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At least 1,009 records · Page 56Linked to original sources

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↗

Submarine geology of Bikini atoll

The program of investigations made in connection with the atomic bomb tests in the summer of 1946 at Bikini Atoll provided a rare opportunity for obtaining information on the physiography and sediments of atolls. The outer slopes around Bikini Atoll rise from a depth of about 2500 fathoms in a long gradually steepening curve. Between 0 and 200 fathoms the average slope is 25°. On the windward side, the reef at the top of the slope is bordered by a narrow 15-fathom terrace, but on the leeward side by a steep, locally vertical, cliff extending to 35 fathoms. Contours of the outer slopes reveal that a flat-topped mass having nearly the area of Bikini lagoon but below 700 fathoms extends to the northwest. The lagoon itself is saucer-shaped and has a maximum depth of 34 fathoms. Around the lagoon and bordering the inner side of the reef and islands is a 12-fathom terrace. Coral knolls rise abruptly from the lagoon floor, and some of them reach to within a few fathoms of the surface. The middle of the lagoon is floored chiefly by algal debris, whereas the shallow edges are covered by algal and foraminiferal sand. Coral comprises a relatively small percentage of the bottom materials. The outer slopes consist of algal debris grading outward to fine sand and finally to Globigerina sand.

GSA Bulletin↗

Variation in glycogen concentrations within mantle and foot tissue in Amblema plicata plicata: Implications for tissue biopsy sampling

With the development of techniques to non-lethally biopsy tissue from unionids, a new method is available to measure changes in biochemical, contaminant, and genetic constituents in this imperiled faunal group. However, before its widespread application, information on the variability of biochemical components within and among tissues needs to be evaluated. We measured glycogen concentrations in foot and mantle tissue in Amblema plicata plicata (Say, 1817) to determine if glycogen was evenly distributed within and between tissues and to determine which tissue might be more responsive to the stress associated with relocating mussels. Glycogen was measured in two groups of mussels: those sampled from their native environment (undisturbed mussels) and quickly frozen for analysis and those relocated into an artificial pond (relocated mussels) for 24 months before analysis. In both undisturbed and relocated mussels, glycogen concentrations were evenly distributed within foot, but not within mantle tissue. In mantle tissue, concentrations of glycogen varied about 2-fold among sections. In addition, glycogen varied significantly between tissues in undisturbed mussels, but not in relocated mussels. Twenty-four months after relocation, glycogen concentrations had declined by 80% in mantle tissue and by 56% in foot tissue relative to the undisturbed mussels. These data indicate that representative biopsy samples can be obtained from foot tissue, but not mantle tissue. We hypothesize that mantle tissue could be more responsive to the stress of relocation due to its high metabolic activity associated with shell formation.

American Malacological Bulletin↗

Towards building a sustainable future: Positioning ecological modelling for impact in ecosystems management

As many ecosystems worldwide are in peril, efforts to manage them sustainably require scientific advice. While numerous researchers around the world use a great variety of models to understand ecological dynamics and their responses to disturbances, only a small fraction of these models are ever used to inform ecosystem management. There seems to be a perception that ecological models are not useful for management, even though mathematical models are indispensable in many other fields. We were curious about this mismatch, its roots, and potential ways to overcome it. We searched the literature on recommendations and best practices for how to make ecological models useful to the management of ecosystems and we searched for ‘success stories’ from the past. We selected and examined several cases where models were instrumental in ecosystem management. We documented their success and asked whether and to what extent they followed recommended best practices. We found that there is not a unique way to conduct a research project that is useful in management decisions. While research is more likely to have impact when conducted with many stakeholders involved and specific to a situation for which data are available, there are great examples of small groups or individuals conducting highly influential research even in the absence of detailed data. We put the question of modelling for ecosystem management into a socio-economic and national context and give our perspectives on how the discipline could move forward.

Bulletin of Mathematical Biology↗

A spatiotemporal clustering model for the Third Uniform California Earthquake Rupture Forecast (UCERF3‐ETAS): Toward an operational earthquake forecast

We, the ongoing Working Group on California Earthquake Probabilities, present a spatiotemporal clustering model for the Third Uniform California Earthquake Rupture Forecast (UCERF3), with the goal being to represent aftershocks, induced seismicity, and otherwise triggered events as a potential basis for operational earthquake forecasting (OEF). Specifically, we add an epidemic‐type aftershock sequence (ETAS) component to the previously published time‐independent and long‐term time‐dependent forecasts. This combined model, referred to as UCERF3‐ETAS, collectively represents a relaxation of segmentation assumptions, the inclusion of multifault ruptures, an elastic‐rebound model for fault‐based ruptures, and a state‐of‐the‐art spatiotemporal clustering component. It also represents an attempt to merge fault‐based forecasts with statistical seismology models, such that information on fault proximity, activity rate, and time since last event are considered in OEF. We describe several unanticipated challenges that were encountered, including a need for elastic rebound and characteristic magnitude–frequency distributions (MFDs) on faults, both of which are required to get realistic triggering behavior. UCERF3‐ETAS produces synthetic catalogs of M ≥2.5 events, conditioned on any prior M ≥2.5 events that are input to the model. We evaluate results with respect to both long‐term (1000 year) simulations as well as for 10‐year time periods following a variety of hypothetical scenario mainshocks. Although the results are very plausible, they are not always consistent with the simple notion that triggering probabilities should be greater if a mainshock is located near a fault. Important factors include whether the MFD near faults includes a significant characteristic earthquake component, as well as whether large triggered events can nucleate from within the rupture zone of the mainshock. Because UCERF3‐ETAS has many sources of uncertainty, as will any subsequent version or competing model, potential usefulness needs to be considered in the context of actual applications.

California↗

Interpreting and reporting 40Ar/39Ar geochronologic data

The 40 Ar/ 39 Ar dating method is among the most versatile of geochronometers, having the potential to date a broad variety of K-bearing materials spanning from the time of Earth’s formation into the historical realm. Measurements using modern noble-gas mass spectrometers are now producing 40 Ar/ 39 Ar dates with analytical uncertainties of ∼0.1%, thereby providing precise time constraints for a wide range of geologic and extraterrestrial processes. Analyses of increasingly smaller subsamples have revealed age dispersion in many materials, including some minerals used as neutron fluence monitors. Accordingly, interpretive strategies are evolving to address observed dispersion in dates from a single sample. Moreover, inferring a geologically meaningful “age” from a measured “date” or set of dates is dependent on the geological problem being addressed and the salient assumptions associated with each set of data. We highlight requirements for collateral information that will better constrain the interpretation of 40 Ar/ 39 Ar data sets, including those associated with single-crystal fusion analyses, incremental heating experiments, and in situ analyses of microsampled domains. To ensure the utility and viability of published results, we emphasize previous recommendations for reporting 40 Ar/ 39 Ar data and the related essential metadata, with the amendment that data conform to evolving standards of being findable, accessible, interoperable, and reusable (FAIR) by both humans and computers. Our examples provide guidance for the presentation and interpretation of 40 Ar/ 39 Ar dates to maximize their interdisciplinary usage, reproducibility, and longevity.

GSA Bulletin↗

Magnitude estimates of two large aftershocks of the 16 December 1811 New Madrid earthquake

The three principal New Madrid mainshocks of 1811-1812 were followed by extensive aftershock sequences that included numerous felt events. Although no instrumental data are available for either the mainshocks or the aftershocks, available historical accounts do provide information that can be used to estimate magnitudes and locations for the large events. In this article we investigate two of the largest aftershocks: one near dawn following the first mainshock on 16 December 1811, and one near midday on 17 December 1811. We reinterpret original felt reports to obtain a set of 48 and 20 modified Mercalli intensity values of the two aftershocks, respectively. For the dawn aftershock, we infer a Mw of approximately 7.0 based on a comparison of its intensities with those of the smallest New Madrid mainshock. Based on a detailed account that appears to describe near-field ground motions, we further propose a new fault rupture scenario for the dawn aftershock. We suggest that the aftershock had a thrust mechanism and occurred on a southeastern limb of the Reelfoot fault. For the 17 December 1811 aftershock, we infer a M W of approximately 6.1 ± 0.2 . This value is determined using the method of Bakun et al. (2002), which is based on a new calibration of intensity versus distance for earthquakes in central and eastern North America. The location of this event is not well constrained, but the available accounts suggest an epicenter beyond the southern end of the New Madrid Seismic Zone.

Arkansas, Illinois, Missouri, Tennessee↗

The northeastern states' waterfowl breeding population survey

Efforts to tailor waterfowl hunting regulations to conditions in the Atlantic Flyway have been hampered by lack of information on local breeding populations. The Atlantic Flyway Council's technical section voted at its 1987 winter meeting (Atlantic Flyway Council Technical Section, Toronto, Canada) to establish a regional waterfowl breeding survey. Consequently, an annual survey was started in 1989 and further refined in 1993 using results from 1989 to 1992. During 1993-1997, annual spring surveys of more than 1,450 randomly selected 1-km2 plots, stratified by physiographic strata, were conducted in the Atlantic Flyway from New Hampshire to Virginia to estimate breeding populations of mallards (Arias platyrhynchos), American black ducks (A. rubripes), wood ducks (Aix sponsa), and Canada geese (Branta canadensis). Ground crews systematically surveyed all potential waterfowl habitat for these species in each plot. The adjusted mean mallard pair estimate over the 5-year period was 375,962 (range 310,299-415,182, mean SE 25,761) for the region surveyed. The estimate for black duck pairs was 31,1 54 (range 27,164'37,521, mean SE 4,978), and for wood duck pairs it was 240,473 (range 218,959-281,916, mean SE 25,408). Total number of Canada geese increased from 526,663 in 1993 to 892,278 in 1997. Population estimates for other species had unacceptably large standard errors.

Wildlife Society Bulletin↗

Late Cretaceous time-transgressive onset of Laramide arch exhumation and basin subsidence across northern Arizona−New Mexico, USA, and the role of a dehydrating Farallon flat slab

Spatiotemporal constraints for Late Cretaceous tectonism across the Colorado Plateau and southern Rocky Mountains (northern Arizona−New Mexico, USA) are interpreted in regards to Laramide orogenic mechanisms. Onset of Laramide arch development is estimated from cooling recorded in representative thermochronologic samples in a three-step process of initial forward models, secondary HeFTy inverse models with informed constraint boxes, and a custom script to statistically estimate timing of rapid cooling from inverse model results. Onset of Laramide basin development is interpreted from increased rates of tectonic subsidence. Onset estimates are compared to published estimates for Laramide timing, and together suggest tectonism commenced ca. 90 Ma in northwestern Arizona and progressed eastward with later onset in north-central New Mexico by ca. 75−70 Ma. The interpreted sweep of onset progressed at a rate of ∼50 km/m.y. and was approximately half the 100−150 km/m.y. rate estimated for Late Cretaceous Farallon-North America convergence during the same timeframe. Previous suggestions that the Laramide tectonic front progressed at a rate similar to convergence via basal traction are not supported by our results. We thereby suggest that (1) a plate margin end load established far field compression and that (2) sequential Laramide-style strain was facilitated by progressive weakening of North American lithosphere from the dehydrating Farallon flat slab. Results are compared to models of sweeping tectonism and magmatism in other parts of the Laramide foreland. Discussions of the utility of the custom script and the potential for stratigraphic constraints to represent only minimum onset estimates are also presented.

Arizona, New Mexico↗

The impact of 3D finite‐fault information on ground‐motion forecasting for earthquake early warning

We identify aspects of finite‐source parameterization that strongly affect the accuracy of estimated ground motion for earthquake early warning (EEW). EEW systems aim to alert users to impending shaking before it reaches them. The U.S. West Coast EEW system, ShakeAlert, currently uses two algorithms based on seismic data to characterize the earthquake’s location, magnitude, and origin time, treating it as a point or line source. From this information, ShakeAlert calculates shaking intensity and alerts locations where shaking estimates exceed a threshold. Several geodetic EEW algorithms under development would provide 3D finite‐fault information. We investigate conditions under which this information produces sufficiently better intensity estimates to potentially improve alerting. Using scenario crustal and subduction interface sources, we (1) identify the most influential source geometry parameters for an EEW algorithm’s shaking forecast, and (2) assess the intensity alert thresholds and magnitude ranges for which more detailed source characterization affects alert accuracy. We find that alert regions determined using 3D‐source representations of correct magnitude and faulting mechanism are generally more accurate than those obtained using line sources. If a line‐source representation is used and magnitude is calculated from the estimated length, then incorrect length estimates significantly degrade alert region accuracy. In detail, the value of 3D‐source characterization depends on the user’s chosen alert threshold, tectonic regime, and faulting style. For the suite of source models we tested, the error in shaking intensity introduced by incorrect geometry could reach levels comparable to the intrinsic uncertainty in ground‐motion calculations (e.g., 0.5–1.3 modified Mercalli intensity [MMI] units for MMI 4.5) but, especially for crustal sources, was often less. For subduction interface sources, 3D representations substantially improved alert area accuracy compared to line sources, and incorrect geometry parameters were more likely to cause error in calculated shaking intensity that exceeded uncertainties.

Bulletin of the Seismological Society of America↗

A record of large earthquakes on the southern Hayward fault for the past 1800 years

This is the second article presenting evidence of the occurrence and timing of paleoearthquakes on the southern Hayward fault as interpreted from trenches excavated within a sag pond at the Tyson's Lagoon site in Fremont, California. We use the information to estimate the mean value and aperiodicity of the fault's recurrence interval (RI): two fundamental parameters for estimation of regional seismic hazard. An earlier article documented the four most recent earthquakes, including the historic 1868 earthquake. In this article we present evidence for at least seven earlier paleoruptures since about A.D. 170. We document these events with evidence for ground rupture, such as the presence of blocky colluvium at the base of the main trace fault scarp, and by corroborating evidence such as simultaneous liquefaction or an increase in deformation immediately below event horizons. The mean RI is 170 ?? 82 yr (1??, standard deviation of the sample), aperiodicity is 0.48, and individual intervals may be expected to range from 30 to 370 yr (95.4% confidence). The mean RI is consistent with the recurrence model of the Working Group on California Earthquake Probabilities (2003) (mean, 161 yr; range, 99 yr [2.5%]; 283 yr [97.5%]). We note that the mean RI for the five most recent events may have been only 138 ?? 58 yr (1??). Hypothesis tests for the shorter RI do not demonstrate that any recent acceleration has occurred compared to the earlier period or the entire 1800-yr record, principally because of inherent uncertainties of the event ages.

Bulletin of the Seismological Society of America↗

Hydrology of the surficial aquifer in the Floyd River Basin, Iowa

The Floyd River basin was studied to provide water-resources Information for a typical surficial aquifer in northwest Iowa. Data collection included test drilling, water-level measurements, and chemical analyses of surface and ground water. The Floyd River basin drains 961 square miles of highly dissected to gently rolling topography. Major streams generally are flanked by flood plains underlain by uncemented sand and-gravel deposits. Most of the basin is directly underlain by glacial drift of Pleistocene age which is In turn underlain by rocks of Cretaceous age. Sand-and-gravel deposits underlying the major flood plains and in buried bedrock channels within the drift comprise the surficial aquifer. The surficial aquifer ranges from 10 to 40 feet In thickness and averages about 20 feet thick. Both unconfined and confined conditions occur in the aquifer and water levels range from 2 to 55 feet below land surface. An aquifer test conducted in the surficial aquifer where it is about 25 feet thick and is confined by an overlying low permeability bed Indicated an average hydraulic conductivity of 383 feet per day and a storage coefficient of 0.0001. The well was pumped at 650 gallons per minute for 43 hours. An observation well about 70 feet from the pumping well had a maximum drawdown of about 10 feet.

Iowa↗

Advanced quantitative precipitation information: Improving monitoring and forecasts of precipitation, streamflow, and coastal flooding in the San Francisco Bay area

Advanced Quantitative Precipitation Information (AQPI) is a synergistic project that combines observations and models to improve monitoring and forecasts of precipitation, streamflow, and coastal flooding in the San Francisco Bay Area. As an experimental system, AQPI leverages more than a decade of research, innovation, and implementation of a statewide, state-of-the-art network of observations, and development of the next generation of weather and coastal forecast models. AQPI was developed as a prototype in response to requests from the water management community for improved information on precipitation, riverine, and coastal conditions to inform their decision-making processes. Observation of precipitation in the complex Bay Area landscape of California’s coastal mountain ranges is known to be a challenging problem. But, with new advanced radar network techniques, AQPI is helping fill an important observational gap for this highly populated and vulnerable metropolitan area. The prototype AQPI system consists of improved weather radar data for precipitation estimation; additional surface measurements of precipitation, streamflow, and soil moisture; and a suite of integrated forecast modeling systems to improve situational awareness about current and future water conditions from sky to sea. Together these tools will help improve emergency preparedness and public response to prevent loss of life and destruction of property during extreme storms accompanied by heavy precipitation and high coastal water levels—especially high-moisture laden atmospheric rivers. The Bay Area AQPI system could potentially be replicated in other urban regions in California, the United States, and worldwide.

California↗

Improving paleoseismic earthquake magnitude estimates with rupture length information: Application to the Puget Lowland, Washington State, U.S.A.

Both earthquake displacement and rupture length correlate with magnitude, and therefore observations of each from past earthquakes can be used to estimate the magnitude of those earthquakes in the absence of instrumental records. We extend the Bayesian inversion method of Biasi and Weldon (2006), which estimates paleoearthquake magnitude from displacement observations, to incorporate both rupture length and surface displacement measurements into the magnitude inversion. We then use this method on 27 late Pleistocene to Holocene paleoearthquakes in the Puget Lowland region of Washington. Observations of (typically vertical) fault separation per event range from 0.6 to 7 m, implying net displacement per event of up to 10 ± 4 m for the largest event. Rupture lengths are estimated to vary between the smallest contiguous mapped scarps to the full extent of the faults mapped from geology and geophysical observations. Although a few of the ruptures may be longer than 150 km, the ruptures have a median of 53 km, indicating that earthquakes in the Puget Lowland have relatively high displacement to length ratios. By considering both datasets, we find that all events were between M 6.3 and 7.5, generally consistent with the expected seismicity from the USGS National Seismic Hazard Map for the region. The simultaneous use of both length and displacement data in the magnitude inversion decreases both the estimated earthquake magnitudes and the uncertainty. The magnitude reduction in particular is due to the relatively short rupture lengths possible for Puget Lowland faults. This implies a decrease in the seismic hazard (relative to a displacement-only assessment) to a highly populated and rapidly urbanizing region.

Washington↗

Large-scale control site selection for population monitoring: an example assessing Sage-grouse trends

Human impacts on wildlife populations are widespread and prolific and understanding wildlife responses to human impacts is a fundamental component of wildlife management. The first step to understanding wildlife responses is the documentation of changes in wildlife population parameters, such as population size. Meaningful assessment of population changes in potentially impacted sites requires the establishment of monitoring at similar, nonimpacted, control sites. However, it is often difficult to identify appropriate control sites in wildlife populations. We demonstrated use of Geographic Information System (GIS) data across large spatial scales to select biologically relevant control sites for population monitoring. Greater sage-grouse (Centrocercus urophasianus; hearafter, sage-grouse) are negatively affected by energy development, and monitoring of sage-grouse population within energy development areas is necessary to detect population-level responses. Weused population data (1995–2012) from an energy development area in Wyoming, USA, the Atlantic Rim Project Area (ARPA), and GIS data to identify control sites that were not impacted by energy development for population monitoring. Control sites were surrounded by similar habitat and were within similar climate areas to the ARPA. We developed nonlinear trend models for both the ARPA and control sites and compared long-term trends from the 2 areas. We found little difference between the ARPA and control sites trends over time. This research demonstrated an approach for control site selection across large landscapes and can be used as a template for similar impact-monitoring studies. It is important to note that identification of changes in population parameters between control and treatment sites is only the first step in understanding the mechanisms that underlie those changes. Published 2015. This article is a U.S. Government work and is in the public domain in the USA.

Wyoming↗

Geologic models underpinning the 2018 US Geological Survey assessment of hydrocarbon resources in the Eagle Ford Group and associated Cenomanian–Turonian strata, United States Gulf Coast, Texas

The availability of new geologic and production data has greatly increased since 2010, when the US Geological Survey (USGS) last assessed undiscovered, technically recoverable oil and gas resources in the Cenomanian–Turonian (CT) Eagle Ford Group (EFG) across Texas. This new information facilitated an updated assessment of undiscovered continuous oil and gas resources in the Eagle Ford and associated CT strata. Literature and USGS research data were used to build the geologic models for the assessment units (AUs). The USGS defined six continuous AUs within the EFG: (1) Eagle Ford Marl Continuous Oil, (2) Eagle Ford Marl Continuous Gas, (3) Submarine Plateau-Karnes Trough Continuous Oil, (4) Submarine Plateau-Karnes Trough Continuous Gas, (5) CT Mudstone Continuous Oil, and (6) CT Mudstone Continuous Gas. An additional AU, the CT Slope Continuous Gas AU, was defined but not quantitatively assessed. The boundaries of these AUs were defined by thickness, lithofacies, thermal maturity, regional geology, and the spatial distribution of productive fairways. The resulting total mean estimates for undiscovered, technically recoverable resources for these six AUs are 8.5 billion bbl of oil and 66 trillion ft 3 of gas. These results for both oil and gas resources are within the top five volumes of previously assessed continuous accumulations in the United States and attest to the importance of the EFG and associated CT strata as a significant source of petroleum well into the future.

Texas↗

Broadband synthetic seismograms for magnitude 9 earthquakes on the Cascadia megathrust based on 3D simulations and stochastic synthetics, part 1: Methodology and overall results

We have produced a large set of broadband (0–10 Hz) synthetic seismograms for Mw 9.0 earthquakes on the Cascadia megathrust by combining synthetic seismograms derived from 3D finite‐difference simulations ( ⁠≤1 Hz⁠ ) with finite‐source, stochastic synthetics ( ⁠≥1 Hz⁠ ). We used a compound rupture model consisting of high stress drop M w 8 subevents superimposed on large, shallower slip with long‐slip duration, informed by observations of the M w 9.0 Tohoku, Japan, and M w 8.8 Maule, Chile, earthquakes. Thirty 3D simulations were run, considering a variety of rupture parameters, to determine the range of expected ground motions. For sites not in sedimentary basins, the spectral accelerations of the synthetics are similar to the BC Hydro ground‐motion prediction equations (GMPEs) for periods of 0.1–6 s, but exceed them at periods greater than 6 s. Response spectra from the synthetics at sites in the Seattle and Tacoma sedimentary basins show large amplifications of factors of 2–5 at periods of 1–10 s. This basin amplification is substantially larger than that found for crustal earthquakes in the Next Generation Attenuation‐West2 (NGA‐West2) GMPEs. Basin amplification is caused by basin‐edge generated surface waves and by amplification and focusing of S waves and surface waves by the 3D basin structure. The synthetic seismograms show effective average durations of strong motions of about 70 s for coastal sites, increasing to about 120 s at 200 km distance. We find that the interevent and intraevent standard deviations of the spectral amplitudes of the synthetics are larger for sites closer to the rupture, because they are more sensitive to the location of subevents and rupture directivity.

California, Oregon, Washington↗

Limestone and chert in tectonic blocks from the Esk Head subterrane, South Island, New Zealand

The Esk Head subterrane is a continuous belt, generally 10-20 km wide, of tectonic mélange and broken formation on the South Island of New Zealand. This subterrane separates older and younger parts of the Torlesse terrane which is an extensive accretionary prism composed mostly of quartzo-feldspathic, submarine-fan deposits ranging from Permian to Early Cretaceous in age. The Torlesse is the most Pacific-ward of several Permian and Mesozoic accreted terranes in New Zealand that record tectonic amalgamation and ultimate accretion against the Pacific-facing Gondwana margin. The Esk Head subterrane of the Torlesse is especially informative because it includes within it conspicuous tectonic blocks of submarine basalt and a variety of basalt-associated seamount and sea-floor limestones and cherty rocks thought to be representative of the subducted plate. Limestones in tectonic blocks are of Late Triassic and probably Jurassic ages and include (1) submarine-cemented, pelagic-bivalve, geopetal packstone-grainstone; (2) brachiopod-bryozoan encrinite; and (3) radiolarian, pelagic lime mudstone. Most of the Triassic blocks have been dated using conodonts which have remarkably low color alteration index (CAI) values (<1.5). An incomplete sampling of cherts in tectonic blocks and from Holocene gravels derived from the Esk Head subterrane yields radiolarian-based ages of Late Triassic, Early Jurassic, Middle Jurassic, and Late Jurassic. Paleogeographic inferences drawn from megafossils, bioclasts, and radiolarians, as well as from carbonate cements, indicate deposition of the oceanic sedimentary rocks at paleolatitudes somewhat lower than that of the New Zealand part of the Gondwana margin, but higher than paleoequatorial latitudes. These oceanic sediments and their basaltic substrates were evidently emplaced in the Torlesse accretionary prism following off-scraping from an extensive subducting oceanic plate, probably the Phoenix plate, which was obliquely convergent with the northwest-trending Gondwana margin during Late Jurassic and/or Early Cretaceous time.

Geological Society of America Bulletin↗