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At least 505 records · Page 28Linked to original sources

Detection and monitoring of H2O and CO2 ice clouds on Mars

We have developed an observational scheme for the detection and discrimination of Mars atmospheric H 2 O and CO 2 clouds using ground-based instruments in the near infrared. We report the results of our cloud detection and characterization study using Mars near IR images obtained during the 1990 and 1993 oppositions. We focused on specific wavelengths that have the potential, based on previous laboratory studies of H 2 O and CO 2 ices, of yielding the greatest degree of cloud detectability and compositional discriminability. We have detected and mapped absorption features at some of these wavelengths in both the northern and southern polar regions of Mars. Compositional information on the nature of these absorption features was derived from comparisons with laboratory ice spectra and with a simplified radiative transfer model of a CO 2 ice cloud overlying a bright surface. Our results indicate that both H 2 O and CO 2 ices can be detected and distinguished in the polar hood clouds. The region near 3.00 μm is most useful for the detection of water ice clouds because there is a strong H 2 O ice absorption at this wavelength but only a weak CO 2 ice band. The region near 3.33 μm is most useful for the detection of CO 2 ice clouds because there is a strong, relatively narrow CO 2 ice band at this wavelength but only broad “continuum” H 2 O ice absorption. Weaker features near 2.30 μm could arise from CO 2 ice at coarse grain sizes, or surface/dust minerals. Narrow features near 2.00 μm, which could potentially be very diagnostic of CO 2 ice clouds, suffer from contamination by Mars atmospheric CO 2 absorptions and are difficult to interpret because of the rather poor knowledge of surface elevation at high latitudes. These results indicate that future ground-based, Earth-orbital, and spacecraft studies over a more extended span of the seasonal cycle should yield substantial information on the style and timing of volatile transport on Mars, as well as a more detailed understanding of the role of CO 2 condensation in the polar heat budget.

Journal of Geophysical Research E: Planets↗

Enhancing the interpretation of stated choice analysis through the application of a verbal protocol assessment

A stated choice survey was employed to evaluate the relative importance of resource, social, and management attributes by asking visitors to select preferred configurations of these attributes. A verbal protocol assessment was added to consider how respondents interpret and respond to stated choice questions applied to hikers of a popular trail at Acadia National Park. Results suggest that visitors are sensitive to changes in public access to the trail and its ecological conditions, with level of encounters least important. Verbal protocol results identified considerations made by respondents that provide insight to their evaluations of alternative recreation setting configurations. These insights help clarify issues important to visitors that stated choice results on their own do not provide.

Maine↗

Controls on mineralisation in the Sierra Foothills gold province, central California, USA: A GIS-based reconnaissance prospectivity analysis

The assessment of spatial relationships between the location, abundance and size of orogenic-gold deposits in the highly endowed Sierra Foothills gold province in California, via the combination of field studies and a GIS-based analysis, illustrates the power of such an approach to the characterisation of important parameters of mineral systems, and the prediction of districts likely to host economic mineralisation. Regional- to deposit-scale reconnaissance mapping suggests that deposition of gold-bearing quartz veins occurred in second- and third-order, east-over-west thrusts during regional east - west compression and right-lateral transpression. At the district-scale, significant zones of mineralisation correspond with such transpressional reactivation zones and dilational jogs that developed during the Late Jurassic - Early Cretaceous along the misaligned segments of first-order faults throughout the Sierra Nevada Foothills Metamorphic Belt. Field-based observations and interpretation of GIS data (including solid geology, structural elements, deposit locations, magnetics, gravity) also highlight the importance of structural permeability contrasts, rheological gradients, and variations in fault orientation for localising mineralisation. Although this approach confirms empirical findings and produces promising results at the province scale, enhanced geological, structural, geophysical and geochronological data density is required to generate regionally consistent, high-quality input layers that improve predictive targeting at the goldfield to deposit-scale.

Australian Journal of Earth Sciences↗

Leveraging high-frequency sensor data and U.S. National Water Model output to forecast turbidity in a drinking water supply basin

As high-frequency sensor networks increasingly enhance data-driven models of water quality, process-based models like the U.S. National Water Model (NWM) are generating accessible forecasts of streamflow at increasingly dense scales. There is now an opportunity to combine these products to construct actionable water quality forecasts. To that end, we couple streamflow forecasts from the NWM to a gradient-boosted decision tree algorithm (LightGBM) trained on 5+ years of high-frequency monitoring data to forecast in-stream turbidity levels in the Catskill Mountains, NY, USA. Results indicate LightGBM models are capable of relatively skillful predictions, which enable robust forecasts for 1–3 days lead times. LightGBM models offer improvements over a simplified linear model across the entire forecast horizon, and more spatially complex models are more resilient to error at shorter lead times (1–3 days). Moreover, interpretation of model features emphasizes high flows as a driver of turbidity in the region. Results suggest that interpretable, flexible, and efficient machine learning algorithms can produce capable water quality forecasts from streamflow forecasts and expand understanding of process dynamics. The use case illustrated here—to our knowledge the first NWM-based water quality forecast—underscores the potential to employ the NWM to expand national water quality forecasting capacity and can overall serve as a guide for similar efforts in basins across the country.

New York↗

Estimating age of sea otters with cementum layers in the first premolar

We assessed sources of variation in the use of tooth cementum layers to determine age by comparing counts in premolar tooth sections to known ages of 20 sea otters ( Enhydra lutris ). Three readers examined each sample 3 times, and the 3 readings of each sample were averaged by reader to provide the mean estimated age. The mean (SE) of known age sample was 5.2 years (1.0) and the 3 mean estimated ages were 7.0 (1.0), 5.9 (1.1) and, 4.4 (0.8). The proportion of estimates accurate to within ± 1 year were 0.25, 0.55, and 0.65 and to within ± 2 years 0.65, 0.80, and 0.70, by reader. The proportions of samples estimated with >3 years error were 0.20, 0.10, and 0.05. Errors as large as 7, 6, and 5 years were made among readers. In few instances did all readers uniformly provide either accurate (error <1 yr) or inaccurate (error >1 yr) counts. In most cases (0.85), 1 or 2 of the readers provided accurate counts. Coefficients of determination (R2) between known ages and mean estimated ages were 0.81, 0.87, and 0.87, by reader. The results of this study suggest that cementum layers within sea otter premolar teeth likely are deposited annually and can be used for age estimation. However, criteria used in interpreting layers apparently varied by reader, occasionally resulting in large errors, which were not consistent among readers. While large errors were evident for some individual otters, there were no differences between the known and estimated age-class distribution generated by each reader. Until accuracy can be improved, application of this ageing technique should be limited to sample sizes of at least 6-7 individuals within age classes of ≥ 1 year.

Alaska, California↗

Declining scaup populations: A retrospective analysis of long-term population and harvest survey data

We examined long-term databases concerning population status of scaup (lesser [ Aythya affinis ] and greater scaup [ A. marila ] combined) and harvest statistics of lesser scaup to identify factors potentially limiting population growth. Specifically, we explored evidence for and against the general hypotheses that scaup populations have declined in association with declining recruitment and/or female survival. We examined geographic heterogeneity in scaup demographic patterns that could yield evidence about potential limiting factors. Several biases exist in survey methodology used to estimate scaup populations and harvest statistics; however, none of these biases likely accounted for our major findings that (1) the continental scaup breeding population has declined over the last 20 years, with widespread and consistent declines within surveyed areas of the Canadian western boreal forest where most lesser scaup breed; (2) sex ratios of lesser scaup in the U.S. harvest have increased (more males now relative to females); and (3) age ratios of lesser scaup in the U.S. harvest have declined (fewer immatures now relative to adults), especially in the midcontinent region. We interpreted these major findings as evidence that (1) recruitment of lesser scaup has declined over the last 20 years, particularly in the Canadian western boreal forest; and (2) survival of female lesser scaup has declined relative to that of males. We found little evidence that harvest was associated with the scaup population decline. Our findings underscore the need for both improvements and changes to population survey procedures and new research to discriminate among various hypotheses explaining the recent scaup population decline.

North America↗

Trace-element record in zircons during exhumation from UHP conditions, North-East Greenland Caledonides

Coesite-bearing zircon formed at ultrahigh-pressure (UHP) conditions share general characteristics of eclogite-facies zircon with trace-element signatures characterized by depleted heavy rare earth elements (HREE), lack of an Eu anomaly, and low Th/ U ratios. Trace-element signatures of zircons from the Caledonian UHP terrane in North-East Greenland were used to examine the possible changes in signature with age during exhumation. Collection and interpretation of age and trace-element analyses of zircon from three samples of quartzofeldspathic gneiss and two leucocratic intrusions were guided by core vs. rim zoning patterns as imaged by cathodoluminesence. Change from igneous to eclogite-facies metamorphic trace-element signature in protolith zircon is characterized by gradual depletion of HREE, whereas newly formed metamorphic rims have flat HREE patterns and REE concentrations that are distinct from the recrystallized inherited cores. The signature associated with eclogite-facies metamorphic zircon is observed in coesite-bearing zircon formed at 358 ?? 4 Ma, metamorphic rims formed at 348 ?? 5 Ma during the initial stages of exhumation, and metamorphic rims formed at 337 ?? 5 Ma. Zircons from a garnet-bearing granite emplaced in the neck of an eclogite boudin and a leucocratic dike that cross-cuts amphibolite-facies structural fabrics have steeply sloping HREE patterns, variably developed negative Eu anomalies, and low Th/U ratios. The granite records initial decompression melting and exhumation at 347 ?? 2 Ma and later zircon rim growth at 329 ?? 5. The leucocratic dike was likely emplaced at amphibolite-facies conditions at 330 ?? 2 Ma, but records additional growth of compositionally similar zircon at 321 ??2 Ma. The difference between the trace-element signature of metamorphic zircon in the gneisses and in part coeval leucocratic intrusions indicates that the zircon signature varies as a function of lithology and context, thus enhancing its ability to aid in the interpretation of U-Pb data and track the exhumation history of UHP terranes. The differences may reflect variation in elemental availability through breakdown reactions in quartzofeldpathic gneiss vs. availability during melt production and/or crystallization. UHP rocks in North-East Greenland began exhumation by 347 ?? 2 Ma, were still at HP eclogite-facies conditions at 337 ?? 5 Ma and were at amphibolite-facies conditions by 330 ?? 2 Ma. ?? 2009 E. Schweizerbart'sche Verlagsbuchhandlung.

European Journal of Mineralogy↗

Petrology of the Paloma Valley ring complex, southern California batholith

The Paloma Valley ring complex is one of the numerous plutons that make up the Cretaceous southern California batholith. The complex is composite, consisting of (1) an older, single ring dike and two subsidiary short-arced inner dikes, and (2) a younger set of thin short-arced dikes largely inside the older ring dike. The older ring dike, composed of granodiorite-quartz monzonite, has nearly vertical walls and is elliptical in plan; its long axis (14 km) is oriented west-northwest. It was emplaced in and contains numerous fragments of gabbro. The more than 200 short-arced granitic pegmatite dikes, mainly ranging from 0.2 to 1 m in thickness, define a domal ring dike set with moderately to steeply dipping outer dikes and nearly horizontal inner dikes. The younger dikes cut both the older ring dike and the gabbro. Spatially associated with the younger dikes are bodies of fine-grained granophyre that contain stringers of granitic pegmatite. The granophyre has an Mg content similar to that of the younger ring-dike rock, but contains less K and more Fe. The older ring dike is interpreted to have been magmatically emplaced in an elliptical zone of ring fracturing in gabbro; the magma made room by stoping the denser gabbro with little assimilation. Upon a release of pressure, a set of domal fractures formed, along which volatile-rich magma was emplaced, forming the younger ring dikes. Granophyre resulted from pressure-quenching through a loss of volatiles. Residual volatiles, or volatiles that were introduced later, recrystallized parts of the granophyre and caused the formation of pegmatite stringers.

California↗

Large-scale variation in lakebed properties interpreted from single-beam sonar in two Laurentian Great Lakes

Acoustic seabed classification (ASC) is an important method for understanding landscape-level physical and biological patterns in the aquatic environment. Bottom habitats in the Laurentian Great Lakes are poorly mapped to date, and will require a variety of contributors and data sources to complete. We repurposed a long-term split-beam echosounder dataset gathered for purposes of fisheries assessment to estimate lakebed properties utilizing unsupervised classification of echo return data. We interpreted first echo properties representing lakebed hardness and roughness to define and map three statistically supported lakebed classes revealed through cluster analysis. Our results indicate coherent and logical class boundaries and suggest that the dataset has promise for expanded use in ASC. To improve inferences using repeated measures, future work should focus on collecting ground truth information for areas previously surveyed and on collecting concurrent ground truth information when sampling acoustic data moving forward.

Michigan, Ontario, Wisconsin↗

Acoustic measurements of the 1999 basaltic eruption of Shishaldin volcano, Alaska 2. Precursor to the Subplinian phase

The 1999 eruption of Shishaldin volcano (Alaska, USA) displayed both Strombolian and Subplinian basaltic activity. The Subplinian phase was preceded by a signal of low amplitude and constant frequency (??? 2 Hz) lasting 13 h. This "humming signal" is interpreted as the coalescence of the very shallow part of a foam building up in the conduit, which produces large gas bubbles before bursting. The acoustic waveform of the hum event is modelled by a Helmholtz resonator: gas is trapped into a rigid cavity and can only escape through a tiny upper hole producing sound waves. At Shishaldin, the radius of the hole (??? 5 m) is close to that of the conduit (??? 6 m), the cavity has a length of ??? 60 m, and gas presents only a small overpressure between (??? 1.2 ?? 10-3 and 4.5 ?? 10-3 MPa). Such an overpressure is obtained by the partial coalescence of a foam formed by bubbles with a diameter from ??? 2.3 mm at the beginning of the episode towards ??? 0.64 mm very close to the end of the phase. The intermittency between hum events is explained by the ripening of the foam induced by the H2O diffusion through the liquid films. The two extreme values, from 600 to 10 s, correspond to a bubble diameter from 2.2 to 0.3 mm at the beginning and end of the pre-Subplinian phase, respectively. The extremely good agreement between two independent estimates of bubble diameters in the shallow foam reinforces the validity of such an interpretation. The total gas volume lost at the surface during the humming events is at most 5.9 ?? 106 m3. At the very end of the pre-Subplinian phase, there is a single large bubble with an overpressure of ???0.42 MPa. The large overpressure suggests that it comes from significant depth, unlike other bubbles in the pre-Subplinian phase. This deep bubble may be responsible for the entire foam collapse, resulting in the Subplinian phase. ?? 2004 Elsevier B.V. All rights reserved.

Journal of Volcanology and Geothermal Research↗

SHRIMP U–Pb and REE data pertaining to the origins of xenotime in Belt Supergroup rocks: evidence for ages of deposition, hydrothermal alteration, and metamorphism

The Belt–Purcell Supergroup, northern Idaho, western Montana, and southern British Columbia, is a thick succession of Mesoproterozoic sedimentary rocks with an age range of about 1470–1400 Ma. Stratigraphic layers within several sedimentary units were sampled to apply the new technique of U–Pb dating of xenotime that sometimes forms as rims on detrital zircon during burial diagenesis; xenotime also can form epitaxial overgrowths on zircon during hydrothermal and metamorphic events. Belt Supergroup units sampled are the Prichard and Revett Formations in the lower Belt, and the McNamara and Garnet Range Formations and Pilcher Quartzite in the upper Belt. Additionally, all samples that yielded xenotime were also processed for detrital zircon to provide maximum age constraints for the time of deposition and information about provenances; the sample of Prichard Formation yielded monazite that was also analyzed. Ten xenotime overgrowths from the Prichard Formation yielded a U–Pb age of 1458 ± 4 Ma. However, because scanning electron microscope – backscattered electrons (SEM–BSE) imagery suggests complications due to possible analysis of multiple age zones, we prefer a slightly older age of 1462 ± 6 Ma derived from the three oldest samples, within error of a previous U–Pb zircon age on the syn-sedimentary Plains sill. We interpret the Prichard xenotime as diagenetic in origin. Monazite from the Prichard Formation, originally thought to be detrital, yielded Cretaceous metamorphic ages. Xenotime from the McNamara and Garnet Range Formations and Pilcher Quartzite formed at about 1160– 1050 Ma, several hundred million years after deposition, and probably also experienced Early Cretaceous growth. These xenotime overgrowths are interpreted as metamorphic–diagenetic in origin (i.e., derived during greenschist facies metamorphism elsewhere in the basin, but deposited in sub-greenschist facies rocks). Several xenotime grains are older detrital grains of igneous derivation. A previous study on the Revett Formation at the Spar Lake Ag–Cu deposit provides data for xenotime overgrowths in several ore zones formed by hydrothermal processes; herein, those results are compared with data from newly analyzed diagenetic, metamorphic, and magmatic xenotime overgrowths. The origin of a xenotime overgrowth is reflected in its rareearth element (REE) pattern. Detrital (i.e., igneous) xenotime has a large negative Eu anomaly and is heavy rare-earth element (HREE)-enriched (similar to REE in igneous zircon). Diagenetic xenotime has a small negative Eu anomaly and flat HREE (Tb to Lu). Hydrothermal xenotime is depleted in light rare-earth element (LREE), has a small negative Eu anomaly, and decreasing HREE. Metamorphic xenotime is very LREE-depleted, has a very small negative Eu anomaly, and is strongly depleted in HREE (from Gd to Lu). Because these characteristics seem to be process related, they may be useful for interpretation of xenotime of unknown origin. The occurrence of 1.16–1.05 Ga metamorphic xenotime, in the apparent absence of pervasive deformation structures, suggests that the heating may be related to poorly understood regional heating due to broad regional underplating of mafic magma. These results may be additional evidence (together with published ages from metamorphic titanite, zircon, monazite, and garnet) for an enigmatic, Grenville-age metamorphic event that is more widely recognized in the southwestern and eastern United States

Alberta, British Columbia, Idaho, Montana, Oregon,↗

A statistical analysis of the global historical volcanic fatalities record

A new database of volcanic fatalities is presented and analysed, covering the period 1600 to 2010 AD. Data are from four sources: the Smithsonian Institution, Witham (2005), CRED EM-DAT and Munich RE. The data were combined and formatted, with a weighted average fatality figure used where more than one source reports an event; the former two databases were weighted twice as strongly as the latter two. More fatal incidents are contained within our database than similar previous works; approximately 46% of the fatal incidents are listed in only one of the four sources, and fewer than 10% are in all four. 278,880 fatalities are recorded in the database, resultant from 533 fatal incidents. The fatality count is dominated by a handful of disasters, though the majority of fatal incidents have caused fewer than ten fatalities. Number and empirical probability of fatalities are broadly correlated with VEI, but are more strongly influenced by population density around volcanoes and the occurrence and extent of lahars (mudflows) and pyroclastic density currents, which have caused 50% of fatalities. Indonesia, the Philippines, and the West Indies dominate the spatial distribution of fatalities, and there is some negative correlation between regional development and number of fatalities. With the largest disasters removed, over 90% of fatalities occurred between 5 km and 30 km from volcanoes, though the most devastating eruptions impacted far beyond these distances. A new measure, the Volcano Fatality Index, is defined to explore temporal changes in societal vulnerability to volcanic hazards. The measure incorporates population growth and recording improvements with the fatality data, and shows prima facie evidence that vulnerability to volcanic hazards has fallen during the last two centuries. Results and interpretations are limited in scope by the underlying fatalities data, which are affected by under-recording, uncertainty, and bias. Attempts have been made to estimate the extent of these issues, and to remove their effects where possible. The data analysed here are provided as supplementary material. An updated version of the Smithsonian fatality database fully integrated with this database will be publicly available in the near future and subsequently incorporate new data.

Journal of Applied Volcanology↗

Data synthesis for environmental management: A case study of Chesapeake Bay

Synthesizing large, complex data sets to inform resource managers towards effective environmental stewardship is a universal challenge. In Chesapeake Bay, a well-studied and intensively monitored estuary in North America, the challenge of synthesizing data on water quality and land use as factors related to a key habitat, submerged aquatic vegetation, was tackled by a team of scientists and resource managers operating at multiple levels of governance (state, federal). The synthesis effort took place over a two-year period (2016–2018), and the results were communicated widely to a) scientists via peer review publications and conference presentations; b) resource managers via web materials and workshop presentations; and c) the public through newspaper articles, radio interviews, and podcasts. The synthesis effort was initiated by resource managers at the United States Environmental Protection Agencys’ Chesapeake Bay Program and 16 scientist participants were recruited from a diversity of organizations. Multiple short, immersive workshops were conducted regularly to conceptualize the problem, followed by data analysis and interpretation that supported the preparation of the synthetic products that were communicated widely. Reflections on the process indicate that there are a variety of structural and functional requirements, as well as enabling conditions, that need to be considered to achieve successful outcomes from synthesis efforts.

Chesapeake Bay↗

Research needs to better understand Lake Ontario ecosystem function: A workshop summary

Lake Ontario investigators discussed and interpreted published and unpublished information during two workshops to assess our current understanding of Lake Ontario ecosystem function and to identify research needs to guide future research and monitoring activities. The purpose of this commentary is to summarize key investigative themes and hypotheses that emerged from the workshops. The outcomes of the workshop discussions are organized under four themes: spatial linkages and interactions, drivers of primary production, trophic transfer, and human interactions.

Journal of Great Lakes Research↗

Mean squared error, deconstructed

As science becomes increasingly cross-disciplinary and scientific models become increasingly cross-coupled, standardized practices of model evaluation are more important than ever. For normally distributed data, mean squared error (MSE) is ideal as an objective measure of model performance, but it gives little insight into what aspects of model performance are “good” or “bad.” This apparent weakness has led to a myriad of specialized error metrics, which are sometimes aggregated to form a composite score. Such scores are inherently subjective, however, and while their components may be interpretable, the composite itself is not. We contend that, a better approach to model benchmarking and interpretation is to decompose MSE into interpretable components. To demonstrate the versatility of this approach, we outline some fundamental types of decomposition and apply them to predictions at 1,021 streamgages across the conterminous United States from three streamflow models. Through this demonstration, we hope to show that each component in a decomposition represents a distinct concept, like “season” or “variability,” and that simple decompositions can be combined to represent more complex concepts, like “seasonal variability,” creating an expressive language through which to interrogate models and data.

Journal of Advances in Earth Systems Modeling↗

Seismic reflection/refraction mapping of faulting and regional dips in the eastern Alaska Range

We present the results of a Trans‐Alaska Crustal Transect (TACT) investigation of the upper 2–5 km of the eastern Alaska Range in the vicinity of the Denali fault based on seismic reflection/refraction data, laboratory measurements of rock velocities, and structural mapping. The Denali fault is a major dextral slip structure mappable for more than 2000 km separating the Wrangellia and adjacent terranes to the south from the Yukon‐Tanana and adjacent terranes to the north. Geologic mapping suggests over 400 km of dextral slip has occurred on the fault, yet within the upper 1.5 km of the crust along the TACT corridor, basement rocks juxtaposed along the Denali fault reveal no significant seismic velocity differences, although the fault zone itself is associated with a minor lowering of velocity. The lack of seismic velocity contrast adjacent to the fault is in agreement with laboratory measurements of elastic wave velocities of samples from terranes bordering the fault. Laboratory measurements of elastic wave velocities of the metasedimentary mica‐quartz schists comprising the Yukon‐Tanana basement are highly anisotropic because of preferred orientation of mica and predict significant variations in velocity accompanying variations in foliation dip. Although other interpretations are possible, the northward shallowing of foliation dip of basement rocks in the Yukon‐Tanana terrane combined with the strong anisotropy associated with these highly foliated rocks can explain an observed northward increase in seismic velocity within this terrane. Seismic reflections from basement rocks within the Yukon‐Tanana terrane may originate from variations in anisotropy with depth and/or changes in composition reflecting different proportions of sandstone and shale in the protolith.

Alaska↗

Inelastic models of lithospheric stress - II. Implications for outer-rise seismicity and dynamics

Outer-rise seismicity and dynamics are examined using inelastic models of lithospheric deformation, which allow a more realistic characterization of stress distributions and failure behaviour. We conclude that thrust- and normal-faulting outer-rise earthquakes represent substantially different states of stress within the oceanic lithosphere. Specifically, the normal-faulting events occur in response to downward plate bending, which establishes the ‘standard’, bending-dominated state of outer-rise stress, and the thrust-faulting events occur in response to an elevated level of in-plane compression, which develops only in response to exceptional circumstances. This interpretation accounts for the observation that normal-faulting outer-rise earthquakes occur more frequently and are more widely distributed than their thrust-faulting counterparts, an observation for which the simple bending model offers no explanation. In addition, attributing both thrust- and normal-faulting outer-rise earthquakes to plate bending implies that both classes of events should occur within relatively close lateral proximity to one another because both are allegedly a manifestation of the same bendingdominated stress distribution, whereas, in reality, this is not observed. We propose that the tendency for thrust-faulting outer-rise earthquakes to exhibit greater source depths than their normal-faulting counterparts (an observation that is frequently cited in support of the bending interpretation of the former) is merely a consequence of the fact that bending-induced tension is confined to the upper lithosphere. Our model predicts that outer-rise in-plane-force variations may promote thrust-faulting outerrise activity prior to an underthrusting interplate subduction earthquake and normalfaulting outer-rise activity following such an earthquake, but that both forms of outerrise activity are unlikely to be associated with the same subduction earthquake. A corollary implication of our model is t...

Geophysical Journal International↗

What you should know about land-cover data

Wildlife biologists are using land-characteristics data sets for a variety of applications. Many kinds of landscape variables have been characterized and the resultant data sets or maps are readily accessible. Often, too little consideration is given to the accuracy or traits of these data sets, most likely because biologists do not know how such data are compiled and rendered, or the potential pitfalls that can be encountered when applying these data. To increase understanding of the nature of land-characteristics data sets, I introduce aspects of source information and data-handling methodology that include the following: ambiguity of land characteristics; temporal considerations and the dynamic nature of the landscape; type of source data versus landscape features of interest; data resolution, scale, and geographic extent; data entry and positional problems; rare landscape features; and interpreter variation. I also include guidance for determining the quality of land-characteristics data sets through metadata or published documentation, visual clues, and independent information. The quality or suitability of the data sets for wildlife applications may be improved with thematic or spatial generalization, avoidance of transitional areas on maps, and merging of multiple data sources. Knowledge of the underlying challenges in compiling such data sets will help wildlife biologists to better assess the strengths and limitations and determine how best to use these data.

Journal of Wildlife Management↗