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At least 955 records · Page 53Linked to original sources

Mars Reconnaissance Orbiter and Opportunity observations of the Burns formation: crater hopping at Meridiani Planum

Compact Reconnaissance Imaging Spectrometer for Mars hyperspectral (1.0–2.65 µm) along-track oversampled observations covering Victoria, Santa Maria, Endeavour, and Ada craters were processed to 6 m/pixel and used in combination with Opportunity observations to detect and map hydrated Mg and Ca sulfate minerals in the Burns formation. The strongest spectral absorption features were found to be associated with outcrops that are relatively young and fresh (Ada) or preferentially scoured of dust, soil, and coatings by prevailing winds. At Victoria and Santa Maria, the scoured areas are on the southeastern rims and walls, opposite to the sides where wind-blown sands extend out of the craters. At Endeavour, the deepest absorptions are in Botany Bay, a subdued and buried rim segment that exhibits high thermal inertias, extensive outcrops, and is interpreted to be a region of enhanced wind scour extending up and out of the crater. Ada, Victoria, and Santa Maria outcrops expose the upper portion of the preserved Burns formation and show spectral evidence for the presence of kieserite. In contrast, gypsum is pervasive spectrally in the Botany Bay exposures. Gypsum, a relatively insoluble evaporative mineral, is interpreted to have formed close to the contact with the Noachian crust as rising groundwaters brought brines close to and onto the surface, either as a direct precipitate or during later diagenesis. The presence of kieserite at the top of the section is hypothesized to reflect precipitation from evaporatively concentrated brines or dehydration of polyhydrated sulfates.

Journal of Geophysical Research E: Planets

Spring census of mid-continent sandhill cranes using aerial infrared videography

Aerial infrared videography was used to map spatial distributions of nocturnal sandhill crane (Grus canadensis) flocks and determine crane densities within roosts as an alternative to the currently used diurnal photo-corrected ocular transect method to estimate the size of the mid-continental population. The densities determined from samples taken over the course of a night show variability. Densities measured early in the night (2100 to 2300 hrs) were generally lower than those measured in the time period after midnight and up until cranes prepared to depart their roosts before sunrise. This suggests that cranes may be more active early in the night and possibly still settling into their roosts at this time. For this reason, densities and areas measured later at night and into the early morning were used to estimate population size. Our methods estimated that the annual crane populations along the central Platte River in Nebraska were higher than estimates from the ocular transect method; however both methods showed a similar trend with time. Our population size estimates likely were higher because our methodology provided synoptic imagery of crane roosts along the entire study reach when all cranes had returned to the river, and the nocturnal densities were higher than previous estimates using observations from late evening or early morning. In addition to providing a tool for estimating annual population size, infrared videography can be utilized over time to identify spatial changes in the roosting patterns that may occur as a result of riverine management activities.

Journal of Wildlife Management

Using integrated step-selection analyses to map high-risk electrocution areas for a highly mobile species

Knowledge of animal-movement patterns is a crucial component in identifying areas with high potential for human–wildlife conflict and in prioritizing associated management actions. Electrical energy infrastructure is a major source of mortality for animals worldwide, with millions of birds colliding with or being electrocuted by power lines and power-pole infrastructure each year. Movement, habitat use, and the spatial distribution of electrocution risk can vary with age, but studies of younger age classes are often hampered because these groups are difficult to observe and lack well-defined home ranges. To identify movement patterns and high-use areas of bald eagles in Arizona, USA, we analyzed global positioning system (GPS) telemetry data collected from 13 immature bald eagles ( Haliaeetus leucocephalus ) across Arizona between 2017 and 2023. We built multi-scale, integrated step-selection functions that evaluated eagle responses to a suite of environmental covariates. We then used these models to simulate eagle movement and predict habitat use within and surrounding Maricopa County, which contains both the Phoenix Metropolitan Area and the plurality of bald eagle breeding areas in Arizona. We provide a use case for how these simulated movements could be used by resource managers to identify high-risk areas for electrocution. Eagles avoided urban areas and selected steeper slopes, more pronounced ridges, and areas with greater water and wetland land cover. Predicted habitat use by bald eagles was greatest near waterbodies and along ridges and steep slopes, and indicated where power infrastructure may pose greater electrocution risk. We show how integrated step-selection analyses and movement path simulation may be used for subadult animals lacking stable home ranges to predict high-use areas and identify locations with greater potential for negative human–wildlife interactions.

Arizona

Cosmogenic 10Be and 36Cl geochronology of offset alluvial fans along the northern Death Valley fault zone: Implications for transient strain in the eastern California shear zone

The northern Death Valley fault zone (NDVFZ) has long been recognized as a major right-lateral strike-slip fault in the eastern California shear zone (ECSZ). However, its geologic slip rate has been difficult to determine. Using high-resolution digital topographic imagery and terrestrial cosmogenic nuclide dating, we present the first geochronologically determined slip rate for the NDVFZ. Our study focuses on the Red Wall Canyon alluvial fan, which exposes clean dextral offsets of seven channels. Analysis of airborne laser swath mapping data indicates ???297 ?? 9 m of right-lateral displacement on the fault system since the late Pleistocene. In situ terrestrial cosmogenic 10Be and 36C1 geochronology was used to date the Red Wall Canyon fan and a second, correlative fan also cut by the fault. Beryllium 10 dates from large cobbles and boulders provide a maximum age of 70 +22/-20 ka for the offset landforms. The minimum age of the alluvial fan deposits based on 36Cl depth profiles is 63 ?? 8 ka. Combining the offset measurement with the cosmogenic 10Be date yields a geologic fault slip rate of 4.2 +1.9/-1.1 mm yr-1, whereas the 36Cl data indicate 4.7 +0.9/-0.6 mm yr-1 of slip. Summing these slip rates with known rates on the Owens Valley, Hunter Mountain, and Stateline faults at similar latitudes suggests a total geologic slip rate across the northern ECSZ of ???8.5 to 10 mm yr-1. This rate is commensurate with the overall geodetic rate and implies that the apparent discrepancy between geologic and geodetic data observed in the Mojave section of the ECSZ does not extend north of the Garlock fault. Although the overall geodetic rates are similar, the best estimates based on geology predict higher strain rates in the eastern part of the ECSZ than to the west, whereas the observed geodetic strain is relatively constant. Copyright 2007 by the American Geophysical Union.

Journal of Geophysical Research B: Solid Earth

Accuracy of flood mapping

Information taken directly from published and unpublished reports was used to appraise the accuracy and the limitations of the three general flood-mapping methods: detailed, historical, and physiographic. In the appraisal, the probable nationwide average standard error of estimate for water depth and elevation in percentage of depth and in meters was determined for 100-year flood boundaries. Bias errors, users' errors, and certain time-variant errors were not. considered. The probable standard error for the detailed method is 23 percent. Based on 3.9 m as the national average 100-yr depth, the probable standard error of estimate is 0.9 m. The detailed method is applicable to a wide range of hydraulic and topographic conditions; it is the only method tested that is directly applicable to floodways analysis. The method requires detailed data and time-consuming analyses, however, and it has only limited application for determining flood elevations for sheet flow and for flow in channels having readily movable boundaries. The probable standard error for the historical method is 23 percent. Based on the 3.9-m average 100-yr depth, the standard error is 0.9 m. The historical method is applicable to a wide range of hydraulic and topographic conditions if specific data are available. The method is not applicable to floodways analysis, and it has only limited application for flow in moveable-boundary channels. The standard error for the physiographic method is 27 percent. In meters, the error is 1.1. .The physiographic method is simpler to apply than the other methods; however, it can be used only in natural channels having rigid boundaries. It is not applicable to sheet flow and to floodways analysis.

Journal of Research of the U.S. Geological Survey

Inverse geochemical modeling of groundwater evolution with emphasis on arsenic in the Mississippi River Valley alluvial aquifer, Arkansas (USA)

Inverse geochemical modeling (PHREEQC) was used to identify the evolution of groundwater with emphasis on arsenic (As) release under reducing conditions in the shallow (25-30 m) Mississippi River Valley Alluvial aquifer, Arkansas, USA. The modeling was based on flow paths defined by high-precision (??2 cm) water level contour map; X-ray diffraction (XRD), scanning electron microscopic (SEM), and chemical analysis of boring-sediments for minerals; and detailed chemical analysis of groundwater along the flow paths. Potential phases were constrained using general trends in chemical analyses data of groundwater and sediments, and saturation indices data (MINTEQA2) of minerals in groundwater. Modeling results show that calcite, halite, fluorite, Fe oxyhydroxide, organic matter, H2S (gas) were dissolving with mole transfers of 1.40E - 03, 2.13E - 04, 4.15E - 06, 1.25E + 01, 3.11, and 9.34, respectively along the dominant flow line. Along the same flow line, FeS, siderite, and vivianite were precipitating with mole transfers of 9.34, 3.11, and 2.64E - 07, respectively. Cation exchange reactions of Ca2+ (4.93E - 04 mol) for Na+ (2.51E - 04 mol) on exchange sites occurred along the dominant flow line. Gypsum dissolution reactions were dominant over calcite dissolution in some of the flow lines due to the common ion effect. The concentration of As in groundwater ranged from <0.5 to 77 ??g/L. Twenty percent total As was complexed with Fe and Mn oxyhydroxides. The redox environment, chemical data of sediments and groundwater, and the results of inverse geochemical modeling indicate that reductive dissolution of Fe oxyhydroxide is the dominant process of As release in the groundwater. The relative rate of reduction of Fe oxyhydroxide over SO42 - with co-precipitation of As into sulfide is the limiting factor controlling dissolved As in groundwater. ?? 2007 Elsevier B.V. All rights reserved.

Journal of Hydrology

Controls on the stratigraphic architecture of the US Atlantic margin: Processes forming the accommodation space

Accommodation space governs the spatial and temporal distributions of sediments in continental margins. Mapping the sedimentation patterns, therefore, offers insights into the solid-Earth processes that shape accommodation space. We assembled an unprecedented amount of seismic and borehole data along the Eastern North American Margin and used it to divide the margin's sedimentary package into eight chronostratigraphic intervals, identifying temporal shifts in depocenters under the continental shelf, slope, and rise. The Jurassic depocenters follow the syn-rift structure and its thermal subsidence loci. The Long Island Platform is the only margin segment where the early post-rift sediment thickness matches subsidence predictions from uniform-stretching models, whereas in Georges Bank Basin (GBB) and Baltimore Canyon Trough (BCT), sediment thickness is 1.5–3 times higher than predicted, pointing to other factors at play. A margin-wide Jurassic transient shoulder uplift is inferred from the occurrence of stratigraphic onlaps above thinned crust. Unlike the Jurassic, the Cretaceous and Cenozoic depocenters disregard the inherited subsidence pattern. The accommodation space over the shelf and coastal plain during the Cretaceous was affected by regional isostatic compensation of the sedimentary loads accumulated on the shelf and rise. Accommodation space development in the GBB was interrupted during the Cretaceous after the margin crossed the Great Meteor Hotspot track, resulting in a widespread permanent uplift, erosion, and sediment redistribution. The distribution of anomalous Neogene subsidence in the BCT challenges previous suggestions of mantle dynamic control on the accommodation space and favors flexural downwarping of the shelf by sediment accumulation on the rise.

Journal of Geophysical Research: Solid Earth

Revealing the extent of sea otter impacts on bivalve prey through multi-trophic monitoring and mechanistic models

Sea otters are apex predators that can exert considerable influence over the nearshore communities they occupy. Since facing near extinction in the early 1900s, sea otters are making a remarkable recovery in Southeast Alaska, particularly in Glacier Bay, the largest protected tidewater glacier fjord in the world. The expansion of sea otters across Glacier Bay offers both a challenge to monitoring and stewardship and an unprecedented opportunity to study the top-down effect of a novel apex predator across a diverse and productive ecosystem. Our goal was to integrate monitoring data across trophic levels, space, and time to quantify and map the predator–prey interaction between sea otters and butter clams Saxidomus gigantea , one of the dominant large bivalves in Glacier Bay and a favoured prey of sea otters. We developed a spatially-referenced mechanistic differential equation model of butter clam dynamics that combined both environmental drivers of local population growth and estimates of otter abundance from aerial survey data. We embedded this model in a Bayesian statistical framework and fit it to clam survey data from 43 intertidal and subtidal sites across Glacier Bay. Prior to substantial sea otter expansion, we found that butter clam density was structured by an environmental gradient driven by distance from glacier (represented by latitude) and a quadratic effect of current speed. Estimates of sea otter attack rate revealed spatial heterogeneity in sea otter impacts and a negative relationship with local shoreline complexity. Sea otter exploitation of productive butter clam habitat substantially reduced the abundance and altered the distribution of butter clams across Glacier Bay, with potential cascading consequences for nearshore community structure and function. Spatial variation in estimated sea otter predation processes further suggests that community context and local environmental conditions mediate the top-down influence of sea otters on a given prey. Overall, our framework provides high-resolution insights about the interaction among components of this food web and could be applied to a variety of other systems involving invasive species, epidemiology or migration.

Journal of Animal Ecology

Reevaluating the age of the Walden Creek Group and the kinematic evolution of the western Blue Ridge, southern Appalachians

An integrated synthesis of existing datasets (detailed geologic mapping, geochronologic, paleontologic, geophysical) with new paleontologic and geochemical investigations of rocks previously interpreted as part of the Neoproterozoic Walden Creek Group in southeastern Tennessee suggest a necessary reevaluation of the kinematics and structural architecture of the Blue Ridge Foothills. The western Blue Ridge of Tennessee, North Carolina, and Georgia is composed of numerous northwest-directed early and late Paleozoic thrust sheets, which record pronounced variation in stratigraphic/structural architecture and timing of metamorphism. The detailed spatial, temporal, and kinematic relationships of these rocks have remained controversial. Two fault blocks that are structurally isolated between the Great Smoky and Miller Cove-Greenbrier thrust sheets, here designated the Maggies Mill and Citico thrust sheets, contain Late Ordovician-Devonian conodonts and stable isotope chemostratigraphic signatures consistent with a mid-Paleozoic age. Geochemical and paleontological analyses of Walden Creek Group rocks northwest and southeast of these two thrust sheets, however, are more consistent with a Late Neoproterozoic (550&ndash;545 Ma) depositional age. Consequently, the structural juxtaposition of mid-Paleozoic rocks within a demonstrably Neoproterozoic-Cambrian succession between the Great Smoky and Miller Cove-Greenbrier thrust sheets suggests that a simple foreland-propagating thrust sequence model is not applicable in the Blue Ridge Foothills. We propose that these younger rocks were deposited landward of the Ocoee Supergroup, and were subsequently plucked from the Great Smoky fault footwall as a horse, and breached through the Great Smoky thrust sheet during Alleghanian emplacement of that structure.

North Carolina, Tennessee

Identification of representative earthquakes for probabilistic tsunami hazard analysis (PTHA) using earthquake rupture forecasts and machine learning

As probabilistic tsunami hazard analysis (PTHA) focuses more on assessments for localized, populous regions, techniques are needed to identify a subsample of representative earthquake ruptures to make the computational requirements for producing high-resolution hazard maps tractable. Moreover, the greatest epistemic uncertainty in seismic PTHA is related to source characterization, which is often poorly defined and subjective. We address these two salient issues by applying streamlined earthquake rupture forecasts (ERFs), based on combinatorial optimization methods, to an unsupervised machine learning workflow for identifying representative ruptures. ERFs determine the optimal distribution of a millennia-scale sample of earthquakes by inverting the observed slip rate on major faults. We use two previously developed combinatorial optimization ERFs, integer programming and greedy sequential, to produce the optimal location of ruptures with seismic moments sampled from a regional Gutenberg–Richter magnitude–frequency distribution. These ruptures in turn are used to calculate peak nearshore tsunami amplitude, using computationally efficient tsunami Green's functions. An unsupervised machine learning workflow is then used to identify a small subsample of the earthquakes input to ERFs for onshore PTHA analysis. We eliminate epistemic uncertainty related to source distribution under traditional PTHA analysis; in its place, a quantifiable, less subjective and generally smaller uncertainty related to the input to ERFs is included. The Nankai subduction zone is used as a test case, where previous ERFs have been conducted. Results indicate that the locations of representative earthquakes are sensitive to choice of magnitude–area relation and to whether a minimum cumulative stress objective is imposed on the fault. In general, incorporating ERFs into PTHA provide a physically self-consistent method to incorporate fault slip information in determining representative earthquakes for onshore PTHA, eliminating a major source of epistemic uncertainty.

Nankai subduction zone

Identification of seismo-volcanic regimes at Whakaari/White Island (New Zealand) via systematic tuning of an unsupervised classifier

We present an algorithm based on Self-Organizing Maps (SOM) and k-means clustering to recognize patterns in a continuous 12.5-year tremor time series recorded at Whakaari/White Island volcano, New Zealand (hereafter referred to as Whakaari). The approach is extendable to a variety of volcanic settings through systematic tuning of the classifier. Hyperparameters are evaluated by statistical means, yielding a combination of “ideal” SOM parameters for the given data set. Extending from this, we applied a Kernel Density Estimation approach to automatically detect changes within the observed seismicity. We categorize the Whakaari seismic time series into regimes representing distinct volcano-seismic states during recent unrest episodes at Whakaari (2012/2013, 2016, and 2019). There is a clear separation in classification results between background regimes and those representing elevated levels of unrest. Onset of unrest is detected by the classifier 6 weeks before the August 2012 eruption, and ca. 3.5 months before the December 2019 eruption, respectively. Regime changes are corroborated by changes in commonly monitored tremor proxies as well as with reported volcanic activity. The regimes are hypothesized to represent diverse mechanisms including: system pressurization and depressurization, degassing, and elevated surface activity. Labeling these regimes improves visualization of the 2012/2013 and 2019 unrest and eruptive episodes. The pre-eruptive 2016 unrest showed a contrasting shape and nature of seismic regimes, suggesting differing onset and driving processes. The 2016 episode is proposed to result from rapid destabilization of the shallow hydrothermal system, while rising magmatic gases from new injections of magma better explain the 2012/2013 and 2019 episodes.

Whakaari, White Island

Tidal triggering of low frequency earthquakes near Parkfield, California: Implications for fault mechanics within the brittle-ductile transition

Studies of nonvolcanic tremor (NVT) have established the significant impact of small stress perturbations on NVT generation. Here we analyze the influence of the solid earth and ocean tides on a catalog of ∼550,000 low frequency earthquakes (LFEs) distributed along a 150 km section of the San Andreas Fault centered at Parkfield. LFE families are identified in the NVT data on the basis of waveform similarity and are thought to represent small, effectively co-located earthquakes occurring on brittle asperities on an otherwise aseismic fault at depths of 16 to 30 km. We calculate the sensitivity of each of these 88 LFE families to the tidally induced right-lateral shear stress (RLSS), fault-normal stress (FNS), and their time derivatives and use the hypocentral locations of each family to map the spatial variability of this sensitivity. LFE occurrence is most strongly modulated by fluctuations in shear stress, with the majority of families demonstrating a correlation with RLSS at the 99% confidence level or above. Producing the observed LFE rate modulation in response to shear stress perturbations requires low effective stress in the LFE source region. There are substantial lateral and vertical variations in tidal shear stress sensitivity, which we interpret to reflect spatial variation in source region properties, such as friction and pore fluid pressure. Additionally, we find that highly episodic, shallow LFE families are generally less correlated with tidal stresses than their deeper, continuously active counterparts. The majority of families have weaker or insignificant correlation with positive (tensile) FNS. Two groups of families demonstrate a stronger correlation with fault-normal tension to the north and with compression to the south of Parkfield. The families that correlate with fault-normal clamping coincide with a releasing right bend in the surface fault trace and the LFE locations, suggesting that the San Andreas remains localized and contiguous down to near the base of the crust. The deep families that have high sensitivity to both shear and tensile normal stress perturbations may be indicative of an increase in effective fault contact area with depth. Synthesizing our observations with those of other LFE-hosting localities will help to develop a comprehensive understanding of transient fault slip below the “seismogenic zone” by providing constraints on parameters in physical models of slow slip and LFEs.

California

Submarine landslides: advances and challenges

Due to the recent development of well-integrated surveying techniques of the sea floor, significant improvements were achieved in mapping and describing the morphology and architecture of submarine mass movements. Except for the occurrence of turbidity currents, the aquatic environment (marine and fresh water) experiences the same type of mass failure as that found on land. Submarine mass movements, however, can have run-out distances in excess of 100 km, so their impact on any offshore activity needs to be integrated over a wide area. This great mobility of submarine mass movements is still not very well understood, particularly for cases like the far-reaching debris flows mapped on the Mississippi Fan and the large submarine rock avalanches found around many volcanic islands. A major challenge ahead is the integration of mass movement mechanics in an appropriate evaluation of the hazard so that proper risk assessment methodologies can be developed and implemented for various human activities offshore, including the development of natural resources and the establishment of reliable communication corridors. Key words : submarine slides, hazards, risk assessment, morphology, mobility, tsunami. Le dveloppement rcent de techniques de levs hydrograhiques pour les fonds marins nous a permis d'atteindre une qualit ingale dans la cartographie et la description des glissements sous marins. l'exception des courants de turbidit, on retrouve dans le domaine aquatique les mmes types de mouvements de terrain que sur terre. Par contre, les glissements sous-marins peuvent atteindre des distances excdant 100 km de telle sorte que leur impact sur les activits offshore doit tre pris en compte sur de grandes tendues. La grande mobilit des glissements sous-marins n'est pas encore bien comprise, comme pour le cas des coules de dbris cartographies sur le cne du Mississippi ainsi que pour les grandes avalanches rocheuses sous-marines retrouves au pourtour des les volcaniques. Un dfi majeur auquel nous faisons face est celui de dterminer les alas associs aux divers types de mouvements sous-marins ainsi que les risques associs l'activit humaine, telle que l'exploitation des ressources naturelles et l'tablissement de routes de communications fiables. Mots cls : glissements sous-marins, morphologie, ala, risque, mobilit, tsunami.

Canadian Geotechnical Journal

Changes in types and area of postharvest flooded fields available to waterbirds in Tulare Basin, California

Conservation efforts to restore historic waterbird distribution and abundance in the Central Valley of California require information on current and historic areas of waterbird habitat. To provide this information, we mapped the area of agricultural fields in the vicinity of the historic Tulare Lake Bed in the Tulare Basin, California, that were treated postharvest with two different flooding regimes that varied in depth and duration of water applied (, 1 cm to 1.5 m water for longer than 1 wk [FLD]; , 1 to 15 cm water for 1 wk or less [IRG]) during August–March 1991–1994 and 2005–2006. We compared our results with published estimates for 1976–1980 and 1981–1987. Area and crops treated postharvest with FLD or IRG flooding differed among years and months. Overall for August through March, weekly area of FLD fields averaged 1,671 ha in 1976–1980 but declined to about half that in later years; the decline was most severe during January–March. Cotton was primarily treated with IRG flooding and comprised 47–95% of the total IRG field area. Other crops were primarily treated with FLD flooding; tomato replaced safflower in 2005–2006. These documented declines since the 1970s in area of FLD fields and changes in crops being flooded postharvest reduce the carrying capacity of the Tulare Basin for waterbirds, a situation that will need to be reversed for restoration of historic waterbird distribution in the Central Valley to be viable. If maintaining agricultural production is a priority and agricultural drainage waters can be disposed of safely, then increasing the extent of FLD grain fields would provide the most benefit for wintering waterbirds; otherwise, restoring and providing adequate water supplies to managed wetlands would most benefit waterbirds

California

Seismic velocities within the sedimentary succession of the Canada Basin and southern Alpha-Mendeleev Ridge, Arctic Ocean: evidence for accelerated porosity reduction?

The Canada Basin and the southern Alpha-Mendeleev ridge complex underlie a significant proportion of the Arctic Ocean, but the geology of this undrilled and mostly ice-covered frontier is poorly known. New information is encoded in seismic wide-angle reflections and refractions recorded with expendable sonobuoys between 2007 and 2011. Velocity–depth samples within the sedimentary succession are extracted from published analyses for 142 of these records obtained at irregularly spaced stations across an area of 1.9E + 06 km 2 . The samples are modelled at regional, subregional and station-specific scales using an exponential function of inverse velocity versus depth with regionally representative parameters determined through numerical regression. With this approach, smooth, non-oscillatory velocity–depth profiles can be generated for any desired location in the study area, even where the measurement density is low. Practical application is demonstrated with a map of sedimentary thickness, derived from seismic reflection horizons interpreted in the time domain and depth converted using the velocity–depth profiles for each seismic trace. A thickness of 12–13 km is present beneath both the upper Mackenzie fan and the middle slope off of Alaska, but the sedimentary prism thins more gradually outboard of the latter region. Mapping of the observed-to-predicted velocities reveals coherent geospatial trends associated with five subregions: the Mackenzie fan; the continental slopes beyond the Mackenzie fan; the abyssal plain; the southwestern Canada Basin; and, the Alpha-Mendeleev magnetic domain. Comparison of the subregional velocity–depth models with published borehole data, and interpretation of the station-specific best-fitting model parameters, suggests that sandstone is not a predominant lithology in any of the five subregions. However, the bulk sand-to-shale ratio likely increases towards the Mackenzie fan, and the model for this subregion compares favourably with borehole data for Miocene turbidites in the eastern Gulf of Mexico. The station-specific results also indicate that Quaternary sediments coarsen towards the Beaufort-Mackenzie and Banks Island margins in a manner that is consistent with the variable history of Laurentide Ice Sheet advance documented for these margins. Lithological factors do not fully account for the elevated velocity–depth trends that are associated with the southwestern Canada Basin and the Alpha-Mendeleev magnetic domain. Accelerated porosity reduction due to elevated palaeo-heat flow is inferred for these regions, which may be related to the underlying crustal types or possibly volcanic intrusion of the sedimentary succession. Beyond exploring the variation of an important physical property in the Arctic Ocean basin, this study provides comparative reference for global studies of seismic velocity, burial history, sedimentary compaction, seismic inversion and overpressure prediction, particularly in mudrock-dominated successions.

Geophysical Journal International

Buruli ulcer disease prevalence in Benin, West Africa: Associations with land use/cover and the identification of disease clusters

Background: Buruli ulcer (BU) disease, caused by infection with the environmental mycobacterium M. ulcerans, is an emerging infectious disease in many tropical and sub-tropical countries. Although vectors and modes of transmission remain unknown, it is hypothesized that the transmission of BU disease is associated with human activities in or around aquatic environments, and that characteristics of the landscape (e.g., land use/cover) play a role in mediating BU disease. Several studies performed at relatively small spatial scales (e.g., within a single village or region of a country) support these hypotheses; however, if BU disease is associated with land use/cover characteristics, either through spatial constraints on vector-host dynamics or by mediating human activities, then large-scale (i.e., country-wide) associations should also emerge. The objectives of this study were to (1) investigate associations between BU disease prevalence in villages in Benin, West Africa and surrounding land use/cover patterns and other map-based characteristics, and (2) identify areas with greater and lower than expected prevalence rates (i.e., disease clusters) to assist with the development of prevention and control programs. Results: Our landscape-based models identified low elevation, rural villages surrounded by forest land cover, and located in drainage basins with variable wetness patterns as being associated with higher BU disease prevalence rates. We also identified five spatial disease clusters. Three of the five clusters contained villages with greater than expected prevalence rates and two clusters contained villages with lower than expected prevalence rates. Those villages with greater than expected BU disease prevalence rates spanned a fairly narrow region of south-central Benin. Conclusion: Our analyses suggest that interactions between natural land cover and human alterations to the landscape likely play a role in the dynamics of BU disease. For example, urbanization, potentially by providing access to protected water sources, may reduce the likelihood of becoming infected with BU disease. Villages located at low elevations may have higher BU disease prevalence rates due to their close spatial proximity to high risk environments. In addition, forest land cover and drainage basins with variable wetness patterns may be important for providing suitable growth conditions for M. ulcerans, influencing the distribution and abundance of vectors, or mediating vector-human interactions. The identification of disease clusters in this study provides direction for future research aimed at better understanding these and other environmental and social determinants involved in BU disease outbreaks. ?? 2008 Wagner et al; licensee BioMed Central Ltd.

International Journal of Health Geographics

cBathy: A robust algorithm for estimating nearshore bathymetry

A three-part algorithm is described and tested to provide robust bathymetry maps based solely on long time series observations of surface wave motions. The first phase consists of frequency-dependent characterization of the wave field in which dominant frequencies are estimated by Fourier transform while corresponding wave numbers are derived from spatial gradients in cross-spectral phase over analysis tiles that can be small, allowing high-spatial resolution. Coherent spatial structures at each frequency are extracted by frequency-dependent empirical orthogonal function (EOF). In phase two, depths are found that best fit weighted sets of frequency-wave number pairs. These are subsequently smoothed in time in phase 3 using a Kalman filter that fills gaps in coverage and objectively averages new estimates of variable quality with prior estimates. Objective confidence intervals are returned. Tests at Duck, NC, using 16 surveys collected over 2 years showed a bias and root-mean-square (RMS) error of 0.19 and 0.51 m, respectively but were largest near the offshore limits of analysis (roughly 500 m from the camera) and near the steep shoreline where analysis tiles mix information from waves, swash and static dry sand. Performance was excellent for small waves but degraded somewhat with increasing wave height. Sand bars and their small-scale alongshore variability were well resolved. A single ground truth survey from a dissipative, low-sloping beach (Agate Beach, OR) showed similar errors over a region that extended several kilometers from the camera and reached depths of 14 m. Vector wave number estimates can also be incorporated into data assimilation models of nearshore dynamics.

North Carolina

Insights into the emplacement of upper-crustal plutons and their relationship to large silicic calderas, from field relationships, geochronology, and zircon trace element geochemistry in the Stillwater – Clan Alpine caldera complex, western Nevada, USA

Geologic mapping, new U-Pb zircon ages, and new and published 40 Ar/ 39 Ar sanidine ages document the timing and extent of Oligocene magmatism in the southern Stillwater Range and Clan Alpine Mountains of western Nevada, where Miocene extension has exposed at least six nested silicic calderas and underlying granitic plutons to crustal depths locally ≥ 9 km. Both caldera-forming rhyolitic tuffs and underlying plutons were emplaced in two episodes, one from about 30.4–28.2 Ma that included the Deep Canyon, Job Canyon, and Campbell Creek calderas and underlying plutons, and one from about 25.3–24.8 Ma that included the Louderback Mountains, Poco Canyon, and Elevenmile Canyon calderas and underlying plutons. In these two 1–2 m.y. periods, almost the entire Mesozoic upper crust was replaced by Oligocene intrusive and extrusive rocks to depths ≥ 9 km over an estimated total area of ~ 1500 km 2 (pre-extension). Zircon trace element geochemistry indicates that some plutonic rock can be solidified residual magma from the tuff eruptions. Most plutons are not solidified residual magma, although they directly underlie calderas and were emplaced along the same structures shortly after to as much as one million years after caldera formation. Magma chambers and plutons grew by floor subsidence accommodated by downward transfer of country rocks. If other Great Basin calderas are similar, the dense concentration of shallowly exposed calderas in central Nevada is underlain by a complexly zoned mid-Cenozoic batholith assembled in discrete pulses that coincided with formation of large silicic calderas up to 2500–5000 km 3 .

Nevada