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At least 1,045 records · Page 58Linked to original sources

Urban sprawl as a risk factor in motor vehicle crashes

A decade ago, compactness/sprawl indices were developed for metropolitan areas and counties which have been widely used in health and other research. In this study, we first update the original county index to 2010, then develop a refined index that accounts for more relevant factors, and finally seek to test the relationship between sprawl and traffic crash rates using structural equation modelling. Controlling for covariates, we find that sprawl is associated with significantly higher direct and indirect effects on fatal crash rates. The direct effect is likely due to the higher traffic speeds in sprawling areas, and the indirect effect is due to greater vehicle miles driven in such areas. Conversely, sprawl has negative direct relationships with total crashes and non-fatal injury crashes, and these offset (and sometimes overwhelm) the positive indirect effects of sprawl on both types of crashes through the mediating effect of increased vehicle miles driven. The most likely explanation is the greater prevalence of fender benders and other minor accidents in the low speed, high conflict traffic environments of compact areas, negating the lower vehicle miles travelled per capita in such areas.

Urban Studies↗

Hazard characterization for alternative intensity measures using the total probability theorem

Since their inception in the 1980s, simplified procedures for the analysis of liquefaction hazards have typically characterized seismic loading using a combination of peak ground acceleration and earthquake magnitude. However, more recent studies suggest that certain evolutionary intensity measures (IMs) such as Arias intensity or cumulative absolute velocity may be more efficient and sufficient predictors of liquefaction triggering and its consequences. Despite this advantage, widespread hazard characterizations for evolutionary IMs are not yet feasible due to a relatively incomplete representation of the ground motion models (GMMs) needed for probabilistic seismic hazard analysis (PSHA). Without widely available hazard curves for evolutionary IMs, current design codes often rely on spectral targets for ground motion selection and scaling, which are shown in this study to indirectly result in low precision of evolutionary IMs often associated with liquefaction hazards. This study presents a method to calculate hazard curves for arbitrary intensity measures, such as evolutionary IMs for liquefaction hazard analyses, without requiring an existing GMM. The method involves the conversion of a known IM hazard curve into an alternative IM hazard curve using the total probability theorem. The effectiveness of the method is illustrated by comparing hazard curves calculated using the total probability theorem to the results of a PSHA to demonstrate that the proposed method does not result in additional uncertainty under idealized conditions and provides a range of possible hazard values under most practical conditions. The total probability theorem method can be utilized by practitioners and researchers to select ground motion time series that target alternative IMs for liquefaction hazard analyses or other geotechnical applications. This method also allows researchers to investigate the efficiency, sufficiency, and predictability of new, alternative IMs without necessarily requiring GMMs.

Earthquake Spectra↗

The 2018 update of the US National Seismic Hazard Model: Ground motion models in the central and eastern US

The United States Geological Survey (USGS) National Seismic Hazard Model (NSHM) is the scientific foundation of seismic design regulations in the United States and is regularly updated to consider the best available science and data. The 2018 update of the conterminous US NSHM includes major changes to the underlying ground motion models (GMMs). Most of the changes are motivated by the new multi-period response spectra requirements of seismic design regulations that use hazard results for 22 spectral periods and 8 site classes. In the central and eastern United States (CEUS), the 2018 NSHM incorporates 31 new GMMs for hard-rock site conditions ( V S 30 = 3000 m / s ) "> ( V S 30 = 3000 m / s ) (VS30=3000m/s) , including the Next Generation Attenuation (NGA)-East GMMs. New aleatory variability and site-effect models, both specific to the CEUS, are applied to all median hard-rock GMMs. This article documents the changes to the USGS GMM selection criteria and provides details on the new CEUS GMMs used in the 2018 NSHM update. The median GMMs, their weights, epistemic uncertainty, and aleatory variability are compared with those considered in prior NSHMs. This article further provides implementation details on the CEUS site-effect model, which allows conversion of hard-rock ground motions to other site conditions in the CEUS for the first time in NSHMs. Compared with the 2014 NSHM hard-rock ground motions, the weighted average of median GMMs increases for large magnitude events at middle to large distance range, epistemic uncertainty increases in almost all situations, but aleatory variability is not significantly different. Finally, the total effect on hazard is demonstrated for an assumed earthquake source model in the CEUS, which shows an increased ring of ground motions in the vicinity of the New Madrid seismic zone and decreased ground motions near the East Tennessee seismic zone.

Earthquake Spectra↗

NCWin — A Component Object Model (COM) for processing and visualizing NetCDF data

NetCDF (Network Common Data Form) is a data sharing protocol and library that is commonly used in large-scale atmospheric and environmental data archiving and modeling. The NetCDF tool described here, named NCWin and coded with Borland C + + Builder, was built as a standard executable as well as a COM (component object model) for the Microsoft Windows environment. COM is a powerful technology that enhances the reuse of applications (as components). Environmental model developers from different modeling environments, such as Python, JAVA, VISUAL FORTRAN, VISUAL BASIC, VISUAL C + +, and DELPHI, can reuse NCWin in their models to read, write and visualize NetCDF data. Some Windows applications, such as ArcGIS and Microsoft PowerPoint, can also call NCWin within the application. NCWin has three major components: 1) The data conversion part is designed to convert binary raw data to and from NetCDF data. It can process six data types (unsigned char, signed char, short, int, float, double) and three spatial data formats (BIP, BIL, BSQ); 2) The visualization part is designed for displaying grid map series (playing forward or backward) with simple map legend, and displaying temporal trend curves for data on individual map pixels; and 3) The modeling interface is designed for environmental model development by which a set of integrated NetCDF functions is provided for processing NetCDF data. To demonstrate that the NCWin can easily extend the functions of some current GIS software and the Office applications, examples of calling NCWin within ArcGIS and MS PowerPoint for showing NetCDF map animations are given.

Cartographic Journal↗

Synthesis of illite-smectite from smectite at Earth surface temperatures and high pH

It is well known that illite-smectite can form from smectite at elevated temperatures in natural and experimental systems. However, the conversion of smectite to illite-smectite is also found in some natural systems that have never been heated. The present experiments show that illite layers can form from smectite by chemical reaction at 35° and 60°C at high solution pH. The rate of this reaction is accelerated by wetting and drying.

Clay Minerals↗

The influence of vesicularity on grain morphology in basaltic pyroclasts from Mauna Loa and Kīlauea volcanoes

Vesicularity of individual pyroclasts from airfall tephra deposits is an important parameter that is commonly measured at basaltic volcanoes. Conventional methods used to determine pyroclast vesicularity on a large number of clasts has the potential to be time consuming, particularly when rapid analysis is required. Here we propose dynamic image analysis on two-dimensional (2D) projection shapes of crushed pyroclasts from tephra deposits as a new method to estimate vesicularity. This method relies on the influence of vesicles and uses grain morphology as a proxy for vesicle size and abundance. Pyroclasts from a variety of basaltic tephra deposits from the volcanoes of Mauna Loa and Kīlauea were analyzed. Vesicularities between 52–98% were measured via nitrogen-gas pycnometry. The same pyroclasts were then crushed and sieved, and their grain shapes measured using dynamic image analysis on a CAMSIZER®. This yields values for the mean sphericity, elongation, compactness, and Krumbein roundness of the grains. Our data show that grains become increasingly irregular with increasing vesicularity, with the degree of correlation between shape parameters and vesicularity depending on the size of measured grains. Shape irregularities in small grains (60–250 µm) are mostly area-based, with elongation being the best vesicularity indicator, whereas shape irregularities in large grains (250–700 µm) are mostly perimeter-based, with Krumbein roundness as the best vesicularity indicator. Using mean shape parameter values with all grain sizes included, grain elongation is the most well-correlated shape parameter with vesicularity, with the best fitted model explaining 76% of variation in the observations. Microscope images of thin sections of intact pyroclasts, as well as from crushed pyroclasts, were analyzed using CSDCorrections 1.6 software in ImageJ to find local vesicularity, vesicle size, grain size, grain elongation, and vesicle spatial distribution by stereological conversion. Observed correlation between grain shape and vesicularity can be explained by the local effect of vesicles on the shape of the solid structure in between those vesicles. Grain shape depends not only on vesicularity, but also on vesicle to grain size ratio and the spatial distribution of vesicles. The influence of vesicles on grain shape is best captured by grains with the size of the solid structure in between vesicles, which generally increases with decreasing vesicularity. Dynamic image analysis is a useful tool to quickly gauge vesicularity, which could be used in near-real-time during an eruption response. However, this method is best suited for highly vesicular (> 80%) basaltic pyroclasts from tephra deposits with few microlites and phenocrysts. Further research on crushing techniques, optimum grain size for shape measurements, and Krumbein roundness measurements for the grain size range of 250–700 µm might enable application of this method to lower vesicularity pyroclasts.

Hawaii↗

A comparison of methods for the long-term harness-based attachment of radio-transmitters to juvenile Japanese quail (Coturnix japonica)

Background While the period from fledging through first breeding for waterbird species such as terns (e.g., genus Sterna, Sternula) is of great interest to researchers and conservationists, this period remains understudied due in large part to the difficulty of marking growing juveniles with radio transmitters that remain attached for extended periods. Methods In an effort to facilitate such research, we examined the impact of various combinations of harness types (backpack, leg-loop, and 3D-printed harnesses), harness materials (Automotive ribbon, Elastic cord, and PFTE ribbon), and transmitter types (center-weighted and rear-weighted) on a surrogate for juvenile terns, 28-day-old Japanese quail ( Coturnix japonica; selected due to similarities in adult mass and downy feathering of juveniles ), in a 30-day experiment. We monitored for abrasion at points of contact and tag gap issues via daily exams while also recording mass and wing cord as indices of growth. This study was designed to serve as an initial examination of the impacts of marking on the growth and development of young birds and does not account for any impacts of tags on movement or behavior. Results While we found that treatment (the specific combination of the transmitter type, harness type, and harness material) had no impact on bird growth relative to unmarked control birds ( P ≥ 0.05), we did observe differences in abrasion and tag gap between treatments ( P ≤ 0.05). Our results suggest that leg-loop harnesses constructed from elastic cord and backpack harnesses from PFTE ribbon are suitable options for long-term attachment to growing juveniles. Conversely, we found that automotive ribbon led to extensive abrasion with these small-bodied birds, and that elastic cord induced blisters when used to make a backpack harness. Conclusions While these results indicate that long-term tagging of juvenile birds is possible with limited impacts on growth, this work does not preclude the need for small-scale studies with individual species. Instead, we hope this provides an informed starting point for further exploration of this topic.

Animal Biotelemetry↗

Intrapopulation differences in polar bear movement and step selection patterns

Background The spatial ecology of individuals often varies within a population or species. Identifying how individuals in different classes interact with their environment can lead to a better understanding of population responses to human activities and environmental change and improve population estimates. Most inferences about polar bear ( Ursus maritimus ) spatial ecology are based on data from adult females due to morphological constraints on applying satellite radio collars to other classes of bears. Recent studies, however, have provided limited movement data for adult males and sub-adults of both sexes using ear-mounted and glue-on tags. We evaluated class-specific movements and step selection patterns for polar bears in the Chukchi Sea subpopulation during spring. Methods We developed hierarchical Bayesian models to evaluate polar bear movement (i.e., step length and directional persistence) and step selection at the scale of 4-day step lengths. We assessed differences in movement and step selection parameters among the three classes of polar bears (i.e., adult males, sub-adults, and adult females without cubs-of-the-year). Results Adult males had larger step lengths and less directed movements than adult females. Sub-adult movement parameters did not differ from the other classes but point estimates were most similar to adult females. We did not detect differences among polar bear classes in step selection parameters and parameter estimates were consistent with previous studies. Conclusions Our findings support the use of estimated step selection patterns from adult females as a proxy for other classes of polar bears during spring. Conversely, movement analyses indicated that using data from adult females as a proxy for the movements of adult males is likely inappropriate. We recommend that researchers consider whether it is valid to extend inference derived from adult female movements to other classes, based on the questions being asked and the spatial and temporal scope of the data. Because our data were specific to spring, these findings highlight the need to evaluate differences in movement and step selection during other periods of the year, for which data from ear-mounted and glue-on tags are currently lacking.

Movement Ecology↗

Climate change refugia and habitat connectivity promote species persistence

Background Climate change refugia, areas buffered from climate change relative to their surroundings, are of increasing interest as natural resource managers seek to prioritize climate adaptation actions. However, evidence that refugia buffer the effects of anthropogenic climate change is largely missing. Methods Focusing on the climate-sensitive Belding’s ground squirrel ( Urocitellus beldingi ), we predicted that highly connected Sierra Nevada meadows that had warmed less or shown less precipitation change over the last century would have greater population persistence, as measured by short-term occupancy, fewer extirpations over the twentieth century, and long-term persistence measured through genetic diversity. Results Across California, U. beldingi were more likely to persist over the last century in meadows with high connectivity that were defined as refugial based on a suite of temperature and precipitation factors. In Yosemite National Park, highly connected refugial meadows were more likely to be occupied by U. beldingi . More broadly, populations inhabiting Sierra Nevada meadows with colder mean winter temperatures had higher values of allelic richness at microsatellite loci, consistent with higher population persistence in temperature-buffered sites. Furthermore, both allelic richness and gene flow were higher in meadows that had higher landscape connectivity, indicating the importance of metapopulation processes. Conversely, anthropogenic refugia, sites where populations appeared to persist due to food or water supplementation, had lower connectivity, genetic diversity, and gene flow, and thus might act as ecological traps. This study provides evidence that validates the climate change refugia concept in a contemporary context and illustrates how to integrate field observations and genetic analyses to test the effectiveness of climate change refugia and connectivity. Conclusions Climate change refugia will be important for conserving populations as well as genetic diversity and evolutionary potential. Our study shows that in-depth modeling paired with rigorous fieldwork can identify functioning climate change refugia for conservation.

California↗

Large-scale wildfire reduces population growth in a peripheral population of sage-grouse

Drastic increases in wildfire size and frequency threaten western North American sagebrush ( Artemisia L. spp.) ecosystems. At relatively large spatial scales, wildfire facilitates type conversion of sagebrush-dominated plant communities to monocultures of invasive annual grasses ( e.g., Bromus tectorum L.). Annual grasses provide fine fuels that promote fire spread, contributing to a positive grass–fire feedback cycle that affects most sagebrush ecosystems, with expected habitat loss for resident wildlife populations. Greater sage-grouse ( Centrocercus urophasianus Bonaparte, 1827) are sagebrush obligate species that are indicators of sagebrush ecosystem function because they rely on different components of sagebrush ecosystems to meet seasonal life history needs. Because wildfire cannot be predicted, chronic impacts of wildfire on sage-grouse populations have been largely limited to correlative studies. Thus, evidence from well-designed experiments is needed to understand the specific mechanisms by which wildfire is detrimental to sage-grouse population dynamics.

California, Nevada↗

PP and PS interferometric images of near-seafloor sediments

I present interferometric processing examples from an ocean-bottom cable OBC dataset collected at a water depth of 800 m in the Gulf of Mexico. Virtual source and receiver gathers created through cross-correlation of full wavefields show clear PP reflections and PS conversions from near-seafloor layers of interest. Virtual gathers from wavefield-separated data show improved PP and PS arrivals. PP and PS brute stacks from the wavefield-separated data compare favorably with images from a non-interferometric processing flow. ?? 2011 Society of Exploration Geophysicists.

SEG Technical Program Expanded Abstracts↗

Geochemical changes and fracture development in Woodford Shale cores following hydrous pyrolysis under uniaxial confinement

A uniaxial confinement clamp was used on Woodford Shale cores in hydrous pyrolysis experiments to study fracture development during thermal maturation. The clamp simulates overburden in that it prevents cores from expanding perpendicular to bedding fabric during the volume-increasing reactions associated with petroleum generation. Cores were cut from a slab of immature Woodford Shale and subjected to hydrous pyrolysis under confinement at 300, 330, and 365 °C for 72 hours to induce thermal maturities ranging from early bitumen to maximum expelled-oil generation. Two additional cores were used as experimental controls: (1) a confined core was saturated with water by heating it to 100 °C under hydrous pyrolysis conditions for 72 hours to use for characterization of the original rock, and (2) an unconfined core was heated at 365 °C for 72 hours to evaluate the effects of confinement on petroleum generation and expulsion. X-ray computed tomography (X-CT) imaging and other analyses identified five distinct beds within the cored interval. Using a tentative classification system, beds 1, 2, and 3 are described as dolomitic marlstone (DM) with total organic carbon (TOC) contents of 7.7, 5.8, and 7.7 wt. %, respectively; bed 4 is a cherty quartzose claystone (CQC) with TOC content of 5.5 wt. %; and bed 5 is a quartzose claystone with TOC content of 10.9 wt. %. Bed samples all had similar Rock-Eval hydrogen indices (600 ± 46 mg S2/g-TOC) and Tmax values (433 ± 2 °C), demonstrating organic matter uniformity and low thermal maturity. The X-CT scan of the core heated to 100 °C showed preexisting fractures that were nearly perpendicular to the bedding fabric primarily in the low-TOC DM bed 2 and CQC bed 4. Heating led to enhancement of preexisting fractures in the confined cores with the greatest enhancement occurring in CQC bed 4. The fractures increased in size and intensity with temperature. This is attributed to the internal pressure generated by volume-increasing reactions during the conversion of kerogen to bitumen and bitumen to oil and gas. The unconfined core heated to 365 °C showed no enhanced fracturing and its X-CT-scan resembled that of the 100 °C confined core. Comparison of the oil and gas yields from the confined and unconfined cores heated to 365 °C showed no significant differences, indicating that product expulsion is not inhibited by the procedure used in this study. These results also indicate that fracturing during thermal maturation is driven primarily by the enhancement of existing fractures.

Conference Paper↗

North Slope, Alaska: Source rock distribution, richness, thermal maturity, and petroleum charge

Four key marine petroleum source rock units were identified, characterized, and mapped in the subsurface to better understand the origin and distribution of petroleum on the North Slope of Alaska. These marine source rocks, from oldest to youngest, include four intervals: (1) Middle-Upper Triassic Shublik Formation, (2) basal condensed section in the Jurassic-Lower Cretaceous Kingak Shale, (3) Cretaceous pebble shale unit, and (4) Cretaceous Hue Shale. Well logs for more than 60 wells and total organic carbon (TOC) and Rock-Eval pyrolysis analyses for 1183 samples in 125 well penetrations of the source rocks were used to map the present-day thickness of each source rock and the quantity (TOC), quality (hydrogen index), and thermal maturity (Tmax) of the organic matter. Based on assumptions related to carbon mass balance and regional distributions of TOC, the present-day source rock quantity and quality maps were used to determine the extent of fractional conversion of the kerogen to petroleum and to map the original TOC (TOCo) and the original hydrogen index (HIo) prior to thermal maturation. The quantity and quality of oil-prone organic matter in Shublik Formation source rock generally exceeded that of the other units prior to thermal maturation (commonly TOCo > 4 wt.% and HIo > 600 mg hydrocarbon/g TOC), although all are likely sources for at least some petroleum on the North Slope. We used Rock-Eval and hydrous pyrolysis methods to calculate expulsion factors and petroleum charge for each of the four source rocks in the study area. Without attempting to identify the correct methods, we conclude that calculations based on Rock-Eval pyrolysis overestimate expulsion factors and petroleum charge because low pressure and rapid removal of thermally cracked products by the carrier gas retards cross-linking and pyrobitumen formation that is otherwise favored by natural burial maturation. Expulsion factors and petroleum charge based on hydrous pyrolysis may also be high compared to nature for a similar reason. Copyright ?? 2006. The American Association of Petroleum Geologists. All rights reserved.

American Association of Petroleum Geologists Bulle↗

Paleovalley fills: Trunk vs. tributary

A late Mississippian-early Pennsylvanian eustatic sea level drop resulted in a complex lowstand drainage network being eroded across the Illinois Basin in the eastern United States. This drainage system was filled during the early part of the Pennsylvanian. Distinct differences can be recognized between the trunk and tributary paleovalley fills. Fills preserved within the trunk systems tend to be fluvially dominated and consist of bed-load deposits of coarse- to medium-grained sandstone and conglomerate. Conversely, the incised valleys of tributary systems tend to be filled with dark mudstone, thinly interbedded sandstones, and mudstones and siltstones. These finer grained facies exhibit marine influences manifested by tidal rhythmites, certain traces fossils, and macro- and microfauna. Examples of tributary and trunk systems, separated by no more than 7 km (4.3 mi) along strike, exhibit these styles of highly contrasting fills. Useful analogs for understanding this Pennsylvanian system include the Quaternary glacial sluiceways present in the lower Ohio, White, and Wabash river valleys of Indiana (United States) and the modern Amazon River (Brazil). Both the Amazon River and the Quaternary rivers of Indiana have (or had) trunk rivers that are (were) dominated by large quantities of bed load relative to their tributaries. The trunk valley systems of these analogs aggraded much more rapidly than their tributary valleys, which evolved into lakes because depositional rates along the trunk are (were) so high that the mouths of the tributaries have been dammed by bed-load deposits. These Holocene systems illustrate that sediment yields can significantly influence the nature of fill successions within incised valleys independent of rates of sea level changes or proximity to highstand coastlines. Copyright ?? 2007. The American Association of Petroleum Geologists. All rights reserved.

American Association of Petroleum Geologists Bulle↗

Tracking solutes and water from subsurface drip irrigation application of coalbed methane-produced waters, Powder River Basin, Wyoming

One method to beneficially use water produced from coalbed methane (CBM) extraction is subsurface drip irrigation (SDI) of croplands. In SDI systems, treated CBM water (injectate) is supplied to the soil at depth, with the purpose of preventing the buildup of detrimental salts near the surface. The technology is expanding within the Powder River Basin, but little research has been published on its environmental impacts. This article reports on initial results from tracking water and solutes from the injected CBM-produced waters at an SDI system in Johnson County, Wyoming. In the first year of SDI operation, soil moisture significantly increased in the SDI areas, but well water levels increased only modestly, suggesting that most of the water added was stored in the vadose zone or lost to evapotranspiration. The injectate has lower concentrations of most inorganic constituents relative to ambient groundwater at the site but exhibits a high sodium adsorption ratio. Changes in groundwater chemistry during the same period of SDI operation were small; the increase in groundwater-specific conductance relative to pre-SDI conditions was observed in a single well. Conversely, groundwater samples collected beneath another SDI field showed decreased concentrations of several constituents since the SDI operation. Groundwater-specific conductance at the 12 other wells showed no significant changes. Major controls on and compositional variability of groundwater, surface water, and soil water chemistry are discussed in detail. Findings from this research provide an understanding of water and salt dynamics associated with SDI systems using CBM-produced water.

Wyoming↗

Structural charge site influence on the interlayer hydration of expandable three-sheet clay minerals

Previous investigations have demonstrated the influences of interlayer cation composition, relative humidity, temperature, and magnitude of interlayer surface charge on the interlayer hydration of montmorillonites and vermiculites. It has been suggested that the sites of layer charge deficiencies may also have an influence upon the amount of hydration that can take place in the interlayers of expandable clay minerals. If the interlayer cation-to-layer bonds are considered as ideally electrostatic, the magnitude of the forces resisting expansion may be expressed as a form of Coulomb's law. If this effect is significant, expandable structures in which the charge-deficiency sites are predominantly in the tetrahedral sheet should have less pronounced swelling properties than should structures possessing charge deficiencies located primarily in the octahedral sheet. Three samples that differed in location of layer charge sites were selected for study. An important selection criterion was a non-correlation between tetrahedral charge sites and high surface-charge density, and between octahedral charge sites and low surface-charge density. The effects of differences in interlayer cation composition were eliminated by saturating portions of each sample with the same cations. Equilibrium (001) d values at controlled constant humidities were used as a measure of the relative degree of interlayer hydration. Although no correlation could be made between the degree of interlayer hydration and total surface-charge density, the investigation does not eliminate total surface-charge density as being significant to the swelling properties of three-sheet clay-mineral structures. The results do indicate a correlation between more intense expandability and predominance of charge deficiencies in the octahedral sheet. Conversely, less intense swelling behavior is associated with predominantly tetrahedral charge deficiencies.

Clays and Clay Minerals↗

Considerations and applications of the illite/smectite geothermometer in hydrocarbon-bearing rocks of Miocene to Mississippian age

Empirical relationships between clay mineral transformations and temperature provide a basis for the use of clay minerals as geothermometers. Clay-mineral geothermometry has been applied mainly to diagenetic, hydrothermal, and contact- and burial-metamorphic settings to better understand the thermal histories of migrating fluids, hydrocarbon source beds, and ore and mineral formation. Quantitatively, the most important diagenetic clay mineral reaction in sedimentary rocks is the progressive transformation of smectite to illite via mixed-layer illite/smectite (I/S). Changes in both the illite/smectite ratio and ordering of I/S, as determined from X-ray powder diffraction profiles, correlate with changes in temperature due to burial depth. Although the smectite-to-illite reaction may be influenced by several factors, reaction progress appears to be strongly controlled by temperature. Studies show that the model proposed by Hoffman and Hower in 1979 is applicable in burial diagenetic settings from about 5 to 330 Ma, and includes most rocks about Miocene to Mississippian in age. Reliability of the I/S geothermometer is, however, dependent upon a good understanding of the rock's original clay-mineral composition. Changes in the ordering of I/S are particularly useful in the exploration for hydrocarbons because of the common coincidence between the temperatures for the conversion from random-to-ordered I/S and those for the onset of peak, or main phase, oil generation. Here, the utility of the I/S geothermometer is reviewed in hydrocarbon-bearing rocks of Miocene to Mississippian age. Using three common applications, the I/S geothermometer is compared to other mineral geothermometers, organic maturation indices, and grades of indigenous hydrocarbons. Good agreement between changes in ordering of I/S and calculated maximum burial temperatures or hydrocarbon maturity suggests that I/S is a reliable semiquantitative geothermometer and an excellent measures of thermal maturity.

Clays and Clay Minerals↗

Influence of hydrologic processes on reproduction of the introduced bivalve Potamocorbula amurensis in northern San Francisco Bay, California

Monthly censusing of reproductive condition of the Asian clam Potamocorbula amurensis at four sites in northern San Francisco Bay over a 9-yr period revealed year-to-year differences in local reproductive activity that are associated with patterns of hydrologic variability. Between 1989 and 1992, Northern California experienced a drought, whereas the period between 1993 and 1998 was marked by a mix of wet and dry years. We took advantage of the extreme year-to-year differences to examine reproductive responses to river inflow patterns. Populations of P. amurensis at the upstream sites in Suisun Bay and Carquinez Strait were more reproductively active during wet years than dry years. Conversely, at the downstream site in San Pablo Bay, the population was more reproductively active during dry years than wet years. We suggest that the different reproductive patterns observed reflect the clam's response to different sources of food. During wet years, organic matter from the rivers augments food supplies in Suisun Bay. During dry years, when inflow into the San Francisco Bay Estuary from the rivers is reduced, water transported from the adjacent ocean into the estuary as far as San Pablo Bay provides a supplemental food supply for the local production. The populations take advantage of these spatially distinct food supplies by initiating and maintaining local reproductive activity. We conclude that the ability of P. amurensis to consume and use various types of food to regulate its reproductive activity is part of the reason for its success as an invasive species.

California↗