may represent a potentially enormous energy resource (Kvenvolden, 1988). But adverse effects related to the presence of hydrate do occur. Gas hydrate appears to have caused slope instabilities along continental margins (Booth et al., 1994; Dillon et al., 1998; Mienert et al., 1998; Paull & Dillon, (Chapter 12; Twichell & Cooper, 2000) and it has also been responsible for drilling accidents (Yakushev and Collett, 1992). Uncontrolled release of methane could affect global climate (Chapter 11), because methane is 15–20 times more effective as a “greenhouse gas” than an equivalent concentration of carbon dioxide. Clearly, a knowledge of gas-hydrate properties is necessary to safely explore the possibility of energy recovery and to understand its past and future impact on the geosphere.

Book chapter↗

Bioenergetics modeling of percid fishes

A bioenergetics model for a percid fish represents a quantitative description of the fish’s energy budget. Bioenergetics modeling can be used to identify the important factors determining growth of percids in lakes, rivers, or seas. For example, bioenergetics modeling applied to yellow perch ( Perca flavescens ) in the western and central basins of Lake Erie revealed that the slower growth in the western basin was attributable to limitations in suitably sized prey in western Lake Erie, rather than differences in water temperature between the two basins. Bioenergetics modeling can also be applied to a percid population to estimate the amount of food being annually consumed by the percid population. For example, bioenergetics modeling applied to the walleye ( Sander vitreus ) population in Lake Erie has provided fishery managers valuable insights into changes in the population’s predatory demand over time. In addition, bioenergetics modeling has been used to quantify the effect of the difference in growth between the sexes on contaminant accumulation in walleye. Field and laboratory evaluations of percid bioenergetics model performance have documented a systematic bias, such that the models overestimate consumption at low feeding rates but underestimate consumption at high feeding rates. However, more recent studies have shown that this systematic bias was due, at least in part, to an error in the energy budget balancing algorithm used in the computer software. Future research work is needed to more thoroughly assess the field and laboratory performance of percid bioenergetics models and to quantify differences in activity and standard metabolic rate between the sexes of mature percids.

Book chapter↗

Landslides triggered by the 2002 M 7.9 Denali Fault earthquake, Alaska, USA

The 2002 M 7.9 Denali earthquake in Alaska, USA, was the largest inland earthquake in North America in nearly 150 years. The earthquake involved oblique thrusting but mostly strike-slip motion, and faults ruptured the ground surface over 330 km. Fault rupture occurred in a rugged, mountainous, subarctic environment with extensive permafrost and variable glaciation, geology, and groundwater presence, and many triggered landslides mobilized into avalanches that traversed varied physiographic settings, some moving farther than 11 km. However, only several thousand landslides were triggered, and these occurred in a narrow zone along the fault rupture. These characteristics of the event provide ample opportunities to improve understanding of controls on coseismic landsliding and avalanching mechanisms. The paucity and limited extent of landslides likely resulted from high directivity of seismic energy and relatively low levels of high-amplitude, high-frequency ground motion; glacial damping of seismic energy was likely not a factor. Landslides preferentially occurred on hillslopes steeper and higher than average. Meteorological conditions were near historical averages at the time of the event, although the region has experienced gradual warming historically that appears to have resulted in increased landslide occurrence in other parts of Alaska during recent years. Inherent susceptibility of geological formations to landsliding was not apparent with the available data, although discontinuities created dip-slope conditions for the five largest slides. Historical thinning of glaciers and consequent slope debuttressing may have been a factor in aiding occurrence of some of the earthquake-induced landslides, particularly some of the largest. Mobility of the largest avalanches was above average compared to global data, and mobility of all sizes of avalanches was apparently aided by movement over glacial ice. Avalanche deposits displayed characteristics indicative of turbulent flow on steeper slopes and laminar plug flow in flatter areas, where sliding also likely occurred.

Alaska↗

Plankton secondary productivity and biomass: Their relation to lake trophic state

The biomass and production of the most important zooplankton species were followed for two years in three lakes of varying trophic status in the Lake Washington watershed. Cladocerans and copepods were of equal importance in the biomass of lakes Findley and Chester Morse (both oligotrophic), whereas, copepods were the main biomass component in Lake Sammamish (mesotrophic). Cladocerans dominated production in lakes Sammamish and Chester Morse, while in Findley Lake their productive role, like that of biomass, was equal to that of the copepods. Rotifers contributed a relatively small biomass and production. Data from this study supported Hillbricht-Ilkowska's postulate that the energy transfer efficiency between the primary and secondary trophic levels decreases with increasing trophic state. Energy transfer efficiencies for the lakes of this study expressed as a two year mean of the ratio-secondary: primary production, were as follows: Findley Lake-0.13; Chester Morse Lake-0.08; and Lake Sammanish-0.04. On the other hand, the hypothesis of Patalas that the secondary productivity: biomass ratio (P/B) tended to increase in proportion to the productivity of a lake, could not be supported. Lake Sammamish, the most productive of the lakes studied, had a P/B ratio of 0.03 while lakes Findley and Chester Morse had P/B ratios of 0.04.

Hydrobiologia↗

Radarclinometry of the Earth and Venus from space-shuttle and Venera-15 imagery

The project to develop a line-integral approach to 2-dimensional radarclinometry and to bring it to the status of producing topographic maps from real radar images has been concluded. The final developments of the theory itself have involved a trial-and-error resolution of the curvature decision process at each integration step over range as follows: (1) Locally Indeterminate Azimuth-Azimuth Curvature is invoked if the range-directed path of integration is within 1 ??? in angle of the tangent to a local characteristic curve of the partial differential equation of radarclinometry (equivalent to a lapse in the necessity for an auxiliary curvature assumption); (2) Local Cylindricity is invoked if the local image isophote has a radius-of-curvature greater than 50 pixels; (3) Least-Squared Local Sphericity is invoked if the characteristic curve trends at greater than 70 ??? to the range direction (the auxiliary curvature assumption is becoming a sufficiently strong influence as to warrant the overconstraint), and (4) the default hypothesis, which is invoked most often, is the localization through the Euler/Lagrange equation from the calculus of variations of the global principle of minimization of the surface area of the terrain. The development of the set of line integrals into a 2-dimensional topographic surface is not practically achieved by branching the line integral at the range threshold, because the radarclinometry equations are too frequently coupled but weakly to the slope component in the direction of radar-azimuth, and under circumstances for which the powerfully influential auxiliary curvature assumption is too unrealistic. In other words, a line integration in radar-azimuth is far more frequently directed orthogonally to the local characteristic curve than is one carried out over range. Such orthogonality results in stepping the strike under the exclusive control of the curvature assumption. Instead, a quasi-surface-integration step is taken by modeling the dependence on initial strike of the gravitational potential energy of the vertical slab of terrain under the range-profile. The adopted starting strike for the range integral is the one which minimizes the gravitational potential energy. This radarclinometric method, in combination with my recently published method for determining an effective radar back-scattering function from one-dimensional slope statistics and image pixel-signal statistics, was applied to three images. First, to separate theoretical difficulties from experimental impediments, an artificial radar image was generated from a topographic map of the Lake Champlain West quadrangle in the Adirondack Mountains. Except for the regional trend in elevation, to which radarclinometry is insensitive by design, the agreement between the original and derived topography appears good. The morphologies agree and the range of relief is the same to within 4%. As an example of data of the highest quality available from space-borne radar at the present time, a SIR-B image of very rugged terrain in the coastal mountains of Oregon was similarly processed. The result, after filtering to redistribute photoclinometric errors about the two-dimensional spatial spectrum, agrees with ground truth almost as well. As an example of the worst possible data, in terms of signal-to-noise ratio and radar incidence angle (no detraction from the praise due the first high resolution space-borne radar-imaging of Venus intended), a Venera-15 image segment in Sedna Planitia just north-east of Sapho was processed, using Venera altimetry and Pioneer roughness data for slope statistics, in spite of the resolution mis-match. Considerably more trial-and-error filtering was required. The result appears plausible, but an error check is, of course, impossible. ?? 1990 Kluwer Academic Publishers.

Earth, Moon and Planets↗

Alternative solution model for the ternary carbonate system CaCO3 - MgCO3 - FeCO3 - I. A ternary Bragg-Williams ordering model

The minerals of the ternary carbonate system CaCO3 - MgCO3 - FeCO3 represent a complex series of solid solutions and ordering states. An understanding of those complexities requires a solution model that can both duplicate the subsolidus phase relationships and generate correct values for the activities. Such a solution model must account for the changes in the total energy of the system resulting from a change in the ordering state of the individual constituents. Various ordering models have been applied to binary carbonate systems, but no attempts have previously been made to model the ordering in the ternary system. This study derives a new set of equations that allow for the equilibrium degree of order to be calculated for a system involving three cations mixing on two sites, as in the case of the ternary carbonates. The method is based on the Bragg-Williams approach. From the degree of order, the mole fractions of the three cations in each of the two sites can be determined. Once the site occupancies have been established, a Margules-type mixing model can be used to determine the free energy of mixing in the solid solution and therefore the activities of the various components. ?? 1993 Springer-Verlag.

Physics and Chemistry of Minerals↗

Molecular orbital (SCF-Xα-SW) theory of metal-metal charge transfer processes in minerals - II. Application to Fe 2+ --> Ti 4+ charge transfer transitions in oxides and silicates

A molecular orbital description, based on Xα-Scattered wave calculations on a (FeTiO 10 ) 14− cluster, is given for Fe 2+ → Ti 4+ charge transfer transitions in minerals. The calculated energy for the lowest Fe 2+ → Ti 4+ metal-metal charge transfer transition is 18040 cm −1 in reasonable agreement with energies observed in the optical spectra of Fe-Ti oxides and silicates. As in the case of Fe 2+ → Fe 3+ charge transfer in mixed-valence iron oxides and silicates, Fe 2+ → Ti 4+ charge transfer is associated with Fe-Ti bonding across shared polyhedral edges. Such bonding results from the overlap of the Fe( t 2 g ) and Ti( t 2 g ) 3 d orbitals.

Physics and Chemistry of Minerals↗

Earthquake mechanism and predictability shown by a laboratory fault

Slip events generated in a laboratory fault model consisting of a circulinear chain of eight spring-connected blocks of approximately equal weight elastically driven to slide on a frictional surface are studied. It is found that most of the input strain energy is released by a relatively few large events, which are approximately time predictable. A large event tends to roughen stress distribution along the fault, whereas the subsequent smaller events tend to smooth the stress distribution and prepare a condition of simultaneous criticality for the occurrence of the next large event. The frequency-size distribution resembles the Gutenberg-Richter relation for earthquakes, except for a falloff for the largest events due to the finite energy-storage capacity of the fault system. Slip distributions, in different events are commonly dissimilar. Stress drop, slip velocity, and rupture velocity all tend to increase with event size. Rupture-initiation locations are usually not close to the maximum-slip locations. ?? 1994 Birkha??user Verlag.

Pure and Applied Geophysics PAGEOPH↗

Depositional history of the Lagniappe Delta, northern Gulf of Mexico

The northern Gulf of Mexico continental shelf is characterized by superimposing deltas. One such delta, informally named Lagniappe, extends east of the Mississippi Delta from mid-shelf to the continental slope. This late Wisconsinan delta is adjacent to, but not associated with the Mississippi Delta complex: the fluvial source was probably the ancient Pearl and/or Mobile Rivers. The fluvially dominated Lagniappe Delta is characterized by complex sigmoid-oblique seismic-reflection patterns, indicating delta switching of high-energy sand-prone facies to low-energy facies. The areal distribution and sediment thickness of the delta were partially controlled by two diapirs. ?? 1989 Springer-Verlag New York Inc.

Geo-Marine Letters↗

Finite-difference modeling and dispersion analysis of high-frequency love waves for near-surface applications

Love-wave propagation has been a topic of interest to crustal, earthquake, and engineering seismologists for many years because it is independent of Poisson's ratio and more sensitive to shear (S)-wave velocity changes and layer thickness changes than are Rayleigh waves. It is well known that Love-wave generation requires the existence of a low S-wave velocity layer in a multilayered earth model. In order to study numerically the propagation of Love waves in a layered earth model and dispersion characteristics for near-surface applications, we simulate high-frequency (>5 Hz) Love waves by the staggered-grid finite-difference (FD) method. The air-earth boundary (the shear stress above the free surface) is treated using the stress-imaging technique. We use a two-layer model to demonstrate the accuracy of the staggered-grid modeling scheme. We also simulate four-layer models including a low-velocity layer (LVL) or a high-velocity layer (HVL) to analyze dispersive energy characteristics for near-surface applications. Results demonstrate that: (1) the staggered-grid FD code and stress-imaging technique are suitable for treating the free-surface boundary conditions for Love-wave modeling, (2) Love-wave inversion should be treated with extra care when a LVL exists because of a lack of LVL information in dispersions aggravating uncertainties in the inversion procedure, and (3) energy of high modes in a low-frequency range is very weak, so that it is difficult to estimate the cutoff frequency accurately, and "mode-crossing" occurs between the second higher and third higher modes when a HVL exists. ?? 2010 Birkh??user / Springer Basel AG.

Pure and Applied Geophysics↗

Shrimp trawlers as a local attractor of seabirds in nearshore waters of South Carolina, USA

Shrimp trawling is common throughout the southeastern and Gulf of Mexico coasts of the USA and is the primary contributor to fisheries discards in these regions. Tens of thousands of nearshore seabirds nest near shrimp trawling grounds in the USA, but to date, there has been no assessment of the relationship between seabirds and shrimp trawlers. We examined the taxonomic composition of bycatch, rate at which seabirds scavenged bycatch, and energy density of discarded bycatch in a nearshore commercial shrimp fishery. Bycatch was primarily comprised of demersal fish that are not typically accessible to the plunge-diving and surface-feeding seabirds that occur in the area. Hence, seabird diets in the region appear to be broadened taxonomically by the availability of discards. Results from discard experiments indicated that 70% of the nearly 5,500 items discarded by hand were scavenged by seabirds and that the fate of a discarded item was most strongly predicted by its taxonomic order. Laughing gulls scavenged the greatest proportion of discards, although brown pelicans were the only species to scavenge more discards than predicted based upon their abundance. Because this is the first such study in the region, it is difficult to ascertain the extent or intensity of the impact that discards have on nearshore seabirds. Nonetheless, our results suggest that it will be difficult for managers to clearly understand fluctuations in local seabird population dynamics without first understanding the extent to which these species rely upon discards. This may be especially problematic in situations where seabird populations are recovering following natural or anthropogenic stressors.

South Carolina↗

The roles of diet and habitat use in pesticide bioaccumulation by juvenile Chinook Salmon: Insights from stable isotopes and fatty acid biomarkers

Stable isotopes (SI) and fatty acid (FA) biomarkers can provide insights regarding trophic pathways and habitats associated with contaminant bioaccumulation. We assessed relationships between SI and FA biomarkers and published data on concentrations of two pesticides [dichlorodiphenyltrichloroethane and degradation products (DDX) and bifenthrin] in juvenile Chinook Salmon ( Oncorhynchus tshawytscha ) from the Sacramento River and Yolo Bypass floodplain in Northern California near Sacramento. We also conducted SI and FA analyses of zooplankton and macroinvertebrates to determine whether particular trophic pathways and habitats were associated with elevated pesticide concentrations in fish. Relationships between DDX and both sulfur (δ 34 S) and carbon (δ 13 C) SI ratios in salmon indicated that diet is a major exposure route for DDX, particularly for individuals with a benthic detrital energy base. Greater use of a benthic detrital energy base likely accounted for the higher frequency of salmon with DDX concentrations > 60 ng/g dw in the Yolo Bypass compared to the Sacramento River. Chironomid larvae and zooplankton were implicated as prey items likely responsible for trophic transfer of DDX to salmon. Sulfur SI ratios enabled identification of hatchery-origin fish that had likely spent insufficient time in the wild to substantially bioaccumulate DDX. Bifenthrin concentration was unrelated to SI or FA biomarkers in salmon, potentially due to aqueous uptake, biotransformation and elimination of the pesticide, or indistinct biomarker compositions among invertebrates with low and high bifenthrin concentrations. One FA [docosahexaenoic acid (DHA)] and DDX were negatively correlated in salmon, potentially due to a greater uptake of DDX from invertebrates with low DHA or effects of DDX on FA metabolism. Trophic biomarkers may be useful indicators of DDX accumulation and effects in juvenile Chinook Salmon in the Sacramento River Delta.

Archives of Environmental Contamination and Toxico↗

Evidence of regional subsidence and associated interior wetland loss induced by hydrocarbon production, Gulf Coast region, USA

Analysis of remote images, elevation surveys, stratigraphic cross-sections, and hydrocarbon production data demonstrates that extensive areas of wetland loss in the northern Gulf Coast region of the United States were associated with large-volume fluid production from mature petroleum fields. Interior wetland losses at many sites in coastal Louisiana and Texas are attributed largely to accelerated land subsidence and fault reactivation induced by decreased reservoir pressures as a result of rapid or prolonged extraction of gas, oil, and associated brines. Evidence that moderately-deep hydrocarbon production has induced land-surface subsidence and reactivated faults that intersect the surface include: (1) close temporal and spatial correlation of fluid production with surficial changes including rapid subsidence of wetland sediments near producing fields, (2) measurable offsets of shallow strata across the zones of wetland loss, (3) large reductions in subsurface pressures where subsidence rates are high, (4) coincidence of orientation and direction of displacement between surface fault traces and faults that bound the reservoirs, and (5) accelerated subsidence rates near producing fields compared to subsidence rates in surrounding areas or compared to geological rates of subsidence. Based on historical trends, subsidence rates in the Gulf Coast region near producing fields most likely will decrease in the future because most petroleum fields are nearly depleted. Alternatively, continued extraction of conventional energy resources as well as potential production of alternative energy resources (geopressured-geothermal fluids) in the Gulf Coast region could increase subsidence and land losses and also contribute to inundation of areas of higher elevation. ?? Springer-Verlag 2006.

Environmental Geology↗

Development and testing of a contamination potential mapping system for a portion of the General Separations Area, Savannah River Site, South Carolina

A methodology was developed to evaluate and map the contamination potential or aquifer sensitivity of the upper groundwater flow system of a portion of the General Separations Area (GSA) at the Department of Energy's Savannah River Site (SRS) in South Carolina. A Geographic Information System (GIS) was used to integrate diverse subsurface geologic data, soils data, and hydrology utilizing a stack-unit mapping approach to construct mapping layers. This is the first time that such an approach has been used to delineate the hydrogeology of a coastal plain environment. Unit surface elevation maps were constructed for the tops of six Tertiary units derived from over 200 boring logs. Thickness or isopach maps were created for five hydrogeologic units by differencing top and basal surface elevations. The geologic stack-unit map was created by stacking the five isopach maps and adding codes for each stack-unit polygon. Stacked-units were rated according to their hydrogeologic properties and ranked using a logarithmic approach (utility theory) to establish a contamination potential index. Colors were assigned to help display relative importance of stacked-units in preventing or promoting transport of contaminants. The sensitivity assessment included the effects of surface soils on contaminants which are particularly important for evaluating potential effects from surface spills. Hydrogeologic/hydrologic factors did not exhibit sufficient spatial variation to warrant incorporation into contamination potential assessment. Development of this contamination potential mapping system provides a useful tool for site planners, environmental scientists, and regulatory agencies.A methodology was developed to evaluate and map the contamination potential or aquifer sensitivity of the upper groundwater flow system of a portion of the General Separations Area (GSA) at the Department of Energy's Savannah River Site (SRS) in South Carolina. A Geographic Information System (GIS) was used to integrate diverse subsurface geologic data, soils data, and hydrology utilizing a stack-unit mapping approach to construct mapping layers. This is the first time that such an approach has been used to delineate the hydrogeology of a coastal plain environment. Unit surface elevation maps were constructed for the tops of six Tertiary units derived from over 200 boring logs. Thickness or isopach maps were created for five hydrogeologic units by differencing top and basal surface elevations. The geologic stack-unit map was created by stacking the five isopach maps and adding codes for each stack-unit polygon. Stacked-units were rated according to their hydrogeologic properties and ranked using a logarithmic approach (utility theory) to establish a contamination potential index. Colors were assigned to help display relative importance of stacked-units in preventing or promoting transport of contaminants. The sensitivity assessment included the effects of surface soils on contaminants which are particularly important for evaluating potential effects from surface spills. Hydrogeologic/hydrologic factors did not exhibit sufficient spatial variation to warrant incorporation into contamination potential assessment. Development of this contamination potential mapping system provides a useful tool for site planners, environmental scientists, and regulatory agencies.

South Carolina↗

The adrenocorical stress-response of Black-legged Kittiwake chicks in relation to dietary restrictions

In this study we examined hormonal responses of Black-legged Kittiwake ( Rissatridactyla ) chicks to experimental variations in energy content and nutritional quality (low or high lipid to protein ratio, LPR) of their food. Starting at the age of 10 days, chicks were fed either high or low LPR fish at 30, 50, 70 and 100% of ad libitum energy intake. After 20 days of treatment, chicks were exposed to a standardized acute handling and restraint stress protocol, where a baseline sample was taken immediately after taking a chick from the nest, and three additional blood samples were taken at intervals up to 50 min. Testosterone and corticosterone titres in plasma were measured via radioimmunoassay. We found that baseline testosterone levels were not significantly affected by the experimental treatments. Food-restricted chicks had elevated baseline and acute stress-induced levels of corticosterone compared to chicks fed ad libitum. An elevation of circulating levels of corticosterone in energetically stressed individuals was further magnified by low nutritional quality of food. Baseline and acute stress-induced corticosterone levels of chicks were negatively correlated with their fat reserves. We conclude that the physiological condition of Black-legged Kittiwake chicks can be assessed reliably by measuring circulating levels of corticosterone. We discuss short- and long-term effects of elevated corticosterone secretion in food-stressed nest-bound chicks.

Journal of Comparative Physiology B: Biochemical, ↗

Effects of climatic variation on field metabolism and water relations of desert tortoises

We used the doubly labeled water method to measure the field metabolic rates (FMRs, in kJ kg −1 day −1 ) and water flux rates (WIRs, in ml H 2 O kg −1 day −1 ) of adult desert tortoises ( Gopherus agassizii ) in three parts of the Mojave Desert in California over a 3.5-year period, in order to develop insights into the physiological responses of this threatened species to climate variation among sites and years. FMR, WIR, and the water economy index (WEI, in ml H 2 O kJ −1 , an indicator of drinking of free water) differed extensively among seasons, among study sites, between sexes, and among years. In high-rainfall years, males had higher FMRs than females. Average daily rates of energy and water use by desert tortoises were extraordinarily variable: 28-fold differences in FMR and 237-fold differences in WIR were measured. Some of this variation was due to seasonal conditions, with rates being low during cold winter months and higher in the warm seasons. However, much of the variation was due to responses to year-to-year variation in rainfall. Annual spring peaks in FMR and WIR were higher in wet years than in drought years. Site differences in seasonal patterns were apparently due to geographic differences in rainfall patterns (more summer rain at eastern Mojave sites). In spring 1992, during an El Niño (ENSO) event, the WEI was greater than the maximal value obtainable from consuming succulent vegetation, indicating copious drinking of rainwater at that time. The physiological and behavioral flexibility of desert tortoises, evident in individuals living at all three study sites, appears central to their ability to survive droughts and benefit from periods of resource abundance. The strong effects of the El Niño (ENSO) weather pattern on tortoise physiology, reproduction, and survival elucidated in this and other studies suggest that local manifestations of global climate events could have a long-term influence on the tortoise populations in the Mojave Desert.

California↗

Directed blasts and blast-generated pyroclastic density currents: a comparison of the Bezymianny 1956, Mount St Helens 1980, and Soufrière Hills, Montserrat 1997 eruptions and deposits

We compare eruptive dynamics, effects and deposits of the Bezymianny 1956 (BZ), Mount St Helens 1980 (MSH), and Soufrière Hills volcano, Montserrat 1997 (SHV) eruptions, the key events of which included powerful directed blasts. Each blast subsequently generated a high-energy stratified pyroclastic density current (PDC) with a high speed at onset. The blasts were triggered by rapid unloading of an extruding or intruding shallow magma body (lava dome and/or cryptodome) of andesitic or dacitic composition. The unloading was caused by sector failures of the volcanic edifices, with respective volumes for BZ, MSH, and SHV c. 0.5, 2.5, and 0.05 km 3 . The blasts devastated approximately elliptical areas, axial directions of which coincided with the directions of sector failures. We separate the transient directed blast phenomenon into three main parts, the burst phase, the collapse phase, and the PDC phase. In the burst phase the pressurized mixture is driven by initial kinetic energy and expands rapidly into the atmosphere, with much of the expansion having an initially lateral component. The erupted material fails to mix with sufficient air to form a buoyant column, but in the collapse phase, falls beyond the source as an inclined fountain, and thereafter generates a PDC moving parallel to the ground surface. It is possible for the burst phase to comprise an overpressured jet, which requires injection of momentum from an orifice; however some exploding sources may have different geometry and a jet is not necessarily formed. A major unresolved question is whether the preponderance of strong damage observed in the volcanic blasts should be attributed to shock waves within an overpressured jet, or alternatively to dynamic pressures and shocks within the energetic collapse and PDC phases. Internal shock structures related to unsteady flow and compressibility effects can occur in each phase. We withhold judgment about published shock models as a primary explanation for the damage sustained at MSH until modern 3D numerical modeling is accomplished, but argue that much of the damage observed in directed blasts can be reasonably interpreted to have been caused by high dynamic pressures and clast impact loading by an inclined collapsing fountain and stratified PDC. This view is reinforced by recent modeling cited for SHV. In distal and peripheral regions, solids concentration, maximum particle size, current speed, and dynamic pressure are diminished, resulting in lesser damage and enhanced influence by local topography on the PDC. Despite the different scales of the blasts (devastated areas were respectively 500, 600, and >10 km 2 for BZ, MSH, and SHV), and some complexity involving retrogressive slide blocks and clusters of explosions, their pyroclastic deposits demonstrate strong similarity. Juvenile material composes >50% of the deposits, implying for the blasts a dominantly magmatic mechanism although hydrothermal explosions also occurred. The character of the magma fragmented by explosions (highly viscous, phenocryst-rich, variable microlite content) determined the bimodal distributions of juvenile clast density and vesicularity. Thickness of the deposits fluctuates in proximal areas but in general decreases with distance from the crater, and laterally from the axial region. The proximal stratigraphy of the blast deposits comprises four layers named A, B, C, D from bottom to top. Layer A is represented by very poorly sorted debris with admixtures of vegetation and soil, with a strongly erosive ground contact; its appearance varies at different sites due to different ground conditions at the time of the blasts. The layer reflects intense turbulent boundary shear between the basal part of the energetic head of the PDC and the substrate. Layer B exhibits relatively well-sorted fines depleted debris with some charred plant fragments; its deposition occurred by rapid suspension sedimentation in rapidly waning, high-concentration conditions. Layer C is mainly a poorly sorted massive layer enriched by fines with its uppermost part laminated, created by rapid sedimentation under moderate-concentration, weakly tractive conditions, with the uppermost laminated part reflecting a dilute depositional regime with grain-by-grain traction deposition. By analogy to laboratory experiments, mixing at the flow head of the PDC created a turbulent dilute wake above the body of a gravity current, with layer B deposited by the flow body and layer C by the wake. The uppermost layer D of fines and accretionary lapilli is an ash fallout deposit of the finest particles from the high-rising buoyant thermal plume derived from the sediment-depleted pyroclastic density current. The strong similarity among these eruptions and their deposits suggests that these cases represent similar source, transport and depositional phenomena.

Bezymianny, Mount St Helens, Soufriere Hills↗

Mount Spurr volcano, August 18, 1992: The eruption heard around Alaska

The August 18, 1992, eruption of Mount Spurr volcano, Alaska, produced an impressive Vulcanian to Subplinian eruption column reaching up to 40 km above sea level that blanketed the nearby city of Anchorage with ash. At the time of the eruption, the Alaska Volcano Observatory received reports of audible sound hundreds of kilometers from the source from a variety of azimuths from the volcano and found the pattern that did not solely depend on distance. Explosions are generally inaudible to the human ear at these distances due to the attenuation of sound in the atmosphere as the energy propagates, but low-frequency sound waves (infrasound) persist and can be used to detect and characterize eruptions. Similar reports of zones of audible sounds at great distances have been observed from notable eruptions such as Krakatau 1883, Mount St. Helens 1980, Mount Pinatubo 1991, and Hunga volcano 2022. We perform infrasound propagation modeling to help understand the unique distribution of audible reports, finding that areas with favorable infrasound propagation may help explain areas in which nonlinear propagation, including energy cascading effects into higher frequencies that are audible to the human ear, may have occurred.

Alaska↗