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At least 361 records · Page 20Linked to original sources

Demographic analysis from summaries of an age-structured population

Demographic analyses of age-structured populations typically rely on life history data for individuals, or when individual animals are not identified, on information about the numbers of individuals in each age class through time. While it is usually difficult to determine the age class of a randomly encountered individual, it is often the case that the individual can be readily and reliably assigned to one of a set of age classes. For example, it is often possible to distinguish first-year from older birds. In such cases, the population age structure can be regarded as a latent variable governed by a process prior, and the data as summaries of this latent structure. In this article, we consider the problem of uncovering the latent structure and estimating process parameters from summaries of age class information. We present a demographic analysis for the critically endangered migratory population of whooping cranes (Grus americana), based only on counts of first-year birds and of older birds. We estimate age and year-specific survival rates. We address the controversial issue of whether management action on the breeding grounds has influenced recruitment, relating recruitment rates to the number of seventh-year and older birds, and examining the pattern of variation through time in this rate.

Biometrics

Identification of kin structure among Guam rail founders: A comparison of pedigrees and DNA profiles

Kin structure among founders can have a significant effect on subsequent population structure. Here we use the correlation between DNA profile similarity and relatedness calculated from pedigrees to test hypotheses regarding kin structure among founders to the captive Guam rail ( Rallus owstoni ) population. Five different pedigrees were generated under the following hypotheses: (i) founders are unrelated; (ii) founders are unrelated except for same-nest chicks; (iii) founders from the same major site are siblings; (iv) founders from the same local site are siblings; and (v) founders are related as defined by a UPGMA cluster analysis of DNA similarity data. Relatedness values from pedigrees 1, 2 and 5 had the highest correlation with DNA similarity but the correlation between relatedness and similarity were not significantly different among pedigrees. Pedigree 5 resulted in the highest correlation overall when using only relatedness values that changed as a result of different founder hypotheses. Thus, founders were assigned relatedness based on pedigree 5 because it had the highest correlations with DNA similarity, was the most conservative approach, and incorporated all field data. The analyses indicated that estimating relatedness using DNA profiles remains problematic, therefore we compared mean kinship , a measure of genetic importance, with mean DNA profile similarity to determine if genetic importance among individuals could be determined via use of DNA profiles alone. The significant correlation suggests this method may provide more information about population structure than was previously thought. Thus, DNA profiles can provide a reasonable explanation for founder relatedness and mean DNA profile similarity may be helpful in determining relative genetic importance of individuals when detailed pedigrees are absent.

Guam

Do common eiders nest in kin groups? Microgeographic genetic structure in a philopatric sea duck

We investigated local genetic associations among female Pacific common eiders (Somateria mollissima v-nigrum) nesting in a stochastic Arctic environment within two groups of barrier islands (Simpson Lagoon and Mikkelsen Bay) in the Beaufort Sea, Alaska. Nonrandom genetic associations were observed among nesting females using regional spatial autocorrelation analyses for distance classes up to 1000 m in Simpson Lagoon. Nearest-neighbour analyses identified clusters of genetically related females with positive lr values observed for 0-13% and 0-7% of the comparisons in Simpson Lagoon and Mikkelsen Bay, respectively, across years. These results indicate that a proportion of females are nesting in close proximity to more genetically related individuals, albeit at low frequency. Such kin groupings may form through active association between relatives or through natal philopatry and breeding site fidelity. Eiders nest in close association with driftwood, which is redistributed annually by seasonal storms. Yet, genetic associations were still observed. Microgeographic structure may thus be more attributable to kin association than natal philopatry and site fidelity. However, habitat availability may also influence the level of structure observed. Regional structure was present only within Simpson Lagoon and this island group includes at least three islands with sufficient driftwood for colonies, whereas only one island at Mikkelsen Bay has these features. A long-term demographic study is needed to understand more fully the mechanisms that lead to fine-scale genetic structure observed in common eiders breeding in the Beaufort Sea. ?? Published 2010. This article is a US Government work and is in the public domain in the USA.

Molecular Ecology

A kinematic model for the structure of lee-side (dune-like) deposits

A kinematic model for the structure of the lee-side deposit of a dune-like bedform, Gilbert-type delta, or similar step is developed, based on the assumptions that initial deposition is entirely by grainfall, that the rate of deposition decreases as a power function of distance downflow from the brink of the slipface, and that the resulting steepening of the slipface is periodically interrupted by avalanching. The parameters used in the model are: (1) the deposition rate at a given distance from the brink, (2) the exponent in the equation relating the deposition rate to distance from the brink, (3) the bedform migration rate, (4) the bedform height, (5) the avalanche speed, (6) the angle of initial yield, and (7) the residual angle after avalanching. From these parameters can be calculated structural characteristics such as the proportions of bottomset and foreset deposits, the proportions of avalanche and grainfall deposits in the foreset deposit, and the spacing of avalanche-grainfall couplets. The model correctly predicts the trends of changing avalanche activity and changing structural character with changes in flow character, grain size, and bedform height in both air and water. Moreover, the model correctly predicts certain consistent structural differences between aeolian and subaqueous lee-side deposits. Quantitative evaluation of the model requires more accurate data on the values of the input parameters than are presently available.

Sedimentology

Microbial reduction of structural iron in interstratified illite-smectite minerals by a sulfate-reducing bacterium

Clay minerals are ubiquitous in soils, sediments, and sedimentary rocks and could coexist with sulfate‐reducing bacteria (SRB) in anoxic environments, however, the interactions of clay minerals and SRB are not well understood. The objective of this study was to understand the reduction rate and capacity of structural Fe(III) in dioctahedral clay minerals by a mesophilic SRB, Desulfovibrio vulgaris and the potential role in catalyzing smectite illitization. Bioreduction experiments were performed in batch systems, where four different clay minerals (nontronite NAu‐2, mixed‐layer illite‐smectite RAr‐1 and ISCz‐1, and illite IMt‐1) were exposed to D. vulgaris in a non‐growth medium with and without anthraquinone‐2,6‐disulfonate (AQDS) and sulfate. Our results demonstrated that D. vulgaris was able to reduce structural Fe(III) in these clay minerals, and AQDS enhanced the reduction rate and extent. In the presence of AQDS, sulfate had little effect on Fe(III) bioreduction. In the absence of AQDS, sulfate increased the reduction rate and capacity, suggesting that sulfide produced during sulfate reduction reacted with the phyllosilicate Fe(III). The extent of bioreduction of structural Fe(III) in the clay minerals was positively correlated with the percentage of smectite and mineral surface area of these minerals. X‐ray diffraction, and scanning and transmission electron microscopy results confirmed formation of illite after bioreduction. These data collectively showed that D. vulgaris could promote smectite illitization through reduction of structural Fe(III) in clay minerals.

Geobiology

A petrographical and geochemical study of quartzose nodules, country rocks, and dike rocks from the Upheaval Dome structure, Utah

Upheaval Dome, in Canyonlands National Park, Utah, USA, is a unique structure on the Colorado Plateau. It has earlier been interpreted as an impact structure or as a pinched-off salt diapir. Some subrounded quartzose fragments were found in a ring depression near the eastern margin of the structure and, based on vesicularity and apparent flow structure, the fragments were interpreted by early researchers as 'impactites.' Our petrographic studies show no indication of a high-temperature history and are in agreement with a slow, low-temperature formation of the quartz nodules. Compositionally, the lag deposit samples are almost pure SiO2. They show no chemical similarity to any of the possible target rocks (e.g., Navajo Sandstone), from which they should have formed by melting if they were impactites. Instead, the samples have relatively high contents of elements that indicate fluid interaction (e.g., hydrothermal growth), such as As, Sb, Ba, and U, and show positive Ce anomalies. Thus, we interpret the 'lag deposit samples' as normal low-temperature (hydrothermally-grown?) quartz that show no indication of being impact-derived. In addition, a petrographic and geochemical analysis of a series of dike samples yielded no evidence for shock metamorphism or a meteoritic component.

Utah

High site fidelity does not equate to population genetic structure for common goldeneye and Barrow's goldeneye in North America

Delineation of population structure provides valuable information for conservation and management of species, as levels of demographic and genetic connectivity not only affect population dynamics but also have important implications for adaptability and resiliency of populations and species. Here, we measure population genetic structure and connectivity across the ranges of two sister species of sea ducks: Barrow's goldeneye Bucephala islandica and common goldeneye B. clangula . We use two different marker types: 7–8 nuclear microsatellite loci assayed across 229 samples and 3678 double digest restriction‐site associated DNA sequencing (ddRAD‐seq) loci assayed across 61 samples. First, both datasets found no evidence of genetic structure within common or Barrow's goldeneye, including between North American and European samples of common goldeneye. These results are in contrast with previous mitochondrial DNA, band recovery and telemetry data which suggest that goldeneyes are structured across their range. We posit that the discordance between autosomal genetic markers and other data types suggests that males, possibly subadult males, may be maintaining genetic connectivity across each species' respective ranges. Next, although mate choice consequences resulting from inter‐specific brood parasitism was hypothesized to cause some level of gene flow between goldeneye species, we only identified a single F1 hybrid with no further evidence of contemporary or historical gene flow. Despite ddRAD‐seq demographic analyses which recovered an optimum evolutionary model of split‐with‐migration (i.e. secondary contact), estimates of gene flow were <<1 migrant per generation in both directions. Together, we conclude that either strong ecological barriers or assortative mating are likely playing a role in preventing further backcrossing. Finally, demographic analyses estimated a relatively deep divergence time between Barrow's goldeneye and common goldeneye of ~1.6 million years before present and suggests that the genomes of both species have been under similar evolutionary constraints.

Journal of Avian Biology

Spatial and temporal patterns in age structure of Golden Eagles wintering in eastern North America

The behavior of wildlife varies seasonally, and that variation can have substantial demographic consequences. This is especially true for long‐distance migrants where the use of landscapes varies by season and, sometimes, age cohort. We tested the hypothesis that distributional patterns of Golden Eagles ( Aquila chrysaetos ) wintering in eastern North America are age‐structured (i.e., birds of similar ages winter together) through the analysis of 370,307 images collected by motion‐sensitive trail cameras set over bait during the winters of 2012–2013 and 2013–2014. At nine sites with sufficient data for analysis, we documented 145 eagle visits in 2012–2013 and 146 in 2013–2014. We found significant between‐year variation in age structure of wintering eastern Golden Eagles, driven largely by annual differences in the proportion of first‐winter birds. However, although many other species show spatial structure in wintering behavior, our analysis revealed no latitudinal organization among age cohorts of wintering eastern Golden Eagles. The lack of age‐related latitudinal segregation in wintering behavior does not exclude the possibility that these eagles have sex‐based or other types of dominance hierarchies that could result in spatial or temporal segregation. Alternatively, other mechanisms such as food availability or habitat structure may determine the distribution and abundance of Golden Eagles in winter.

New York, North Carolina, Pennsylvania, West Virgi

Habitat structure and body size distributions: Cross-ecosystem comparison for taxa with determinate and indeterminate growth

Habitat structure across multiple spatial and temporal scales has been proposed as a key driver of body size distributions for associated communities. Thus, understanding the relationship between habitat and body size is fundamental to developing predictions regarding the influence of habitat change on animal communities. Much of the work assessing the relationship between habitat structure and body size distributions has focused on terrestrial taxa with determinate growth, and has primarily analysed discontinuities (gaps) in the distribution of species mean sizes (species size relationships or SSRs). The suitability of this approach for taxa with indeterminate growth has yet to be determined. We provide a cross-ecosystem comparison of bird (determinate growth) and fish (indeterminate growth) body mass distributions using four independent data sets. We evaluate three size distribution indices: SSRs, species size&ndash;density relationships (SSDRs) and individual size&ndash;density relationships (ISDRs), and two types of analysis: looking for either discontinuities or abundance patterns and multi-modality in the distributions. To assess the respective suitability of these three indices and two analytical approaches for understanding habitat&ndash;size relationships in different ecosystems, we compare their ability to differentiate bird or fish communities found within contrasting habitat conditions. All three indices of body size distribution are useful for examining the relationship between cross-scale patterns of habitat structure and size for species with determinate growth, such as birds. In contrast, for species with indeterminate growth such as fish, the relationship between habitat structure and body size may be masked when using mean summary metrics, and thus individual-level data (ISDRs) are more useful. Furthermore, ISDRs, which have traditionally been used to study aquatic systems, present a potentially useful common currency for comparing body size distributions across terrestrial and aquatic ecosystems.

Oikos

Subducting plate structure and megathrust morphology from deep seismic imaging linked to earthquake rupture segmentation at Cascadia

The origin of rupture segmentation along subduction zone megathrusts and linkages to the structural evolution of the subduction zone are poorly understood. Here, regional-scale seismic imaging of the Cascadia margin is used to characterize the megathrust spanning ~900 km from Vancouver Island to the California border, across the seismogenic zone to a few tens of kilometers from the coast. Discrete domains in lower plate geometry and sediment underthrusting are identified, not evident in prior regional plate models, which align with changes in lithology and structure of the upper plate and interpreted paleo-rupture patches. Strike-slip faults in the lower plate associated with oblique subduction mark boundaries between regions of distinct lower plate geometry. Their formation may be linked to changes in upper plate structure across long-lived upper plate faults. The Juan de Fuca plate is fragmenting within the seismogenic zone at Cascadia as the young plate bends beneath the heterogeneous upper plate resulting in structural domains that coincide with paleo-rupture segmentation.

Oregon, Washington

Djurleite (Cu1.94S) and low chalcocite (Cu2S): New crystal structure studies

Additional x-ray structure studies on low chalcocite generally confirm the previously reported structure but show that either disorder is present or the true space group is not P 2 1 / c but Pc , four of the 96 copper atoms in the monoclinic unit cell taking on twofold (linear) coordination. The crystal structure of djurleite has been solved in space group P 2 1 / n , the monoclinic cell having parameters a = 26.897, b = 15.745, and c = 13.565 angstroms; β = 90.13 °; and a content of 248 copper and 128 sulfur atoms. Of the 62 different copper atoms in the structure, 52 are in threefold, triangular coordination with sulfur, nine in tetrahedral, and one in linear coordination.

Science

Calcite-impregnated defluidization structures in littoral sands of Mono Lake, California

Associated locally with well-known tufa mounds and towers of Mono Lake, California, are subvertical, concretionary sand structures through which fresh calcium-containing artesian waters moved up to sites of calcium carbonate precipitation beneath and adjacent to the lake. The structures include closely spaced calcite-impregnated columns, tubes, and other configurations with subcylindrical to bizarre cross sections and predominantly vertical orientation in coarse, barely coherent pumice sands along the south shore of the lake. Many structures terminate upward in extensive calcareous layers of caliche and tufa. Locally they enter the bases of tufa mounds and towers. A common form superficially resembles root casts and animal burrows except that branching is mostly up instead of down. Similar defluidization structures in ancient sedimentary rocks have been mistakenly interpreted as fossil burrows.

California

Notes on the structural geology of Puerto Rico

Two major structural and stratigraphic rock units occur in Puerto Rico: the older complex, ranging in known age from Late Cretaceous to late Paleocene or early Eocene and the middle Tertiary sequence, ranging from late Oligocene possibly to late Miocene. The former rocks are eugeosynclinal in character and are very badly faulted but for the most part apparently only moderately folded. With the exception of a large, partly low-angle thrust, the writer has not recognized evidence of strong tangential stresses. Intra-formational folding in the older complex is interpreted as caused by submarine sliding (slump structure). Except in the vicinity of the larger plutonic intrusions and in the northeastern and southwestern corners of the island, the main strike alignment of the older complex is northwestward. The plutons are roughtly concordant with the structure of the country rock and show varying degrees of differentiation. Their average composition seems to be more acidic than that of the volcanic and volcanogenetic rocks into which they are intruded. The middle Tertiary sequence is nonvolcanic, made up dominantly of calcareous marine sediments. It crops out on the north and south sides of the island and in structural troughs on the west coast. On the north coast the beds dip gently to the north, and, except for slight terracings and a flexure at the northwestern corner of the island, are not folded. The middle Tertiary sequence on the south side of the island is somewhat folded. Seismic-reflection studies of the north coast indicate, however, a pronounced northward thickening, possibly some folding, and unconformities at depth. Unconformities which may be local have also been noted at several places on the surface. Several large faults in the middle Tertiary sequence have been recognized in both the north- and south-coast belts. The pattern of master joints that is inferred in the north-coast middle Tertiary belt from topographic alignments seems to indicate (1) control by fades contacts, (2) possible downwarping associated with the sinking of an arm of the Puerto Rican Trench, and (3) tension during upwarping along the island axis. The dates of the major diastrophic events that are decipherable from the Puerto Rican data are: (1) early Tertiary (possibly late Paleocene, but more probably Eocene), when the older complex was deformed; (2) Miocene, when the middle Tertiary sequence was deformed; (3) late Pliocene and possibly early Pleistocene, when block faulting on a large scale produced the present topographic relief. Remnants of the fault scarps resulting from the latter deformation occur widely. Quaternary marine deposits and marine terraces suggest that Puerto Rico has been relatively unaffected by crustal movement at least since the late Pleistocene.

Puerto Rico

Basin and range structure: A system of horsts and grabens produced by deep-seated extension

Basin and Range structure can be interpreted as a system of horsts and grabens produced by the fragmentation of a crustal slab above a plastically extending substratum. According to this view, the extension of the substratum causes the basal part of the slab to be pulled apart along narrow, systematically spaced zones which in turn cause the downdropping of complex horizontal prisms (grabens) in the brittle upper crust. The grabens form valleys at the surface; the intervening areas are horsts, or tilted horsts. Not all geologists have agreed, however, that Basin and Range structure consists of a system of horsts and grabens. Instead, the structure is commonly considered to consist of tilted blocks in which the upslope part of an individual block forms a mountain and the downslope part a valley. Recent detailed studies, including geophysical work, suggest that the horst and graben model may be more generally applicable. Many of the valleys in the Great Basin are bounded on both sides by faults that drop the valley block down; these faults are exposed at the surface or can be inferred from steep gravity gradients indicative of steep faulted subsurface bedrock slopes. Some areas that were thought to represent a typical series of tilted blocks may be a series of highly asymmetrical grabens in which one side of a valley is marked by a master fault and the other side by valleyward tilt. With present knowledge, most, or perhaps all, of the major valleys in the Great Basin can plausibly be considered to be grabens, and most or all of the mountains can be considered to be horsts or tilted horsts. The grabens, and the underlying inferred deep zones of extension that cause them, are systematically distributed in the Great Basin. They are generally north-trending features spaced 15 to 20 mi apart. Locally, the pattern is more complex, and individual grabens divide and trend away from each other at acute or high angles. In a few places, the pattern may even be roughly polygonal. The distribution pattern of the grabens and the related deep zones of extension resemble crack patterns in small-scale tensional systems, and both patterns may be mechanically related. By analogy with the small-scale systems, the areas of generally north-trending and parallel grabens require east-west extension, whereas the areas with a possible polygonal pattern of grabens must extend radially. The geometry of block faulting related to Basin and Range structure requires sizable east-west extension, estimated at about 1.5 mi on the average for each major valley and at about 30 to 60 mi across the entire Great Basin. Most of this extension has taken place in the last 17 m.y., or perhaps even in the last 7 to 11 m.y., indicating a rate of extension in the range of 0.3 to 1.5 cm/yr.

Arizona, California, Idaho, Nevada, Oregon, Utah

Paleomagnetic data bearing on the origin of arcuate structures in the French Peak-Massachusetts Mountain area of southern Nevada

The eastern margin of the Yucca Flat basin, in southern Nevada, is bounded by north-northwest-striking tilted fault blocks of the Halfpint Range whose strikes curve as much as 90° clockwise into east-northeast strikes in the French Peak-Massachusetts Mountain (FPMM) area. This pattern of arcuate structures has been attributed to clockwise drag along a postulated northwest-trending, right-lateral shear zone. The flexure model implies that rocks within the FPMM area were rotated strongly clockwise about a vertical axis. Directions of remanent magnetization of the middle Miocene Ammonia Tanks and Rainier Mesa Members of the Timber Mountain Tuff and of the Topopah Spring Member of the Paintbrush Tuff indicate no systematic vertical-axis rotation in the FPMM area and disprove the flexure model. After tilt correction, declinations of 29 site means obtained from the three ash-flow sheets in the FPMM area are not systematically different than declinations of 17 site means from the Halfpint Range or declinations of 16 site means from little-deformed mesa areas to the west. The paleomagnetic data thus indicate that structures in the FPMM area initiated with arcuate trends and were not originally straight elements that were rotated by right-lateral drag. The structures probably formed under the influence of spatially variable stress fields. The FPMM area lies in an accommodation zone between domains of oppositely tilted extensional fault blocks. Interaction between stress fields associated with propagating normal-fault zones may have been responsible for the arcuate structures in the FPMM area.

Nevada

The southern Whidbey Island fault: An active structure in the Puget Lowland, Washington

Information from seismic-reflection profiles, outcrops, boreholes, and potential field surveys is used to interpret the structure and history of the southern Whidbey Island fault in the Puget Lowland of western Washington. This northwest-trending fault comprises a broad (as wide as 6–11 km), steep, northeast-dipping zone that includes several splays with inferred strike-slip, reverse, and thrust displacement. Transpressional deformation along the southern Whidbey Island fault is indicated by along-strike variations in structural style and geometry, positive flower structure, local unconformities, out-of-plane displacements, and juxtaposition of correlative sedimentary units with different histories. The southern Whidbey Island fault represents a segment of a boundary between two major crustal blocks. The Cascade block to the northeast is floored by diverse assemblages of pre-Tertiary rocks; the Coast Range block to the southwest is floored by lower Eocene marine basaltic rocks of the Crescent Formation. The fault probably originated during the early Eocene as a dextral strike-slip fault along the eastern side of a continental-margin rift. Bending of the fault and transpressional deformation began during the late middle Eocene and continues to the present. Oblique convergence and clockwise rotation along the continental margin are the inferred driving forces for ongoing deformation. Evidence for Quaternary movement on the southern Whidbey Island fault includes (1) offset and disrupted upper Quaternary strata imaged on seismic-reflection profiles; (2) borehole data that suggests as much as 420 m of structural relief on the Tertiary-Quaternary boundary in the fault zone; (3) several meters of displacement along exposed faults in upper Quaternary sediments; (4) late Quaternary folds with limb dips of as much as ≈9°; (5) large-scale liquefaction features in upper Quaternary sediments within the fault zone; and (6) minor historical seismicity. The southern Whidbey Island fault should be considered capable of generating large earthquakes (M s ≥7) and represents a potential seismic hazard to residents of the Puget Lowland.

Washington

Geophysical constraints on Rio Grande rift structure in the central San Luis Basin, Colorado and New Mexico

Interpretation of gravity, aeromagnetic, and magnetotelluric (MT) data reveals patterns of rifting, rift-sediment thicknesses, distribution of pre-rift volcanic and sedimentary rocks, and distribution of syn-rift volcanic rocks in the central San Luis Basin, one of the northernmost major basins that make up the Rio Grande rift. Rift-sediment thicknesses for the central San Luis Basin determined from a three-dimensional gravity inversion indicate that syn-rift Santa Fe Group sediments have a maximum thickness of ~2 km in the Sanchez graben near the eastern margin of the basin along the central Sangre de Cristo fault zone, and reach nearly 1 km within the Monte Vista graben near the western basin margin along the San Juan Mountains. In between, Santa Fe Group thickness is negligible under the San Luis Hills and estimated to reach ~1.1 km under the Costilla Plains (although no independent thickness constraints exist, and a range of thicknesses of 600 m to 2 km is geophysically reasonable). From combined geophysical and geologic considerations, pre-rift, dominantly sedimentary rocks appear to increase in thickness from none in the Sanchez graben on the east to perhaps 800 m under the San Luis Hills on the west. The pre-rift rocks are most likely early Tertiary in age, but the presence of Mesozoic and Paleozoic sedimentary rocks cannot be ruled out. Geophysical data provide new evidence that an isolated exposure of Proterozoic rocks on San Pedro Mesa is rooted in the Precambrian basement. This narrow, north-south–trending basement high has ~2 km of positive relief with respect to the base of the Sanchez graben, and separates the graben from the structural depression beneath the Costilla Plains. A structural high composed of pre-rift rocks, long inferred to extend from under the San Luis Hills to the Taos Plateau, is confirmed and found to be denser than previously believed, with little or no overlying Santa Fe Group sediments. Major faults in the study area are delineated by geophysical data and models; these faults include significant vertical offsets (≥1 km) of Precambrian rocks along the central and southern zones of the Sangre de Cristo fault system. Other faults with similarly large offsets of the Santa Fe Group include a fault bounding the western margin of San Pedro Mesa, and other faults that bound the Monte Vista graben in an area previously assumed to be a simple hinge zone at the western edge of the San Luis Basin. A major north-south–trending structure with expression in gravity and MT data occurs at the boundary between the Costilla Plains and the San Luis Hills structural high. Although it has been interpreted as a down-to-the-east normal fault or fault zone, our modeling suggests that it also is likely related to pre-rift tectonics. Aeromagnetic anomalies over much of the area are interpreted to mainly reflect variations of remanent magnetic polarity and burial depth of the 5.3–3.7 Ma Servilleta Basalt of the Taos Plateau volcanic field. Magnetic-source depth estimates are interpreted to indicate patterns of subsidence following eruption of the basalt, with maximum subsidence in the Sanchez graben.

Colorado, New Mexico

Chesapeake Bay impact structure—Development of "brim" sedimentation in a multilayered marine target

The late Eocene Chesapeake Bay impact structure was formed in a multilayered target of seawater underlain sequentially by a sediment layer and a rock layer in a continental-shelf environment. Impact effects in the “brim” (annular trough) surrounding and adjacent to the transient crater, between the transient crater rim and the outer margin, primarily were limited to the target-sediment layer. Analysis of published and new lithostratigraphic, biostratigraphic, sedimentologic, petrologic, and mineralogic studies of three core holes, and published studies of a fourth core hole, provided information for the interpretation of the impact processes, their interactions and relative timing, their resulting products, and sedimentation in the brim. Most studies of marine impact-crater materials have focused on those found in the central crater. There are relatively few large, complex marine craters, of which most display a wide brim around the central crater. However, most have been studied using minimal data sets. The large number of core holes and seismic profiles available for study of the Chesapeake Bay impact structure presents a special opportunity for research. The physical and chronologic records supplied by study of the sediment and rock cores of the Chesapeake Bay impact indicate that the effects of the initial, short-lived contact and compression and excavation stages of the impact event primarily were limited to the transient crater. Only secondary effects of these processes are evident in the brim. The preserved record of the brim was created primarily in the subsequent modification stage. In the brim, the records of early impact processes (e.g., outgoing tsunamis, overturned flap collapse) were modified or removed by later processes. Transported and rotated, large and small clasts of target sediments, and intervals of fluidized sands indicate that seismic shaking fractured and partially fluidized the Cretaceous and Paleogene target sediments, which led to their inward transport by collapse and lateral spreading toward the transient crater. The succeeding inward seawater-resurge flow quickly overtook and interacted with the lateral spreading, further facilitating sediment transport across the brim and into the transient crater. Variations in the cohesion and relative depth of the target sediments controlled their degree of disaggregation and redistribution during these events. Melt clasts and shocked and unshocked rock clasts in the resurge sediments indicate fallout from the ejecta curtain and plume. Basal parautochthonous remnant sections of target Cretaceous sediments in the brim thin toward the collapsed transient crater. Overlying seawater-resurge deposits consist primarily of diamictons that vary laterally in thickness, and vertically and laterally in maximum grain size. After cessation of resurge flow and re-establishment of pre-impact sea level, sandy sediment gravity flows moved from the margin to the center of the partially filled impact structure (shelf basin). The uppermost unit consists of stratified sediments deposited from suspension. Postimpact clayey silts cap the crater fill and record the return to shelf sedimentation at atypically large paleodepths within the shelf basin. An unresolved question involves a section of gravel and sand that overlies Neoproterozoic granite in the inner part of the brim in one core hole. This section may represent previously unrecognized, now parautochthonous Cretaceous sediments lying nonconformably above basement granite, or it may represent target sediments that were moved significant distances by lateral spreading above basement rocks or above a granite megaclast from the overturned flap. The Chesapeake Bay impact structure is perhaps the best documented example of the small group of multilayer, marine-target impacts formed in continental shelves or beneath epeiric seas.

Chesapeake Bay