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

Validation of eDNA markers for New Zealand mudsnail surveillance and initial eDNA monitoring at Mississippi River Basin sites

The performance of newly developed New Zealand mudsnail ( Potamopyrgus antipodarum ; NZMS) genetic markers for environmental (eDNA) analysis of water were compared across two laboratories. The genetic markers were tested in four quantitative polymerase chain reaction assays targeting two regions of the NZMS mitochondrial genome, specifically the cytochrome c oxidase subunit 1 (coi) and cytochrome b (cytb) genes. In a blind study, analysts tested each sample eight times with each assay. There were 10 expected-negative samples from the Black River in La Crosse, Wisconsin, 10 expected-positive samples from the Black Earth Creek in Black Earth, Wisconsin, and 10 known-positive samples from the Black River spiked with NZMS DNA. Previously extracted samples, kept at the Upper Midwest Environmental Sciences Center, were pooled by sample location and then equal quantities were distributed between the Upper Midwest Environmental Sciences Center and the Molecular Conservation Genetics Laboratory at the University of Wisconsin-Stevens Point for analysis. The assays tested were (1) the assay targeting cytb with a minor groove binder probe described by Goldberg and others (2013), (2) the cytb assay with a modified double-quenched probe, (3) an assay targeting coi with a double-quenched probe, and (4) a duplex reaction combining the modified cytb assay and the coi assay. Samples were considered positive for the presence of NZMS DNA when quantitative polymerase chain reaction amplification and probe signal was higher than the normalized threshold value above baseline fluorescence. For the duplex assay, samples were considered positive only when both probe signals were higher than the normalized threshold value above baseline fluorescence. Positive results were then confirmed by sequencing the products. All four assays detected the DNA of NZMS in all expected-positive and known-positive samples in both labs. The modified cytb assay, the coi assay, and the duplex assay all failed to detect the DNA of NZMS in all expected-negative samples in both labs. The cytb assay, as described by Goldberg and others (2013), failed to detect the DNA of NZMS in all expected-negative samples for the Molecular Conservation Genetics Laboratory, but some reactions resulted in positive detection in late cycles for 9 of the 10 expected-negative samples at the Upper Midwest Environmental Sciences Center. Amplicons for expected-negative samples with positive reactions were sent for sequencing, and none were confirmed as NZMS. Six amplicons failed to give readable sequences, and three gave sequences without similarity to any known sequence in GenBank. Amplicons from each assay for one representative positive sample were sequenced and identified as NZMS with greater than 99 percent identity. The duplex assay was chosen as the most efficient assay and was used at the Upper Midwest Environmental Sciences Center to analyze triplicate samples from 29 streams in Wisconsin, 8 streams in Illinois, and 8 streams in Iowa. In order to verify results, additional triplicate samples were collected from two of the streams in Iowa and two of the streams in Wisconsin for analysis at the Molecular Conservation Genetics Laboratory. All samples at all sites were negative for NZMS DNA.

Illinois, Iowa, Wisconsin↗

Crystallisation ages in coeval silicic magma bodies: 238U-230Th disequilibrium evidence from the Rotoiti and earthquake flat eruption deposits, Taupo volcanic zone, New Zealand

The timescales over which moderate to large bodies of silicic magma are generated and stored are addressed here by studies of two geographically adjacent, successive eruption deposits in the Taupo Volcanic Zone, New Zealand. The earlier, caldera-forming Rotoiti eruption (>100 km3 magma) at Okataina volcano was followed, within months at most, by the Earthquake Flat eruption (??? 10 km3 magma) from nearby Kapenga volcano; both generated nonwelded ignimbrite and coeval widespread fall deposits. The Rotoiti and Earthquake Flat deposits are both crystal-rich high-silica rhyolites, with sparse glass-bearing granitoid fragments also occurring in Rotoiti lag breccias generated during caldera collapse. Here we report 238U-230Th disequilibrium data on whole rocks and mineral separates from representative Rotoiti and Earthquake Flat pumices and the co-eruptive Rotoiti granitoid fragments using TIMS and in situ zircon analyses by SIMS. Multiple-grain zircon-controlled crystallisation ages measured by TIMS from the Rotoiti pumice range from 69??3 ka (<63 ?? size fraction) to 76??6 (125-250 ?? fraction), with a weighted mean of all size fractions of 71??2 ka. SIMS model ages from single zircons in pumice range from 50??24 ka to > 350 ka, with a pronounced peak at 70-90 ka. The weighted mean of isochrons is 83??14 ka, in accord with the TIMS data. One glass-bearing Rotoiti granitoid clast yielded an age of 57??8 ka by TIMS (controlled by Th-rich phases that, however, are not apparently present in the juvenile pumices). Another glass-bearing Rotoiti granitoid yielded SIMS zircon model ages peaking at 60-90 ka, having a similar age distribution to the pumice. Age data from pumices are consistent with a published 64??4 ka eruptive age (now modified to 62??2 ka), but chemical and/or mineralogical data imply that the granitoid lithics are not largely crystalline Rotoiti rhyolite, but instead represent contemporaneous partly molten intrusions reflecting different sources in their chemistries and mineralogies. Similarly, although the Earthquake Flat eruption immediately followed (and probably was triggered by) the Rotoiti event, age data from juvenile material are significantly different. A multiple-grain zircon-controlled crystallisation age measured by TIMS from a representative pumice is 173??5 ka, while SIMS model ages range from 70-26+34 ka to >350 ka, with a peak at 105 ka. These age data coupled with previously published geochemical and isotopic data show that the Rotoiti and Earthquake Flat deposits were erupted from independent, unconnected magma bodies. Published by Elsevier Science B.V.

Earth and Planetary Science Letters↗

Separating sea and slow slip signals on the seafloor

Seafloor pressure measurements hold promise for estimating vertical displacements from transient slow slip events on submarine faults. We assess the accuracy of pressure offset estimates that evolve over days to weeks and the confidence with which they may be attributed to tectonic deformation or to the ocean water column. One common approach to resolve this ambiguity assumes water column pressures vary insignificantly over the study region and are represented by stable reference site pressures. Assessing the validity of this assumption requires independent evidence. Correlations between pressures and colocated temperatures collected during the Hikurangi Ocean Bottom Investigation of Tremor and Slow Slip experiment suggest temperatures might provide a useful independent proxy for water column pressures. We compared offsets estimated using several methods, with temperature and other proxies. The use of a temperature proxy was unsuccessful, because seafloor temperatures did not track the seasonal signal that contributes significantly to seafloor pressure changes over the slow slip event period. Regardless of the estimation method, offsets varied within a few cm around some uncertain reference level. Commonly used statistical measures are shown not to be reliable indicators of offset accuracy since offsets contribute minimally to the total variance. Offsets estimated using identical methods but with seafloor pressures simulated using a regional ocean model were larger than those derived from the data but had a similar pattern. Since the model simulates only water column processes, this suggests a significant fraction of the estimated pressure offsets are due to seasonal water column signal and are not of tectonic origin.

Journal of Geophysical Research- Solid Earth↗

Detectability of thermal signatures associated with active formation of ‘chaos terrain’ on Europa

A recent study by Schmidt et al. (2011) suggests that Thera Macula, one of the &ldquo;chaos regions&rdquo; on Europa, may be actively forming over a large liquid water lens. Such a process could conceivably produce a thermal anomaly detectable by a future Europa orbiter or flyby mission, allowing for a direct verification of this finding. Here, we present a set of models that quantitatively assess the surface and subsurface temperatures associated with an actively resurfacing chaos region using constraints from Thera Macula. The results of this numerical study suggest that the surface temperature over an active chaos region can be as high as &sim;200 K. However, low-resolution Galileo Photo-Polarimeter Radiometer (PPR) observations indicate temperatures below 120 K over Thera Macula. This suggests that Thera Macula is not currently active unless an insulating layer of at least a few centimeters in thickness is present, or activity is confined to small regions, reducing the overall intensity of the thermal signature. Alternatively, Thera may have been cooling for at least 10&ndash;100 yr and still contain a subsurface lake, which can take &sim;300,000 yr to crystallize. According to the present study, a more sensitive instrument capable of detecting anomalies &sim;5 K above ambient could detect activity at Thera Macula even if an insulating layer of &sim;50 cm is present.

Earth and Planetary Science Letters↗

Rapid Holocene deposition in the Mackenzie Trough and Barrow Canyon areas in the western Arctic Ocean

The Arctic Ocean and terrestrial environment have recently been reported to be changing drastically, but it is unclear whether these changes are similar to natural variations in the past or how sudden and large the changes are compared to natural variations. This premise served as motivation to collect sediment cores during the summer of 2022 at four sites on the Canadian continental shelf and Alaskan upper continental slope to reconstruct changes in the marine and terrestrial environments to provide a comprehensive picture of the ocean environment during the preindustrial period before anthropogenic influences. We dated the sediments based on the 137 Cs radioactivity of bulk sediments and the 14 C concentrations of mollusk shells. The 137 Cs radioactivity shows a distinct onset corresponding to 1950 Common Era (CE) and the most prominent peak corresponding to 1963 CE. Multiple peaks appeared above the most prominent one, coinciding with nuclear power plant accidents in 1986 and 2011. Inventories of excess 210 Pb in all cores exceed the estimated supply of excess 210 Pb from atmospheric deposition, likely due to the scavenging supply of excess 210 Pb. By comparing 137 Cs and radiocarbon conventional ages, we estimated the local radiocarbon reservoir age value of each site. Using these local radiocarbon reservoir age and the conventional ages of mollusk shell samples, we established the age-depth models by the Bayesian method. The optimal ΔR values were 598, 511, 65, and –60 years at the MT1, MT2, BC2, and BC2-2 sites, respectively. The cores consist of clayey silts continuously deposited with uniquely high sedimentation rates of 0.17 to 0.74 cm y −1 . Variation in the Ca/Ti ratio indicates ~ 20, ~ 30, 50–60, 100–125, and 300-year cycles, likely attributed to the variation in the Aleutian Low that controls the Bering Strait inflow of Pacific waters influencing our core sites. These sediments will be used for further high-resolution, multi-proxy studies with forthcoming results.

western Arctic Ocean↗

Urban growth in American cities : glimpses of U.S. urbanization

The Earth's surface is changing rapidly. Changes are local, regional, national, and even global in scope. Some changes have natural causes, such as earthquakes or drought. Other changes, such as urban expansion, agricultural intensification, resource extraction, and water resources development, are examples of human-induced change that have significant impact upon people, the economy, and resources. The consequences that result from these changes are often dramatic and widespread (Buchanan, Acevedo, and Zirbes, 2002) It is the role of the U.S. Geological Survey (USGS) to provide useful and relevant scientific information both to the agencies within the Department of the Interior and to the Nation in general. In an effort to comply with this task, USGS scientists are assessing the status of, and the trends in, the Nation's land surface. This assessment provides useful information for regional and national land use decisionmaking. This knowledge can be used to deal with issues of significance to the Nation, such as quality-of-life, ecology of urban environments, ecosystem health, ecological integrity, water quality and quantity concerns, resource availability, vulnerability to natural hazards, safeguards to human health, air and land quality, and accessibility to scientific information. Results of these assessments can also be analyzed to reveal rates and trends in land use change. Results from urban growth studies provide a firm foundation for continuing research that explores the consequences of human modification of the landscape. The USGS seeks to illustrate and explain the spatial history of urban growth and corresponding land use change. Scientists are studying urban environments from a regional perspective and a time scale of decades to measure the changes that have occurred in order to help understand the impact of anticipated changes in the future. Within this booklet are pairs of images of selected urbanized regions from across the Nation. These image pairs illustrate the transformation that these areas have undergone over two decades. Specifically, they depict changes in the extent of urban land. Each change pair is composed of one image from the 1970s and one image from the 1990s. Accompanying each image pair is a brief historical geography of factors that helped facilitate major changes that have occurred since the founding of the main city and the consequences and challenges of regional urban growth. The goal of this publication is to provide an illustration of urban change that is easily understood by a broad audience. The images used throughout this booklet were generated from land cover data developed by the USGS. The data sources include the Geographic Information Retrieval and Analysis System (GIRAS) for the 1970s images and the National Land Cover Dataset (NLCD) for the 1990s images. GIRAS digital maps are based on photointerpretations completed in the mid-1970s. The NLCD is a land cover dataset for the conterminous United States based on 1992 Landsat thematic mapper (TM) satellite imagery and supplemental data (fig. 1a and fig. 1b). The USGS distributes both of these land use and land cover digital datasets. The images were developed by using a geographic information system (GIS). The GIRAS and NLCD datasets were used to identify urban land within each region. In the final images all urban areas are shown in red. A shaded-relief map of each region was used to display the topographic context of the red polygon coverage. For all of these images, urban land is defined as areas transformed into a built-up environment for human use. It includes residential areas, commercial and industrial developments, transportation features, and institutions.

Circular↗

Geodatabase compilation of hydrogeologic, remote sensing, and water-budget-component data for the High Plains aquifer, 2011

The High Plains aquifer underlies almost 112 million acres in the central United States. It is one of the largest aquifers in the Nation in terms of annual groundwater withdrawals and provides drinking water for 2.3 million people. The High Plains aquifer has gained national and international attention as a highly stressed groundwater supply primarily because it has been appreciably depleted in some areas. The U.S. Geological Survey has an active program to monitor the changes in groundwater levels for the High Plains aquifer and has documented substantial water-level changes since predevelopment: the High Plains Groundwater Availability Study is part of a series of regional groundwater availability studies conducted to evaluate the availability and sustainability of major aquifers across the Nation. The goals of the regional groundwater studies are to quantify current groundwater resources in an aquifer system, evaluate how these resources have changed over time, and provide tools to better understand a systems response to future demands and environmental stresses. The purpose of this report is to present selected data developed and synthesized for the High Plains aquifer as part of the High Plains Groundwater Availability Study. The High Plains Groundwater Availability Study includes the development of a water-budget-component analysis for the High Plains completed in 2011 and development of a groundwater-flow model for the northern High Plains aquifer. Both of these tasks require large amounts of data about the High Plains aquifer. Data pertaining to the High Plains aquifer were collected, synthesized, and then organized into digital data containers called geodatabases. There are 8 geodatabases, 1 file geodatabase and 7 personal geodatabases, that have been grouped in three categories: hydrogeologic data, remote sensing data, and water-budget-component data. The hydrogeologic data pertaining to the northern High Plains aquifer is included in three separate geodatabases: (1) base data from a groundwater-flow model; (2) hydrogeology and hydraulic properties data; and (3) groundwater-flow model data to be used as calibration targets. The remote sensing data for this study were developed by the U. S. Geological Survey Earth Resources Observation and Science Center and include historical and predicted land-use/land-cover data and actual evapotranspiration data by using remotely sensed temperature data. The water-budget-component data contains selected raster data from maps in the &ldquo;Selected Approaches to Estimate Water-Budget Components of the High Plains, 1940 Through 1949 and 2000 Through 2009&rdquo; report completed in 2011 ( http://pubs.usgs.gov/sir/2011/5183/ ). Federal Geographic Data Committee compliant metadata were created for each spatial and tabular data layer in the geodatabases.

Colorado, Kansas, Nebraska, New Mexico, Oklahoma, ↗

Detrital zircon analysis of Mesoproterozoic and neoproterozoic metasedimentary rocks of northcentral idaho: Implications for development of the Belt-Purcell basin

The authors analyzed detrital zircon grains from 10 metasedimentary rock samples of the Priest River complex and three other amphibolite-facies metamorphic sequences in north-central Idaho to test the previous assignment of these rocks to the Mesoproterozoic Belt-Purcell Supergroup. Zircon grains from two samples of the Prichard Formation (lower Belt) and one sample of Cambrian quartzite were also analyzed as controls with known depositional ages. U-Pb zircon analysis by laser ablation - inductively coupled plasma - mass spectrometry reveals that 6 of the 10 samples contain multiple age populations between 1900 and 1400 Ma and a scatter of older ages, similar to results reported from the Belt- Purcell Supergroup to the north and east. Results from the Priest River metamorphic complex confirm previous correlations with the Prichard Formation. Samples from the Golden and Elk City sequences have significant numbers of 1500-1380 Ma grains, which indicates that they do not predate the Belt. Rather, they are probably from a relatively young, southwestern part of the Belt Supergroup (Lemhi subbasin). Non-North American (1610-1490 Ma) grains are rare in these rocks. Three samples of quartzite from the Syringa metamorphic sequence northwest of the Idaho batholith contain zircon grains younger than the Belt Supergroup and support a Neoproterozoic age. A single Cambrian sample has abundant 1780 Ma grains and none younger than ~1750 Ma. These results indicate that the likely protoliths of many high-grade metamorphic rocks in northern Idaho were strata of the Belt-Purcell Supergroup or overlying rocks of the Neoproterozoic Windermere Supergroup and not basement rocks.

Canadian Journal of Earth Sciences↗

Numerical simulation of sound-side barrier-island inundation and breaching during Hurricane Dorian (2019)

Hurricane-induced morphological changes and associated community hazards along sandy, barrier-island coastlines have been studied primarily from the perspective of ocean-side attack by storm-driven ocean surge and large waves. Thus, our understanding of long-term barrier island morphological change focuses on beach erosion, overwash, and inlet formation. In contrast, outwash events with inundation from the sound side, such as one that occurred in Cape Lookout National Seashore, North Carolina, USA during Hurricane Dorian (September 2019), are understudied. Studying such events can improve understanding of barrier island response and stability for a broader range of conditions. Here, we model the hydrodynamics and morphological evolution of a barrier island using a coupled wave-current-sediment transport modeling system. Wind-driven surge in Pamlico Sound led to overtopping from the sound side, which eroded outwash channels and transported sediment seaward into the nearshore. Simulations reproduce the channel features observed with aerial imagery and provide information not available from the remote-sensing observations, including channel depths (>2 m) and the fate of the eroded sand. We found that >99% of the eroded sand was deposited in the nearshore, within 1,000 m of the shoreline in depths <10 m, suggesting that the deposited sediment remains available for littoral transport and beach recovery. Simulations with combinations of coarse or fine sediment and vegetated or unvegetated landcover indicate that channel position did not vary with grain size or vegetation, while volume of erosion and channel morphology were more responsive to variations in grain size and less responsive to presence of vegetation.

North Carolina↗

A 2-D process-based model for suspended sediment dynamics: A first step towards ecological modeling

In estuaries suspended sediment concentration (SSC) is one of the most important contributors to turbidity, which influences habitat conditions and ecological functions of the system. Sediment dynamics differs depending on sediment supply and hydrodynamic forcing conditions that vary over space and over time. A robust sediment transport model is a first step in developing a chain of models enabling simulations of contaminants, phytoplankton and habitat conditions. This works aims to determine turbidity levels in the complex-geometry delta of the San Francisco estuary using a process-based approach (Delft3D Flexible Mesh software). Our approach includes a detailed calibration against measured SSC levels, a sensitivity analysis on model parameters and the determination of a yearly sediment budget as well as an assessment of model results in terms of turbidity levels for a single year, water year (WY) 2011. Model results show that our process-based approach is a valuable tool in assessing sediment dynamics and their related ecological parameters over a range of spatial and temporal scales. The model may act as the base model for a chain of ecological models assessing the impact of climate change and management scenarios. Here we present a modeling approach that, with limited data, produces reliable predictions and can be useful for estuaries without a large amount of processes data.

Hydrology and Earth System Sciences↗

Multiple hydrothermal and metamorphic events in the Kidd Creek volcanogenic massive sulphide deposit, Timmins, Ontario: evidence from tourmalines and chlorites

Tourmaline and chlorite are the principal ferromagnesian silicate minerals in the Kidd Creek massive sulphide deposit. Tourmaline is most common in sphalerite-rich peripheral margins of the chalcopyrite stringer zone. Within the north orebody, samples typically contain <1% tourmaline, but small areas (hand-specimen scale) may have 10–20%. Chlorite is more widely distributed and in places constitutes 30–50% of rock volumes. Associated assemblages may include quartz, sulphides (principally chalcopyrite, sphalerite, and (or) pyrite), carbonate, albite, sericite, and rare fluorite, allanite, or zoisite(?).The tourmalines and chlorites record a series of multiple hydrothermal and metamorphic events. Paragenetic studies suggest that tourmaline was deposited during several discrete stages of mineralization, as evidenced by brecciation and cross-cutting relationships. Most of the tourmalines have two concentric growth zones defined by different colours (green, brown, blue, yellow). Some tourmalines also display pale discordant rims that cross-cut and embay the inner growth zones and polycrystalline, multiple-extinction domains. Late sulphide veinlets (chalcopyrite, pyrrhotite) transect the inner growth zones and pale discordant rims of many crystals. The concentric growth zones are interpreted as primary features developed by the main ore-forming hydrothermal system, whereas the discordant rims, polycrystalline domains, and cross-cutting sulphide veinlets reflect post-ore metamorphic processes.Detailed electron microprobe analyses of tourmalines show a wide compositional range, from Fe-rich dravite nearly to end-member schorl, with Fe/(Fe + Mg) ratios varying from 0.33 to 0.92; only minor amounts of Ca are present, yielding uniformly high Na/(Na + Ca) ratios of 0.84–0.99. Two sets of chemical zoning trends are identified in the tourmalines, involving systematic changes in Fe/(Fe + Mg), Na/(Na + Ca), Al, and Ti that are believed to reflect internal coupled substitutions (e.g.,  + Ti = Na + Al) and local mineral equilibria (e.g., tourmaline–chlorite). Analyses of the pale discordant reaction rims show consistent depletion of Fe, Ca, and Ti, presumably by fluid–solid reactions during post-ore metamorphism.Chlorites also show an extensive range in composition, from ripidolite nearly to end-member daphnite, with Fe/(Fe + Mg) ratios of 0.43–0.98 and Si cation values of 5.00–5.39. Chlorites from the fringes of the footwall stringer zone have narrow compositional ranges, whereas chlorites near footwall rhyolite sills in the core of the stringer zone display major variations in Fe/(Fe + Mg) ratios, including one sample with a range of 0.68–0.95. The former group of chlorites has Fe/(Fe + Mg) ratios that correlate well with those of coexisting tourmalines (exclusive of late reaction rims). Data for the latter group, in contrast, fall off equilibrium K D curves, indicating that the tourmalines and chlorites within these samples are not in chemical equilibrium. The chlorites are believed to have been altered (overprinted) by Fe-rich hydrothermal fluids apparently generated during intrusion of the rhyolite sills. The tourmalines, however, are unaffected and retain primary chemical signatures.Variations in mineral proportions and mineral chemistry within the deposit mainly depend on fluctuations in temperature, pH, water/rock ratios, and amounts of entrained seawater. The major proposed control is mixing between high-temperature, Fe-rich end-member hydrothermal fluids and cold, Mg-rich entrained seawater. Fe/(Fe + Mg) variations in footwall tourmalines (and equilibrium chlorites) are believed to largely reflect the progressive infiltration of Mg-rich seawater into the margins and top of the hydrothermal system. The more Fe-rich compositions of Kidd Creek tourmalines relative to those from sediment-hosted massive sulphide deposits (e.g., Sullivan, British Columbia) may be related to the preferential generation of end-member hydrothermal fluids in proximal volcanic environments like that at Kidd Creek.

Ontario↗

Rare earth elements in coal and coal fly ash

The rare earth elements (REEs) are a group of 17 elements sharing similar chemical properties. They include yttrium (Y, atomic number 39), scandium (Sc, atomic number 21), and the 15 elements of the lanthanide series, atomic numbers 57 (lanthanum, La) to 71 (lutetium, Lu). Because promethium (Pm, atomic number 61) does not occur in the Earth’s crust and scandium typically has different geological occurrences from other REEs, they are not discussed further herein. REEs are, on average, more abundant than precious metals (for example, gold, silver, and platinum), but because of their unique geochemical properties, they do not commonly form economically viable ore deposits. Nevertheless, REEs are increasingly required for a range of modern applications in defense and renewable energy technologies and in commercial products, primarily as magnets, batteries, and catalysts. The United States currently (2018) produces REEs from a single mine in California, accounting for just 9 percent of global production, whereas 70 percent of global REE production comes from China. For these reasons, REEs are considered a critical resource, and the U.S. Geological Survey (USGS) has an interest in helping to identify new sources of REEs for domestic production. In 2017, coal use accounted for about 30 percent of the electric power generated in the United States. Fly ash, produced during the burning of coal, is a fine­-grained solid derived from noncombustible constituents of coal, such as clay minerals and quartz. When coal is burned, REEs are retained and enriched in the fly ash and, as a result, fly ash has long been considered a potential resource for REEs. The United States has the world’s largest coal reserves and, even though gas-­fired power generation has increased significantly in the last decade, the United States continues to produce vast quantities of fly ash, about half of which is beneficially reused, primarily in construction materials. The remainder is stored, mostly in landfills and impound­ments. Thus, annual fly ash production, combined with fly ash already in stor­age, constitutes a large potential resource. Research into how to utilize coal and coal fly ash as sources of REEs is ongo­ing. Viable recovery of REEs from coal and coal ash requires identification of coals and ashes with the highest REE concentrations and development of workable methods for REE extraction and recovery. Understanding how REEs occur within fly ash, described in this fact sheet, is one of the keys to developing possible methods for their recovery.

Fact Sheet↗

Evaluating a satellite-based seasonal evapotranspiration product and identifying its relationship with other satellite-derived products and crop yield: A case study for Ethiopia

Satellite-derived evapotranspiration anomalies and normalized difference vegetation index (NDVI) products from Moderate Resolution Imaging Spectroradiometer (MODIS) data are currently used for African agricultural drought monitoring and food security status assessment. In this study, a process to evaluate satellite-derived evapotranspiration (ETa) products with a geospatial statistical exploratory technique that uses NDVI, satellite-derived rainfall estimate (RFE), and crop yield data has been developed. The main goal of this study was to evaluate the ETa using the NDVI and RFE, and identify a relationship between the ETa and Ethiopia’s cereal crop (i.e., teff, sorghum, corn/maize, barley, and wheat) yields during the main rainy season. Since crop production is one of the main factors affecting food security, the evaluation of remote sensing-based seasonal ETa was done to identify the appropriateness of this tool as a proxy for monitoring vegetation condition in drought vulnerable and food insecure areas to support decision makers. The results of this study showed that the comparison between seasonal ETa and RFE produced strong correlation ( R 2 > 0.99) for all 41 crop growing zones in Ethiopia. The results of the spatial regression analyses of seasonal ETa and NDVI using Ordinary Least Squares and Geographically Weighted Regression showed relatively weak yearly spatial relationships ( R 2 < 0.7) for all cropping zones. However, for each individual crop zones, the correlation between NDVI and ETa ranged between 0.3 and 0.84 for about 44% of the cropping zones. Similarly, for each individual crop zones, the correlation ( R 2 ) between the seasonal ETa anomaly and de-trended cereal crop yield was between 0.4 and 0.82 for 76% (31 out of 41) of the crop growing zones. The preliminary results indicated that the ETa products have a good predictive potential for these 31 identified zones in Ethiopia. Decision makers may potentially use ETa products for monitoring cereal crop yields and early warning of food insecurity during drought years for these identified zones.

International Journal of Applied Earth Observation↗

Discriminating assimilants and decoupling deep- vs. shallow-level crystal records at Mount Adams using 238U-230Th disequilibria and Os isotopes

A suite of 23 basaltic to dacitic lavas erupted over the last 350 kyr from the Mount Adams volcanic field has been analyzed for U–Th isotope compositions to evaluate the roles of mantle versus crustal components during magma genesis. All of the lavas have ( 230 Th/ 238 U) > 1 and span a large range in ( 230 Th/ 232 Th) ratios, and most basalts have higher ( 230 Th/ 232 Th) ratios than andesites and dacites. Several of the lavas contain antecrysts (crystals of pre-existing material), yet internal U–Th mineral isochrons from six of seven lavas are indistinguishable from their eruption ages. This indicates a relatively brief period of time between crystal growth and eruption for most of the phenocrysts (olivine, clinopyroxene, plagioclase, magnetite) prior to eruption. One isochron gave a crystallization age that is ~ 20–25 ka older than its corresponding eruptive age, and is interpreted to reflect mixing of older and juvenile crystals or a protracted period of magma storage in the crust. Much of the eruptive volume since 350 ka consists of lavas that have small to moderate 230 Th excesses (2–16%), which are likely inherited from melting of a garnet-bearing intraplate (“OIB-like”) mantle source. Following melt generation and subsequent migration through the upper mantle, most Mt. Adams magmas interacted with young, mafic lower crust, as indicated by 187 Os/ 188 Os ratios that are substantially more radiogenic than the mantle or those expected via mixing of subducted material and the mantle wedge. Moreover, Os–Th isotope variations suggest that unusually large 230 Th excesses (25–48%) and high 187 Os/ 188 Os ratios in some peripheral lavas reflect assimilation of small degree partial melts of pre-Quaternary basement that had residual garnet or Al-rich clinopyroxene. Despite the isotopic evidence for lower crustal assimilation, these processes are not generally recorded in the erupted phenocrysts, indicating that the crystal record of the deep-level ‘cryptic’ processes has been decoupled from shallow-level crystallization.

Washington↗

Transient rheology of the upper mantle beneath central Alaska inferred from the crustal velocity field following the 2002 Denali earthquake

The M7.9 2002 Denali earthquake, Alaska, is one of the largest strike-slip earthquakes ever recorded. The postseismic GPS velocity field around the 300-km-long rupture is characterized by very rapid horizontal velocity up to ???300 mm/yr for the first 0.1 years and slower but still elevated horizontal velocity up to ???100 mm/yr for the succeeding 1.5 years. I find that the spatial and temporal pattern of the displacement field may be explained by a transient mantle rheology. Representing the regional upper mantle as a Burghers body, I infer steady state and transient viscosities of ??1 = 2.8 ?? 1018 Pa s and ??2 = 1.0 ?? 1017 Pa s, respectively, corresponding to material relaxation times of 1.3 and 0.05 years. The lower crustal viscosity is poorly constrained by the considered horizontal velocity field, and the quoted mantle viscosities assume a steady state lower crust viscosity that is 7??1. Systematic bias in predicted versus observed velocity vectors with respect to a fixed North America during the first 3-6 months following the earthquake is reduced when all velocity vectors are referred to a fixed site. This suggests that the post-Denali GPS time series for the first 1.63 years are shaped by a combination of a common mode noise source during the first 3-6 months plus viscoelastic relaxation controlled by a transient mantle rheology.

Journal of Geophysical Research B: Solid Earth↗

Process-based modeling of tsunami inundation and sediment transport

The infrequent and unpredictable nature of tsunamis precludes the use of field experiments to measure the hydrodynamic and sediment transport processes that occur. Instead, these processes are often approximated from laboratory, numerical, and theoretical studies or inferred from observations of the resultant sediment deposits. Here Delft3D, a three-dimensional numerical model, is used to simulate the inundation and sediment transport of a tsunami similar in magnitude to the 26 December 2004 Indian Ocean tsunami over one measured and three idealized morphologies. The model is first shown to match well the observations taken at Kuala Meurisi, Sumatra, and then used to examine in detail the processes that occur during the tsunami. The model predicts that at a given cross-shore location the onshore flow accelerates rapidly to a maximum as the wavefront passes, and then gradually decelerates before reversing direction and flowing offshore. The onshore flow does not tend to zero everywhere at maximum inundation, but instead flow reversal occurs near the shoreline even as the wavefront continues to inundate landward. While some sediment is eroded by the passing wavefront, the suspension of sandy sediment is dominated by the long-duration, high-velocity backwash that occurs along the beach face and offshore of the shoreline. Some of the sediment suspended during backwash is advected shoreward by the subsequent wave, creating large spatial gradients in the suspended sediment concentrations, which may not be in equilibrium with the local hydrodynamics. The inundation and transport of sediment during a tsunami can be affected by complexities in the morphological profile and interactions between multiple waves, and many of the hydrodynamic and sediment transport processes predicted here are similar to analogous processes previously observed in the swash zone. Copyright 2011 by the American Geophysical Union.

Journal of Geophysical Research F: Earth Surface↗

Midcontinent rift volcanism in the Lake Superior region: Sr, Nd, and Pb isotopic evidence for a mantle plume origin

Between 1091 and 1098 Ma, most of a 15- to 20-km thickness of dominantly tholeiitic basalt erupted in the Midcontinent Rift System of the Lake Superior region, North America. The Portage Lake Volcanics in Michigan, which are the youngest MRS flood basalts, fall into distinctly high- and low-TiO 2 types having different liquid lines of descent. Incompatible trace elements in both types of tholeiites are enriched compared to depleted or primitive mantle (La/Yb = 4.3–5.3; Th/Ta = 2.12–2.16; Zr/Y = 4.3–4.4), and both basalt types are isotopically indistinguishable. Sr, Nd, and Pb isotopic compositions of the Portage Lake tholeiites have 87 Sr/ 86 Sr i ≈ 0.7038, ε Nd (1095 Ma) ≈ 0±2, and μ 1 ≈ 8.2. Model ages with respect to a depleted mantle source ( T DM ) average about 1950–2100 Ma. Portage Lake rhyolites fall into two groups. Type I rhyolites have Nd and Pb isotopic characteristics (ε Nd (1095 Ma) ≈ 0 to −4.7; μ 1 ≈ 8.2–7.8) consistent with contamination of tholeiitic rocks by 5–10% Archean crust. The one type II rhyolite analyzed has Nd and Pb isotopic compositions (ε Nd (1095 Ma) ≈ −13 to −16; μ 1 ≈ 7.6–7.7) which are consistent with partial melting of Archean crust. Early Proterozoic crust was not a major contaminant of MRS rocks in the Lake Superior region. Most reported Nd and Pb isotopic compositions of MRS tholeiites from the main stage of volcanism in the Lake Superior region and of the Duluth Complex are comparable to the Nd and Pb isotopic data for Portage Lake tholeiites. The isotopic enrichment of the MRS source compared to depleted mantle is striking and must have occurred at least 700 m.y. before 1100 Ma. There are two likely sources for such enriched MRS tholeiitic magmatism: subcontinental lithospheric mantle enriched during the early Proterozoic or enriched mantle derived from an upwelling plume. Subcontinental lithospheric mantle alone as a source cannot be ruled out strictly on isotopic grounds, but melting of enriched lithosphere potentially ranging in age from 3.6 to 1.8 Ga would have been less likely to generate either the homogeneity or the volume of MRS tholeiites. Decompression melting of an upwelling enriched mantle plume in a region of lithosphere thinned by extension could have successfully generated the enormous volume (850×10 3 km 3 ) of relatively homogeneous magma in a restricted time interval.

Journal of Geophysical Research Solid Earth↗

Selected crater and small caldera lakes in Alaska: Characteristics and hazards

This study addresses the characteristics, potential hazards, and both eruptive and non-eruptive role of water at selected volcanic crater lakes in Alaska. Crater lakes are an important feature of some stratovolcanoes in Alaska. Of the volcanoes in the state with known Holocene eruptive activity, about one third have summit crater lakes. Also included are two volcanoes with small caldera lakes (Katmai, Kaguyak). The lakes play an important but not well studied role in influencing eruptive behavior and pose some significant hydrologic hazards. Floods from crater lakes in Alaska are evaluated by estimating maximum potential crater lake water volumes and peak outflow discharge with a dam-break model. Some recent eruptions and hydrologic events that involved crater lakes also are reviewed. The large volumes of water potentially hosted by crater lakes in Alaska indicate that significant flowage hazards resulting from catastrophic breaching of crater rims are possible. Estimates of maximum peak flood discharge associated with breaching of lake-filled craters derived from dam-break modeling indicate that flood magnitudes could be as large as 10 3 –10 6 m 3 /s if summit crater lakes drain rapidly when at maximum volume. Many of the Alaska crater lakes discussed are situated in hydrothermally altered craters characterized by complex assemblages of stratified unconsolidated volcaniclastic deposits, in a region known for large magnitude (>M7) earthquakes. Although there are only a few historical examples of eruptions involving crater lakes in Alaska, these provide noteworthy examples of the role of external water in cooling pyroclastic deposits, acidic crater-lake drainage, and water-related hazards such as lahars and base surge.

Alaska↗