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At least 919 records · Page 51Linked to original sources

Sedimentary processes and instability on the Mississippi River Delta Front near the shipwreck of the SS Virginia

Sediment cores were collected from a mudflow lobe (80 m water depth) offshore of the Mississippi River’s Southwest Pass in 2017 to better understand the sedimentology near the lobe entraining the SS Virginia shipwreck (sunk by a German U-boat in 1942) and surrounding Mississippi River delta front. Core analyses included 210 Pb/ 137 Cs geochronology, granulometry, and X-radiography. Sediment accumulation rates (SAR) calculated from excess 210 Pb activity in multicores are 0.22–0.29 cm/y at seabed depths less than 20 cm and 0.29–0.51 cm/y at depths greater than 20 cm. Accumulation rates for 137 Cs have been ~0.15 to ~0.37 cm/y since 1954 and 1963, respectively. Sediment accumulation rates from 210 Pb, 137 Cs geochronology and indicators of relative sedimentation and bioturbation from X-radiographs suggest that rates of sediment accumulation near the Virginia have declined since the mid-20th century. This may be explained by the multi-decade downslope mass transport of the mudflow lobe in which the shipwreck is embedded and decreases in sediment supply delivered offshore from the Mississippi river. Mass transport calculations of the Virginia lobe derived from core properties and published lobe advection rates suggest downslope mass transport is far higher than sediment resupply from the Mississippi river, consistent with recent studies of delta retreat.

Mississippi↗

Ecology of the Opossum Shrimp ( Neomysis mercedis ) in a Lower Snake River Reservoir, Washington

The opossum shrimp Neomysis mercedis has expanded its range from the lower Columbia River upstream 695 kilometers into Lower Granite Reservoir where it is now very abundant. We studied Neomysis ecology in the reservoir during 2011–2015 to better understand the physical and biological factors that shape their distribution as well as their potential role in the food web. Benthic densities in offshore habitats ranged from 19 to 145 mysids m -2 in shallow (2–12 m) water and from 3 to 48 mysids m -2 in deep (> 12 m) water. Water velocity, depth, substrate, and seasonal interactions were important variables for explaining variation in Neomysis densities in offshore habitats. During spring, daytime densities in shoreline habitats (< 2 m deep) were variable, but nighttime densities generally decreased in summer following reproduction and as temperatures approached 23 °C. Neomysis were mainly collected from the water column during nighttime vertical tows in the downstream end of the reservoir when water velocities were low during summer and autumn. Reproduction occurred mainly in spring and early summer, but a second, smaller reproductive event was observed during autumn. The diet of Neomysis consisted primarily of detritus, rotifers, and copepods, but cladocerans were more prominent during summer and autumn. Physical factors like water velocity may have limited vertical migrations of Neomysis to feed in the water column and influenced use of different habitats in the reservoir. Neomysis are prey for a number of species, including juvenile salmon, but their relations are still largely unknown, and continued monitoring and research is warranted.

Washington↗

Toxic Alexandrium blooms in the western Gulf of Maine: The plume advection hypothesis revisited

The plume advection hypothesis links blooms of the toxic dinoflagellate Alexandrium fundyense in the western Gulf of Maine (GOM) to a buoyant plume derived from river outflows. This hypothesis was examined with cruise and moored-instrument observations in 1993 when levels of paralytic shellfish poisoning (PSP) toxins were high, and in 1994 when toxicity was low. A coupled physical-biological model simulated hydrography and A. fundyense distributions. Initial A. fundyense populations were restricted to low-salinity nearshore waters near Casco Bay, but also occurred in higher salinity waters along the plume boundary. This suggests two sources of cells - those from shallow-water cyst populations and those transported to shore from offshore blooms in the eastern segment of the Maine coastal current (EMCC). Observations confirm the role of the plume in A. fundyense transport and growth. Downwelling-favorable winds in 1993 transported the plume and its cells rapidly alongshore, enhancing toxicity and propagating PSP to the south. In 1994, sustained upwelling moved the plume offshore, resulting in low toxicity in intertidal shellfish. A. fundyense blooms were likely nutrient limited, leading to low growth rates and moderate cell abundances. These observations and mechanisms were reproduced by coupled physical-biological model simulations. The plume advection hypothesis provides a viable explanation for outbreaks of PSP in the western GOM, but should be refined to include two sources for cells that populate the plume and two major pathways for transport: one within the low-salinity plume and another where A. fundyense cells originating in the EMCC are transported along the outer boundary of the plume front with the western segment of the Maine coastal current.

Casco Bay, Gulf of Maine↗

An investigation of submarine groundwater—borne nutrient fluxes to the west Florida shelf and recurrent harmful algal blooms

A cross‐shelf, water‐column mass balance of radon‐222 ( 222 Rn) provided estimates of submarine groundwater discharge (SGD), which were then used to quantify benthic nutrient fluxes. Surface water and groundwater were collected along a shore‐normal transect that extended from Tampa Bay, Florida, across the Pinellas County peninsula, to the 10‐m isobath in the Gulf of Mexico. Samples were analyzed for 222 Rn and radium‐223,224,226 ( 223,224,226 Ra) activities as well as inorganic and organic nutrients. Cross‐shore gradients of 222 Rn and 223,224,226 Ra activities indicate a nearshore source for these isotopes, which mixes with water characterized by low activities offshore. Radon‐based SGD rates vary between 2.5 and 15 cm d −1 proximal to the shoreline and decrease offshore. The source of SGD is largely shallow exchange between surface and pore waters, although deeper groundwater cycling may also be important. Enrichment of total dissolved nitrogen and soluble reactive phosphorus in pore water combined with SGD rates results in specific nutrient fluxes comparable to or greater than estuarine fluxes from Tampa Bay. The significance of these fluxes to nearshore blooms of Karenia brevis is highlighted by comparison with prescribed nutrient demands for bloom maintenance and growth. Whereas our flux estimates do not indicate SGD and benthic fluxes as the dominant nutrient source to the harmful algal blooms, SGD‐derived loads do narrow the deficit between documented nutrient supplies and bloom demands.

Florida↗

Quantifying the coastal hazard risk reduction benefits of coral reef restoration in the U.S. Virgin Islands

Coastal habitat restoration, especially of coral reef ecosystems, can significantly reduce the exposure of coastal communities to natural hazards and, consequently, the risk of wave-driven flooding. Likewise, reef degradation can increase coastal flood risks to people and property. In this study, the valuation of coral reefs in the United States Virgin Islands (USVI), along the coasts of St. Croix, St. John, and St. Thomas, demonstrated the social and economic benefits provided by these natural defenses. Across the territory, more than 481 people and $31.2 million of infrastructure were estimated to receive protection from coral reefs per year (2010 U.S. dollars). In 2017, Hurricanes Irma and Maria significantly damaged coral reefs throughout the archipelago. By combining engineering, ecological, geospatial, social, and economic data and tools, this study provided a rigorous valuation of where potential coral reef restoration projects could help rebuild these damaged habitats and decrease the risks from coastal hazards faced by USVI’s reef-fronted communities. Multiple restoration scenarios were considered in the analysis, two of which are detailed in this report. These include (1) ‘Ecological’ restoration, where restoration creates a structure that is 0.25 m high and 25-m-wide reef, and (2) ‘Hybrid’ restoration, where restoration creates a structure that is 1.25 m high and 5 m wide. There are many ways that such structures could be developed. In the hydrodynamic analyses, there are no assumptions about how the restoration is developed. Many practitioners of both coral (and oyster reef) restoration consider that a reef height of 0.25 m might be delivered from planting corals alone and that 1.25 m might require a combination of artificial structures and coral planting. In a third scenario, the analysis investigated the reduction of protection benefits that would occur through the reduction of 1 meter of naturally occurring reef height due to reef degradation. The reduction of protection due to the loss of reefs can also be interpreted as the protection value of the existing reefs. In all studied restoration scenarios, it was assumed that the planting of corals would enhance hydrodynamic roughness, effectively dissipating incident wave energy and reducing the potential for coastal flooding. A standardized approach was employed to strategically locate potential restoration projects along the entire linear extent of existing reefs bordering the USVI, and to identify where coral reef restoration could offer valuable benefits in flood reduction. Potential restoration projects were only located within the existing distribution of reefs across the region, even though numerous sites were positioned far offshore (2-3 km), and some were at relatively deep depths (up to 7 m). Risk-based valuation approaches were followed to delineate flood zones at a 10 m 2 resolution along the entire region's reef-lined shorelines for all the potential coral reef restoration scenarios. These were subsequently compared to flood zones without coral reef restoration. The potential reduction in coastal flood risk provided by coral reef restoration, and the protection value of existing reefs, were quantified utilizing the latest information available at the time of analysis from the U.S. Census Bureau, Federal Emergency Management Agency (FEMA), and Bureau of Economic Analysis for return-interval storm events. The change in Expected Annual Damages (EAD), a metric indicating the annual protection gained due to coral reef restoration, was calculated based on the damages associated with each storm probability. The findings suggest that the benefits of reef restoration are spatially variable within the USVI. In some areas, the analysis showed limited benefits from reef restoration, which may be attributed to the depth or offshore distances of proposed restoration sites. However, there were a number of key areas where reef restoration could have substantial benefits for flood risk reduction. The annual flood risk reduction attributed to potential ‘ecological’ coral reef restoration in the USVI was 99 people and $6.1 million (2010 U.S. dollars). The Benefit-to-Cost Ratio (BCR) for this restoration approach was found to be larger than 1 (i.e., cost-effective) along 11% of the St. Croix coastline, 4.9% of the St. John coastline, and 8.7% of the St. Thomas coastline. This analysis offers stakeholders and decision-makers a spatially explicit and rigorous evaluation that illustrates how, where, and when potential coral reef restoration efforts in St. Croix, St. John, and St. Thomas could be instrumental to reducing coastal storm-induced flooding. Understanding areas where reef management, recovery, and restoration could effectively reduce climate hazard-related risks is crucial to protect and enhance the resilience of coastal communities in USVI.

Report↗

Relative abundance, seasonal occurrence, and distribution of marine birds in the northern Gulf of Mexico

Marine birds in the U.S. Gulf of Mexico have long been poorly studied. Given statutory obligations to protect migratory birds and endangered species, three broad-scale vessel and aerial programs initiated since 2010 have now surveyed the entire northern Gulf. Vessel coverage alone exceeds 700 d and 74,000 km of observer effort using 300-m strip transects. We supplemented these survey data with earlier, smaller-scale studies, eBird checklists, literature reviews, and other less accessible sources to create snapshot summaries of relative abundance, seasonal occurrence, and regional distribution for 117 taxa of marine and water birds reported from the northern Gulf (113 of which were substantiated with physical evidence). Using taxonomic and functional criteria, we identified 56 taxa characteristic of open shelf, slope, and pelagic waters (federal jurisdiction), 41 taxa with primarily coastal affinities (state and federal jurisdiction), and 20 taxa of sea and diving ducks. High species richness of marine birds in the northern Gulf is attributed to (1) a temperate-to-tropical gradient facilitating diverse marine environments year-round; (2) varied geographic origins of marine bird species using the Gulf; and (3) a mostly enclosed sea basin acting as a vagrant trap for wide-ranging species. Our taxonomic list and status updates seek to bridge information gaps for marine birds now subject to accelerated commercial uses of this region's continental shelf, including newly proposed offshore wind energy development. Other applications include guiding risk and vulnerability assessments of Gulf marine birds, providing core content for seabird observer training, and prioritizing environmental impact reviews and monitoring programs in offshore energy construction and operations plans.

Marine Ornithology: Journal of Seabird Research an↗

Dive characteristics of Common Loons wintering in the Gulf of Mexico and off the southern U.S. Atlantic coast

Common Loons ( Gavia immer ) winter primarily in marine coastal areas and utilize a forage base that is poorly defined, especially for offshore areas. Information on dive activity is needed for describing foraging strategies and for inferring prey distribution. Archival geolocator tags were used to determine the wintering locations and dive characteristics of adult Common Loons captured and marked on breeding lakes in Minnesota, Wisconsin, and the Upper Peninsula of Michigan. Among loons that completed fall migration, most wintered in the Gulf of Mexico, with smaller proportions wintering off the southern Atlantic Coast or impoundments in the southeastern United States. Adult Common Loons tended to occupy offshore areas of the Gulf of Mexico and the Atlantic Ocean and, on average, spent about 60% of daylight hours foraging. Dive depths were as deep as 50 m (Gulf of Mexico) and dive characteristics indicated that loons were primarily foraging on benthic prey. Total dive duration, time at maximum depth, and post-dive surface intervals increased with dive depths among wintering Common Loons. Our results are expected to contribute to the understanding of the wintering ecology of Common Loons and be useful in informing regional and national conservation planning efforts.

Journal of Field Ornithology↗

Zebra mussel induced mortality of unionids in firm substrata of western Lake Erie and a habitat for survival

The present study was conducted to determine impacts of zebra mussel [Dreissena polymorpha (Pallas, 1771); Dreissenidae] infestation on unionids in firm substrata in western Lake Erie. Unionid mollusks were collected at a total of 15 stations on three offshore depth contours (2, 3, and 4 m) in 1983 (before zebra mussel infestation), in 1990 and 1993 (after zebra mussel infestation), and at one station on a nearshore 2-m depth contour and along one transect on a nearshore 1-m depth contour in 1993. Numbers of living unionids on substrata along offshore contours remained similar between 1983 and 1990 and then decreased from 97 individuals in 1990 to only five individuals in 1993. In addition, the number of species decreased from nine to four between 1990 and 1993. In contrast, on nearshore contours 85 living individuals representing nine species were found in 1993. About 48% of the living and 79% of the dead unionids at the two nearshore locations were covered with byssal threads of dreissenid mussels, but were not actively infested by mussels. The presence of living unionids on nearshore contours of western Lake Erie in 1993 indicates that survival of unionids in the presence of abundant zebra mussel populations can be possible in firm substrata and that these habitats can provide natural ''refugia'' for unionid populations. At present, we do not know what allows unionids to survive in the presence of zebra mussel colonization, but believe that water-level fluctuations and waves could contribute to the removal of mussels from unionids. This information could be of major concern in the mitigation of impacts of infestation on unionids in waters throughout North America.

American Malacological Bulletin↗

Food of salmonine predators in Lake Superior, 1981-87

Diets of ten species of Lake Superior salmonines are described. Rainbow smelt (Osmerus mordax) were the primary prey during all seasons and years for inshore lake trout (Salvelinus namaycush), Pacific salmon (Oncorhynchus spp.), Atlantic salmon (Salmo salar), brown trout (S. trutta), brook trout (Salvelinus fontinalis), and splake (lake trout x brook trout hybrid). Coregonines were the second most-important prey for chinook salmon (O. tshawytscha), siscowet trout (S. namaycush siscowet), and splake. Invertebrates were important to rainbow trout (O. mykiss), coho salmon (O. kisutch), and pink salmon (O. gorbuscha), especially during the summer. Diets of lake trout from inshore and offshore locations differed markedly. Rainbow smelt were the primary food of inshore lake trout, and coregonines were the main food of offshore lake trout. Chinook salmon and inshore lake trout had the most similar diets because they ate similar proportions of rainbow smelt and coregonines. Salmonines generally ate more rainbow smelt and less coregonines in proportion to the abundance of these prey in the lake. If rainbow smelt populations collapse, the ability of salmonines to convert to a diet based on lake herring (Coregonus artedi) could be important to the stability of predator populations.

Technical Report↗

Population trends of North American sea ducks as revealed by the Christmas Bird Count

Relative to other waterfowl, sea ducks are not well understood, yet evidence from a variety of analyses suggests that as many as 10 of the 15 species of North American sea ducks may be declining in population. However, because of the difficulty of conducting surveys of breeding populations and the lack of range-wide winter surveys, few data are available to assess the population trends of sea ducks with confidence. We analyze Audubon Christmas Bird Count data using hierarchical modeling methods that control for varying effort among circles and over time. These procedures allow us to assess early-winter relative density patterns among states and Bird Conservation Regions (BCRs) while also assessing trends in these regions and across the species North American range. Over the interval 1966 - 2003, continent-wide declines were observed in 1 of 11 species (the White-winged Scoter; -3.7%/yr). We compare CBC results to estimates of population change derived from the midwinter waterfowl survey conducted by the US Fish and Wildlife Service. The CBC does not effectively sample offshore populations of sea ducks; however, the CBC data can be used to assist in development of species-specific surveys, and CBC data can be used in combination with additional offshore sampling programs to better sample sea duck species.

Book chapter↗

NONFUEL MINERAL RESOURCES OF THE PACIFIC EXCLUSIVE ECONOMIC ZONE.

The Pacific Exclusive Economic Zone contains a variety of hard mineral resources. Sand and gravel and their associated placer deposits of heavy minerals are the most likely to be developed in the near future, but offshore and deep water deposits of phosphorite, abyssal manganese nodules, ferromanganese crusts enriched in cobalt, and massive sulfide deposits all represent future resources. The distribution, extent, and formation of these deposits are poorly understood and will be clarified only with additional exploration, framework geologic mapping, and study of the processes by which these resources form. It is pointed out that the initial discovery of most hard-mineral resources in the EEZ was made during routine scientific marine-geologic surveys aimed at understanding the framework geology and geologic processes of an offshore region.

Conference Paper↗

GAS HYDRATES AT TWO SITES OF AN ACTIVE CONTINENTAL MARGIN.

Sediment containing gas hydrates from two distant Deep Sea Drilling Project sites (565 and 568), located about 670 km apart on the landward flank of the Middle America Trench, was studied to determine the geochemical conditions that characterize the occurrence of gas hydrates. Site 565 was located in the Pacific Ocean offshore the Nicoya Peninsula of Costa Rica in 3,111 m of water. The depth of the hole at this site was 328 m, and gas hydrates were recovered from 285 and 319 m. Site 568 was located about 670 km to the northwest offshore Guatemala in 2,031 m of water. At this site the hole penetrated to 418 m, and gas hydrates were encountered at 404 m.

Conference Paper↗

Sedimentary framework of the southern Maine inner continental shelf: Influence of glaciation and sea-level change

Although the tidally influenced shoreline of Maine is longer than that of virtually any other state, almost no research on its geology has been published. In order to go some way towards remedying this, 1500 km of high-resolution seismic reflection data and 800 km of sidescan sonar imagery have been collected. On the basis of these data and observations made during ten submersible dives, more than 800 bottom samples were collected and evaluated for texture and composition. The understanding of the sedimentary framework of the southern Maine shelf and the processes that maintain it are summarized, and future research directions to evaluate the strategic mineral potential are indicated. In the past 14,000 years, the Maine shelf has experienced a deglaciation and two marine transgressions separated by a regression. The deglaciation was accompanied by the first transgression and deposited till interbedded with up to 40 m of glaciomarine sediment (the Presumpscot Formation) across the shelf. The first transgression culminated about 12,500 yrs B.P., and its landward limit is marked by large glaciomarine deltas 50-100 km landward of the present-day coast. Sea level fell until about 9500 yrs B.P., when shorelines were cut at about the 65 m depth and some large "lowstand deltas" were deposited. Sea level has risen since then and in the general absence of modern river sediment input marine processes have reworked the older sediment. Five shelf environments have been defined in terms of their surficial sediment and stratigraphy. Nearshore ramps are sandy regions extending to about 30 m deep offshore of sandy beaches. These may be reworked lowstand deltas, and possess the thickest bodies of sand in the region. Nearshore basins are mud-filled troughs seaward of coastal areas lacking significant river input. Slumping glaciomarine deposits provide most of the Holocene mud that floors these basins. Rocky zones are extensive areas of exposed rock most common in the 30-50 m depth range. These are areas of high carbonate productivity and provide shell fragments to adjacent areas. The outer basins are muddy regions that begin at the 65 m shoreline and extend beyond the 100 m isobath to the deep Gulf of Maine. Finally, shelf valleys are former stream courses that connect nearshore ramps and basins to the outer basins. These bedrock-framed valleys are filled with sand and mud and are apparently still active conduits for the offshore movement of sediment. The mineralogy of the shelf sediment is complex, and it is not yet clear whether glacial homogenization has obliterated distinctions between river drainage basins and the adjacent shelf. Studies are continuing into northern Maine and analysis of the heavy mineralogy of the shelf sediment utilizing a 2 m Humphrey Spiral to process large grab samples and cores has begun. ?? 1989.

Marine Geology↗

Middle Miocene paleotemperature anomalies within the Franciscan Complex of northern California: Thermo-tectonic responses near the Mendocino triple junction

This study documents three localities in the Franciscan accretionary complex of northern California, now adjacent to the San Andreas fault, that were overprinted thermally between 13.9 and 12.2 Ma: Point Delgada-Shelter Cove (King Range terrane); Bolinas Ridge (San Bruno Mountain terrane); and Mount San Bruno (San Bruno Mountain terrane). Vein assemblages of quartz, carbonate, sulfide minerals, and adularia were precipitated locally in highly fractured wall rock. Vitrinite reflectance (Rm) values and illite crystallinity decrease away from the zones of metalliferous veins, where peak wall-rock temperatures, as determined from Rm, were as high as 315??C. The ??18O values of quartz and calcite indicate that two separate types of fluid contributed to vein precipitation. Higher ??18O fluids produced widespread quartz and calcite veins that are typical of the regional paleothermal regime. The widespread veins are by-products of heat conduction and diffuse fluid flow during zeolite and prehnite-pumpellyite-grade metamorphism, and we interpret their paleofluids to have evolved through dehydration reactions and/or extensive isotopic exchange with accreted Franciscan rocks. Lower ??18O fluids, in contrast, evolved from relatively high temperature exchange between seawater (or meteoric water) and basaltic and/or sedimentary host rocks; focused flow of those fluids resulted in local deposition of the metalliferous veins. Heat sources for the three paleothermal anomalies remain uncertain and may have been unrelated to one another. Higher temperature metalliferous fluids in the King Range terrane could have advected either from a site of ridge-trench interaction north of the Mendocino fracture zone or from a "slabless window" in the wake of the northward migrating Mendocino triple junction. A separate paradox involves the amount of Quaternary offset of Franciscan basement rocks near Shelter Cove by on-land faults that some regard as the main active trace of the San Andreas plate boundary. Contouring of vitrinite reflectance values to the north of an area affected by A.D. 1906 surface rupture indicates that the maximum dextral offset within the interior of the King Range terrane is only 2.5 km. If this fault extends inland, and if it has been accommodating most of the strike-slip component of San Andreas offset at a rate of 3-4 cm/yr, then its activity began only 83-62 ka. This interpretation would also mean that a longer term trace of the San Andreas fault must be nearby, either offshore or along the northeast boundary of the King Range terrane. An offshore fault trace would be consistent with peak heating of King Range strata north of the Mendocino triple junction. Conversely, shifting the fault to the east would be compatible with a slabless window heat source and long-distance northward translation of the King Range terrane after peak heating.

Geological Society of America Bulletin↗

The San Andreas fault in the San Francisco Bay region, California: Structure and kinematics of a Young plate boundary

Recently acquired high-resolution aeromagnetic data delineate offset and/or truncated magnetic rock bodies of the Franciscan Complex that define the location and structure of, and total offset across, the San Andreas fault in the San Francisco Bay region. Two distinctive magnetic anomalies caused by ultramafic rocks and metabasalts east of, and truncated at, the San Andreas fault have clear counterparts west of the fault that indicate a total right-lateral offset of only 22 km on the Peninsula segment, the active strand that ruptured in 1906. The location of the Peninsula segment is well defined magnetically on the northern peninsula where it goes offshore, and can be traced along strike an additional ~6 km to the northwest. Just offshore from Lake Merced, the inferred fault trace steps right (northeast) 3 km onto a nearly parallel strand that can be traced magnetically northwest more than 20 km as the linear northeast edge of a magnetic block bounded by the San Andreas fault, the Pilarcitos fault, and the San Gregorio-Hosgri fault zone. This right-stepping strand, the Golden Gate segment, joins the eastern mapped trace of the San Andreas fault at Bolinas Lagoon and projects back onshore to the southeast near Lake Merced. Inversion of detailed gravity data on the San Francisco Peninsula reveals a 3 km wide basin situated between the two strands of the San Andreas fault, floored by Franciscan basement and filled with Plio-Quaternary sedimentary deposits of the Merced and Colma formations. The basin, ~1 km deep at the coast, narrows and becomes thinner to the southeast along the fault over a distance of ~12 km. The length, width, and location of the basin between the two strands are consistent with a pull-apart basin formed behind the right step in the right-lateral strike-slip San Andreas fault system and currently moving southeast with the North American plate. Slight nonparallelism of the two strands bounding the basin (implying a small component of convergence with continued strike-slip movement) may explain the progressive narrowing of the basin to the southeast and the puzzling recent uplift of the Merced Formation in a predominantly extensional (pull-apart basin) setting. The 1906 San Francisco earthquake may have nucleated within the step-over region, and the step-over places a strand of the San Andreas fault 3 km closer to downtown San Francisco than previously thought.

International Geology Review↗

Fault slip and seismic moment of the 1700 Cascadia earthquake inferred from Japanese tsunami descriptions

The 1700 Cascadia earthquake attained moment magnitude 9 according to new estimates based on effects of its tsunami in Japan, computed coseismic seafloor deformation for hypothetical ruptures in Cascadia, and tsunami modeling in the Pacific Ocean. Reports of damage and flooding show that the 1700 Casscadia tsunami reached 1-5 m heights at seven shoreline sites in Japan. Three sets of estimated heights express uncertainty about location and depth of reported flooding, landward decline in tsunami heights from shorelines, and post-1700 land-level changes. We compare each set with tsunami heights computed from six Cascadia sources. Each source is vertical seafloor displacement calculated with a three-dimensional elastic dislocation model, for three sources the rupture extends the 1100 km length of the subduction zone and differs in width and shallow dip; for the other sources, ruptures of ordinary width extend 360-670 km. To compute tsunami waveforms, we use a linear long-wave approximation with a finite difference method, and we employ modern bathymetry with nearshore grid spacing as small as 0.4 km. The various combinations of Japanese tsunami heights and Cascadia sources give seismic moment of 1-9 ?? 1022 N m, equivalent to moment magnitude 8.7-9.2. This range excludes several unquantified uncertainties. The most likely earthquake, of moment magnitude 9.0, has 19 m of coseismic slip on an offshore, full-slip zone 1100 km long with linearly decreasing slip on a downdip partial-slip zone. The shorter rupture models require up to 40 m offshore slip and predict land-level changes inconsistent with coastal paleoseismological evidence. Copyright 2003 by the American Geophysical Union.

Journal of Geophysical Research B: Solid Earth↗

The importance of submarine groundwater discharge to the nearshore nutrient supply in the Gulf of Aqaba (Israel)

We used two short-lived radium isotopes (223Ra, 224Ra) and a mass balance approach applied to the radium activities to determine the nutrient contribution of saline submarine groundwater discharge to the coastal waters of the northern Gulf of Aqaba (Israel). Radium isotope activities were measured along transects during two seasons at a site that lacked any obvious surficial water input. An onshore well and an offshore end member were also sampled. For all samples, nutrients and salinity data were collected. Radium isotope activities generally decreased with distance offshore and exhibited significant tidal variability, which is consistent with a shore-derived tidally influenced source. Submarine groundwater contributes only 1-2% of the water along this coast, but this groundwater provides 8-46% of the nutrients. This saline groundwater is derived predominately from tidally pumped seawater percolating through the unconfined coastal aquifer and leaching radium and nutrients. This process represents a significant source of nutrients to the oligotrophic nearshore reef. ?? 2006, by the American Society of Limnology and Oceanography, Inc.

Limnology and Oceanography↗

The observed relationship between wave conditions and beach response, Ocean Beach, San Francisco, CA

Understanding how sandy beaches respond to storms is critical for effective sediment management and developing successful erosion mitigation efforts. However, only limited progress has been made in relating observed beach changes to wave conditions, with one of the major limiting factors being the lack of temporally dense beach topography and nearshore wave data in most studies. This study uses temporally dense beach topographic and offshore wave data to directly link beach response and wave forcing with generally good results. Ocean Beach is an open coast high-energy sandy beach located in San Francisco, CA, USA. From April 2004 through the end of 2008, 60 three-dimensional topographic beach surveys were conducted on approximately a monthly basis, with more frequent &ldquo;short-term surveys during the winters of 2005-06 and 2006-07. Shoreline position data from the short-term surveys show good correlation with offshore wave height, period, and direction averaged over several days prior to the survey (mean R*=0.54 for entire beach). There is, however, considerable alongshore variation in model performance, with R- values ranging from 0.81 to 0.19 for individual sections of the beach. After wave height, the direction of wave approach was the most important factor in determining the response of the shoreline, followed by wave period. Our results indicate that an empirical predictive model of beach response to wave conditions at Ocean Beach is possible with frequent beach mapping and wave data, and that such a model could be useful to coastal managers.

California↗