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Resolution analysis of finite fault source inversion using one- and three-dimensional Green's functions 2. Combining seismic and geodetic data

Using numerical tests for a prescribed heterogeneous earthquake slip distribution, we examine the importance of accurate Green's functions (GF) for finite fault source inversions which rely on coseismic GPS displacements and leveling line uplift alone and in combination with near-source strong ground motions. The static displacements, while sensitive to the three-dimensional (3-D) structure, are less so than seismic waveforms and thus are an important contribution, particularly when used in conjunction with waveform inversions. For numerical tests of an earthquake source and data distribution modeled after the 1994 Northridge earthquake, a joint geodetic and seismic inversion allows for reasonable recovery of the heterogeneous slip distribution on the fault. In contrast, inaccurate 3-D GFs or multiple 1-D GFs allow only partial recovery of the slip distribution given strong motion data alone. Likewise, using just the GPS and leveling line data requires significant smoothing for inversion stability, and hence, only a blurred vision of the prescribed slip is recovered. Although the half-space approximation for computing the surface static deformation field is no longer justifiable based on the high level of accuracy for current GPS data acquisition and the computed differences between 3-D and half-space surface displacements, a layered 1-D approximation to 3-D Earth structure provides adequate representation of the surface displacement field. However, even with the half-space approximation, geodetic data can provide additional slip resolution in the joint seismic and geodetic inversion provided a priori fault location and geometry are correct. Nevertheless, the sensitivity of the static displacements to the Earth structure begs caution for interpretation of surface displacements, particularly those recorded at monuments located in or near basin environments.

Journal of Geophysical Research B: Solid Earth

Aftershock decay, productivity, and stress rates in Hawaii: Indicators of temperature and stress from magma sources

We examined dozens of aftershock sequences in Hawaii in terms of Gutenberg-Richter and modified Omori law parameters. We studied p, the rate of aftershock decay; A p , the aftershock productivity, defined as the observed divided by the expected number of aftershocks; and c, the time delay when aftershock rates begin to fall. We found that for earthquakes shallower than 20 km, p values >1.2 are near active magma centers. We associate this high decay rate with higher temperatures and faster stress relaxation near magma reservoirs. Deep earthquakes near Kilauea's inferred magma transport path show a range of p values, suggesting the absence of a large, deep magma reservoir. Aftershock productivity is >4.0 for flank earthquakes known to be triggered by intrusions but is normal (0.25 to 4.0) for isolated main shocks. We infer that continuing, post-main shock stress from the intrusion adds to the main shock's stress step and causes higher A p . High A p in other zones suggests less obvious intrusions and pulsing magma pressure near Kilauea's feeding conduit. We calculate stress rates and stress rate changes from pre-main shock and aftershock rates. Stress rate increased after many intrusions but decreased after large M7–8 earthquakes. Stress rates are highest in the seismically active volcano flanks and lowest in areas far from volcanic centers. We found sequences triggered by intrusions tend to have high A p , high (>0.10 day) c values, a stress rate increase, and sometimes a peak in aftershock rate hours after the main shock. We interpret these values as indicating continuing intrusive stress after the main shock.

Hawai'i

An analysis of water data systems to inform the Open Water Data Initiative

Improving access to data and fostering open exchange of water information is foundational to solving water resources issues. In this vein, the Department of the Interior's Assistant Secretary for Water and Science put forward the charge to undertake an Open Water Data Initiative (OWDI) that would prioritize and accelerate work toward better water data infrastructure. The goal of the OWDI is to build out the Open Water Web (OWW). We therefore considered the OWW in terms of four conceptual functions: water data cataloging, water data as a service, enriching water data, and community for water data. To describe the current state of the OWW and identify areas needing improvement, we conducted an analysis of existing systems using a standard model for describing distributed systems and their business requirements. Our analysis considered three OWDI-focused use cases—flooding, drought, and contaminant transport—and then examined the landscape of other existing applications that support the Open Water Web. The analysis, which includes a discussion of observed successful practices of cataloging, serving, enriching, and building community around water resources data, demonstrates that we have made significant progress toward the needed infrastructure, although challenges remain. The further development of the OWW can be greatly informed by the interpretation and findings of our analysis.

Journal of the American Water Resources Associatio

Determination and uncertainty of moment tensors for microearthquakes at Okmok Volcano, Alaska

Efforts to determine general moment tensors (MTs) for microearthquakes in volcanic areas are often hampered by small seismic networks, which can lead to poorly constrained hypocentres and inadequate modelling of seismic velocity heterogeneity. In addition, noisy seismic signals can make it difficult to identify phase arrivals correctly for small magnitude events. However, small volcanic earthquakes can have source mechanisms that deviate from brittle double-couple shear failure due to magmatic and/or hydrothermal processes. Thus, determining reliable MTs in such conditions is a challenging but potentially rewarding pursuit. We pursued such a goal at Okmok Volcano, Alaska, which erupted recently in 1997 and in 2008. The Alaska Volcano Observatory operates a seismic network of 12 stations at Okmok and routinely catalogues recorded seismicity. Using these data, we have determined general MTs for seven microearthquakes recorded between 2004 and 2007 by inverting peak amplitude measurements of P and S phases. We computed Green's functions using precisely relocated hypocentres and a 3-D velocity model. We thoroughly assessed the quality of the solutions by computing formal uncertainty estimates, conducting a variety of synthetic and sensitivity tests, and by comparing the MTs to solutions obtained using alternative methods. The results show that MTs are sensitive to station distribution and errors in the data, velocity model and hypocentral parameters. Although each of the seven MTs contains a significant non-shear component, we judge several of the solutions to be unreliable. However, several reliable MTs are obtained for a group of previously identified repeating events, and are interpreted as compensated linear-vector dipole events.

Alaska

Trend estimation in populations with imperfect detection

1. Trends of animal populations are of great interest in ecology but cannot be directly observed owing to imperfect detection. Binomial mixture models use replicated counts to estimate abundance, corrected for detection, in demographically closed populations. Here, we extend these models to open populations and illustrate them using sand lizard Lacerta agilis counts from the national Dutch reptile monitoring scheme. 2. Our model requires replicated counts from multiple sites in each of several periods, within which population closure is assumed. Counts are described by a hierarchical generalized linear model, where the state model deals with spatio-temporal patterns in true abundance and the observation model with imperfect counts, given that true state. We used WinBUGS to fit the model to lizard counts from 208 transects with 1–10 (mean 3) replicate surveys during each spring 1994–2005. 3. Our state model for abundance contained two independent log-linear Poisson regressions on year for coastal and inland sites, and random site effects to account for unexplained heterogeneity. The observation model for detection of an individual lizard contained effects of region, survey date, temperature, observer experience and random survey effects. 4. Lizard populations increased in both regions but more steeply on the coast. Detectability increased over the first few years of the study, was greater on the coast and for the most experienced observers, and highest around 1 June. Interestingly, the population increase inland was not detectable when the observed counts were analysed without account of detectability. The proportional increase between 1994 and 2005 in total lizard abundance across all sites was estimated at 86% (95% CRI 35–151). 5. Synthesis and applications . Open-population binomial mixture models are attractive for studying true population dynamics while explicitly accounting for the observation process, i.e. imperfect detection. We emphasize the important conceptual benefit provided by temporal replicate observations in terms of the interpretability of animal counts.

Journal of Applied Ecology

Fix success and accuracy of GPS radio collars in old-growth temperate coniferous forests

Global Positioning System (GPS) telemetry is used extensively to study animal distribution and resource selection patterns but is susceptible to biases resulting from data omission and spatial inaccuracies. These data errors may cause misinterpretation of wildlife habitat selection or spatial use patterns. We used both stationary test collars and collared free-ranging American black bears ( Ursus americanus ) to quantify systemic data loss and location error of GPS telemetry in mountainous, old-growth temperate forests of Olympic National Park, Washington, USA. We developed predictive models of environmental factors that influence the probability of obtaining GPS locations and evaluated the ability of weighting factors derived from these models to mitigate data omission biases from collared bears. We also examined the effects of microhabitat on collar fix success rate and examined collar accuracy as related to elevation changes between successive fixes. The probability of collars successfully obtaining location fixes was positively associated with elevation and unobstructed satellite view and was negatively affected by the interaction of overstory canopy and satellite view. Test collars were 33% more successful at acquiring fixes than those on bears. Fix success rates of collared bears varied seasonally and diurnally. Application of weighting factors to individual collared bear fixes recouped only 6% of lost data and failed to reduce seasonal or diurnal variation in fix success, suggesting that variables not included in our model contributed to data loss. Test collars placed to mimic bear bedding sites received 16% fewer fixes than randomly placed collars, indicating that microhabitat selection may contribute to data loss for wildlife equipped with GPS collars. Horizontal collar errors of >800 m occurred when elevation changes between successive fixes were >400 m. We conclude that significant limitations remain in accounting for data loss and error inherent in using GPS telemetry in coniferous forest ecosystems and that, at present, resource selection patterns of large mammals derived from GPS telemetry should be interpreted cautiously.

Washington

Analysis of the influence of spatial pattern in habitat selection studies

Design and analysis of wildlife habitat selection studies typically do not assess the effect of spatial pattern on the habitat selection process. Effects of landscape scale pattern on habitat selection cannot be accomplished without replicate study areas, because pattern is a single, albeit multifaceted, attribute of an area. For a single area, however, the influence of pattern-related characteristics, such as shape and edge shared with adjacent patches, can be estimated by using GLIM (McCullough and Neider 1983) procedures to model patch-specific frequency counts of animal use as a function of these parameters. This approach is evaluated and illustrated with simulated breeding-bird counts in a South Carolina study area for which a GIS land cover classification is available. A related technique for evaluating whether movement from patch to patch is selective is developed and illustrated for designs that involve collection of trajectory data from monitored individuals. These designs and analyses are feasible given current GIS and GPS technology. Statistical inferences from habitat selection studies should be interpreted within the context of a range of scales at which animals differentiate between patch attributes.

Journal of Agricultural, Biological, and Environme

High-resolution sclerochronological analysis of the bivalve mollusk Saxidomus gigantea from Alaska and British Columbia: techniques for revealing environmental archives and archaeological seasonality

The butter clam, Saxidomus gigantea, is one of the most commonly recovered bivalves from archaeological shell middens on the Pacific Coast of North America. This study presents the results of the sclerochronology of modern specimens of S. gigantea, collected monthly from Pender Island (British Columbia), and additional modern specimens from the Dundas Islands (BC) and Mink and Little Takli Islands (Alaska). The methods presented can be used as a template to interpret local environmental conditions and increase the precision of seasonality estimates in shellfish using sclerochronology and oxygen isotope analysis. This method can also identify, with a high degree of accuracy, the date of shell collection to the nearest fortnightly cycle, the time of day the shell was collected and the approximate tidal elevation (i.e., approx. water depth and distance from the shoreline) from which the shell was collected. Life-history traits of S. gigantea were analyzed to understand the timing of growth line formation, the duration of the growing season, the growth rate, and the reliability of annual increments. We also examine the influence of the tidal regime and freshwater mixing in estuarine locations and how these variables can affect both incremental structures and oxygen isotope values. The results of the sclerochronological analysis show that there is a latitudinal trend in shell growth that needs to be considered when using shells for seasonality studies. Oxygen isotope analysis reveals clear annual cycles with the most positive values corresponding to the annual winter growth lines, and the most negative values corresponding to high temperatures during the summer. Intra-annual increment widths demonstrate clear seasonal oscillations with broadest increments in summer and very narrow increments or no growth during the winter months. This study provides new insights into the biology, geochemistry and seasonal growth of S. gigantea, which are crucial for paleoclimate reconstructions and interpreting seasonality patterns of past human collection.

Alaska;British Columbia

Evidence for the presence of a heart in Paleozoic ostracodes inconclusive

The presence of a heart in some Paleozoic ostracodes has been inferred by analogy with some living myodocopids that have this organ, and an ordinal classification of the leperditiids has been proposed because of this inference. A review of the present knowledge of the internal shell structure of living myodocopids indicates that there is no basis for interpreting certain markings preserved on fossil molds and steinkerns as indicating the presence of a heart.

Journal of Research of the U.S. Geological Survey

Formation of joints in bedrock by moving glacial ice

The orientation of joints in igneous and sedimentary rocks was measured at 21 localities in California, Maine, and New York to investigate the hypothesis that glaciation may open joints in bedrock. A summary of strikes of all joint sets shows the following pattern relative to the direction of glacial advance: two sets, thought to be extension joints, flank the direction of advance and are separated from it by about 10°; two sets, thought to be shear joints, flank the direction of advance by about 40°; and two sets, thought to be release joints, are about 70° to 80° from the direction of advance, or nearly perpendicular to the extension joints. An average of five joint sets, including three or four in this pattern, was found at each locality. The joints are believed to have been opened, in response to stress applied by the moving ice, along preexisting zones of weakness (potential regional joints) in the rock. Some new joints may have formed where no such zone was present near the position required for fracture under the applied stress. Additional investigation of the hypothesis is desirable because of its possible bearing on glacial erosion by quarrying, on interpretation of joint patterns in glaciated regions, and on the nature of aquifers in glaciated bedrock.

California, Maine, New York

Early Ordovician gastropod opercula and epicontinental seas

Collections made for some years from Lower Ordovician rocks by many geologists have established that the heavy calcareous operculum of the gastropod Ceratopea is almost never found associated with a shell and that commonly this operculum is secondarily silicified. Ceratopea may have lived in a stressed habitat and may have been essentially the only shelled invertebrate present. Presumably these animals grazed on algal mats and mounds growing in areas of water slightly more saline than open marine water and were killed by an influx of hypersaline water. Subsequent decay of soft parts would permit the operculum to rot off and would also lighten the shell so that it could float away. Pene-contemporaneous silicification of calcareous opercula on the Ordovician sea bottom is postulated. Some Middle Ordovician opercula of the Middle to Late Ordovician genus Maclurites serve to test this speculation. These opercula also occur in geologic settings which may be interpreted in terms of kill of animal, wafting away of shell, and secondary silicification of operculum.

Alabama, Arkansas, Colorado, Georgia, Maryland, Ne

Application of ground-penetrating radar, digital optical borehole images, and cores for characterization of porosity hydraulic conductivity and paleokarst in the Biscayne aquifer, southeastern Florida, USA

This paper presents examples of ground-penetrating radar (GPR) data from two study sites in southeastern Florida where karstic Pleistocene platform carbonates that comprise the unconfined Biscayne aquifer were imaged. Important features shown on resultant GPR profiles include: (1) upward and lateral qualitative interpretative distribution of porosity and hydraulic conductivity; (2) paleotopographic relief on karstic subaerial exposure surfaces; and (3) vertical stacking of chronostratigraphic high-frequency cycles (HFCs). These characteristics were verified by comparison to rock properties observed and measured in core samples, and identified in digital optical borehole images. Results demonstrate that an empirical relation exists between measured whole-core porosity and hydraulic conductivity, observed porosity on digital optical borehole images, formation conductivity, and GPR reflection amplitudes-as porosity and hydraulic conductivity determined from core and borehole images increases, formation conductivity increases, and GPR reflection amplitude decreases. This relation allows for qualitative interpretation of the vertical and lateral distribution of porosity and hydraulic conductivity within HFCs. Two subtidal HFCs in the uppermost Biscayne aquifer have significantly unique populations of whole-core porosity values and vertical hydraulic conductivity values. Porosity measurements from one cycle has a median value about two to three times greater than the values from the other HFC, and median values of vertical hydraulic-conductivity about three orders of magnitude higher than the other HFC. The HFC with the higher porosity and hydraulic conductivity values is shown as a discrete package of relatively low-amplitude reflections, whereas the HFC characterized by lower porosity and hydraulic-conductivity measurements is expressed by higher amplitude reflections. Porosity and hydraulic-conductivity values measured from whole-core samples, and vuggy porosity identified on digital borehole images from shallowing-upward, peritidal HFCs show that the highest porosity occurs at the base of the cycles, moderate porosity at the middle of the cycles, and lowest porosity occurs at the top of cycles. Hydraulic conductivity is also highest at the base of the peritidal cycles and lowest in the middle to upper parts of cycles. This change in porosity and hydraulic conductivity from bottom to top is visible as an upward variation in reflection amplitude on GPR profiles-lowest amplitudes at the base and highest at the cycle tops. This study demonstrates that GPR can be used to show the qualitative distribution of porosity and hydraulic conductivity within a cycle-stratigraphic framework composed of carbonate HFCs. The distribution of porosity and hydraulic conductivity within HFCs is related to depositional textures. The upward and lateral patterns of the rock facies within the HFCs can be translated to geophysical-log properties and radar facies configurations that could aid in interpretation and prediction of ground-water flow through a carbonate aquifer. ?? 2003 Elsevier B.V. All rights reserved.

Journal of Applied Geophysics

A lacustrine record from Lop Nur, Xinjiang, China: Implications for paleoclimate change during Late Pleistocene

Climate variability during the Late Pleistocene is studied from the proxies in core CK-2 drilled from the Luobei Depression (91??03???E, 40??47???N), Lop Nur in the eastern Tarim Basin, Xinjiang, China. Geophysical and geochemical properties, including magnetic susceptibility, granularity, chroma, carbonate content, loss on ignition and trace elements, have been determined to reconstruct the environmental evolution of the area during 32-9 ka BP. The chronology is established by uranium-thorium disequilibrium dating techniques. Our data suggest four paleoclimate stages, indicating glacial variations between cold-humid and warm-arid environments. A period of extreme humidity occurred during 31,900-19,200 yr BP is attributed the last glacial maximum (LGM). The period was followed by a warm-arid episode during 19,200-13,500 yr BP. Then a cold-humid interval during 13,500-12,700 yr BP may correspond to another cooling phases at high latitudes of the Northern Hemisphere. The last stage from 12,700 to 9000 yr BP has a trend that the climate turned warm and arid. The Lop Nur region is characterized by particularly humid stadials and arid interstadials. The climate variability in Lop Nur was constrained by global climate change because it is correlated with Dansgaard-Oeschger and Heinrich events, which were observed at the northern high latitudes. The synchroneity of the palaeoclimatic events suggested that cold air activity at the northern high latitudes was the most important factor that influenced the climate evolution in the Lop Nur region. A probable mechanism that involves the migration of westerly winds is proposed to interpret this synchroneity. ?? 2008 Elsevier Ltd.

Journal of Asian Earth Sciences

Frictional constraints on crustal faulting

We consider how variations in fault frictional properties affect the phenomenology of earthquake faulting. In particular, we propose that lateral variations in fault friction produce the marked heterogeneity of slip observed in large earthquakes. We model these variations using a rate- and state-dependent friction law, where we differentiate velocity-weakening behavior into two fields: the strong seismic field is very velocity weakening and the weak seismic field is slightly velocity weakening. Similarly, we differentiate velocity-strengthening behavior into two fields: the compliant field is slightly velocity strengthening and the viscous field is very velocity strengthening. The strong seismic field comprises the seismic slip concentrations, or asperities. The two “intermediate” fields, weak seismic and compliant, have frictional velocity dependences that are close to velocity neutral: these fields modulate both the tectonic loading and the dynamic rupture process. During the interseismic period, the weak seismic and compliant regions slip aseismically, while the strong seismic regions remain locked, evolving into stress concentrations that fail only in main shocks. The weak seismic areas exhibit most of the interseismic activity and aftershocks but can also creep seismically. This “mixed” frictional behavior can be obtained from a sufficiently heterogeneous distribution of the critical slip distance. The model also provides a mechanism for rupture arrest: dynamic rupture fronts decelerate as they penetrate into unloaded complaint or weak seismic areas, producing broad areas of accelerated afterslip. Aftershocks occur on both the weak seismic and compliant areas around a fault, but most of the stress is diffused through aseismic slip. Rapid afterslip on these peripheral areas can also produce aftershocks within the main shock rupture area by reloading weak fault areas that slipped in the main shock and then healed. We test this frictional model by comparing the seismicity and the coseismic slip for the 1966 Parkfield, 1979 Coyote Lake, and 1984 Morgan Hill earthquakes. The interevent seismicity and aftershocks appear to occur on fault areas outside the regions of significant slip: these regions are interpreted as either weak seismic or compliant, depending on whether or not they manifest interevent seismicity.

Journal of Geophysical Research B: Solid Earth

Technical clarity in inter-agency negotiations: Lessons from four hydropower projects

We investigated the effect of technical clarity on success in multi-party negotiations in the Federal Energy Regulatory Commission (FERC) licensing process. Technical clarity is the shared understanding of dimensions such as the geographic extent of the project, range of flows to be considered, important species and life stages, and variety of water uses considered. The results of four hydropower licensing consultations are reported. Key participants were interviewed to ascertain the level of technical clarity present during the consultations and the degree to which the consultations were successful. Technical clarity appears to be a prerequisite for successful outcomes. Factors that enhance technical clarity include simple project design, new rather than existing projects, precise definition of issues, a sense of urgency to reach agreement, a sense of fairness among participants, and consistency in participation. Negotiators should not neglect the critical pre-negotiation steps of defining technical issues and determining appropriate studies, deciding how to interpret studies, and agreeing on responses to study results.

Journal of the American Water Resources Associatio

Three-dimensional sensitivity distribution and sample volume of low-induction-number electromagnetic-induction instruments

There is an ongoing effort to improve the understanding of the correlation of soil properties with apparent soil electrical conductivity as measured by low‐induction‐number electromagnetic‐induction (LIN FEM) instruments. At a minimum, the dimensions of LIN FEM instruments' sample volume, the spatial distribution of sensitivity within that volume, and implications for surveying and analyses must be clearly defined and discussed. Therefore, a series of numerical simulations was done in which a conductive perturbation was moved systematically through homogeneous soil to elucidate the three‐dimensional sample volume of LIN FEM instruments. For a small perturbation with electrical conductivity similar to that of the soil, instrument response is a measure of local sensitivity (LS). Our results indicate that LS depends strongly on the orientation of the instrument's transmitter and receiver coils and includes regions of both positive and negative LS. Integration of the absolute value of LS from highest to lowest was used to contour cumulative sensitivity (CS). The 90% CS contour was used to define the sample volume. For both horizontal and vertical coplanar coil orientations, the longest dimension of the sample volume was at the surface along the main instrument axis with a length of about four times the intercoil spacing (s) with maximum thicknesses of about 1 and 0.3 s, respectively. The imaged distribution of spatial sensitivity within the sample volume is highly complex and should be considered in conjunction with the expected scale of heterogeneity before the use and interpretation of LIN FEM for mapping and profiling.

Soil Science Society of America Journal

Postearthquake relaxation evidence for laterally variable viscoelastic structure and water content in the Southern California mantle

I reexamine the lower crust and mantle relaxation following two large events in the Mojave Desert: the 1992 M 7.3 Landers and 1999 M 7.1 Hector Mine, California, earthquakes. Time series from continuous GPS sites out to 300 km from the ruptures are used to constrain models of postseismic relaxation. Crustal motions in the Mojave Desert region are elevated above background for several years following each event. To account for broadscale relaxation of the lower crust and mantle, the Burgers body model is employed, involving transient and steady state viscosities. Joint afterslip/postseismic relaxation modeling of the GPS time series up to one decade following the Hector Mine earthquake reveals a significant rheological contrast between a northwest trending “southwest domain” (that envelopes the San Andreas fault system and western Mojave Desert) and an adjacent “northeast domain” (that envelopes the Landers and Hector Mine rupture areas in the central Mojave Desert). The steady state viscosity of the northeast domain mantle asthenosphere is inferred to be ∼4 times greater than that of the southwest domain. This pattern is counter to that expected for regional heat flow, which is higher in the northeast domain, but it is explicable by means of a nonlinear rheology that includes dependence on both strain rate and water concentration. I infer that the southwest domain mantle has a relatively low steady state viscosity because of its high strain rate and water content. The relatively low mantle water content of the northeast domain is interpreted to result from the continual extraction of water through igneous and volcanic activity over the past ∼20 Myr.

California

High-resolution image of Calaveras Fault seismicity

By measuring relative earthquake arrival times using waveform cross correlation and locating earthquakes using the double difference technique, we are able to reduce hypocentral errors by 1 to 2 orders of magnitude over routine locations for nearly 8000 events along a 35-km section of the Calaveras Fault. This represents ∼92% of all seismicity since 1984 and includes the rupture zone of the M 6.2 1984 Morgan Hill, California, earthquake. The relocated seismicity forms highly organized structures that were previously obscured by location errors. There are abundant repeating earthquake sequences as well as linear clusters of earthquakes. Large voids in seismicity appear with dimensions of kilometers that have been aseismic over the 30-year time interval, suggesting that these portions of the fault are either locked or creeping. The area of greatest slip in the Morgan Hill main shock coincides with the most prominent of these voids, suggesting that this part of the fault may be locked between large earthquakes. We find that the Calaveras Fault at depth is extremely thin, with an average upper bound on fault zone width of 75 m. Given the location error, however, this width is not resolvably different from zero. The relocations reveal active secondary faults, which we use to solve for the stress field in the immediate vicinity of the Calaveras Fault. We find that the maximum compressive stress is at a high angle, only 13° from the fault normal, supporting previous interpretations that this fault is weak.

California