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Analog experiments of lava flow emplacement

Laboratory experiments that simulate lava flows have been in use by volcanologists for many years. The behavior of flows in the lab, where “eruption” parameters, material properties, and environmental settings are tightly controlled, provides insight into the influence of various factors on flow evolution. A second benefit of laboratory lava flows is to provide a set of observations with which numerical models of flow emplacement can be tested. Models of lava flow emplacement vary in mathematical approach, physical assumptions, and computational cost. Nonetheless, all models require thorough testing and evaluation, and laboratory experiments produce an excellent test for models. This paper provides a primer on modern analog laboratory lava flow experiments. It reviews scaling con- siderations and provides quantitative information meant to guide future experimentalists in designing their experiments to be relevant to natural processes. Traditional and novel laboratory techniques are described, including a discussion of current limitations. New insights from recent experiments highlight the impact of topographic conditions and highlight the importance of considering bed roughness, major obstacles, and slope breaks. The influence of episodic or non-uniform effusion rate is demonstrated through recent experi- mental works. Lastly, the paper discusses several open questions about lava flow emplacement and the ways in which future improvements in experimental methods, such as the ability to utilize three-phase suspensions and materials with complex rheologies and to image the interior of flows could help answer these.

Annals of Geophysics

Coles Hill Uranium Deposit, Virginia, United States, and the Application of UNFC-2009

The case study presented here reviews the uranium resource estimates and summarizes the property situation of the Coles Hill uranium Deposit. Uranium resources at Coles Hill are then classified according to UNFC-2009. The Coles Hill Deposit is located in Pittsylvania County, southern Virginia, United States (Figure 14). Coles Hill was discovered by the Marline Corporation who identified an outcropping surface radiometric anomaly in 1979. The deposit was delineated by Marline and UMETCO (a subsidiary of the Union Carbide Corporation) from 1979 to 1984. In all, 182 rotary holes (38,037 metres (124,799 feet) of drilling) and 74 core holes (19,836 m (65,082 feet) of drilling) were completed and two distinct deposits, the North and South Coles Hill Deposits were defined [66]. Marline let its option to develop the property lapse in response to low uranium prices and a moratorium on uranium mining in Virginia that was passed in 1982. In 2006, a corporation formed by the majority property owner, Virginia Uranium LLC, consolidated 2,296 acres (929 hectares (ha)) in surface rights and 2,940 acres (1,190 ha) in mineral rights, which cover most of the north and south deposits. In 2008, Virginia Uranium drilled 3 core holes and 7 rotary holes. Geophysical surveys were completed for 5 historic holes to confirm earlier results. The Marline core was donated to, and is curated by, the Virginia Natural History Museum; the Marline core is stored on site along with the core drilled in 2008 by Virginia Uranium. The property is accessible from secondary paved roads and the infrastructure, including access to power and water and proximity to local support services, is excellent.

Book chapter

An assessment of uncertainties in VS profiles obtained from microtremor observations in the phased 2018 COSMOS blind trials

Site response is a critical consideration when assessing earthquake hazards. Site characterization is key to understanding site effects as influenced by seismic site conditions of the local geology. Thus, a number of geophysical site characterization methods were developed to meet the demand for accurate and cost-effective results. As a consequence, a number of studies have been administered periodically as blind trials to evaluate the state-of-practice on-site characterization. We present results from the Consortium of Organizations for Strong Motion Observation Systems (COSMOS) blind trials, which used data recorded from surface-based microtremor array methods (MAM) at four sites where geomorphic conditions vary from deep alluvial basins to an alpine valley. Thirty-four invited analysts participated. Data were incrementally released to 17 available analysts who participated in all four phases: (1) two-station arrays, (2) sparse triangular arrays, (3) complex nested triangular or circular arrays, and (4) all available geological control site information including drill hole data. Another set of 17 analysts provided results from two sites and two phases only. Although data from one site consisted of recordings from three-component sensors, the other three sites consisted of data recorded only by vertical-component sensors. The sites cover a range of noise source distributions, ranging from one site with a highly directional microtremor wave field to others with omni-directional (azimuthally distributed) wave fields. We review results from different processing techniques (e.g., beam-forming, spatial autocorrelation, cross-correlation, or seismic interferometry) applied by the analysts and compare the effectiveness between the differing wave field distributions. We define the M index as a quality index based on estimates of the time-averaged shear-wave velocity of the upper 10 ( V S10 ), 30 ( V S30 ), 100 ( V S100 ), and 300 ( V S300 ) meters and show its usefulness in quantitative comparisons of V S profiles from multiple analysts. Our findings are expected to aid in building an evidence-based consensus on preferred cost-effective arrays and processing methodology for future studies of seismic site effects.

Seismological Research Letters

Stress orientations at intermediate angles to the San Andreas Fault, California

There are currently two competing models for the frictional strength of the San Andreas Fault in California: the strong-fault model and the weak-fault model. The strong-fault model predicts the maximum horizontal compressive stress axis to be at low angles to the fault, while the relatively weak fault model predicts it to be at high angles. Previous studies have disagreed as to which model is supported by observed stress orientations. We review and compare these studies and present results from several new focal mechanism stress inversions. We find that the observed stress orientations of different studies are generally consistent, implying that the disagreement is one of interpretation. The majority of studies find compressive stress orientations at intermediate angles to the fault, not strictly consistent with either current model. The strong-fault model is acceptable if the San Andreas is assumed to be a nonoptimally orientated fault that fails because optimally oriented, preexisting planes are not present. The relatively weak fault model is not consistent with the stress orientations. We propose two alternative models to better explain the observed intermediate stress orientations: an intermediate-strength San Andreas model and a model in which all major active faults are weak.

California

The glacial anticyclone theory examined in the light of recent meteorological data from Greenland—Part I

The glacial anticyclone theory, which William H. Hobbs propounded in 1910, is today still the only definitely formulated theory concerning the atmospheric movements that take place over an ice sheet of large extent. It stands chiefly on deductive grounds and contains several features that to climatologists as well as to glaciologists have always seemed questionable. Aside from the need of its verification for scientific reasons, there is now also urgent practical need for reliable information about the weather conditions that prevail over the ice sheet of Greenland, for Greenland lies athwart several of the great air routes of the future. In this paper, accordingly, the glacial anticyclone theory is first analyzed and then confronted with the facts of observation that are now at hand, especially those reported from the fixed meteorological stations which were maintained in the interior of Greenland during the 1930s. In this, the first part of the paper, the meteorological data from the Eismitte station of the German Wegener Expedition are reviewed. The second part will cover the areological data of that expedition and the similar material from the other ice‐cap stations. The conclusions reached are that there is no evidence of a virtually permanent “glacial anticyclone” centered over the Greenland ice sheet. On the contrary, there is consistent evidence from all parts of Greenland that the weather over the ice sheet is controlled by alternating cyclonic and anticyclonic movements. Cyclonic activity is most intense in southern Greenland and weakest in northern Greenland. The entire ice sheet is supplied with snow brought by rising maritime air masses, not by air descending from the upper troposphere. Aviators need not expect so much as a fifty‐fifty chance of meeting with good weather on flights across central Greenland, except for a few weeks in midsummer.

Eos, Transactions, American Geophysical Union

Evidence for a new geomagnetic reversal from lava flows in Idaho: Discussion of short polarity reversals in the Brunhes and late Matuyama polarity chrons

K-Ar ages and paleomagnetic data for basalt samples from a new core hole (site E) at the Idaho National Engineering Laboratory (INEL) indicate that the age of the reversed polarity event recorded in Snake River Plain lavas is older than 465±50 ka (1000 years before present) reported previously by Champion et al. (1981). Nine basalt flows, eight with normal polarity and one with reversed polarity, were recognized in the site E core hole. The flows above and below the reversed flow have ages of 491±80 ka and 580±93 ka, respectively. The inclination of the paleomagnetic field direction of the reversed flow at site E agrees with the inclination of reversed flows elsewhere at INEL which have an age of 565±14 ka. These reversed flows were previously thought to be correlative with the Emperor event. We suggest that this polarity event is an older event which we name the Big Lost Reversed Polarity Subchronozone and Subchron. A review of data documenting short reversal records from volcanic and sedimentary rocks shows that there is evidence for eight polarity subchrons in the Brunhes and two besides the Jaramillo in the late Matuyama. These 10 short subchrons begin to indicate the many short events that Cox (1968) hypothesized must exist if polarity interval lengths have a Poisson distribution. These events are true subchrons, not excursions, and may or may not have low associated paleointensities, although low field strengths might explain why the reversal process aborts. The mean sustained polarity interval length since late Matuyama Chron time is 90,000 years. The similarity of this number with the 10 5 -year period of the Earth's orbital eccentricity suggests anew that linkage between geomagnetic, paleoclimatic, and possible underlying Earth orbital parameters should be evaluated.

Journal of Geophysical Research Solid Earth

Runoff from rain and snow

The basic principles of the idealized hydrologic cycle are reviewed with emphasis on storage and movement of water in the soil. A distinction is made between ground‐water runoff and overland runoff in terms of storage and lag, expressed as accumulated deviations from uniform flow over a period of several years. These functions are presented for the period 1920 through 1945 for three rivers in central Oregon: John Day, Deschutes, and Metolius, which exemplify minimum, moderate, and maximum effects, respectively, of storage and lag. The Metolius River is shown to have extremely small fluctuations in discharge from year to year, ascribed to a great portion of its flow being derived from ground‐water runoff; and its response to fluctuations in annual precipitation lags behind that of the John Day River by about five years. Specific techniques and measures for improving seasonal water supply forecasts are suggested.

Oregon

Estimation of Leakage Potential of Selected Sites in Interstate and Tri-State Canals Using Geostatistical Analysis of Selected Capacitively Coupled Resistivity Profiles, Western Nebraska, 2004

With increasing demands for reliable water supplies and availability estimates, groundwater flow models often are developed to enhance understanding of surface-water and groundwater systems. Specific hydraulic variables must be known or calibrated for the groundwater-flow model to accurately simulate current or future conditions. Surface geophysical surveys, along with selected test-hole information, can provide an integrated framework for quantifying hydrogeologic conditions within a defined area. In 2004, the U.S. Geological Survey, in cooperation with the North Platte Natural Resources District, performed a surface geophysical survey using a capacitively coupled resistivity technique to map the lithology within the top 8 meters of the near-surface for 110 kilometers of the Interstate and Tri-State Canals in western Nebraska and eastern Wyoming. Assuming that leakage between the surface-water and groundwater systems is affected primarily by the sediment directly underlying the canal bed, leakage potential was estimated from the simple vertical mean of inverse-model resistivity values for depth levels with geometrically increasing layer thickness with depth which resulted in mean-resistivity values biased towards the surface. This method generally produced reliable results, but an improved analysis method was needed to account for situations where confining units, composed of less permeable material, underlie units with greater permeability. In this report, prepared by the U.S. Geological Survey in cooperation with the North Platte Natural Resources District, the authors use geostatistical analysis to develop the minimum-unadjusted method to compute a relative leakage potential based on the minimum resistivity value in a vertical column of the resistivity model. The minimum-unadjusted method considers the effects of homogeneous confining units. The minimum-adjusted method also is developed to incorporate the effect of local lithologic heterogeneity on water transmission. Seven sites with differing geologic contexts were selected following review of the capacitively coupled resistivity data collected in 2004. A reevaluation of these sites using the mean, minimum-unadjusted, and minimum-adjusted methods was performed to compare the different approaches for estimating leakage potential. Five of the seven sites contained underlying confining units, for which the minimum-unadjusted and minimum-adjusted methods accounted for the confining-unit effect. Estimates of overall leakage potential were lower for the minimum-unadjusted and minimum-adjusted methods than those estimated by the mean method. For most sites, the local heterogeneity adjustment procedure of the minimum-adjusted method resulted in slightly larger overall leakage-potential estimates. In contrast to the mean method, the two minimum-based methods allowed the least permeable areas to control the overall vertical permeability of the subsurface. The minimum-adjusted method refined leakage-potential estimation by additionally including local lithologic heterogeneity effects.

Scientific Investigations Report

Creep of water ices at planetary conditions: A compilation

Many constitutive laws for the flow of ice have been published since the advent of the Voyager explorations of the outer solar system. Conflicting data have occasionally come from different laboratories, and refinement of experimental techniques has led to the publication of laws that supersede earlier ones. In addition, there are unpublished data from ongoing research that also amend the constitutive laws. Here we compile the most current laboratory-derived flow laws for water ice phases I, II, III, V, and VI, and ice I mixtures with hard particulates. The rheology of interest is mainly that of steady state, and the conditions reviewed are the pressures and temperatures applicable to the surfaces and interiors of icy moons of the outer solar system. Advances in grain-size-dependent creep in ices I and II as well as in phase transformations and metastability under differential stress are also included in this compilation. At laboratory strain rates the several ice polymorphs are rheologically distinct in terms of their stress, temperature, and pressure dependencies but, with the exception of ice III, have fairly similar strengths. Hard particulates strengthen ice I significantly only at high particulate volume fractions. Ice III has the potential for significantly affecting mantle dynamics because it is much weaker than the other polymorphs and its region of stability, which may extend metastably well into what is nominally the ice II field, is located near likely geotherms of large icy moons.

Journal of Geophysical Research E: Planets

Tungsten resources of the northern Rocky Mountains, Montana and Idaho— A synthesis and quantitative assessment of skarn-hosted resources

Mineral resource assessments performed by the U.S. Geological Survey provide a synthesis of available information about the location of known and suspected mineral deposits. This study focuses on skarn-hosted tungsten resources in the northern Rocky Mountain region of east-central Idaho and western Montana which have seen moderate tungsten trioxide production in the past from a variety of mineralization styles including skarn, vein and replacement, and wolframite-quartz veins. The area’s geology is dominated by large Cretaceous and Tertiary plutons that are emplaced into a belt of Mesoproterozoic to Permian sedimentary rock and affected by tectonism related to the Sevier and later Laramide orogenies. Known tungsten skarn mineral sites are associated with contacts between Cretaceous plutons and calcareous and argillaceous sedimentary or metasedimentary rocks, including two skarn deposits in Montana (Calvert and Browns Lake) that are consistent with an updated grade and tonnage model. This study (1) delineates permissive tracts where undiscovered tungsten skarn deposits may occur within 1 kilometer of the surface; (2) presents a tungsten mineral site dataset from a variety of public sources; (3) evaluates currently available geochemical, geophysical, and radiometric age data in support of tract delineation; (4) provides probabilistic estimates of the amount of tungsten and tungsten-mineralized rock that could be contained in undiscovered deposits within one major tract; (5) estimates the value of total undiscovered deposits using economic filter analysis; and (6) provides a synthesis of metallogenic controls on regional tungsten skarn and granitoid-related mineral deposits. Two permissive tracts were delineated: the Great Falls tectonic zone (GFTZ)-Cretaceous tract, for which a quantitative assessment was performed, and the Bitterroot tract, which was assessed in a qualitative manner. The quantitative three-part assessment, conducted in August 2019, indicates that undiscovered tungsten resources might exist in skarn-type deposits within the study area. Using a negative binomial function, a mean of 4 undiscovered deposits was calculated from panel estimates. Simulation results that combine an updated grade and tonnage model with estimates of undiscovered deposits include the amounts of ore and contained tungsten trioxide at different levels of uncertainty. A mean of 250,000 metric tons and median of 200,000 metric tons contained tungsten trioxide was calculated for the undiscovered deposits within the GFTZ-Cretaceous tract. The value of undiscovered deposits was estimated using a new economic filter that considers factors such as mine type, deposit depth, deposit geometry, metallurgical recovery rate, cutoff grade, and tract area. A review of the regional Archean to Paleogene geology suggests that ore metal (copper, molybdenum, and tungsten) variations in intrusion-related deposits of Montana and Idaho may be controlled by a number of factors including the age and composition of underlying basement terranes, depth of emplacement, pluton chemistry and degree of fractionation, redox conditions, and aqueous fluid-melt partition coefficients.

Idaho, Montana

Geologic and environmental characteristics of porphyry copper deposits with emphasis on potential future development in the Bristol Bay Watershed, Alaska (Appendix H)

This report is prepared in cooperation with the Bristol Bay Watershed Assessment being conducted by the U.S. Environmental Protection Agency. The goal of the assessment is to help understand how future large-scale development in this watershed may affect water quality and the salmon fishery. Mining has been identified as a potential source of future large scale development in the region, especially because of the advanced stage of activity at the Pebble prospect. The goal of this report is to summarize the geologic and environmental characteristics of porphyry copper deposits in general, largely on the basis of literature review. Data reported in the Pebble Project Environmental Baseline Document, released by the Pebble Limited Partnership in 2011, are used to enhance the relevance of this report to the Bristol Bay watershed. The geologic characteristics of mineral deposits are paramount to determining their geochemical signatures in the environment. The geologic characteristics of mineral deposits are reflected in the mineralogy of the mineralization and alteration assemblages; geochemical associations of elements, including the commodities being sought; the grade and tonnage of the deposit; the likely mining and ore-processing methods used; the environmental attributes of the deposit, such as acid-generating and acid-neutralizing potentials of geologic materials; and the susceptibility of the surrounding ecosystem to various stressors related to the deposit and its mining, among other features (Seal and Hammarstrom, 2003). Within the Bristol Bay watershed, or more specifically the Nushagak and Kvichak watersheds, the geologic setting is permissive for the occurrence of several mineral deposit types that are amenable for large-scale development. Of these deposit types, porphyry copper deposits (e.g., Pebble) and intrusion-related gold deposits (e.g., Shotgun) are the most important on the basis of the current maturity of exploration activities by the mining industry. The Pebble deposit sits astride the drainage divide between the Nushagak and Kvichak watersheds, whereas the Humble, Big Chunk, and Shotgun deposits are within the Nushagak watershed. The Humble and Big Chunk prospects are geophysical anomalies that exhibit some characteristics similar to those found at Pebble. Humble was drilled previously in 1958 and 1959 as an iron prospect on the basis of an airborne magnetic anomaly. Humble is approximately 85 miles (137 km) west of Pebble; Big Chunk is approximately 30 miles (48 km) north-northwest of Pebble; and Shotgun is approximately 110 miles (177 km) northwest of Pebble. The H and D Block prospects, west of Pebble, represent additional porphyry copper exploration targets in the watershed.

Alaska

Rock mechanics observations pertinent to the rheology of the continental lithosphere and the localization of strain along shear zones

Emphasized in this paper are the deformation processes and rheologies of rocks at high temperatures and high effective pressures, conditions that are presumably appropriate to the lower crust and upper mantle in continental collision zones. Much recent progress has been made in understanding the flexure of the oceanic lithosphere using rock-mechanics-based yield criteria for the inelastic deformations at the top and base. At mid-plate depths, stresses are likely to be supported elastically because bending strains and elastic stresses are low. The collisional tectonic regime, however, is far more complex because very large permanent strains are sustained at mid-plate depths and this requires us to include the broad transition between brittle and ductile flow. Moreover, important changes in the ductile flow mechanisms occur at the intermediate temperatures found at mid-plate depths. Two specific contributions of laboratory rock rheology research are considered in this paper. First, the high-temperature steady-state flow mechanisms and rheology of mafic and ultramafic rocks are reviewed with special emphasis on olivine and crystalline rocks. Rock strength decreases very markedly with increases in temperature and it is the onset of flow by high temperature ductile mechanisms that defines the base of the lithosphere. The thickness of the continental lithosphere can therefore be defined by the depth to a particular isotherm Tc above which (at geologic strain rates) the high-temperature ductile strength falls below some arbitrary strength isobar (e.g., 100 MPa). For olivine Tc is about 700??-800??C but for other crustal silicates, Tc may be as low as 400??-600??C, suggesting that substantial decoupling may take place within thick continental crust and that strength may increase with depth at the Moho, as suggested by a number of workers on independent grounds. Put another way, the Moho is a rheological discontinuity. A second class of laboratory observations pertains to the general phenomenon of ductile faulting in which ductile strains are localized into shear zones. Ductile faults have been produced in experiments of five different rock types and is generally expressed as strain softening in constant-strain-rate tests or as an accelerating-creep-rate stage at constant differential stress. A number of physical mechanisms have been identified that may be responsible for ductile faulting, including the onset of dynamic recrystallization, phase changes, hydrothermal alteration and hydrolytic weakening. Microscopic evidence for these processes as well as larger-scale geological and geophysical observations suggest that ductile faulting in the middle to lower crust and upper mantle may greatly influence the distribution and magnitudes of differential stresses and the style of deformation in the overlying upper continental lithosphere.

Tectonophysics

Recent underwater surveys using low-frequency sound to locate shallow bedrock

Underwater investigations at Lake Mead, Chicago, Passamaquoddy Bay, and on Long Island established the characteristics of sound waves that can be used in shallow geophysical exploration by the sonar method. At Lake Mead the sediments were for the most part clay of high water content which was easily penetrated by low-power sound at a frequency of 14.2 kilocycles. The greatest depth of penetration was 140 feet. Sound having frequencies of 50 and 80 kilocycles did not penetrate. At Chicago, sound at a frequecy of 11 kilocycles and an output power of 800 watts gave a satisfactory delineation of bedrock beneath Lake Michigan. The maximum distance to bedrock was about 135 feet. At Passamaquoddy Bay a sound frequency of 6 kilocycles and about 700 watts of output power gave much better delineation of bedrock. A frequency of 6 kilocycles at the lower output power was much better than 11 kilocycles at higher power. About 250 feet of penetration was attained. Pulsed power was used in each of these investigations. The pulse lengths were long—about 14–25 milliseconds. Bedrock was mapped at Lake Mead, Chicago, and Passamaquoddy Bay. The methods of ordinary hydrographic surveying were used for horizontal and vertical positioning. For horizontal positions the ordinary three-point sextant-fix method was used. For vertical positioning, recording gages suitably placed and supplemented by staff gages were used. All data were tied into the third-order control net of the U. S. Coast and Geodetic Survey. In connection with a study for a proposed Midwestern waterway, the technical problem was reviewed and the techniques considerably improved. New equipment was built and evaluated on Long Island Sound. It operated with pulsed power at a frequency of 6 kilocycles, and pulse length was controlled and variable from 1 to 9 milliseconds. Output acoustic power was about 2500 watts. With the transducer in ordinary operating positions as much as 400 feet of sediment was penetrated. With the transducer placed directly on the bottom of the water in Huntington Bay about 750 feet of penetration was attained. Several innovations in sonar techniques, which are desirable for sediment exploration, and which give much more detailed information than the earlier equipment are described. The techniques required for stratigraphic interpretation of the sound records are described briefly. A method for the determination of sound velocities is discussed. Multiple echoes and other effects complicate the interpretation of records and are explained. The problems of geological control encountered also are mentioned.

Illinois, Maine, Nevada, New Brunswick, New York

Field-trip guide to continental arc to rift volcanism of the southern Rocky Mountains—Southern Rocky Mountain, Taos Plateau, and Jemez Mountains volcanic fields of southern Colorado and northern New Mexico

The southern Rocky Mountains of northern New Mexico and southern Colorado preserve the Oligocene to Pleistocene record of North American continental arc to rift volcanism. The 35–23 million year old (Ma) southern Rocky Mountain volcanic field (SRMVF), spectacularly preserved in the San Juan Mountains of southern Colorado, records the evolution of large andesitic stratovolcanoes to complex caldera clusters, from which at least 22 major ignimbrite sheets (each 150–5,000 cubic kilometers) were erupted. Outflow deposits of the SRMVF preserved along the broadly uplifted northwest flank of the northern Rio Grande rift basin (the San Luis Valley) provide critical structural and temporal constraints on the inception of crustal extension. Coincident with waning stages of SRMVF caldera-forming volcanism (~25.4 Ma), extensional tectonism was accompanied by a transition from bimodal early Miocene to intermediate-composition late Miocene and dominantly basaltic Pliocene rift volcanism of the Taos Plateau in the southern San Luis Basin. Concomitant rift volcanism in the Española Basin and bordering Jemez Mountains of northern New Mexico records a similar Miocene eruptive history dominated by intermediate-composition volcanism that transitioned locally to Pliocene rift-related basaltic volcanism of the Cerros del Rio volcanic field and culminated in eruptions of the iconic rhyolitic Pleistocene Bandelier Tuff and formation of the Valles Caldera along the northwestern rift-basin margin. This 6-day, 7-night field trip will focus, in broadly equal proportions, on rift-related extensional volcanism of the Jemez Mountains and Taos Plateau regions during the first half of the trip, and on caldera-forming volcanism of the southern Rocky Mountain volcanic field during the second half of the trip. The 35-million-year volcanic history of the region highlighted by new geologic mapping, high-resolution geochronology, petrologic, geochemical, and geophysical data facilitates discussion of (1) the magmatic response to the tectonic transition from subducted-slab arc to continental-rift volcanism; (2) the nature and temporal evolution of rift magmas; (3) fault controls on the spatial evolution of rift magmatism; (4) the diversity of continental-arc ignimbrite volcanism and associated lavas; (5) ignimbrite caldera structure and associated intrusions in three-dimension; (6) the role of recycled crystal mush and magmatic cumulates during growth of Cordilleran batholiths; and (7) high-precision geochronologic contributions to interpretation of relations between regional tectonic and volcanic processes. Most stops will be along roads, but there will be moderate hikes on trails of less than 1-hour duration covering 1–2 kilometers (0.6–1.2 miles) with modest elevation gain of <150 meters (<492 feet). The route will progress in reverse stratigraphic order, starting in the Jemez Mountains of New Mexico and proceed northward to San Luis Basin and San Luis Hills before turning west to the southeast and central San Juan Mountains. Our last full day takes us to the little-visited and only recently mapped, Bonanza caldera of the northeastern San Juan Mountains and on the final day, we leave the San Luis Valley to briefly explore the Tertiary subvolcanic plutons of the Collegiate Range along the west side of the Arkansas Valley rift valley, en route to Denver. The authors of all daily contributions acknowledge the helpful reviews by Amy Gilmer and Joe Colgan and thank Christine Chan and Jeremy Havens for assistance with figures, tables, and guidebook text.

Colorado, New Mexico

Hexavalent and total chromium at low reporting concentrations in source-water aquifers and surface waters used for public supply in Illinois, 2013

On the basis of their recent review of the human health effects of hexavalent chromium [Cr(VI)] in public drinking water, the U.S. Environmental Protection Agency is considering the need for Federal regulation of Cr(VI). Presently, only total chromium is regulated, at a Maximum Contaminant Level (MCL) of 100 micrograms per liter (&micro;g/L). The occurrence of Cr(VI) in groundwater and surface waters generally is attributed to industrial sources, but can be of natural origin. California&rsquo;s recently established MCL for Cr(VI) of 10 &micro;g/L illustrates the drinking-water concerns associated with Cr(VI). To improve understanding of the possible impact of a Cr(VI)-specific standard that approximates the California level on the management of Illinois&rsquo; public drinking water, the U.S. Geological Survey, in cooperation with the Illinois Environmental Protection Agency, assessed the occurrence and distribution of Cr(VI) in the State&rsquo;s public-water supplies. During 2013, untreated water samples were collected to be analyzed for Cr(VI) and total chromium [Cr(T)] at 119 water-supply wells and 32 surface-water intakes; also, 32 treated surface-water samples were collected near the point of treatment and 32 near the furthest point of distribution. Public-supply sample sites were selected by a stratified random method. Samples typically were analyzed within 24 hours of collection at reporting limits of 0.02 &micro;g/L for Cr(VI) and 0.1 &micro;g/L for Cr(T). The occurrence of Cr(VI) was compared with selected geophysical, physical, and sampling factors that might more fully explain its distribution and magnitude of concentrations. The maximum concentration of Cr(VI) in groundwater was 2.1 &micro;g/L. Maximum concentrations in untreated and treated surface water were 0.29 &micro;g/L and 2.4 &micro;g/L, respectively. All sample concentrations were below the California MCL; only 35 percent were below that State&rsquo;s non-enforceable public health goal of 0.02 of &micro;g/L. Cr(VI) was undetected in 43 percent of untreated groundwater samples, with a median of 0.06 &micro;g/L when detected. All but two (94 percent) of untreated surface-water samples had detections. In untreated surface water, the median concentration was 0.09 &micro;g/L, whereas in treated (tap and distributed) water the median was 0.20 &micro;g/L. Surface waters treated with lime for softening typically had the greatest Cr(VI) concentrations (maximum, 2.4 &micro;g/L; median, 1.2 &micro;g/L). The maximum concentration of Cr(T) in groundwater was 1.8 &micro;g/L. Maximum concentrations in untreated and treated surface water were 1.8 &micro;g/L and 2.5 &micro;g/L, respectively. All sample concentrations were below the Federal MCL. Total chromium was detected in 65 percent of untreated groundwater samples, with a median of 0.40 &micro;g/L, when detected. All but one (97 percent) of untreated surface-water samples had detections. In untreated surface water, the median concentration was 0.40 &micro;g/L, whereas in treated (tap and distributed) water the median was 0.30 &micro;g/L. As with Cr(VI), surface waters treated with lime typically had the greatest Cr(T) concentrations. Examination of factors that might account for or be associated with the occurrence of Cr(VI) in public-supply source waters found few clearly evident factors. Associations in frequencies of occurrence and range of concentrations indicate that surface waters and groundwaters of shallow, unconsolidated, unconfined aquifers, particularly alluvial aquifers, are possibly most commonly affected by anthropogenic sources of Cr(VI). Groundwaters of deep (greater than 500 feet) bedrock aquifers, particularly the Cambrian-Ordovician aquifer system, are possibly most commonly affected by geologic sources of Cr(VI). Additional study, with supporting geologic and geochemical data that were not collected in this study, would be necessary to verify these associations. There was a weak positive relation (&rho; = 0.23) between concentrations of Cr(VI) and Cr(T) in untreated water samples, with a much stronger positive relation (&rho; = 0.86 and &rho; = 0.90, respectively) in samples collected soon after treatment and near the endpoint of distribution. The stronger relation and greater similarity between Cr(VI) and Cr(T) concentrations in treated water samples indicate that Cr(VI) represents a greater proportion of the measured concentrations of Cr(T) in treated waters than in untreated waters. The analysis of spikes and other quality-assurance samples indicate uncertainties associated with obtaining or confirming consistently accurate analytical results for Cr(VI) at near the applied reporting limit of 0.02 &micro;g/L.

Illinois

State of stress in the lithosphere: Inferences from the flow laws of olivine

The experimental flow data for rocks and minerals are reviewed and found to fit a law of the form {Mathematical expression} where {Mathematical expression} This law reduces to the familiar power-law stress dependency at low stress and to an exponential stress dependency at high stress. Using the material flow law parameters for olivine, stress profiles with depth and strain rate are computed for a representative range of temperature distributions in the lithosphere. The results show that the upper 15 to 25 km of the oceanic lithosphere must behave elastically or fail by fracture and that the remainder deforms by exponential law flow at intermediate depths and by power-law flow in the rest. A model computation of the gravitational sliding of a lithospheric plate using olivine rheology exhibits a very sharp decoupling zone which is a consequence of the combined effects of increasing stress and temperature on the flow law, which is a very sensitive function of both. ?? 1977 Birkha??user Verlag.

Pure and Applied Geophysics PAGEOPH

The next decade in geochemistry

The purpose, associations, functions; and activities of the Geochmical Society are reviewed briefly. Work on the Colorado Plateau uranium deposits is described as an example of what geochemical research, in conjunction with detailed field work, mineralogical studies, and related techniques can contribute to the understanding of a type of deposit. It is pointed out that not only have these studies given a great deal of information about the origin of the ores, but they have brought about directly a manifold increase in production and reserves of uranium in the United States. Indirectly, they aided the discovery of the tremendous deposits of the Blind River area in Ontario. It is suggested that similar broad cooperative attacks could not only yield comparable results with other types of mineral deposits, such as laterites and Mississippi Valley type lead-zinc deposits, but could also advance our knowledge and understanding of such diverse problems of geology and cosmology as the origin of granites, origin and geologic implications of meteorites (including tektites), origin and search for petroleum, and geochemical relations and interpretations of natural waters. For each of these problems methods of approach are outlined and for some of them, specific projects and correlative problems are mentioned. It is further suggested that the broad cooperative attack needed for most of these problems might be fostered most effectively by a programme comparable to that of the I.G.Y., even though for most types of geochemical research synoptic sampling and observations are not as important as they are for many projects in geophysics.

Geochimica et Cosmochimica Acta

The communication of volcano information in New Zealand - A narrative review

Communication of volcano information is critical for effective volcanic risk management. A variety of information is communicated to inform decisions and guide actions for planning, preparedness, and response. Such information needs to be reliable, and fit-for-purpose across different stages of volcanic activity (quiescence, unrest, short or long-term eruptive stages, and the post-eruptive stage). However, an understanding of communication across these different stages of volcanic activity remains limited. We undertook a narrative review of New Zealand literature to explore what information is communicated about volcanoes, across which stages of activity and by whom. Results highlight that NZ literature only documents certain aspects of volcano information and communication, specifically regarding certain locations, stages of volcanic activity (i.e. quiescence or unrest), or hazards. Literature gaps exist regarding volcano communication during unrest and post-eruptive stages, as well as how volcano information evolves between these phases, and how decision-makers use such information. Additional work would be useful to document existing examples of volcano information for different stages of activity. Further research could help in understanding the information needs of decision-makers during each of these stages to improve information and communication.

New Zealand Journal of Geology and Geophysics