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Paleoclimate Records: Providing context and understanding of current Arctic change

At present, the Arctic Ocean is experiencing changes in ocean surface temperature and sea ice extent that are unprecedented in the era of satellite observations, which extend from the 1980s to the present (see sections 5c,d). To provide context for current changes, scientists turn to paleoclimate records to document and study anthropogenic influence and natural decadal and multidecadal climate variability in the Arctic system. Paleoceanographic records extend limited Arctic instrumental measurements back in time and are central to improving our understanding of climate dynamics and the predictive capability of climate models. By comparing paleoceanographic records with modern observations, scientists can place the rates and magnitudes of modern Arctic change in the context of those inferred from the geological record. Over geological time, paleoceanographic reconstructions using, for instance, marine sediment cores indicate that the Arctic has experienced huge sea ice fluctuations. These fluctuations range from nearly completely ice-free to totally ice-covered conditions. The appearance of ice-rafted debris and sea ice-dependent diatoms in Arctic marine sediments indicate that the first Arctic sea ice formed approxi-mately 47 million years ago (St. John 2008; Stickley et al. 2009; Fig. SB5.1), coincident with an interval of declining atmospheric carbon dioxide (CO2) concentration, global climate cooling, and expansion of Earths cryosphere during the middle Eocene. The development of year-round (i.e., perennial) sea ice in the central Arctic Ocean, similar to conditions that exist today, is evident in sediment records as early as 1418 million years ago (Darby 2008). These records suggest that transitions in sea ice cover occur over many millennia and often vary in concert with the waxing and waning of circum-Arctic land ice sheets, ice shelves, and long-term fluctuations in ocean and atmospheric temperature and atmospheric CO2 concentrations (Stein et al. 2012; Jakobsson et al. 2014). Over shorter time scales, shallow sediment records from Arctic Ocean continental shelves allow more detailed, higher-resolution (hundreds of years resolution) reconstructions of sea ice history extending through the Holocene (11 700 years ago to present), the most recent interglacial period. A notable feature of these records is an early Holocene sea ice minimum, corresponding to a thermal maximum (warm) period from 11 000 to 5000 years ago, when the Arctic may have been warmer and had less summertime sea ice than today (Kaufman et al. 2004). However, it is not clear that the Arctic was ice-free at any point during the Holocene (Polyak et al. 2010). High-resolution paleosea ice records from the western Arctic in the Chukchi and East Siberian Seas indicate that sea ice concentrations increased through the Holocene in concert with decreasing summer solar insolation (sunlight). Sea ice extent in this region also varied in response to the volume of Pacific water delivered via the Bering Strait into the Arctic Basin (Stein et al. 2017; Polyak et al. 2016). Records from the Fram Strait (Mller et al. 2012), Laptev Sea (Hrner et al. 2016), and Canadian Arctic Archipelago (Vare et al. 2009) also indicate a similar long-term expansion of sea ice and suggest sea ice extent in these regions is modulated by the varying influx of warm Atlantic water into the Arctic Basin (e.g., Werner et al. 2013). Taken together, available records support a circum-Arctic sea ice expansion during the late Holocene. A notably high-resolution summer sea ice history (<5-year resolution) has been established for the last 1450 years using a network of terrestrial records (tree ring , lake sediment, and ice core records) located around the margins of the Arctic Ocean (Kinnard et al. 2011). Results summarized in Fig. SB5.2 indicate a pronounced decline in summer sea ice extent beginning in the 20th century, with exceptionally low ice extent recorded since the mid-1990s, consistent with the satellite record (see section 5d). While several episodes of reduced and expanded sea ice extent occur in association with climate anomalies such as the Medieval Climate Warm Period (AD 8001300) and the Little Ice Age (AD 14501850), the magnitude and pace of the modern decline in sea ice is outside of the range of natural variability and unprecedented in the 1450-year reconstruction (Kinnard et al. 2011). A radiocarbon-dated driftwood record of the Ellesmere ice shelf in the Canadian High Arctic, the oldest landfast ice in the Northern Hemisphere, also demonstrates a substantial reduction in ice extents over the 20th century (England et al. 2017). A supporting sediment record indicates that inflowing Atlantic water in Fram Strait has warmed by 2C since 1900, driving break up and melt of sea ice (Spielhagen et al. 2011). Complementary mooring and satellite observations show the Atlantification of the eastern Arctic due to enhanced inflow of warm saline water through Fram Strait (Nilsen et al. 2016) and nutrient-rich Pacific water via the Bering has increased by more than 50% (Woodgate et al. 2012), further driving sea ice melt and warming seas. Similar high-resolution proxy records from Arctic regions also indicate that the modern rate of increasing annual surface air temperatures has not been observed over at least the last 2000 years (McKay and Kaufman 2014). Scientists conclude that broad-scale sea ice variations recorded in the paleo record were dominantly driven by changes in basin-scale changes in atmospheric circulation patterns, fluctuations in air temperature, strength of incoming solar radiation, and changes in the inflow of warm water via Pacific and Atlantic inflows (Polyak et al. 2010). There is general consensus that ice-free Arctic summers are likely before the end of the 21st century (e.g., Stroeve et al. 2007; Massonnet et al. 2012), while some climate model projections suggest ice-free Arctic summers as early as 2030 (Wang and Overland 2009). Paleoclimate studies and observational time series attribute the decline in sea ice extent and thickness over the last decade to both enhanced greenhouse warming and natural climate variability. While understanding the interplay of these factors is critical for future projections of Arctic sea ice and ecosystems, most observational time series records cover only a few decades. This highlights the need for additional paleoceanographic reconstructions across multiple spatial and temporal domains to better understand the drivers and implications of present and future Arctic Ocean change.

Bulletin American Meteorological Society

The Bayan Obo iron-rare-earth-niobium deposits, Inner Mongolia, China

The plate tectonic setting, regional geology and certain aspects of the economic geology of the iron-rare-earth-niobium ore bodies at Bayan Obo, Inner Mongolia, China, were studied by a team of geologists from the Tianjin Geologic Research Academy and the U.S. Geological Survey between 1987 and 1989. These ore bodies were formed by hydrothermal replacement of Middle Proterozoic dolomite in an intra-continental rift setting. A variety of veins and/or dikes that have a carbonatitelike mineralogy cut the footwall clastic rocks and migmatites. A stockwork of veins occurs at several locations in the footwall. The hanging wall is a shale that has been converted to a K-metasomatite and has microcrystalline potassium feldspar as its principal constituent. This shale served as a sealing caprock that contained the chemical solutions that reacted with the dolomite and created the enormous concentration of mineralized rock in an 18-kilometer-long syncline. The rocks that host these ore bodies and the associated mineralized areas occur today as roof pendants in granitoid rocks of Permian age that were emplaced during a continent-to-continent collision during that period.

LITHOS

The role of native birds and other wildlife on the emergence of zoonotic diseases

Wildlife can be an important source of transmission of infectious disease to humans. One potential transmission route involves hunting and fishing, both common activities in the United States and worldwide. For example, during 1996, approximately 11 million Americans, about 40 percent of the total population 16 years of age and older, took part in some recreational activity relating to wildlife and fish. Another potential route of infection focuses on urban and suburban environments. These locations are of special concern because of their increasing role as wildlife habitat, the greater interface between humans and wildlife that takes place within those environments, the paucity of knowledge about disease in those wildlife populations, and the general lack of orderly management for wildlife within those environments. In the wild, several trends are contributing to the growing importance of zoonotic diseases. First, the spectrum of infectious diseases affecting wildlife today is greater than at any time during the previous century. Second, the occurrence of infectious diseases has changed, from sporadic, self-limiting outbreaks that generally resulted in minor losses to frequently occurring events that generally result in major losses of wildlife. Third, disease emergence has occurred on a worldwide scale in a broad spectrum of wildlife species and habitats. Given the scope of the problem, current disease surveillance efforts are inadequate. Few state wildlife agencies allocate personnel and resources to address wildlife disease, despite their statutory responsibility for managing nonmigratory wildlife. Some state agencies provide minimal support for regional programs based at universities. At the federal level, the primary surveillance effort is conducted by the National Wildlife Health Center, operated by the U.S. Geological Survey. Outside of government, some veterinary schools, agriculture diagnostic laboratories, and other programs provide additional information on animal diseases, primarily by examining carcasses of dead wildlife submitted for analysis, and individual university-based researchers carry out a variety of studies. Typically, information about the occurrence of disease in free-ranging wildlife is derived from surveys and mortality events in areas where wildlife observations by agencies and the public are frequent enough to detect their occurrence before carcasses are removed by scavengers and predatory animals. The result is that disease occurrence is grossly underreported, heavily biased toward mortality events, and biased toward species of special concern and interest, such as game and endangered species. Therefore, the available information should be viewed as the “proverbial tip of the iceberg” relative to disease activity within wildlife populations.

National Academy of Science.

The geology of selected peat-forming environments in temperate and tropical latitudes

We studied peat in several geologic and climatic settings: (1) a glaciated terrain in cold-temperate Maine and Minnesota, U.S.A.; (2) an island in a temperate maritime climate in the Atlantic Ocean off the coast of Maine, U.S.A., where sea level is rising rapidly and changing the environment of peat accumulation; (3) swamps along the warm-temperate U.S. Atlantic and Gulf Coastal Plains, where sea level has changed often, thus creating sites for accumulation; and (4) in a tropical climate along the coast of Sarawak, Malaysia, and the delta of the Batang Hari River, Sumatra, Indonesia (Figs. 1 and 2). With the exception of the deposits on the Atlantic and Gulf Coastal Plains, most of the deposits described are domed bogs in which peat accumulation continued above the surface of the surrounding soil. The bogs of the U.S. Atlantic and Gulf Coastal Plains have almost level surfaces. All domed bogs are not entirely ombrotrophic (watered only from precipitation); multidomed bogs that rise from irregular or hilly surfaces may be crossed by streams that supply water to the bogs. The geologic processes or organic sedimentation, namely terrestrialization and paludification, are similar in all peat deposits considered here. Differences in geomorphology affecting the quantity and that quality of peat that has ash contents of less than 25%, which are desirable for commercial purposes, depend chiefly on: (1) high humidity, which is favorable to luxuriant growth of peat-forming vegetation; (2) a depositional setting that permits extensive accumulation relatively free from inorganic contamination from sea water and streams and from dust and volcanic ash; and (3) a stable regional water table that controls the rate of decomposition under aerobic conditions and protects the deposit against the ravages of fire. Differences in peat textures are due to the type of vegetation and to the degree of decomposition. The rate of decomposition is largely the result of the amount of oxidation and aerobic microbial activity. Stratigraphic distribution of various textures and amounts of inorganic components within a peat deposit is largely determined by the vertical positions occupied by peat-forming environments, such as pond, marsh, swamp and heath where vegetation accumulated, and the depth to zones of unoxygenated water. Peat also differs in the rate of accumulation. On the basis of carbon-14 dating, an estimated 8 m of peat in the tropical Batang Hari River deposit in Sumatra has been accumulating at the rate of about 1.5 m/1,000 yr, whereas peat in the cold-temperate deposit in Maine has been accumulating at the rate of 0.66 m/1,000 yr. Accumulation rates in domed deposits such as these are affected not only by factors controlling volume of biomass and aerobic decay but also by stream erosion and fires that remove peat. Such disconformities (see Fig. 2) within the deposit may be recognized by sudden vertical changes in degree of decomposition and/or the presence of charcoal. The trace-element content of peat deposits is affected by the environments of their settings. Samples of peat that have an ash content of less than 25% dry weight and that are from small, almost level swamp deposits along the Atlantic Coastal Plain of North Carolina were compared with similar samples from small domed bogs in Maine, a glaciated area. Samples from Nort Carolina, which are from deposits in thick fluvial and nearshore marine sediments far from the bedrock source, are generally higher in Ti, Cr and Pb. The Maine samples from deposits in glacial drift close to the bedrock source contain more Zn, Mn, P, Ca, Na and Fe. The kind and amount of trace elements within the deposits appear to relate largely to depositional setting, to kinds of bedrock source, and to the modes of transportation from source to peat swamp. Trace-element concentrations in the extensive Sumatra peat deposit, which represents a potentially commercial coal bed, are similar to those found in Appalachian coals except for As and Au, which are higher in the former. This similarity most likely implies that geochemical controls on mineral matter controlled the concentrations in both. Most peat deposits found in the world today are not precursors of economic coal beds because they are too local in extent, lack beds of commercial-quality peat greater than 6 m thick, and/or are too far from sea level to be rapidly by marine or marginal marine sediments before destruction by erosion and decomposition. However, the two domed deposits in Sarawak and Sumatra described above are parts of extensive, thick, low-sulfur, fuel-quality peat deposits, which have bases below the levels of rivers on coastal deltas. These are likely to be preserved in their lower part and to become precursors of tropical coal seams of potential economic importance. The lenticular and tabular peat deposits of the Atlantic and Gulf Coastal Plains, which have little chance of survival, have features resembling those in Tertiary peat deposits in alluvial settings of western North America. The quality, shape, and extent of modern and ancient peat deposits are controlled by the same factors - humidity, vegetation type, ground- and surface-water regimes, and physiographic and geologic setting. Thus, a study of modern peat deposits may help in studies of the areal distribution and the thickness and quality of ancient coal beds.

International Journal of Coal Geology

Late Quaternary stratigraphy and depositional history of the Long Island Sound basin

The stratigraphy of Late Quaternary geologic units beneath Long Island Sound (LIS) is interpreted from 3,500 km of high-resolution, seismic-reflection profiles supplemented by vibracore data. Knowledge gained from onshore regional geologic studies and previous offshore investigations is also incorporated in these interpretations. Glacial deposits overlie and nearly fill an Inner Lowland which is floored by crystalline rocks in the north and bounded to the south by an irregular, north-facing cuesta scarp in Cretaceous Coastal-Plain strata. The thick glacial section consists largely of sediment that was deposited in glacial Lake Connecticut during the retreat of the last (late Wisconsin) ice sheet. Ice-marginal lacustrine fan deposits and submerged extensions of the southeastern Connecticut recessional moraines mark positions of the ice margin during systematic northward retreat. When the ice margin stood at positions just north of the present shoreline of Connecticut (17.6-16.5 ka), glacial Lake Connecticut was slightly larger than Long Island Sound is today. Ice-marginal deltas and near-ice marginal fluviodeltaic deposits occur along coastal Connecticut. Delta-building was diachronous; progressively younger deltas record northwesterly retreat of the ice margin and lowering lake levels. Distally from the deltas, varied lake-clays (up to 150 m thick) drape the underlying topography. The lake spillway cut across the Harbor Hill-Roanoke Point-Fishers Island-Charlestown end moraine at its lowest point just west of Fishers Island (The Race). Lake levels fell as the spillway notch was erosionally deepened, and gradually the lakebed became subaerially exposed. A largely preserved channel system cuts the lake-deposit surface; fluvial channel-fill sediments are overlain by estuarine sediments in the channel system. Perhaps as early as 15 ka, but no later than 13 ka, the sea entered the Basin through the channel at The Race and quickly transgressed westward via the lakebed channel system. As the sea rose further and spread throughout the Basin, a wave-cut surface was formed. Extensive marine deltaic deposits, up to 40 m thick, overlie the wave-cut marine unconformity in the east-central part of the Basin. These sediments were derived from erosion of the drained bed of Lake Hitchcock, in the Connecticut valley to the north, and were deposited in a -40-m relative sea at about 12.4 ka. Where quiet waters prevail, marine mud generally less than 15 m thick blankets the older deposits of the Basin. Elsewhere, especially in eastern LIS, tidal currents are actively reworking and transporting glacial and postglacial deposits.

Connecticut, New York

Geophysical data provide three dimensional insights into porphyry copper systems in the Silverton caldera, Colorado, USA

The Silverton caldera in southwest Colorado, USA hosts polymetallic veins and pervasively altered rocks indicative of porphyry copper systems. Nearly a kilometer of erosion has exposed multiple levels of the hydrothermal systems from shallow lithocaps down to quartz-sericite-pyrite veins. New airborne electromagnetic and magnetic survey data are integrated with previous alteration mapping and porphyry models to show the subsurface geophysical response of shallow to deep levels of the porphyry system. Qualitative map views show lateral changes in the magnetization and resistivity of the hydrothermally altered rocks. The volcanic terrain exhibits high magnetization and high amplitude anomalies map near-surface plutonic rocks associated with porphyry systems. Magnetic susceptibility measurements on outcrops of hydrothermally altered rocks indicate magnetite content decreases upward and outward from the source intrusions where magnetic anomaly lows are observed over the lithocaps. The resistivity maps highlight hydrothermal alteration as resistivity lows with exception being rocks having propylitic alteration. Quantitative resistivity models show low resistivity zones with an apparent thickness around 50–150 m beneath quartz-sericite-pyrite veins interpreted to be the result of supergene processes that may continue today, and the calculated magnetic source depths occur near the top of this zone. The resistivity models also show rocks having propylitic, silicic, and quartz-alunite-pyrophyllite assemblages exhibit high resistivity with depth, and argillic alteration assemblages had high resistivity due to high quartz content. This integrated approach presented in a three-dimensional environment provides guidance when exploring for porphyry copper systems in less exposed terrains.

Colorado

Sulfur and oxygen isotopes in barite deposits of the western Brooks Range, Alaska, and implications for the origin of the Red Dog massive sulfide deposits

Sulfur and oxygen isotope analyses have been obtained for barite samples from the giant stratiform sulfide barite deposits at Red Dog in the western Brooks Range of Alaska, from stratiform barite deposits elsewhere in the Red Dog district, and from stratiform and vein and breccia barite occurrences in the central Brooks Range. Twelve of the 15 deposits studied lie within middle to Upper Mississippian black shale and chert units. The data reveal two different patterns on ?? 34S versus ??18O plots. The first, which is best illustrated by the barite deposit at Anarraaq, shows linear trends with slopes that vary with barite texture. For most samples, ??34S and ??18O values are both higher than the values characteristic of Mississippian marine sulfate. The second pattern, which is evident at the Red Dog deposits, shows no correlation between ??34S and ??18. In most samples, ??18O is below the value for Mississippian marine sulfate. Comparisons with sulfate in modern marine environments suggest a possible model for the mineralizing process. Anarraaq-type barite formed at sea-floor vents where ascending fluids carrying barium and methane encountered sulfate-bearing pore waters or bottom waters. Barite deposition was accompanied by the reduction of sulfate to H2S by means of microbially mediated anaerobic methane oxidation. Red Dog-type barite was formed in a manner similar to Anarraaq-type barite but was over-printed by a massive sulfide-forming event. Red Dog sulfides precipitated where metal-bearing hydrothermal fluids encountered pore waters that had been charged with H2S by anaerobic methane oxidation. Textural and isotopic evidence indicates that the sulfide bodies grew by consuming the available H2S and then by reductively dissolving barite. Dissolution of barite caused barium to be released to higher stratigraphic levels where it was reprecipitated on encountering sulfate. Isotopic evidence is pre sented for a link between methane venting and barite formation and raises the possibility that the coexistence of barite and sulfide at Red Dog, and the occurrence elsewhere in the district of barite-only and sulfide-only deposits, can be explained by a spectrum of vent types in the Mississippian basin analogous to the spectrum that is observed today along the modern continental margins. Authigenic barite formed at some but not all methane seeps, perhaps owing to differences in the barium content of vent fluids, differences in the relative proportion of aqueous fluid and gas emanating from vents, or differences in sulfate availability in local bottom waters. Some barite-forming seeps were later replaced by sulfides (Red Dog deposits) whereas others were not (e.g., Anarraaq barite horizon, Gull Creek, Moil). At sulfide occurrences where there is little evidence of preexisting barite (e.g., Anarraaq, Wulik, Suds), methane venting is indicated by fossils suggestive of chemosynthetic fauna. Mammiform sedimentary structures that are widespread in black chert at the top of the Kuna Formation may represent seeps that supported neither authigenic mineral formation nor chemosynthetic megafauna. ?? 2004 by Economic Geology.

Economic Geology

Landslides triggered by Hurricane Maria: Assessment of an extreme event in Puerto Rico

Hurricane Maria hit the island of Puerto Rico on 20 September 2017 and triggered more than 40,000 landslides in at least three-fourths of Puerto Rico’s 78 municipalities. The number of landslides that occurred during this event was two orders of magnitude greater than those reported from previous hurricanes. Landslide source areas were commonly limited to surficial soils but also extended into underlying saprolite and bedrock. Slope failures occurred before, during, and after flooding, and many transitioned into long runout debris flows. Steep slopes in hilly and mountainous regions were particularly impacted by landslides due to antecedent soil moisture levels that were 11%–13% higher than average and rainfall totals of at least 250 mm within a 48 h period. High landslide densities were especially widespread across some geologic formations (e.g., granodiorite of the Utuado batholith); however, bedrock geology alone did not determine the location and distribution of landslides caused by Hurricane Maria. While rainfall data collected during Hurricane Maria were inconsistent, satellite-based soil moisture data were correlated with the distribution of landslides. In the future, the use of soil moisture data could enable assessments of regional landslide susceptibility prior to hurricanes or extreme precipitation events.

GSA Today

A practical primer on geostatistics

Introduction The Challenge —Most geological phenomena are extraordinarily complex in their interrelationships and vast in their geographical extension. Ordinarily, engineers and geoscientists are faced with corporate or scientific requirements to properly prepare geological models with measurements involving a small fraction of the entire area or volume of interest. Exact description of a system such as an oil reservoir is neither feasible nor economically possible. The results are necessarily uncertain. Note that the uncertainty is not an intrinsic property of the systems; it is the result of incomplete knowledge by the observer. The Aim of Geostatistics —The main objective of geostatistics is the characterization of spatial systems that are incompletely known, systems that are common in geology. A key difference from classical statistics is that geostatistics uses the sampling location of every measurement. Unless the measurements show spatial correlation, the application of geostatistics is pointless. Ordinarily the need for additional knowledge goes beyond a few points, which explains the display of results graphically as fishnet plots, block diagrams, and maps. Geostatistical Methods —Geostatistics is a collection of numerical techniques for the characterization of spatial attributes using primarily two tools: probabilistic models, which are used for spatial data in a manner similar to the way in which time-series analysis characterizes temporal data, or pattern recognition techniques. The probabilistic models are used as a way to handle uncertainty in results away from sampling locations, making a radical departure from alternative approaches like inverse distance estimation methods. Differences with Time Series —On dealing with time-series analysis, users frequently concentrate their attention on extrapolations for making forecasts. Although users of geostatistics may be interested in extrapolation, the methods work at their best interpolating. This simple difference has significant methodological implications. Historical Remarks —As a discipline, geostatistics was firmly established in the 1960s by the French engineer Georges Matheron, who was interested in the appraisal of ore reserves in mining. Geostatistics did not develop overnight. Like other disciplines, it has built on previous results, many of which were formulated with different objectives in various fields. Pioneers —Seminal ideas conceptually related to what today we call geostatistics or spatial statistics are found in the work of several pioneers, including: 1940s: A.N. Kolmogorov in turbulent flow and N. Wiener in stochastic processing; 1950s: D. Krige in mining; 1960s: B. Mathern in forestry and L.S. Gandin in meteorology Calculations —Serious applications of geostatistics require the use of digital computers. Although for most geostatistical techniques rudimentary implementation from scratch is fairly straightforward, coding programs from scratch is recommended only as part of a practice that may help users to gain a better grasp of the formulations. Software —For professional work, the reader should employ software packages that have been thoroughly tested to handle any sampling scheme, that run as efficiently as possible, and that offer graphic capabilities for the analysis and display of results. This primer employs primarily the package Stanford Geomodeling Software (SGeMS) - recently developed at the Energy Resources Engineering Department at Stanford University - as a way to show how to obtain results practically. This applied side of the primer should not be interpreted as the notes being a manual for the use of SGeMS. The main objective of the primer is to help the reader gain an understanding of the fundamental concepts and tools in geostatistics. Organization of the Primer —The chapters of greatest importance are those covering kriging and simulation. All other materials are peripheral and are included for better comprehension of these main geostatistical modeling tools. The choice of kriging versus simulation is often a big puzzle to the uninitiated, let alone the different variants of both of them. Chapters 14, 18, and 19 are intended to shed light on those subjects. The critical aspect of assessing and modeling spatial correlation is covered in chapter 7. Chapters 2 and 3 review relevant concepts in classical statistics. Course Objectives —This course offers stochastic solutions to common problems in the characterization of complex geological systems. At the end of the course, participants should have: an understanding of the theoretical foundations of geostatistics; a good grasp of its possibilities and limitations; and reasonable familiarity with the SGeMS software, thus opening the possibility of practically applying geostatistics.

Open-File Report

Recent advances in characterizing the crustal stress field and future applications of stress data: Perspectives from North America

The stress field controls patterns of crustal deformation, including which faults are likeliest to cause earthquakes or transmit fluids. Since the 1950s, maps of maximum horizontal stress ( S Hmax ) orientations have advanced dramatically, and the style of faulting (relative principal stress magnitudes) has recently been mapped in some regions as well. This perspectives paper summarizes developments in characterizing stress orientations and (relative) magnitudes, including new seismic and borehole methods, as well as progress in identifying the causes of stress variations. Despite these advances, adding far more spatiotemporal detail would allow geoscientists to address many of today's key challenges regarding natural hazards, energy development, and geodynamics. In particular, it is critically important to characterize stress heterogeneity at multiple scales while also recognizing the coherent variability of the stress field. The second part of the paper considers how more detailed stress datasets could prove essential to addressing some of the grand questions in geoscience, including deciphering the poorly understood feedbacks between crustal dynamics and surface processes, improving earthquake and eruption forecasts, and determining the origins and shared properties of plate boundaries.

Geological Society, London, Special Publications

Community for Data Integration 2013 Annual Report

The U.S. Geological Survey (USGS) conducts earth science to help address complex issues affecting society and the environment. In 2006, the USGS held the first Scientific Information Management Workshop to bring together staff from across the organization to discuss the data and information management issues affecting the integration and delivery of earth science research and investigate the use of &ldquo;communities of practice&rdquo; as mechanisms to share expertise about these issues. Out of this effort emerged the Council for Data Integration, which was conceived as an official organizational function that would help guide data integration activities and formalize communities of practice into working groups. However by 2009, it became apparent that many members of the council had an interest in developing data integration solutions and sharing expertise in a less formal grassroots perspective, thus transforming the &ldquo;Council&rdquo; into a &ldquo;Community&rdquo; for Data Integration (CDI). Today, the CDI represents a dynamic community of practice focused on advancing science data and information management and integration capabilities across the USGS and the CDI community. The CDI fosters an environment for collaboration and sharing by bringing together expertise from external partners and representatives across USGS who are involved in research, data management, and information technology. Membership is voluntary and open to USGS employees and other individuals and organizations willing to contribute to the community (if interested, contact cdi@usgs.gov). The purpose of the CDI is to advance understanding of Earth systems through enhanced use of data and information including associated tools and techniques provide a forum for people doing work with data integration to come together to share ideas as well as learn new skills and techniques, and grow overall USGS capabilities with data and information by increasing visibility of the work of many people throughout the USGS and the CDI community. To achieve these goals, the CDI operates within four applied areas: monthly forums, annual workshop/webinar series, working groups, and projects. The monthly forums, also known as the Opportunity/Challenge of the Month, provide an open dialogue to share and learn about data integration efforts or to present problems that invite the Community to offer solutions, advice, and support. Since 2010, the CDI has also sponsored annual workshops/webinar series to encourage the exchange of ideas, sharing of activities, presentations of current projects, and networking among members. Stemming from common interests, the working groups are focused on efforts to address data management and technical 2 challenges, including the development of standards and tools, improving interoperability and information infrastructure, and data preservation within USGS and its partners. The growing support for the activities of the working groups led to the CDI&rsquo;s first formal request for proposals (RFP) process in 2013 to fund projects that produced tangible products. Today the CDI continues to hold an annual RFP that create data management tools and practices, collaboration tools, and training in support of data integration and delivery.

Open-File Report

The formation of gullies on Mars today

A decade of high-resolution monitoring has revealed extensive activity in fresh Martian gullies. Flows within the gullies are diverse: they can be relatively light, neutral or dark, colourful or bland, and range from superficial deposits to 10 m-scale topographic changes. We observed erosion and transport of material within gullies, new terraces, freshly eroded channel segments, migrating sinuous curves, channel abandonment, and lobate deposits. We also observed early stages of gully initiation, demonstrating that these processes are not merely modifying pre-existing landforms. The timing of activity closely correlates with the presence of seasonal CO 2 frost, so the current changes must be part of ongoing gully formation that is driven largely by its presence. We suggest that the cumulative effect of many flows erodes alcoves and channels, and builds lobate aprons, with no involvement of liquid water. Instead, flows may be fluidized by sublimation of entrained CO 2 ice or other mechanisms. The frequent activity is likely to have erased any features dating from high-obliquity periods, so fresh gully geomorphology at middle and high latitudes is not evidence for past liquid water. CO 2 ice-driven processes may have been important throughout Martian geological history and their deposits could exist in the rock record, perhaps resembling debris-flow sediments.

Geological Society, London, Special Publications

The 1906 earthquake and a century of progress in understanding earthquakes and their hazards

The 18 April 1906 San Francisco earthquake killed nearly 3000 people and left 225,000 residents homeless. Three days after the earthquake, an eight-person Earthquake Investigation Commission composed of 25 geologists, seismologists, geodesists, biologists and engineers, as well as some 300 others started work under the supervision of Andrew Lawson to collect and document physical phenomena related to the quake . On 31 May 1906, the commission published a preliminary 17-page report titled "The Report of the State Earthquake Investigation Commission". The report included the bulk of the geological and morphological descriptions of the faulting, detailed reports on shaking intensity, as well as an impressive atlas of 40 oversized maps and folios. Nearly 100 years after its publication, the Commission Report remains a model for post-earthquake investigations. Because the diverse data sets were so complete and carefully documented, researchers continue to apply modern analysis techniques to learn from the 1906 earthquake. While the earthquake marked a seminal event in the history of California, it served as impetus for the birth of modern earthquake science in the United States.

GSA Today

Deep Europe today: Geophysical synthesis of the upper mantle structure and lithospheric processes over 3.5 Ga

We present a summary of geophysical models of the subcrustal lithosphere of Europe. This includes the results from seismic (reflection and refraction profiles, P- and S-wave tomography, mantle anisotropy), gravity, thermal, electromagnetic, elastic and petrological studies of the lithospheric mantle. We discuss major tectonic processes as reflected in the lithospheric structure of Europe, from Precambrian terrane accretion and subduction to Phanerozoic rifting, volcanism, subduction and continent-continent collision. The differences in the lithospheric structure of Precambrian and Phanerozoic Europe, as illustrated by a comparative analysis of different geophysical data, are shown to have both a compositional and a thermal origin. We propose an integrated model of physical properties of the European subcrustal lithosphere, with emphasis on the depth intervals around 150 and 250 km. At these depths, seismic velocity models, constrained by body-and surface-wave continent-scale tomography, are compared with mantle temperatures and mantle gravity anomalies. This comparison provides a framework for discussion of the physical or chemical origin of the major lithospheric anomalies and their relation to large-scale tectonic processes, which have formed the present lithosphere of Europe. ?? The Geological Society of London 2006.

Geological Society Memoir

Time and space relationships of the taconic allochthon and autochthon

The Taconic rock sequence extends from near Sudbury, Vermont, to near Poughkeepsie, New York, a length of about 150 miles; and from just west of the Green Mountain Range and Berkshire Highlands to the valleys of the Hudson River and Lake Champlain, a width of about 20 miles. The Taconic rocks are now in the axial region of the Middlebury synclinorium and its southward extension. The Taconic sequence consists of about 2000 feet of slate, with subsidiary graywacke, quartzite, and limestone; many of the rock units are turbidites. Fossils from the rocks include forms of Early, Middle, and Late Cambrian and Early and Middle Ordovician age. Evidence of stratigraphic tops derived from the fossils and from primary sedimentary features agrees with structural data and demonstrates that the Taconic rocks are geometrically the highest strata within the Middlebury synclinorium. The underlying rocks of the synclinorium (the synclinorium sequence) are right side up; they also range in age from Early Cambrian to Middle Ordovician but belong to a different sedimentary lithofacies (dominantly carbonate and orthoquartzite). The relation between the Taconic sequence and the synclinorium sequence, therefore, is a baffling problem. Lithostratigraphically, the Taconic sequence falls into three groups: (1) the pre- Normanskill "low Taconic " sequence, occurring in the area between the main Taconic Range and the Hudson River, as far south as Rhinebeck, New York; (2) the Normanskill Shale in the same area, as well as in the area south of Rhinebeck at least as far as Poughkeepsie, New York, and also west of the Hudson River; and (3) the "high Taconic " sequence, occupying the main Taconic Range from Dorset Mountain, Vermont, south to Indian Mountain in Sharon, Connecticut, as well as Mount Greylock in Massachusetts. Rocks of (1) and (2) are fossiliferous, but to date no fossil has been found in (3). Rocks of (1) and that part of (2) areally coextensive with (1) thus are of known age but uncertain three-dimensional geometric configuration, whereas rocks of (3) are of known configuration (in the centers of open synclinoria) but unknown age. Only that part of (2) beyond the areal confines of (1) is both of known age and known configuration; these rocks are in sedimentary contact above the older rocks of the synclinorium sequence and are autochthonous. At the north end of the Taconic sequence in western Vermont, rocks of group (1) are beyond reasonable doubt allochthonous. Because of the southward geometric continuity of the structural elements, all the Taconic rocks of group (1), and that part of group (2) areally coextensive with it, are interpreted as allochthonous. The structure of group (3), the high Taconic sequence, is inferred by topography and by detailed lithostratigraphic matching with rocks of the east Vermont sequence; on this basis, as well as on the basis of the broad lithic similarity with rocks of group (1), rocks of group (3) are concluded to be also allochthonous. A discontinuous polymict conglomerate underlies and surrounds the allochthon on all sides and is interpreted here as a record that dates the imminent arrival of the allochthon at each locality. The conglomerate contains unsorted blocks of rocks of both the Taconic sequence and the synclinorium sequence; the matrix is the autochthonous upper Normanskill Shale or its equivalent. Fossils from the matrix shale date the event as Trenton, probably Sherman Fall in age. The geologic history of the area is reconstructed as follows: The pre-Normanskill Taconic rocks were deposited in the area of the present Precambrian massifs of the Green Mountains-Berkshire Highlands belt between the clastic, eugeosynclinal east Vermont sequence to the east and the miogeosynclinal synclinorium sequence to the west; they constitute the transitional facies between these two belts. Conditions were relatively stable until early Middle Ordovician time , when the Green Mountain- Berkshire Highlands area began to rise and the area of the present Middlebury synclinorium began to subside. Subsidence took place largely by a series of high-angle longitudinal faults that, as a whole, step down to the west. Argillaceous sediments (the Normanskill Shale) began to inundate the former miogeosynclinal area; because the conditions of sedimentation had become similar, the sediments resembled, in facies, the synchronous Taconic rocks that were being deposited to the east. Continued rise of the Green Mountains-Berkshire Highlands area led in middle Trenton time to the decollement of the Cambrian and Ordovician sediments into the area of the present Middlebury synclinorium in a series of giant submarine slides. Sedimentation continued at the receiving site throughout the event; sedimentation may also have persisted on the moving slides. The record is found today in the turbidite-laden shale and graywacke in the upper part of the Normanskill Shale of both the allochthon and the autochthon . Restoration of the allochthonous rocks to the original site of deposition leads to correlations between rocks of the Taconic sequence and of the largely autochthonous east Vermont sequence. The lithic correlation can be carried to the level of individual formations and is confirmed by a few known ages in the east Vermont sequence. Several lines of reasoning lead to a plausible correlation of part of the Cavendish Formation of southeastern Vermont with the oldest part of the Taconic sequence. This correlation leads further to the conclusion that in this area the contacts between the Green Mountain massif and the Cavendish Formation and between the Cavendish and the overlying east Vermont sequence must both be thrust faults of large displacements. This conclusion is in fact inevitable because one of the Taconic thrust slices that extends without interruption between the latitudes corresponding to the gap in the Precambrian massifs has been shown by local structural evidence to be allochthonous; an outside original depositional site must be found for it. The present Taconic allochthon is coextensive with an area of marked negative Bouguer gravity anomaly; the Green Mountains-Berkshire massifs constitute a belt of positive anomaly. It is here proposed that these anomalies resulted from a deepseated transfer of material; subcrustal addition of material caused the rise of the Green Mountains-Berkshire Highlands area, and the concurrent subtraction of material caused subsidence in the Middlebury synclinorium area through a series of faults which were the near-surface expression of an episode of crustal collapse. If this interpretation is correct, then the regional gravity anomaly represents an uncompensated feature that has persisted since Middle Ordovician time .

Special Paper of the Geological Society of America

The coral reef of South Moloka'i, Hawai'i— Portrait of a sediment-threatened fringing reef

Moloka‘i, with the most extensive coral reef in the main Hawaiian Islands, is especially sacred to Hina, the Goddess of the Moon. As Hinaalo, she is the Mother of the Hawaiian people; as Hinapuku‘a, she is the Goddess of Fishermen; and in the form Hina‘opuhalako‘a, she is the Goddess who gave birth to coral, coral reefs, and all spiny marine organisms. Interdependence between the reef’s living resources, the people, and their cosmology was the basis for management of Moloka‘i’s coastal waters for over a thousand years. The ancient residents of Moloka‘i built the greatest concentration of fishponds known anywhere, but their mastery of mariculture, something needed now more than ever, was lost after near genocide from exotic Western diseases. Subsequent destruction of the native vegetation for exotic cattle, goats, pigs, sugar cane, and pineapple caused soil erosion and sedimentation on the reef flat. This masterful volume clearly documents that soil washing into the sea is the major threat to the reef today. Abandoned fishponds, choked with sediment, now act as barriers and mud traps, making damage to corals less than it would otherwise would have been. The role of mud and freshwater from land in preventing coral reef growth, clearly articulated in Charles Darwin’s first book, The Structure and Distribution of Coral Reefs, is the major theme of this book. All around the tropics, coral reefs have died from huge increases in terrestrial sedimentation that resulted from destruction of hillside forests for cash-crop agriculture and pastures in the colonial era, especially in Latin America, Asia, and the islands of the Caribbean and Indo-Pacific. It is obvious that one cannot manage the coastal zone as a unit separate from the watersheds that drain into it. Yet there has been surprisingly little comprehensive scientific study of these impacts. In this landmark volume, U.S. Geological Survey researchers and their colleagues have developed and applied a remarkably integrated approach to the reefs of Moloka‘i, combining geology, oceanography, and biology to provide an in-depth understanding of the processes that have made these reefs grow and that now limit them. They have joined old fashioned natural history of marine animals and plants with study of the geological evolution of the island, hydrology, meteorology, and land-use history, to an arsenal of new methods of remote sensing, including aerial photography, laser ranging, infrared thermal mapping, seismic reflection, in-situ instrumentation to measure chemical parameters of water quality, and direct measurements of the physical driving forces affecting them—such as wave energy, currents, sedimentation, and sediment transport. They provide a level of documentation and insight that has never been available for any reef before. A remarkable feature of this book is that it is aimed at the people of Moloka‘i to inform them of what is happening to their reef and what they might do to preserve their vital resources. The scientific data and interpretations are expressed in unusually clear and comprehensible language, free of the professional jargon that makes most technical publications impenetrable to the public that most needs to know about them, yet without loss of scientific rigor. Here readers will see clearly explained the whole path of soil loss, from the impacts of wild pigs and goats at higher elevations, deforestation of the hills for cattle pasture at lower levels, and denudation of low lands for cash crops. The resulting biological impoverishment has bared the soils, which wash away in flash storms, smothering the inshore reefs, whose growth was already limited because they had grown right up to sea level. The data in this book show that the mud doesn’t get far if it is washed into the sea during a big storm with heavy waves. Afterwards this mud keeps getting stirred up by every succeeding storm, spreading and affecting corals over wider areas until it is finally washed out of the system—and that only happens if there is no more new mud washing onto the reef. I saw this myself a few years ago in Pila‘a Bay on Kaua‘i, where a bulldozed hillside of abandoned sugar cane fields had slumped right on top of a coral reef following exceptional rains. Years later, the algae species were zoned in a way that clearly mapped the distribution of nutrients washed into the bay, most likely from fertilizers bound to the eroded soils. That pattern closely mimics, on a small scale, that shown in Moloka‘i in this volume, where the inner reef is covered with algae, zoned by species in a way that points to land-based sources of nutrients, while the outermost reef slope is still coral dominated, and the deep algae seem to indicate deep-water nutrient upwelling. What of the future? The Hawaiian Islands have been exceptionally fortunate to be spared the worst coral heatstroke death from high temperatures, at least to date. So far, the worst global warming impacts have luckily been small in this region, and the small number of people on Moloka‘i has kept population densities, and sewage pollution, low compared to the more developed islands. Nutrients from years of sugar and pineapple fertilization, and the washing of this soil onto the reefs, show clear influences on the pattern of algae on the reef. Even at very low levels of nutrients, well below that which drives algae to smother and kill coral reefs, more algae is present. Soil erosion control is therefore the key to better management of both nutrients and turbidity on Moloka‘i reefs. To that end land management actions mentioned in this book, such as suppressing wild fires and eliminating wild goats and pigs, could be made even more effective if supplemented by active erosion control using plants whose roots bind the soil effectively in place. Through all of these efforts, Hina and the people of Moloka‘i could be happy again!

Hawaii

Isotopic characterization of late Neogene travertine deposits at Barrancas Blancas in the eastern Atacama Desert, Chile

Here we explore the potential of spring-related, surface and subsurface carbonates as an archive of paleoenvironmental change at Barrancas Blancas, located in the broadest and driest sector of the Atacama Desert at 24.5°S. From these deposits we present a new stable isotopic record of paleoenvironmental conditions over portions of the past ~ 11.5 Ma. U-Pb dates from the carbonates, both surface and subsurface, demonstrate that springs have discharged at this location over much of the last 11.5 Ma, attesting to the exceptional geomorphic stability of the central Atacama. Many of the sampled vein systems line vertical fissures, and formed within the aquifer before groundwater discharged at the surface. Carbonates in such circumstances should not undergo off-gassing and kinetic fractionation prior to formation, simplifying the interpretation of their isotopic composition. Oxygen isotopic compositions of carbonates are generally high (>− 5‰VPDB), and using paleospring water temperatures of 3–13 °C reconstructed from clumped isotopes, point to strongly (up to 50%) evaporated water isotope values, like those associated with the hyperarid core of the Atacama Desert today. Carbon isotopic compositions are also high (≥+3‰ PDB), reflecting a recharge area essentially devoid of plants and dominated by volcanic CO 2 , as is the case today. Our isotopic results are very similar to those from the Calama Basin to the north, suggesting that the western face of the Andes between 21 and 25°S has been highly evaporative and nearly plantless when these springs discharged over the last 11.5 Ma. The spring carbonates at Barrancas Blancas strongly resemble those found at Devils Hole and Furnace Creek in Death Valley, USA, and as such warrant further exploration as potential archives of climate change.

Atacama Desert

Research Furthers Conservation of Grand Canyon Sandbars

Grand Canyon National Park lies approximately 25 km (15 mi) down-river from Glen Canyon Dam, which was built on the Colorado River just south of the Arizona-Utah border in Glen Canyon National Recreation Area. Before the dam began to regulate the Colorado River in 1963, the river carried such large quantities of red sediment, for which the Southwest is famous, that the Spanish named the river the Rio Colorado, or 'red river'. Today, the Colorado River usually runs clear below Glen Canyon Dam because the dam nearly eliminates the main-channel sand supply. The daily and seasonal flows of the river were also altered by the dam. These changes have disrupted the sedimentary processes that create and maintain Grand Canyon sandbars. Throughout Grand Canyon, sandbars create habitat for native plants and animals, supply camping beaches for river runners and hikers, and provide sediment needed to protect archaeological resources from weathering and erosion. Maintenance of sandbars in the Colorado River ecosystem, the river corridor that stretches from the dam to the western boundary of Grand Canyon National Park, is a goal of the Glen Canyon Dam Adaptive Management Program. The program is a federally authorized initiative to ensure that the mandates of the Grand Canyon Protection Act of 1992 are met through advances in information and resource management. The U.S. Geological Survey's Grand Canyon Monitoring and Research Center has responsibility for scientific monitoring and research efforts for the program. Extensive research and monitoring during the past decade have resulted in the identification of possible alternatives for operating Glen Canyon Dam that hold new potential for the conservation of sand resources.

Fact Sheet