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At least 1,513 records · Page 84Linked to original sources

LiDAR-Assisted identification of an active fault near Truckee, California

We use high-resolution (1.5-2.4 points/m2) bare-earth airborne Light Detection and Ranging (LiDAR) imagery to identify, map, constrain, and visualize fault-related geomorphology in densely vegetated terrain surrounding Martis Creek Dam near Truckee, California. Bare-earth LiDAR imagery reveals a previously unrecognized and apparently youthful right-lateral strike-slip fault that exhibits laterally continuous tectonic geomorphic features over a 35-km-long zone. If these interpretations are correct, the fault, herein named the Polaris fault, may represent a significant seismic hazard to the greater Truckee-Lake Tahoe and Reno-Carson City regions. Three-dimensional modeling of an offset late Quaternary terrace riser indicates a minimum tectonic slip rate of 0.4 ?? 0.1 mm/yr.Mapped fault patterns are fairly typical of regional patterns elsewhere in the northern Walker Lane and are in strong coherence with moderate magnitude historical seismicity of the immediate area, as well as the current regional stress regime. Based on a range of surface-rupture lengths and depths to the base of the seismogenic zone, we estimate a maximum earthquake magnitude (M) for the Polaris fault to be between 6.4 and 6.9.

Bulletin of the Seismological Society of America↗

Establishing high-frequency noise baselines to 100 Hz based on millions of power spectra from IRIS MUSTANG

Advances in seismic instrumentation have enabled data to be recorded at increasing sample rates. This has in turn created a need to establish higher-frequency baselines for assessing data quality, as the widely-used New High (NHNM) and Low Noise Models (NLNM) of Peterson (1993) do not extend to frequencies above 10 Hz. To provide a baseline for higher frequencies (10-100 Hz), we examine power spectral density probability density functions (PSDPDFs) for high-sample-rate stations available from the Incorporated Research Institutions for Seismology Data Services (IRIS DS) MUSTANG quality control system. We compute high-frequency high and low noise baselines by matching the appropriate composite PSDPDF percentile points to NHNM and NLNM power levels at overlapping frequencies (1-10 Hz) and then extending to higher frequencies (10-100 Hz) with piecewise linear fits to the matching PSDPDF percentile. We find that the Peterson NLNM remains an accurate representation of the lower bound of global ambient Earth noise since it is matched by only 0.1% of Global Seismographic Network (GSN) PSDs. We present high-frequency high and low noise baselines intended primarily for use by temporary networks targeting high-frequency signals (e.g. monitoring of aftershocks or induced seismicity) based on statistics of PSDPDFs from all publicly available high-sample-rate data. Most publicly-available high-sample-rate data is recorded by temporary deployments, and the experiment design and scientific targets of these deployments strongly influence the observed statistical distribution of high-frequency noise. We anticipate that the noise baselines presented here will be useful in automated quality control of high-sample-rate seismic data. However, we note that establishing a low noise model that accurately represents the lowest possible ambient Earth noise at frequencies up to 100 Hz will require additional continuous high-sample-rate data from high-quality permanent stations in low-noise environments.

Bulletin of the Seismological Society of America↗

Rayleigh wave amplitude uncertainty across the Global Seismographic Network and potential implications for global tomography

The Global Seismographic Network (GSN) is a multiuse, globally distributed seismic network used by seismologists, to both characterize earthquakes and study the Earth’s interior. Most stations in the network have two collocated broadband seismometers, which enable network operators to identify potential metadata and sensor issues. In this study, we investigate the accuracy with which surface waves can be measured across the GSN, by comparing waveforms of vertical‐component Rayleigh waves from M w "> M w Mw 6 and larger events between collocated sensor pairs. We calculate both the amplitude deviation and correlation coefficient between waveforms at sensor pairs. In total, we make measurements on over 670,000 event–station pairs from events that occurred from 1 January 2010 to 1 January 2020. We find that the average sensor‐pair amplitude deviation, and, therefore, GSN calibration level, is, approximately, 4% in the 25–250 s period band. Although, we find little difference in sensor‐pair amplitude deviations as a function of period across the entire network, the amount of useable data decreases rapidly as a function of increasing period. For instance, we determined that just over 12% of records at 250 s period provided useable recordings (e.g., sensor‐pair amplitude deviations of less than 20% and sensor‐pair correlation greater than 0.95). We then use these amplitude‐estimate deviations to identify how data coverage and quality could be limiting our ability to invert for whole Earth 3D attenuation models. We find an increase in the variance of our attenuation models with increasing period. For example, our degree 12 attenuation inversion at 250 s period shows 32% more variance than our degree 12 attenuation model at 25 s. This indicates that discrepancies of deep‐mantle tomography between studies could be the result of these large uncertainties. Because these high uncertainties arise from limited, high‐quality observations of long‐period ( ⁠ > 100    s ">

Bulletin of the Seismological Society of America↗

Seismic tomography 2023

Seismic tomography is the most abundant source of information about the internal structure of the Earth at scales ranging from a few meters to thousands of kilometers. It constrains the properties of active volcanoes, earthquake fault zones, deep reservoirs and storage sites, glaciers and ice sheets, or the entire globe. It contributes to outstanding societal problems related to natural hazards, resource exploration, underground storage, and many more. The recent advances in seismic tomography are being translated to nondestructive testing, medical ultrasound, and helioseismology. Nearly 50 yr after its first successful applications, this article offers a snapshot of modern seismic tomography. Focused on major challenges and particularly promising research directions, it is intended to guide both Earth science professionals and early‐career scientists. The individual contributions by the coauthors provide diverse perspectives on topics that may at first seem disconnected but are closely tied together by a few coherent threads: multiparameter inversion for properties related to dynamic processes, data quality, and geographic coverage, uncertainty quantification that is useful for geologic interpretation, new formulations of tomographic inverse problems that address concrete geologic questions more directly, and the presentation and quantitative comparison of tomographic models. It remains to be seen which of these problems will be considered solved, solved to some extent, or practically unsolvable over the next decade.

Bulletin of the Seismological Society of America↗

A global catalog of calibrated earthquake locations

We produced a globally distributed catalog of earthquakes and nuclear explosions with calibrated hypocenters, referred to as the Global Catalog of Calibrated Earthquake Locations (GCCEL). This dataset currently contains 18,782 events in 289 clusters with >3.2 million arrival times observed at 19,258 stations. The term “calibrated” refers to the property that the hypocenters are minimally biased by unknown Earth structure. In addition, we calculate uncertainties using empirically determined variability of the arrival‐time data itself, specific to each calibrated cluster of hypocenters. Outliers in the arrival‐time dataset are removed based on measured variability of the data. In each cluster, we estimate the empirically determined uncertainty for each set of station‐phase arrival times. We use a version of the hypocentroidal decomposition multiple event relocation algorithm specifically adapted for calibrated relocations of clusters of seismic events. Most clusters are calibrated by fitting the subset of direct crustal first arrivals ( Pg and Sg ) with a locally appropriate travel‐time model to estimate the cluster hypocentroid. A few clusters are calibrated by aligning the pattern of relative locations in space and time with one or more events for which a ground‐truth hypocenter is available from an independent source with known uncertainty, such as a nuclear explosion. Epicentral uncertainties in GCCEL typically range from 1 to 5 km with a 90% confidence interval. Most events have depth constraint from one or more sources, usually with an uncertainty of ≤5 km. GCCEL is a significant resource for research at local, regional, and global scales because it provides minimally biased absolute hypocenters, meaningful associated error estimates, and curated arrival times as a reference dataset that can be used as prior constraints in the development of new regional, national, and global earthquake catalogs; validation of new location techniques; and the generation of advanced Earth models.

Seismological Research Letters↗

Shallow fault slip of the 2020 M5.1 Sparta, North Carolina, earthquake

The 2020 M 5.1 Sparta, North Carolina, earthquake is the largest in the eastern United States since the 2011 M 5.8 Mineral, Virginia, earthquake and produced a ∼2.5‐km‐long surface rupture, unusual for an event of this magnitude. A geological field study conducted soon after the event indicates oblique slip along a east‐southeast‐trending fault with a consistently observed thrust component. My analysis of regional seismic waveforms, Interferometric Synthetic Aperture Radar, and Global Positioning System survey data yields a compact shallow rupture extending from Earth’s surface down‐dip to the southwest over a ∼3 km fault length. The inferred kinematic rupture is primarily toward the up‐dip and eastward along‐strike directions and has predominantly thrust motion in the west, transitioning to roughly equal thrust and left‐lateral strike‐slip motion in the east. No normal faulting component, as proposed in an earlier geophysical study, is necessary to explain the data. The prevalence of only dip‐slip motions observed at Earth’s surface may demand slip partitioning between dip slip and lateral motions at depth.

North Carolina, Virginia, West Virginia↗

Determination of elastic wave velocity and relative hypocenter locations using refracted waves. I. Methodology

An arrival time difference method utilizing refracted arrivals from earthquakes in a homogeneous, layered earth model has been developed for the simultaneous determination of near-source (in situ) velocity and relative locations of earthquakes. The method is particularly applicable when analyzing data from arrays in which most of the recording stations are far (i.e., several focal depths) from a group of events. This iterative scheme locates earthquakes relative to a master event and performs an inversion for in situ velocity using a generalized inverseleast squares estimation procedure. Direct arrivals, when available, may be included to stabilize the inversion and increase the accuracy of the event locations. We tested this scheme on artificial data contaminated by random and systematic arrival time errors, gaps in azimuthal coverage, and inaccuracies in the assumed velocity model. As usual, depth is the least well-resolved hypocenter coordinate, but this scheme yielded accurate locations of most events while converging to the correct velocity model.

Bulletin of the Seismological Society of America↗

Effects of three-dimensional velocity structure on the seismicity of the 1984 Morgan Hill, California, aftershock sequence

A three-dimensional velocity model for the area surrounding the 24 April 1984 Morgan Hill earthquake has been developed by simultaneously inverting local earthquake and refraction arrival-time data. This velocity model corresponds well to the surface geology of the region, predominantly showing a low-velocity region associated with the sedimentary sequence to the southwest of the Madrone Springs fault. This low-velocity sequence extends to a depth of approximately 5 km. Previously constructed geologic cross-sections for this region had suggested that these sediments extended to a depth of less than 2 km. Relocation of 2,179 hypocenters with the three-dimensional velocity model did not show great differences when compared to locations done with a one-dimensional velocity model with station corrections. In both cases, the Calaveras fault is steep but has a noticeable dip to the northeast and the seismicity does not intersect the surface along the trace of the Calaveras fault in the southern half of the rupture zone. The greatest differences between the two sets of locations was that the locations using the three-dimensional velocity model were deeper, and fewer earthquakes were located within the low-velocity region. The focal mechanisms were also determined for 946 earthquakes using both the one-dimensional and three-dimensional earth models. Both earth models yield similar focal mechanisms for these earthquakes.

California↗

On the use of volumetric strain meters to infer additional characteristics of short-period seismic radiation

Volumetric strain meters (Sacks-Evertson design) are installed at 15 sites along the San Andreas fault system, to monitor long-term strain changes for earthquake prediction. Deployment of portable broadband, high-resolution digital recorders (GEOS) at several of the sites extends the detection band for volumetric strain to periods shorter than 5 × 10 −2 sec and permits the simultaneous observation of seismic radiation fields using conventional short-period pendulum seismometers. Simultaneous observations establish that the strain detection bandwidth extends from periods greater than 10 7 seconds to periods near 5 × 10 −2 sec with a dynamic range exceeding 140 dB. Measurements of earth-strain noise for the period band, 10 7 to 10 −2 sec, show that ground noise, not instrument noise, currently limits the measurement of strain over a bandwidth of more than eight orders of magnitude in period. Comparison of the short-period portion of earth-strain, noise spectra (20 to 5 × 10 −2 sec) with average spectra determined from pendulum seismometers, suggest that observed noise is predominantly dilatational energy. Recordings of local and regional earthquakes indicate that dilatometers respond to P energy but not direct shear energy and that straingrams can be used to resolve superimposed reflected P and S waves for inference of wave characteristics not permitted by either sensor alone. Simultaneous measurements of incident P - and S -wave amplitudes are used to introduce a technique for single-station estimates of wave field inhomogeneity, free-surface reflection coefficients and local material P velocity. Estimates of these parameters derived for the North Palm Springs earthquake ( M w 5.9) respectively for an incident P wave of 29° are −85°, 1.71, 2.9 km/sec, and for an incident S wave of 17° are 79°, 0.85, 2.9 km/sec. The empirical estimates of reflection coefficients are consistent with model estimates derived using an anelastic half-space model with incident inhomogeneous wave fields.

California↗

Global teleseismic earthquake relocation with improved travel times and procedures for depth determination

We relocate nearly 100,000 events that occurred during the period 1964 to 1995 and are well-constrained teleseismically by arrival-time data reported to the International Seismological Centre ( ISC ) and to the U.S. Geological Survey's National Earthquake Information Center ( NEIC ). Hypocenter determination is significantly improved by using, in addition to regional and teleseismic P and S phases, the arrival times of PKiKP, PKPdf , and the teleseismic depth phases pP, pwP , and sP in the relocation procedure. A global probability model developed for later-arriving phases is used to independently identify the depth phases. The relocations are compared to hypocenters reported in the ISC and NEIC catalogs and by other sources. Differences in our epicenters with respect to ISC and NEIC estimates are generally small and regionally systematic due to the combined effects of the observing station network and plate geometry regionally, differences in upper mantle travel times between the reference earth models used, and the use of later-arriving phases. Focal depths are improved substantially over most other independent estimates, demonstrating (for example) how regional structures such as downgoing slabs can severely bias depth estimation when only regional and teleseismic P arrivals are used to determine the hypocenter. The new data base, which is complete to about Mw 5.2 and includes all events for which moment-tensor solutions are available, has immediate application to high-resolution definition of Wadati-Benioff Zones ( WBZ s) worldwide, regional and global tomographic imaging, and other studies of earth structure.

Bulletin of the Seismological Society of America↗

Rapid distribution of earthquake information for everybody

No matter who you are, seismologist or regular person on the street, when you feel the Earth move you want to know what's going on. Was it an earthquake? Where was the earthquake? How big was it? As a grad student, many moons ago, when the Earth moved, the Electronic Seismologist (ES) was known to immediately turn on the “AM/FM-Automatic-Earthquake-Locator.” Before the seismograms could be pulled off the photographic drums, developed, and read and an “official” hypocenter determined (using a large map and a piece of string to swing arcs), the radio would usually have reported a location. Individuals feeling the earthquake would have called radio and TV stations (not to mention the police, newspapers, and sometimes the seismograph station), reported feeling something, and described what it was like. Reporters taking these calls got pretty good at estimating roughly where the event was, and they sometimes came up with a fairly good estimate of the magnitude. This seat-of-the-pants radio-seismology is fast becoming a lost art. Reporters now race to their computers and point their Web browsers at the nearest seismic network where they can count on finding, within minutes, an automatic but “official” location and magnitude for the earthquake.

Seismological Research Letters↗

Ground ruptures attributed to groundwater overexploitation damaging Jocotepec city in Jalisco, Mexico: 2016 field excursion of IGCP-641

IGCP Project 641 (Mechanisms, Monitoring and Modeling Earth Fissure generation and Fault activation due to subsurface Fluid exploitation – M3EF3) held its second international workshop from November 2 to 6, 2016, in Puerto Vallarta and included a two-day field trip to Guadalajara and Jocotepec in the Mexican state of Jalisco (Fig. 1a). M3EF3 is aimed at i) understanding the mechanisms that cause the formation of “ground ruptures”, as a response to changes in the stress state in the subsoil, ii) monitoring their occurrence, and iii) developing appropriate approaches to model their formation and growth. Notice that many times it is difficult to discern whether a particular instance of a “ruptured” land surface is due to an earth fissure with a surface manifestation or a surface failure associated with the activation of a pre-existing fault, especially where a fault has not been mapped and where there is no obvious scarp. Therefore, in M3EF3 we preferred to use the term “ground rupture”, to refer to both such occurrences.

Jalisco↗

Effects of biodiversity on ecosystem functioning: a consensus of current knowledge

Humans are altering the composition of biological communities through a variety of activities that increase rates of species invasions and species extinctions, at all scales, from local to global. These changes in components of the Earth's biodiversity cause concern for ethical and aesthetic reasons, but they also have a strong potential to alter ecosystem properties and the goods and services they provide to humanity. Ecological experiments, observations, and theoretical developments show that ecosystem properties depend greatly on biodiversity in terms of the functional characteristics of organisms present in the ecosystem and the distribution and abundance of those organisms over space and time. Species effects act in concert with the effects of climate, resource availability, and disturbance regimes in influencing ecosystem properties. Human activities can modify all of the above factors; here we focus on modification of these biotic controls. The scientific community has come to a broad consensus on many aspects of the relationship between biodiversity and ecosystem functioning, including many points relevant to management of ecosystems. Further progress will require integration of knowledge about biotic and abiotic controls on ecosystem properties, how ecological communities are structured, and the forces driving species extinctions and invasions. To strengthen links to policy and management, we also need to integrate our ecological knowledge with understanding of the social and economic constraints of potential management practices. Understanding this complexity, while taking strong steps to minimize current losses of species, is necessary for responsible management of Earth's ecosystems and the diverse biota they contain. Based on our review of the scientific literature, we are certain of the following conclusions: 1) Species' functional characteristics strongly influence ecosystem properties. Functional characteristics operate in a variety of contexts, including effects of dominant species, keystone species, ecological engineers, and interactions among species (e.g., competition, facilitation, mutualism, disease, and predation). Relative abundance alone is not always a good predictor of the ecosystem-level importance of a species, as even relatively rare species (e.g., a keystone predator) can strongly influence pathways of energy and material flows. 2) Alteration of biota in ecosystems via species invasions and extinctions caused by human activities has altered ecosystem goods and services in many well-documented cases. Many of these changes are difficult, expensive, or impossible to reverse or fix with technological solutions. 3) The effects of species loss or changes in composition, and the mechanisms by which the effects manifest themselves, can differ among ecosystem properties, ecosystem types, and pathways of potential community change. 4) Some ecosystem properties are initially insensitive to species loss because (a) ecosystems may have multiple species that carry out similar functional roles, (b) some species may contribute relatively little to ecosystem properties, or (c) properties may be primarily controlled by abiotic environmental conditions. 5) More species are needed to insure a stable supply of ecosystem goods and services as spatial and temporal variability increases, which typically occurs as longer time periods and larger areas are considered. We have high confidence in the following conclusions: 1) Certain combinations of species are complementary in their patterns of resource use and can increase average rates of productivity and nutrient retention. At the same time, environmental conditions can influence the importance of complementarity in structuring communities. Identification of which and how many species act in a complementary way in complex communities is just beginning. 2) Susceptibility to invasion by exotic species is strongly influenced by species composition and, under similar environmental conditions, generally decreases with increasing species richness. However, several other factors, such as propagule pressure, disturbance regime, and resource availability also strongly influence invasion success and often override effects of species richness in comparisons across different sites or ecosystems. 3) Having a range of species that respond differently to different environmental perturbations can stabilize ecosystem process rates in response to disturbances and variation in abiotic conditions. Using practices that maintain a diversity of organisms of different functional effect and functional response types will help preserve a range of management options. Uncertainties remain and further research is necessary in the following areas: 1) Further resolution of the relationships among taxonomic diversity, functional diversity, and community structure is important for identifying mechanisms of biodiversity effects. 2) Multiple trophic levels are common to ecosystems but have been understudied in biodiversity/ecosystem functioning research. The response of ecosystem properties to varying composition and diversity of consumer organisms is much more complex than responses seen in experiments that vary only the diversity of primary producers. 3) Theoretical work on stability has outpaced experimental work, especially field research. We need long-term experiments to be able to assess temporal stability, as well as experimental perturbations to assess response to and recovery from a variety of disturbances. Design and analysis of such experiments must account for several factors that covary with species diversity. 4) Because biodiversity both responds to and influences ecosystem properties, understanding the feedbacks involved is necessary to integrate results from experimental communities with patterns seen at broader scales. Likely patterns of extinction and invasion need to be linked to different drivers of global change, the forces that structure communities, and controls on ecosystem properties for the development of effective management and conservation strategies. 5) This paper focuses primarily on terrestrial systems, with some coverage of freshwater systems, because that is where most empirical and theoretical study has focused. While the fundamental principles described here should apply to marine systems, further study of that realm is necessary. Despite some uncertainties about the mechanisms and circumstances under which diversity influences ecosystem properties, incorporating diversity effects into policy and management is essential, especially in making decisions involving large temporal and spatial scales. Sacrificing those aspects of ecosystems that are difficult or impossible to reconstruct, such as diversity, simply because we are not yet certain about the extent and mechanisms by which they affect ecosystem properties, will restrict future management options even further. It is incumbent upon ecologists to communicate this need, and the values that can derive from such a perspective, to those charged with economic and policy decision-making.

Ecological Monographs↗

Arctic climate change and its impacts on the ecology of the North Atlantic

Arctic climate change from the Paleocene epoch to the present is reconstructed with the objective of assessing its recent and future impacts on the ecology of the North Atlantic. A recurring theme in Earth's paleoclimate record is the importance of the Arctic atmosphere, ocean, and cryosphere in regulating global climate on a variety of spatial and temporal scales. A second recurring theme in this record is the importance of freshwater export from the Arctic in regulating global- to basin-scale ocean circulation patterns and climate. Since the 1970s, historically unprecedented changes have been observed in the Arctic as climate warming has increased precipitation, river discharge, and glacial as well as sea-ice melting. In addition, modal shifts in the atmosphere have altered Arctic Ocean circulation patterns and the export of freshwater into the North Atlantic. The combination of these processes has resulted in variable patterns of freshwater export from the Arctic Ocean and the emergence of salinity anomalies that have periodically freshened waters in the North Atlantic. Since the early 1990s, changes in Arctic Ocean circulation patterns and freshwater export have been associated with two types of ecological responses in the North Atlantic. The first of these responses has been an ongoing series of biogeographic range expansions by boreal plankton, including renewal of the trans-Arctic exchanges of Pacific species with the Atlantic. The second response was a dramatic regime shift in the shelf ecosystems of the Northwest Atlantic that occurred during the early 1990s. This regime shift resulted from freshening and stratification of the shelf waters, which in turn could be linked to changes in the abundances and seasonal cycles of phytoplankton, zooplankton, and higher trophic-level consumer populations. It is predicted that the recently observed ecological responses to Arctic climate change in the North Atlantic will continue into the near future if current trends in sea ice, freshwater export, and surface ocean salinity continue. It is more difficult to predict ecological responses to abrupt climate change in the more distant future as tipping points in the Earth's climate system are exceeded.

Ecology↗

Duststones on Mars: Source, transport, deposition and erosion

Dust is an abundant material on Mars, and there is strong evidence that it is a contributor to the rock record as “duststone,” analogous in many ways to loess on Earth. Although a common suite of dust formation mechanisms has operated on the two planets, fundamental differences in environments and geologic histories have resulted in vastly different weighting functions, causing distinct depositional styles and erosional mechanisms. On Earth, dust is derived predominantly from glacial grinding and, in nonglacial environments, by other processes, such as volcanism, eolian abrasion, and fluvial comminution. Hydrological and biological processes convert dust accumulations to loess deposits. Active hydrology also acts to clean dust from the atmosphere and convert loess into soil or erode it entirely. On Mars, glacial production of dust has been minor, with most fine particles probably produced from ancient volcanic, impact, and fluvial processes. Dust is deposited under arid conditions in which aggregate growth and cementation are the stabilizing agents. Thick accumulations result in duststone.

SEPM Special Publication↗

Automatic delineation of seacliff limits using lidar-derived high-resolution DEMs in southern California

Seacliff erosion is a serious hazard with implications for coastal management and is often estimated using successive hand-digitized cliff tops or bases (toe) to assess cliff retreat. Even if efforts are made to standardize manual digitizing and eliminate subjectivity, the delineation of cliffs is time-consuming and depends on the analyst's interpretation. An automatic procedure is proposed to extract cliff edges from high-resolution lidar-derived bare-earth digital elevation models, generalized coastal shoreline vectors, and approximate measurements of distance between the shoreline and the cliff top. The method generates orthogonal transects and profiles with a minimum spacing equal to the digital elevation model resolution. The method also extracts the xyz coordinates for each profile for the cliff top and toe, as well as second major inflections along the profile. Over 75% of the automated cliff top points and 78% of the toe automated points are within 95% confidence interval of the hand-digitized top and toe lines, and over 79% of the digitized top points and 84% of the digitized toe points are within the 95% confidence interval of the automated top and toe lines along a stretch of coast in Del Mar, California. Outlier errors were caused by either the failure to remove all vegetation from the bare-earth digital elevation model or errors of interpretation. The automatic method was further applied between Point Conception and Los Angeles Harbor, California. This automatic method is repeatable, takes advantage of detailed topographic information within high-resolution digital elevation models, and is more efficient than hand-digitizing.

California↗

Uranium in pegmatites

Uranium and rare-earth minerals are common accessory minerals in pegmatite deposits. No domestic pegmatites have been found that are rich enough to support an economic mining operation for uranium alone; however, small quantities of uranium minerals may be recovered as by-products of feldspar or mica mining. Madagascar is the only country that has produced appreciable tonnages of uranium minerals from pegmatites.A review of the literature and observations in the domestic pegmatite districts show that the uranium and rare earth minerals generally occur in pegmatites or pegmatite units rich in potash feldspar. Recent mineralogical and structural studies of pegmatites by the U. S. Geological Survey indicate that, on the basis of geologic mapping, these units can be projected laterally and in depth with reasonable accuracy. In most places the mineral content of these units can be estimated with sufficient accuracy for development purposes.

New Mexico↗

The road to Yucca Mountain—Evolution of nuclear waste disposal in the United States

The generation of electricity by nuclear power and the manufacturing of atomic weapons have created a large amount of spent nuclear fuel and high-level radioactive waste. There is a world-wide consensus that the best way to protect mankind and the environment is to dispose of this waste in a deep geologic repository. Initial efforts focused on salt as the best medium for disposal, but the heat generated by the radioactive waste led many earth scientists to examine other rock types. In 1976, the director of the U.S. Geological Survey (USGS) wrote to the U.S. Energy Research and Development Administration (ERDA), predecessor agency of the U.S. Department of Energy (DOE), suggesting that there were several favorable environments at the Nevada Test Site (NTS), and that the USGS already had extensive background information on the NTS. Later, in a series of communications and one publication, the USGS espoused the favorability of the thick unsaturated zone. After the passage of the Nuclear Waste Policy Act (1982), the DOE compiled a list of nine favorable sites and settled on three to be characterized. In 1987, as the costs of characterizing three sites ballooned, Congress amended the Nuclear Waste Policy Act directing the DOE to focus only on Yucca Mountain in Nevada, with the proviso that if anything unfavorable was discovered, work would stop immediately. The U.S. DOE, the U.S. DOE national laboratories, and the USGS developed more than 100 detailed plans to study various earth-science aspects of Yucca Mountain and the surrounding area, as well as materials studies and engineering projects needed for a mined geologic repository. The work, which cost more than 10 billion dollars and required hundreds of man-years of work, culminated in a license application submitted to the U.S. Nuclear Regulatory Commission (NRC) in 2008.

Environmental & Engineering Geoscience↗