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The story of the Hawaiian Volcano Observatory -- A remarkable first 100 years of tracking eruptions and earthquakes

The year 2012 marks the centennial of the Hawaiian Volcano Observatory (HVO). With the support and cooperation of visionaries, financiers, scientists, and other individuals and organizations, HVO has successfully achieved 100 years of continuous monitoring of Hawaiian volcanoes. As we celebrate this milestone anniversary, we express our sincere mahalo—thanks—to the people who have contributed to and participated in HVO’s mission during this past century. First and foremost, we owe a debt of gratitude to the late Thomas A. Jaggar, Jr., the geologist whose vision and efforts led to the founding of HVO. We also acknowledge the pioneering contributions of the late Frank A. Perret, who began the continuous monitoring of Kīlauea in 1911, setting the stage for Jaggar, who took over the work in 1912. Initial support for HVO was provided by the Massachusetts Institute of Technology (MIT) and the Carnegie Geophysical Laboratory, which financed the initial cache of volcano monitoring instruments and Perret’s work in 1911. The Hawaiian Volcano Research Association, a group of Honolulu businessmen organized by Lorrin A. Thurston, also provided essential funding for HVO’s daily operations starting in mid-1912 and continuing for several decades. Since HVO’s beginning, the University of Hawaiʻi (UH), called the College of Hawaii until 1920, has been an advocate of HVO’s scientific studies. We have benefited from collaborations with UH scientists at both the Hilo and Mänoa campuses and look forward to future cooperative efforts to better understand how Hawaiian volcanoes work. The U.S. Geological Survey (USGS) has operated HVO continuously since 1947. Before then, HVO was under the administration of various Federal agencies—the U.S. Weather Bureau, at the time part of the Department of Agriculture, from 1919 to 1924; the USGS, which first managed HVO from 1924 to 1935; and the National Park Service from 1935 to 1947. For 76 of its first 100 years, HVO has been part of the USGS, the Nation’s premier Earth science agency. It currently operates under the direction of the USGS Volcano Science Center, which now supports five volcano observatories covering six U.S. areas—Hawaiʻi (HVO), Alaska and the Northern Mariana Islands (Alaska Volcano Observatory), Washington and Oregon (Cascades Volcano Observatory), California (California Volcano Observatory), and the Yellowstone region (Yellowstone Volcano Observatory). Although the National Park Service (NPS) managed HVO for only 12 years, HVO has enjoyed a close working relationship with Hawaiʻi Volcanoes National Park (named Hawaii National Park until 1961) since the park’s founding in 1916. Today, as in past years, the USGS and NPS work together to ensure the safety and education of park visitors. We are grateful to all park employees, particularly Superintendent Cindy Orlando and Chief Ranger Talmadge Magno and their predecessors, for their continuing support of HVO’s mission. HVO also works closely with the Hawaiʻi County Civil Defense. During volcanic and earthquake crises, we have appreciated the support of civil defense staff, especially that of Harry Kim and Quince Mento, who administered the agency during highly stressful episodes of Kīlauea's ongoing eruption. Our work in remote areas on Hawaiʻi’s active volcanoes is possible only with the able assistance of Hawaiʻi County and private pilots who have safely flown HVO staff to eruption sites through the decades. A special mahalo goes to David Okita, who has been HVO’s principal helicopter pilot for more than two decades. Many commercial and Civil Air Patrol pilots have also assisted HVO by reporting their observations during various eruptive events. Hawaiʻi’s news media—print, television, radio, and online sources—do an excellent job of distributing volcano and earthquake information to the public. Their assistance is invaluable to HVO, especially during times of crisis. HVO’s efforts to provide timely and accurate scientific information about Hawaiian volcanoes and earthquakes succeed only because of you, our receptive and keenly aware public. By following the activity of Hawaiʻi’s active volcanoes through our daily eruption updates posted on the HVO website, viewing HVO webcam images, reading our weekly “Volcano Watch” articles, and attending our public lectures, you help us to ensure that you can live safely with Hawaiʻi’s dynamic volcanoes. To everyone who has shared in HVO’s reaching this milestone—100 years of continuous volcano monitoring—we extend our deepest gratitude. Mahalo nui loa!

Hawai'i↗

Dinosaurs that did not die: Evidence for Paleocene dinosaurs in the Ojo Alamo Sandstone, San Juan Basin, New Mexico

Palynologic and paleomagnetic data confirm a Paleocene age for the Ojo Alamo Sandstone (and its contained dinosaurs) throughout the San Juan Basin of New Mexico. The recently reported discovery of 34 skeletal elements from a single hadrosaur in the Ojo Alamo provides unequivocal evidence that these bones were not reworked from underlying Cretaceous strata. Geochemical studies of samples from several single-dinosaur-bone specimens from the Paleocene Ojo Alamo Sandstone and the underlying Late Cretaceous (Campanian) Kirtland Formation show that mineralized bones from these two rock units contain distinctly different abundances of uranium and rare-earth elements and demonstrate that Cretaceous and Paleocene bones were mineralized at different times when mineralizing fluids had distinctly different chemical compositions. These findings indicate that the dinosaur bone from the Paleocene Ojo Alamo is indigenous and not reworked. These data show that a relatively diverse assemblage of dinosaurs survived the end-Cretaceous asteroid-impact extinction event of 65.5 Ma. The San Juan Basin’s Paleocene dinosaur fauna is herein named the Alamoan fauna. Magnetic-polarity chronology shows that these survivors lived for about one million years into the Paleocene and then became extinct around 64.5 Ma. We suggest that a plausible survival mechanism for this Lazarus fauna may have been the large numbers of buried dinosaur eggs, laid just before the asteroid impact occurred. These buried eggs would have provided a safe haven for developing dinosaur embryos for the first one to two years after the impact, thereby making it possible for them to survive the worst of the impact’s early devastation.

Colorado, New Mexico↗

Deep-sea ostracode shell chemistry (Mg:Ca ratios) and late Quaternary Arctic Ocean history

The magnesium:calcium (Mg:Ca) and strontium:calcium (Sr:Ca) ratios were investigated in shells of the benthic ostracode genus Krithe obtained from 64 core-tops from water depths of 73 to 4411 m in the Arctic Ocean and Nordic seas to determine the potential of ostracode shell chemistry for palaeoceanographic study. Shells from the Polar Surface Water (−1 to −1.5°C) had Mg:Ca molar ratios of about 0.006–0.008; shells from Arctic Intermediate Water (+0.3 to +2.0°C) ranged from 0.09 to 0.013. Shells from the abyssal plain and ridges of the Nansen, Amundsen and Makarov basins and the Norwegian and Greenland seas had a wide scatter of Mg:Ca ratios ranging from 0.007 to 0.012 that may signify post-mortem chemical alteration of the shells from Arctic deep-sea environments below about 1000 m water depth. There is a positive correlation ( r 2 = 0.59) between Mg:Ca ratios and bottom-water temperature in Krithe shells from Arctic and Nordic seas from water depths <900 m. Late Quaternary Krithe Mg:Ca ratios were analysed downcore using material from the Gakkel Ridge (water depths 3047 and 3899 m), the Lomonosov Ridge (water depth 1051 m) and the Amundsen Basin (water depth 4226 m) to test the core-top Mg:Ca temperature calibration. Cores from the Gakkel and Lomonosov ridges display a decrease in Mg:Ca ratios during the interval spanning the last glacial/deglacial transition and the Holocene, perhaps related to a decrease in bottom water temperatures or other changes in benthic environments.

Geological Society Special Publication↗

Late Holocene alluvial geomorphology of the Virgin River in the Zion National Park area, southwest Utah

This study traces the geomorphic development of the alluvial valley of the Virgin River in the Zion National Park region of southwest Utah. The purpose is to identify, date, and interpret the patterns of erosion and deposition that formed the alluvial valley over the past 1,000 years. This information is a basis for understanding how the geomorphology of the alluvial valley changes under essentially natural flow conditions. Sediment in the alluvial valley is classified as mainstem or tributary in origin. Mainstem alluvium is the largest volumetrically; it is mainly light-colored sand derived from upstream sources that accumulated on now abandoned flood plains (or terraces) by overbank deposition. Tributary sediment is typically dark colored, coarse-grained sand or gravel transported to the alluvial valley by streamflow or debris flow. Tributary and mainstem sediment are interbedded near the margin of the valley, and the older deposits are truncated parallel to the river, suggesting that in time the river removes both its own deposits and those of tributaries. In the natural flow regimen, the river probably maintains a balance between erosion and deposition of mainstem and tributary deposits. Four terraces and the active channel and flood plain are widespread along the Virgin River; from oldest to youngest these are the prehistoric, settlement, historic, and modern terraces. Dating was done by archeologic context, tree-ring methods, historic documents, relocation of early photographs, and correlation with other streams on the southern Colorado Plateau. Results indicate that prehistoric deposition ended by about A.D. 1100–1200, deposition of the settlement alluvium was from about A.D. 1400–1880, development of the historic terrace was from after 1883 until 1926, deposition of the modern alluvium was from 1940–1980, and development of the active channel and flood plain was after about 1980. The principal deposits (prehistoric, settlement, and modern alluviums) are separated by two periods of stream entrenchment and channel widening referred to as the prehistoric and historic arroyo cutting, respectively. Erosional activity of roughly similar age occurred in most southern Colorado Plateau streams. The early erosion is not well dated in the study area, although regional relations suggest A.D. 1200–1400, if not somewhat earlier. Historic arroyo cutting began after 1883 in the study area and continued until around 1940 when deposition of the modern alluvium began. Both erosions affected the human population of the region. Although the dating is imprecise, the Anasazi probably abandoned the region during prehistoric arroyo cutting, partly because of adverse environmental conditions. Likewise, historic arroyo cutting caused major losses of property and economic hardship among Anglo settlers. Erosion and deposition were largely contemporaneous with variations in streamflow. Long-term streamflow of the Virgin River was estimated from calibration of annual tree growth with measured streamflow. Results indicate that erosion was during periods of unusually high streamflow and that deposition was during periods of relatively low streamflow. These relations are best illustrated by historic arroyo cutting and subsequent deposition of the modern alluvium. Precipitation and runoff immediately before and during historic arroyo cutting were the most unusual of the past 300 years; they varied from the driest immediately preceding erosion to the wettest during erosion. Deposition of the modern alluvium was during relatively low runoff after 1940. High runoff destabilizes the channel, enhancing flood erosion. Conversely, relatively low runoff increases channel stability, reducing the erosional effect of floods and enhancing flood plain deposition. Adjustments in the width and depth of the channel are frequent, even after relatively small, short-term variations of streamflow.

Utah↗

Geology and ground-water resources of the lower Little Bighorn River Valley, Big Horn County, Montana, with special reference to the drainage of waterlogged lands

The lower Little Bighorn River valley, Montana, is in the unglaciated part of the Missouri Plateau section of the Great Plains physiographic province. The river and its principal tributaries rise in the Bighorn Mountains, and the confluence of this northward-flowing stream with the Bighorn River is near the east edge of Hardin, Mont. The normal annual precipitation ranges from about 12 inches in the northern part of the area to 15 inches in the southern part. The economy of the area is founded principally on farming, much of the low-lying land adjacent to the river being irrigated. The irrigated land is within the Crow Indian Reservation, although a part is privately owned. The bedrock formations exposed in the area are of Cretaceous age and include the Parkman sandstone, Claggett shale, Eagle sandstone, Telegraph Creek shale, and Cody shale. The Cloverly formation, Tensleep sandstone, and Madison limestone, which underlie but are not exposed in the area, and the Parkman sandstone in the southern half of the area appear to be the principal bedrock aquifers. All except the Parkman lie at depths ranging from a few feet to several thousand feet, and all appear to be capable of yielding water in commercial quantities. Some of the other formations arc capable of yielding enough water for domestic and stock needs. The river alluvium of Recent age and the Pleistocene terrace deposits are the principal unconsolidated formations in the area with respect to water supply and drainage. Wells yielding as much as 100 gallons per minute may be developed in favorable areas. Pumping tests reveal that the transmissibility of the coarser unconsolidated materials probably ranges from about 15,000 to 30,000 gallons per day per foot. Two tests of the Parkman sandstone showed transmissibilities of 6,000 and 20,000 gallons per day per foot. Although a test of the Cloverly formation showed a transmissibility of only 3,000 gallons per day per foot, the high artesian pressure--80 pounds per square inch at the land surface--in the Cloverly caused the tested well to yield about 200 gallons per minute by natural flow; this is greater than the yield of any other single well in the area. Textural properties were compared with the hydraulic properties determined by laboratory tests to show the relation between different types of waterbearing materials. Materials classified as heavy soils-normally somewhat dense and impervious-had an average permeability of 7.2 gallons per day per square foot, which was more than expected. One sample of very coarse alluvial material had a permeability of 6,000 gallons per day per square foot. The depth to water beneath irrigation units was mapped, thus showing the waterlogged areas. Waterlogging is not a serious problem where the water table is more than 6 feet below the land surface. For the drainage studies the unconsolidated deposits are classified in two zones-coarse-grained sediments resting on the relatively impermeable bedrock floor and overlying fine-grained sediments which extend to the land surface. The transmissibility of the coarse-sediment zone generally is many times greater than that of the fine-sediment zone. Because in many places drains could not be economically dug deep enough to enter the coarse zone, the study of the effectiveness of drainage completed in the fine zone received much attention. The studies showed that, despite a considerable thickness of fine-grained sediments between the bottom of the drain and the top of the coarse zone, drainage ditches frequently were effective in relieving waterlogging of fields nearby. Pilot relief wells installed in existing drains showed that the effectiveness of some drains could be increased appreciably by installing a series of relief wells. Records of fluctuations of water levels in 196 observation wells and water-level contour maps were studied to show the principal areas of recharge and discharge in the irrigable areas.

Montana↗

Proceedings of a workshop on American Eel passage technologies

Recent concerns regarding a decline in recruitment of American eels ( Anguilla rostrata ) have prompted efforts to restore this species to historic habitats by providing passage for both upstream migrant juveniles and downstream migrant adults at riverine barriers, including low-head and hydroelectric dams (Castonguay et al. 1994, Haro et al. 2000). These efforts include development of management plans and stock assessment reviews in both the US and Canada (COSEWIC 2006, Canadian Eel Working Group 2009, DFO 2010, MacGregor et al. 2010, ASMFC 2000, ASMFC 2006, ASMFC 2008, Williams and Threader 2007), which target improvement of upstream and downstream passage for eels, as well as identification and prioritization of research needs for development of new and more effective passage technologies for American eels. Traditional upstream fish passage structures, such as fishways and fish lifts, are often ineffective passing juvenile eels, and specialized passage structures for this species are needed. Although designs for such passage structures are available and diverse (Knights and White 1998, Porcher 2002, FAO/DVWK 2002, Solomon and Beach 2004a,b, Environment Agency UK 2011), many biologists, managers, and engineers are unfamiliar with eel pass design and operation, or unaware of the technical options available for upstream eel passage, Better coordination is needed to account for eel passage requirements during restoration efforts for other diadromous fish species. Also, appropriately siting eel passes at hydropower projects is critical, and siting can be difficult and complex due to physical restrictions in access to points of natural concentrations of eels, dynamic hydraulics of tailrace areas, and presence of significant competing flows from turbine outfalls or spill. As a result, some constructed eel passes are sited poorly and may pass only a fraction of the number of eels attempting to pass the barrier. When sited and constructed appropriately, however, eel passes can effectively pass thousands of individuals in a season (Appendix D). technologies for preventing impingement and entrainment mortality and injury of downstream migrant eels at hydropower projects are not well developed. Traditional downstream fish passage mitigative techniques originally developed for salmonids and other species are frequently ineffective passing eels (Richkus and Dixon 2003, EPRI 2001, Bruijs and Durif 2009). Large hydropower projects, with high project flows or intake openings that cannot be fitted with racks or screens with openings small enough to exclude eels, pose significant passage problems for this species, and turbine impingement and entrainment mortality of eels can be as high as 100%. Spill mortality and injury may also be significant for eels, given their tendency to move during high flow events when projects typically spill large amounts of flow. Delays in migration of eels that have difficulty locating and utilizing bypass entrances can also be significant. Therefore, downstream passage technologies are at a much more nebulous state of development than upstream passage technologies, and require further evaluation and improvement before rigorous design guidelines can be established. There have been few studies conducted to evaluate effectiveness of current mitigative measures for both upstream and downstream passage of eels. Research is needed to determine eel migratory timing, behavior, and appropriate mitigation technologies for specific sites and eel life history stages. Both upstream and downstream eel passage structures can be difficult to evaluate in terms of performance, and examples of how evaluation and monitoring can be accomplished were reviewed at the workshop.

Report↗

Preface

This book grew out of a topical session on “Central Virginia Earthquakes of 2011: Geology, Geophysics, and Significance for Seismic Hazards in Eastern North America” at the 2012 The Geological Society of America (GSA) Annual Meeting in Charlotte, North Carolina (USA). It also benefitted from related sessions at other meetings. The goal of this volume, The 2011 Mineral, Virginia, Earthquake, and Its Significance for Seismic Hazards in Eastern North America , is to bring together as much information as possible on lessons learned from this rare event. Chapters encompass a wide range of geoscience, engineering, and related studies of this earthquake and its effects from the epicentral area in central Virginia to Washington, D.C., and beyond. The intended audience is a broad spectrum of geoscientists, engineers, and decision makers interested in understanding earthquakes and seismic hazards in eastern North America and other intraplate settings. Chapters by Berti et al. (21), Chapman (2), Costain (8), Davenport et al. (15), Green et al. (9), Heller and Carter (10), Horton et al. (14), Hughes et al. (19), Powars et al. (23), Pratt et al. (16), Roeloffs et al. (7), Shah et al. (17), Stephenson et al. (3), Walsh et al. (18), and Wells et al. (12) are expansions of presentations at the 2012 GSA meeting. The volume also contains chapters from recent studies that were not presented at the GSA meeting, including those by Bobyarchick (22), Burton et al. (20), Dreiling and Mooney (5), Li et al. (11), McNamara et al. (4), Pollitz and Mooney (6), and Shahidi et al. (13). Following an overview and synthesis by the volume editors (1), chapters are arranged under the topical headings “Seismology and Regional Effects,” “Earthquake Damage, Geotechnical, and Engineering Investigations,” “Aftershocks, Geophysical Imaging, and Modeling,” “Geologic Investigations—Epicentral Area,” and “Geologic Investigations— Central Virginia Seismic Zone and Nearby Faults.” We thank the authors for their contributions and the many scientists and engineers who contributed time and expertise in reviewing manuscripts to substantially improve the quality of the volume. These reviewers include Gail Atkinson, Christopher Bailey, Richard Berquist, Kimberly Blisniuk, Paul Bodin, Aaron Bradshaw, Clive Collins, Ariel Conn, Randy Cox, Haitham Dawood, James Dewey, John Ebel, David Fenster, Alexander Gates, Kathleen Haller, Gregory Hancock, Robert Hatcher, William Henika, Paul Hsieh, Steven Jaumé, Jeffrey Kimball, Charles Langston, Jongwon Lee, Andrea Llenos, John McBride, Scott Olson, Michael Oskin, Brent Owens, Gilles Peltzer, Mark Quigley, Dhananjay Ravat, David Saftner, Arthur Snoke, Jamison Steidl, Kevin Stewart, Alice Stieve, Danielle Sumy, Ertugrul Taciroglu, Roy Van Arsdale, Mason Walters, Chiyuen Wang, Yang Wang, Richard Whittecar, Lorraine Wolf, Clint Wood, Liam Wotherspoon, and some anonymous reviewers.

Virginia↗

Species and population variation to salinity stress in Panicum hemitomon, Spartina patens, and Spartina alterniflora: Morphological and physiological constraints

Panicum hemitomon, Spartina patens, and Spartina alterniflora are wide-spread dominant grasses of fresh, brackish, and salt marsh plant communities, respectively. Our previous research identified significant intraspecific variation in salt tolerance and morphology among populations within each species. In this study our objectives were to determine shorter-term physiological/biochemical responses to salinity stress and identify potential indicators of salt tolerance, with the ultimate goal of discerning similarities and differences in the mechanisms of salinity stress resistance. We subjected a subset of six populations within each species, ranging from high to low salt tolerance, to sublethal salinity levels (4, 20, and 30 ppt, respectively, for species) and monitored physiological and growth responses after 1 week (early harvest) and 5 weeks (late harvest). In all three species sublethal salinity levels generally resulted in significantly reduced net CO2 assimilation, leaf expansion, midday leaf xylem pressure, water use efficiency, and live and total biomass; and significantly increased leaf Na+/K+ ratio, leaf proline, leaf glycine betaine, leaf sucrose, root-to-shoot ratio, and dead:total aboveground biomass ratio. All three species displayed significant population (intraspecific) variation in net CO2 assimilation, leaf expansion, water use efficiency, midday leaf xylem pressure, leaf proline, leaf glycine betaine (except Panicum, where it could not be accurately determined), leaf Na+/K+ ratio, leaf sucrose, total plant biomass, dead:total aboveground biomass ratio, and root-to-shoot ratio. General indicators of salt tolerance (regardless of species) included high net CO2 assimilation rates and water use efficiencies, and low ratios of root-to-shoot and dead:total aboveground biomass. Factor analysis and a-priori linear contrasts revealed some unique differences between species in terms of the relative importance of morphology and physiology in explaining intraspecific variation in salt tolerance. Plant morphology (size attributes) were strongly associated with salt tolerance in P. hemitomon, weakly associated with salt tolerance in S. patens, and not associated with salt tolerance in S. alterniflora. Highly salt-tolerant populations of Spartina alterniflora displayed the greatest ion selectivity (lower leaf Na+/K+ ratios), which was not displayed by the other two species. These results suggest that plant size attributes can be very important in explaining population differences in salt tolerance in glycophytes, but may be independent of salt tolerance in halophytes, which have specialized physiological (and/or anatomical) adaptations that can confer salinity stress resistance through mechanisms such as selective ion exclusion and secretion. ?? 2001 Elsevier Science B.V. All rights reserved.

Conference Paper↗

Tectonic evolution and Cretaceous gold metallogenesis of southwestern Alaska

Cretaceous gold metallogenesis in southwestern Alaska comprises three distinct episodes related to the accretionary evolution of northwestern North America. The oldest mineralizing event is characterized by 112 Ma Cu-Au-Bi-Te porphyry-type(?) veining in the zoned Bonanza and adjacent plutons that intruded rocks of the Nyac terrane. Tectonic reconstructions and limited geological and geochemical data suggest that Cu-Au mineralization in the Nyac district may be related to terminal subduction during accretion of the Togiak-Koyukuk arc. The subsequent 100 to 89 Ma metallogenic event is a product of subduction-related magmatism immediately following accretion of the Peninsular-Alexander-Wrangellia superterrane and includes formation of the giant Pebble porphyry Cu-Au-Mo deposit. Pebble underwent a complex history of highly oxidized magmatism that is isotopically linked to enriched lithosphere or metasomatized mantle sources. Pebble and other porphyryrelated plutons were emplaced as a consequence of changes in plate motion and onset of dextral transpression along the continental margin to the southeast of their present-day locations. The final 75 to 65 Ma metallogenic event is regionally the most extensive. It followed a ~15-m.y.-long magmatic lull and is related to enigmatic subduction-related magmatism in the western part of the Alaska Range and the Kuskokwim basin. This event resulted in the formation of porphyry, reduced pluton-related, orogenic, and possible epithermal Au deposits. In the better-studied relatively low-relief areas of the Kuskokwim basin, many of the mineralized systems are spatially associated with ilmenite-series monzonite to quartz monzonite composite plutons that have isotopic signatures consistent with derivation from crustally contaminated mantle sources. These pluton-hosted Au deposits comprise low-sulfide stockworks, sheeted veins, and/or breccias in the cupolas of moderately differentiated intrusions that contain high Au; anomalous As, Bi, Sb, and/or Te; and have variable, but not uneconomic, Cu concentrations. In addition, Au, Sb, and/or Hg deposits hosted by competent NE-trending granite porphyry dike-sill complexes or along faults in flysch are widespread in the Kuskokwim basin. These deposits, including the giant Donlin Creek Au deposit, formed at shallow crustal levels and are classified here as epizonal orogenic Au deposits and related Hg and Sb lodes. Mesozonal orogenic Au deposits were formed along the margins of the uplifting Willow Creek pluton that is now exposed along the southern side of the Talkeetna Mountains batholith. Recent discoveries in the rugged Alaska Range comprise less well-studied porphyry Au-Cu (Whistler, Island Mountain), epithermal(?) Au (Terra), and reduced pluton-hosted Au deposits (Estelle). The cause of the broad latest Cretaceous magmatism associated with the final metallogenic event is enigmatic, but indicates widespread high heat flow possibly related to flat-slab subduction, lithospheric mantle delamination, or escape tectonics. Plutonism postdated regional folding and coincided with periods of movement along regional faults and formation of the NE-trending structural fabric. Magmatism resulted from initiation of transpressional faulting in more landward positions during oblique subduction of the Kula plate. Crustal contamination of mantle melts, either near their source or during ascent through the thick flysch of the Kuskokwim basin, produced low oxidation state magmas and controlled much of the metallogeny, particularly for those deposits that display similarities to both reduced porphyry Au-Cu deposits and, to a lesser degree, reduced intrusion-related Au systems. High heat flow also induced crustal melting and metamorphic devolatilization to form orogenic Au deposits. A transition to extension at ~60 Ma recorded elsewhere in Alaska temporally corresponds to termination of gold deposit formation in southwestern Alaska. The multiple periods of gold metallogenesis in southwestern Alaska offer a wide variety of targets for exploration within discrete parts of the region.

Society of Economic Geologists Special Publication↗

Diagenetic alteration of impact spherules in the Neoarchean Monteville layer, South Africa

Intercontinental correlation of distal Archean impact ejecta layers can be used to help create a global time-stratigraphic framework for early Earth events. For example, an impact spherule layer in the Neoarchean Monteville Formation (Griqualand West Basin, South Africa) may be correlated with layers in one or more formations in Western Australia. To help assess the degree to which diagenetic alteration would hinder such correlations, we performed a petrographic study of spherules in the Monteville layer. Most of the spherules in the Monteville layer have botryoidal rims composed of radial-fibrous K-feldspar, but compaction and replacement have greatly altered their appearance and mineralogy. Moreover, the Monteville spherule layer consists of three main subunits, and spherule compaction varies between subunits as well as across the Griqualand West region. Compaction is about three times greater in a medial spherulerich subunit as compared to a basal subunit rich in large intraclasts, resulting in better preservation of the shapes of melt particles in the latter. However, spherule rims have omparable numbers of fractures in both subunits, indicating the melt particles were fractured prior to compaction. Some spherules contain mica ribbons with a septarian geometry. Fracturing via rapid thermal quenching could help explain all of these features. f hot spherules possessing crystalline rims were thermally shocked when they hit the ocean, fractures would have the observed geometries and provide pathways for fluid infiltration and local replacement of glass by mica. Although heavily distorted, impact spherules in the Monteville layer are very similar to those in the Hesta occurrence of the Neoarchean Jeerinah spherule layer of the Hamersley Basin, even showing similar diagenetic histories. In this instance, diagenetic alteration may actually help rather than hinder intercontinental correlation of impact spherule layers. ??2006 Geological Society of America.

Special Paper of the Geological Society of America↗

Molt and aging criteria for four North American grassland passerines

Prairie and grassland habitats in central and western North America have declined substantially since settlement by Europeans (Knopf 1994) and many of the birds and other organisms that inhabit North American grasslands have experienced steep declines (Peterjohn and Sauer 1999; Johnson and Igl 1997; Sauer, Hines, and Fallon 2007). The species addressed here, Sprague’s Pipit (Anthus spragueii), Grasshopper (Ammodramus savannarum) and Baird’s (A. bairdii) sparrows, and Chestnut-collared Longspurs (Calcarius ornatus), are grassland birds that are of special conservation concern throughout their ranges due to declining populations and the loss of the specific grassland habitats required on both their breeding and wintering ranges (Knopf 1994, Davis and Sealy 1998, Davis 2003, Davis 2004, Jones and Dieni 2007). Population-trend data on grassland birds, while clearly showing declines, provides no information on the causes of population declines. Without demographic information (i.e., productivity and survivorship), there are no means to determine when in their life cycle the problems that are creating these declines are occurring, or to determine to what extent population trends are driven by factors that affect birth rates, death rates, or both (DeSante 1995). For migratory birds, population declines may be driven by factors on breeding grounds, during migration, and/or on wintering grounds. Lack of data on productivity and survivorship thus impedes the formulation of effective management and conservation strategies to reverse population declines (DeSante 1992). Furthermore, if deficiencies in survivorship are revealed, management strategies may need to address habitats on both breeding and non-breeding grounds, as well as along migratory pathways. One technique that helps inform management strategies is the biochemical analysis of isotopes and genetic markers, from the sampling of individual feathers from live birds (Smith et al. 2003, Pérez and Hobson 2006; Appendix). Determining demographic parameters and effectively sampling feathers to reveal connectivity between breeding and wintering grounds requires detailed knowledge of molt patterns and age determination criteria for the target species, in the hand. For example, productivity, survivorship, and territory acquisition may all be age-dependent, with first-year birds showing different patterns and responses than older birds. In many cases it may be possible to sample both a feather grown on the breeding grounds and one grown on the wintering grounds from a single individual, but knowledge of age-specific molt patterns, as well as an ability to recognize different feather generations, is needed to accomplish such a task. While some information on molt and aging criteria exists for grassland passerine species (Pyle 1997a), these species have been rarely captured during mark-recapture studies (Jones et al. 2007) and this information thus needs refining. There is a need for additional resources to assist field workers in determining molt patterns and age in captured individuals. Our objective is to describe molt and aging criteria for four grassland passerine species with the aid of digital photographs taken in the field. We hope that this document will be useful for researchers studying grassland species through capture and banding of live individuals on either the breeding or the wintering grounds. We present a general section on molt and aging techniques, followed by specific accounts for the four species treated: Sprague’s Pipits, Grasshopper and Baird sparrows, and Chestnut-collared Longspur. We also provide a brief protocol on collecting feather samples (Appendix).

Biological Technical Publication↗

Association of anatase (TiO2) and microbes: unusual fossilization effect or a potential biosignature?

We combined microbial paleontology and molecular biology methods to study the Eyreville B drill core from the 35.3-Ma-old Chesapeake Bay impact structure,Virginia, USA. The investigated sample is a pyrite vein collected from the 1353.81-1353.89 m depth interval, located within a section of biotite granite. The granite is a pre-impact rock that was disrupted by the impact event. A search for inorganic (mineral) biosignatures revealed the presence of micron-size rod morphologies of anatase (TiO2) embedded in chlorite coatings on pyrite grains. Neither the Acridine Orange microbial probe nor deoxyribonucleic acid (DNA) extraction followed by polymerase chain reaction (PCR) amplifi cation showed the presence of DNA or ribonucleic acid (RNA) at the location of anatase rods, implying the absence of viable cells in the investigated area. A Nile Red microbial probe revealed the presence of lipids in the rods. Because most of the lipids are resistant over geologic time spans, they are good biomarkers, and they are an indicator of biogenicity for these possibly 35-Ma-old microbial fossils. The mineral assemblage suggests that rod morphologies are associated with low-temperature (<100 &deg;C) hydrothermal alteration that involved aqueous fl uids. The temporal constraints on the anatase fossils are still uncertain because pre-impact alteration of the granite and postimpact heating may have provided identical conditions for anatase precipitation and microbial preservation.

Geological Society of America Bulletin↗

Response of breeding birds to aerial sprays of trichlorfon (Dylox) and carbaryl (Sevin-4-Oil) in Montana forests

Breeding density, food, nesting success, and mortality of 20 bird species were monitored at Beaverhead National Forest, Montana, in 1975 in conjunction with experimental applications of trichlorfon (Dylox) and carbaryl (Sevin-4-oil) to western budworms (Choristoneura occidentalis). Bird species on nine 350- to 550-ha forested plots (three controls and three treated with each pesticide) were studied before and for 14 days after the spraying of trichlorfon at 1.1 kg in?9.4 L of Panasol AN3 per ha (1 pound active ingredient in 1.0 gallon/acre) and of carbaryl at 1.1 kg in 4.7 L of diesel oil per ha (l pound active ingredient in 0.5 gallon/acre). No significant decrease in bird numbers was detected from breeding-pair estimates or live bird counts after the spraying. Of the breeding pairs present before spraying, 92% remained on control plots, 89% on trichlorfon plots, and 92% on carbaryl plots. Counts of live birds made before and after spraying in three types of habitat supported the. results of the breeding-pair estimates. Nests with eggs or with young at the time of spraying were 74 and 97% successful, respectively, in control plots, 83 and 100% in plots sprayed with trichlorfon, and 86 and 100% in plots sprayed with carbaryl. No sick or dead birds were found after the spraying, although budworms were found in bird stomachs, and tracer-dye from the pesticide occurred on the feathers or feet of 74% of the 202 birds collected. Species dwelling in the tree canopy encountered the dye (and thus the pesticide) at a slightly higher rate (80%) than did species below the treetops (71 %) or near the ground and in open areas (70%).

Special Scientific Report - Wildlife↗

Geologic framework and evidence for neotectonism in the epicentral area of the 2011 Mineral, Virginia, earthquake

The epicenters of the main shock and associated aftershocks of the 2011 moment magnitude, M w 5.8 Mineral, Virginia (USA), earthquake, and the updip projection of the possible fault plane that triggered the quakes, are contained in the areas of 2 adjoining 7.5′ quadrangles in the central Virginia Piedmont. These quadrangles have therefore been the focus of concentrated geologic study in the form of bedrock and surficial mapping and near-surface trenching in order to identify potential seismogenic structures. Bedrock mapping has outlined a series of northeast-southwest–trending lithologic belts that include the Ordovician Chopawamsic and Quantico Formations, the narrow neck of the Late Ordovician Ellisville pluton, and mélange zone III of the Mine Run Complex. The region was affected by at least two ductile deformational events, one in the early Paleozoic that was broadly synchronous with the intrusion of the pluton, and one later in the Paleozoic. The earlier deformation produced the Quantico synclinorium and other regional folds, and the later deformation produced faults with associated high-strain zones. Two of these faults have been trenched at their intersection along the east-dipping eastern contact of the Ellisville neck, near where the causative fault for the earthquake projects to the surface. The trenches have exposed abundant evidence of post-Paleozoic fracturing and faulting, including brecciated quartz-tourmaline veins, slickensided thrust and strike-slip faults, and clay-filled fractures. Fluvial and colluvial gravels that overlie these brittle structures have yielded optically stimulated luminescence ages ranging from ca. 27 to 10 ka. These structures are likely representative of surface features associated with Quaternary earthquakes in the Central Virginia seismic zone.

GSA Special Papers↗

The 2011 Virginia M5.8 earthquake: Insights from seismic reflection imaging into the influence of older structures on eastern U.S. seismicity

The Mineral, Virginia (USA), earthquake of 23 August 2011 occurred at 6– 8 km depth within the allochthonous terranes of the Appalachian Piedmont Province, rupturing an ~N36°E striking reverse fault dipping ~50° southeast. This study used the Interstate Highway 64 seismic refl ection profi le acquired ~6 km southwest of the hypocenter to examine the structural setting of the earthquake. The profi le shows that the 2011 earthquake and its aftershocks are almost entirely within the early Paleozoic Chopawamsic volcanic arc terrane, which is bounded by listric thrust faults dipping 30°–40° southeast that sole out into an ~2-km-thick, strongly refl ective zone at 7– 12 km depth. Refl ectors above and below the southward projection of the 2011 earthquake focal plane do not show evidence for large displacement, and the updip projection of the fault plane does not match either the location or trend of a previously mapped fault or lithologic boundary. The 2011 earthquake thus does not appear to be a simple reactivation of a known Paleozoic thrust fault or a major Mesozoic rift basin-boundary fault. The fault that ruptured appears to be a new fault, a fault with only minor displacement, or to not extend the ~3 km from the aftershock zone to the seismic profi le. Although the Paleozoic structures appear to infl uence the general distribution of seismicity in the area, Central Virginia seismic zone earthquakes have yet to be tied directly to specifi c fault systems mapped at the surface or imaged on seismic profiles.

Virginia↗

Earthquake location in island arcs

A comprehensive data set of selected teleseismic P-wave arrivals and local-network P- and S-wave arrivals from large earthquakes occurring at all depths within a small section of the central Aleutians is used to examine the general problem of earthquake location in island arcs. Reference hypocenters for this special data set are determined for shallow earthquakes from local-network data and for deep earthquakes from combined local and teleseismic data by joint inversion for structure and location. The high-velocity lithospheric slab beneath the central Aleutians may displace hypocenters that are located using spherically symmetric Earth models; the amount of displacement depends on the position of the earthquakes with respect to the slab and on whether local or teleseismic data are used to locate the earthquakes. Hypocenters for trench and intermediate-depth events appear to be minimally biased by the effects of slab structure on rays to teleseismic stations. However, locations of intermediate-depth events based on only local data are systematically displaced southwards, the magnitude of the displacement being proportional to depth. Shallow-focus events along the main thrust zone, although well located using only local-network data, are severely shifted northwards and deeper, with displacements as large as 50 km, by slab effects on teleseismic travel times. Hypocenters determined by a method that utilizes seismic ray tracing through a three-dimensional velocity model of the subduction zone, derived by thermal modeling, are compared to results obtained by the method of joint hypocenter determination (JHD) that formally assumes a laterally homogeneous velocity model over the source region and treats all raypath anomalies as constant station corrections to the travel-time curve. The ray-tracing method has the theoretical advantage that it accounts for variations in travel-time anomalies within a group of events distributed over a sizable region of a dipping, high-velocity lithospheric slab. In application, JHD has the practical advantage that it does not require the specification of a theoretical velocity model for the slab. Considering earthquakes within a 260 km long by 60 km wide section of the Aleutian main thrust zone, our results suggest that the theoretical velocity structure of the slab is presently not sufficiently well known that accurate locations can be obtained independently of locally recorded data. Using a locally recorded earthquake as a calibration event, JHD gave excellent results over the entire section of the main thrust zone here studied, without showing a strong effect that might be attributed to spatially varying source-station anomalies. We also calibrated the ray-tracing method using locally recorded data and obtained results generally similar to those obtained by JHD. ?? 1982.

Physics of the Earth and Planetary Interiors↗

Environment of deposition of CaCO3 in Elk Lake, Minnesota

Elk Lake is near the present forest-prairie border in northwestern Minnesota, and is also located on the boundary between hard-water lakes that are typical of once-glaciated parts of the north-central United States and more saline prairie lakes of western Minnesota and the Dakotas. The sediments of the prairie lakes just west of Elk Lake are unusual in that they commonly contain high-Mg calcite and dolomite in addition to low-Mg calcite, which is the dominant carbonate mineral in most marl lakes. During the mid-Holocene dry period, prairie conditions expanded eastward into the forested regions of Minnesota. Variations in types and abundances of carbonate minerals in the Holocene sediments of Elk Lake recorded this climatic change. Studies of primary productivity, carbonate saturation, water chemistry, and sediment-trap samples show that low-Mg calcite precipitates during the summer, triggered by algal photosynthesis. The epilimnion of Elk Lake is always oversaturated with calcite, and the degree of oversaturation increases progressively during the summer. The pH of the epilimnion increases from <8.0 after spring overturn to almost 9.0 in late summer in response to photosynthetic removal of CO 2 during the summer months. The rate of calcium depletion from the epilimnion is proportional to the increase in pH and the rate of photosynthetic carbon fixation. Today the only carbonate minerals that are accumulating in the sediments of Elk Lake are low-Mg calcite and manganese carbonate (rhodochrosite). Rhodochrosite, and probably manganese oxyhydroxide, precipitates when manganese-rich anoxic bottom waters come in contact with carbonate-rich oxic surface waters. During the arid mid-Holocene prairie period, however, low-Mg calcite, dolomite, aragonite, and rhodochrosite all accumulated in the sediments of Elk Lake. Dolomite formed in Elk Lake during this period in response to a higher Mg:Ca ratio in the water, just as it is forming today in lakes of the prairie regions of western Minnesota. The coincident occurrence of aragonite and biological indicators of high salinity suggests that the salinity of Elk Lake and the Mg:Ca ratio were higher than in any of the present prairie lakes of western Minnesota.

Minnesota↗

Methods for determining magnitude and frequency of floods in California, based on data through water year 2006

Methods for estimating the magnitude and frequency of floods in California that are not substantially affected by regulation or diversions have been updated. Annual peak-flow data through water year 2006 were analyzed for 771 streamflow-gaging stations (streamgages) in California having 10 or more years of data. Flood-frequency estimates were computed for the streamgages by using the expected moments algorithm to fit a Pearson Type III distribution to logarithms of annual peak flows for each streamgage. Low-outlier and historic information were incorporated into the flood-frequency analysis, and a generalized Grubbs-Beck test was used to detect multiple potentially influential low outliers. Special methods for fitting the distribution were developed for streamgages in the desert region in southeastern California. Additionally, basin characteristics for the streamgages were computed by using a geographical information system. Regional regression analysis, using generalized least squares regression, was used to develop a set of equations for estimating flows with 50-, 20-, 10-, 4-, 2-, 1-, 0.5-, and 0.2-percent annual exceedance probabilities for ungaged basins in California that are outside of the southeastern desert region. Flood-frequency estimates and basin characteristics for 630 streamgages were combined to form the final database used in the regional regression analysis. Five hydrologic regions were developed for the area of California outside of the desert region. The final regional regression equations are functions of drainage area and mean annual precipitation for four of the five regions. In one region, the Sierra Nevada region, the final equations are functions of drainage area, mean basin elevation, and mean annual precipitation. Average standard errors of prediction for the regression equations in all five regions range from 42.7 to 161.9 percent. For the desert region of California, an analysis of 33 streamgages was used to develop regional estimates of all three parameters (mean, standard deviation, and skew) of the log-Pearson Type III distribution. The regional estimates were then used to develop a set of equations for estimating flows with 50-, 20-, 10-, 4-, 2-, 1-, 0.5-, and 0.2-percent annual exceedance probabilities for ungaged basins. The final regional regression equations are functions of drainage area. Average standard errors of prediction for these regression equations range from 214.2 to 856.2 percent. Annual peak-flow data through water year 2006 were analyzed for eight streamgages in California having 10 or more years of data considered to be affected by urbanization. Flood-frequency estimates were computed for the urban streamgages by fitting a Pearson Type III distribution to logarithms of annual peak flows for each streamgage. Regression analysis could not be used to develop flood-frequency estimation equations for urban streams because of the limited number of sites. Flood-frequency estimates for the eight urban sites were graphically compared to flood-frequency estimates for 630 non-urban sites. The regression equations developed from this study will be incorporated into the U.S. Geological Survey (USGS) StreamStats program. The StreamStats program is a Web-based application that provides streamflow statistics and basin characteristics for USGS streamgages and ungaged sites of interest. StreamStats can also compute basin characteristics and provide estimates of streamflow statistics for ungaged sites when users select the location of a site along any stream in California.

California↗