Geology ReportsSearch

SEARCH · Geology Reports

Results for “Energy Sources”

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 379 records · Page 21Linked to original sources

Multiple-source tracking: Investigating sources of pathogens, nutrients, and sediment in the Upper Little River Basin, Kentucky, water years 2013–14

The South Fork Little River (SFLR) and the North Fork Little River (NFLR) are two major headwater tributaries that flow into the Little River just south of Hopkinsville, Kentucky. Both tributaries are included in those water bodies in Kentucky and across the Nation that have been reported with declining water quality. Each tributary has been listed by the Kentucky Energy and Environment Cabinet—Kentucky Division of Water in the 303(d) List of Waters for Kentucky Report to Congress as impaired by nutrients, pathogens, and sediment for contact recreation from point and nonpoint sources since 2002. In 2009, the Kentucky Energy and Environment Cabinet—Kentucky Division of Water developed a pathogen total maximum daily load (TMDL) for the Little River Basin including the SFLR and NFLR Basins. Future nutrient and suspended-sediment TMDLs are planned once nutrient criteria and suspended-sediment protocols have been developed for Kentucky. In this study, different approaches were used to identify potential sources of fecal-indicator bacteria (FIB), nitrate, and suspended sediment; to inform the TMDL process; and to aid in the implementation of effective watershed-management activities. The main focus of source identification was in the SFLR Basin. To begin understanding the potential sources of fecal contamination, samples were collected at 19 sites for densities of FIB ( E. coli ) in water and fluvial sediment and at 11 sites for Bacteroidales genetic markers (General AllBac, human HF183, ruminant BoBac, canid BacCan, and waterfowl GFD) during the recreational season (May through October) in 2013 and 2014. Results indicated 34 percent of all E. coli water samples ( n =227 samples) did not meet the U.S. Environmental Protection Agency 2012 recommended national criteria for primary recreational waters. No criterion currently exists for E. coli in fluvial sediment. By use of the Spearman’s rank correlation test, densities of FIB in fluvial sediments were observed to have a statistically significant positive correlation with drainage area. As drainage area increased, so did the densities of FIB in the fluvial sediments. There was no statistically significant correlation between drainage area and FIB in water. The human-associated marker (HF183) was found above the detection limit in 26 percent of the samples ( n =120 samples); a higher proportion of positive samples was in the NFLR Basin. The ruminant-associated marker (BoBac) was above the detection limit in 65 percent of samples; a higher proportion of positive samples was in the headwaters of the SFLR Basin. Nutrient yields differed between the SFLR and NFLR Basins. Comparatively, the SFLR Basin produced the largest estimated mean yields of total nitrogen (16,000 pounds per year per square mile (lb/yr/mi 2 ) and nitrite plus nitrate nitrogen (12,500 lb/yr/mi 2 ), and the NFLR Basin produced the largest estimated mean yields of ammonia plus organic nitrogen (4,700 lb/yr/mi 2 ), total phosphorus (1,100 lb/yr/mi 2 ), and orthophosphorus (590 lb/yr/mi 2 ). Nitrate sources in surface water were assessed in both basins using dual-nitrate isotope (nitrogen and oxygen) ratios. Data from the different land uses in the SFLR Basin showed differences in nitrate concentrations and overlapping, but moderately distinct, isotopic signatures. Predominantly forested sites consistently had low nitrate concentrations (median = 0.233 milligrams per liter) with minimal variability, and agricultural sites had the highest nitrate concentrations (median = 7.55 milligrams per liter) with the greatest variability. The median nitrate concentration for sites with mixed land use was 2.66 milligrams per liter. Dual-isotope data for forested sites plotted within ranges characteristic of soil-derived nitrate with possible but minimal influence from recycled atmospheric nitrate. Ranges of dual-isotope data for sites with agricultural and mixed land uses were characteristic of possible mixtures of chemical fertilizer, soil-derived nitrate, and manure and septic wastes. In the NFLR Basin, a positive linear relation was observed between nitrate concentrations and nitrogen isotope ratios (δ 15 N NO3 ) (R 2 =0.56; p -value <0.001) that potentially suggests the NFLR Basin has a higher proportion of δ 15 N NO3 -enriched sources, such as manure and sewage. However, mixing of other nitrate-derived sources cannot be excluded, because many values of δ 15 N NO3 and concentrations of nitrate showed minimal variation and plotted within dual-nitrate isotope ranges characteristic of fertilizer and soil-derived nitrate sources. A sediment-fingerprinting approach was used to quantify the relative contribution of four upland sources in the SFLR Basin (agricultural, pasture, riparian/forest, and streambank) to understand how land management affects suspended-sediment concentration. Carbon isotope ratios (δ 13 C), together with calcium and carbon concentrations, were the best indicators of sediment source; the uncertainty was less than 11 percent. Fine-sediment samples collected at the SFLR Basin outlet indicated streambanks as the largest source of the fine sediment to the stream followed by cropland and riparian/forest-source areas, respectively; pasture was a minor contributing source. Streambanks and cropland were essentially equal contributors of fine sediment at the NFLR Basin outlet.

Kentucky

The energy radiated by the 26 December 2004 Sumatra-Andaman earthquake estimated from 10-minute P-wave windows

The rupture process of the Mw 9.1 Sumatra-Andaman earthquake lasted for approximately 500 sec, nearly twice as long as the teleseismic time windows between the P and PP arrival times generally used to compute radiated energy. In order to measure the P waves radiated by the entire earthquake, we analyze records that extend from the P-wave to the S-wave arrival times from stations at distances ?? >60??. These 8- to 10-min windows contain the PP, PPP, and ScP arrivals, along with other multiply reflected phases. To gauge the effect of including these additional phases, we form the spectral ratio of the source spectrum estimated from extended windows (between TP and TS) to the source spectrum estimated from normal windows (between TP and TPP). The extended windows are analyzed as though they contained only the P-pP-sP wave group. We analyze four smaller earthquakes that occurred in the vicinity of the Mw 9.1 mainshock, with similar depths and focal mechanisms. These smaller events range in magnitude from an Mw 6.0 aftershock of 9 January 2005 to the Mw 8.6 Nias earthquake that occurred to the south of the Sumatra-Andaman earthquake on 28 March 2005. We average the spectral ratios for these four events to obtain a frequency-dependent operator for the extended windows. We then correct the source spectrum estimated from the extended records of the 26 December 2004 mainshock to obtain a complete or corrected source spectrum for the entire rupture process (???600 sec) of the great Sumatra-Andaman earthquake. Our estimate of the total seismic energy radiated by this earthquake is 1.4 ?? 1017 J. When we compare the corrected source spectrum for the entire earthquake to the source spectrum from the first ???250 sec of the rupture process (obtained from normal teleseismic windows), we find that the mainshock radiated much more seismic energy in the first half of the rupture process than in the second half, especially over the period range from 3 sec to 40 sec.

Bulletin of the Seismological Society of America

Determination and prediction of rare earth element eeochemical associations in acid mine drainage treatment wastes

Acid mine drainage (AMD) has been proposed by various researchers as a novel source of rare earth elements (REE), a group of elements that include critical metals for clean energy and modern technologies. REE tend to be sequestered in the Fe-Al-Mn-rich solids produced during the treatment of AMD. These solids are typically managed as waste, but could be a low-cost, readily available REE source. Here, results from field sampling, solids characterization, and geochemical modeling are presented to identify the mechanism(s) of REE attenuation and determine the minerals/solid phases in AMD solids that are enriched in REE. This study reveals that solids produced from low-pH AMD that was passively treated by limestone contain elevated concentrations of REE with Al, Fe, and/or Mn. AMD solid characterization via sequential extraction demonstrated that Al and Mn oxides were more abundant than Fe oxides and that the REEs are mainly associated with Al/Mn phases. Additionally, sequential extractions demonstrate that for the AMD solids evaluated, acidic and/or reducing extractions are required to mobilize the REE. Finally, the “CausticTitrationREYs.exe” geochemical equilibrium model demonstrated in this study indicates that the observed dissolved REE attenuation can be explained via surface complexation on Fe, Al, and Mn oxides/hydroxides and not by REE compound precipitation. The model accurately predicts the pH dependent removal of dissolved REE and that Al and Mn oxides/hydroxides are largely responsible for dissolved REE removal for the systems evaluated. The modeling results are consistent with the characterization results that show that Al and Mn hydroxides are important hosting phases of REEs in AMD treatment systems. The results presented here can be used to identify conditions favorable for accumulation of REE-enriched AMD solids and possible chemical treatment(s) to mobilize REE. The geochemical model can be applied to active and/or passive AMD treatment systems to predict REE attenuation with Fe, Al, and Mn during treatment and what phases may be enriched in REE. This information can be used to engineer AMD systems to produce specific phases enriched in REE. The recovery of REE from AMD solids is an opportunity to transform the environmental and economical challenge of polluted mine drainage into an asset.

Conference Paper

Interannual variability of snowmelt in the Sierra Nevada and Rocky Mountains, United States: examples from two alpine watersheds

The distribution of snow and the energy flux components of snowmelt are intrinsic characteristics of the alpine water cycle controlling the location of source waters and the effect of climate on streamflow. Interannual variability of these characteristics is relevant to the effect of climate change on alpine hydrology. Our objective is to characterize the interannual variability in the spatial distribution of snow and energy fluxes of snowmelt in watersheds of a maritime setting, Tokopah Basin (TOK) in California's southern Sierra Nevada, and a continental setting, Green Lake 4 Valley (GLV4) in Colorado's Front Range, using a 12 year database (1996&ndash;2007) of hydrometeorological observations and satellite-derived snow cover. Snowpacks observed in GLV4 exhibit substantially greater spatial variability than in TOK (0.75 versus 0.28 spatial coefficient of variation). In addition, modeling results indicate that the net turbulent energy flux contribution to snowmelt in GLV4 is, on average, 3 times greater in magnitude (mean 29% versus 10%) and interannual variability (standard deviation 17% versus 6%) than in TOK. These energy flux values exhibit strong seasonality, increasing as the melt season progresses to times later in the year (R 2 = 0.54&ndash;0.77). This seasonality of energy flux appears to be associated with snowmelt rates that generally increase with onset date of melt (0.02 cm d -2 ). This seasonality in snowmelt rate, coupled to differences in hydrogeology, may account for the observed differences in correspondence between the timing of snowmelt and timing of streamflow in these watersheds.

Sierra Nevada;Rocky Mountains

Polychlorinated biphenyl concentrations of burbot Lota lota from Great Slave Lake are very low but vary by sex

Total polychlorinated biphenyl concentrations (ΣPCBs) in whole fish were determined for 18 ripe female burbot Lota lota and 14 ripe male burbot from Great Slave Lake, a lake with no known point sources of PCBs. In addition, ΣPCBs were determined both in the somatic tissue and in the gonads for a randomly selected subset of five females and five males. Mean ΣPCBs for females and males were 2.89 and 3.76 ng/g, respectively. Thus, males were 30 % greater in ΣPCB than females. Based on ΣPCB determinations for somatic tissue and gonads, ΣPCBs of females and males would be expected to decrease by 18 % and increase by 6 %, respectively, immediately after spawning due to release of gametes. Results from a previous study in eastern Lake Erie indicated that males were 28 and 71 % greater in ΣPCB than females from populations of younger (ages 6-13) and older (ages 14-17) burbot, respectively. Thus, although younger burbot from Lake Erie were about 50 times greater in ΣPCB than Great Slave Lake burbot, the relative difference in ΣPCBs between the sexes was remarkably similar across both populations. Our results supported the contention that the widening of the difference in ΣPCBs between the sexes in older burbot from Lake Erie was attributable to a “hot spot” effect operating on older burbot, as Lake Erie has received PCB point source loadings. Our results also supported the contention that male fish expend energy at a rate between 15 and 30 % greater than that of females. Eventually, these results will be useful in developing sex-specific bioenergetics models for fish.

Great Slave Lake;Northwest Territories

Prioritizing water availability study settings to address geogenic contaminants and related societal factors

Water availability for human and ecological uses depends on both water quantity and water quality. The U.S. Geological Survey (USGS) is developing strategies for prioritizing regional-scale and watershed basin-scale studies of water availability across the nation. Previous USGS ranking processes for basin-scale studies incorporated primarily water quantity factors but are now considering additional water quality factors. This study presents a ranking based on the potential impacts of geogenic constituents on water quality and consideration of societal factors related to water quality. High-concentration geogenic constituents, including trace elements and radionuclides, are among the most prevalent contaminants limiting water availability in the USA and globally. Geogenic constituents commonly occur in groundwater because of subsurface water–rock interactions, and their distributions are controlled by complex geochemical processes. Geogenic constituent mobility can also be affected by human activities (e.g., mining, energy production, irrigation, and pumping). Societal factors and relations to drinking water sources and water quality information are often overlooked when evaluating research priorities. Sociodemographic characteristics, data gaps resulting from historical data-collection disparities, and infrastructure condition/age are examples of factors to consider regarding environmental justice. This paper presents approaches for ranking and prioritizing potential basin-scale study areas across the contiguous USA by considering a suite of conventional physical and geochemical variables related to geogenic constituents, with and without considering variables related to societal factors. Simultaneous consideration of societal and conventional factors could provide decision makers with more diverse, interdisciplinary tools to increase equity and reduce bias in prioritizing focused research areas and future water availability studies.

Environmental Monitoring and Assessment

A robust calibration technique for acoustic emission systems based on momentum transfer from a ball drop

We describe a technique to estimate the seismic moment of acoustic emissions and other extremely small seismic events. Unlike previous calibration techniques, it does not require modeling of the wave propagation, sensor response, or signal conditioning. Rather, this technique calibrates the recording system as a whole and uses a ball impact as a reference source or empirical Green’s function. To correctly apply this technique, we develop mathematical expressions that link the seismic moment $M_{0}$ of internal seismic sources (i.e., earthquakes and acoustic emissions) to the impulse, or change in momentum $\Delta p $, of externally applied seismic sources (i.e., meteor impacts or, in this case, ball impact). We find that, at low frequencies, moment and impulse are linked by a constant, which we call the force‐moment‐rate scale factor $C_{F\dot{M}} = M_{0}/\Delta p$. This constant is equal to twice the speed of sound in the material from which the seismic sources were generated. Next, we demonstrate the calibration technique on two different experimental rock mechanics facilities. The first example is a saw‐cut cylindrical granite sample that is loaded in a triaxial apparatus at 40 MPa confining pressure. The second example is a 2 m long fault cut in a granite sample and deformed in a large biaxial apparatus at lower stress levels. Using the empirical calibration technique, we are able to determine absolute source parameters including the seismic moment, corner frequency, stress drop, and radiated energy of these magnitude −2.5 to −7 seismic events.

Bulletin of the Seismological Society of America

Transient effects on groundwater chemical compositions from pumping of supply wells at the Nevada National Security Site, 1951-2008

Nuclear testing and support activities at the Nevada National Security Site have required large amounts of water for construction, public consumption, drilling, fire protection, hydraulic and nuclear testing, and dust control. To supply this demand, approximately 20,000 million gallons of water have been pumped from 23 wells completed in 19 boreholes located across the Nevada National Security Site starting as early as the 1950s. As a consequence of more or less continuous pumping from many of these wells for periods as long as 58 years, transient groundwater flow conditions have been created in the aquifers that supplied the water. To evaluate whether long-term pumping caused changes in water compositions over time, available chemical analyses of water samples from these 19 boreholes were compiled, screened, and evaluated for variability including statistically significant temporal trends that can be compared to records of groundwater pumping. Data used in this report have been extracted from a large database (Geochem08, revision 3.0, released in September 2008) containing geochemical and isotopic information created and maintained by primary contractors to the U.S. Department of Energy, National Nuclear Security Administration, Nevada Site Office. Data extracted from this source were compiled for the entire period of record, converted to uniform reporting units, and screened to eliminate analyses of poor or unknown quality, as well as clearly spurious values. The resulting data are included in accompanying spreadsheets that give values for (1) pH and specific conductance, (2) major ion concentrations, (3) trace element concentrations and environmental isotope ratios, and (4) mean, median, and variance estimates for major ion concentrations. The resulting data vary widely in quality and time-series density. An effort has been made to establish reasonable ranges of analytical uncertainty expected for each analyte and eliminate analyses that are obvious outliers. Analysis of chemical trends in this report primarily rely on specific conductance measurements and major ion concentrations, data considered to be the most accurate and reliable over the entire time span of investigation. The analysis uses parametric and non-parametric evaluations to provide a statistical basis for trend identification. Trace element and isotope data are examined for consistency, but typically are too inaccurate or infrequent to provide a reliable long term basis for trend evaluation. Groundwater withdrawal records compiled in a companion report are included graphically in this report to allow qualitative comparisons between water quality and pumping history. Data for each supply well include (1) a borehole description and summary of pumping history, (2) a description of water-quality parameters, (3) an evaluation of temporal variations of specific conductance and major ion concentrations, and (4) an examination of supporting information from trace element and isotope data. A range of responses are observed for individual supply wells that likely include the effects of both aquifer dynamics and changing borehole conditions. Data from most wells show little or no evidence for temporal variation in water-quality parameters indicating that aquifers at the Nevada National Security Site are capable of producing large volumes of compositionally uniform water over many years of pumping. A smaller number of wells show evidence of transient changes. Wells that have ceased pumping commonly show compositions that shift toward lower concentrations in subsequent bailed samples, which indicates that more dilute water entered the well over time due to either leakage of meteoric water into the well casing or more wide-spread recharge into the shallow phreatic zone. Wells that show systematic changes in water compositions during episodes of pumping commonly have multiple open intervals whose contributions to water in the well may change over time due to hydraulic conditions or well dynamics.

Nevada

Fourier power spectra of the geomagnetic field for circular paths on the Earth's surface.

The Fourier power spectra of geomagnetic component values, synthesized from spherical harmonic models, have been computed for circular paths on the Earth's surface. They are not found to be more useful than is the spectrum of magnetic energy outside the Earth for the purpose of separating core and crustal sources of the geomagnetic field. The Fourier power spectra of N and E geomagnetic components along nearly polar great circle paths exhibit some unusual characteristics that are explained by the geometric perspective of Fourier series on spheres developed by Yee.

Journal of Geomagnetism & Geoelectricity

The influence of seagrass on shell layers and Florida Bay mudbanks

Aerial photography indicates that sometime since the early 1970's, an emergent ridge of shell debris developed on a mudbank north of Calusa Key in Florida Bay. Coarse shell deposits on and within the Bay's shallow mudbanks are believed to be the product of transport during major storm events and subsequent winnowing. However, shell material from the ridge contains nuclear bomb 14C, supporting formation within the past 30 years and the last major hurricanes to influence Florida Bay were Donna and Betsy (1960 and 1965). Results from this study suggest that the Calusa ridge and other coarse shell deposits in Florida Bay can result from, 1) periodic seagrass mortality and wave-induced transport during frequent winter cold fronts and/or 2) mollusc blooms and subsequent burial. A survey of bottom types indicates that dense to intermediate beds of seagrass, mainly Thalassia testudinum (turtle grass), occur within the shallow basins of western Florida Bay and along the margins of Bay mudbanks. Wave measurements and modeling indicate that Thalassia along mudbank margins can reduce incoming wave-energy by over 80%. Seagrass beds also host particularly dense populations of molluscs from periodic 'blooms' and are believed to be the major source of coarse sediments in the Bay. Thus, if bank-edge seagrass dies, sediments, including shell debris, become exposed and subject to greatly increased wave energy. Modeling indicates that winds typical of winter cold fronts in South Florida can produce near-bottom velocities and shear stress at a grass-free bank edge which are sufficient to transport coarse carbonate grains. Shell layers found at depth in mudbank cores can also be explained by previous episodes of sediment accretion over mollusc-rich seagrass beds or grass bed mortality at the edge of a mudbank and shell transport during cold front passage. The latter implies that mortality of marginal seagrass beds has occurred throughout the history of Florida Bay and that the historical influence of hurricanes on sedimentation in the Bay may have been overestimated.

Journal of Coastal Research

When source and path components trade off in ground-motion prediction equations

Current research on ground‐motion models (also known as ground‐motion prediction equations [GMPEs]) and their uncertainties focus on the separate contributions of source, path, and site to both median values and their variability. Implicit here is the assumption that the event term, path term, and site term reflect only properties of the source, path, and site, respectively. Events with larger stress drop generate more high‐frequency energy, and thus more ground motion. Therefore, the correlation of high‐frequency (i.e., peak ground acceleration [PGA] or peak ground velocity [PGV]) event terms in GMPEs with stress drop is taken to be genuine. However, PGA and PGV ground‐motion observations of the 2014 M "> M 6.0 South Napa, California, earthquake clearly violate these assumptions. For this earthquake, high‐frequency ground‐motion residuals of recorded ground motion with respect to Next Generation Attenuation‐West2 Project (NGA‐West2) ground‐motion models show a dependence on distance, biasing the calculation of the event term by incorrectly mapping a regional attenuation effect into it. We examine the trade‐off between source and path effects for the South Napa earthquake and a well‐recorded California subset of the NGA‐West2 data. We fit near‐source (i.e., within 20 or 50 km) event terms and remaining differential geometrical spreading and anelastic attenuation terms in comparison to a simultaneous inversion for the source and path terms. This South Napa instance highlights one situation for which the high‐frequency event term can be interpreted as relative stress drop only when the distance dependence of the ground motions does not bias the residuals.

California

The SCEC/USGS community stress drop validation study using the 2019 Ridgecrest earthquake sequence

We introduce a community stress drop validation study using the 2019 Ridgecrest, California, earthquake sequence, in which researchers are invited to use a common dataset to independently estimate comparable measurements using a variety of methods. Stress drop is the change in average shear stress on a fault during earthquake rupture, and as such is a key parameter in many ground motion, rupture simulation, and source physics problems in earthquake science. Spectral stress drop is commonly estimated by fitting the shape of the radiated energy spectrum, yet estimates for an individual earthquake made by different studies can vary hugely. In this community study, sponsored jointly by the U. S. Geological Survey and Southern/Statewide California Earthquake Center, we seek to understand the sources of variability and uncertainty in earthquake stress drop through quantitative comparison of submitted stress drops. The publicly available dataset consists of nearly 13,000 earthquakes of M1 to 7 from two weeks of the 2019 Ridgecrest sequence recorded on stations within 1-degree. As a community study, findings are shared through workshops and meetings and all are invited to join at any time, at any interest level.

Seismica

A shallow fault-zone structure illuminated by trapped waves in the Karadere-Duzce branch of the North Anatolian Fault, western Turkey

We discuss the subsurface structure of the Karadere-Duzce branch of the North Anatolian Fault based on analysis of a large seismic data set recorded by a local PASSCAL network in the 6 months following the Mw = 7.4 1999 Izmit earthquake. Seismograms observed at stations located in the immediate vicinity of the rupture zone show motion amplification and long-period oscillations in both P- and S-wave trains that do not exist in nearby off-fault stations. Examination of thousands of waveforms reveals that these characteristics are commonly generated by events that are well outside the fault zone. The anomalous features in fault-zone seismograms produced by events not necessarily in the fault may be referred to generally as fault-zone-related site effects. The oscillatory shear wave trains after the direct S arrival in these seismograms are analysed as trapped waves propagating in a low-velocity fault-zone layer. The time difference between the S arrival and trapped waves group does not grow systematically with increasing source-receiver separation along the fault. These observations imply that the trapping of seismic energy in the Karadere-Duzce rupture zone is generated by a shallow fault-zone layer. Traveltime analysis and synthetic waveform modelling indicate that the depth of the trapping structure is approximately 3-4 km. The synthetic waveform modelling indicates further that the shallow trapping structure has effective waveguide properties consisting of thickness of the order of 100 m, a velocity decrease relative to the surrounding rock of approximately 50 per cent and an S-wave quality factor of 10-15. The results are supported by large 2-D and 3-D parameter space studies and are compatible with recent analyses of trapped waves in a number of other faults and rupture zones. The inferred shallow trapping structure is likely to be a common structural element of fault zones and may correspond to the top part of a flower-type structure. The motion amplification associated with fault-zone-related site effects increases the seismic shaking hazard near fault-zone structures. The effect may be significant since the volume of sources capable of generating motion amplification in shallow trapping structures is large.

Geophysical Journal International

Silicate volcanism on Europa’s seafloor and implications for habitability

Habitable ocean environments on Europa require an influx of reactants to maintain chemical disequilibrium. One possible source of reactants is seafloor volcanism. Modeling has shown that dissipation of tidal energy in Europa's asthenosphere can generate melt, but melt formation cannot be equated with volcanism. Melt must also be transported through Europa's cold lithosphere to erupt at the seafloor. Here, we use two models of dike propagation to show that dikes can only traverse the lithosphere if either the fracture toughness of the lithosphere or the flux into the dike is large (>500 MPa m 1/2 or ∼1 m 2 s −1 , respectively). We conclude that cyclic volcanic episodes might provide reactants to Europa's ocean if magma accumulates at the base of the lithosphere for several thousand years. However, if dikes form too frequently, or are too numerous, the magma flux into each will be insufficient, and volcanism cannot support a habitable ocean environment.

Geophysical Research Letters

Rock magnetic characterization of faulted sediments with associated magnetic anomalies in the Albuquerque Basin, Rio Grande rift, New Mexico

Variations in rock magnetic properties are responsible for the many linear, short-wavelength, low-amplitude magnetic anomalies that are spatially associated with faults that cut Neogene basin sediments in the Rio Grande rift, including the San Ysidro normal fault, which is well exposed in the northern part of the Albuquerque Basin. Magnetic-susceptibility measurements from 310 sites distributed through a 1200-m-thick composite section of rift-filling sediments of the Santa Fe Group and prerift Eocene and Cretaceous sedimentary rocks document large variations of magnetic properties juxtaposed by the San Ysidro fault. Mean volume magnetic susceptibilities generally increase upsection through eight map units: from 1.7 to 2.2E-4 in the prerift Eocene and Cretaceous rocks to 9.9E-4-1.2E-3 in three members of the Miocene Zia Formation of the Santa Fe Group to 1.5E-3-3.5E-3 in three members of the Miocene-Pleistocene Arroyo Ojito Formation of the Santa Fe Group. Rock magnetic measurements and petrography indicate that the amount of detrital magnetite and its variable oxidation to maghemite and hematite within the Santa Fe Group sediments are the predominant controls of their magnetic property variations. Magnetic susceptibility increases progressively with sediment grain size within the members of the Arroyo Ojito Formation (deposited in fluvial environments) but within members of the Zia Formation (deposited in mostly eolian environments) reaches highest values in fine to medium sands. Partial oxidation of detrital magnetite is spatially associated with calcite cementation in the Santa Fe Group. Both oxidation and cementation probably reflect past flow of groundwater through permeable zones. Magnetic models for geologic cross sections that incorporate mean magnetic susceptibilities for the different stratigraphic units mimic the aeromagnetic profiles across the San Ysidro fault and demonstrate that the stratigraphic level of dominant magnetic contrast changes with different exposure levels into the fault. These data indicate that tectonic juxtaposition of primary variations of magnetic properties of strata across the fault is the source of the associated magnetic anomaly. This study indicates that magnetic anomalies over faults and folds can be generated by sediments (1) deposited within tectonic basins having volcanic or basement source areas rich in magnetite, (2) having depositional environments with sufficient but varying energy to transport dense magnetic minerals and cause stratigraphic changes of magnetic properties, and (3) having magnetic minerals preserved owing to their youth or nonreactive geochemical environments. ?? 2007 Geological Society of America.

Geological Society of America Bulletin

Large scale snow water status monitoring: Comparison of different snow water products in the upper Colorado basins

We illustrate the ability to monitor the status of snow water content over large areas by using a spatially distributed snow accumulation and ablation model that uses data from a weather forecast model in the upper Colorado Basin. The model was forced with precipitation fields from the National Weather Service (NWS) Multi-sensor Precipitation Estimator (MPE) and the Tropical Rainfall Measuring Mission (TRMM) data-sets; remaining meteorological model input data were from NOAA's Global Forecast System (GFS) model output fields. The simulated snow water equivalent (SWE) was compared to SWEs from the Snow Data Assimilation System (SNODAS) and SNOwpack TELemetry system (SNOTEL) over a region of the western US that covers parts of the upper Colorado Basin. We also compared the SWE product estimated from the special sensor microwave imager (SSM/I) and scanning multichannel microwave radiometer (SMMR) to the SNODAS and SNOTEL SWE data-sets. Agreement between the spatial distributions of the simulated SWE with MPE data was high with both SNODAS and SNOTEL. Model-simulated SWE with TRMM precipitation and SWE estimated from the passive microwave imagery were not significantly correlated spatially with either SNODAS or the SNOTEL SWE. Average basin-wide SWE simulated with the MPE and the TRMM data were highly correlated with both SNODAS ( r = 0.94 and r = 0.64; d.f. = 14 – d.f. = degrees of freedom) and SNOTEL ( r = 0.93 and r = 0.68; d.f. = 14). The SWE estimated from the passive microwave imagery was significantly correlated with the SNODAS SWE ( r = 0.55, d.f. = 9, p = 0.05) but was not significantly correlated with the SNOTEL-reported SWE values ( r = 0.45, d.f. = 9, p = 0.05).The results indicate the applicability of the snow energy balance model for monitoring snow water content at regional scales when coupled with meteorological data of acceptable quality. The two snow water contents from the microwave imagery (SMMR and SSM/I) and the Utah Energy Balance forced with the TRMM precipitation data were found to be unreliable sources for mapping SWE in the study area; both data sets lacked discernible variability of snow water content between sites as seen in the SNOTEL and SNODAS SWE data. This study will contribute to better understanding the adequacy of data from weather forecast models, TRMM, and microwave imagery for monitoring status of the snow water content.

Colorado, Utah, Wyoming

The information content of high-frequency seismograms and the near-surface geologic structure of "hard rock" recording sites

Due to hardware developments in the last decade, the high-frequency end of the frequency band of seismic waves analyzed for source mechanisms has been extended into the audio-frequency range (>20 Hz). In principle, the short wavelengths corresponding to these frequencies can provide information about the details of seismic sources, but in fact, much of the "signal" is the site response of the nearsurface. Several examples of waveform data recorded at "hard rock" sites, which are generally assumed to have a "flat" transfer function, are presented to demonstrate the severe signal distortions, including fmax, produced by near-surface structures. Analysis of the geology of a number of sites indicates that the overall attenuation of high-frequency (>1 Hz) seismic waves is controlled by the whole-path-Q between source and receiver but the presence of distinct fmax site resonance peaks is controlled by the nature of the surface layer and the underlying near-surface structure. Models of vertical decoupling of the surface and nearsurface and horizontal decoupling of adjacent sites on hard rock outcrops are proposed and their behaviour is compared to the observations of hard rock site response. The upper bound to the frequency band of the seismic waves that contain significant source information which can be deconvolved from a site response or an array response is discussed in terms of fmax and the correlation of waveform distortion with the outcrop-scale geologic structure of hard rock sites. It is concluded that although the velocity structures of hard rock sites, unlike those of alluvium sites, allow some audio-frequency seismic energy to propagate to the surface, the resulting signals are a highly distorted, limited subset of the source spectra. ?? 1988 Birkha??user Verlag.

Pure and Applied Geophysics PAGEOPH

Sources of variation in maternal allocation in a long-lived mammal

1. Life history theory predicts allocation of energy to reproduction varies with maternal age, but additional maternal features may be important to the allocation of energy to reproduction. We aimed to characterize age‐specific variation in maternal allocation and assess the relationship between maternal allocation and other static and dynamic maternal features. Mass measurements of 531 mothers and pups were used with Bayesian hierarchical models to explain the relationship between diverse maternal attributes and both the proportion of mass allocated by Weddell seal mothers, and the efficiency of mass transfer from mother to pup during lactation as well as the weaning mass of pups. Our results demonstrated that maternal mass was strongly and positively associated with the relative reserves allocated by a mother and a pup's weaning mass but that the efficiency of mass transfer declines with maternal parturition mass. Birthdate was positively associated with proportion mass allocation and pup weaning mass, but mass transfer efficiency was predicted to be highest at the mean birthdate. The relative allocation of maternal reserves declined with maternal age but the efficiency of mass transfer to pups increases, suggestive of selective disappearance of poor‐quality mothers. These findings highlight the importance of considering multiple maternal features when assessing variation in maternal allocation.

Journal of Animal Ecology