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At least 487 records · Page 27Linked to original sources

Combining ash analyses with remote sensing to identify juvenile magma involvement and fragmentation mechanisms during the 2018/19 small eruption of Peteroa volcano (Southern Andes)

The Planchón Peteroa Volcanic Complex (PPVC) is located on the border of Chile and Argentina, and is one of the most active volcanic systems in the Andes. Holocene activity has included magma-water interaction with an evolving series of crater lakes, mainly sourced from Peteroa volcano. This study examines data from the 2018/19 eruption, together with the volcanic history of the PPVC, to elucidate the complex interplay between magmatic activity and summit water and ice. From February 2016 to mid-2019, three seismic swarms occurred in the PPVC, preceding the explosive eruption from September 2018 to April 2019. The activity originated from a small vent nested within the easternmost crater, the most active portion of the complex (Peteroa). The explosions interacted with a crater lake, producing ash plumes up to 2 km above the crater and building a small tephra cone. To investigate the eruption mechanisms, we performed remote sensing analysis of plume dispersal, thermal anomalies and ground deformation, and characterized the volcanic products, including grain size, componentry, morphology, internal textures, composition and mineralogy. Our results suggest that the precursory seismicity beginning in 2016 was related to the intrusion of a new magma batch that reached the surface during the 2018/19 eruption. The eruption was also preceded by thermal anomalies, geomorphic changes and increased hydrothermal activity at the surface, though without any ground deformation recognized through radar interferometry (InSAR). The eruption initially produced predominantly recycled ash (phreatic activity), then evolved to increasing proportions of juvenile magma (phreatomagmatic) by April 2019. The juvenile clasts had a trachyandesite composition (~59 wt% SiO 2 ), with vesicular and dense scoria containing plagioclase and pyroxene. The ash surfaces show external quenching cracks and step fractures consistent with phreatomagmatic fragmentation within the active crater lake. Textural characteristics also point to a slowly ascending batch of magma that was relatively viscous by the time it interacted with water in the crater lake. Notably, these juvenile particles are distinctive from the pre-2018 products. Ash erupted from 2010/11 did not contain recognizable juvenile material, and is inferred to have been a mainly phreatic eruption. Our findings suggest that the interplay between phreatic and phreatomagmatic eruptions fed by small magma batches intruding at shallow levels characterize much of the eruptive behavior of the PPVC during the last three decades. Multi-parametric assessment is a powerful tool to discriminate between phreatic and phreatomagmatic eruptions.

Southern Andes

Source parameters of microearthquakes at Mount St Helens (USA)

We estimate the source parameters for a selection of microearthquakes that occurred at Mount St Helens in the period 1995–1998. Excluding the activity of 2004 September, this time period includes the most intense episode of earthquake activity since the last dome-building eruption in 1986 October. 200 seismograms were processed to obtain seismic moments, source radii, stress drops and average fault slip. The source parameters were determined from the spectral analysis of P waves, after correction for attenuation and site effects. In particular, P -wave quality ( Q p ) and site ( S ) factors have been previously calculated in the frequency ranges 2–7 Hz and 18–30 Hz. Because it was impossible to perform corrections for Q p and S over the whole spectrum we applied a new approach, based on the notion of ‘ holed spectrum ’, to estimate spectral parameters. The term ‘ holed spectrum ’ indicates a spectrum lacking corrected spectral amplitude values at certain frequencies. We carried out a statistical study to verify that dealing with the ‘ holed spectrum ’ does not lead to significant differences in the estimates of spectral parameters. We also investigated the dependence of spectral parameters (low-frequency level, corner frequency and high-frequency decay) on the bandwidth of spectral hole, and defined the threshold values for three different spectral models. Displacement ‘ holed spectra ’, corrected by attenuation and site response, are then used to determine spectral parameters in order to calculate seismic source parameters. Seismic moments range from 10 17 to 10 19 dyne-cm, source dimensions from 100 to 350 m, and average fault slip from 0.003 to 0.1 cm. Self-similarity seems to break down in that stress drops are very low (0.1–1 bars). We postulate that seismicity is associated with a brittle shear failure mechanism occurring in a highly heterogeneous material under a relatively low stress regime.

Washington

Optimization of on-line hydrogen stable isotope ratio measurements of halogen- and sulfur-bearing organic compounds using elemental analyzer–chromium/high-temperature conversion isotope ratio mass spectrometry (EA-Cr/HTC-IRMS)

Rationale: Accurate hydrogen isotopic analysis of halogen- and sulfur-bearing organics has not been possible with traditional high-temperature conversion (HTC) because the formation of hydrogen-bearing reaction products other than molecular hydrogen (H2) is responsible for non-quantitative H2 yields and possible hydrogen isotopic fractionation. Our previously introduced, new chromium-based EA-Cr/HTC-IRMS (Elemental Analyzer–Chromium/High-Temperature Conversion Isotope Ratio Mass Spectrometry) technique focused primarily on nitrogen-bearing compounds. Several technical and analytical issues concerning halogen- and sulfur-bearing samples, however, remained unresolved and required further refinement of the reactor systems. Methods: The EA-Cr/HTC reactor was substantially modified for the conversion of halogen- and sulfur-bearing samples. The performance of the novel conversion setup for solid and liquid samples was monitored and optimized using a simultaneously operating dual-detection system of IRMS and ion trap MS. The method with several variants in the reactor, including the addition of manganese metal chips, was evaluated in three laboratories using EA-Cr/HTC-IRMS (on-line method) and compared with traditional uranium-reduction-based conversion combined with manual dual-inlet IRMS analysis (off-line method) in one laboratory. Results: The modified EA-Cr/HTC reactor setup showed an overall H2-recovery of more than 96% for all halogen- and sulfur-bearing organic compounds. All results were successfully normalized via two-point calibration with VSMOW-SLAP reference waters. Precise and accurate hydrogen isotopic analysis was achieved for a variety of organics containing F-, Cl-, Br-, I-, and S-bearing heteroelements. The robust nature of the on-line EA-Cr/HTC technique was demonstrated by a series of 196 consecutive measurements with a single reactor filling. Conclusions: The optimized EA-Cr/HTC reactor design can be implemented in existing analytical equipment using commercially available material and is universally applicable for both heteroelement-bearing and heteroelement-free organic-compound classes. The sensitivity and simplicity of the on-line EA-Cr/HTC-IRMS technique provide a much needed tool for routine hydrogen-isotope source tracing of organic contaminants in the environment. Copyright © 2016 John Wiley & Sons, Ltd.

Rapid Communications in Mass Spectrometry

Importance of the colmation layer in the transport and removal of cyanobacteria, viruses, and dissolved organic carbon during natural lake-bank filtration

This study focused on the importance of the colmation layer in the removal of cyanobacteria, viruses, and dissolved organic carbon (DOC) during natural bank filtration. Injection-and-recovery studies were performed at two shallow (0.5 m deep), sandy, near-shore sites at the southern end of Ashumet Pond, a waste-impacted, kettle pond on Cape Cod, MA, that is subject to periodic blooms of cyanobacteria and continuously recharges a sole-source drinking-water aquifer. The experiment involved assessing the transport behaviors of bromide (conservative tracer), Synechococcus sp. IU625 (cyanobacterium, 2.6 ± 0.2 µm), AS-1 (tailed cyanophage, 110 nm long), MS2 (coliphage, 26 nm diameter), and carboxylate-modified microspheres (1.7 µm diameter) introduced to the colmation layer using a bag-and-barrel (Lee-type) seepage meter. The injectate constituents were tracked as they were advected across the pond water–groundwater interface and through the underlying aquifer sediments under natural-gradient conditions past push-point samplers placed at ∼30-cm intervals along a 1.2-m-long, diagonally downward flow path. More than 99% of the microspheres, IU625, MS2, AS-1, and ∼44% of the pond DOC were removed in the colmation layer (upper 25 cm of poorly sorted bottom sediments) at two test locations characterized by dissimilar seepage rates (1.7 vs. 0.26 m d −1 ). Retention profiles in recovered core material indicated that >82% of the attached IU625 were in the top 3 cm of bottom sediments. The colmation layer was also responsible for rapid changes in the character of the DOC and was more effective (by three orders of magnitude) at removing microspheres than was the underlying 20-cm-thick segment of sediment.

Massachusetts

Igneous mineralogy at Bradbury Rise: the first ChemCam campaign at Gale crater

Textural and compositional analyses using ChemCam Remote Micro Imager (RMI) and Laser Induced Breakdown Spectroscopy (LIBS) have been performed on 5 float rocks and coarse gravels along the first 100 meters of the Curiosity traverse at Bradbury rise. ChemCam, the first LIBS instrument sent to another planet, offers the opportunity to assess mineralogic diversity at grain-size scales (∼100μm) and, from this, lithologic diversity. Depth profiling indicates that targets are relatively free of surface coatings. One type of igneous rock is volcanic and includes both aphanitic (Coronation) and porphyritic (Mara) samples. The porphyritic sample shows dark grains that are likely pyroxene megacrysts in a finegrained mesostasis containing andesine needles. Both types have magnesium-poor basaltic compositions and in this respect are similar to the evolved Jake-Matijevic rock [Stolper et al., 2013] analyzed further along the Curiosity traverse both with APXS and ChemCam instruments. The second rock-type encountered is a coarse-grained intrusive rock (Thor Lake) showing equigranular texture with mm size crystals of feldspars and Fe-Ti oxides. Such a rock is not unique at Gale as the surrounding coarse gravels (such as Beaulieu) and the conglomerate Link are dominated by feldspathic (andesine-bytownite) clasts. Finally, alkali feldspar compositions associated with a silica polymorph have been analyzed in fractured filling material of Preble rock and in Stark, a putative pumice or an impact melt. These observations document magmatic diversity at Gale and describe the first fragments of feldspar-rich lithologies (possibly an anorthosite) that may be ancient crust transported from the crater rim and now forming float rocks, coarse gravel or conglomerate clasts.

Journal of Geophysical Research E: Planets

Demographic consequences of inbreeding and outbreeding in Arnica montana: A field experiment

1. The genetic constitution of populations may significantly affect demography. Founder populations or isolated remnants may show inbreeding depression, while established populations can be strongly adapted to the local environment. Gene exchange between populations can lead to better performance if heterozygosity levels are restored (heterosis), or to reduced performance if coadapted gene complexes are disrupted (outbreeding depression). 2. Five populations of the self-incompatible perennial Arnica montana (Asteraceae) were analysed for the demographic consequences of inbreeding and of intra- and interpopulation outcrossing, using both small and large populations as donors for the latter. We analysed seed production and seed weight and monitored growth, survival and flowering of offspring introduced as seeds and as 4-week-old seedlings in a 4-year field experiment. 3. Reduced seed set after selfing was probably due to the self-incompatibility system rather than to inbreeding depression. There was a significant increase for seed set after interpopulation crosses, which resulted from the alleviation of low mate availability in one of the small populations. 4. Significant inbreeding depression was observed for growth rates of plants introduced as seedlings. We found significant heterosis for flowering probability of plants introduced as seeds, but for plants introduced as seedlings, heterosis for seedling size and flowering probability was only marginally significant. Outbreeding depression was not observed. 5. The results of this study are important for reinforcement measures in small, remnant populations. Significant differences among populations for all measured fitness components suggest that reinforcement is best achieved using material from several populations. 6. The observed higher survival of seedlings as compared with seeds suggests that it is better to plant individuals than to sow. Sowing, however, is easier and cheaper, and was more likely to eliminate poorly adapted genotypes before they contribute to the next generation.

Journal of Ecology

Polymeric nanofiber-carbon nanotube composite mats as fast-equilibrium passive samplers for polar organic pollutants

To improve the performance of polymeric electrospun nanofiber mats (ENMs) for equilibrium passive sampling applications in water, we integrated two types of multiwalled carbon nanotubes (CNTs; with and without surface carboxyl groups) into polyacrylonitrile (PAN) and polystyrene (PS) ENMs. For 11 polar and moderately hydrophobic compounds (−0.07 ≤ log K OW ≤ 3.13), 90% of equilibrium uptake was achieved in under 0.8 days ( t 90% values) in nonmixed ENM-CNT systems. Sorption capacity of ENM-CNTs was between 2- and 50-fold greater than pure polymer ENMs, with equilibrium partition coefficients ( K ENM-W values) ranging from 1.4 to 3.1 log units (L/kg) depending on polymer type (hydrophilic PAN or hydrophobic PS), CNT loading (i.e., values increased with weight percent (wt %) of CNTs), and CNT type (i.e., greater uptake with carboxylated CNTs composites). During field deployment at Muddy Creek in North Liberty, Iowa, optimal ENM-CNTs (PAN with 20 wt % carboxylated CNTs) yielded atrazine concentrations in surface water with a 40% difference relative to analysis of a same-day grab sample. We also observed a mean percent difference of 30 (±20)% when comparing ENM-CNT sampler results to grab sample data collected within 1 week of deployment. With their rapid, high capacity uptake and small material footprint, ENM-CNT equilibrium passive samplers represent a promising alternative to complement traditional integrative passive samplers while offering convenience over large volume grab sampling.

Environmental Science & Technology

Toward absolute abundance for conservation applications: Estimating the number of contributors via microhaplotype genotyping of mixed-DNA sample

Molecular methods including metabarcoding and quantitative polymerase chain reaction have shown promise for estimating species abundance by quantifying the concentration of genetic material in field samples. However, the relationship between specimen abundance and detectable concentrations of genetic material is often variable in practice. DNA mixture analysis represents an alternative approach to quantify specimen abundance based on the presence of unique alleles in a sample. The DNA mixture approach provides novel opportunities to inform ecology and conservation by estimating the absolute abundance of target taxa through molecular methods; yet, the challenges associated with genotyping many highly variable markers in mixed-DNA samples have prevented its widespread use. To advance molecular approaches for abundance estimation, we explored the utility of microhaplotypes for DNA mixture analysis by applying a 125-marker panel to 1179 Chinook salmon ( Oncorhynchus tshawytscha ) smolts from the Sacramento-San Joaquin Delta, California, USA. We assessed the accuracy of DNA mixture analysis through a combination of mock mixtures containing DNA from up to 20 smolts and a trophic ecological application enumerating smolts in predator diets. Mock DNA mixtures of up to 10 smolts could reliably be resolved using microhaplotypes, and increasing the panel size would likely facilitate the identification of more individuals. However, while analysis of predator gastrointestinal tract contents indicated DNA mixture analysis could discern the presence of multiple prey items, poor and variable DNA quality prevented accurate genotyping and abundance estimation. Our results indicate that DNA mixture analysis can perform well with high-quality DNA, but methodological improvements in genotyping degraded DNA are necessary before this approach can be used on marginal-quality samples.

California

A simple analytical procedure to replace HPLC for monitoring treatment concentrations of chloramine-T on fish culture facilities

Concentrations of chloramine-T must be monitored during experimental treatments of fish when studying the effectiveness of the drug for controlling bacterial gill disease. A surrogate analytical method for analysis of chloramine-T to replace the existing high-performance liquid chromatography (HPLC) method is described. A surrogate method was needed because the existing HPLC method is expensive, requires a specialist to use, and is not generally available at fish hatcheries. Criteria for selection of a replacement method included ease of use, analysis time, cost, safety, sensitivity, accuracy, and precision. The most promising approach was to use the determination of chlorine concentrations as an indicator of chloramine-T. Of the currently available methods for analysis of chlorine, the DPD ( N , N -diethyl- p -phenylenediamine) colorimetric method best fit the established criteria. The surrogate method was evaluated under a variety of water quality conditions. Regression analysis of all DPD colorimetric analyses with the HPLC values produced a linear model ( Y =0.9602 X +0.1259) with an r 2 value of 0.9960. The average accuracy (percent recovery) of the DPD method relative to the HPLC method for the combined set of water quality data was 101.5%. The surrogate method was also evaluated with chloramine-T solutions that contained various concentrations of fish feed or selected densities of rainbow trout. When samples were analyzed within 2 h, the results of the surrogate method were consistent with those of the HPLC method. When samples with high concentrations of organic material were allowed to age more than 2 h before being analyzed, the DPD method seemed to be susceptible to interference, possibly from the development of other chloramine compounds. However, even after aging samples 6 h, the accuracy of the surrogate DPD method relative to the HPLC method was within the range of 80–120%. Based on the data comparing the two methods, the U.S. Food and Drug Administration has concluded that the DPD colorimetric method is appropriate to use to measure chloramine-T in water during pivotal efficacy trials designed to support the approval of chloramine-T for use in fish culture.

Aquaculture

Utilization of stochastic ground motion simulations for scenario-based performance assessment of geo-structures

Probabilistic seismic performance assessments of engineered structures can be highly sensitive to the seismic input excitation and its variability. In the present study, the scenario-based performance assessment recommended by Federal Emergency Management Agency (FEMA) P-58 guidelines is adopted to estimate seismic fragility of concrete dams for various seismic hazard scenarios. Due to the scarcity of recorded ground motions and thereby their poor representation of uncertainties, stochastic ground motion simulation methods are utilized to obtain the required input excitations. Moreover, to understand the uncertainty in ground motion simulation models, two broadband stochastic simulation models are used to generate input excitations representing six seismic hazard scenarios defined by earthquake magnitude, source-to-site distance, and soil conditions. Optimal intensity measure parameters for each scenario are identified using a systematic procedure that considers criteria such as efficiency, practicality, proficiency, sufficiency, and hazard compatibility. Fragility curves and surfaces are derived using the cloud analysis technique, taking into account various damage measures and limit state functions. The study finds that the derived fragility curves are particularly sensitive to the selection of earthquake scenarios, the choice of records, and the methods used to calculate fragility curves, with less sensitivity observed to different engineering demand parameters. Given this sensitivity, particularly to ground motion selection, the study highlights the necessity of incorporating both model-to-model variability (epistemic uncertainty) and record-to-record variability (aleatory uncertainty), alongside the established material and modeling uncertainties, in the probabilistic seismic assessment.

Reliability Engineering and System Safety (RESS)

Sediment oxygen demand in the lower Willamette River, Oregon, 1994

An investigation of sediment oxygen demand (SOD) at the interface of the stream and stream bed was performed in the lower Willamette River (river mile 51 to river mile 3) during August, 1994, as part of a cooperative project with the Oregon Department of Environmental Quality. The primary goals of the investigation were to measure the spatial variability of SOD in the lower Willamette River and to relate SOD to bottom-sediment characteristics. The SOD chambers used in the study were open-bottomed, opaque plastic cylinders that were seated and sealed on the river bottom by scuba divers. When seated, the chambers contained 52 liters of isolated river water, which was slowly recirculated for at least 2 hours over 0.225 square meters of relatively undisturbed bottom sediment. These chambers could not be deployed in areas with gravels and cobbles, which represent about 55 percent of the study area above Willamette Falls and 30 percent of the river below Willamette Falls. Sediment oxygen demand is commonly reported as grams of oxygen consumed per square meter of bottom sediment per day (g/m2 p day). The measured SOD rates, corrected to a temperature of 20 degrees C, ranged from 1.3 to 4.1 g/m2' day in the lower Willamette River. The SOD measured above and below Willamette Falls averaged 2.0 and 2.1 g/m2 ' day, respectively. After adjusting for the amount of bottom material composed of gravels and cobbles, the best estimates for reachwide SOD rates above and below Willamette Falls are 1.4 (+ 0.5) and 1.8 (+ 0.3) g/m2' day, respectively. Sediment samples were collected near each chamber and analyzed for percent water, percent sand, and percent organics. The sand content ranged from 0.1 to 6.2 percent and averaged 1.8 percent. The organic content ranged from 1.4 to 9.6 and averaged 5.6 percent. No statistically significant correlations were found between these sediment characteristics and sediment oxygen demand.

Oregon

A Bayesian nonparametric approach to unmixing detrital geochronologic data

Sedimentary deposits constitute the primary record of changing environmental conditions that have acted on Earth’s surface over geologic time. Clastic material is eroded from source locations (parents) in sediment routing systems and deposited at sink locations (children). Both parents and children have characteristics that vary across many different dimensions, including grain size, chemical composition, and the geochronologic age of constituent detrital minerals. During transport, sediment from different parents is mixed together to form a child, which in turn may serve as the parent for other sediment farther down-system or later in time when buried sediment is exhumed. The distribution of detrital mineral ages observed in parent and child sediments allows for investigation of the proportion of each parent in the child sediment, which reflects the properties of the sediment routing system. To model the proportion of dates in a child sample that comes from each of the parent distributions, we use a Bayesian mixture of Dirichlet processes. This model enables us to estimate the mixing proportions with associated uncertainty while making minimal assumptions. We also present an extension to the model whereby we reconstruct unobserved parent distributions from multiple observed child distributions using mixtures of Dirichlet processes. The model accounts for uncertainty in both the number of mineral formation events that constitute each parent distribution and the mixing proportions of each parent distribution that constitutes a child distribution. To demonstrate the model, we perform analyses using simulated data where the true age distribution is known as well as using a real-world case study from the coast of central California, USA.

Mathematical Geosciences

Nearshore bathymetric mapping along a 7-mile reach of Lake Sharpe shoreline near Lower Brule, South Dakota, 2013

Shoreline erosion rates along Lake Sharpe, a Missouri River reservoir, near the community of Lower Brule, South Dakota, were studied previously during 2011–12 by the U.S. Geological Survey, the Lower Brule Sioux Tribe, and Oglala Lakota College. The rapid shoreline retreat has caused many detrimental effects along the shoreline of Lake Sharpe, including losses of cultural sites, recreation access points, wildlife habitat, irrigated cropland, and landmass. The Lower Brule Sioux Tribe is considering options to reduce or stop erosion. One such option for consideration is the placement of discontinuous rock breakwater structures in shallow water to reduce wave action at shore. Information on the depth of water and stability characteristics of bottom material in nearshore areas of Lake Sharpe is needed by the Lower Brule Sioux Tribe to develop structural mitigation alternatives. To help address this need, a bathymetric survey of nearshore areas of Lake Sharpe near Lower Brule, South Dakota, was completed in 2013 by the U.S. Geological Survey in cooperation with the Lower Brule Sioux Tribe. HYPACK® hydrographic survey software was used to plan data collection transects for a 7-mile reach of Lake Sharpe shoreline near Lower Brule, South Dakota. Regular data collection transects and oblique transects were planned to allow for quality-assurance/quality-control comparisons. Two methods of data collection were used in the bathymetric survey: (1) measurement from a boat using bathymetric instrumentation where water was more than 2 feet deep, and (2) wading using Real-Time Kinematic Global Navigation Satellite System equipment on shore and where water was shallower than 2 feet deep. A dual frequency, 24- or 200-kilohertz narrow beam, depth transducer was used in conjunction with a Teledyne Odom CV100 dual frequency echosounder for boat-based data collection. In water too shallow for boat navigation, the elevation and nature of the reservoir bottom were mapped using Real-Time Kinematic Global Navigation Satellite System equipment. Once the data collection effort was completed, data editing was performed in HYPACK® to remove erroneous data points and to apply water-surface elevations. Maps were developed separately for water depth and bottom elevation for the study area. Lines of equal water depth for 2, 3, 3.5, 4, and 5 feet from the water surface to the lake bottom were mapped in nearshore areas of Lake Sharpe. Overall, water depths stay shallow for quite a distance from shore. In the 288 transects that crossed a 2 foot depth line, this depth occurred an average of 88 feet from shore. Similarly, in the 317 transects that crossed a 3 foot depth line, this did not occur until an average of 343 feet from shore. Elevation contours of the lake bottom were mapped primarily for elevations ranging from 1,419 to 1,416 feet above North American Vertical Datum of 1988. Horizontal errors of the Real-Time Kinematic Global Navigation Satellite System equipment for the study area are essentially inconsequential because water depth and bottom elevation were determined to change relatively slowly. The estimated vertical error associated with the Real-Time Kinematic Global Navigation Satellite System equipment for the study area ranges from 0.6 to 0.9 inch. This vertical error is small relative to the accuracy of the bathymetric data. Accuracy assessments of the data collected for this study were computed according to the National Standard for Spatial Data Accuracy. The maps showing the lines of equal water depth and elevation contours of the lake bottom are able to support a 1-foot contour interval at National Standards for Spatial Data Accuracy vertical accuracy standards, which require a vertical root mean squared error of 0.30 foot or better and a fundamental vertical accuracy calculated at the 95-percent confidence level of 0.60 foot or better.

South Dakota

Volcano crisis response at Yellowstone volcanic complex - after-action report for exercise held at Salt Lake City, Utah, November 15, 2011

A functional tabletop exercise was run on November 14-15, 2011 in Salt Lake City, Utah, to test crisis response capabilities, communication protocols, and decision-making by the staff of the multi-agency Yellowstone Volcano Observatory (YVO) as they reacted to a hypothetical exercise scenario of accelerating volcanic unrest at the Yellowstone caldera. The exercise simulated a rapid build-up of seismic activity, ground deformation, and hot-spring water-chemistry and temperature anomalies that culminated in a small- to moderate-size phreatomagmatic eruption within Yellowstone National Park. The YVO scientific team's responses to the unfolding events in the scenario and to simulated requests for information by stakeholders and the media were assessed by (a) the exercise organizers; (b) several non-YVO scientists, who observed and queried participants, and took notes throughout the exercise; and (c) the participants themselves, who kept logs of their actions during the exercise and later participated in a group debriefing session and filled out detailed questionnaires. These evaluations were tabulated, interpreted, and summarized for this report, and on the basis of this information, recommendations have been made. Overall, the YVO teams performed their jobs very well. The exercise revealed that YVO scientists were able to successfully provide critical hazards information, issue information statements, and appropriately raise alert levels during a fast-moving crisis. Based on the exercise, it is recommended that several measures be taken to increase YVO effectiveness during a crisis: 1. Improve role clarification within and between YVO science teams. 2. Improve communications tools and protocols for data-sharing and consensus-building among YVO scientists, who are geographically and administratively dispersed among various institutions across the United States. 3. Familiarize YVO staff with Incident Command System (ICS) procedures and protocols, and provide more in-depth training to appropriate staff members, as needed. 4. Train all science team members in the use of all analytical and computational tools available to them, in order to maximize effectiveness of teams in tracking and interpreting possible accelerating unrest at Yellowstone. Desirable pre-crisis preparations include: (a) updating a catalog of existing map and information products (and identifying additional products) that would be helpful during a crisis; (b) creating "to do" lists of early-crisis tasks for each scientific team; (c) coordinating radio frequencies among partner agencies; and (d) brief training on and promotion of the internal YVO Web log as a repository for scientific observations, data, photographs, and other material to be shared among YVO scientific teams during a crisis. This exercise was designed as an opportunity to practice response to a fast-developing volcano crisis and to test for organizational and procedural weaknesses that could emerge during a real crisis. This report is based upon the observations of the exercise organizers during the one-day exercise and upon written evaluations by the participants. It does not attempt to evaluate any other aspect of YVO or the scientific expertise of any of the highly competent YVO staff. Participants unanimously found the exercise to be helpful for improving their response capabilities, and it is our hope that the report will be a starting point for internal discussions that will make YVO even better-prepared for some future volcano crisis.

Utah

Design and Performance of an Enhanced Bioremediation Pilot Test in a Tidal Wetland Seep, West Branch Canal Creek, Aberdeen Proving Ground, Maryland

Because of a lack of available in situ remediation methods for sensitive wetland environments where contaminated groundwater discharges, the U.S. Geological Survey, in cooperation with the U.S. Army Garrison, Aberdeen Proving Ground, Maryland, conceived, designed, and pilot tested a permeable reactive mat that can be placed horizontally at the groundwater/surface-water interface. Development of the reactive mat was part of an enhanced bioremediation study in a tidal wetland area along West Branch Canal Creek at Aberdeen Proving Ground, where localized areas of preferential discharge (seeps) transport groundwater contaminated with carbon tetrachloride, chloroform, tetrachloroethene, trichloroethene, and 1,1,2,2-tetrachloroethane from the Canal Creek aquifer to land surface. The reactive mat consisted of a mixture of commercially available organic- and nutrient-rich peat and compost that was bioaugmented with a dechlorinating microbial consortium, WBC-2, developed for this study. Due to elevated chlorinated methane concentrations in the pilot test site, a layer of zero-valent iron mixed with the peat and compost was added at the base of the reactive mat to promote simultaneous abiotic and biotic degradation. The reactive mat for the pilot test area was designed to optimize chlorinated volatile organic compound degradation efficiency without altering the geotechnical and hydraulic characteristics, or creating undesirable water quality in the surrounding wetland area, which is referred to in this report as achieving geotechnical, hydraulic, and water-quality compatibility. Optimization of degradation efficiency was achieved through the selection of a sustainable organic reactive matrix, electron donor, and bioaugmentation method. Consideration of geotechnical compatibility through design calculations of bearing capacity, settlement, and geotextile selection showed that a 2- to 3-feet tolerable thickness of the mat was possible, with 0.17 feet settlement predicted for unconsolidated sediments between 1.5 and 6 years following installation of the reactive mat. To ensure hydraulic compatibility in the mat design, mat materials that had a hydraulic conductivity greater than the surrounding wetland sediments were selected, and the mixture was optimized to consist of 1.5 parts compost, 1.5 parts peat and 1 part sand as a safeguard against fluidization. Sediment and matrix properties also indicated that a nonwoven geotextile with a cross-plane flow greater than that of the native sediments was suitable as the base of the reactive mat. Another nonwoven geotextile was selected for installation between the iron mix and organic zones of the mat to create more laminar flow conditions within the mat. Total metals and sequential extraction procedure analyses of mat materials, which were conducted to evaluate water-quality compatibility of the mat materials, showed that concentrations of metals in the compost ranged from one-half to one order of magnitude below consensus-based probable effect concentrations in sediment. A 22-inch-thick reactive mat, containing 0.5 percent WBC-2 by volume, was constructed at seep area 3-4W and monitored from October 2004 through October 2005 for the pilot test. No local, immediate failure of the mat or of wetland sediments was observed during mat installation, indicating that design estimates of bearing capacity and geotextile textile selection ensured the integrity of the mat and wetland sediments during and following installation. Measurements of surface elevation of the mat showed an average settlement of the mat surface of approximately 0.25 feet after 10 months, which was near the predicted settlement for unconsolidated sediment. Monitoring showed rapid establishment and sustainment throughout the year of methanogenic conditions conducive to anaerobic biodegradation and efficient dechlorination activity by WBC-2. The median mass removal of chloromethanes and total chloroethenes and ethane during the

Scientific Investigations Report

The modeler's influence on calculated solubilities for performance assessments at the Aspo Hard-rock Laboratory

Four researchers were asked to provide independent modeled estimates of the solubility of a radionuclide solid phase, specifically Pu(OH) 4 , under five specified sets of conditions. The objectives of the study were to assess the variability in the results obtained and to determine the primary causes for this variability. In the exercise, modelers were supplied with the composition, pH and redox properties of the water and with a description of the mineralogy of the surrounding fracture system A standard thermodynamic data base was provided to all modelers. Each modeler was encouraged to use other data bases in addition to the standard data base and to try different approaches to solving the problem. In all, about fifty approaches were used, some of which included a large number of solubility calculations. For each of the five test cases, the calculated solubilities from different approaches covered several orders of magnitude. The variability resulting from the use of different thermodynamic data bases was in most cases, far smaller than that resulting from the use of different approaches to solving the problem.

Materials Research Society Symposium - Proceedings

Approaches for assessment of terrestrial vertebrate responses to contaminants: moving beyond individual organisms

Conclusions: A need for a broader range ofinformation on effects of contaminants on individuals exists among the 4 classes of terrestrial vertebrates, especially mammals, reptiles, and amphibians. Separation of contaminant effects from other effects and reduction of speculative extrapolation within and among species requires information that can be produced only by combined field and laboratory investigations that incorporate seasonal or annual cycles and important spatial and interaction conditions. Assessments of contaminant effects at the population level and higher are frequently dependent on extrapolations from a lower organizational level. Actual measurements of the effects of contaminants on populations or communities, possibly in conjunction with case studies that establish relations between effects on individuals and effects on populations, are needed to reduce the uncertainty associated with these extrapolations. Associated with these assessment levels is the need for acceptable definitions of what we mean when we refer to a 'meaningful population change' or an 'effect on communities or ecosystems.' At these higher levels of organization we are also confronted with the need for procedures useful for separating contaminant effects from effects caused by other environmental conditions. Although the bulk of literature surveyed was of the focused cause-and-effect type that is necessary for proving relations between contaminants and wildlife, community or ecosystem field assessments, as sometimes performed with reptiles and amphibians, might be a useful alternative for estimating the potential of a contaminant to cause environmental harm. Assumptions about the special usefulness of reptiles and amphibians as environmental indicators ought to be tested with comparisons to mammals and birds. Information on the effects of contaminants above the individual level is needed to generate accurate estimates of the potential consequences of anthropogenic pollution (e.g., ecological risk assessments). However, realized population, or higher, levels of effects should not be part of regulatory guidelines because the threshold of harm would be too high to be used as a catalyst for action. Measures of realized population or community effects could be used to evaluate the effectiveness of regulatory actions and assess chronic or difficult environmental problems. Some of these information needs can be satisfied with modest effort and expense, but much of the suggested work that incorporates great complexity or long duration is likely to be difficult to accomplish. Cooperation among investigators with different specialties and a willingness by government, academia, and corporate organizations to support the most challenging work will be necessary. Because we are unlikely to have the financial resources to evaluate more than a small number of contaminants for effects at the levels of population, community, or ecosystem, we might need to thoroughly study a few contaminants and then extend the findings to functionally similar contaminants. If sufficient cooperation and organizational support does not materialize, the pursuit of estimation methods will overshadow the collection of actual information on relations between contaminants and wildlife.

Book chapter

Discrete element investigation of the influence of shallow soil density on the manifestations of strike-slip surface fault rupture

This study investigates the influence of soil relative density on strike-slip surface fault rupture manifestations using three-dimensional numerical simulations performed with the discrete element method (DEM). The simulations capture the formation of distinctive fault strands within complex flower structures using tens of millions of grains. The tendency for dense soils to localize shear manifests as multiple localized shear bands within wide zones of deformation in strike-slip fault rupture, whereas diffuse shear deformation develops within narrow zones in loose soils. The spatial extents of soil deformation are consistent between simulations having similar relative densities but with different quantities of grains. However, individual shears are more distinguishable in assemblages of finer grains than in assemblages of coarser grains. The simulations show the progressive development of new shears within the bounds of previously developed shears. Shear activity transitions inward as fault activity diminishes along the outermost shears and continues along newly developed shears until a vertically dipping throughgoing shear structure develops that accommodates most of the fault displacement thereon. The throughgoing fault develops at smaller fault displacements in looser soils because the first shear rupture propagates closer to the vertical direction and does not undergo as much inward translation of shear activity, as is observed in denser soils. In all simulations, ground surface uplift develops between nonintersecting active shears, and ground surface subsidence tends to develop where new shears intersect previous shears. The surface traces in these simulations are shown to be consistent with analog models and case histories of surface fault rupture occurring in different shallow subsurface materials. Although computationally costly, these modeling results are valuable for providing a strong numerical supplement to traditional analog models used to represent the mechanics of strike-slip zones in soil, and they provide quantifiable stresses and large-strain deformations throughout the model domain.

Journal of Geotechnical and Geoenvironmental Engin