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At least 559 records · Page 31Linked to original sources

Coupling large-spatial scale larval dispersal modelling with barcoding to refine the amphi-Atlantic connectivity hypothesis in deep-sea seep mussels

In highly fragmented and relatively stable cold-seep ecosystems, species are expected to exhibit high migration rates and long-distance dispersal of long-lived pelagic larvae to maintain genetic integrity over their range. Accordingly, several species inhabiting cold seeps are widely distributed across the whole Atlantic Ocean, with low genetic divergence between metapopulations on both sides of the Atlantic Equatorial Belt (AEB, i.e. Barbados and African/European margins). Two hypotheses may explain such patterns: (i) the occurrence of present-day gene flow or (ii) incomplete lineage sorting due to large population sizes and low mutation rates. Here, we evaluated the first hypothesis using the cold seep mussels Gigantidas childressi, G. mauritanicus, Bathymodiolus heckerae and B. boomerang . We combined COI barcoding of 763 individuals with VIKING20X larval dispersal modelling at a large spatial scale not previously investigated. Population genetics supported the parallel evolution of Gigantidas and Bathymodiolus genera in the Atlantic Ocean and the occurrence of a 1-3 Million-year-old vicariance effect that isolated populations across the Caribbean Sea. Both population genetics and larval dispersal modelling suggested that contemporary gene flow and larval exchanges are possible across the AEB and the Caribbean Sea, although probably rare. When occurring, larval flow was eastward (AEB - only for B. boomerang ) or northward (Caribbean Sea - only for G. mauritanicus ). Caution is nevertheless required since we focused on only one mitochondrial gene, which may underestimate gene flow if a genetic barrier exists. Non-negligible genetic differentiation occurred between Barbados and African populations, so we could not discount the incomplete lineage sorting hypothesis. Larval dispersal modelling simulations supported the genetic findings along the American coast with high amounts of larval flow between the Gulf of Mexico (GoM) and the US Atlantic Margin, although the Blake Ridge population of B. heckerae appeared genetically differentiated. Overall, our results suggest that additional studies using nuclear genetic markers and population genomics approaches are needed to clarify the evolutionary history of the Atlantic bathymodioline mussels and to distinguish between ongoing and past processes.

Frontiers in Marine Science

Mercury in Pacific bluefin tuna (Thunnus orientalis):bioaccumulation and trans-Pacific Ocean migration

Pacific bluefin tuna (Thunnus orientalis) have the largest home range of any tuna species and are well known for the capacity to make transoceanic migrations. We report the measurement of mercury (Hg) concentrations in wild Pacific bluefin tuna (PBFT), the first reported with known size-of-fish and capture location. The results indicate juvenile PBFT that are recently arrived in the California Current from the western Pacific Ocean have significantly higher Hg concentrations in white muscle (0.51 ug/g wet mass, wm) than PBFT of longer California Current residency (0.41 ug/g wm). These new arrivals are also higher in Hg concentration than PBFT in farm pens (0.43 ug/g wm) that were captured on arrival in the California Current and raised in pens on locally derived feed. Analysis by direct Hg analyzer and attention to Hg by tissue type and location on the fish allowed precise comparisons of mercury among wild and captive fish populations. Analysis of migration and nearshore residency, determined through extensive archival tagging, bioaccumulation models, trophic investigations, and potential coastal sources of methylmercury, indicates Hg bioaccumulation is likely greater for PBFT juvenile habitats in the western Pacific Ocean (East China Sea, Yellow Sea) than in the eastern Pacific Ocean (California Current). Differential bioaccumulation may be a trophic effect or reflect methylmercury availability, with potential sources for coastal China (large hypoxic continental shelf receiving discharge of three large rivers, and island-arc volcanism) different from those for coastal Baja California (small continental shelf, no large rivers, spreading-center volcanism).

Canadian Journal of Fisheries and Aquatic Sciences

Digital-simulation model of the Wenonah-Mount Laurel Aquifer in the coastal plain of New Jersey

A digital computer-simulation model of the Wenonah-Mount Laurel aquifer is used to evaluate the aquifer's capabilities of meeting the projected future demands and to study the cause of the rapidly declining water levels. The modelled area includes 1,500 square miles (3,885 square kilometres) of the New Jersey Coastal Plain and includes all the important centers of pumping in Monmouth, Burlington, and Ocean Counties from the Wenonah-Mount Laurel aquifer. The Wenonah Formation and Mount Laurel Sand of Late Cretaceous age are exposed in the western part of the New Jersey Coastal Plain along a belt trending northeast-southwest from Raritan Bay to Delaware Bay. The formations typically consist of poorly sorted silty to fine quartz sand, the Wenonah Formation, and a coarse clastic quartz sand unit, the Mount Laurel Sand. The Wenonah-Mount Laurel aquifer is composed of the sandy part of the geologic units. Transmissivity of the aquifer ranges from 360 square feet per day (33.4 square metres per day) to 1,430 square feet per day (132.8 square metres per day); the estimated hydraulic conductivity ranges from about 1.5 x 10 -4 feet per second (4.6 x 10 -5 metres per second) to 2.2 x 10 -4 feet per second (6.7 x 10 -5 metres per second); and the storage coefficient varies from about 1.5 x 10 -5 to 3.5 x 10 -4 . The annual average rate of withdrawal from the Wenonah-Mount Laurel aquifer in Monmouth, Burlington, and Ocean Counties increased from about 1 million gallons per day (44 cubic decimetres per second) in 1959 to slightly more than 2 million gallons per day (88 cubic decimetres per second) in 1970. Near the pumping centers in Monmouth County, the water level declined as much as 100 feet (30.5 metres) between 1959 and 1970. In the subjacent Englishtown aquifer underlying the lower confining unit (Marshalltown Formation), the annual average rate of withdrawal in all of Monmouth and Ocean Counties increased from 5.5 million gallons per day (241 cubic decimetres per second) in 1959 to 9.5 million gallons per day (416 cubic decimetres per second) in 1970. Water-level declines for the same period are as much as 140 feet (42.7 metres) near centers of pumping. The digital-simulation model was calibrated by matching computed declines in the Wenonah-Mount Laurel aquifer with historic water-level declines over the 12-year period, 1959-70. The results of the modelling show that recharge to the aquifer occurs as leakage from the upper confining unit owing to withdrawals from the aquifer. Of equal significance is the effect of water-level declines in the Englishtown aquifer, which generate leakage from the Wenonah-Mount Laurel aquifer through the lower confining unit, which in turn generates leakage (recharge) to the aquifer from the upper confining unit. The rapid declines of water levels in the Wenonah-Mount Laurel aquifer in the northern part of the New Jersey Coastal Plain, hence, are caused directly by the withdrawals from the Wenonah-Mount Laurel aquifer and indirectly by withdrawals from the underlying Englishtown aquifer.

New Jersey

Lake oxygen isotopes as recorders of North American Rocky Mountain hydroclimate: Holocene patterns and variability at multi-decadal to millennial time scales

Lake sediment oxygen isotope records (calcium carbonate-δ 18 O) in the western North American Cordillera developed during the past decade provide substantial evidence of Pacific ocean–atmosphere forcing of hydroclimatic variability during the Holocene. Here we present an overview of 18 lake sediment δ 18 O records along with a new compilation of lake water δ 18 O and δ 2 H that are used to characterize lake sediment sensitivity to precipitation-δ 18 O in contrast to fractionation by evaporation. Of the 18 records, 14 have substantial sensitivity to evaporation. Two records reflect precipitation-δ 18 O since the middle Holocene, Jellybean and Bison Lakes, and are geographically positioned in the northern and southern regions of the study area. Their comparative analysis indicates a sequence of time-varying north–south precipitation-δ 18 O patterns that is evidence for a highly non-stationary influence by Pacific ocean–atmosphere processes on the hydroclimate of western North America. These observations are discussed within the context of previous research on North Pacific precipitation-δ 18 O based on empirical and modeling methods. The Jellybean and Bison Lake records indicate that a prominent precipitation-δ 18 O dipole (enriched-north and depleted-south) was sustained between ~ 3.5 and 1.5 ka, which contrasts with earlier Holocene patterns, and appears to indicate the onset of a dominant tropical control on North Pacific ocean–atmosphere dynamics. This remains the state of the system today. Higher frequency reversals of the north–south precipitation-δ 18 O dipole between ~ 2.5 and 1.5 ka, and during the Medieval Climate Anomaly and the Little Ice Age, also suggest more varieties of Pacific ocean–atmosphere modes than a single Pacific Decadal Oscillation (PDO) type analogue. Results indicate that further investigation of precipitation-δ 18 O patterns on short (observational) and long (Holocene) time scales is needed to improve our understanding of the processes that drive regional precipitation-δ 18 O responses to Pacific ocean–atmosphere variability, which in turn, will lead to a better understanding of internal Pacific ocean–atmosphere variability and its response to external climate forcing mechanisms.

North American Rocky Mountain

Sharpness of upper-mantle discontinuities determined from high-frequency reflections

An understanding of the nature of seismic discontinuities in the Earth's upper mantle is important for understanding mantle processes: in particular, the amplitude and sharpness of these discontinuities are critical for assessing models of upper-mantle phase changes and chemical layering. So far, seismic studies aimed at determining the thickness and lateral variability of upper-mantle discontinuities have yielded equivocal results, particularly for the discontinuity at 410km depth 1,2 . Here we present short-period (0.8–2.0 s) recordings of upper-mantle precursors to the seismic phase P′P′ (PKPPKP) from two South American earthquakes recorded by the ∼ 700-station short-period array in California. Our results show that the 410- and 660-km discontinuities beneath the Indian Ocean are locally simple and sharp, corresponding to transi-tion zones of 4 km or less. These observations pose problems for mineral physics models 3–5 , which predict a transitional thickness greater than 6 km for the peridotite to β -spinel phase transition. In contrast to the results of long-period studies 6,7 , we observe no short-period arrivals from near 520 km depth.

Nature

Intermediate‐depth intraslab earthquakes and arc volcanism as physical expressions of crustal and uppermost mantle metamorphism in subducting slabs

We elaborate on the well-known spatial association between axc volcanoes and Wadati Benioff zones and explore in detail their genetic relationships as dual physical expressions of slab metamorphism of the oceanic crust and uppermost mantle. At hypocentral depths less than 200 km intra slab Wadati-Benioff earthquakes tend to occur near the top surfaces of slabs. Subduction of very young lithosphere (age < 15-25 Ma) with high heat flow (> 75 mW/m 2) produces mainly shallow earthquakes and spaxse or absent arc volcanism. Subduction of older crust with normal heat flow (50-65 mW/m 2) produces markedly deeper intraslab earthquakes and generally normal volcanic vigor. Seismological observations show that the low-seismic-velocity gabbroic mineralogy of the crust may persist to depths of as much as 150 km in old, cold lithosphere but only to depths of 50-60 km in young, warm slabs. Metamorphic processes in the crust and shallow upper mantle of subducting slabs and the reactivation of faults originally created at shallow depths in the ocean basins probably control the occurrence of intraslab earthquakes to depths of as much as 350 kin. A conceptual model for this metamorphism incorporates the likely effects of water liberated by dehydration. Such dehydration facilitates both brittle faulting by fault reactivation and promotes the kinetics of the transformation of the anhydrous gabbro component of the crust to eclogite. Finite-element modelling shows that densification to eclogite is expected to produce extensional stresses in transformed crust and a smaller compression in the underlying mantle. This model helps explain why most intermediate-depth intraslab earthquakes occur just below the top surfaces of slabs and why many have focal mechanisms indicating down-dip extension. Young, warm slabs have mostly shallow intraslab earthquakes and sparse axc volcanoes because dehydration and eclogite formation largely cease before such slabs axe in contact with asthenosphere. These processes are evidently delayed by kinetic hindrance and the high pressure stability of hydrous phazes at low temperatures in older, colder subducting crust, and thus earthquake activity and asthenospheric-wedge melting tend to be focused at depths of 100-170 kin. Anomalous behavior correlated with the subduction of island-and seamount chains appears to be associated with anomalou shallow intraplate faulting and with perturbations of slab metamorphism by these chains.

Geophysical Monograph

The rock coast of the USA

The coastline of the USA is vast and comprises a variety of landform types including barrier islands, mainland beaches, soft bluffed coastlines and hard rocky coasts. The majority of the bluffed and rocky coasts are found in the northeastern part of the country (New England) and along the Pacific coast. Rocky and bluffed landform types are commonly interspersed along the coastline and occur as a result of relative lowering of sea level from tectonic or isostatic forcing, which can occur on timescales ranging from instantaneous to millenia. Recent research on sea cliffs in the contiguous USA has focused on a broad range of topics from documenting erosion rates to identifying processes and controls on morphology to prediction modelling. This chapter provides a detailed synthesis of recent and seminal research on rocky coast geomorphology along open-ocean coasts of the continental United States (USA).

Book chapter

The origin of neap-spring tidal cycles

The origin of oceanic tides is a basic concept taught in most introductory college-level sedimentology/geology, oceanography, and astronomy courses. Tides are typically explained in the context of the equilibrium tidal theory model. Yet this model does not take into account real tides in many parts of the world. Not only does the equilibrium tidal model fail to explicate amphidromic circulation, it also does not explain diurnal tides in low latitude positions. It likewise fails to explain the existence of tide-dominated areas where neap-spring cycles are synchronized with the 27.32-day orbital cycle of the Moon (tropical month), rather than with the more familiar 29.52-day cycle of lunar phases (synodic month). Both types of neap-spring cycles can be recognized in the rock record. A complete explanation of the origin of tides should include a discussion of dynamic tidal theory. In the dynamic tidal model, tides resulting from the motions of the Moon in its orbit around the Earth and the Earth in its orbit around the Sun are modeled as products of the combined effects of a series of phantom satellites. The movement of each of these satellites, relative to the Earth's equator, creates its own tidal wave that moves around an amphidromic point. Each of these waves is referred to as a tidal constituent. The geometries of the ocean basins determine which of these constituents are amplified. Thus, the tide-raising potential for any locality on Earth can be conceptualized as the result of a series of tidal constituents specific to that region. A better understanding of tidal cycles opens up remarkable opportunities for research on tidal deposits with implications for, among other things, a more complete understanding of the tidal dynamics responsible for sediment transport and deposition, changes in Earth-Moon distance through time, and the possible influences tidal cycles may exert on organisms. ?? 2006 Elsevier B.V. All rights reserved.

Marine Geology

Scalable, data-assimilated models predict large-scale shoreline response to waves and sea-level rise

Coastal change is a complex combination of multi-scale processes (e.g., wave-driven cross-shore and longshore transport; dune, bluff, and cliff erosion; overwash; fluvial and inlet sediment supply; and sea-level-driven recession). Historical sea-level-driven coastal recession on open ocean coasts is often outpaced by wave-driven change. However, future sea-level-driven coastal recession is expected to increase significantly in tandem with accelerating rates of global sea-level rise. Few models of coastal sediment transport can resolve the multitude of coastal-change processes at a given beach, and fewer still are computationally efficient enough to achieve large-scale, long-term simulations, while accounting for historical behavior and uncertainties in future climate. Here, we show that a scalable, data-assimilated shoreline-change model can achieve realistic simulations of long-term coastal change and uncertainty across large coastal regions. As part of the modeling case study of the U.S. South Atlantic Coast (Miami, Florida to Delaware Bay) presented here, we apply historical, satellite-derived observations of shoreline position combined with daily hindcasted and projected wave and sea-level conditions to estimate long-term coastal change by 2100. We find that 63 to 94% of the shorelines on the U.S. South Atlantic Coast are projected to retreat past the present-day extent of sandy beach under 1.0 to 2.0 m of sea-level rise, respectively, without large-scale interventions.

North Carolina

Numerical simulation of the effects of groundwater withdrawal and injection of high-salinity water on salinity and groundwater discharge, Kaloko-Honokōhau National Historical Park, Hawaiʻi

Kaloko-Honokōhau National Historical Park (KAHO) is located on the west coast of the island of Hawaiʻi and contains water resources exposed in fishponds, anchialine pools, and marine waters that are cultural resources and that provide habitat for threatened, endangered, and other culturally important native species. KAHO’s water resources are sustained by and dependent on groundwater discharge. In 1978, the year of KAHO authorization, the lands immediately surrounding KAHO were undeveloped and zoned for conservation purposes; at present, most surrounding lands are either developed or zoned for industrial, commercial, or residential use. Urbanization of the North Kona District has increased the need for additional drinking and nonpotable (irrigation) water. Because KAHO’s water resources may be affected by existing and proposed groundwater withdrawals and injections of high-salinity water in the surrounding area, the U.S. Geological Survey, in cooperation with the National Park Service, undertook this study to refine the understanding of how groundwater withdrawals and injection of high-salinity water may affect KAHO’s water resources. Changes in KAHO water resources, in terms of changes in salinity and groundwater discharge, were modeled for selected scenarios of groundwater withdrawal and high-salinity water injection in the aquifer. The numerical model was developed using the model code SUTRA, which accounts for density-dependent flow and salinity transport, and included the coastal-confined groundwater system beneath the coastal freshwater-lens system. Model results indicate that withdrawal of additional groundwater from the coastal freshwater-lens system will affect the salinity of KAHO’s anchialine pools, which provide habitat for the endangered orangeblack Hawaiian damselfly ( Megalagrion xanthomelas ). The magnitude of the effect is dependent on the amount and location of the withdrawal. Greater withdrawal rates cause greater increases in salinity in KAHO, other factors being equal. For a given withdrawal rate, the greatest increase in salinity in KAHO is associated with wells withdrawing groundwater in an area inland of KAHO and the least increase in salinity is associated with wells near the coast. Model results also indicate that withdrawal of additional groundwater from the coastal freshwater-lens system will affect the groundwater discharge, in terms of the freshwater component (water with zero salinity) of the discharge, through KAHO. Greater withdrawal rates cause greater reductions in freshwater discharge through KAHO. For a given withdrawal rate, the greatest reduction in freshwater discharge through KAHO is associated with wells near the north boundary of KAHO and the least reduction is associated with wells near the coast to the north and south of KAHO. Injection of high-salinity water that is denser than ocean water can affect the salinity of damselfly habitat in KAHO, with the magnitude of the effect dependent on the location of the injection. Model results indicate that salinity may either increase or decrease in the anchialine pools that provide damselfly habitat in KAHO, depending on the site of injection. Injection inland of KAHO and at sites immediately north and south of KAHO causes a simulated decrease in salinity at the damselfly habitat, whereas injection farther north and south of KAHO causes an increase in salinity. Injection of high-salinity water also causes a reduction in freshwater discharge through KAHO, with the greatest reduction associated with distant injection wells to the north and south of KAHO and the least reduction associated with wells located near and immediately inland from KAHO. The numerical groundwater models developed for this study have a number of limitations. Lack of understanding of the subsurface geology constrains the ability to accurately model the groundwater-flow system. The models developed for this study are nonunique, cannot account for local-scale heterogeneities in the aquifer, and contain uncertainties related to recharge, boundary conditions, assigned parameter values in the model, and representations of the different hydrogeological features. Confidence in model results can be improved by addressing these and other limitations. In spite of these limitations, the three-dimensional numerical model developed for this study provides a useful conceptual understanding of the potential effects of additional withdrawals and injections on groundwater resources in KAHO. Further evaluation of the ecologic effects of the simulated changes in groundwater quality and quantity in KAHO is needed but is beyond the scope of this study.

Hawaii

Density estimation in a wolverine population using spatial capture-recapture models

Classical closed-population capture-recapture models do not accommodate the spatial information inherent in encounter history data obtained from camera-trapping studies. As a result, individual heterogeneity in encounter probability is induced, and it is not possible to estimate density objectively because trap arrays do not have a well-defined sample area. We applied newly-developed, capture-recapture models that accommodate the spatial attribute inherent in capture-recapture data to a population of wolverines (Gulo gulo) in Southeast Alaska in 2008. We used camera-trapping data collected from 37 cameras in a 2,140-km 2 area of forested and open habitats largely enclosed by ocean and glacial icefields. We detected 21 unique individuals 115 times. Wolverines exhibited a strong positive trap response, with an increased tendency to revisit previously visited traps. Under the trap-response model, we estimated wolverine density at 9.7 individuals/1,000-km 2 (95% Bayesian CI: 5.9-15.0). Our model provides a formal statistical framework for estimating density from wolverine camera-trapping studies that accounts for a behavioral response due to baited traps. Further, our model-based estimator does not have strict requirements about the spatial configuration of traps or length of trapping sessions, providing considerable operational flexibility in the development of field studies.

Alaska

Rapid, remote assessment of Hurricane Matthew impacts using four-dimensional structure-from-motion photogrammetry

Timely assessment of coastal landforms and structures after storms is important for evaluating storm impacts, aiding emergency response and restoration, and initializing and assessing morphological models. Four-dimensional multiview photogrammetry, also known as structure from motion (4D SfM), provides a method for generating three-dimensional reconstructions of landscapes at two times (before and after events) using only photos and existing information for ground control points. Here, these techniques were applied using National Oceanic and Atmospheric Administration (NOAA)-obtained oblique aerial photos taken before (2015) and immediately after Hurricane Matthew (2016) to assess coastal changes near Matanzas, Florida. This work demonstrated that 3D digital elevation models can be constructed within 48 hours of postevent photo collection without on-site ground control measurements. One advantage of timely SfM elevation-change assessments is that they avoid confusion of storm impacts with changes that occur after the event but before LIDAR surveys can be performed. The accuracy and precision of the 4D SfM maps were assessed a posteriori using the first-available LIDAR data, which were collected more than a month after the hurricane, and 11 independent ground-truth survey points measured a week after the hurricane. Horizontal coordinates of the 4D SfM reconstruction were biased by an average of 0.79 m (0.83 m root-mean-square difference; RMSD) compared with the ground-truth points, but vertical elevations were more accurate. They were biased from the LIDAR by −0.09 to −0.25 m, with ∼0.20 m RMSD from both the LIDAR data and five ground-truth points with good vertical positioning and 0.25 m RMSD from LIDAR data along a 60-m stretch of pavement. This level of precision was sufficient to quantify geomorphological change that was often in excess of 1 m. The methodology is conducive for rapid assessment of changes along short stretches (tens of kilometers) of coast with modest resources and could be scaled up for larger regions.

Florida

Geologic structure of the northern New Caledonia ridge, as inferred from magnetic and gravity anomalies

Bathymetric, gravity, and magnetic data collected in the southwest Pacific Ocean over the northern New Caledonia ridge show that the main geological units known from the island of New Caledonia extend northward from this island, beneath the Grand Lagon Nord, the Grand Passage, and the d'Entrecasteaux reefs. These data support the model of tectonic evolution of the New Caledonia region proposed by Kroenke [1984]. We interpret a linear axial gravity low that extends from southern New Caledonia to the Grand Passage as evidence for the continuity of the thick pre-Permian to Jurassic core of the island. The Belep magnetic pattern, which covers the southwestern half of the Grand Lagon Nord, shows linear, high relief (1000–2000 nT) anomalies that are locally associated with a 120-mGal gravity high. These magnetic and gravity anomalies resemble anomalies measured over the west coast of New Caledonia, suggesting that the Cretaceous to Eocene basaltic complex of the coastal area is overlain by ophiolite remnants as far north as the western d'Entrecasteaux reefs. The similarity between the Belep magnetic pattern and a highly magnetic province evident 200 km southwest across the New Caledonia basin, along the Fairway ridge, indicates that volcanic rocks lie symmetrically on both sides of the New Caledonia basin. We suggest that part of these volcanic rocks were emplaced during the middle Cretaceous when the New Caledonia ridge rifted from the Australian margin. Simple gravity models of an elongated gravity high, having peak values in the range of +130 to +150 mGal, suggest that the ophiolite, which was thrust over New Caledonia during the Upper Eocene, extends along the east side of the Grand Lagon Nord and as far north as the d'Entrecasteaux reefs. Gravity and magnetic models suggest that in the area of the d'Entrecasteaux reefs, the ophiolite belt includes two subunits. The first subunit underlies the Huon-La Surprise platform and may include highly serpentinized ultramafic rocks without basaltic oceanic crust. The second subunit, which lies beneath the Guilbert ridge, may include ultramafic rocks as well as thin imbricate slices of oceanic crust. At the northern termination of the New Caledonia ridge, seismic and geopotential data evidence a major east-west trending tectonic zone that separates the basement of the New Caledonia ridge from the d'Entrecasteaux zone, an arcuate oceanic feature extending northward from the ridge. Differences in structure, geophysical signatures and morphology evident between areas north and those south of the Grand Passage, together with the nearness of the Le Noroit massif west of the Grand Passage, suggest that contemporaneously with Eocene to early Oligocene subduction along the western New Caledonia margin, an arc-ridge collision may have occurred near the northern termination of this subduction zone.

Tectonics

Age and origin of Cretaceous planktonic foraminifers from limestone of the Franciscan Complex near Laytonville, California

Detailed planktonic foraminiferal biostratigraphy from eight measured sections of Cretaceous limestone near Laytonville, California, indicates a composite sequence that extends in age from late Albian to early Turonian. The sequence contains seven biozones and two subzones based on the first and last appearance datums of planktonic foraminifers examined in thin section. Unequivocal biostratigraphic facing directions show four sections are right side up and four are reversed, and confirm the stratigraphic polarity employed in the paleomagnetic studies of Alvarez et al. (1980) and Tarduno et al. (1986). Temporal changes in the microfauna deviate from the global trend. Early Albian through early Cenomanian planktonic foraminiferal assemblages dominated by opportunistic, eurytopic species of Hedbergella and Globigerinelloides give way in the late Cenomanian to assemblages containing more abundant larger, heavily ornamented stenotopic species of Rotalipora and Praeglobotruncana typical of stratified Tethyan oceans. Radiolarian replacement chert increases slightly in the late Albian to early Cenomanian part of the Laytonville sequence and then decreases in the late Cenomanian and early Turonian. Benthic foraminifers show a similar decrease in abundance and diversity. We propose that this complex of biogenic and lithogenic patterns records transit via oceanic plate motion from a depositional site in the southern part of the paleoequatorial zone of high productivity, characterized by pronounced upwelling and habitat destabilization, perhaps augmented by topographic upwelling, to the central part of the equatorial zone dominated by biogenic calcite deposition. Our model of northward transit from below the equator supports the paleomagnetic determinations of Alvarez et al. (1980) and Tarduno et al. (1986). Arrival at the paleoequator coincided with the onset of stratification in the world ocean during the middle Cenomanian, indicated by the diversification of the more complex rotaliporids, and the subsequent intensification of oxygen-depleted intermediate waters in the latest Cenomanian to early Turonian. Two pulses in heterohelicid abundance signify the onset or intensification of an oxygen-minimum layer if Cretaceous heterohelicids occupied habitats analagous to Tertiary biserial heterohelicids. The first pulse beginning in the middle Cenomanian Rotalipora reicheli Zone may indicate a minor expansion of the oxygen-minimum zone or regional upwelling due to transit of the site beneath the equatorial divergence. The second pulse in the late Cenomanian Dicarinella algeriana Subzone signals the onset of upwelling of deeper oceanic water masses that characterized the succeeding Whiteinella archaeocretacea Zone. Organic-rich black shales typical of the Whiteinella archaeocretacea Zone are missing at Laytonville, although samples do contain the low-diversity, partially dissolved, planktonic assemblages that characterize this zone. The lack of black shales suggests that deposition occurred at depths greater than the oxygen-depleted intermediate water depths or alternately indicates paleoceanographic conditions unique to the Pacific.

California

Satellite-derived aerosol radiative forcing from the 2004 British Columbia wildfires

The British Columbia wildfires of 2004 was one of the largest wildfire events in the last ten years in Canada. Both the shortwave and longwave smoke aerosol radiative forcing at the top-of-atmosphere (TOA) are investigated using data from the Moderate Resolution Imaging Spectroradiometer (MODIS) and the Clouds and the Earth's Radiant Energy System (CERES) instruments. Relationships between the radiative forcing fluxes (??F) and wildfire aerosol optical thickness (AOT) at 0.55 ??m (??0.55) are deduced for both noontime instantaneous forcing and diurnally averaged forcing. The noontime averaged instantaneous shortwave and longwave smoke aerosol radiative forcing at the TOA are 45.8??27.5 W m-2 and -12.6??6.9 W m-2, respectively for a selected study area between 62??N and 68??N in latitude and 125??W and 145??W in longitude over three mainly clear-sky days (23-25 June). The derived diurnally averaged smoke aerosol shortwave radiative forcing is 19.9??12.1 W m-2 for a mean ??0.55 of 1.88??0.71 over the same time period. The derived ??F-?? relationship can be implemented in the radiation scheme used in regional climate models to assess the effect of wildfire aerosols.

Atmosphere - Ocean

National volcanic ash operations plan for aviation

The National Aviation Weather Program Strategic Plan (1997) and the National Aviation Weather Initiatives (1999) both identified volcanic ash as a high-priority informational need to aviation services. The risk to aviation from airborne volcanic ash is known and includes degraded engine performance (including flameout), loss of visibility, failure of critical navigational and operational instruments, and, in the worse case, loss of life. The immediate costs for aircraft encountering a dense plume are potentially major&mdash;damages up to $80 million have occurred to a single aircraft. Aircraft encountering less dense volcanic ash clouds can incur longer-term costs due to increased maintenance of engines and external surfaces. The overall goal, as stated in the Initiatives, is to eliminate encounters with ash that could degrade the in-flight safety of aircrews and passengers and cause damage to the aircraft. This goal can be accomplished by improving the ability to detect, track, and forecast hazardous ash clouds and to provide adequate warnings to the aviation community on the present and future location of the cloud. To reach this goal, the National Aviation Weather Program established three objectives: (1) prevention of accidental encounters with hazardous clouds; (2) reduction of air traffic delays, diversions, or evasive actions when hazardous clouds are present; and (3) the development of a single, worldwide standard for exchange of information on airborne hazardous materials. To that end, over the last several years, based on numerous documents (including an OFCMsponsored comprehensive study on aviation training and an update of Aviation Weather Programs/Projects), user forums, and two International Conferences on Volcanic Ash and Aviation Safety (1992 and 2004), the Working Group for Volcanic Ash (WG/VA), under the OFCM-sponsored Committee for Aviation Services and Research, developed the National Volcanic Ash Operations Plan for Aviation and Support of the International Civil Aviation Organization&rsquo;s (ICAO) International Airways Volcano Watch. This plan defines agency responsibilities, provides a comprehensive description of an interagency standard for volcanic ash products and their formats, describes the agency backup procedures for operational products, and outlines the actions to be taken by each agency following an occurrence of a volcanic eruption that subsequently affects and impacts aviation services. Since our most recent International Conference on Volcanic Ash and Aviation Safety, volcanic ash-related product and service activities have grown considerably along with partnerships and alliances throughout the aviation community. In January 2005, the National Oceanic and Atmospheric Administration&rsquo;s National Centers for Environment Prediction began running the Hybrid Single-Particle Lagrangian Integrated Trajectory (HYSPLIT) model in place of the Volcanic Ash Forecast Transport and Dispersion (VAFTAD) model, upgrading support to the volcanic ash advisory community. Today, improvements to the HYSPLIT model are ongoing based on recommendations by the OFCM-sponsored Joint Action Group for the Selection and Evaluation of Atmospheric Transport and Diffusion Models and the Joint Action Group for Atmospheric Transport and Diffusion Modeling (Research and Development Plan). Two international workshops on volcanic ash have already taken place, noticeable improvements and innovations in education, training, and outreach have been made, and federal and public education and training programs on volcanic ash-related products, services, and procedures iv continue to evolve. For example, in partnership with Embry-Riddle Aeronautical University and other academic institutions, volcanic ash hazard and mitigation training has been incorporated into aviation meteorology courses. As an essential next step, our volcanic ash-related efforts in the near term will be centered on the development of an interagency implementation plan to document and address the most critical needs of the volcanic ash advisory community. This interagency plan, developed as the result of the cooperative efforts of six federal agencies, follows the guidelines in support of the ICAO International Airways Volcano Watch. The signatories on the next page are committed to volcanic ash operations for aviation and will work toward full implementation through agency programs, initiatives, and procedures. I extend my sincere thanks to all members of the WG/VA, subject-matter experts, and to my staff for their collaborative and cooperative efforts in developing this first-ever national volcanic ash operations plan.

Report

Tectonic elements of the southern part of the Gulf of California

Closely spaced seismic and bathymetric surveys in the southern province of the Gulf of California reveal a tectonically active and structurally complex plate boundary. While heat-flow measurements, seismicity, large sediment accumulations on continental margins, and the presence of oceanic crust in deep basins strongly suggest divergent plate motion, magnetic anomaly patterns are conspicuously absent in the Gulf as a whole. The rate of sediment accumulation (range: 6-1,000 m/m.y.), however, provides an alternative for the differentiation of two types of fault traces and suggests a process by which recently formed plate boundary zones evolve. Active faults manifest themselves as steep, elongate scarps delineating the active plate boundary zone. These fault traces appear to converge and diverge, for example in the Pescadero Basin complex, in a manner similar to the Southern California borderland. The floors of the intervening basins are flat and relatively sediment free. Relict faults, also elongate fracture zones, are distinguished from active traces in that they are completely filled with hemipelagic muds. The relict faults are located along both sides of the active plate boundary zone and subparallel to it. These features infer that plate motion is relatively rapid, thus explaining the paucity of sediment accumulation in actively spreading basins in spite of high sedimentation rates. Substantial plate boundary readjustment in short time periods is suggested by the periodic abandoment and subsequent infilling and attachment of formerly active transform faults to the more stable margins of the plates involved. The Gulf of California, therefore, represents a working model of the evolution of a plate boundary and its sedimentological consequences in the early tectonic developmental stage of a passive margin ocean basin such as the Atlantic.

southern Gulf of California

A life cycle model for evaluating estuary residency and restoration potential in Chinook salmon

Understanding the spatial and temporal habitat use of a population is a necessary step for recovery planning. For Chinook salmon ( Oncorhynchus tshawytscha ), variation in their migration and habitat use complicate predicting how restoring habitats could impact total recruitment. To evaluate how juvenile life history variation affects a population’s response to potential restoration, we developed a stage-structured model for a Chinook salmon population in a northern California river with a seasonally closed estuary. We modeled the timing of juvenile migration and estuarine use as a function of freshwater conditions and fish abundance. We used the model to evaluate the sensitivity of the population to different estuary and freshwater restoration scenarios that could affect population parameters at different life stages. The population’s run size increased most in response to freshwater restoration that enhanced spawning productivity (egg and fry survival), followed by spawner capacity. In contrast, estuary restoration scenarios affected only a subset of Chinook salmon (average 15%), and as a result, did not have a large impact on the total recruitment of a cohort. Under current condition, estuary rearing fish were over six times less likely to survive than fish that migrate to the ocean in the spring or early summer before estuary closure. Because estuary residents experienced low survival in the estuary and in the ocean, improvements to both estuary survival and growth would be needed to increase their total survival. When life cycle monitoring data is available, life cycle models such as ours generate predictions at scales relevant to conservation and are an advantageous approach to managing and conserving anadromous salmon that use multiple habitats throughout their life cycle.

California