Search USGSSearch

SEARCH · Search USGS

Results for “Review of Geophysics”

Search indexed USGS publications on groundwater, aquifers, geologic maps, mineral resources and earthquakes. Explore source records by subject and place.

Quote a phrase for an exact phrase match. Source license links do not imply unrestricted reuse.

At least 181 records · Page 10Linked to original sources

Tectonic stresses in the lithosphere: constraints provided by the experimental deformation of rocks.

The strengths of rocks clearly place an upper limit on the stress that can be sustained by the upper half of the lithosphere. Laboratory data on rock rheology are generally lacking at intermediate temperatures and pressures on the important rock types expected in the lithosphere, so a definitive accounting of the strength distribution with depth in the upper lithosphere is presently unattainable. Analogies are drawn between the fragmentary strength data on silicates at intermediate temperature and the more extensive experimental data on marble and limestone, and several tentative conclusions are drawn: First, brittle processes, such as faulting and cataclasis, are expected to control rock strength at low pressures and temperatures. The strengths associated with these brittle mechanisms increase rapidly with increasing effective pressure and are relatively insensitive to temperature and strain rate. Second, the transitions between brittle and ductile processes occur at critical values of the least principal stress σ 3 . I suggest that the concept of the deformation mechanism map of Ashby (1972) be extended to brittle-ductile transitions by normalizing the applied differential stress σ by σ 3 , i.e., the transitions occur at critical values of σ/σ 3 . Third, the high temperature flow law of olivine, widely applied to problems involving flow in the asthenosphere, is inappropriate to the conditions of temperature found in the lithosphere, because different dislocation flow mechanisms dominate at low to intermediate temperatures. The fragmentary rheological data suggest the following rheological structure of the lithosphere where it is inelastically deforming: A rapid pressure-driven increase in rock strength with depth culminates with a shear strength maximum of up to 8 kbar at depths that depend on the state of stress and on the temperature distribution. A review of the mechanisms of weakening associated with water suggests that water weakening effects are probably not important in the oceanic lithosphere but are likely to be controlling in the continental crust.

Journal of Geophysical Research Solid Earth

Sediment sources and connectivity linked to hydrologic pathways and geomorphic processes: A conceptual model to specify sediment sources and pathways through space and time

Sediment connectivity is a conceptualization for the transfer and storage of sediment among different geomorphic compartments across upland landscapes and channel networks. Sediment connectivity and dysconnectivity are linked to the water cycle and hydrologic systems with the associated multiscale interactions with climate, soil, topography, ecology, and landuse/landcover under natural variability and human intervention. We review current sediment connectivity and modeling approaches evaluating and quantifying water and sediment transfer in catchment systems. Many studies highlight the interaction between sediment and water in defining landscape connectivity, but many efforts to quantify and/or simulate sediment connectivity rely on the topographic/structural controls on sediment erosion and delivery. More recent modeling efforts integrate functional and structural connectivity to capture hydrologic properties influencing sediment delivery. Though the recent modeling development is encouraging, a comprehensive sediment connectivity framework, which integrates geomorphic and hydrologic processes across spatiotemporal scales, has not yet been accomplished. Such an effort requires understanding the hydrologic and geomorphic processes that control sediment source, storage, and transport at different spatiotemporal scales and across various geophysical conditions. We propose a path for developing this new understanding through an integrated hydrologic and sediment connectivity conceptual model that broadly categorizes dominant processes and patterns relevant to understanding sediment flux dynamics. The conceptual model describes hydrologic–sediment connectivity regimes through spatial-temporal feedback between hydrologic processes and geomorphic drivers. We propose that in combining hydrologic and sediment connectivity into a single conceptual model, patterns emerge such that catchments will exist in a single characteristic behavior at a particular instance, which would shift with space and time, and with landscape disturbances. Using the conceptual model as a “thinking” tool, we extract case studies from a multidisciplinary literature review—from hydrology, geomorphology, biogeochemistry, and watershed modeling to remote-sensing technology—that correspond to each of the dominant hydrologic–sediment connectivity regimes. Sediment and water interactions in real-world examples through various observational and modeling techniques illustrate the advancements in the spatial and temporal scales of landscape connectivity observations and simulations. The conceptual model and case studies provide a foundation for advancing the understanding and predictive capability of watershed sediment processes at multiple spatiotemporal scales. Plain language summary: Soil erosion and movement across the landscape are closely linked to rain events and flow pathways. Landscape connectivity is a way to consider how soil erosion from different parts of the landscape is connected to the streams. We explore where soil erosion occurs and how eroded soil moves across the landscape through the interaction with rainfall and drainage. The comprehensive understanding of sediment connectivity and its dependence on rainfall characteristics and watershed hydrology may help to inform the effective distribution of conservation funds and management actions to address water pollution from excess sediment.

Frontiers in Water

Volcanological applications of unoccupied aircraft systems (UAS): Developments, strategies, and future challenges

Unoccupied aircraft systems (UAS) are developing into fundamental tools for tackling the grand challenges in volcanology; here, we review the systems used and their diverse applications. UAS can typically provide image and topographic data at two orders of magnitude better spatial resolution than space-based remote sensing, and close-range observations at temporal resolutions down to those of video frame rates. Responsive deployments facilitate dense time-series measurements, unique opportunities for geophysical surveys, sample collection from hostile environments such as volcanic plumes and crater lakes, and emergency deployment of ground-based sensors (and robots) into hazardous regions. UAS have already been used to support hazard management and decision-makers during eruptive crises. As technologies advance, increased system capabilities, autonomy and availability, supported by more diverse and lighter-weight sensors, will offer unparalleled potential for hazard monitoring. UAS are expected to provide opportunities for pivotal advances in our understanding of complex physical and chemical volcanic processes.

Volcanica

A review of crust and upper mantle structure studies of the Snake River Plain-Yellowstone volcanic system: A major lithospheric anomaly in the western U.S.A.

The Snake River Plain-Yellowstone volcanic system is one of the largest, basaltic, volcanic field in the world. Here, there is clear evidence for northeasterly progression of rhyolitic volcanism with its present position in Yellowstone. Many theories have been advanced for the origin of the Snake River Plain-Yellowstone system. Yellowstone and Eastern Snake River Plain have been studied intensively using various geophysical techniques. Some sparse geophysical data are available for the Western Snake River Plain as well. Teleseismic data show the presence of a large anomalous body with low P- and S-wave velocities in the crust and upper mantle under the Yellowstone caldera. A similar body in which compressional wave velocity is lower than in the surrounding rock is present under the Eastern Snake River Plain. No data on upper mantle anomalies are available for the Western Snake River Plain. Detailed seismic refraction data for the Eastern Snake River Plain show strong lateral heterogeneities and suggest thinning of the granitic crust from below by mafic intrusion. Available data for the Western Snake River Plain also show similar thinning of the upper crust and its replacement by mafic material. The seismic refraction results in Yellowstone show no evidence of the low-velocity anomalies in the lower crust suggested by teleseismic P-delay data and interpreted as due to extensive partial melting. However, the seismic refraction models indicate lower-than-normal velocities and strong lateral inhomogeneities in the upper crust. Particularly obvious in the refraction data are two regions of very low seismic velocities near the Mallard Eake and Sour Creek resurgent domes in the Yellowstone caldera. The low-velocity body near the Sour Creek resurgent dome is interpreted as partially molten rock. Together with other geophysical and thermal data, the seismic results indicate that a sub-lithospheric thermal anomaly is responsible for the time-progressive volcanism along the Eastern Snake River Plain. However, the exact mechanism responsible for the volcanism and details of magma storage and migration are not yet fully understood.

California, Idaho, Montana, Nevada, Oregon, Washin

A conceptual framework for estimation of initial emergency food and water resource requirements in disasters

Many households lack the necessary food and water supplies to sustain themselves for more than three days during a disaster. Community vulnerability assessments can be used to identify households with more pressing needs for emergency food and water resources. It is critical that these assessments include the interaction between physical impacts to lifeline infrastructure and the social vulnerabilities of food and water insecurity to prioritize, allocate, and distribute emergency resources. In this paper, we review and synthesize relevant literature to propose a new multidisciplinary conceptual framework of community vulnerability assessment for estimating initial emergency food and water resource requirements in a developed country. Using the framework as a guide, we illustrate its practical application through a simplified, deterministic model of initial resource requirements in disaster response, and offer a quantitative, comprehensive description of its application within the geophysical hazard context of the “ShakeOut” scenario—a major M w 7.8 earthquake on California's San Andreas fault , occurring within the Los Angeles Basin, CA (USA) region. Model results estimate that 999,027 households (2,947,130 residents) will require initial emergency food and water resource requirements. Estimates include about 6 million meals and 9 million liters of water, concentrated in Lancaster-Palmdale, El Monte-Baldwin Park, East Los Angeles-Downey in Los Angeles County, the Coachella Valley (Riverside County), and in populated areas of San Bernardino County. A sensitivity analysis of social vulnerability interactions with utility service outages investigates the influence of food insecurity on the amplification of resource needs. This study establishes fundamental knowledge at the nexus of natural hazards, critical infrastructure disruptions, and social vulnerability by providing initial estimates of emergency resource demand while advancing the understanding of social inequity in emergency resource access.

International Journal of Disaster Risk Reduction

A practical, low-noise coil system for magnetotellurics

Magnetotellurics is a geophysical technique which was developed by Cagnaird (1953) and Tikhonov (1950) and later refined by other scientists worldwide. The technique is a method of electromagnetic sounding of the Earth and is based upon the skin depth effect in conductive media. The electric and magnetic fields arising from natural sources are measured at the surface of the earth over broad frequency bands. An excellent review of the technique is provided in the paper by Vozoff (1972). The sources of the natural fields are found in two basic mechanisms. At frequencies above a few hertz, most of the energy arises from lightning in thunderstorm belts around the equatorial regions. This energy is propagated in a wave-guide formed by the earthionospheric cavity. Energy levels are higher at fundamental modes for this cavity, but sufficient energy exists over most of the audio range to be useful for sounding at these frequencies, in which case the technique is generally referred to as audio-magnetotellurics or AMT. At frequencies lower than audio, and in general below 1 Hz, the source of naturally occuring electromagnetic energy is found in ionospheric currents. Current systems flowing in the ionosphere generate EM waves which can be used in sounding of the earth. These fields generate a relatively complete spectrum of electromagnetic energy that extends from around 1 Hz to periods of one day. Figure 1 shows an amplitude spectrum characteristic of both the ionospheric and lightning sources, covering a frequency range from 0.0001 Hz to 1000 Hz. It can be seen that there is a minimum in signal levels that occurs at about 1 Hz, in the gap between the two sources, and that signal level increases with a decrease in frequency.

Open-File Report

Characteristic analysis-1981: Final program and a possible discovery

The latest ornewest version of thecharacteristicanalysis (NCHARAN)computer program offers the exploration geologist a wide variety of options for integrating regionalized multivariate data. The options include the selection of regional cells for characterizing deposit models, the selection of variables that constitute the models, and the choice of logical combinations of variables that best represent these models. Moreover, the program provides for the display of results which, in turn, makes possible review, reselection, and refinement of a model. Most important, the performance of the above-mentioned steps in an interactive computing mode can result in a timely and meaningful interpretation of the data available to the exploration geologist. The most recent application of characteristic analysis has resulted in the possible discovery of economic sulfide mineralization in the Grong area in central Norway. Exploration data for 27 geophysical, geological, and geochemical variables were used to construct a mineralized and a lithogeochemical model for an area that contained a known massive sulfide deposit. The models were applied to exploration data collected from the Gjersvik area in the Grong mining district and resulted in the identification of two localities of possible mineralization. Detailed field examination revealed the presence of a sulfide vein system and a partially inverted stratigraphic sequence indicating the possible presence of a massive sulfide deposit at depth. ?? 1983 Plenum Publishing Corporation.

Journal of the International Association for Mathe

Paleomagnetic data from the Coso Range, California and current status of the Cobb Mountain normal geomagnetic polarity event

Two basalt flows which erupted about 1.08 m.y. ago in the Coso Range, California, have normal magnetic polarity and thus provide additional evidence for the Cobb Mountain normal polarity event. A review of available data confirms that this event was of geomagnetic origin. A mean age of 1.10 ± 0.02 m.y. B.P. for the Cobb Mountain normal polarity event was found to best fit all available radiometric and geologic data.

California

Hydrologic investigations and a preliminary conceptual model of the groundwater system at North Penn Area 1 Superfund Site, Souderton, Montgomery County, Pennsylvania

The U.S. Geological Survey (USGS) conducted hydrogeologic investigations, reviewed existing data, and developed a preliminary conceptual model of the groundwater system as part of technical support of the U.S. Environmental Protection Agency (EPA) at the North Penn Area 1 Superfund Site (hereafter, the NP1 Site) located within the Borough of Souderton in Montgomery County, Pennsylvania. Field work and monitoring took place during 2012–18. The area is underlain by sedimentary formations that form a fractured-rock aquifer used for drinking water and industrial supply. The EPA placed the Site on the National Priorities List in 1989, identifying tetrachloroethylene (PCE) and trichloroethylene (TCE) as contaminants of concern. During 2012–18, the USGS conducted field activities that included drilling an 82-foot (ft)-deep monitoring well (MG 2220) in 2016, reconstructing a 208-ft-deep former industrial production well (MG 668 [Granite Knitting Mill]), and collecting borehole geophysical and video logs and water levels from those and five additional wells, which ranged in depth from about 50 to 200 ft below land surface. Continuous water levels were collected during 2014–17, and a synoptic set of water levels were measured in April 2018 in the seven wells. The borehole geophysical logs (caliper, acoustic televiewer, natural gamma, single-point resistance, vertical flow, and fluid temperature and resistivity) and borehole video logs in the seven wells were evaluated to assess potential for lithologic correlation and to identify and describe water-bearing features, which included both low- and high-angle fractures and other openings oriented along dipping bedding planes, joints, or possible faults. Borehole geophysical logs collected by USGS in 1992 in a 300-ft-deep former production well near the Site were also evaluated. Few to no distinctive features were identified on geophysical logs (natural gamma and single-point resistance) that could be used for correlation, thus limiting this approach to determining local geologic structure. Extensive fracturing in the upper 62 ft of monitoring well MG 2220 indicates that the well was likely drilled through a zone of faulting, and other evidence of faulting is present in the area near the Site. Assessment of continuous water levels showed hydraulic connections among some wells as indicated by rising or falling water levels in response to changes in pumping rates at nearby wells. A map of water levels measured in April 2018 indicates potential for groundwater flow generally toward the stream to the south and southwest of the Site, but the limited water-level data are insufficient to describe vertical groundwater gradients or lateral gradients in any detail. Review of 1999–2022 volatile organic compound (VOC) monitoring data collected by the Pennsylvania Department of Environmental Protection for five monitoring wells indicates that the highest groundwater concentrations of PCE and TCE were found in samples from extraction well MG 2201 (S-1) downgradient from, and nearest to, the previously identified Site contaminant source area, and these concentrations fluctuated through time. PCE concentrations were higher than TCE concentrations in samples from all five monitoring wells and were much higher than TCE concentrations in samples from extraction well MG 2201 (S-1). Temporally variable recharge is a possible factor affecting observed fluctuations in PCE concentrations in groundwater samples from well extraction MG 2201 (S-1), as indicated by a general inverse relation between PCE concentrations and water levels in a nearby long-term observation well. The PCE concentration of 1,830 micrograms per liter (μg/L) in a May 2018 water sample from monitoring well MG 2220 was more than four times the PCE concentration of 444 μg/L in a December 2017 sample from the nearby extraction well MG 2201 (S-1), which is open to fewer fractures. Low concentrations of VOCs were measured in surface water at two stream sites downgradient from wells with the highest groundwater VOC concentrations at the Site, indicating that discharge of contaminated groundwater to the stream is likely. Development of a conceptual model of the groundwater system was constrained by limited data. In areas with no pumping, groundwater-flow directions generally are thought to be controlled by topography and geologic structure (bedding orientation) and likely to the south and southwest of the Site, with local flow directions affected by orientations of fractures, joints, and local faults. Additional investigations that could help improve the conceptual model of the groundwater system and help delineate the extent of groundwater contamination and its transport are discussed.

Pennsylvania

Late-kinematic timing of orogenic gold deposits and significance for computer-based exploration techniques with emphasis on the Yilgarn Block, Western Australia

Orogenic gold deposits are a widespread coherent group of epigenetic ore deposits that are sited in accretionary or collisional orogens. They formed over a large crustal-depth range from deep-seated low-salinity H 2 O–CO 2 ±CH 4 ±N 2 ore fluids and with Au transported as thio-complexes. Regional structures provide the main control on deposit distribution. In many terranes, first-order faults or shear zones appear to have controlled regional fluid flow, with greatest ore-fluid fluxes in, and adjacent to, lower-order faults, shear zones and/or large folds. Highly competent and/or chemically reactive rocks are the most common hosts to the larger deposits. Focusing of supralithostatic ore fluids into dilatant zones appears to occur late during the evolutionary history of the host terranes, normally within D 3 or D 4 in a D 1 –D 4 deformation sequence. Reactivation of suitably oriented pre-existing structures during a change in far-field stress orientation is a factor common to many deposits, and repeated reactivation may account for multiple mineralization episodes in some larger deposits. Absolute robust ages of mineralization support their late-kinematic timing, and, in general, suggest that deposits formed diachronously towards the end of the 100 to 200 m.y. long evolutionary history of hosting orogens. For example, in the Yilgarn Block, a region specifically emphasised in this study, orogenic gold deposits formed in the time interval between 40 and 90 m.y., with most about 60 to 70 m.y., after the youngest widespread basic-ultrabasic volcanism and towards the end of felsic magmatism. The late timing of orogenic gold deposits is pivotal to geologically-based exploration methodologies. This is because the present structural geometries of: (i) the deposits, (ii) the hosting goldfields, and (iii) the enclosing terranes are all essentially similar to those during gold mineralization, at least in their relative position to each other. Thus, interpretation of geological maps and cross-sections and three-dimensional models can be used to accurately simulate the physical conditions that existed at the time of ore deposition. It is particularly significant that the deposits are commonly related to repetitive and predictable geometries, such as structural heterogeneities within or adjacent to first-order structures, around rigid granitoid bodies, or in specific “locked-up” fold-thrust structures. Importantly, the two giant greenstone-hosted goldfields, Kalgoorlie and Timmins, show a remarkably similar geometry at the regional scale. Computer-based stress mapping and GIS-based prospectivity mapping are two computer-based quantitative methodologies that can utilize and take advantage of the late timing aspect of this deposit type to provide important geological aids in exploration, both in broad regions and more localized goldfields. Both require an accurate and consistent solid geology map, stress mapping requires knowledge of the far-field stresses during mineralization, and the empirical prospectivity mapping requires data from a significant number of known deposits in the terrane. The Kalgoorlie Terrane, in the Yilgarn Block, meets these criteria, and illustrates the potential of these methodologies in the exploration for orogenic gold deposits. Low minimum stress anomalies, interpreted to represent dilational zones during gold-related deformation, coincide well with the positions of known goldfields rather than individual gold deposits in the terrane, and there are additional as-yet unexplained anomalies. The prospectivity analysis confirms that predictable and repetitive factors controlling the siting of deposits are: (i) proximity to, and orientation and curvature of, granitoid-greenstone contacts, (ii) proximity to segments of crustal faults which strike in a preferred direction, (iii) proximity to specific lithological contacts which have similar preferred strike, (iv) proximity to anticlinal structures, and (v) the presence of preferred reactive host rocks (e.g., dolerite). The prospectivity map defines a series of anomalous areas, which broadly conform to those of the stress map (>78% correspondence). The most prospective category on this map covers less than 0.3% of the greenstone belts and yet hosts 16% of the known deposits, which have produced>80% of known gold. Thus, it discriminates in favour of the larger economically more-attractive deposits in the terrane. The successful application of stress mapping and prospectivity mapping to geology-based exploration for orogenic gold deposits indicates that more quantitative analysis of geological map data is a profitable line of research. The computer-based nature of these methodologies is ideal for the production of an ultimate, integrated, deposit target map, which can be compared to other, more conventional, targeting parameters such as geophysical and geochemical anomalies. Such an integrated strategy appears the way forward in the increasingly difficult task of cost-effective global exploration for orogenic gold deposits in poorly exposed terranes.

Western Australia

Report of Committee on Underground Waters, 1941–42

So many ground‐water hydrologists are engaged on problems relating directly to the war that the usual annual inquiry for information as to projects that deserve review in the annual report of the Committee on Underground Waters brought relatively little response. It is in part for this reason, but also in part because the Chairman of the Committee is busy on war problems, that this report is shorter than usual.

Eos, Transactions, American Geophysical Union

Chapter 3 - Phenomenology of tsunamis: Statistical properties from generation to runup

Observations related to tsunami generation, propagation, and runup are reviewed and described in a phenomenological framework. In the three coastal regimes considered (near-field broadside, near-field oblique, and far field), the observed maximum wave amplitude is associated with different parts of the tsunami wavefield. The maximum amplitude in the near-field broadside regime is most often associated with the direct arrival from the source, whereas in the near-field oblique regime, the maximum amplitude is most often associated with the propagation of edge waves. In the far field, the maximum amplitude is most often caused by the interaction of the tsunami coda that develops during basin-wide propagation and the nearshore response, including the excitation of edge waves, shelf modes, and resonance. Statistical distributions that describe tsunami observations are also reviewed, both in terms of spatial distributions, such as coseismic slip on the fault plane and near-field runup, and temporal distributions, such as wave amplitudes in the far field. In each case, fundamental theories of tsunami physics are heuristically used to explain the observations.

Advances in Geophysics

Introduction to special section: Stress triggers, stress shadows, and implications for seismic hazard

Many aspects of earthquake mechanics remain an enigma as we enter the closing years of the twentieth century. One potential bright spot is the realization that simple calculations of stress changes may explain some earthquake interactions, just as previous and on going studies of stress changes have begun to explain human-induced seismicity. This paper, which introduces the special section “Stress Triggers, Stress Shadows, and Implications for Seismic Hazard,” reviews many published works and presents a compilation of quantitative earthquake interaction studies from a stress change perspective. This synthesis supplies some clues about certain aspects of earthquake mechanics. It also demonstrates that much work remains before we can understand the complete story of how earthquakes work.

Journal of Geophysical Research B: Solid Earth

The periodic structure of the natural record, and nonlinear dynamics

Concepts of cyclicity in geology have involved many famous protagonists in the history of Earth sciences. Early in this century, sophisticated theories of terrestrial rhythms had been formulated by such pioneers as T. C. Chamberlin [1909], R. T. , Chamberlin [1914], Barrell [1917], Stille [1924], Joly [1925, 1930], Holmes [1926], Lull [1929], Schuchert [1932], Grabau [1940], and Umbgrove [1939 a,b, 1947] (see the review by Williams [1981]). The physical chemist S. Arrhenius [1908] had also formulated a general hypothesis for cosmological origins of terrestrial phenomena. Khain [1964] later proposed resonances between terrestrial and cosmological rhythms, and McCrea [1975] and Williams [1975] summarized evidence of galactic correlations with glaciation.

Eos, Transactions, American Geophysical Union

Quality-assurance plan for groundwater activities, U.S. Geological Survey, Washington Water Science Center

This report documents the standard procedures, policies, and field methods used by the U.S. Geological Survey’s (USGS) Washington Water Science Center staff for activities related to the collection, processing, analysis, storage, and publication of groundwater data. This groundwater quality-assurance plan changes through time to accommodate new methods and requirements developed by the Washington Water Science Center and the USGS Office of Groundwater. The plan is based largely on requirements and guidelines provided by the USGS Office of Groundwater, or the USGS Water Mission Area. Regular updates to this plan represent an integral part of the quality-assurance process. Because numerous policy memoranda have been issued by the Office of Groundwater since the previous groundwater quality assurance plan was written, this report is a substantial revision of the previous report, supplants it, and contains significant additional policies not covered in the previous report. This updated plan includes information related to the organization and responsibilities of USGS Washington Water Science Center staff, training, safety, project proposal development, project review procedures, data collection activities, data processing activities, report review procedures, and archiving of field data and interpretative information pertaining to groundwater flow models, borehole aquifer tests, and aquifer tests. Important updates from the previous groundwater quality assurance plan include: (1) procedures for documenting and archiving of groundwater flow models; (2) revisions to procedures and policies for the creation of sites in the Groundwater Site Inventory database; (3) adoption of new water-level forms to be used within the USGS Washington Water Science Center; (4) procedures for future creation of borehole geophysics, surface geophysics, and aquifer-test archives; and (5) use of the USGS Multi Optional Network Key Entry System software for entry of routine water-level data collected as part of long-term water-level monitoring networks.

Open-File Report

Electrical conductivity of the lithosphere-asthenosphere system

Electromagnetic geophysical methods image the electrical conductivity of the subsurface. Electrical conductivity is an intrinsic material property that is sensitive to temperature, composition, porosity, volatile and/or melt content, and other physical properties relevant to the solid Earth. Therefore, imaging the electrical structure of the crust and mantle yields valuable information on the physical and chemical state of the lithosphere-asthenosphere system. Here we explore the viability of the passive magnetotelluric (MT) method for constraining upper mantle properties. We approach this problem in four successive steps: 1) review the electrical conductivity behavior of relevant materials; 2) predict the bulk electrical conductivity structure of oceanic and continental lithosphere for a suite of representative physical states; 3) generate synthetic MT data from the conductivity predictions; 4) compare and discuss the conductivity predictions and the synthetic data with select case studies from oceanic and continental settings. Our aim is to clarify the uncertainties associated with drawing inferences from electrical conductivity observations and ultimately to provide a basis for assigning confidence levels to interpretations.

Physics of the Earth and Planetary Interiors

Spatial Databases of Geological, Geophysical, and Mineral Resource Data Relevant to Sandstone-Hosted Copper Deposits in Central Kazakhstan

Central Kazakhstan is host to one of the world's giant sandstone-hosted copper deposits, the Dzhezkazgan deposit, and several similar, smaller deposits. The United Stated Geological Survey (USGS) is assessing the potential for other, undiscovered deposits of this type in the surrounding region of central Kazakhstan. As part of this effort, Syusyura compiled and partially translated an array of mostly unpublished geologic, geophysical, and mineral resource data for this region in digital format from the archives of the former Union of Soviet Socialists Republics (of which Kazakhstan was one of the member republics until its dissolution in 1991), as well as from later archives of the Republic of Kazakhstan or of the Kazakhstan consulting firm Mining Economic Consulting (MEC). These digital data are primarily map-based displays of information that were transmitted either in ESRI ArcGIS, georeferenced format, or non-georeferenced map image files. Box and Wallis reviewed all the data, translated Cyrillic text where necessary, inspected the maps for consistency, georeferenced the unprojected map images, and reorganized the data into the filename and folder structure of this publication.

Open-File Report

Effects of highway deicing chemicals on shallow unconsolidated aquifers in Ohio — Final report

As a result of concerns about salt intrusion into drinking water aquifers, the effects of highway deicing chemicals on shallow aquifers were studied at eight locations in Ohio from 1988 through 2002. The study was done by the U.S. Geological Survey, in cooperation with the Ohio Department of Transportation and the Federal Highway Administration. Sites were selected along major undivided highways where drainage is by open ditches and ground-water flow is approximately perpendicular to the highway. Records of deicer application rates were kept, and apparent movement of deicing chemicals through shallow, unconsolidated aquifers was monitored by means of periodic measurements of specific conductance and concentrations of dissolved sodium, calcium, and chloride. The State routes monitored were the following: State Route (SR) 3 in Ashland County, SR 84 in Ashtabula County, SR 29 in Champaign County, SR 4 in Clark County, SR 2 in Lucas County, SR 104 in Pickaway County, SR 14 in Portage County, and SR 97 in Richland County. The study began in 1988 with background data collection, extensive literature review, and site selection. This process, including drilling of wells at numerous test sites and the eight selected sites, lasted 3 years. Routine groundwater sampling at 4- to 6-week intervals began in January 1991 and continued through September 1999. A multilevel, passive flow ground-water sampling device was constructed and used. Other conditions monitored on a regular basis included ground-water level (monitored continuously), specific conductance, air and soil temperature, precipitation,chloride concentration in soil samples, and deicing-chemical application times and rates. Evidence from water analysis, specific-conductance measurements, and surface-geophysical measurements indicates that three of the eight sites (Ashtabula County, Lucas County, and Portage County sites) were affected by direct application of deicing chemicals. Climatic data collected during the study show that cold weather, and therefore deicing-chemical application rates, varied from south to north across the State. As a consequence, only minor traces of dissolved chloride (mean, 24–43 mg/L (milligrams per liter)) above background concentrations (mean, 13–23 mg/L) were determined in ground-water samples from the southernmost sites (approximately 3930' to 40 N latitude—Champaign County, Clark County, and Pickaway County). At the Ashland and Richland County sites (approximately 4030' N latitude), dissolved-chloride concentrations increased above background concentrations only intermittently (mean background concentrations 4–41 mg/L, rising to a mean of 40–56 mg/L in downgradient wells). At the northernmost sites (41 30' to 42 N latitude—Lucas County, Portage County, and Ashtabula County), deicing-chemical application was consistent throughout the winter, and downgradient dissolved-chloride concentrations (mean, 124–345 mg/L) rarely returned to background concentrations (mean, 7–37 mg/L) throughout the study period. Other factors than application rate that may affect the movement of deicing chemicals through an aquifer were precipitation amounts, the types of subsurface materials, ground-water velocity and gradient, hydraulic conductivity, soil type, land use, and Ohio Department of Transportation deicing priority.

Ohio