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At least 1,045 records · Page 58Linked to original sources

An evaluation of the efficiency of minnow traps for estimating the abundance of minnows in desert spring systems

Desert springs are sensitive aquatic ecosystems that pose unique challenges to natural resource managers and researchers. Among the most important of these is the need to accurately quantify population parameters for resident fish, particularly when the species are of special conservation concern. We evaluated the efficiency of baited minnow traps for estimating the abundance of two at-risk species, Foskett Speckled Dace Rhinichthys osculus ssp. and Borax Lake Chub Gila boraxobius , in desert spring systems in southeastern Oregon. We evaluated alternative sample designs using simulation and found that capture–recapture designs with four capture occasions would maximize the accuracy of estimates and minimize fish handling. We implemented the design and estimated capture and recapture probabilities using the Huggins closed-capture estimator. Trap capture probabilities averaged 23% and 26% for Foskett Speckled Dace and Borax Lake Chub, respectively, but differed substantially among sample locations, through time, and nonlinearly with fish body size. Recapture probabilities for Foskett Speckled Dace were, on average, 1.6 times greater than (first) capture probabilities, suggesting “trap-happy” behavior. Comparison of population estimates from the Huggins model with the commonly used Lincoln–Petersen estimator indicated that the latter underestimated Foskett Speckled Dace and Borax Lake Chub population size by 48% and by 20%, respectively. These biases were due to variability in capture and recapture probabilities. Simulation of fish monitoring that included the range of capture and recapture probabilities observed indicated that variability in capture and recapture probabilities in time negatively affected the ability to detect annual decreases by up to 20% in fish population size. Failure to account for variability in capture and recapture probabilities can lead to poor quality data and study inferences. Therefore, we recommend that fishery researchers and managers employ sample designs and estimators that can account for this variability.

Oregon↗

Metal fingerprints of Eocene rhyolite magmas coincident with Carlin-type gold deposition in Nevada USA

Eocene magmatic systems contemporaneous with world-class Carlin-type Au deposits in Nevada (USA) have been proposed by some researchers as a key ingredient for Au mineralization, though evidence conclusively demonstrating their genetic relationship remains tenuous. This study provides the first direct evidence of the pre-eruptive metal budget of volatile- and metal-charged silicic magmas coincident in time (~41 to 34 Ma) and space (within 5 km) with Carlin-type Au deposits. We characterize the pre-eruptive metal fingerprints of these diverse magmatic systems to assess their potential as sources of metals for Carlin-type Au mineralization. Metal abundances from quartz-hosted melt inclusions (Au, Te, Ag, Sb, Tl, Mo, W, Sn, As, Pb, Co, Cu, Ni, and Zn) characterized in situ by SHRIMP-RG and LA-ICP-MS represent our best (and only) estimates for the pre-eruptive metal budget in these systems. Median metal concentrations are generally within one order of magnitude of average upper crust and average continental rhyolite values. But there are two notable exceptions, with median Au contents extending >1 order of magnitude higher than average upper crust and median Cu contents ranging >1 order of magnitude lower than upper crust. Despite this, melts contain lower Au/Cu (<0.1), Au/Ag (<5), and Au/Tl (<0.3) than most ore-grade Carlin-type rock samples and quartz-hosted fluid inclusions, regardless of their age and timing relative to nearby Carlin-type Au mineralization. The metal fingerprints of these magmatic systems, de-fined both by traditional and multivariate compositional data analysis techniques, are distinct from one another. Yet none are particularly specialized, e.g., high Au/Cu, in terms of being ideal ingredients as postulated by magmatic models for Carlin-type Au mineralization. Magmatic Au contents do not appear to be correlated with rhyolite “flavors” in the way that Cu, Sn, and Nb contents are. Fluid/melt partitioning modeling and magma volume estimates support the idea that a diverse array of non-specialized silicic magmas could feasibly contribute some or potentially all of the Au, Ag, and Cu in Carlin-type systems. The compositional diversity among contemporaneous magmatic systems could possibly contribute to some of the diversity observed across Carlin-type Au districts in Nevada.

Nevada↗

Coproduction and modeling spatial contact networks prevent bias about infectious hematopoietic necrosis virus transmission for Snake River Basin salmonids

Much remains unknown about variation in pathogen transmission across the geographic range of a free-ranging fish or animal species and about the influence of movement (associated with husbandry practices or animal behavior) on pathogen transmission. Salmonid hatcheries are an ideal system in which to study these processes. Salmonid hatcheries are managed for endangered species recovery, supplementation of threatened or at-risk fish stocks, support of fisheries, and ecosystem stability. Infectious hematopoietic necrosis virus (IHNV) is a rhabdovirus of significant concern to salmon aquaculture. Landscape IHNV transmission dynamics previously had been estimated only for salmonid hatcheries in the Lower Columbia River Basin (LCRB). The objectives of this study were to estimate IHNV transmission dynamics in a unique geographic region, the Snake River Basin (SRB), and to quantitatively estimate the effect of model coproduction on inference because previous assessments of coproduction have been qualitative. In contrast to the LCRB, the SRB has hatchery complexes consisting of a main hatchery and ≥1 satellite facility. Knowledge about hatchery complexes was held by a subset of project researchers but would not have been available to project modelers without coproduction. Project modelers generated and tested multiple versions of Bayesian susceptible-exposedinfected models to realistically represent the SRB and estimate the effect of coproduction. Models estimated the frequency of transmission routes, route-specific infection probabilities, and infection probabilities for combinations of salmonid hosts and IHNV lineages. Model results indicated that in the SRB, avoiding exposure to IHNV-positive adult salmonids is the most important action to prevent juvenile infections. Migrating adult salmonids exposed juvenile cohort-sites most frequently, and the infection probability was greatest following exposure to migrating adults. Without coproduction, the frequency of exposure by migrating adults would have been overestimated by 70 cohort-sites, and the infection probability following exposure to migrating adults would have been underestimated by∼0.09. The coproduced model had less uncertainty in the infection probability if no transmission route could be identified (Bayesian credible interval (BCI) width = 0.12) compared to the model without coproduction (BCI width = 0.34). Evidence for virus lineage MD specialization on steelhead and rainbow trout (both Oncorhynchus mykiss) was apparent without model coproduction. In the SRB, we found a greater probability of virus lineage UC infection in Chinook salmon (Oncorhynchus tshawytscha) compared to in O. mykiss, whereas in the LCRB, UC more clearly exhibited a generalist approach. Coproduction influenced estimates that depended on transmission routes, which operated differently at main hatcheries and satellite sites within hatchery complexes. Hatchery complexes are found outside of the SRB and are not specific to salmonid hatcheries alone. There is great potential for coproduction and modeling spatial contact networks to advance understanding about infectious disease transmission in complex production systems and surrounding free-ranging animal populations.

Idaho, Oregon, Washington↗

Prioritizing avian species for their risk of population-level consequences from wind energy development

Recent growth in the wind energy industry has increased concerns about its impacts on wildlife populations. Direct impacts of wind energy include bird and bat collisions with turbines whereas indirect impacts include changes in wildlife habitat and behavior. Although many species may withstand these effects, species that are long-lived with low rates of reproduction, have specialized habitat preferences, or are attracted to turbines may be more prone to declines in population abundance. We developed a prioritization system to identify the avian species most likely to experience population declines from wind facilities based on their current conservation status and their expected risk from turbines. We developed 3 metrics of turbine risk that incorporate data on collision fatalities at wind facilities, population size, life history, species&rsquo; distributions relative to turbine locations, number of suitable habitat types, and species&rsquo; conservation status. We calculated at least 1 measure of turbine risk for 428 avian species that breed in the United States. We then simulated 100,000 random sets of cutoff criteria (i.e., the metric values used to assign species to different priority categories) for each turbine risk metric and for conservation status. For each set of criteria, we assigned each species a priority score and calculated the average priority score across all sets of criteria. Our prioritization system highlights both species that could potentially experience population decline caused by wind energy and species at low risk of population decline. For instance, several birds of prey, such as the long-eared owl, ferruginous hawk, Swainson&rsquo;s hawk, and golden eagle, were at relatively high risk of population decline across a wide variety of cutoff values, whereas many passerines were at relatively low risk of decline. This prioritization system is a first step that will help researchers, conservationists, managers, and industry target future study and management activity.

PLoS ONE↗

Summary report of responses of key resources to the 2000 Low Steady Summer Flow experiment, along the Colorado River downstream from Glen Canyon Dam, Arizona

In the spring and summer of 2000, a series of steady discharges of water from Glen Canyon Dam on the Colorado River were used to evaluate the effects of aquatic habitat stability and water temperatures on native fish growth and survival, with a special focus on the endangered humpback chub (Gila cypha), downstream from the dam in Grand Canyon. The steady releases were bracketed by peak powerplant releases in late-May and early-September. The duration and volume of releases from the dam varied between spring and summer. The intent of the experimental hydrograph was to mimic predam river discharge patterns by including a high, steady discharge in the spring and a low, steady discharge in the summer. The hydrologic experiment was called the Low Steady Summer Flow (LSSF) experiment because steady discharges of 226 m3/s dominated the hydrograph for 4 months from June through September 2000. The experimental hydrograph was developed in response to one of the U.S. Fish and Wildlife Service's Recommended and Prudent Alternatives (RPA) in its Biological Opinion of the Operation of Glen Canyon Dam Final Environmental Impact Statement. The RPA focused on the hypothesis that seasonally adjusted steady flows were dam operations that might benefit humpback chub more than the Record of Decision operations, known as Modified Low Fluctuating Flow (MLFF) operations. Condensed timelines between planning and implementation (2 months) of the experiment and the time required for logistics, purchasing, and contracting resulted in limited data collection during the high-release part of the experiment that occurred in spring. The LSSF experiment is the longest planned hydrograph that departed from the MLFF operations since Record of Decision operations began in 1996. As part of the experiment, several studies focused on the responses of physical properties related to environments that young-of-year (YOY) native fish might occupy (for example, measuring mainstem and shoreline water temperature, and quantifying useable shorelines). The part of the hydrograph that included a habitat maintenance flow (a 4-day spike at a powerplant capacity of 877 m3/s) and sustained high releases in April and May (averaging 509 m3/s) resulted in sediment export to Lake Mead, the reservoir downstream from Glen Canyon Dam, which is outside the study area. Some mid-elevation sandbar building (between 566 and 877 m3/s stage elevations) occurred from existing sediment deposits rather than from sediment inputs from tributaries during the previous winter. Low releases in the summer combined with low tributary sediment inputs resulted in minor sediment accumulation in the study area. The September habitat maintenance flow reworked accumulated sediment and resulted in increases in the area of some backwaters. The mainstem water temperatures in the reach near the Little Colorado River during the LSSF experiment varied little from previous years. Mainstem water temperatures in western Grand Canyon average 17 to 20 degrees C. During the LSSF, backwaters warmed more than other shoreline environments during the day, but most backwaters returned to mainstem water temperatures overnight. Shoreline surface water temperatures from river mile (RM) 30 to 72 varied between 9 and 28 degrees C in the middle of the day in July. These temperatures are within the optimal temperature range for humpback chub growth and spawning, which is between 15 and 24 degrees C. How surface water temperatures transfer to subsurface water temperatures is unknown. Data collection associated with the response of fish to the 2000 LSSF hydrograph focused on fish growth and abundance along the Colorado River in Grand Canyon. The target resource, humpback chub and other native fishes, did not respond in a strongly positive or strongly negative manner to the LSSF hydrograph during the sampling period, which extended from June to September 2000. In 2000, the mean total length of YOY native fishes was similar to the mean

Arizona↗

Late Quaternary sediment-accumulation rates within the inner basins of the California Continental Borderland in support of geologic hazard evaluation

An evaluation of the geologic hazards of the inner California Borderland requires determination of the timing for faulting and mass-movement episodes during the Holocene. Our effort focused on basin slopes and turbidite systems on the basin floors for the area between Santa Barbara and San Diego, California. Dating condensed sections on slopes adjacent to fault zones provides better control on fault history where high-resolution, seismic-reflection data can be used to correlate sediment between the core site and the fault zones. This study reports and interprets 147 radiocarbon dates from 43 U.S. Geological Survey piston cores as well as 11 dates from Ocean Drilling Program Site 1015 on the floor of Santa Monica Basin. One hundred nineteen dates from 39 of the piston cores have not previously been published. Core locations were selected for hazard evaluation, but despite the nonuniform distribution of sample locations, the dates obtained for the late Quaternary deposits are useful for documenting changes in sediment-accumulation rates during the past 30 ka. Cores from basins receiving substantial sediment from rivers, i.e., Santa Monica Basin and the Gulf of Santa Catalina, show a decrease in sediment supply during the middle Holocene, but during the late Holocene after sea level had reached the current highstand condition, rates then increased partly in response to an increase in El Ni??o-Southern Oscillation events during the past 3.5 ka. ?? 2009 The Geological Society of America.

Special Paper of the Geological Society of America↗

Palynology and microstratigraphy of Cretaceous-Tertiary boundary sections in southwestern North Dakota

Palynology is used to bracket or pinpoint the Cretaceous - Tertiary (K-T) boundary in 17 measured sections near the contact of the Hell Creek Formation and the Ludlow Member of the Fort Union Formation in southwestern North Dakota . Palynostratigraphy is the most reliable method for locating the K-T extinction horizon - which defines the K-T boundary - in nonmarine rocks. The palynological database includes 110 taxa for which relative abundance or presence or absence data were recorded in more than 350 samples based on surveys of more than 700 000 specimens. These data from laterally extensive outcrops in the badlands along the Little Missouri River provide a temporal framework for concurrent studies in the area on megafossil paleobotany, vertebrate paleontology, lithostratigraphy, magnetostratigraphy, and chemostratigraphy. Palynology demonstrates extinction of 30% or more of the Maastrichtian palynoflora, including characteristic Maastrichtian taxa ("K taxa"), at the K-T boundary . Most of the palynomorph taxa discussed probably represent higher-level plant taxa (botanical genera or families). The K-T boundary is shown to be coincident with the Hell Creek-Fort Union formational contact at only two localities; it is as much as 2.7mabove the base of the Fort Union Formation at others. Thus, a distinctive interval of Fort Union strata of Cretaceous age is recognized that is characterized by occurrences of numerous K taxa, usually in low percentage abundance, up to the K-T boundary . This interval documents a regional paleoenvironmental change that is independent of the extinction event and that is important to understanding the K-T transition throughout western North America.

North Dakota↗

Determinants of public support for threatened and endangered species management: A case study of Cape Lookout National Seashore

Gaining public support for management actions is important to the success of public land management agencies' efforts to protect threatened and endangered species. This is especially relevant at national parks, where managers balance two aspects of their conservation mission: to protect resources and to provide for public enjoyment. This study examined variables potentially associated with support for management actions at Cape Lookout National Seashore, a unit of the National Park Service. Two visitor surveys were conducted at the park at different seasons, and a resident survey was conducted for households in Carteret County, North Carolina, where the park is located. The goal of the project was to provide park managers with information that may help with the development of communication strategies concerning the park's conservation mission. These communication strategies may help to facilitate mutual understanding and garner public support for management actions. Several variables were examined as potential determinants that park managers ought to consider when developing communication strategies. Multinomial logistic regression was applied to examine the relationships between these variables and the likelihood of support for or opposition to management actions. The variables examined included perceived shared values of park resources, general environmental attitudes, level of familiarity with park resources and regulations, knowledge about threatened and endangered species, level of trust in the decision-making process, and perceived shared values with park management. In addition, demographic variables such as income level, respondent age, residency status, and visitor type were also used. The results show that perceived values of threatened and endangered species, trust in park managers and the decision-making process, and perceived share values with park managers were among the strongest indicators of support for management actions. Different user groups also exhibited different levels of support, with groups engaged in specialized recreation activities (fishers) being the most likely to oppose management actions. While our findings are not surprising, they corroborate past research that has shown an effective communications strategy should be customized to target different audiences. In addition, management should focus on developing long-term relationships that build trust in and foster credibility of decision-making processes.

North Carolina↗

Rare earth element mineral deposits in the United States

Because of their unique special chemical properties, many of the metals in the group of rare earth elements (REEs) have essential applications in 21st century technologies. Examples of products that use REEs are cell phones, computers, fluorescent and light-emitting-diode lights, flat-screen television and computer monitors, and in high-strength magnets used by clean energy technologies such as the generators of wind turbines and batteries of hybrid and electric vehicles. REEs are used in many defense applications, such as in components of jet engines, missile guidance systems, antimissile defense systems, satellites, and communication systems. The rare earth elements have become vital to manufacturing numerous high-tech products, which has been accompanied by a large increase in their demand. At the same time, there has been concern by the United States and many other Nations about the near-monopoly of mining, processing, and supply of REEs from one Nation, China. Between 2011 and 2017, China produced approximately 84 percent of the world’s REEs, and during this time the United States only produced REEs between 2012 and 2015. The U.S. production came entirely from the Mountain Pass mine in California, providing only about 4 percent of the world REE supply. Because REEs are essential for technological applications and are primarily supplied by one Nation, there has been an increased concern in identifying new sources of REEs, including economic REE deposits. In response to these concerns, since 2009, the U.S. Geological Survey (USGS) has conducted numerous studies focused on the distribution, geology, and potential resources for the REE-bearing mineral deposits in the United States. The basic characteristics of mineral deposit types that host REE enrichments in the United Sates are summarized in this report, with selected examples. Several types of REE-enriched mineral deposits are reviewed, including deposits in carbonatites, alkaline igneous rocks, sedimentary phosphate-rich rocks (phosphorite), regions containing REE-rich veins, iron oxide deposits containing REE-bearing apatite, monazite-xenotime-bearing placer deposits (heavy-mineral sands), and ion-adsorption clay deposits (REE in granite-derived regolith). A better understanding of these mineral deposits will assist in identifying domestic resources to help alleviate the dependence on imported REEs. The economic development of REE mineral deposits is affected by many factors beyond mining, such as commodity prices and mineral processing costs. Most of the REEs are hosted by minerals that have complex chemical formulas; this presents more challenges to process and extract the REEs. Continued advancements and refinements in mineral processing techniques may allow REE deposits with complex mineralogy to be economically developed in the future.

Circular↗

Late Jurassic plutonism in the southwest U.S. Cordillera

Although plate reconstructions suggest that subduction was an approximately steady-state process from the mid-Mesozoic through the early Tertiary, recent precise geochronologic studies suggest highly episodic emplacement of voluminous continental-margin batholiths in the U.S. Cordillera. In central and southern California and western Arizona, major episodes of batholithic magmatism are known to have occurred in Permian-Triassic, Middle Jurassic, and late Early to Late Cretaceous time. However, recent studies of forearc-basin and continental-interior sediments suggest that Late Jurassic time was probably also a period of significant magmatism, although few dated plutons of this age have been recognized. We describe a belt of Late Jurassic plutonic and hypabyssal rocks at least 200 km in length that extends from the northwestern Mojave Desert through the Transverse Ranges. The belt lies outboard of both the voluminous Middle Jurassic arc and the ca. 148 Ma Independence dike swarm at these latitudes. The plutons include two intrusive suites emplaced between 157 and 149 Ma: a calc-alkaline suite compositionally unlike Permian-Triassic and Middle Jurassic mon-zonitic suites but similar to Late Cretaceous arc plutons emplaced across this region, and a contemporaneous but not comagmatic alkaline suite. The Late Jurassic was thus a time of both tectonic and magmatic transitions in the southern Cordillera. ?? 2008 The Geological Society of America.

Special Paper of the Geological Society of America↗

Ground motions estimates for a cascadia earthquake from liquefaction evidence

Paleoseismic studies conducted in the coastal regions of the Pacific Northwest in the past decade have revealed evidence of crustal downdropping and subsequent tsunami inundation, attributable to a large earthquake along the Cascadia subduction zone which occurred approximately 300 years ago, and most likely in 1700 AD. In order to characterize the severity of ground motions from this earthquake, we report on results of a field search for seismically induced liquefaction features. The search was made chiefly along the coastal portions of several river valleys in Washington, rivers along the central Oregon coast, as well as on islands in the Columbia River of Oregon and Washington. In this paper we focus only on the results of the Columbia River investigation. Numerous liquefaction features were found in some regions, but not in others. The regional distribution of liquefaction features is evaluated as a function of geologic and geotechnical factors at each site in order to estimate the intensity of ground shaking.

Geotechnical Special Publication↗

Significance of ground-water chemistry in performance of North Sahara Tube wells in Algeria and Tunisia

Nine ground-water samples from the principal shallow and deep North Sahara aquifers of Algeria and Tunisia were examined to determine the relation of their chemical composition to corrosion and mineral encrustation thought to be contributing to observed decline in well capacities within a UNESCO/UNDP Special Fund Project area. Although the shallow and deep waters differ significantly in certain quality factors, all are sulfochloride types with corrosion potentials ranging from moderate to extreme. None appear to be sufficiently supersaturated with troublesome mineral species to cause rapid or severe encrustation of filter pipes or other well parts. However, calcium carbonate encrustation of deep-well cooling towers and related irrigation pipes can be expected because of loss of carbon dioxide and water during evaporative cooling. Corrosion products, particularly iron sulfide, can be expected to deposit in wells producing waters from the deep aquifers. This could reduce filterpipe openings and increase casing roughness sufficiently to cause significant reduction in well capacity. It seems likely, however, that normal pressure reduction due to exploitation of the artesian systems is a more important control of well performance. If troublesome corrosion and related encrustation are confirmed by downhole inspection, use of corrosion-resisting materials, such as fiber-glass casing and saw-slotted filter pipe (shallow wells only), or stainless-steel screen, will minimize the effects of the waters represented by these samples. A combination of corrosion-resisting stainless steel filter pipe electrically insulated from the casing with a nonconductive spacer and cathodic protection will minimize external corrosion of steel casing, if this is found to be a problem. However, such installations are difficult to make in very deep wells and difficult to control in remote areas. Both the shallow waters and the deep waters examined in this study will tend to cause soil salinization because their salt contents are relatively high, and both have sodium absorption ratios which are unfavorable to sodium-sensitive soils and vegetation. Proper drainage and soil treatment are the only means of overcoming these problems during irrigation.

Water Supply Paper↗

Demographic patterns of postfire regeneration in Mediterranean-climate shrublands of California

This study uses detailed demographic data to determine the extent to which functional groupings, based on seedling recruitment and resprouting response to fire, capture the dynamics of postfire responses and early successional change in fire-prone ecosystems. Following massive wildfires in southern California, USA, we sampled chaparral and sage scrub vegetation in nested 0.1-ha plots from 90 sites for five postfire years. Prefire density of woody skeletons and cover and density of all postfire species were recorded. Functional types of postfire obligate seeder, facultative seeder, and obligate resprouter are broadly useful but fail to capture much of the dynamics of postfire succession in these shrublands. For the woody flora, stratifying these three regeneration modes by life-form captures important differences. Postfire obligate-seeding shrubs exhibit a single postfire seedling cohort whereas the faster growing suffrutescent species reach reproductive maturity by the second year and produce multiple seedling cohorts. Postfire obligate-resprouting shrubs reach reproductive maturity early but have very limited seedling recruitment in the early postfire years, whereas obligate-resprouting subshrubs flower the first year from resprouts and have seedling recruitment pulses in the second and subsequent postfire years. For the rich herbaceous flora, further subdivisions are needed to capture the range of variation. Herbaceous perennials are nearly all postfire obligate resprouters, and there are important demographic differences during early succession in different growth forms such as geophytes and rhizomatous grasses. Annuals lack resprouting ability and are postfire obligate seeders. Some exhibit extreme life-history specialization and are present only in the immediate postfire year(s). Others are highly specialized on fire but persist during early succession, and still others are opportunistic species widely distributed on open sites but can expand their populations during early succession. ?? 2006 by the Ecological Society of America.

Ecological Monographs↗

High geologic slip rates since early Pleistocene Initiation of the San Jacinto and San Felipe fault zones in the San Andreas fault system: southern California, USA

The San Jacinto right-lateral strike-slip fault zone is crucial for understanding plate-boundary dynamics, regional slip partitioning, and seismic hazards within the San Andreas fault system of southern California, yet its age of initiation and long-term average slip rate are controversial. This synthesis of prior and new detailed studies in the western Salton Trough documents initiation of structural segments of the San Jacinto fault zone at or slightly before the 1.07-Ma base of the Jaramillo subchron. The dextral faults changed again after ca. 0.5–0.6 Ma with creation of new fault segments and folds. There were major and widespread basinal changes in the early Pleistocene when these new faults cut across the older West Salton detachment fault. We mapped and analyzed the complex fault mesh, identified structural segment boundaries along the Clark, Coyote Creek, and San Felipe fault zones, documented linkages between the major dextral faults, identified previously unknown active strands of the Coyote Creek fault 5 and 8 km NE and SW of its central strands, and showed that prior analyses of these fault zones oversimplify their complexity. The Clark fault is a zone of widely distributed faulting and folding SE of the Santa Rosa Mountains and unequivocally continues 20–25 km SE of its previously inferred termination point to the San Felipe Hills. There the Clark fault zone has been deforming basinal deposits at an average dextral slip rate of ≥10.2 +6.9/−3.3 mm/yr for ~0.5–0.6 m.y. Five new estimates of displacement are developed here using offset successions of crystalline rocks, distinctive marker beds in the late Cenozoic basin fill, analysis of strike-slip–related fault-bend folds, quantification of strain in folds at the tips of dextral faults, and gravity, magnetic, and geomorphic data sets. Together these show far greater right slip across the Clark fault than across either the San Felipe or Coyote Creek faults, despite the Clark fault becoming “hidden” in basinal deposits at its SE end as strain disperses onto a myriad of smaller faults, strike-slip ramps and flats, transrotational systems of cross faults with strongly domain patterns, and a variety of fault-fold sets. Together the Clark and Buck Ridge–Santa Rosa faults accumulated ~16.8 +3.7/−6.0 km of right separation in their lifetime near Clark Lake. The Coyote Ridge segment of the Coyote Creek fault accumulated ~3.5 ± 1.3 km since roughly 0.8–0.9 Ma. The San Felipe fault accumulated between 4 and 12.4 km (~6.5 km preferred) of right slip on its central strands in the past 1.1–1.3 Ma at Yaqui and Pinyon ridges. Combining the estimates of displacement with ages of fault initiation indicates a lifetime geologic slip rate of 20.1 +6.4/−9.8 mm/yr across the San Jacinto fault zone (sum of Clark, Buck Ridge, and Coyote Creek faults) and about ~5.4 +5.9/−1.4 mm/yr across the San Felipe fault zone at Yaqui and Pinyon ridges. The NW Coyote Creek fault has a lifetime slip rate of ~4.1 +1.9/−2.1 mm/yr, which is a quarter of that across the Clark fault (16.0 +4.5/−9.8 mm/yr) nearby. The San Felipe fault zone is not generally regarded as an active fault in the region, yet its lifetime slip rate exceeds those of the central and southern Elsinore and the Coyote Creek fault zones. The apparent lower slip rates across the San Felipe fault in the Holocene may reflect the transfer of strain to adjacent faults in order to bypass a contractional bend and step at Yaqui Ridge. The San Felipe, Coyote Creek, and Clark faults all show evidence of major structural adjustments after ca. 0.6–0.5 Ma, and redistribution of strain onto new right- and left-lateral faults and folds far removed from the older central fault strands. Active faults shifted their locus and main central strands by as much as 13 km in the middle Pleistocene. These changes modify the entire upper crust and were not localized in the thin sedimentary basin fill, which is only a few kilometers thick in most of the western Salton Trough. Steep microseismic alignments are well developed beneath most of the larger active faults and penetrate basement to the base of the seismogenic crust at 10–14 km. We hypothesize that the major structural and kinematic adjustments at ca. 0.5–0.6 Ma resulted in major changes in slip rate within the San Jacinto and San Felipe fault zones that are likely to explain the inconsistent slip rates determined from geologic (1–0.5 m.y.; this study), paleoseismic, and geodetic studies over different time intervals. The natural evolution of complex fault zones, cross faults, block rotation, and interactions within their broad damage zones might explain all the documented and implied temporal and spatial variation in slip rates. Co-variation of slip rates among the San Jacinto, San Felipe, and San Andreas faults, while possible, is not required by the available data. Together the San Jacinto and San Felipe fault zones have accommodated ~25.5 mm/yr since their inception in early Pleistocene time, and were therefore slightly faster than the southern San Andreas fault during the same time interval. If the westward transfer of plate motion continues in southern California, the southern San Andreas fault in the Salton Trough may change from being the main plate boundary fault to defining the eastern margin of the growing Sierra Nevada microplate, as implied by other workers.

California↗

The importance of nodal plane orientation diversity for earthquake focal mechanism stress inversions

Inversions of earthquake focal mechanisms are among the most accessible and reliable methods for determining crustal stress. However, the use of this method varies widely, and assumptions that underpin it are often violated, potentially compromising stress estimates. We investigate the consequences of violating the little-studied assumption that the focal mechanisms have diverse orientations. Our approach is to employ data-informed synthetic mechanisms, with nodal plane orientations defined by recent earthquake lineaments in the Midland Basin, western Texas, and rakes consistent with slip in the mapped stress field. Using both the traditional stress inversion method that assumes constant shear stress magnitudes on the causative faults as well as a recently published variable shear stress method, we show that low fault plane diversity can cause maximum horizontal stress ( S Hmax ) orientation and relative principal stress magnitude (faulting regime) estimates to differ markedly from the true values. This problem is compounded for catalogs with even modest amounts of noise (≤15°) or few (e.g., 20) mechanisms. Significantly, traditional approaches for quantifying uncertainty such as the bootstrap can severely underestimate the true uncertainty under these circumstances. To remedy this, we provide simple tools to quantify nodal plane orientation diversity and stress inversion reliability.

Geological Society of London Special Publications↗

Summary of the research work of the Trace Elements Section, Geochemistry and Petrology Branch, for the period April 1, 1948-December 31, 1950

This report summarizes the research work of the Trace Elements Section, Geochemistry and Petrology Branch, from the organization of the Section in April 1948 to December 31, 1950. The research undertaken thus far consists of laboratory and related field studies in the following fields: 1. Mineralogic and petrologic investigations of radioactive rocks, minerals, and ores. 2. Investigations of chemical methods of analysis for uranium, thorium, and other elements and compounds in radioactive materials, and related chemical problems. 3. Investigations of spectrographic methods of analysis for a wide variety of elements in radioactive materials. 4. Investigations of radiometric methods of analysis as applied to radioactive materials. It should be emphasized that the work undertaken thus far, described under the headings "Future work", is almost entirely in the nature of investigations supporting the field appraisal of known important uraniferous deposits. A comprehensive program of more fundamental research was submitted in April 1949 in a report entitled "Proposed program of desirable research in the geochemistry of uranium," but funds for this work have not been authorized. It is hoped, however, that funds to support basic research of the type indicated in that report may be available in the future. This report does not cover the analytical work of the Section nor the public-sample program. The analytical work has been summarized for the fiscal year 1950 in the report, "Numerical summary of the analytical work of the Trace Elements Section, Geochemistry and Petrology Branch, for the fiscal year 1950," by John C. Rabbit, U.S. Geol. Survey Trace Elements Memorandum Rept. 174, October 1950. A report on the public-sample program is in preparation. Much of the material in this report has been paraphrased from reports prepared by members of the Section. My special thanks are due them; to Earl Ingerson, chief of the Geochemistry and Petrology Branch of the Survey, for his critical review; to my secretary, Marie Woolihan, for her aid in collecting material; and to Virginia Layne of the editorial staff of the Section for typing the manuscript and the multilith mats.

Trace Elements Investigations↗

Balancing aquatic habitat fragmentation and control of invasive species: Enhancing selective fish passage at sea lamprey control barriers

Barriers to prevent spawning migrations of sea lampreys Petromyzon marinus remain an important component of an integrated sea lamprey management program in the Laurentian Great Lakes. Concerns about effects on nontarget fishes have led to the construction of specially designed vertical-slot trap-and-sort fishways to mitigate potential barrier effects. To improve passage at these fishways, we used passive integrated transponder technology to assess the performance of two fishways located on low-head sea lamprey barriers. Fishways on the Big Carp River (which flows into Lake Superior) and Cobourg Brook (which flows into Lake Ontario) were assessed for attraction efficiency, trap attraction and retention, and passage efficiency. Based on the results of these assessments, fishways were modified by increasing the trap volume and altering the funnel characteristics to reduce escapement from the trap and then reassessed. Attraction efficiency for all tagged fish was high (≥80%) at both sites in all years. Fishway modifications improved passage from 35% in 2003 to 88% and 64% in 2004 and 2005, respectively, at the Big Carp River. As expected, white suckers Catostomus commersonii , an obligate migrant, had higher attraction and passage efficiency, fewer passage attempts, and shorter migration delay than did rock bass Ambloplites rupestris , a facultative migrant. No improvements were seen at Cobourg Brook, where passage efficiency remained low (7% in 2003, 10% in 2005), probably because of the loss of attraction flow. At both fishways, individual fish averaged 3-10 attempts to pass through the fishways and had their migrations delayed 1-2 weeks. The observed improvements to the Big Carp River fishway, which resulted in high fishway attraction and passage rates for white suckers, suggest that vertical-slot fishways can help mitigate the effects of low-head barriers for some species. Our study provides a rigorous quantifiable approach to assessing fishway performance that can be employed widely and successfully to assess initial fishway design and subsequent modifications.

Big Carp River, Cobourg Brook↗

Photogeologic and thermal infrared reconnaissance surveys of the Los Negritos-Ixtlan de los Hervores geothermal area, Michoacan, Mexico

New techniques, involving interpretation of panchromatic, ektachrome and ektachrome infrared aerographic photogaphs and thermographic infrared imagery recording emission from the earth's surface in middle and far infrared wavelengths (3–5μm and 8–14μm), are being introduced in geothermal investigations in Mexico to identify outstanding structural and geologic features in a rapid and economical manner. The object of this work is to evaluate the new airborne infrared techniques and equipment as a complement to the data obtained from panchromatic aerial photography. This project is part of the Mexican remote sensing program of natural resources carried out under the auspices of the Comision Nacional del Espacio Exterior and in which the Research Institute (Instituto de Investigaciones de la Industria Electrica) is actively participating. The present study was made cooperatively with the U.S. National Aeronautics and Space Administration and the U.S. Geological Survey. The Los Negritos-Ixtlan de los Hervores geothermal fields are located east of Lake Chapala at the intersection of the Sierra Madre occidental and the west-central segment of the neovolcanic axis of Mexico. The two principal zones of hydrothermal activity occur in a tectonic trench filled with lake sediments of the Quaternary intercalated with Quaternary and Holocene volcanic rocks and characterized by an intricate system of block-fault tectonics, part of the Chapala-Acambay tectonic system, along which there has been volcanic activity in modern time. Surface manifestations of geothermal activity consist of relatively high heat flow and hot springs, small geysers and small steam vents aligned along an E-W axis at Ixtlan, possibly at the intersection of major fault trends and mud volcanoes and hot pools aligned NE-SW at Los Negritos. More than 20 exit points of thermal waters are shown on infrared imagery to be aligned along an extension of the Ixtlan fault between Ixtlan and El Salitre. A narrow zone of hydrothermal alteration and deposition at the surface is identifiable on the infrared imagery of this area, closey related spatially to a resistivity low at depth. Extinct geothermal areas near El Salitre, Ixtlan, and farther west at San Gregorio are clearly delineated on both infrared images and infrared ektachrome photographs. Predawn infrared images also show high-angle fault zones suggesting the dominance of block tectonics in much of the area. Special image enhancement techniques applied to the original magnetic tape records will be required for more precise identification of warm ground zones and for a qualitative or semiquantitative estimate of ground radiance associated with anomalously high convective heat flow.

Geothermics↗