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New York and Landsat

From the iconic skyline of New York City to the forested landscapes of the Adirondack Mountains and the countryside of the Allegheny Plateau, the State of New York is overflowing with diversity and life. Bordered by the Atlantic Ocean on the east and two of the Great Lakes to the north and west, New York has more than 7,600 lakes, ponds, and reservoirs and more than 70,000 miles of rivers and streams. New York’s stewardship of its freshwater resources is fundamental to the health and well-being of all who work at, reside in, and visit the State’s landmarks and places. Harmful algal blooms in the State’s waterbodies are a growing concern and threaten the health of the region and its inhabitants. Images and data from Landsat satellites continue to provide critical information to scientists, public health officials, and resource managers who are studying the effects and risks of the problem.

New York

Rupture into slow-slip fault regime during the 2018 Mw 6.9 Island of Hawaiʻi earthquake is followed by modest postseismic slip

On 4 May 2018, a M w 6.9 earthquake occurred on the south flank of Kīlauea, in the midst of an historic event that included a voluminous eruption from Kīlauea’s lower East Rift zone and caldera collapse at its summit. The earthquake was a consequence of both short‐ and long‐term stress buildup due to magmatic activity associated with the eruption and steady flank motion, respectively, and it revealed features of Kīlauea’s décollement fault that can inform understanding of future earthquake activity. We used geodetic data to determine the distributions of slip during the coseismic and postseismic periods and compared these with areas of known fault slip during past earthquakes and slow‐slip events (SSEs). The 2018 earthquake ruptured into an area of the décollement fault that was active during quasi‐regular SSEs that occurred in the two decades prior to 2018 but that have not been observed since. The coseismic slip model indicates that the amount of motion on the décollement fault was several times greater than what typically occurred during SSEs, suggesting that it may take decades for the fault to rebuild stress to the point at which SSEs will occur again. Postseismic afterslip also occurred in an area of the fault known to experience slow slip; however, unlike at other creeping faults, postseismic afterslip was rapid, being largely over within 2–3 days. The rapid nature and small magnitude of the postseismic afterslip may be due to the lack of a viscoelastic relaxation component, which is possibly a result of the shallow dip of the décollement fault not transferring stress efficiently into the lower crust.

Hawaii

Design and function of the Autonomous Benthic Imaging and Surveying System (ABISS) for remote sensing of lake and seabed environments

Lake and seabed environments are home to fisheries and other biota that are important to ecosystems and economies, yet these environments and the species that use them are difficult to accurately assess and monitor. Traditional benthic survey techniques, like bottom trawling used by the U.S. Geological Survey, are limited by substrate constraints, poor spatial resolution and precision, and operational depth limits, hindering accurate assessment of benthic species and habitats. In response to these limitations, the U.S. Geological Survey developed the Autonomous Benthic Imaging and Surveying System, a camera system integrated into underwater vehicles, to capture high-resolution images of the lakebed. The system uses color and stereo cameras to collect imagery, which can be analyzed using computational methods to detect organisms and (or) characterize habitat features, such as geologic substrate types. The system has been integrated into autonomous underwater vehicles and into an underwater housing used by self-contained underwater breathing apparatus (SCUBA) divers. Although the engineering of the system was motivated by the need for data collection in the Great Lakes, it has potential to collect high quality data in any aqueous setting with sufficient water clarity and safe operating conditions. The Autonomous Benthic Imaging and Surveying System can operate across diverse depths and light conditions to map and quantify ecological patterns that were difficult or impossible to assess using traditional methods. The Autonomous Benthic Imaging and Surveying System offers the potential for accurate and precise monitoring and assessment of native benthic biota, invasive species, and habitat, potentially providing natural resource managers with improved information to support decision making about benthic resource management.

Great Lakes

The Great Salt Lake (Utah, USA) acoustic and sedimentary archive of Wasatch Front earthquakes

As the largest low-relief basin in the western United States, the Great Salt Lake offers an opportunity to explore acoustic and sedimentary archives of earthquake ruptures in a shallow terminal basin. Here, we use subbottom compressed high intensity radiated pulse (Chirp) profiles and sedimentary cores to address questions related to how Great Salt Lake sediments respond to surface rupture and earthquake shaking and whether the lake is sensitive to both Great Salt Lake fault (GSLF) and Wasatch fault zone (WFZ) earthquakes. Chirp profiles reveal laterally continuous seismic stratigraphy with vertically displaced strata, onlap surfaces, and growth stratigraphy produced by GSLF surface ruptures. We identify and date two ruptures on the Fremont Island section and three on the Antelope Island section; temporal overlap of these ruptures supports synchronous rupture of both sections. Combined with previous data, our results yield a record of four Holocene surface-rupturing (M W 6.9−7.3) earthquakes on the GSLF with a mean recurrence of ∼3.2 k.y. Sediment cores include ≤41-cm-thick, massive, homogeneous to normally graded disturbance beds that interrupt laminated bioclastic sediment. Disturbance bed correlations yield four lacustrine earthquake deposits since ca. 1.7 ka; the youngest possibly records the most recent GSLF surface rupture whereas older deposits were likely produced by WFZ earthquakes. Modeled historical earthquakes yield a Great Salt Lake sediment disturbance shaking threshold of MMI ∼VI, controlled in part by the lake-bottom expression of the GSLF scarp. Our integration of primary (fault-related) and secondary (shaking-related) earthquake evidence improves our understanding of sediment disturbance processes and the archival potential of low-relief lake basins.

Utah

On algorithmically determined versus traditional macroseismic intensity assignments

The utility of macroseismic data, defined as the effects of earthquakes on humans and the built environment, has been increasingly recognized following the advent of online systems that now produce unprecedented volumes of macroseismic intensity information. Contributed reports from the U.S. Geological Survey “Did You Feel It?” (DYFI) system ( Wald et al ., 1999 ) are used to generate intensity values with an algorithm based on seminal work by Dengler and Dewey (1998) . The algorithm was developed initially to reproduce intensity values assigned by expert opinion using questionnaire results collected by telephone survey. In this article, I discuss reasons why intensity values from (self‐selected) DYFI responses can differ from values that would be assigned by expert opinion given more complete data from randomly selected participants. For example, with the data used by Dengler and Dewey (1998) , intensities near 4 could be determined from the percentage of people who felt shaking in each town. With less spatially rich data from self‐selected participants, this percentage often cannot be determined reliably. Audible noises are key additional diagnostic criteria for modified Mercalli intensity (MMI) 4, but, although the DYFI system includes a question about noise, following Dengler and Dewey (1998) , the DYFI algorithm does not include a noise indicator. At the upper end of the scale, as defined the DYFI algorithm yields a maximum intensity value of 9.05, nominally corresponding to peak ground acceleration of 75% g . These and other factors can result in DYFI values that are low compared to traditional MMI values assigned using expert opinion, even absent factors that can bias traditional MMI assignments. Modern ground‐motion intensity conversion equations determined using DYFI intensities are expected to be appropriate for DYFI intensities, but the results of this study suggest that biases may be introduced if DYFI and traditional intensities are assumed to be interchangeable.

Seismological Research Letters

Imaging of seismic discontinuities using an adjoint method

For imaging of seismic discontinuities at depth, reverse time migration (RTM) is a powerful method to apply to recordings of seismic events. It is especially powerful when an extensive receiver array, numerous seismic sources, or both, permit adequate reconstruction of incident and scattered wavefields at depth. Reconstructing either the incident or scattered wavefield at depth becomes less accurate when relatively few recordings of seismic events are available. Here we explore an inverse scattering approach to imaging discontinuities based on an adjoint method, employing sensitivity kernels (Frechet derivatives) that represent jumps in material properties across seismic-discontinuity surfaces. When combined with ray-based requirements on scattering geometry, it constitutes a powerful approach to determining the locations and amplitudes of the discontinuities, recovering only those properties that can be resolved by a spatially limited source and/or receiver distribution. This is illustrated by synthetic examples with local sources followed by a field example in a subduction zone setting

Washington

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

Case definitions for wildlife diseases

Welcome to the first manual of “Case Definitions for Wildlife Diseases,” a “living” electronic publication. The plan is to add and update this manual’s case definitions periodically as warranted; thus, this manual will never be completed, and readers should download the latest versions of specific chapters (that is, definitions) when available. Constructive suggestions from readers are welcome and will help guide adjustments as this project progresses. The purpose of this manual is to provide case definitions for selected diseases of importance to wildlife in Canada and the United States. Case definitions provide standard sets of criteria for classifying the degree of certainty of a particular diagnosis and help improve surveillance data quality and comparability. Better data and standardization allow for improved data sharing, which increases geographic and species surveillance coverage and permits more robust analyses. The definitions included in this manual have been developed by veterinary pathologists, epidemiologists, and wildlife biologists primarily from the U.S. Geological Survey National Wildlife Health Center (NWHC) and Canadian Wildlife Health Cooperative (CWHC). Pathologists from each organization reviewed and finalized the definitions. Each case definition has been peer reviewed by two scientific experts before publication. This manual begins with the case definition template. This generic template includes four sections: “Individual, Place, and Time Criteria for Diagnosis and Testing,” “Field Criteria for Diagnosis,” “Laboratory Criteria for Diagnosis,” and “Epidemiological Linkage Criteria for Diagnosis” and can be used to guide development of new case definitions. Information in each section is then combined to provide an overall case classification. Disease diagnoses are classified as “Confirmed,” “Presumptive,” or “Suspected;” and evidence of a pathogen or toxin is classified as “Exposed” or “Present/Detected.” Each subsequent chapter is then a case definition for a specific disease of wildlife, and infectious and non-infectious diseases are included.

Techniques and Methods

Macroseismology

In this chapter I discuss the use of so-called macroseismic data, i.e., reports of damage and other effects of shaking on humans and the built environment, to improve the characterization of earthquakes and the ground motions they produce. Macroseismic data are critical not only to investigate earthquakes that occurred before the start of the instrumental era in seismology, but are also, by virtue of the spatially rich nature of the data, of tremendous potential importance to investigate early instrumental and even recent earthquakes. Fueled by both the advent of on-line systems that now produce unprecedented volumes of macroseismic intensity data and by recognition of the importance of understanding key historical earthquakes, there has been a growing appreciation for the value of macroseismic data. It is, however, critical to understand both the unique challenges and the unique opportunities associated with these data. I review the evolution of thought and practices regarding analysis of macroseismic data, and the use of such data to improve the characterization of historic and early instrumental earthquakes.

Book chapter

Ground-motion aleatory-variability models for Puerto Rico and the U.S. Virgin Islands

I develop independent logic trees for aleatory variability for crustal and subduction-zone (interface and intraslab) earthquakes for seismic hazards analyses in Puerto Rico and the U.S. Virgin Islands (PRVI) from existing suites of ground-motion models (GMMs) and from ground-motion datasets, including a regional PRVI dataset. The aleatory variability models are parameterized using a partially nonergodic partitioning of standard deviation that consists of independently developed between-event ( ), site-to-site ( ), and event-corrected single-station ( ) standard deviation components. The effects of nonlinear site response on aleatory variability are incorporated through additional terms that modify the standard deviation components. Because one goal of this work is to develop independent logic trees for aleatory variability that synthesize the aleatory variability models from GMMs, I make use of the functional forms of the input GMMs. The PRVI dataset contains a limited number of stations with high-quality site metadata and does not contain records from earthquakes with magnitudes greater than 6.1, so I choose not to develop the aleatory variability models from the regional dataset alone. Instead, the standard deviation components from regional ground-motion data are evaluated against the components derived from GMMs and from available global datasets, and regionalized standard deviation components are incorporated where there is evidence that regional effects exhibit substantial differences. The resulting logic trees for aleatory variability consist of models of and that are consistent with semiempirical GMMs for active crustal and subduction-zone regimes, and two alternative models of , including one model that exhibits site-to-site variability informed by PRVI data, with values that exceed global models. The aleatory variability models may be considered in future hazards assessments in PRVI to simplify the hazard calculations, to incorporate regional ground-motion variability effects, and to enable direct logic-tree weighs of aleatory variability.

Puerto Rico, U.S. Virgin Islands

A robust quantitative method to distinguish runoff-generated debris flows from floods

Debris flows and floods generated by rainfall runoff occur in rocky mountainous landscapes and burned steeplands. Flow type is commonly identified post-event through interpretation of depositional structures, but these may be poorly preserved or misinterpreted. Prior research indicates that discharge magnitude is commonly amplified in debris flows relative to floods due to volumetric bulking and increased frictional resistance. Here, we use this flow amplification to develop a metric ( Q* ) to separate debris flows from floods based on the ratio of observed peak discharge to the theoretical maximum water discharge from rainfall runoff. We compile 642 observations of floods and debris flows and demonstrate that Q* distinguishes flow type to ∼92% accuracy. Q* allows for accurate identification of debris flows through simple channel cross-section surveys rather than through qualitative interpretation of deposits, and therefore should increase the performance of models and engineered structures that require accurate flow-type observations.

Geophysical Research Letters

Persistent deep long-period seismicity near the Lassen Volcanic Center

Deep long-period (DLP) earthquakes have been observed at many volcanic settings around the world and linked to the magmatic processes that drive volcanic unrest. At the Lassen Volcanic Center (LVC) of the Cascade arc, limited detection of DLP activity hinders classification of anomalous seismic behavior and its relationship to the LVC magmatic system. This study uses a template matching approach with seismic data from temporary nodal and permanent stations to detect and locate DLP earthquakes near the LVC between 2017 and 2024. Within the DLP catalog of 611 events, a transition occurs from scattered (2017–2020) to oscillatory (2021–2024) occurrence rates. During the oscillatory period, regional earthquakes with large amplitude velocity waveforms observed near the LVC are associated with abrupt changes in DLP occurrence rates. Continued monitoring of DLP activity has the potential to better define the processes that drive volcanic unrest at the LVC in the future.

California

How does the onset of offset influence geologic slip rates?

Geologic slip rates are typically based on the displacement accrued by a geomorphic or stratigraphic feature and the age of the offset feature. Because slip rates are commonly calculated by dividing the displacement of a faulted marker by its age, they contain two open time intervals: the elapsed time between the age of an offset feature and the age of the earthquake that displaced the feature, and the time between the present‐day and the most recent earthquake. Here, we explore the influence of including unconstrained open intervals in geologic slip rate calculations. We test the degree to which these open intervals affect geologic slip rates and their uncertainties, and we find that their influence depends primarily on mean earthquake recurrence intervals (RIs). Slip rates on faults with longer RIs, such as the Wasatch fault, can be greatly influenced by an increase of up to 20% when accounting for open intervals. In contrast, slip rates on faults with shorter RIs, such as the San Andreas fault, are only slightly influenced by the assumption that slip rates calculated over open intervals approximate those calculated over closed intervals. Our analyses indicate that faults with moderate slip rates (∼0.2–5 mm/yr) are sensitive to both open interval effects themselves, as well as methods to quantify and account for these effects. We re‐evaluate how slip rates are calculated and defined in displacement–time space using published deformation records. We explore the utility of assigning a probability distribution to the initiation of offset of the oldest faulted feature and the timing of the most recent earthquake (MRE). We find that calculating geologic slip rates without using probability distributions that capture the timing of the MRE and the onset of offset of the oldest faulted feature, especially on slow‐to‐moderate slip rate faults, can lead to systematic underestimation of average geologic slip rates.

Seismological Research Letters

A northeast-dipping zone of low frequency earthquakes at the southern edge of Cascadia subduction

Tectonic tremor monitoring occasionally detects events in an anomalous zone in southern Cascadia, 50–100 km west of the main tremor band, near the expected southern edge of the subducting Gorda slab at the Mendocino triple junction. To investigate the geometry and temporal behavior of this tremor, we examine its constituent low-frequency earthquakes (LFEs) by developing 27 stacked LFE waveform templates that we use to detect events from 2018 to 2024. We then relocate LFE sources together with regional seismicity. We find that LFE hypocenters form a northeast-dipping alignment at 22–29 km depth, extending eastward from a zone of micro-earthquakes, ∼15 km south of the southern edge of Gorda slab seismicity. These LFE families exhibit small bursts of activity every few days. Considering the strong world-wide association of tremor and LFEs with high slip-rate, plate-bounding faults, we hypothesize these LFEs may demark the southern edge of Cascadia subduction.

California

Dynamic coupling between faulting, rifting and magmatism during 2021-2025 unrest on Reykjanes Peninsula, Iceland

Interactions among faulting, earthquakes, and eruptions are fundamental to plate tectonics and hazard forecasting yet rarely observed along mid-ocean ridges. On Iceland's Reykjanes Peninsula, seismotectonic–volcanic unrest resumed after nearly 800-year hiatus, providing an opportunity to observe these interactions during 2021–2025 activity. By integrating high-resolution seismicity, focal mechanisms, satellite geodesy, surface deformation, and eruption data, we document ∼4 m of total extension accommodated through 14 rifting episodes. The largest, in 2023, involved graben reactivation and diking, with seismic swarms and earthquake faulting that matched the surface ruptures, where strike-slip faulting preceded normal-faulting earthquakes and extension. The accrued extension was released by extension fractures triggered by magma accumulation. Long-term observations show no correlation between erupted magma volume, seismicity, and crustal extension. This highlights dynamic relation between rifting, faulting, and magmatism in transtensional settings and their implications for hazard assessment.

Reykjanes Peninsula

Agricultural return flow dynamics on a reach of the East River, Colorado, as assessed by mass balance

The U.S. Geological Survey, in cooperation with the Upper Gunnison River Water Conservancy District, studied historical streamflow in a reach of the East River, Colorado, to gain a preliminary understanding of return flow dynamics. Return flow is agricultural irrigation water that is not consumed by evapotranspiration and instead reaches streams by surface and subsurface flow paths. The study reach had a contributing area of 50 square miles and contained 5.23 square miles of pastures irrigated with water diverted from the East River and its tributaries. By comparing upstream inflows to downstream outflows, the net water balance of the study reach from 1994 to 2023 was assessed. Two general hydrologic conditions for the study reach were identified. One hydrologic condition was characterized by a net loss or consumption of water, termed here as general deficit. This general deficit condition extended about 16 years, from 1997 to 2012. During general deficit years, there was usually a notable net loss of streamflow from April through July, and a small net gain, possibly related to return flows, occurred in August about 75 days after the minimums for losses. The second hydrologic condition was characterized by a net gain of water, termed here as general surplus. This second condition extended about 10 years, from 2014 to 2023. During general surplus years, two separate transitions from net loss to net gain commonly occurred during June through August. Losses during general surplus years were smaller than losses during general deficit years, the respective gains were larger, and times between losses and gains were about 18 and 22 days. Differences between the two hydrologic conditions could reflect interactions among irrigation water, available capacity to store additional shallow groundwater, and streamflow. However, deciphering the causes for the shifts between the two general hydrologic conditions was beyond the scope of this report.

Colorado

Modeling seawater intrusion along the Alabama coastline using physical and machine learning models to evaluate the effects of multiscale natural and anthropogenic stresses

Seawater intrusion threatens groundwater resources in coastal regions, including southern Baldwin County, Alabama, where the freshwater-saltwater interface dynamics remain poorly understood. To address this gap, this study uses combined physics-based and machine-learning models to quantify seawater intrusion caused by natural (storm surges) and anthropogenic (human activities) perturbations. The long short-term memory network and wavelet analysis were used to assess vertical aquifer vulnerabilities, revealing that the shallow part of the Coastal lowlands aquifer system (CL1) in the southern Baldwin County region is more susceptible to sea level rise and groundwater extraction than deeper aquifers. Based on these findings, a cross-sectional numerical model (physics approach) for the CL1 aquifer was developed to evaluate tidal and storm surge effects, using Tropical Storm Claudette (June 2021) as a case study. Results showed that tidal fluctuations had a minimal impact on the saltwater-freshwater interface location, whereas storm surges caused substantial inland movement, with effects lasting for nine months. The steady-state version of the three-dimensional (3D) physical model predicted seawater intrusion across the entire area, and convolutional neural network-based modeling further validated the model results. The 3D physical model was also applied to a smaller area to assess human impact on the saltwater interface due to two groundwater pumping scenarios (± 50% of the baseline pumping rate). Results revealed that a 50% increase in groundwater withdrawals caused seawater to advance ~ 320 m inland, whereas a 50% reduction led to a ~ 270-meter retreat. This study highlights the vulnerability of Alabama’s shallow coastal aquifers to seawater intrusion due to storm surges and human activities, and demonstrates that combining physics-based models with machine learning approaches can improve groundwater predictions, though its accuracy depends on the availability of site-specific data.

Alabama

SURF: An automated method for building nonplanar 3D fault models from earthquake hypocenters

Accurately characterizing 3D fault geometry is vital for improving our understanding of earthquake behavior and informing the development of seismic hazard models. Despite their importance, subsurface fault structures tend to be poorly constrained because of limitations in observational data. Improvements to the seismic networks and earthquake detection algorithms have increased the precision and volume of earthquake catalogs, which help illuminate detailed subsurface fault structure and provide the most direct information available about fault geometries at depth. We present a Python package to automate generating 3D fault geometries directly from hypocentral seismicity patterns. This method begins with clustering events based on their spatial density, identifying coherent patterns. Nearby clusters are then merged based on the similarity of their orientations. We fit nonplanar surfaces using support vector regression to balance surface accuracy with minimal deviations from planarity. The fault models are output as quadrilateral meshes at user‐defined resolution. In the process of generating the 3D fault surfaces, we compute the spatial density of seismicity around the surface and the planarity as quantitative metrics of the model outputs. As a proof of concept, we apply this approach to the San Andreas–Calaveras fault junction region and the 2019 Ridgecrest earthquake sequence, both in California, which contain complex subparallel faults well defined at the Earth’s surface and abundant microseismicity. These case studies demonstrate the method’s ability to model complex fault structures, including long continuous fault surfaces, crossing faults, variably dipping segments, and subparallel faults. We test the method on both standard network catalogs and double‐difference relocated catalogs. We find that our seismicity‐based fault model results align with published 3D models that incorporate additional constraints and interpretations ( Plesch et al. , 2020 ; Aagaard and Hirakawa, 2021 ). This workflow provides a low‐user‐input solution for estimating fault geometries at depth from earthquake catalogs.

California