Geology Reports⌕ Search

SEARCH · Geology Reports

Results for “Information Bulletin”

Search indexed USGS publications on groundwater, aquifers, geologic maps, mineral resources and earthquakes. Explore source records by subject and place.

Quote a phrase for an exact phrase match. Source license links do not imply unrestricted reuse.

At least 991 records · Page 55Linked to original sources

Applications of nonergodic site response models to ShakeAlert case studies in the Los Angeles area

In this study, we explore whether the Parker and Baltay (2022) site response models for the Los Angeles (LA) basin region can improve ground‐motion forecasts in the U.S. Geological Survey ShakeAlert earthquake early warning system (hereafter ShakeAlert). We implement the peak ground acceleration and peak ground velocity site response models of Parker and Baltay (2022) in ShakeAlert via the earthquake information to ground‐motion (hereafter eqinfo2GM) module, which predicts ground motions from the estimated earthquake parameters of magnitude, rupture length, and location. The nonergodic site response models for the greater LA area were developed using ground motions from 414 M 3–7.3 earthquakes in southern California. We test nonergodic ground‐motion forecasts for five earthquakes in the LA area: the 1994 M 6.7 Northridge earthquake, the 2008 M 5.4 Chino Hills earthquake, the 2019 M 7.1 Ridgecrest earthquake, the 2020 M 4.5 South El Monte earthquake, and a synthetic M 7.8 earthquake on the southern San Andreas fault from the ShakeOut scenario, which was the basis of a statewide emergency response exercise. From the test results, we find that with the nonergodic site response applied, ShakeAlert not only alerts larger areas but can also result in longer warning times in LA region. In addition, the modified Mercalli intensity (MMI) ground‐motion predictions generated by the ShakeAlert eqinfo2GM module are improved in accuracy when compared with the corresponding ShakeMap ground‐truth MMI when the nonergodic site response model is applied.

California↗

Noise constraints on global body‐wave measurement thresholds

Intermediate sized earthquakes (≈ M 4–6.5) are often measured using the teleseismic body‐wave magnitude ( ⁠𝑚b⁠ ). 𝑚b measurements are especially critical at the lower end of this range when teleseismic waveform modeling techniques (i.e., moment tensor analysis) are difficult. The U.S. Geological Survey National Earthquake Information Center (NEIC) determines the location and magnitude of all M 5 and greater earthquakes worldwide within 20 min of the rupture time, and therefore accurate 𝑚b magnitude estimates are essential to fulfill its mission. To better understand how network geometry and noise levels affect the global response capabilities, we developed a method to spatially estimate the minimum measurable 𝑚b⁠ . To do this, we compare expected 𝑚b amplitudes at every station to the station’s background noise level. We find that using NEIC’s current network geometry and these idealized thresholds, NEIC can potentially estimate 𝑚b magnitudes down to M 4.5 globally. Low‐latitude regions in the Southern Hemisphere present the biggest opportunity to improve monitoring capabilities. However, logistically they also present the biggest hurdles for network operators. Finally, to test the resiliency of the network we removed the 20 most important stations and found the 𝑚b threshold remains 𝑚b 4.5. However, the region where only 𝑚b 4.5 and greater can be estimated increases and is again restricted to the Southern Hemisphere.

Bulletin of the Seismological Society of America↗

Potash brines in the Great Salt Lake Desert, Utah

During and immediately after the war the brines of the Salduro Marsh, in the Great Salt Lake Desert, were a source of considerable potash for the domestic supply. Although no potash has been produced from these brines in the last few years, a continued interest in the area has been shown by a large number of filings, in different parts of the desert, under the potash law of October 2, 1917 (40 Stat. 297), and the regulations issued under that law by the Department of the Interior on March 21, 1918, in Circular 594 (46 L. D. 323). As the basis for appropriate action on these permit, lease, and patent filings the Department of the Interior required information concerning the mode of occurrence, distribution, and general characteristics of the potassium-bearing brines in this region. Field investigation was accordingly undertaken for the primary purpose of satisfying these requirements. The work was done by the Geological Survey and the General Land Office in cooperation with the Bureau of Mines. The Bureau of Mines furnished an autotruck and a mechanic, who also assisted in the field work, and, for a period of a month, a mine rescue car, which permitted the establishment of headquarters in parts of the desert far from sources of supplies and water. The General Land Office surveyed the boundaries of townships over the desert and located the drill holes from which samples of brine were taken. The writer directed the work for the Geological Survey, and the analyses of the samples of brine were made in the Survey's chemical laboratory. The greater part of the field work was done between April 17 and July 7, 1925, and the work was finished during the two periods August 17-26 and September 30 to October 2 . Adverse weather throughout the season hindered the work.

Utah↗

Energy resource potential of natural gas hydrates

The discovery of large gas hydrate accumulations in terrestrial permafrost regions of the Arctic and beneath the sea along the outer continental margins of the world's oceans has heightened interest in gas hydrates as a possible energy resource. However, significant to potentially insurmountable technical issues must be resolved be fore gas hydrates can be considered a viable option for affordable supplies of natural gas. The combined information from Arctic gas hydrate studies shows that, in permafrost regions, gas hydrates may exist at subsurface depths ranging from about 130 to 2000 m. The presence of gas hydrates in offshore continental margins has been inferred mainly from anomalous seismic reflectors, known as bottom-simulating reflectors, that have been mapped at depths below the sea floor ranging from about 100 to 1100 m. Current estimates of the amount of gas in the world's marine and permafrost gas hydrate accumulations are in rough accord at about 20,000 trillion m 3 . Disagreements over fundamental issues such as the volume of gas stored within delineated gas hydrate accumulations and the concentration of gas hydrates within hydrate-bearing strata have demonstrated that we know little about gas hydrates. Recently, however, several countries, including Japan, India, and the United States, have launched ambitious national projects to further examine the resource potential of gas hydrates. These projects may help answer key questions dealing with the properties of gas hydrate reservoirs, the design of production systems, and, most important, the costs and economics of gas hydrate production.

American Association of Petroleum Geologists Bulle↗

The predictive skills of elastic Coulomb rate-and-state aftershock forecasts during the 2019 Ridgecrest, California, earthquake sequence

Operational earthquake forecasting protocols commonly use statistical models for their recognized ease of implementation and robustness in describing the short-term spatiotemporal patterns of triggered seismicity. However, recent advances on physics-based aftershock forecasting reveal comparable performance to the standard statistical counterparts with significantly improved predictive skills when fault and stress field heterogeneities are considered. Here, we perform a pseudo-prospective forecasting experiment during the first month of the 2019 Ridgecrest (California) earthquake sequence. We develop seven Coulomb rate-and-state models that couple static stress change estimates with continuum mechanics expressed by the rate-and-state friction laws. Our model parametrization supports a gradually increasing complexity; we start from a preliminary model implementation with simplified slip distributions and spatially homogeneous receiver faults to reach an enhanced one featuring optimized fault constitutive parameters, finite-fault slip models, secondary triggering effects, and spatially heterogenous planes informed by pre-existing ruptures. The data-rich environment of Southern California allows us to test whether incorporating data collected in near real-time during an unfolding earthquake sequence boosts our predictive power. We assess the absolute and relative performance of the forecasts by means of statistical tests used within the Collaboratory for the Study of Earthquake Predictability (CSEP) and compare their skills against a standard benchmark ETAS model for the short (24 hours after the two Ridgecrest mainshocks) and intermediate-term (one month). Stress-based forecasts expect heightened rates along the whole near-fault region and increased expected seismicity rates in Central Garlock Fault. Our comparative model evaluation supports that faulting heterogeneities coupled with secondary triggering effects are the most critical success components behind physics-based forecasts, but also underlines the importance of model updates incorporating near real-time available aftershock data reaching better performance than ETAS models. We explore the physical basis behind our results by investigating the localized shut down of pre-existing normal faults in the Ridgecrest near-source area.

California↗

Use of relational databases to evaluate regional petroleum accumulation, groundwater flow, and CO2 sequestration in Kansas

Large-scale relational databases and geographic information system tools are used to integrate temperature, pressure, and water geo-chemistry data from numerous wells to better understand regional-scale geothermal and hydrogeological regimes of the lower Paleozoic aquifer systems in the mid-continent and to evaluate their potential for geologic CO2 sequestration. The lower Paleozoic (Cambrian to Mississippian) aquifer systems in Kansas, Missouri, and Oklahoma comprise one of the largest regional-scale saline aquifer systems in North America. Understanding hydrologic conditions and processes of these regional-scale aquifer systems provides insight to the evolution of the various sedimentary basins, migration of hydrocarbons out of the Anadarko and Arkoma basins, and the distribution of Arbuckle petroleum reservoirs across Kansas and provides a basis to evaluate CO2 sequestration potential. The Cambrian and Ordovician stratigraphic units form a saline aquifer that is in hydrologic continuity with the freshwater recharge from the Ozark plateau and along the Nemaha anticline. The hydrologic continuity with areas of freshwater recharge provides an explanation for the apparent underpressure in the Arbuckle Group. Copyright ?? 2005. The American Association of Petroleum Geologists. All rights reserved.

American Association of Petroleum Geologists Bulle↗

Hydrology of carbonate aquifers in southwestern Linn County and adjacent parts of Benton, Iowa, and Johnson Counties, Iowa

Groundwater is the major source of water in Linn County and the surrounding area. Approximately 90 percent of the groundwater production is from Silurian, Devonian, and Quaternary aquifers. The Silurian and Devonian aquifers consist of limestone and dolomite with minor shale beds, which have a regional dip to the southwest of approximately 20 feet per mile. The Silurian aquifer in east-central Iowa is confined from below by Upper Ordovician, Maquoketa Formation shales, and from above by the Kenwood Member of the Wapsipinicon Formation and the Otis and Bertram formations. The Quaternary aquifer consists of unconsolidated sand and gravel beds in the glacial drift, and in the alluvium which is associated with modern streams. The alluvium consists of lenticular beds of poorly-to well-sorted silt, sand, and gravel. The sand and gravel beds are interlayered with relatively-impermeable beds of till, silt, and clay. Water moves through the Silurian aquifer in part due to a complex distribution of porous and dense carbonate facies. Horizons containing skeletal molds in the Silurian dolomite have porosities as much as 39 percent, and are laterally equivalent to dolomites with porosities as little as less than one percent. Because of subsequent fracturing and solutional enlargement of these porous horizons, hydrologic correlation of the primary water-yielding zones is not always possible. One horizon, however, does occur approximately 70 to 105 feet above the base of the Silurian, and is the most consistently productive water-yielding unit in the area. This horizon is Informally referred to as the Farmers Creek aquifer. The potentiometric surface of the Silurian aquifer has a gradient towards the Cedar River, indicating discharge from the aquifer through the alluvium into the river. By comparison, the potentiometric surface of the overlying Devonian aquifer is equal to that of the Silurian and may range to more than 40 feet higher. Yields to individual wells completed in the Silurian and Devonian carbonate aquifers vary from less than 10 to about 500 gallons per minute. Individual wells completed in the Quaternary aquifer yield as much as 2,000 gallons per minute. Water analyses from the Devonian and Silurian aquifers indicate that they are of similar chemical quality at most locations in the study area. However, they may commonly contain concentrations of sulfate that exceed 1,000 mil grams per liter. Dissolved-solids concentrations as much as 2,350 milligrams per liter occur in the Silurian aquifer in the western and southwestern part of the study area. Water from the Quaternary aquifer generally is suitable for most uses and dissolved-solids concentrations generally are less than 750 milligrams per liter.

Iowa↗

A probabilistic framework to model distributions of VS30

The time‐averaged shear‐wave velocity in the upper 30 m depth from the ground surface, or V S 30 "> V S 30 ⁠ , is often used as a predictor to describe local site effects in ground‐motion models. Although V S 30 "> V S 30 is typically determined from in situ measurements, it is not always feasible to obtain such measurements due to project restrictions or site accessibility. This motivates the development and use of proxy‐based V S 30 "> V S 30 predictions that leverage more readily available secondary information such as surface geology, topographic slope, or geomorphic terrain classes to estimate the mean V S 30 "> V S 30 and associated uncertainty. Traditionally, empirical distributions of V S 30 "> V S 30 have been observed to have long right tails, leading to high levels of associated uncertainty. In this study, we present a physical framework that is grounded in fundamental principles of geostatistics and probability to explain the uncertainty and skewness associated with V S 30 "> V S 30 measurements. Specifically, by invoking Lyapunov’s central limit theorem, we hypothesize that the distribution of V S 30 "> V S 30 can be theoretically approximated by a reciprocal–normal distribution. We show that a non‐normal and skewed distribution of V S 30 "> V S 30 is to be expected and is not a sign of measurement error or sampling bias, although sampling bias can exaggerate such skewness. Our framework also enables us to propose the mode as a characteristic value of V S 30 "> V S 30 measurements, as opposed to the mean or median, which can overestimate the most probable value.

Bulletin of the Seismological Society of America↗

Graphic comparison of reserve-growth models for conventional oil and accumulation

The U.S. Geological Survey (USGS) periodically assesses crude oil, natural gas, and natural gas liquids resources of the world. The assessment procedure requires estimated recover-able oil and natural gas volumes (field size, cumulative production plus remaining reserves) in discovered fields. Because initial reserves are typically conservative, subsequent estimates increase through time as these fields are developed and produced. The USGS assessment of petroleum resources makes estimates, or forecasts, of the potential additions to reserves in discovered oil and gas fields resulting from field development, and it also estimates the potential fully developed sizes of undiscovered fields. The term ?reserve growth? refers to the commonly observed upward adjustment of reserve estimates. Because such additions are related to increases in the total size of a field, the USGS uses field sizes to model reserve growth. Future reserve growth in existing fields is a major component of remaining U.S. oil and natural gas resources and has therefore become a necessary element of U.S. petroleum resource assessments. Past and currently proposed reserve-growth models compared herein aid in the selection of a suitable set of forecast functions to provide an estimate of potential additions to reserves from reserve growth in the ongoing National Oil and Gas Assessment Project (NOGA). Reserve growth is modeled by construction of a curve that represents annual fractional changes of recoverable oil and natural gas volumes (for fields and reservoirs), which provides growth factors. Growth factors are used to calculate forecast functions, which are sets of field- or reservoir-size multipliers. Comparisons of forecast functions were made based on datasets used to construct the models, field type, modeling method, and length of forecast span. Comparisons were also made between forecast functions based on field-level and reservoir- level growth, and between forecast functions based on older and newer data. The reserve-growth model used in the 1995 USGS National Assessment and the model currently used in the NOGA project provide forecast functions that yield similar estimates of potential additions to reserves. Both models are based on the Oil and Gas Integrated Field File from the Energy Information Administration (EIA), but different vintages of data (from 1977 through 1991 and 1977 through 1996, respectively). The model based on newer data can be used in place of the previous model, providing similar estimates of potential additions to reserves. Fore-cast functions for oil fields vary little from those for gas fields in these models; therefore, a single function may be used for both oil and gas fields, like that used in the USGS World Petroleum Assessment 2000. Forecast functions based on the field-level reserve growth model derived from the NRG Associates databases (from 1982 through 1998) differ from those derived from EIA databases (from 1977 through 1996). However, the difference may not be enough to preclude the use of the forecast functions derived from NRG data in place of the forecast functions derived from EIA data. Should the model derived from NRG data be used, separate forecast functions for oil fields and gas fields must be employed. The forecast function for oil fields from the model derived from NRG data varies significantly from that for gas fields, and a single function for both oil and gas fields may not be appropriate.

Bulletin↗

River otter distribution in Nebraska

The river otter ( Lontra canadensis ) was extirpated from Nebraska, USA, in the early 1900s and reintroduced starting in 1986. Information is needed regarding the distribution of river otters in Nebraska before decisions can be made regarding its conservation status. Understanding distribution of a species is critically important for effective management. We investigated river otter distribution in Nebraska with occupancy modeling and maximum entropy (Maxent) modeling using 190 otter sign observations on Nebraska's navigable rivers and 380 historical otter records from November 1977 to April 2014. Both methods identified the Platte River, Elkhorn River, central and eastern Niobrara River, and southern Loup River system as core areas within the distribution of otters in Nebraska. The Maxent model provided more liberal estimates of site occupancy and identified some smaller rivers as being within the distribution of otters in Nebraska, which were not identified using occupancy modeling. We recommend that multiple data sets and analysis methods be used to estimate species distribution because this allows for the broadest geographical coverage and decreases the likelihood of overlooking areas with fewer animal records. If further reintroduction efforts or translocation efforts are to take place in the future, we recommend focusing on areas with high modeled occupancy but few historical and survey records

Nebraska↗

Synthetic aperture radar volcanic flow maps (SAR VFMs): A simple method for rapid identification and mapping of volcanic mass flows

Volcanic mass flows, including lava, pyroclastic density currents, and lahars, account for the bulk of fatalities and infrastructure damage caused by volcanic eruptions. Mapping these flows soon after their emplacement is vital to understanding their impact and to forecasting the likely behavior of potential future flows. Synthetic aperture radar (SAR) can provide useful information about surface properties and changes regardless of environmental conditions or time of day, but no individual SAR product can unambiguously detect and map surface mass flows in all conditions. Combining SAR products, however, can capitalize on the strengths and compensate for the weaknesses of individual data types. SAR volcanic flow maps (SAR VFMs) merge cross-polarized amplitude imagery from two different dates with interferometric coherence spanning those dates. The combination of amplitude change with coherence provides a means of detecting volcanic mass flows regardless of surface conditions, and data collected by satellite provide the spatial coverage needed to detect changes over broad areas. Application to eruptions of Kīlauea (Hawaiʻi), Nyiragongo (Democratic Republic of Congo), Sinabung (Indonesia), and Fuego (Guatemala) demonstrate the value of SAR VFMs for monitoring hazardous volcanic activity, and the importance of acquiring cross-polarized satellite SAR imagery for volcano applications. The ever-growing number of public and private satellite SAR missions will provide for improved temporal resolution in SAR VFMs in the future, and the technique may be suitable for automated analysis that is capable of timely identification of changes due to volcanic activity, even in areas that are otherwise unmonitored.

Hawaii↗

Earthquake mechanisms from linear-programming inversion of seismic-wave amplitude ratios

The amplitudes of radiated seismic waves contain far more information about earthquake source mechanisms than do first-motion polarities, but amplitudes are severely distorted by the effects of heterogeneity in the Earth. This distortion can be reduced greatly by using the ratios of amplitudes of appropriately chosen seismic phases, rather than simple amplitudes, but existing methods for inverting amplitude ratios are severely nonlinear and require computationally intensive searching methods to ensure that solutions are globally optimal. Searching methods are particularly costly if general (moment tensor) mechanisms are allowed. Efficient linear-programming methods, which do not suffer from these problems, have previously been applied to inverting polarities and wave amplitudes. We extend these methods to amplitude ratios, in which formulation on inequality constraint for an amplitude ratio takes the same mathematical form as a polarity observation. Three-component digital data for an earthquake at the Hengill-Grensdalur geothermal area in southwestern Iceland illustrate the power of the method. Polarities of P , SH , and SV waves, unusually well distributed on the focal sphere, cannot distinguish between diverse mechanisms, including a double couple. Amplitude ratios, on the other hand, clearly rule out the double-couple solution and require a large explosive isotropic component.

Bulletin of the Seismological Society of America↗

A field-trip guide to Yellowstone National Park, Wyoming, Montana, and Idaho: Volcanic, hydrothermal, and glacial activity in the region

This field-trip guide was originally prepared for the 7th International Symposium on Water/Rock Interaction (WRI-7) held in July 1992 in Park City, Utah. A large and diversified group of earth scientists and accompanying family members participated in this 3 1/2-day field trip that focused on water/rock interactions over widely ranging temperatures and pressures in the Yellowstone/Grand Teton region. Emphasis was placed on the geochemical and hydrologic characteristics of the thermal waters in the major "geyser basins" of Yellowstone National Park. Information specific to the WRI-7 trip about logistics, lodging, and meals has been deleted from the present guide. The scientific content remains mostly unchanged, except for the addition of a glossary, two illustrations, all photographs, and some text previously presented to the field-trip participants in supplementary materials (see appendix A). Most of the geyser basins in Yellowstone National Park are on a high volcanic plateau at elevations of 2,000 to 2,200 m and are surrounded by much higher mountain ranges. In the middle of summer there generally are cool evenings and early mornings and warm afternoons. Visits to the localities described require short walks, mostly on boardwalks, but some are on what may be wet ground. No long, strenuous climbs are required. Expect brief afternoon thunder showers, particularly at Old Faithful. Please remember that the collecting of any kind of sample in a national park is prohibited except by those who have specific sampling permits issued by the National Park Service. Field-trip participants are asked to leave geologic picks and hammers at home or in their luggage while in Yellowstone National Park.

Idaho, Montana, Wyoming↗

New insights into the diets of harbor seals in the Salish Sea revealed by quantitative fatty acid signature analysis

Harbor seals ( Phoca vitulina ) are an abundant predator along the west coast of North America, and there is considerable interest in their diet composition, especially in regard to predation on valued fish stocks. Available information on harbor seal diets, primarily derived from scat analysis, suggests that adult salmon ( Oncorhynchus spp.), Pacific Herring ( Clupea pallasii ), and gadids predominate. Because diet assessments based on scat analysis may be biased, we investigated diet composition through quantitative analysis of fatty acid signatures. Blubber samples from 49 harbor seals captured in western North America from haul-outs within the area of the San Juan Islands and southern Strait of Georgia in the Salish Sea were analyzed for fatty acid composition, along with 269 fish and squid specimens representing 27 potential prey classes. Diet estimates varied spatially, demographically, and among individual harbor seals. Findings confirmed the prevalence of previously identified prey species in harbor seal diets, but other species also contributed significantly. In particular, Black ( Sebastes melanops ) and Yellowtail ( S. flavidus ) Rockfish were estimated to compose up to 50% of some individual seal diets. Specialization and high predation rates on Black and Yellowtail Rockfish by a subset of harbor seals may play a role in the population dynamics of these regional rockfish stocks that is greater than previously realized.

British Columbia, Washington↗

Mineral paragenesis of precambrian rocks in the Tenmile Range, Colorado

A Precambrian complex of granulite, gneiss, and migmatite, intruded by numerous plutons of granitic rocks correlated with the Silver Plume granite, is exposed in a long narrow belt along the crest and upper slopes of the Tenmile Range , Colorado . The metamorphic rocks are predominantly felsic; bands, lenses, and irregular bodies of mafic rocks rich in biotite, hornblende, and locally in sillimanite and garnet, are interlayered with the felsic rocks . The major lithologic variations in the metamorphic rock complex are believed to be due chiefly to variations in the original sedimentary rocks , which probably were interbedded sandstone, shale, and limestone. The metamorphic rocks and the Silver Plume granite reveal the age relations of quartz and the feldspars, and these relations afford considerable information on the origin and progressive transformation of the rocks . Quartz is the earliest mineral in the metamorphic rocks and is probably a relict mineral of a sandstone. It has been partially replaced by feldspar. It occurs chiefly in irregular clusters, some of which show sutured grains, enclosed in a ramifying network of feldspar. Irregular small apophyses, barbs, and prongs of feldspar penetrate the quartz clusters along grain boundaries and healed fractures in the quartz. In some of the least feldspathized quartzose metamorphic rocks the feldspar is clearly interstitial to the quartz. Quartz also occurs in feldspar as small spherical inclusions. The relations of the quartz to the feldspars show clearly that a quartzose host rock was replaced by feldspar along quartz grain boundaries, pre-existing healed fractures, and margins of shadowy areas in strained quartz grains. The textural relations of the other principal minerals in the metamorphic rocks show that plagioclase formed earlier than the microcline and that the micas were the last of the principal minerals to form. Identical paragenetic relations are found in the Silver Plume granite, and the writer concludes that the Silver Plume granite was derived by partial fusion of quartzose metamorphic rocks .

Colorado↗

Review of paleomagnetism

This review is an attempt to bring together and discuss relevant information concerning the magnetization of rocks, especially that having paleomagnetic significance. All paleomagnetic measurements available to the authors are here compiled and evaluated, with a key to the summary table and illustrations in English and Russian. The principles upon which the evaluation of paleomagnetic measurements is based are summarized, with special emphasis on statistical methods and on the evidence and tests for magnetic stability and paleomagnetic applicability. Evaluation of the data summarized leads to the following general conclusions: (1) The earth's average magnetic field, throughout Oligocene to Recent time, has very closely approximated that due to a dipole at the center of the earth oriented parallel to the present axis of rotation. (2) Paleomagnetic results for the Mesozoic and early Tertiary might be explained more plausibly by a relatively rapidly changing magnetic field, with or without wandering of the rotational pole, than by large-scale continental drift. (3) The Carboniferous and especially the Permian magnetic fields were relatively very “steady” and were vastly different from the present configuration of the field. (4) The Precambrian magnetic field was different from the present field configuration and, considering the time spanned, was remarkably consistent for all continents.

GSA Bulletin↗

Rupture into slow-slip fault regime during the 2018 Mw 6.9 Island of Hawaiʻi earthquake is followed by modest postseismic slip

On 4 May 2018, a M w 6.9 earthquake occurred on the south flank of Kīlauea, in the midst of an historic event that included a voluminous eruption from Kīlauea’s lower East Rift zone and caldera collapse at its summit. The earthquake was a consequence of both short‐ and long‐term stress buildup due to magmatic activity associated with the eruption and steady flank motion, respectively, and it revealed features of Kīlauea’s décollement fault that can inform understanding of future earthquake activity. We used geodetic data to determine the distributions of slip during the coseismic and postseismic periods and compared these with areas of known fault slip during past earthquakes and slow‐slip events (SSEs). The 2018 earthquake ruptured into an area of the décollement fault that was active during quasi‐regular SSEs that occurred in the two decades prior to 2018 but that have not been observed since. The coseismic slip model indicates that the amount of motion on the décollement fault was several times greater than what typically occurred during SSEs, suggesting that it may take decades for the fault to rebuild stress to the point at which SSEs will occur again. Postseismic afterslip also occurred in an area of the fault known to experience slow slip; however, unlike at other creeping faults, postseismic afterslip was rapid, being largely over within 2–3 days. The rapid nature and small magnitude of the postseismic afterslip may be due to the lack of a viscoelastic relaxation component, which is possibly a result of the shallow dip of the décollement fault not transferring stress efficiently into the lower crust.

Hawaii↗

Text and References To Accompany "Map Showing the Thickness and Character of Quaternary Sediments in the Glaciated United States East of the Rocky Mountains"

A 1:1,000,000-scale map of Quaternary deposits has been compiled for the glaciated area of the United States east of the Rocky Mountains (that is, the area covered by the Laurentide ice sheets). Parts of southern Ontario, areas beneath the Great Lakes, and parts of the submerged eastern seaboard are also included on the map. The map has three components that, together, provide the first regional three-dimensional view of these deposits. These map components are the surface distribution of Quaternary sediments, the total thickness of Quaternary sediments, and the distribution of significant buried Quaternary units. For many areas, this is the first map of Quaternary sediment thickness published at any scale. This report provides supporting information for the map, preliminary interpretations of sediment distribution, and the list of geologic sources used to generate the map. Within the mapped area, there is a particular need for three-dimensional geologic mapping to support decisions on water resources and land use. Approximately 40 percent of the U.S. population resides within the mapped area, which is less than one-quarter the size of the conterminous United States. This map is intended to supplement the more detailed mapping on which it is based and is designed to be a regional planning tool. Through the Pleistocene, large deposits of thick glacial sediment accumulated between certain late Wisconsinan glacial lobes, on bedrock topographic highs, whereas relatively thin deposits generally accumulated in the adjacent bedrock lowlands occupied by drainage and ice lobes. The lithology of the bedrock and its resistance to erosion in part controlled the patterns of ice lobation and the distribution of thick sediment. On a local scale, the spatial relation of these sediment masses to ice lobation has been suggested in places, and a regional correlation may have been assumed. This map provides the first comprehensive, regional view of glacial sediment thickness to permit such a correlation to be assessed.

Bulletin↗