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Restoring dryland water cycles for precipitation feedback and climate stability; a review

Drylands across the globe are experiencing intensifying water scarcity, land degradation, and hydroclimatic extremes. This review integrates evidence from multidecadal field studies, hydrologic monitoring, geomorphic and ecological assessments, remote sensing, and land–atmosphere science to evaluate how restoration influences key components of the terrestrial water cycle. Low-tech natural infrastructure in dryland streams (NIDS)—including check dams, leaky weirs, one-rock dams, and gabions—has emerged as a promising but under-synthesized nature-based solution for restoring hydrologic function in these environments. We describe the mechanisms through which these interventions modify runoff detention, infiltration, sediment and alluvial storage, shallow-groundwater recharge, vegetation recovery, and surface-energy partitioning, and we summarize outcomes across diverse dryland settings. Findings consistently show increased water residence time, enhanced soil-moisture storage, expanded riparian vegetation, extended flow duration, and shifts toward greater latent-heat flux—producing localized cooling and strengthened ecohydrological feedbacks. Building on these localized effects, we articulate a hypothesis that links the spatial extent of restoration, the density of NIDS per unit drainage area, and the magnitude of the latent-to-sensible-heat contrast generated by wetter post-rainfall conditions. Specifically, we hypothesize that when NIDS are implemented at densities permitted by topography and across areas large enough to maintain elevated soil moisture after storm events, the resulting increases in latent heat flux, surface cooling, and boundary-layer moistening may enhance moisture convergence and boundary-layer development, potentially increasing the likelihood or stability of convective precipitation, analogous to how reductions in these processes have contributed to regional drought intensification. These land–atmosphere feedbacks remain untested at scale but represent an important research Frontier. By integrating hydrologic, geomorphic, ecological, and atmospheric perspectives, this review provides a comprehensive framework for considering how low-tech, landscape-scale interventions can strengthen watershed resilience and contribute to climate-relevant nature-based solutions.

Arizona

Three-dimensional seismic velocity models for the San Francisco Bay region, California from joint body-wave and surface-wave tomography validated by waveform simulation

A high-resolution seismic velocity model for both P and S waves is essential for the San Francisco Bay (SFB) region to accurately simulate earthquake ground motions and assess seismic hazards in this high-risk region. We present new three-dimensional P-wave and S-wave velocity (Vp and Vs) models of the SFB region developed using joint tomographic inversion with a rich set of earthquake and active-source body-wave data and ambient-noise surface-wave data. We designed a dynamic balance strategy to effectively balance the contributions of body-wave and surface-wave data during each iteration of the inversion. Owing to the complementary resolution of body-wave and surface-wave data, our new models are significantly improved compared to previous tomographic models. Major geologic features in the SFB region, including low-velocity basins, high-velocity Franciscan Complex, granite, and gabbro rocks, and across-fault velocity contrasts, are imaged in our Vp and Vs models. Compared to the geology-based U.S. Geological Survey velocity model, our new model has better defined structures for some important areas that are of great concern for seismic hazard assessment, such as the Sacramento-San Joaquin Delta, and the 2014 magnitude 6.0 South Napa earthquake area. We validated our model by simulating waveforms for a set of moderate-magnitude earthquakes. The good performance of our model in waveform simulation indicates its potential for improving ground motion simulation and seismic hazard assessment in the SFB region.

California

Induced earthquakes are generally not tidally triggered in Oklahoma and Kansas

Human-induced earthquakes occur along critically stressed faults as injected wastewater simultaneously heightens fluid pressure and pushes faults to failure. We investigate the possibility that small stresses imposed by Earth tides could trigger earthquakes in the induced seismicity region of Oklahoma and Kansas from 2011 to 2018. We decluster a catalog consisting of ∼110,000 earthquakes using three methods (Reasenberg, nearest-neighbor distance, and phase-bin). We find no significant tidal earthquake triggering using Schuster's p -value test for the declustered catalogs as a whole. We search for localized triggering using discretized space-time cells and find ∼0–6% of cells have significant tidal triggering which is close to what is randomly expected (5%) and indicates there is an insignificant amount of tidal triggering for the full study region. One area that has significant p -values across multiple time windows, ∼2014–2016 is ∼15 km from a region of large wastewater injection volume. It is possible that localized tidal triggering occurs for this time and area because faults remain critically stressed and are particularly susceptible to slip under the small stress load from the semidiurnal tide. Possible explanations for the lack of tidal triggering in our broader study are that the pre-seismic stressing rate in the earthquake nucleation area is faster than the tidal stressing rate (∼3 kPa/day), faults are not close enough to critically stressed to be affected by tidal forcing, and that nucleation occurs over longer periods than the tides considered in this study (∼1, ∼14 days). Fluid injection could be the source of a higher pre-seismic stress rate.

Kansas, Oklahoma

Legacy of the fumigant 1,2-dibromo-3-chloropropane (DBCP) in California groundwater

The fumigant pesticide 1,2-dibromo-3-chloropropane (DBCP) was widely used in California agriculture during the 1960s and 1970s before being banned in 1979. Despite this ban, DBCP continues to contaminate groundwater due to its persistence and mobility. This study evaluates the distribution, historical trends, and projected persistence of DBCP in California using data from over 13,000 public supply wells and additional domestic, irrigation, and observation wells (1980-2022). Since 2010, DBCP has been detected in 9% of public supply wells statewide, with higher frequencies in the San Joaquin Valley (21%) and upper Santa Ana River watershed (13%), where DBCP use was most prevalent. Approximately 70% of wells had decreasing concentration trends, whereas increases were more common in deeper wells, indicating downward vertical migration of the DBCP front. Groundwater age estimates show that recharge timing aligns with the 1960s–1970s loading period, enabling reconstruction of peak inputs and providing a basis for age based modeling. To estimate future persistence, we applied a one dimensional advection–dispersion model that simulates long term declines in peak concentrations based on groundwater age, historical loading, and a 38 year degradation half life. Model projections suggest that concentrations above the maximum contaminant level may persist in a declining number of wells until approximately 2080 (range: 2048–2109), with longer persistence in the San Joaquin Valley. The simplified modeling framework, based on age distributions typical of wells capturing peak concentrations, can provide practical regional scale assessment of non-point source contaminants where long-term monitoring exists. This study highlights how the legacy of DBCP contamination will likely affect California's groundwater resources throughout the 21st century.

California

Integrating habitat suitability and climate constraints to predict nonnative fish invasion risk for U.S. streams and inland lakes

Introduction: Nonnative fishes in streams and inland lakes can substantially alter aquatic ecosystems by degrading habitat conditions, competing with native species, and restructuring food webs. Identifying invasion hotspots can inform proactive management and prevention of nonnative species establishment. Methods: In this study, we identified streams and lakes across the conterminous United States that are vulnerable to invasion by 18 nonnative stream and 28 nonnative lake fish species. Habitat suitability models were developed separately for stream and lake species across nine ecoregions using natural and anthropogenic predictors, and species occurrences were predicted by integrating model results with climate match scores based on comparisons between environmental conditions in species’ native and potential nonnative ranges. We classified areas with both high habitat suitability and strong climate similarity as having high invasion potential and generated hotspot maps by stacking species-level predictions. Results: Florida exhibits the highest invasion risk for both habitat types. Stream hotspots were concentrated near major metropolitan areas, whereas lake hotspots were more widely distributed across the Great Lakes basin and the northeastern U.S. Twelve species were predicted to invade both habitat types, with goldfish ( Carassius auratus ) and pirapitinga ( Piaractus brachypomus ) showing particularly high invasion potential. Discussion: These findings provide a comprehensive assessment of nonnative freshwater fish invasion risk and support targeted monitoring and management strategies.

conterminous United States

Groundwater dominates snowmelt runoff and controls streamflow efficiency in the western United States

Climate change in seasonally snow-covered mountain catchments is reducing water supply and decreasing streamflow predictability. Here, we use tritium age dating to show that contrary to the common assumption that snowmelt quickly contributes to runoff, streamflow during snowmelt in western US catchments is dominated by older groundwater. The average age of streamwater during snowmelt runoff (5.7 ± 4.3 years) was intermediate to the average age of groundwater (10.4 ± 4.5 years) and recent precipitation, indicating that 58% (±34%) of snowmelt runoff was derived from groundwater. Water ages, streamflow, and groundwater storage were mediated by bedrock geology: low-permeability hard rock/shale catchments exhibited younger ages, less storage, and more efficient streamflow generation than high-permeability sandstone/clastic catchments. Our results demonstrate that snowmelt runoff is the result of multiple prior years of climate mediated by groundwater storage. Including these interactions will be crucial for predicting water resources as climate and landscape changes accelerate.

western united States

A temporal look at the influence of topographic amplification on earthquake-triggered landslides in 3D seismic simulations

Earthquakes are a primary trigger for landslides, often leading to catastrophic consequences. While numerous studies have explored the spatial distribution of earthquake-triggered landslides, understanding the interaction between seismic waves and topography remains a critical challenge. Topographic irregularities can cause seismic wave amplification, altering ground shaking, and can trigger landslides that are challenging for predictive models to anticipate. This study investigates the spatial and temporal evolution of topographically amplified landslides, focusing on coseismic landslides triggered by the Mw 7.5 mainshock of the 2018 Papua New Guinea earthquake and post-seismic landslides associated with its four aftershocks, each exceeding Mw 6.0. We employ low-frequency, three-dimensional numerical ground shaking simulations and data-driven multivariate analyses to examine how landslides evolved from the coseismic to post-seismic periods. Our findings reveal a spatial shift in landslide distribution, in which the mainshock triggered slope failures predominantly on steep hillslopes, and the aftershocks triggered landslides on gentler slopes, often near geologic boundaries. We attribute this transition partly to the earthquake legacy effect of the mainshock, where the mainshock caused weakening of these hillslopes, making them more prone to failure when aftershocks occur. Additionally, the concentration of failures along geologic contacts in the post-seismic phase suggests that site amplification, stemming from contrasts in subsurface materials, exerts a key influence on landslide occurrence. Although not explicitly captured in our current numerical simulations, this mechanism warrants further investigation for more accurate hazard modeling.

JGR Solid Earth

Emerging investigator series: Post-wildfire sediment geochemical characterization reveals manganese reactivity and a potential link to water quality impairment in the Gallinas Creek watershed, New Mexico

Water quality post-wildfire is often impaired by increased turbidity and elevated concentrations of elements such as manganese (Mn) and iron (Fe). Precipitation events exacerbate these issues, due in part to increased erosion and transport of sediment from hillslopes to surface water. Both Mn and Fe are major redox-active elements in sediments that drive a variety of biogeochemical cycles, precipitate adsorptive phases, and can themselves be drinking water contaminants. By investigating Mn and Fe sediment geochemistry in post-wildfire sediment deposits, related water quality hazards can be assessed. To establish and strengthen this connection, we analyzed the geochemistry of sediment deposits and surface water in the Gallinas Creek watershed, New Mexico over 1.5 years post-wildfire. Analyses included particle size analysis, water extractions, sequential extractions and aqua regia extractions to determine metal partitioning in sediment deposits. Data demonstrate Mn concentrations were distributed across labile and reactive fractions, such as the exchangeable and oxyhydroxide fractions, while Fe concentrations were mainly associated with the residual fraction. Manganese concentrations in aqua regia extractions and several fractions of sequential extractions were also strongly and significantly correlated with fine-grained sediment while the same pools of Fe concentrations were not. Dissolved Mn concentrations in surface water were elevated (>50 μg L −1 ) multiple times over the 1.5 years post-wildfire, highlighting a relationship between sediment geochemistry and water quality. This work shows Mn in sediments mobilized post-wildfire has an influence on water quality and highlights how further investigation into Mn sediment redox processes and mineralogy post-wildfire can inform risk assessments and resource management.

New Mexico

Near-surface geophysics: Environmental applications

The field of geophysics encompasses a broad and diverse compilation of methodologies that employs principles of physics to characterize properties of earth materials within the subsurface. While geophysical methods have a long history in resource exploration and studies of Earth’s interior, the subdiscipline of “near-surface geophysics” has evolved in recent decades for examination of the shallow, near-surface environment for a range of purposes ranging from archaeological or forensic investigations to assessment of geologic, hydrologic, biologic, and geochemical properties and processes. “Environmental geophysics” are near-surface geophysical studies and methods that focus on understanding natural systems (e.g., watershed hydrology, groundwater–surface water connections, biophysical processes) as well as research pertaining to anthropogenic impacts and land management, (e.g., contamination and remediation, saltwater intrusion, agricultural practices). This field can be further subdivided into subdisciplines focused on specific topics and applications, such as water resources and hydrology (hydrogeophysics) or biologic and microbial processes (biogeophysics). Studies in environmental geophysics span a range of scales, from pore-scale laboratory tests to watershed-scale or regional field experiments. Methods vary by the nature of physics employed, the specific measurement acquired, and how that data is ultimately processed and analyzed to produce interpretable results. There exists further diversity in the acquisition logistics, geometry, and timing of data collection. Geophysical data can be collected in boreholes (one-dimensional, 1-D, vertical profiles), along survey lines (two-dimensional, 2-D, cross-sections), or in dense sensor arrays or gridded profiles (three-dimensional, 3-D, models). Regarding the temporal aspect, studies can conduct one-time geophysical surveys to obtain detailed imaging of subsurface structure or use timelapse and continuous monitoring to investigate variations in subsurface properties over time. The cumulation of all possible permutations of these factors (method, acquisition geometry, survey design, and target application) results in an immense diversity among environmental geophysical studies. Nevertheless, this field remains unified in the pursuit of understanding natural and human-impacted near-surface environments through geophysical investigations. Here we highlight some key references within environmental geophysics. Resources on geophysical theory, acquisition logistics, processing and inversion workflows, and example case studies are categorized into the most common geophysical classes within Geophysical Methods. Lastly, example references for the dominant types of applications in environmental geophysical studies are catalogued in Environmental Applications.

Book chapter

‘The fish that stop’: Drivers of historical decline for Pacific cod and implications for modern management in an era of rapidly changing climate

n the Gulf of Alaska, a series of marine heat waves depleted Pacific cod ( Gadus macrocephalus ) biomass to the lowest abundance ever recorded and led to the fishery’s closure in 2020. Although the fishery has been productive for decades, this collapse may have historical precedents. Traditional knowledge holders refer to cod as ‘the fish that stop’, and there is a suggested period of decline in the 1930s. Here we conduct a catch reconstruction of the early commercial fishery (1864–1950), confirming a rapid catch decline in the 1920s and 1930s. Next, we evaluate evidence for possible drivers. We document changes to demand and technology that contributed to declining catch. However, we also find both qualitative and quantitative evidence of depletion, suggesting catch declines were not driven entirely by social factors. Overfishing may have contributed to localized catch declines as evidenced by declining catch rates in heavily fished localities. We also find evidence for climate as a driver of regional decline, with the period of catch decline characterized by up to 2°C higher temperatures as compared to the earlier period of high fisheries production. Our analysis underscores the importance of understanding long-term drivers of fisheries productivity and the value of linking fisheries and climate histories.

Alaska

Evaluating the effects of a multi-modal deterrent on upstream passage by invasive carp and native species

Invasive carp, including Silver Carp ( Hypophthalmichthys molitrix ) and Grass Carp ( Ctenopharyngodon idella ), are increasing their range within the Mississippi River Basin, threatening native fishes and ecosystem function. We conducted a 3-year field test of a multi-modal deterrent that uses sound, bubbles, and light to test its ability to impede upstream passage by invasive carp. The test was performed at a lock and dam on the Cumberland River, Kentucky, USA, using acoustic telemetry to track the movements of Silver Carp, Grass Carp, and several native fish species. When the deterrent was operating, the estimated probability of upstream lock passage was 53% lower (95% CI: 41%–63%) for Silver Carp but 74% higher (95% CI: 3%–190%) for Grass Carp compared to times when the deterrent was not operating. Paddlefish ( Polyodon spathula ) passage was reduced by 43% (95% CI: 71% reduction to 9% increase), although this was not statistically significant. We detected no significant effects on Freshwater Drum ( Aplodinotus grunniens ) or Smallmouth Buffalo ( Ictiobus bubalus ). However, sample sizes were small for these native species, limiting our ability to identify effects. Water temperature, tailwater elevation, and vessel lockages affected passage rates, although this varied among species.

Kentucky

Channel morphology and large wood control postfire debris-flow erosion and deposition

Runoff-generated debris flows are a known response to wildfire, and accurately predicting the volume of these debris flows is important for estimating the magnitude of downstream hazards. Prior data collection efforts have focused on debris-flow volume measurements at catchment outlets, but few studies have considered how erosion and deposition modulate the volume of sediment arriving at catchment outlets. This study takes advantage of a high-resolution dataset to document the factors that control the total debris-flow volume reaching the catchment outlet during a fatal postfire debris flow. Using pre- and post-event airborne lidar, satellite imagery and field mapping, we found that a postfire debris flow in the Black Hollow catchment in northern Colorado eroded 136,000 ± 30,000 m 3 and redeposited 27,000 ± 7,500 m 3 in the main channel. Most of the in-channel deposition (52% by volume) occurred where a confined channel reach transitioned to an unconfined channel reach downstream, allowing the flow to widen and deposit material. Wood jams played multiple roles in the debris-flow dynamics, both nucleating deposition (25% of the deposit volume was stored behind wood jams) and exacerbating erosion (50% of the total erosion occurred downstream from a wood dam break). The remaining deposition occurred due to spatial changes in channel slope as well as deposition observed at newly formed channel bars. Using these data in this study, we identified topographic and vegetation metrics that can be used (pre-event) to anticipate where deposition may occur in channels prior to a debris flow.

Colorado

Uncertainty reduction for subaerial landslide-tsunami hazards

Subaerial rock slopes may generate a tsunami by rapidly moving into the water. Large uncertainty in landslide characteristics propagates into large uncertainty in tsunami hazard, making hazard assessment more difficult for land and emergency managers. Once a potentially tsunamigenic landslide is identified, it may not be clear which landslide characteristics contribute most significantly to uncertainty in the tsunami hazard. Our aim is to document the relative worth of different landslide characteristics (e.g., size, material properties) for reducing uncertainty in landslide-tsunami hazard assessments. Isolating the relative importance of specific landslide characteristics may inform prioritization of data collection and improve efficiency in understanding hazard. To accomplish this, we generated a set of 288 landslide-tsunami simulations in which we systematically varied the size and material properties of possible failure extents at the Barry Arm landslide complex in northwestern Prince William Sound, Alaska, USA. We find that for landslides smaller than the receiving waterbody, the landslide volume has the strongest effect on resulting wave characteristics and thus the highest leverage on reducing uncertainty in tsunami hazard. In contrast, for landslides substantially larger than the waterbody, the duration of rapid movement of the landslide has the highest leverage. Based on our results, we propose a classification scheme for subaerial landslides based on the relative size of the landslide and waterbody. Additionally, our results support the generation of a tsunami height transfer function between existing tide gages and a nearby coastal city. These results have direct implications for the practice of operational early warning.

Alaska

Climate change and future water availability in the United States

The steady rise in global temperature as a result of human activity is causing changes in Earth’s water cycle. The balance of water stored within and moving between vapor, liquid, and frozen states in the water cycle is shifting, with consequences for water availability that include increases in drought, fire weather, flooding, and heavy precipitation, as well as cryosphere decline and sea-level rise. In this chapter of the U.S. Geological Survey Integrated Water Availability Assessment—2010–20, we provide an overview of climate-change observations and projections from Earth-system model simulations that relate to future water availability, from global and national climate assessments and from the published literature. Effects of climate change on primary water-cycle components are discussed in context of how global-scale hydroclimate drivers influence regional processes within the United States. Understanding the major climate drivers impacting the water cycle is crucial to predicting future changes in water availability and developing adaptation strategies to ensure human and ecosystem water supplies. First, we provide background information on the water cycle, the climate-model ensemble simulations developed to produce projections based on warming scenarios, and attribution and certainty levels. Tipping points, self-reinforcing feedbacks, cascading effects, and compound extremes are introduced. The framework of climatic impact drivers (CIDs) outlined in the Intergovernmental Panel on Climate Change Sixth Assessment Report (IPCC AR6) is used to show primary drivers of physical change to the water cycle and to understand and predict changes in future water availability. Specific climate-change related observations and projections are discussed for water cycle components of precipitation, evapotranspiration, soil moisture, streamflow, lakes and wetlands, ice and snow, and groundwater, as well as their implications for future water availability for humans and ecosystems. The chapter concludes with a synthesis discussion of three examples of complex regional-scale hydroclimate processes that influence water availability for populations in the United States, including (1) mountain and coastal precipitation, (2) aridification and drought, and (3) the influence of forest-cover change on terrestrial water-vapor recycling.

Professional Paper

Earthquake cycle mechanics during caldera collapse: Simulating the 2018 Kīlauea eruption

In multiple observed caldera-forming eruptions, the rock overlying a draining magma reservoir dropped downward along ring faults in sequences of discrete collapse earthquakes. These sequences are analogous to tectonic earthquake cycles and provide opportunities to examine fault mechanics and collapse eruption dynamics over multiple events. Collapse earthquake cycles have been studied with zero-dimensional slider-block models, but these do not account for the complicated interplay between fluid and elastic dynamics or for factors such as the heterogeneous fault properties and non-vertical ring fault geometries often inferred at volcanoes. We present two-dimensional axisymmetric mafic piston-like collapse earthquake cycle models that include rate-and-state friction, fully-dynamic elasticity, and compressible viscous fluid magma flow. We demonstrate that collapse earthquake intervals and magnitudes are highly sensitive to inertial effects, evolving stress fields, fault geometry, and depth-varying fault friction. Given the consistent earthquake cycles observed in most eruptions, this suggests that ring faults can quickly stabilize and often become nearly vertical at depth. We use the well-monitored 2018 collapse sequence at Kı̄lauea as a case study. Our model can produce many features of Kı̄lauea seismic and geodetic observations, except for a significant amount of interseismic slip, which cannot be readily explained with simple rate-and-state friction parameterizations.

Hawaii

Testing megathrust rupture models using tsunami deposits

The 26 January 1700 CE Cascadia subduction zone earthquake ruptured much of the plate boundary and generated a tsunami that deposited sand in coastal marshes from northern California to Vancouver Island. Although the depositional record of tsunami inundation is extensive in some of these marshes, few sites have been investigated in enough detail to map the inland extent of sand deposition and depict variability in tsunami deposit thickness and grain size. We collected 129 cores in marshes of the Salmon River estuary in Oregon and reanalyzed 114 core logs from a 1987–88 study that mapped the inland extent of circa 1700 CE sandy tsunami deposits. The ca. 1700 CE tsunami deposit in the Salmon River estuary is easily recognized in cores ≤1 m deep in which a buried marsh peat is overlain by a well sorted sand bed with a sharp lower contact that thins and fines inland. We use tsunami deposit data and models of sandy tsunami sediment transport (using Delft3D-FLOW) to test 15 rupture models that could represent a ca. 1700 CE earthquake. At least 12–16 m of slip offshore of the Salmon River, which results in 0.8–1.0 m of coastal coseismic subsidence, is required to match the ca. 1700 CE sand deposit's inland extent, which is consistent with models of heterogeneous megathrust slip in ca. 1700 CE. Our methods of detailed tsunami deposit mapping, combined with sediment transport modeling, can be used to test models of megathrust ruptures and their tsunamis to potentially improve earthquake and tsunami hazard assessments.

JGR Earth Surface

Do bighorn sheep use desert tortoise burrow spoil piles as mineral licks in southern California?

In a previous study, bighorn sheep ( Ovis canadensis ) were periodically photographed by trail cameras when they visited desert tortoise ( Gopherus agassizii ) burrows in the San Bernardino Mountains near Palm Springs, California, USA. The authors suggested that bighorn sheep may utilize the excavated spoil material from burrows as a mineral lick. To test that supposition, we collected soil samples from the spoil piles and undisturbed surface soil up to 1 m away at two desert tortoise study sites with bighorn sheep at the aforementioned site and another nearby site. We hypothesized that sodium concentrations would be greater in spoil than in nearby surface soil samples. Common major cations were quantified in soil samples using inductively coupled plasma-mass spectrometry following microwave-assisted digestion to solubilize the fraction of elements that could become biologically or environmentally available. Mean sodium concentrations were greater in burrow spoil samples than in undisturbed soil samples at both sites, likely due to aqueous leaching of sodium from surface to subsurface soil horizons. Although we did not collect evidence of geophagy by bighorn sheep, the behavior is well known. However, trail camera photographs of bighorn sheep with their head next to the entrance of tortoise burrows suggests that they may periodically utilize sodium and other elements brought to the surface by desert tortoises that are otherwise unavailable to bighorn sheep on the surface.

California

New paleomagnetic constraints on the eruption timing, stratigraphy, and post-emplacement deformation of the Picture Gorge Basalt within the Columbia River Basalt Group

The Picture Gorge Basalt (PGB) is part of the Miocene Columbia River Basalt Group (CRBG). The PGB, which outcrops in eastern Oregon, is considered coincident in time with the voluminous Grande Ronde Basalt. New radiometric ages have expanded the age‐range of the PGB, suggesting it began erupting prior to the Steens Basalt to its south and continued until after cessation of the Grande Ronde Basalt eruptions, an interval of 1.5 Ma. However, the existing paleomagnetism of the PGB implies this eruption timeline is an overestimate. To reconcile the radiometric and paleomagnetic timescales for the PGB, we conducted a paleomagnetic study on sections of the PGB to construct a detailed, high‐quality magnetostratigraphy. Our data indicate the stratigraphically lowest lava flows in the PGB are of reversed polarity, revealing a new paleomagnetic transition with the PGB and a reversed (R)–normal (N)–reversed (R) sequence. This suggests one of two timeline possibilities for PGB volcanism: (a) eruptions began and during through CRBG polarity chrons R0–N0–R1, penecontemporaneous with Steens Basalt, or (b) eruptions began and persisted during CRBG polarity chrons R1–N1–R2. Our work supports a longer interval of PGB volcanism than was suggested by previous paleomagnetic data but is at odds with the suggestion that PGB eruptions lasted through the entire main CRBG. We favor a scenario wherein PGB eruptions begin with R0 and continue into the R1 paleomagnetic interval. The paleomagnetic results also record a ∼18° vertical‐axis rotation of east‐central Oregon after ∼16 Ma with respect to stable North America.

Oregon