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At least 595 records · Page 33Linked to original sources

Dating of major normal fault systems using thermochronology: An example from the Raft River detachment, Basin and Range, western United States

Application of thermochronological techniques to major normal fault systems can resolve the timing of initiation and duration of extension, rates of motion on detachment faults, timing of ductile mylonite formation and passage of rocks through the crystal-plastic to brittle transition, and multiple events of extensional unroofing. Here we determine the above for the top-to-the-east Raft River detachment fault and shear zone by study of spatial gradients in 40 Ar/ 39 Ar and fission track cooling ages of footwall rocks and cooling histories and by comparison of cooling histories with deformation temperatures. Mica 40 Ar/ 39 Ar cooling ages indicate that extension-related cooling began at ∼25–20 Ma, and apatite fission track ages show that motion on the Raft River detachment proceeded until ∼7.4 Ma. Collective cooling curves show acceleration of cooling rates during extension, from 5–10°C/m.y. to rates in excess of 70–100°C/m.y. The apparent slip rate along the Raft River detachment, recorded in spatial gradients of apatite fission track ages, is 7 mm/yr between 13.5 and 7.4 Ma and is interpreted to record the rate of migration of a rolling hinge. Microstructural study of footwall mylonite indicates that deformation conditions were no higher than middle greenschist facies and that deformation occurred during cooling to cataclastic conditions. These data show that the shear zone and detachment fault represent a continuum produced by progressive exhumation and shearing during Miocene extension and preclude the possibility of a Mesozoic age for the ductile shear zone. Moderately rapid cooling in middle Eocene time likely records exhumation resulting from an older, oppositely rooted, extensional shear zone along the west side of the Grouse Creek, Raft River, and Albion Mountains.

Idaho, Utah

Crustal seismic attenuation of the central United States and Intermountain West

Seismic attenuation is generally greater in the western United States (WUS) than the central and eastern United States (CEUS), but the nature of this transition or location of this boundary is poorly constrained. We conduct crustal seismic (Lg) attenuation tomography across a region that stretches from the CEUS across the Rocky Mountains to the Basin and Range using a total of 115,870 amplitude measurements from 106 earthquakes recorded on 544 stations across five frequency bands spanning 0.5–16 Hz. Similar to previous studies, we find higher attenuation in the WUS ( Q 0 ∼ 190) than the nominally CEUS ( Q 0 ∼ 250) and comparatively high attenuation on the Gulf Coast ( Q 0 ∼ 175). Our models defy simple east versus west regionalization, however. Heterogeneity within the Rocky Mountain region—low attenuation in the Colorado Plateau interior and Wyoming Craton ( Q 0 ∼ 230) compared to high attenuation in the southern Rockies ( Q 0 ∼ 110)—exceeds the gross differences between the CEUS and western United States. These province-scale patterns are readily interpreted in terms of intrinsic attenuation. The boundary between the Colorado Plateau and Basin and Range hosts the highest attenuation imaged in the study area ( Q 0 ∼ 90), consistent with localized scattering across contrasting crustal structure. Focused high attenuation in the southern Rockies may represent the effects of represent in situ partial crustal melt. Within the CEUS, second-order bands of comparatively high attenuation align with the Proterozoic Yavapai-Mazatzal suture zone and Midcontinent Rift. This complex attenuation structure defies broad regionalization and suggests a need for path-specific models near these boundaries and for critical infrastructure.

Journal of Geophysical Research: Solid Earth

Origin of lunar light plains

Most Cayley-type Imbrian-age plains deposits and adjacent mantled slopes, including those at the Apollo 16 site, may be composed at least near the surface of ejecta from the Orientale basin, the youngest multiringed impact basin on the Moon. The distribution and apparent age of the plains deposits and preliminary data on the highly feldspathic breccias collected by the Apollo 16 crew indicate that these surficial materials are neither locally derived nor part of the Imbrium ejecta. Stratigraphic relations, crater size-frequency distributions, and dating by erosional morphology of superposed craters have established Cayley light-plains deposits as younger than the Imbrium basin and older than mare material. All such crater-dated Cayley-type plains on both the near and far sides of the Moon are contemporaneous within the limits of the technique. Furthermore, comparisons of the crater size-frequency distributions of the Hevelius Formation (Orientale ejecta) and the plains show that the Cayley and Hevelius Formations are indistinguishable in age. The surface and near-surface materials of the Apollo 16 plains, therefore, are contemporaneous with Orientale basin ejecta not with Imbrium ejecta, in which both crater densities and crater degradation are greater than in the light plains. Imbrium ejecta may, however, be present on the surface at the Apollo 16 site where excavated by craters from depth. Limited age data now available on the Apollo 16 samples are consistent with this interpretation. We conclude that rocks of Orientale provenance may be predominant on and near the surface at the Apollo 16 site. This hypothesis implies that the catastrophic Orientale impact struck a highland area underlain by highly feldspathic material and spread it over much of the Moon. Thus, much of the lunar highlands crust need not consist of anorthositic materials to any significant depth. These conclusions apply to the plains at the Apollo 16 site and most of the other Cayley-type plains, but we do not exclude the possibility that, moonwide, the plains may be polygenetic.

Journal of Research of the U.S. Geological Survey

The age of groundwater in the Lincolnshire Limestone, England and its relevance to the flow mechanism

Groundwater samples from the Lincolnshire Limestone have been analysed for tritium, radiocarbon, and the stable-isotope ratios 13 C 12 C "> 13 C 12 C , 18 O 16 O "> 18 O 16 O and D/H. The age of the water increases in a downgradient direction below overlying confining deposits and reaches a maximum age greater than 25,000 years within 15 km of the outcrop. The δ 13 C ratio ultimately attains the unusually low negative values of −2‰ in a downgradient direction; this is approaching that of the aquifer matrix which is +2.35‰. The reason is believed to be exchange of carbon between the groundwater and the matrix by a continuous process of precipitation and further solution of calcium carbonate. The δ 18 O and δ D ratios imply that recharge of the aquifer during the late Pleistocene took place in the spring and autumn rather than the winter as at present. The data are interpreted by assuming that movement of water through the saturated zone is a combination of flow in fissures and “piston flow” through the micro-fissures and pores of the rock. The mechanism of water movement in the saturated zone is dominated by relatively rapid flow in fissures, but the fissure flow includes a contribution of much older water from “intergranular” storage which enters the fissures from the rock matrix by pressure differentials in the fissure distribution system and by diffusion. The distribution of water of different ages in the aquifer is closely related to recent groundwater abstraction patterns.

Journal of Hydrology

Depositional history of the Fire Clay coal bed (Late Duckmantian), Eastern Kentucky, USA

More than 3800 coal thickness measurements, proximate analyses from 97 localities, and stratigraphic and sedimentological analyses from more than 300 outcrops and cores were used in conjunction with previously reported palynological and petrographic studies to map individual benches of the coal and document bench-scale variability in the Fire Clay (Hazard No. 4) coal bed across a 1860 km2 area of the Eastern Kentucky Coal Field. The bench architecture of the Fire Clay coal bed consists of uncommon leader benches, a persistent but variable lower bench, a widespread, and generally thick upper bench, and local, variable rider benches. Rheotrophic conditions are inferred for the leader benches and lower bench based on sedimentological associations, mixed palynomorph assemblages, locally common cannel coal layers, and generally high ash yields. The lower bench consistently exhibits vertical variability in petrography and palynology that reflects changing trophic conditions as topographic depressions infilled. Infilling also led to unconfined flooding and ultimately the drowning of the lower bench mire. The drowned mire was covered by an air-fall volcanic-ash deposit, which produced the characteristic flint clay parting. The extent and uniform thickness of the parting suggests that the ash layer was deposited in water on a relatively flat surface without a thick canopy or extensive standing vegetation across most of the study area. Ash deposits led to regional ponding and establishment of a second planar mire. Because the topography had become a broadly uniform, nutrient-rich surface, upper-bench peats became widespread with large areas of the mire distant to clastic sources. Vertical sections of thick (> 70 cm), low-ash yield, upper coal bench show a common palynomorph change from arborescent lycopod dominance upward to fern and densospore-producing, small lycopod dominance, inferred as a shift from planar to ombrotrophic mire phases. Domed mires appear to have been surrounded by wide areas of planar mires, where the coal was thinner (< 70 cm), higher in ash yield, and dominated by arborescent lycopods. Rectangular thickness trends suggest that syndepositional faulting influenced peat accumulation, and possibly the position of the domed mire phase. Faulting also influenced post-depositional clastic environments of deposition, resulting in sandstone channels with angular changes in orientation. Channels and lateral facies were locally draped by high-ash-yield rider coal benches, which sometimes merged with the upper coal bench. These arborescent-lycopod dominant rider coal benches were profoundly controlled by palcotopography, much like the leader coal benches. Each of the benches of coal documented here represent distinctly different mires that came together to form the Fire Clay coal bed, rather than a single mire periodically split by clastic influx. This is significant as each bench of the coal has its own characteristics, which contribute to the total coal characteristics. The large data set allows interpretation of both vertical and lateral limits to postulated domed phases in the upper coal bench, and to the delineation of subtle tectonic structures that allow for meaningful thickness projections beyond the limits of present mining.A study was conducted to analyze the depositional history of the Fire Clay coal bed in the eastern Kentucky coal field. The study involved over 3800 coal thickness measurements, proximate analyses from 97 localities, and stratigraphic and sedimentological analyses from more than 300 outcrops and cores in conjunction with previously reported palynological and petrographic studies to map individual benches of the coal and document bench-scale variability.

International Journal of Coal Geology

Mapping and interpretation of Sinlap crater on Titan using Cassini VIMS and RADAR data

Only a few impact craters have been unambiguously detected on Titan by the Cassini-Huygens mission. Among these, Sinlap is the only one that has been observed both by the RADAR and VIMS instruments. This paper describes observations at centimeter and infrared wavelengths which provide complementary information about the composition, topography, and surface roughness. Several units appear in VIMS false color composites of band ratios in the Sinlap area, suggesting compositional heterogeneities. A bright pixel possibly related to a central peak does not show significant spectral variations, indicating either that the impact site was vertically homogeneous, or that this area has been recovered by homogeneous deposits. Both VIMS ratio images and dielectric constant measurements suggest the presence of an area enriched in water ice around the main ejecta blanket. Since the Ku-band SAR may see subsurface structures at the meter scale, the difference between infrared and SAR observations can be explained by the presence of a thin layer transparent to the radar. An analogy with terrestrial craters in Libya supports this interpretation. Finally, a tentative model describes the geological history of this area prior, during, and after the impact. It involves mainly the creation of ballistic ejecta and an expanding plume of vapor triggered by the impact, followed by the redeposition of icy spherules recondensed from this vapor plume blown downwind. Subsequent evolution is then driven by erosional processes and aeolian deposition. Copyright 2008 by the American Geophysical Union.

Journal of Geophysical Research E: Planets

Wind-driven particle mobility on Mars: Insights from Mars Exploration Rover observations at "El Dorado" and surroundings at Gusev Crater

The ripple field known as 'El Dorado' was a unique stop on Spirit's traverse where dust-raising, active mafic sand ripples and larger inactive coarse-grained ripples interact, illuminating several long-standing issues of Martian dust mobility, sand mobility, and the origin of transverse aeolian ridges. Strong regional wind events endured by Spirit caused perceptible migration of ripple crests in deposits SSE of El Dorado, erasure of tracks in sandy areas, and changes to dust mantling the site. Localized thermal vortices swept across El Dorado, leaving paths of reduced dust but without perceptibly damaging nearly cohesionless sandy ripple crests. From orbit, winds responsible for frequently raising clay-sized dust into the atmosphere do not seem to significantly affect dunes composed of (more easily entrained) sand-sized particles, a long-standing paradox. This disparity between dust mobilization and sand mobilization on Mars is due largely to two factors: (1) dust occurs on the surface as fragile, low-density, sand-sized aggregates that are easily entrained and disrupted, compared with clay-sized air fall particles; and (2) induration of regolith is pervasive. Light-toned bed forms investigated at Gusev are coarse-grained ripples, an interpretation we propose for many of the smallest linear, light-toned bed forms of uncertain origin seen in high-resolution orbital images across Mars. On Earth, wind can organize bimodal or poorly sorted loose sediment into coarse-grained ripples. Coarse-grained ripples could be relatively common on Mars because development of durable, well-sorted sediments analogous to terrestrial aeolian quartz sand deposits is restricted by the lack of free quartz and limited hydraulic sediment processing. Copyright 2008 by the American Geophysical Union.

Journal of Geophysical Research E: Planets

Introduction to the special section northeast Japan: A case history of subduction

Subduction-related tectonic events such as strike-slip faulting, uplift of high-pressure metamorphic rocks in the forearc, back arc spreading, arc magmatism, and continental collisions have shaped northeast Japan, making it a case history for subduction. Much of the record of these events is preserved and can be used to reconstruct the tectonic history of the region. Although many geological, geophysical, and geochemical data have been collected in Japan for the last 30 years, interpretation of these data into a plate tectonic context did not really begin until about 10 years ago. Much of the data and interpretation on northeast Japan have been published in Japanese or as individual local studies. The primary goal of this special section is to present new investigations covering a wide range of topics and scales and place them in a tectonic framework. The papers in this special section focus on three main subjects: Mesozoic aspects of northeast Japan; the relation of Japan Sea opening with the tectonics and geochemistry of northeast Japan in the Tertiary; and the geophysical setting. The purpose of this overview is to link these subjects and provide a tectonic framework for north- east Japan and eastern Asia since the Mesozoic.

Journal of Geophysical Research B: Solid Earth

Insights on why graphic correlation (Shaw's method) works

In 1964 A. B. Shaw presented a method of correlating fossiliferous sedimentary rocks based on interpretation of graphic plots of first- and last-occurrences of taxa. Because there is no way to determine the true total ranges of fossil taxa, it is instructive to test the accuracy of the method using hypothetical datasets. The dataset used here consists of 16 taxa in six sections with differing known rates of rock accumulation. In all graphs, a single straight-line correlation was a reasonable interpretation. The resulting ranges after the first and third rounds of compositing reproduce the "true" ranges but with small errors. Slight errors in the positioning of individual correlation lines are more likely to lengthen ranges artificially than to shorten them. Shaw's method works well because, whereas actually sampled ranges will be shorter than true ranges, errors in correlation will be likely to extend some ranges. This or any exercise using simulated data is useful only if the hypothetical situation resembles real geologic situations and if insights derived from the hypothetical dataset provide insights into real situations. The method is only as good as the available data.

Journal of Geology

Lithospheric flexure under the Hawaiian volcanic load: Internal stresses and a broken plate revealed by earthquakes

Several lines of earthquake evidence indicate that the lithospheric plate is broken under the load of the island of Hawai`i, where the geometry of the lithosphere is circular with a central depression. The plate bends concave downward surrounding a stress-free hole, rather than bending concave upward as with past assumptions. Earthquake focal mechanisms show that the center of load stress and the weak hole is between the summits of Mauna Loa and Mauna Kea where the load is greatest. The earthquake gap at 21&thinsp;km depth coincides with the predicted neutral plane of flexure where horizontal stress changes sign. Focal mechanism P axes below the neutral plane display a striking radial pattern pointing to the stress center. Earthquakes above the neutral plane in the north part of the island have opposite stress patterns; T axes tend to be radial. The M 6.2 Honomu and M 6.7 Kiholo main shocks (both at 39&thinsp;km depth) are below the neutral plane and show radial compression, and the M 6.0 Kiholo aftershock above the neutral plane has tangential compression. Earthquakes deeper than 20&thinsp;km define a donut of seismicity around the stress center where flexural bending is a maximum. The hole is interpreted as the soft center where the lithospheric plate is broken. Kilauea's deep conduit is seismically active because it is in the ring of maximum bending. A simplified two-dimensional stress model for a bending slab with a load at one end yields stress orientations that agree with earthquake stress axes and radial P axes below the neutral plane. A previous inversion of deep Hawaiian focal mechanisms found a circular solution around the stress center that agrees with the model. For horizontal faults, the shear stress within the bending slab matches the slip in the deep Kilauea seismic zone and enhances outward slip of active flanks.

Hawaii

Seismicity induced by wastewater injection in Washington County, Ohio: Influence of preexisting structure, regional stress regime, and well operations

Recent seismicity in Washington County, Ohio, has been suggested to be induced by wastewater disposal operations despite injection ~2 km above the Precambrian basement. We investigated the relationships between disposal well locations and operational histories, spatiotemporal patterns of seismicity enhanced by waveform correlation, and mapped subsurface structures. We also analyzed proxies for in situ stress conditions to evaluate existing principal stress orientations and magnitudes. Double‐difference relocations of small ( M L ≤ 2.1) seismicity revealed linear clusters defining a NE‐SW orientation that parallels the trend of small‐amplitude folds in Upper Paleozoic rocks within 1–2 km of the injection well. Hypocenter depths of ~3.1 to 4.3 km indicate seismicity occurred along faults below the Silurian injection interval in lower Paleozoic strata and Precambrian crystalline basement. Similar folds/faults imaged in nearby seismic reflection lines were associated with basement‐involved fault systems that cut the injection interval targeted by the injection well, providing permeability pathways for fluid pressure increases that initiated slip. Interpreted faults were also optimally oriented in the regional stress field for reactivation due to injection‐related decreases in effective stress. Well completion records suggest that during the recorded seismicity, the Long Run‐1 well was injecting disposal fluids close to or above the fracture pressure of the targeted Silurian injection interval. A comparison of observed seismicity rates and monthly injection records from the disposal well also indicate a close correspondence between earthquake frequency and injection rate. Taken together, these results provide a physical framework for understanding why wastewater disposal operations induced the Washington County seismic sequence.

Ohio

Identifying relationships between baseflow geochemistry and land use with synoptic sampling and R-mode factor analysis

The relationship between land use and stream chemistry is often explored through synoptic sampling of rivers at baseflow conditions. However, baseflow chemistry is likely to vary temporally and spatially with land use. The purpose of our study is to examine the usefulness of the synoptic sampling approach for identifying the relationship between complex land use configurations and stream water quality. This study compares biogeochemical data from three synoptic sampling events representing the temporal variability of baseflow chemistry and land use using R - mode factor analysis . Separate R - mode factor analyses of the data from individual sampling events yielded only two consistent factors. Agricultural activity was associated with elevated levels of Ca 2+ , Mg 2+ , alkalinity, and frequently K + , SO 2- 4 , and NO - 3 . Urban areas were associated with higher concentrations of Na + , K + , and Cl - . Other retained factors were not consistent among sampling events, and some factors were difficult to interpret in the context of biogeochemical sources and processes. When all data were combined, further associations were revealed such as an inverse relationship between the proportion of wetlands and stream nitrate concentrations. We also found that barren lands were associated with elevated sulfate levels. This research suggests that an individual sampling event is unlikely to characterize adequately the complex processes controlling interactions between land use and stream chemistry. Combining data collected over two years during three synoptic sampling events appears to enhance our ability to understand processes linking stream chemistry and land use.

Michigan

Prehistoric ruptures of the Gurvan Bulag fault, Gobi Altay, Mongolia

The 1957 Gobi Altay M8.3 earthquake in southern Mongolia was associated with the simultaneous rupture of several faults, including the Gurvan Bulag reverse fault, which is located about 25 km south of the main strike-slip Bogd fault. Our study of paleoseismic excavations across the Gurvan Bulag fault suggests that the penultimate surface rupture occurred after 6.0 ka, most likely between 2.6 and 4.4 ka, and a possible earlier rupture occurred after 7.3 ka. Our interpretation of the stratigraphic relations in one of the exposures suggests that at least five earthquakes have generated surface rupture of the Gurvan Bulag fault since the abandonment of an ancient alluvial fan surface. Luminescence dating of sediment associated with this surface indicates that it formed either 26.6 ± 2.1 ka or 16.1 ± 2.0 ka. These data imply that the recurrence intervals for surface faulting on the Gurvan Bulag and Bogd faults are similar, on the order of several thousands of years, but that the penultimate surface ruptures of the two faults did not occur during the same earthquake.

Gobi Altay

Microbially induced anaerobic oxidation of magnetite to maghemite in a hydrocarbon-contaminated aquifer

Iron mineral transformations occurring in hydrocarbon-contaminated sites are linked to the biodegradation of the hydrocarbons. At a hydrocarbon-contaminated site near Bemidji, Minnesota, USA, measurements of magnetic susceptibility (MS) are useful for monitoring the natural attenuation of hydrocarbons related to iron cycling. However, a transient MS, previously observed at the site, remains poorly understood and the iron mineral phases acting as reactants and products associated with this MS perturbation remain largely unknown. To address these unknowns, we acquired mineral magnetism measurements, including hysteresis loops, backfield curves, and isothermal remanent magnetizations on sediment core samples retrieved from the site and magnetite-filled mineral packets installed within the aquifer. Our data show that the core samples and magnetite packs display decreasing magnetization with time and that this loss in magnetization is accompanied by increasing bulk coercivity consistent with decreased average grain size and/or partial oxidation. Low-temperature magnetometry on all samples displayed behavior consistent with magnetite, but samples within the plume also show evidence of maghemitization. This interpretation is supported by the occurrence of shrinkage cracks on the surface of the grains imaged via scanning electron microscopy. Magnetite transformation to maghemite typically occurs under oxic conditions, here, we propose that maghemitization occurs within the anoxic portions of the plume via microbially mediated anaerobic oxidation. Mineral dissolution also occurs within the plume. Microorganisms capable of such anaerobic oxidation have been identified within other areas at the Bemidji site, but additional microbiological studies are needed to link specific anaerobic iron oxidizers with this loss of magnetization.

Minnesota

The importance of within-year repeated counts and the influence of scale on long-term monitoring of sage-grouse

Long‐term population monitoring is the cornerstone of animal conservation and management. The accuracy and precision of models developed using monitoring data can be influenced by the protocols guiding data collection. The greater sage‐grouse ( Centrocercus urophasianus ) is a species of concern that has been monitored over decades, primarily, by counting the number of males that attend lek (breeding) sites. These lek count data have been used to assess long‐term population trends and for multiple mechanistic studies. However, some studies have questioned the efficacy of lek counts to accurately identify population trends. In response, monitoring protocols were changed to have a goal of counting lek sites multiple times within a season. We assessed the influence of this change in monitoring protocols on model accuracy and precision applying generalized additive models to describe trends over time. We found that at large spatial scales including >50 leks, the absence of repeated counts within a year did not significantly alter population trend estimates or interpretation. Increasing sample size decreased the model confidence intervals. We developed a population trend model for Wyoming greater sage‐grouse from 1965 to 2008, identifying significant changes in the population indices and capturing the cyclic nature of this species. Most sage‐grouse declines in Wyoming occurred between 1965 and the 1990s and lek count numbers generally increased from the mid‐1990s to 2008. Our results validate the combination of monitoring data collected under different protocols in past and future studies—provided those studies are addressing large‐scale questions. We suggest that a larger sample of individual leks is preferable to multiple counts of a smaller sample of leks.

Wyoming

Limitations of quantitative analysis of deep crustal seismic reflection data: Examples from GLIMPCE

Amplitude preservation in seismic reflection data can be obtained by a relative true amplitude (RTA) processing technique in which the relative strength of reflection amplitudes is preserved vertically as well as horizontally, after compensating for amplitude distortion by near-surface effects and propagation effects. Quantitative analysis of relative true amplitudes of the Great Lakes International Multidisciplinary Program on Crustal Evolution seismic data is hampered by large uncertainties in estimates of the water bottom reflection coefficient and the vertical amplitude correction and by inadequate noise suppression. Processing techniques such as deconvolution, F-K filtering, and migration significantly change the overall shape of amplitude curves and hence calculation of reflection coefficients and average reflectance. Thus lithological interpretation of deep crustal seismic data based on the absolute value of estimated reflection strength alone is meaningless. The relative strength of individual events, however, is preserved on curves generated at different stages in the processing. We suggest that qualitative comparisons of relative strength, if used carefully, provide a meaningful measure of variations in reflectivity. Simple theoretical models indicate that peg-leg multiples rather than water bottom multiples are the most severe source of noise contamination. These multiples are extremely difficult to remove when the water bottom reflection coefficient is large (>0.6), a condition that exists beneath parts of Lake Superior and most of Lake Huron.

Great Lakes

Reservoir analysis of the Denver earthquakes: A case of induced seismicity

Injection of fluid wastes into the fractured Precambrian crystalline bedrock beneath the Rocky Mountain Arsenal near Denver triggered earthquakes in the 1960's. An analysis, based on the assumption that fluid flow in the fractured reservoir can be approximated by flow in a porous medium, is presented. The configuration and hydrologic properties of the reservoir are determined from two lines of evidence: (1) locations of earthquake hypocenters determined by seismic arrays installed at the Arsenal and (2) observed long-term decline in fluid levels in the injection well. Together these two sets of data indicate that a long, narrow reservoir, aligned in the direction N 60°W, exists. The reservoir is 3.35 km in width, extends 30.5 km to the northwest and infinitely to the southeast, and spans a depth interval from 3.7 to 7.0 km below land surface. It has a transmissivity of 1.08×10-5 m2/s and a storage coefficient of 1.0×10-5. Computed pressure buildup along the length of the reservoir is compared with the spatial distribution of earthquake epicenters. The comparison shows that earthquakes are confined to that part of the reservoir where the pressure buildup exceeds 32 bars. This critical value is interpreted as the pressure buildup above which earthquakes occur. The migration of earthquake epicenters away from the injection well, a phenomenon noted by previous investigators, can be accounted for by the outward propagation of the critical pressure buildup. The analysis is extended to examining the effects of rapid flow in fractures opened by high injection pressure. The results show that the effect is confined to a small region within 1 km of the injection well. The existence of a critical pressure buildup above which earthquakes occur is completely consistent with the theory on the role of fluid pressure in fault movement as presented by Hubbert and Rubey.

Colorado

River terrace evidence of tectonic processes in the eastern North American plate interior, South Anna River, Virginia

We show that long-recognized seismicity in the central Virginia seismic zone of the eastern North American intraplate setting arises primarily from tectonic processes predicted by new, fully coupled plate tectonic geodynamic models. The study leverages much new geophysical and geologic data following the 2011 Mineral, Virginia, earthquake that ruptured a steeply dipping, northwest-verging reverse fault traversed by the South Anna River. The data are primarily assembled from a flight of six fluvial terrace geomorphic markers identified and correlated on texture, relative weathering, and numeric ages including one terrestrial cosmogenic nuclide (TCN) profile and 30 luminescence dates. Terrace thickness, stratigraphic age models, and incision rates downstream and upstream of the 2011 rupture are different. Long-term river incision rates of ∼25–30 m/My are superimposed on regional TCN-determined erosion rates of ∼8.5 m/My; however, there are at least 10 m of tectonically driven incision in the epicentral region at rates of ∼30–94 m/My. The inferred deformation resembles a hanging wall anticline above a blind reverse fault with a diffuse overlying carapace of minor brittle faults, an interpretation supported by seismology as well as bedrock and saprolite mapped across the epicentral region. These results are further supported by channel metrics that show nonuniform channel steepness ( k sn ) and a predicted steady-state channel elevation different from the actual channel elevation across the epicentral region. If all of the observed deformation is a consequence of the fault that ruptured in 2011, the recurrence interval of Mineral-sized events would be ∼5.5 ky.

Virginia