Search USGSSearch

SEARCH · Search USGS

Results for “CHANCE”

Search indexed USGS publications on groundwater, aquifers, geologic maps, mineral resources and earthquakes. Explore source records by subject and place.

Quote a phrase for an exact phrase match. Source license links do not imply unrestricted reuse.

At least 145 records · Page 8Linked to original sources

Expert elicitation, uncertainty, and the value of information in controlling invasive species

We illustrate the utility of expert elicitation, explicit recognition of uncertainty, and the value of information for directing management and research efforts for invasive species, using tegu lizards (Salvator merianae) in southern Florida as a case study. We posited a post-birth pulse, matrix model in which four age classes of tegus are recognized: hatchlings, 1 year-old, 2 year-olds, and 3 + year-olds. This matrix model was parameterized using a 3-point process to elicit estimates of tegu demographic rates in southern Florida from 10 herpetology experts. We fit statistical distributions for each parameter and for each expert, then drew and pooled a large number of replicate samples from these to form a distribution for each demographic parameter. Using these distributions, as well as the observed correlations among elicited values, we generated a large sample of matrix population models to infer how the tegu population would respond to control efforts. We used the concepts of Pareto efficiency and stochastic dominance to conclude that targeting older age classes at relatively high rates appears to have the best chance of minimizing tegu abundance and control costs. We conclude that expert opinion combined with an explicit consideration of uncertainty can be valuable in conducting an initial assessment of what control strategy, effort, and monetary resources are needed to reduce and eventually eliminate the invader. Scientists, in turn, can use the value of information to focus research in a way that not only increases the efficacy of control, but minimizes costs as well.

Ecological Economics

A computational fluid dynamics modeling study of guide walls for downstream fish passage

A partial-depth, impermeable guidance structure (or guide wall) for downstream fish passage is typically constructed as a series of panels attached to a floating boom and anchored across a water body (e.g. river channel, reservoir, or power canal). The downstream terminus of the wall is generally located nearby to a fish bypass structure. If guidance is successful, the fish will avoid entrainment in a dangerous intake structure (i.e. turbine intakes) while passing from the headpond to the tailwater of a hydroelectric facility through a safer passage route (i.e. the bypass). The goal of this study is to determine the combination of guide wall design parameters that will most likely increase the chance of surface-oriented fish being successfully guided to the bypass. To evaluate the flow field immediately upstream of a guide wall, a parameterized computational fluid dynamics model of an idealized power canal was constructed in © ANSYS Fluent v 14.5 (ANSYS Inc., 2012). The design parameters investigated were the angle and depth of the guide wall and the average approach velocity in the power canal. Results call attention to the importance of the downward to sweeping flow ratio and demonstrate how a change in guide wall depth and angle can affect this important hydraulic cue to out-migrating fish. The key findings indicate that a guide wall set at a small angle (15° is the minimum in this study) and deep enough such that sweeping flow dominant conditions prevail within the expected vertical distribution of fish approaching the structure will produce hydraulic conditions that are more likely to result in effective passage.

Ecological Engineering

Evaluating the effect of salinity on a simulated American Crocodile ( Crocodylus acutus ) population with applications to conservation and Everglades restoration

Everglades restoration will alter the hydrology of South Florida, affecting both water depth and salinity levels in the southern fringes of the Everglades, the habitat of the endangered American crocodile ( Crocodylus acutus ). A key question is what the effects of these hydrologic changes will be on the crocodile population. Reliable predictions of the viability of endangered species under a variety of management scenarios are of vital importance in conservation ecology. Juvenile American crocodiles are thought to be sensitive to high salinity levels, suffering reduced mass, and potentially reduced survivorship and recruitment. This could negatively impact the population recovery. We addressed the management issue of how the crocodile population will respond to alterations in hydrology with a spatially explicit individual-based model. The model is designed to relate water levels, salinities, and dominant vegetation to crocodile distribution, abundance, population growth, individual growth, survival, nesting effort, and nesting success. Our analysis shows that Everglades restoration, through its effects on water flow to estuaries, may benefit crocodile populations if increased freshwater flow reduces the chance that regional salinity levels exceed levels where small individuals lose mass. In addition, we conclude that conservation priority should be placed on reducing anthropogenic sources of mortality on large individuals, such as road mortality. Finally, research should focus on estimates of annual survivorship for large individuals.

Florida

Risk management in a large-scale CO2 geosequestration pilot project, Illinois, USA

Like most large-scale infrastructure projects, carbon dioxide (CO 2) geological sequestration (GS) projects have multiple success criteria and multiple stakeholders. In this context "risk evaluation" encompasses multiple scales. Yet a risk management program aims to maximize the chance of project success by assessing, monitoring, minimizing all risks in a consistent framework. The 150,000-km2 Illinois Basin underlies much of the state of Illinois, USA, and parts of adjacent Kentucky and Indiana. Its potential for CO2 storage is first-rate among basins in North America, an impression that has been strengthened by early testing of the injection well of the Midwest Geological Sequestration Consortium's (MGSC's) Phase III large scale demonstration project, the Illinois Basin - Decatur Project (IBDP). The IBDP, funded by the U.S. Department of Energy's National Energy Technology Laboratory (NETL), represents a key trial of GS technologies and project-management techniques. Though risks are specific to each site and project, IBDP risk management methodologies provide valuable experience for future GS projects. IBDP views risk as the potential for negative impact to any of these five values: health and safety, environment, financial, advancing the viability and public acceptability of a GS industry, and research. Research goals include monitoring one million metric tonnes of injected CO2 in the subsurface. Risk management responds to the ways in which any values are at risk: for example, monitoring is designed to reduce uncertainties in parameter values that are important for research and system control, and is also designed to provide public assurance. Identified risks are the primary basis for risk-reduction measures: risks linked to uncertainty in geologic parameters guide further characterization work and guide simulations applied to performance evaluation. Formally, industry defines risk (more precisely risk criticality) as the product L*S, the Likelihood multiplied by the Severity of negative impact. L and S are each evaluated on five-point scales, yielding a theoretical spread in risk values of 1 through 25. So defined, these judgment-based values are categorical and ordinal - they do not represent physically measurable quantities, but are nonetheless useful for comparison and therefore decision support. The "risk entities" first evaluated are FEPs - conceptual Features, Events, and Processes based on the list published by Quintessa Ltd. After concrete scenarios are generated based on selected FEPs, scenarios become the critical entities whose associated risks are evaluated and tracked. In IBDP workshops, L and S values for 123 FEPs were generated through expert elicitation. About 30 experts in the project or in GS in general were assigned among six facilitated working groups, and each group was charged to envision risks within a sphere of project operations. Working groups covered FEPs with strong spatial characteristics - such as those related to the injection wellbore and simulated plume footprint - and "nonspatial" FEPs related to finance, regulations, legal, and stakeholder issues. Within these working groups, experts shared information, examined assumptions, refined and extended the FEP list, calibrated responses, and provided initial L and S values by consensus. Individual rankings were collected in a follow-up process via emailed spreadsheets. For each of L and S, three values were collected: Lower Bound, Best Guess, and Upper Bound. The Lower-Upper Bound ranges and the spreads among experts can be interpreted to yield rough confidence measures. Based on experts' responses, FEPs were ranked in terms of their L*S risk levels. FEP rankings were determined from individual (not consensus or averaged) results, thus no high-risk responses were damped out. The higher-risk FEPs were used to generate one or more concrete, well defined risk-bearing scenarios for each FEP. Any FEP scored by any expert as having associated risk of

Conference Paper

Antipodal hotspots and bipolar catastrophes: Were oceanic large-body impacts the cause?

One aspect of the hotspot distribution that has received little attention is its antipodal character. Of 45 ‘primary’ hotspots found in most hotspot compilations 22 (49%) form antipodal pairs within observed hotspot drift limits (≤ 20 mm/yr). In addition, the available ages, or possible age ranges, for both hotspots of an antipodal pair tend to be similar (≤ 10 Myr difference) or overlap. Monte Carlo simulations indicate that the antipodal primary hotspots' locations and ages are not due to chance at the > 99% confidence level ( p < 0.01). All hotspot pairs include at least one oceanic hotspot, and these are consistently opposite those hotspots related to large igneous provinces (LIPs) and continental volcanism. A mechanism of formation is considered in which minor hotspot volcanism is induced at, and flood basalt volcanism is triggered by seismic energy focused antipodal to, oceanic large-body impact sites. Because continental impacts are expected to have lower seismic efficiencies, continents possibly acted as shields to the formation of antipodal hotspot pairs. Published numerical models indicate that large oceanic impacts (10-km-diameter bolide) generate megatsunami capable of altering coastal depositional environments on a global scale. Past impact-generated megatsunami, consequently, could have left widespread stratigraphic records, possibly misinterpreted as indicating large rapid changes in eustatic sea level, and widely disrupted continental and marine sediment reservoirs responsible for abrupt changes in the isotopic composition of seawater. Phanerozoic mass extinction events, therefore, might have resulted primarily from catastrophic megatsunami in a dominantly oceanic hemisphere and the near contemporaneous effusion of vast quantities of noxious gases from flood basalt eruptions in a dominantly continental one.

Earth and Planetary Science Letters

Shallow microearthquakes near Chongqing, China triggered by the Rayleigh waves of the 2015 M7.8 Gorkha, Nepal earthquake

We present a case of remotely triggered seismicity in Southwest China by the 2015/04/25 M7.8 Gorkha, Nepal earthquake. A local magnitude ML3.8 event occurred near the Qijiang district south of Chongqing city approximately 12 min after the Gorkha mainshock. Within 30km of this ML3.8 event there are 62 earthquakes since 2009 and only 7 ML>3events, which corresponds to a likelihood of 0.3% for a ML>3on any given day by a random chance. This observation motivates us to investigate the relationship between the ML3.8 event and the Gorkha mainshock. The ML3.8 event is listed in the China Earthquake National Center (CENC) catalog and occurred at shallow depth (∼3km). By examining high-frequency waveforms, we identify a smaller local event (∼ML2.5) ∼15s before the ML3.8 event. Both events occurred during the first two cycles of the Rayleigh waves from the Gorkha mainshock. We perform seismic event detection based on envelope function and waveform matching by using the two events as templates. Both analyses found a statistically significant rate change during the mainshock, suggesting that they were indeed dynamically triggered by the Rayleigh waves. Both events occurred during the peak normal and dilatational stress changes (∼10–30 kPa), consistent with observations of dynamic triggering in other geothermal/volcanic regions. Although other recent events (i.e., the 2011 M9.1 Tohoku-Oki earthquake) produced similar peak ground velocities, the 2015 Gorkha mainshock was the only event that produced clear dynamic triggering in this region. The triggering site is close to hydraulic fracturing wells that began production in 2013–2014. Hence we suspect that fluid injections may increase the region’s susceptibility to remote dynamic triggering.

Chongqing

Strategies for preventing invasive plant outbreaks after prescribed fire in ponderosa pine forest

Land managers use prescribed fire to return a vital process to fire-adapted ecosystems, restore forest structure from a state altered by long-term fire suppression, and reduce wildfire intensity. However, fire often produces favorable conditions for invasive plant species, particularly if it is intense enough to reveal bare mineral soil and open previously closed canopies. Understanding the environmental or fire characteristics that explain post-fire invasive plant abundance would aid managers in efficiently finding and quickly responding to fire-caused infestations. To that end, we used an information-theoretic model-selection approach to assess the relative importance of abiotic environmental characteristics (topoedaphic position, distance from roads), pre-and post-fire biotic environmental characteristics (forest structure, understory vegetation, fuel load), and prescribed fire severity (measured in four different ways) in explaining invasive plant cover in ponderosa pine forest in South Dakota’s Black Hills. Environmental characteristics (distance from roads and post-fire forest structure) alone provided the most explanation of variation (26%) in post-fire cover of Verbascum thapsus (common mullein), but a combination of surface fire severity and environmental characteristics (pre-fire forest structure and distance from roads) explained 36–39% of the variation in post-fire cover of Cirsium arvense (Canada thistle) and all invasives together. For four species and all invasives together, their pre-fire cover explained more variation (26–82%) in post-fire cover than environmental and fire characteristics did, suggesting one strategy for reducing post-fire invasive outbreaks may be to find and control invasives before the fire. Finding them may be difficult, however, since pre-fire environmental characteristics explained only 20% of variation in pre-fire total invasive cover, and less for individual species. Thus, moderating fire intensity or targeting areas of high severity for post-fire invasive control may be the most efficient means for reducing the chances of post-fire invasive plant outbreaks when conducting prescribed fires in this region.

South Dakota, Wyoming

POLARIS: A 30-meter probabilistic soil series map of the contiguous United States

A new complete map of soil series probabilities has been produced for the contiguous United States at a 30 m spatial resolution. This innovative database, named POLARIS, is constructed using available high-resolution geospatial environmental data and a state-of-the-art machine learning algorithm (DSMART-HPC) to remap the Soil Survey Geographic (SSURGO) database. This 9 billion grid cell database is possible using available high performance computing resources. POLARIS provides a spatially continuous, internally consistent, quantitative prediction of soil series. It offers potential solutions to the primary weaknesses in SSURGO: 1) unmapped areas are gap-filled using survey data from the surrounding regions, 2) the artificial discontinuities at political boundaries are removed, and 3) the use of high resolution environmental covariate data leads to a spatial disaggregation of the coarse polygons. The geospatial environmental covariates that have the largest role in assembling POLARIS over the contiguous United States (CONUS) are fine-scale (30 m) elevation data and coarse-scale (~ 2 km) estimates of the geographic distribution of uranium, thorium, and potassium. A preliminary validation of POLARIS using the NRCS National Soil Information System (NASIS) database shows variable performance over CONUS. In general, the best performance is obtained at grid cells where DSMART-HPC is most able to reduce the chance of misclassification. The important role of environmental covariates in limiting prediction uncertainty suggests including additional covariates is pivotal to improving POLARIS' accuracy. This database has the potential to improve the modeling of biogeochemical, water, and energy cycles in environmental models; enhance availability of data for precision agriculture; and assist hydrologic monitoring and forecasting to ensure food and water security.

Geoderma

Tungsten skarn potential of the Yukon-Tanana Upland, eastern Alaska, USA—A mineral resource assessment

Tungsten (W) is used in a variety of industrial and technological applications and has been identified as a critical mineral for the United States, India, the European Union, and other countries. These countries rely on W imports mostly from China, which leaves them vulnerable to supply disruption. Consequently, the U.S. government has a current initiative to understand domestic resource potential. The eastern Alaska portion of the Yukon-Tanana Upland (YTU), is prospective for W skarn deposits, the major source of global W supply. The regional geology consists of juxtaposed Paleozoic lithotectonic packages that were reaccreted to North America in the Mesozoic . Multiple subsequent episodes of arc-related magmatism intruded the lithotectonic packages, accompanied by W skarn formation mostly associated with 100–90 Ma intrusions; major W skarn deposits in Canada are part of the same metallogenic event (e.g., Mactung, Cantung). In this paper, we present an assessment for undiscovered W skarn resources for parts of the lesser-explored western (Alaskan) portion of the YTU. We used GIS proximity analysis to map the intersection of pluton and carbonate-bearing rocks to define three permissive tracts for W skarn deposits. The permissive tracts were qualitatively assessed by mineral potential mapping using region-wide sediment geochemistry and mineral concentrate datasets. This analysis showed that much of the western YTU has high potential for undiscovered W skarn deposits, whereas the eastern and southern YTU had only isolated areas of medium to high potential. Historical production and the quality of the geochemistry data of the western YTU tract (ca. 9200 km 2 ) permitted a quantitative assessment of undiscovered W resources. Probabilistic estimates by a panel of 20 experts predicted a 70% chance of one to three undiscovered W skarn deposits in the western YTU tract. The rationale for favorability employed by the expert panel included favorable lithology, previous production, clustering of previously mined deposits, W placers in the area, lack of recent exploration, pan concentrates containing W minerals, and W geochemical anomalies. Estimates were combined with a global grade and tonnage model for W skarns in a Monte Carlo simulation and provided a median estimate of undiscovered resources of 94 kt WO 3 . If the undiscovered W skarn deposits are located close to infrastructure (e.g., near Fairbanks, or close to roads and/or power grid), application of an economic filter indicates that the median total economically recoverable WO 3 is 63 kt with a net present value (NPV) of $330 million USD (2008 dollars). Whereas if deposits are far from infrastructure, median recoverable WO 3 is only 30 kt and the NPV is $44 million. Our models for contained WO 3 resources and NPV estimates for the western YTU tract are considerably lower than the known resources in skarns in adjacent areas in Canada. Estimates for the western YTU are also lower than preliminary estimates for undiscovered W skarn deposits in areas of the western conterminous United States. We speculate that lower permeability and continuity of favorable carbonate rock horizons in the relatively higher-grade metamorphic country rocks in the Alaska portion of the YTU may explain some of the differences in prospectivity. More detailed geologic mapping, modern geochemistry, and geophysical surveys are needed to refine the resource potential of the whole YTU. Regardless, quantitative mineral resource assessment provides a useful tool for making first-order regional estimates of undiscovered resources, identifying target areas for new data acquisition, and guiding research on the fundamental controls of district-scale metallogenic endowments.

Alaska

Climate-driven variability in the occurrence of major floods across North America and Europe

Concern over the potential impact of anthropogenic climate change on flooding has led to a proliferation of studies examining past flood trends. Many studies have analysed annual-maximum flow trends but few have quantified changes in major (25–100 year return period) floods, i.e. those that have the greatest societal impacts. Existing major-flood studies used a limited number of very large catchments affected to varying degrees by alterations such as reservoirs and urbanisation. In the current study, trends in major-flood occurrence from 1961 to 2010 and from 1931 to 2010 were assessed using a very large dataset (>1200 gauges) of diverse catchments from North America and Europe; only minimally altered catchments were used, to focus on climate-driven changes rather than changes due to catchment alterations. Trend testing of major floods was based on counting the number of exceedances of a given flood threshold within a group of gauges. Evidence for significant trends varied between groups of gauges that were defined by catchment size, location, climate, flood threshold and period of record, indicating that generalizations about flood trends across large domains or a diversity of catchment types are ungrounded. Overall, the number of significant trends in major-flood occurrence across North America and Europe was approximately the number expected due to chance alone. Changes over time in the occurrence of major floods were dominated by multidecadal variability rather than by long-term trends. There were more than three times as many significant relationships between major-flood occurrence and the Atlantic Multidecadal Oscillation than significant long-term trends.

Journal of Hydrology

Groundwater-level trends in the U.S. glacial aquifer system, 1964-2013

The glacial aquifer system in the United States is a major source of water supply but previous work on historical groundwater trends across the system is lacking. Trends in annual minimum, mean, and maximum groundwater levels for 205 monitoring wells were analyzed across three regions of the system (East, Central, West Central) for four time periods: 1964-2013, 1974-2013, 1984-2013, and 1994-2013. Trends were computed separately for wells in the glacial aquifer system with low potential for human influence on groundwater levels and ones with high potential influence from activities such as groundwater pumping. Generally there were more wells with significantly increasing groundwater levels (levels closer to ground surface) than wells with significantly decreasing levels. The highest numbers of significant increases for all four time periods were with annual minimum and/or mean levels. There were many more wells with significant increases from 1964 to 2013 than from more recent periods, consistent with low precipitation in the 1960s. Overall there were low numbers of wells with significantly decreasing trends regardless of time period considered; the highest number of these were generally for annual minimum groundwater levels at wells with likely human influence. There were substantial differences in the number of wells with significant groundwater-level trends over time, depending on whether the historical time series are assumed to be independent, have short-term persistence, or have long-term persistence. Mean annual groundwater levels have significant lag-one-year autocorrelation at 26.0% of wells in the East region, 65.4% of wells in the Central region, and 100% of wells in the West Central region. Annual precipitation across the glacial aquifer system, on the other hand, has significant autocorrelation at only 5.5% of stations, about the percentage expected due to chance.

Journal of Hydrology

Does urban sprawl hold down upward mobility?

Contrary to the general perception, the United States has a much more class-bound society than other wealthy countries. The chance of upward mobility for Americans is just half that of the citizens of the Denmark and many other European countries. In addition to other influences, the built environment may contribute to the low rate of upward mobility in the U.S. This study tests the relationship between urban sprawl and upward mobility for commuting zones in the U.S. We examine potential pathways through which sprawl may have an effect on mobility. We use structural equation modeling to account for both direct and indirect effects of sprawl on upward mobility. We find that upward mobility is significantly higher in compact areas than sprawling areas. The direct effect, which we attribute to better job accessibility in more compact commuting zones, is stronger than the indirect effects. Of the indirect effects, only one, through the mediating variable income segregation, is significant.

Landscape and Urban Planning

A simple model for the spatially-variable coastal response to hurricanes

The vulnerability of a beach to extreme coastal change during a hurricane can be estimated by comparing the relative elevations of storm-induced water levels to those of the dune or berm. A simple model that defines the coastal response based on these elevations was used to hindcast the potential impact regime along a 50-km stretch of the North Carolina coast to the landfalls of Hurricane Bonnie on August 27, 1998, and Hurricane Floyd on September 16, 1999. Maximum total water levels at the shoreline were calculated as the sum of modeled storm surge, astronomical tide, and wave runup, estimated from offshore wave conditions and the local beach slope using an empirical parameterization. Storm surge and wave runup each accounted for ∼ 48% of the signal (the remaining 4% is attributed to astronomical tides), indicating that wave-driven process are a significant contributor to hurricane-induced water levels. Expected water levels and lidar-derived measures of pre-storm dune and berm elevation were used to predict the spatially-varying storm-impact regime: swash, collision, or overwash. Predictions were compared to the observed response quantified using a lidar topography survey collected following hurricane landfall. The storm-averaged mean accuracy of the model in predicting the observed impact regime was 55.4%, a significant improvement over the 33.3% accuracy associated with random chance. Model sensitivity varied between regimes and was highest within the overwash regime where the accuracies were 84.2% and 89.7% for Hurricanes Bonnie and Floyd, respectively. The model not only allows for prediction of the general coastal response to storms, but also provides a framework for examining the longshore-variable magnitudes of observed coastal change. For Hurricane Bonnie, shoreline and beach volume changes within locations that experienced overwash or dune erosion were two times greater than locations where wave runup was confined to the foreshore (swash regime). During Hurricane Floyd, this pattern became more pronounced as magnitudes of change were four times greater within the overwash regime than in the swash regime. Comparisons of pre-storm topography to a calm weather survey collected one year after Hurricane Floyd's landfall show long-term beach volume loss at overwash locations. Here, the volume of sand eroded from the beach was balanced by the volume of overwash deposits, indicating that the majority of the sand removed from the beach was transported landward across the island rather than being transported offshore. In overwash locations, sand was removed from the nearshore system and unavailable for later beach recovery, resulting in a more permanent response than observed within the other regimes. These results support the predictive capabilities of the storm scaling model and illustrate that the impact regimes provide a framework for explaining the longshore-variable coastal response to hurricanes.

Marine Geology

2D micromodel study of clogging behavior of fine-grained particles associated with gas hydrate production in NGHP-02 gas hydrate reservoir sediments

Fine-grained particles (fines) commonly coexist with coarse-grained sediments that host gas hydrate. These fines can be mobilized by liquid and gas flow during gas hydrate production. Once mobilized, fines can clog pore throats and reduce reservoir permeability. Even where particle sizes are smaller than pore-throat sizes, clogs can form due to clusters of fines. For certain types of fines, particularly swelling clays, cluster sizes depend on pore-fluid chemistry, which changes as pore-fluid freshens during gas hydrate dissociation. Fines can also be concentrated by a moving gas/liquid interface, increasing the chances of pore-throat clogging regardless of fines type. To test the relative significance of these clogging mechanisms, 2D micromodel experiments have been conducted with different pore-throat widths (20, 40, 60 and 100 m), single-phase pore-fluids (deionized water and 2M-sodium-chloride solution), and moving gas/liquid interfaces on specimens from Sites NGHP-02-09 and NGHP-02-16 (NGHP-02: National Gas Hydrate Program Expedition 02) as well as a selection of pure fines (silica silt, mica, calcium carbonate, diatoms, kaolin, and bentonite). Clogging depended on the ratio of particle-to-pore throat size, and also on pore-fluid chemistry because the pore-fluid chemistry changes effectively increased or decreased the fines cluster size relative to the pore-throat width. These interactions can be predicted based on the fines electrical sensitivity (defined by Jang and Santamarina, 2016). The fine-grained sediment component (grain size < 75 m) from the primary gas hydrate reservoir layers at Sites NGHP-02-09 and -16 show clogging via blocking or size exclusion (sieving) due to the large particles. Clogs also formed due to bridging or blocking by clusters of the smaller particles. Clogging generally occurred for pore-water sediment concentrations so low (0.2% by mass or less), that it was difficult to resolve the enhanced clogging in the presence of the gas/liquid meniscus.

Bay of Bengal

Mineral deposit discovery order and three-part quantitative assessments

Larger oil pools tending to be discovered earlier in an exploration play suggests the same pattern might exist for mineral deposits and could be used in predicting sizes of undiscovered deposits in mineral assessments. The volume of individual petroleum pools is highly correlated with surface projection area of pools in basins. The gradual additions to individual oil pool reserves over time adds to the appearance of larger pools being discovered earlier. Comparisons of surface projected areas of mineral deposits to their tonnages showed significant positive relationships in all 10 deposit types analyzed, suggesting that larger deposits should be discovered earlier than small deposits. Analysis of deposits consistent with three-part mineral assessments identified 9 combinations of mineral deposit types in large regions each containing multiple geological permissive tracts showing negative and 1 positive relationships of deposit size with discovery date significant at the 1% level. Twenty other tests of regions containing multiple permissive settings had either negative or positive relationships, none significantly different from those that might occur by chance. The large regions are mostly based on political boundaries. These results suggest mineral deposit discovery order is not the same as observed in oil pool exploration. The widely employed three-part quantitative mineral resource assessments are an obvious choice to benefit from patterns of declining deposit sizes with order of discovery. The 30 tests of relationships of discovery dates to deposit sizes demonstrated here were performed with deposits consistent with those in three-part assessments, but the large areas are not consistent with permissive tracts used in these assessments because they also contain substantial non-permissive geology. In 100 permissive tracts assessed with three-part assessments of multiple deposit types located throughout the world, the median number of known well-explored deposits is 1 and 90 percent of tracts report less than 9 deposits. The number of well-explored deposits in three-part assessed tracts tends to be quite small, limiting any ability to recognize a discovery order versus size relationship. In a three-part assessment of undiscovered porphyry copper deposits of South America, only 7 of 26 delineated tracts contained more than 2 known deposits and only 1 had a significant negative relationship between tonnage of known deposits and year of discovery (p = 0.04). Most predicted undiscovered deposits in this tract were expected to be under extensive unexplored post-mineralization cover, meaning the general grade and tonnage model should be applied because the discovery order process starts over. Projection of deposit sizes based on discovery order would provide a biased estimate of the undiscovered deposit sizes in this case. Thus, although a discovery order versus size relationship could exist in three-part mineral assessments, only rarely might the pattern be useful to predict sizes of undiscovered deposits.

Ore Geology Reviews

Natural hazards and mineral commodity supply: Quantifying risk of earthquake disruption to South American copper supply

Mineral resources, and their mining and enrichment operations, are not equally distributed across Earth. The concentration of mineral supply in certain regions, owing to the geology or geography of the mineral resource, raises the level of risk related to supply disruption. Where mineral production coincides with areas prone to natural hazards, supply may be especially at risk. However, the level of risk that natural hazards pose to mineral supply has yet to be quantified on a global or regional scale. Using copper in South America as a case study, this paper offers methods for quantifying (i) the coincidence of mineral production and seismic hazards, and (ii) the Expected Annual Disruption (EAD) of the mineral supply from earthquakes. The first of these methods indicates that, of the 101 copper producing facilities in South America considered, 76 are located within an area of high seismic hazard, taken here as the area with>85% chance of exceeding Modified Mercalli Intensity VI earthquake shaking in 50 years. Collectively, the 76 facilities comprise 82%, 87%, and 91% of the 2015 South American mine production, smelter capacity, and refinery capacity, respectively. For each of the 101 facilities, the second method calculates the EAD using a full earthquake shaking hazard forecast at the location, the annualized copper production of the facility, and models of the vulnerability of that production to shaking. The EADs are summed by country, here within South America, as a demonstration of how supply risk could eventually be quantified globally. Consideration of two illustrative vulnerability models shows that future work is needed to determine percentages of disruption to mineral production for different levels of earthquake shaking. Ultimately, the methods presented herein could be applied to other mineral commodities and/or adapted for other natural hazards, and the resulting EADs could be summed. Results from these methods could be used to focus more detailed risk assessments where the risk is highest.

Resources Policy

How useful are the "other" semipermeable membrane devices (SPMDs); the mini-unit (15.2 cm long)?

Mini (15.2 cm) semipermeable membrane devices (SPMDs) were used successfully in 169 streams from six metropolitan areas of the US to sequester hydrophobic organic compounds (HOCs) that are indicative of urbanization. A microscale assay the P450RGS, which responds to compounds that bind to the aryl hydrocarbon receptor (AhR), and the Fluoroscan, a chemical screen for polycyclic aromatic hydrocarbons (PAHs), were performed on each mini SPMD extract. Results show both tests were sensitive enough to respond in streams with low urbanization and responded exponentially in a predictable way to a gradient of urbanization. Mini SPMDs had sufficient sampling rates to detect HOCs using gas chromatography with mass spectrometric detection (GC/MS) in streams with low levels of urbanization. The total number of HOCs in streams had a linear response to a gradient of urbanization, where 73 of 140 targeted compounds were detected. A diverse group of compounds was found in urban streams including, PAHs, insecticides, herbicides, musk fragrances, waste water treatment compounds and flame retardants. Pentachloroanisole (PCA), a breakdown product of pentachlorophenol (wood preservative), was the most ubiquitous HOC, and was detected in 71% of streams. An evaluation of mini SPMD performance showed they can detect concentrations in water below toxicity benchmarks for many HOCs with the exception of 2,3,7,8 tetrachlorodibenzo- p -dioxin. A comparison of mini SPMDs with full sized (91.4 cm) SPMDs showed they have several distinct advantages. The most notable advantages are their low cost, small size, and reduced chance of vandalism. The greatest limitation is the inability to detect compounds at low concentrations (pg/L). Mini SPMDs perform quite well in a wide array of environmental settings and applications and should be considered as an option in environmental studies.

Science of the Total Environment

Planning for the Global Earth Observation System of Systems (GEOSS)

The Group on Earth Observations was established to promote comprehensive, coordinated, and sustained Earth observations. Its mandate is to implement the Global Earth Observation System of Systems (GEOSS) in accord with the GEOSS 10-Year Implementation Plan and Reference Document. During the months over which the GEOSS Implementation Plan was developed, many issues surfaced and were addressed. This article discusses several of the more interesting or challenging of those issues-e.g. fitting in with existing organizations and securing stable funding - some of which have yet to be resolved fully as of this writing. Despite the relatively short period over which the Implementation Plan had to be developed, there is a good chance that the work undertaken will be influential for decades to come. ?? 2005 Elsevier Ltd. All rights reserved.

Space Policy