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At least 793 records · Page 44Linked to original sources

Relationships between the structure of natural organic matter and its reactivity towards molecular ozone and hydroxyl radicals

Oxidation reaction rate parameters for molecular ozone (O3) and hydroxyl (HO) radicals with a variety of hydrophobic organic acids (HOAs) isolated from different geographic locations were determined from batch ozonation studies. Rate parameter values, obtained under equivalent dissolved organic carbon concentrations in both the presence and absence of non-NOM HO radical scavengers, varied as a function of NOM structure. First-order rate constants for O3 consumption (k(O3)) averaged 8.8 x 10-3 s-1, ranging from 3.9 x 10-3 s-1 for a groundwater HOA to > 16 x 10-3 s-1 for river HOAs with large terrestrial carbon inputs. The average second-order rate constant (k(HO,DOC) between HO radicals and NOM was 3.6 x 108 l (mol C)-1 s-1; a mass of 12 g C per mole C was used in all calculations. Specific ultraviolet absorbance (SUVA) at 254 or 280 nm of the HOAs correlated well (r > 0.9) with O3 consumption rate parameters, implying that organic ??-electrons strongly and selectively influence oxidative reactivity. HO radical reactions with NOM were less selective, although correlation between k(HO,DOC) and SUVA existed. Other physical-chemical properties of NOM, such as aromatic and aliphatic carbon content from 13C-NMR spectroscopy, proved less sensitive for predicting oxidation reactivity than SUVA. The implication of this study is that the structural nature of NOM varies temporally and spatially in a water source, and both the nature and amount of NOM will influence oxidation rates.

Water Research↗

Seismic velocity structure of the continental lithosphere from controlled source data

The purpose of this chapter is to provide a summary of the seismic velocity structure of the continental lithosphere, i.e., the crust and uppermost mantle. We define the crust as the outer layer of the Earth that is separated from the underlying mantle by the Mohorovičić discontinuity (Moho). We adopted the usual convention of defining the seismic Moho as the level in the Earth where the seismic compressional-wave ( P -wave) velocity increases rapidly or gradually to a value greater than or equal to 7.6 km sec −1 (Steinhart, 1967), defined in the data by the so-called “ Pn ” phase ( P-n ormal). Here we use the term uppermost mantle to refer to the 50–200+ km thick lithospheric mantle that forms the root of the continents and that is attached to the crust (i.e., moves with the continental plates). This summary has been preceded by 90 y of intense scientific activity. Mohorovičić (1910) was the first to publish an estimate for crustal thickness (54 km near Zagreb, Croatia), and to describe the seismically defined boundary between the crust and mantle that now bears his name (often shortened to “the Moho”). The fact that the oceanic crust is significantly thinner than continental crust (5 km versus about 40 km) was documented 40 y later (e.g., Hersey et al., 1952). Numerous later studies demonstrated that the continental crust varies in thickness from about 15 km to greater than 70 km beneath the Tibet plateau. Jarchow and Thompson (1989) provide a useful summary of early crustal studies, and Table 1 provides additional references. We emphasize results from active-source seismic refraction profiles that provide detailed P -wave velocity information. The shear-wave ( S -wave) structure of the crust and uppermost mantle, as determined by surface waves, is discussed, for example, by Ekström et al. (1997) and Ritzwoller et al. (1998).

International Geophysics↗

The effects of partial cutting on stand structure and growth of western hemlock-Sitka spruce stands in southeast Alaska

The effects of partial cutting on species composition, new and residual-tree cohorts, tree size distribution, and tree growth was evaluated on 73 plots in 18 stands throughout southeast Alaska. These partially cut stands were harvested 12-96 years ago, when 16-96% of the former stand basal area was removed. Partial cutting maintained stand structures similar to uncut old-growth stands, and the cutting had no significant effects on tree species composition. The establishment of new-tree cohorts was positively related to the proportion of basal-area cut. The current stand basal area, tree species composition, and stand growth were significantly related to trees left after harvest (p < 0.001). Trees that were 20-80 cm dbh at the time of cutting had the greatest tree-diameter and basal-area growth and contributed the most to stand growth. Diameter growth of Sitka spruce and western hemlock was similar, and the proportion of stand basal-area growth between species was consistent for different cutting intensities. Concerns about changing tree species composition, lack of spruce regeneration, and greatly reduced stand growth and vigor with partial cuts were largely unsubstantiated. Silvicultural systems based on partial cutting can provide rapidly growing trees for timber production while maintaining complex stand structures with mixtures of spruce and hemlock trees similar to oldgrowth stands.

Forest Ecology and Management↗

Natural and anthropogenic factors affecting the structure of the benthic macroinvertebrate community in an effluent-dominated reach of the Santa Cruz River, AZ

This study provides an assessment of the ecological conditions of a 46-km effluent-dominated stream section of the Santa Cruz River in the vicinity of the International Waste Water Treatment Plant, Nogales, AZ. We associated changes in the structure of the macroinvertebrate community to natural and anthropogenic chemical and physical variables using multivariate analysis. The analysis shows that biological criteria for effluent-dominated streams can be established using macroinvertebrate community attributes only with an understanding of the contribution of three classes of variables on the community structure: (1) low flow hydrological discharge as affected by groundwater withdrawals, treatment plant discharge, and subsurface geomorphology; (2) chemical composition of the treatment plant discharge and natural dilution; and (3) naturally produced floods resulting from seasonality of precipitation. ?? 2003 Elsevier Science Ltd. All rights reserved.

Ecological Indicators↗

2,3,7,8-TCDD effects on visual structure and function in swim-up rainbow trout

An understanding of mechanisms of contaminant effects across levels of biological organization is essential in ecotoxicology if we are to generate predictive models for population-level effects. We applied a suite of biochemical, histological, and behavioral end points related to visual structure and function and foraging behavior to evaluate effects of 2,3,7,8-Tetrachlorodibenzo- p -dioxin (TCDD) on swim-up rainbow trout. We detected a dose-dependent decrease in densities of retinal ganglion cells (RGC), key retinal neurons that link the eye with the brain. These changes resulted in corresponding deficits in visual/motor function including reductions in visual acuity and in scotopic and photopic thresholds due to TCDD. The loss of RGCs suggests an increase in convergence of synapses from photoreceptors to RGCs as a cellular mechanism for the visual deficits. Dose-dependent increases in immunohistochemical detection of CYP1A protein in the vasculature of the brain and eye choroid was proportional with decreased ganglion cell densities in the retina. TCDD-induced AHR-regulated effects on these tissues might be involved in the detected decrease in ganglion cell densities. Prey capture rate decreased after TCDD exposure only at the highest treatment groups evaluated. Collectively, these results show that TCDD causes biochemical and structural changes in the eye and brain of rainbow trout that are associated with behavioral deficits leading to decreased individual fitness.

Environmental Science & Technology↗

Population genetic structure of a California endemic Branchiopod, Branchinecta sandiegonensis

Branchinecta sandiegonensis (Crustacea: Anostraca) is a narrow range endemic fairy shrimp discontinuously distributed in ephemeral pools on coastal mesas in San Diego County, USA. Ten populations across the range of the species were subjected to allozyme analysis for eleven loci. The species exhibits low variability (P 95 =9.1–45.5) and one third of the loci tested did not conform to Hardy-Weinberg equilibrium expectations. The species also exhibited a high degree of genetic differentiation between populations. F ST values (fixation index) for most pairs of populations were above 0.25 (0.036–0.889).Low genetic variability and high genetic structure may result from low gene flow and founder effects due to habitat fragmentation and the lack of potential vectors for cyst dispersal. The unpredictable rainfall of the region also creates potential for variable population sizes which could affect structure and variability.

Hydrobiologia↗

Using structural equation modeling to investigate relationships among ecological variables

Structural equation modeling is an advanced multivariate statistical process with which a researcher can construct theoretical concepts, test their measurement reliability, hypothesize and test a theory about their relationships, take into account measurement errors, and consider both direct and indirect effects of variables on one another. Latent variables are theoretical concepts that unite phenomena under a single term, e.g., ecosystem health, environmental condition, and pollution (Bollen, 1989). Latent variables are not measured directly but can be expressed in terms of one or more directly measurable variables called indicators. For some researchers, defining, constructing, and examining the validity of latent variables may be the end task of itself. For others, testing hypothesized relationships of latent variables may be of interest. We analyzed the correlation matrix of eleven environmental variables from the U.S. Environmental Protection Agency's (USEPA) Environmental Monitoring and Assessment Program for Estuaries (EMAP-E) using methods of structural equation modeling. We hypothesized and tested a conceptual model to characterize the interdependencies between four latent variables-sediment contamination, natural variability, biodiversity, and growth potential. In particular, we were interested in measuring the direct, indirect, and total effects of sediment contamination and natural variability on biodiversity and growth potential. The model fit the data well and accounted for 81% of the variability in biodiversity and 69% of the variability in growth potential. It revealed a positive total effect of natural variability on growth potential that otherwise would have been judged negative had we not considered indirect effects. That is, natural variability had a negative direct effect on growth potential of magnitude -0.3251 and a positive indirect effect mediated through biodiversity of magnitude 0.4509, yielding a net positive total effect of 0.1258. Natural variability had a positive direct effect on biodiversity of magnitude 0.5347 and a negative indirect effect mediated through growth potential of magnitude -0.1105 yielding a positive total effects of magnitude 0.4242. Sediment contamination had a negative direct effect on biodiversity of magnitude -0.1956 and a negative indirect effect on growth potential via biodiversity of magnitude -0.067. Biodiversity had a positive effect on growth potential of magnitude 0.8432, and growth potential had a positive effect on biodiversity of magnitude 0.3398. The correlation between biodiversity and growth potential was estimated at 0.7658 and that between sediment contamination and natural variability at -0.3769.

Environmental and Ecological Statistics↗

Fine-scale population structure Atlantic salmon from Maine's Penobscot River drainage

We report a survey of microsatellite DNA variation in Atlantic salmon from the unimpounded lower reaches of Maine's Penobscot River. Our analysis indicates that Atlantic salmon in the Penobscot River are distinct from other populations that have little or no history of human-mediated repopulation, including two of its tributaries, Cove Brook and Kenduskeag Stream, another Maine river, the Ducktrap, and Canada's Miramichi and Gander rivers. Significant heterogeneity was detected in allele frequency among all three subpopulations sampled in the Penobscot drainage. The high resolution of the 12-locussuite was quantified using maximum likelihood assignment tests, which correctly identified the source of 90.4–96.1% of individuals from within the Penobscot drainage. Current populations are clearly isolated from each other, however we are unable to determine from the present data whether the populations in Cove Brook and Kenduskeag Stream are recently diverged from populations stocked into the Penobscot River over the last century, or are aboriginal in origin. The degree of population structure identified in the Penobscot drainage is noteworthy in light of its lengthy history of systematic restocking, the geographic proximity of the subpopulations, and the extent of the differentiation. Similar population structure on this extremely limited geographic scale could exist among Atlantic salmon runs elsewhere in Maine and throughout the species' range and should be taken into account for future management decisions.

Maine↗

Inter-annual changes in the benthic community structure of riffles and pools in reaches of contrasting gradient

The inter-annual variation in the structure of the benthic community of riffles and pools was evaluated in contrasting geomorphic settings. The community structure of riffles and pools was a function of habitat, reach gradient, and discharge and was taxon specific. In years of below average peak discharge, riffles had higher taxon richness than pools (66 versus 47) but richness was similar between habitats during a year of average discharge (56 versus 54). The percentage composition of oligochaetes and elmid beetles was more variable inter-annually in pools and low gradient reaches than in high gradient reaches. Differences in the percentage of collector-gatherers and scrapers in riffles and pools appeared related to inter-annual differences in discharge regimes. Two components of the annual discharge regime appear to differentially affect the composition of the benthic community in the snowmelt dominated stream studied: the magnitude of the annual peak discharge and the duration and timing of the period of extended high flow.

Hydrobiologia↗

Aspen structure and variability in Rocky Mountain National Park, Colorado, USA

Elk, fire and climate have influenced aspen populations in the Rocky Mountains, but mostly subjective studies have characterized these factors. A broad-scale perspective may shed new light on the status of aspen in the region. We collected field measurements of aspen (Populus tremuloides Michx.) patches encountered within 36 randomly located belt transects in 340 km2 of Rocky Mountain National Park, Colorado, to quantify the aspen population. Aspen covered 5.6% of the area in the transects, much more than expected based on previously collected remotely sensed data. The distribution and structure of aspen patches were highly heterogeneous throughout the study area. Of the 123 aspen patches encountered in the 238 ha surveyed, all but one showed signs of elk browsing or had conifer species mixed with the aspen stems. No significant difference occurred in aspen basal area, density, regeneration, browsing of regeneration and patch size, between areas of concentrated elk use (elk winter range) and areas of dispersed elk use (elk summer range). Two-thirds of the aspen patches were mixed with conifer species. We concluded that the population of aspen in our study area is highly variable in structure and that, at a landscape-scale, evidence of elk browsing is widespread but evidence of aspen decline is not.

Landscape Ecology↗

Fault structure and mechanics of the Hayward Fault, California from double-difference earthquake locations

The relationship between small-magnitude seismicity and large-scale crustal faulting along the Hayward Fault, California, is investigated using a double-difference (DD) earthquake location algorithm. We used the DD method to determine high-resolution hypocenter locations of the seismicity that occurred between 1967 and 1998. The DD technique incorporates catalog travel time data and relative P and S wave arrival time measurements from waveform cross correlation to solve for the hypocentral separation between events. The relocated seismicity reveals a narrow, near-vertical fault zone at most locations. This zone follows the Hayward Fault along its northern half and then diverges from it to the east near San Leandro, forming the Mission trend. The relocated seismicity is consistent with the idea that slip from the Calaveras Fault is transferred over the Mission trend onto the northern Hayward Fault. The Mission trend is not clearly associated with any mapped active fault as it continues to the south and joins the Calaveras Fault at Calaveras Reservoir. In some locations, discrete structures adjacent to the main trace are seen, features that were previously hidden in the uncertainty of the network locations. The fine structure of the seismicity suggests that the fault surface on the northern Hayward Fault is curved or that the events occur on several substructures. Near San Leandro, where the more westerly striking trend of the Mission seismicity intersects with the surface trace of the (aseismic) southern Hayward Fault, the seismicity remains diffuse after relocation, with strong variation in focal mechanisms between adjacent events indicating a highly fractured zone of deformation. The seismicity is highly organized in space, especially on the northern Hayward Fault, where it forms horizontal, slip-parallel streaks of hypocenters of only a few tens of meters width, bounded by areas almost absent of seismic activity. During the interval from 1984 to 1998, when digital waveforms are available, we find that fewer than 6.5% of the earthquakes can be classified as repeating earthquakes, events that rupture the same fault patch more than one time. These most commonly are located in the shallow creeping part of the fault, or within the streaks at greater depth. The slow repeat rate of 2–3 times within the 15-year observation period for events with magnitudes around M = 1.5 is indicative of a low slip rate or a high stress drop. The absence of microearthquakes over large, contiguous areas of the northern Hayward Fault plane in the depth interval from ∼5 to 10 km and the concentrations of seismicity at these depths suggest that the aseismic regions are either locked or retarded and are storing strain energy for release in future large-magnitude earthquakes.

California↗

Crustal structure and relocated earthquakes in the Puget Lowland, Washington, from high-resolution seismic tomography

The availability of regional earthquake data from the Pacific Northwest Seismograph Network (PNSN), together with active source data from the Seismic Hazards Investigation in Puget Sound (SHIPS) seismic experiments, has allowed us to construct a new high-resolution 3-D, P wave velocity model of the crust to a depth of about 30 km in the central Puget Lowland. In our method, earthquake hypocenters and velocity model are jointly coupled in a fully nonlinear tomographic inversion. Active source data constrain the upper 10–15 km of the model, and earthquakes constrain the deepest portion of the model. A number of sedimentary basins are imaged, including the previously unrecognized Muckleshoot basin, and the previously incompletely defined Possession and Sequim basins. Various features of the shallow crust are imaged in detail and their structural transitions to the mid and lower crust are revealed. These include the Tacoma basin and fault zone, the Seattle basin and fault zone, the Seattle and Port Ludlow velocity highs, the Port Townsend basin, the Kingston Arch, and the Crescent basement, which is arched beneath the Lowland from its surface exposure in the eastern Olympics. Strong lateral velocity gradients, consistent with the existence of previously inferred faults, are observed, bounding the southern Port Townsend basin, the western edge of the Seattle basin beneath Dabob Bay, and portions of the Port Ludlow velocity high and the Tacoma basin. Significant velocity gradients are not observed across the southern Whidbey Island fault, the Lofall fault, or along most of the inferred location of the Hood Canal fault. Using improved earthquake locations resulting from our inversion, we determined focal mechanisms for a number of the best recorded earthquakes in the data set, revealing a complex pattern of deformation dominated by general arc-parallel regional tectonic compression. Most earthquakes occur in the basement rocks inferred to be the lower Tertiary Crescent formation. The sedimentary basins and the eastern part of the Olympic subduction complex are largely devoid of earthquakes. Clear association of hypocenters and focal mechanisms with previously mapped or proposed faults is difficult; however, seismicity, structure, and focal mechanisms associated with the Seattle fault zone suggest a possible high-angle mode of deformation with the north side up. We suggest that this deformation may be driven by isostatic readjustment of the Seattle basin.

Washington↗

Reoccupation of floodplains by rivers and its relation to the age structure of floodplain vegetation

River channel dynamics over many decades provide a physical control on the age structure of floodplain vegetation as a river occupies and abandons locations. Floodplain reoccupation by a river, in particular, determines the interval of time during which vegetation can establish and mature. A general framework for analyzing floodplain reoccupation and a time series model are developed and applied to five alluvial rivers in the United States. Channel dynamics in these rivers demonstrate time-scale dependence with short-term oscillation in active channel area in response to floods and subsequent vegetation growth and progressive lateral movement that accounts for much of the cumulative area occupied by the rivers over decades. Rivers preferentially reoccupy locations recently abandoned causing a decreasing probability of reoccupation with time since abandonment. For a typical case, a river is 10 times more likely to reoccupy an area it abandoned in the past decade than it is to reoccupy an area it abandoned 30 yrs ago. The decreasing probability of reoccupation over time is consistent with observations of persistent stands of late seral stage floodplain forest. A power function provides a robust approach for estimating the cumulative area occupied by a river and the age structure of riparian forests resulting from a specific historical sequence of streamflow in comparison to either linear or exponential alternatives.

Journal of Geophysical Research↗

Upper mantle earth structure in Africa from full-wave ambient noise tomography

Our understanding of the tectonic development of the African continent and the interplay between its geological provinces is hindered by unevenly distributed seismic instrumentation. In order to better understand the continent, we used long-period ambient noise full waveform tomography on data collected from 186 broadband seismic stations throughout Africa and surrounding regions to better image the upper mantle structure. We extracted empirical Green’s functions from ambient seismic noise using a frequency-time normalization method and retrieved coherent signal at periods of 7-340 seconds. We simulated wave propagation through a heterogeneous Earth using a spherical finite-difference approach to obtain synthetic waveforms, measured the misfit as phase delay between the data and synthetics, calculated numerical sensitivity kernels using the scattering integral approach, and iteratively inverted for structure. The resulting images of isotropic, shear wavespeed for the continent reveal segmented, low-velocity upper mantle beneath the highly magmatic northern and eastern sections of the East African Rift System (EARS). In the southern and western sections, high-velocity upper mantle dominates, and distinct, low-velocity anomalies are restricted to regions of current volcanism. At deeper depths, the southern and western EARS transitions to low-velocities. In addition to the EARS, several low-velocity anomalies are scattered through the shallow upper mantle beneath Angola and North Africa, and some of these low-velocity anomalies may be connected to a deeper feature. Distinct upper mantle high-velocity anomalies are imaged throughout the continent and suggest multiple cratonic roots within the Congo region, and possible cratonic roots within the Sahara Metacraton.

Geochemistry, Geophysics, Geosystems↗

The influence of foreland structures on hinterland cooling: evaluating the drivers of exhumation in the eastern Bhutan Himalaya

Understanding, and ideally quantifying, the relative roles of climatic and tectonic processes during orogenic exhumation is critical to resolving the dynamics of mountain building. However, vastly differing opinions regarding proposed drivers often complicate how thermochronometric ages are interpreted, particularly from the hinterland portions of thrust belts. Here we integrate three possible cross section geometries and kinematics along a transect through the eastern Bhutan Himalaya with a thermal model (Pecube-D) to calculate the resulting thermal field and predict potential ages. We compare predicted ages to a suite of new and published cooling ages. Our results argue for ramp-focused exhumation of the Main Central Thrust (MCT) from 16 to 14 Ma at shortening rates of 40-55 mm/yr, followed by slower rates (25 mm/yr) during the last 50 km of MCT displacement and growth of the Lesser Himalayan (LH) duplex from 14-11 Ma. Emplacement of frontal LH thrust sheets occurred rapidly (55-70 mm/yr) between ~11 and 9 Ma, followed by a decrease in shortening rates to ~10 mm/yr during motion on the Main Boundary Thrust (MBT). Modern shortening rates (17 mm/yr) and out-of-sequence motion on the MBT from 0.5 Ma to present reproduce the young cooling ages near the MBT. We show that the dominant control on exhumation patterns in a fold-thrust belt results from the evolution of ramps and emphasize that the geometry and kinematics of structures driving hinterland exhumation need to be evaluated with their linked foreland structures to ensure the viability of the proposed geometry, kinematics and thus cooling history.

Tectonics↗

Shallow basin structure and attenuation are key to predicting long shaking duration in Los Angeles Basin

Ground motions in the Los Angeles Basin during large earthquakes are modulated by earthquake ruptures, path effects into the basin, basin effects, and local site response. We analyzed the direct effect of shallow basin structures on shaking duration at a period of 2–10 s in the Los Angeles region through modeling small magnitude, shallow, and deep earthquake pairs. The source depth modulates the basin response, particularly the shaking duration, and these features are a function of path effect and not site condition. Three-dimensional simulations using the CVM-S4.26.M01 velocity model show good fitting to the initial portion of the waveforms at periods of 5 s and longer but fail to predict the long shaking duration during shallow events, especially at periods less than 5 s. Simulations using CVM-H do not match the timing of the initial arrivals as well as CVM-S4.26.M01, and the strong late arrivals in the CVM-H simulation travel with an apparent velocity slower than observed. A higher-quality factor than traditionally assumed may produce synthetics with longer durations but is unable to accurately match the amplitude and phase. Beamforming analysis using dense array data further reveals the long duration surface waves have the same back azimuth as the direct arrivals and are generated at the basin edges, while the later coda waves are scattered from off-azimuth directions, potentially due to strong, sharp boundaries offshore. Improving the description of these shallow basin structures and attenuation model will enhance our capability to predict long-period ground motions in basins.

California↗

Ancient winds, waves, and atmosphere in Gale Crater, Mars, inferred from sedimentary structures and wave modeling

Wave modeling and analysis of sedimentary structures were used to evaluate whether four examples of symmetrical, reversing, or straight-crested bedforms in Gale crater sandstones are preserved wave ripples; deposition by waves would demonstrate that the lake was not covered by ice at that time. Wave modeling indicates that regardless of atmospheric density, winds that exceeded the threshold of aeolian sand transport could have generated waves capable of producing nearshore wave ripples in most grain sizes of sand. Reversing 3-m-wavelength bedforms in the Kimberley formation are interpreted not as wave ripples but rather as large aeolian ripples that formed in an atmosphere approximately as thin as at present. These exhumed bedforms define many of the ridges at outcrops that appear striated in satellite images. At Kimberley these bedforms demonstrably underlie and therefore predate subaqueous beds, suggesting that a thin atmosphere existed at least temporarily before subaqueous deposition ceased in the crater. The other three candidate wave ripples (Square Top, Hunda, and Voe) are consistent with modeled waves, but other origins cannot be excluded. The predominance of flat-laminated (non-rippled) beds in the lacustrine Murray formation suggests that some aspect of the lake was not conducive to formation or preservation of recognizable wave ripples. Water depths may generally have been too deep, lakebed sediment may have been too fine-grained, the lake may have been smaller than modeled, or the lake may have been covered by ice. Plain Language Summary Wave modeling and analysis of sedimentary structures were used to evaluate whether ancient lake deposits in Gale crater contain ripples formed by waves on the surface of the lake. Deposition by waves would show that the lake was not covered by ice at that time. Modeling shows that regardless of atmospheric density, winds capable of moving sand on land would generally have been strong enough to form waves that would produce ripples near shore. Large bedforms in the Kimberley formation are interpreted as ripples formed by the wind in an atmosphere similar to that of Mars today. These bedforms underlie and are older than other beds deposited in water, thereby showing that a thin atmosphere existed at least temporarily before deposition in water ceased in the crater. Three other candidate wave ripples are consistent with modeled waves, but other origins are possible. Thick sequences of sedimentary rock in Gale crater are flat-laminated rather than rippled, suggesting that some aspect of the lake was not favorable for their formation or preservation. Much of the lake may have been too deep or ice-covered, or the lake may have been smaller than modeled or had sediment too fine to form easily observed ripples.

Journal of Geophysical Research: Planets↗

Crustal resistivity structure from magnetotelluric soundings in the Colorado Plateau-Basin and Range provinces, central and western Arizona

Resistivity structure to about 25 km depth is defined from two-dimensional modeling of 29 magnetotelluric (MT) soundings (0.002–5 Hz) that traverse 280 km of the southwestern Colorado Plateau, transition zone, and Basin and Range provinces in Arizona. From the surface to 5 km depth, the MT model suggests structural relationships between low-resistivity sedimentary and volcanic rocks (50–300 ohm m) and high-resistivity granitic and gneissic basement (500–9000 ohm m). In the Basin and Range province, the MT model and a seismic reflection section show a generally consistent distribution of supracrustal rocks that have relatively low to moderate resistivity (MT) and relatively strong, locally coherent reflectivity. The supracrustal zone defined by these physical properties is inferred to be composed of upper plate rocks above a middle Tertiary detachment fault system which has been mapped in surrounding ranges. Some low-angle fault zones inferred from seismic reflections to extend into high resistivity basement below the supracrustal rocks are not resolved by the MT model. A low-resistivity zone with a conductance of 500 S or more is modeled in the crust at an average depth of about 15 km in the Basin and Range province and transition zone and may deepen below the southwestern part of the Colorado Plateau. In the Basin and Range province, the top of the low resistivity may correspond to a reflective layer with a 6-s two-way-travel time. This deep low-resistivity zone might be caused by a small fraction of connected hydrous solutions or silicic melts.

Journal of Geophysical Research↗