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Orientation dependence of probabilistic seismic hazard estimates from CyberShake physics-based simulations

Earthquake ground‐motion intensities, such as pseudospectral accelerations (SAs), can vary significantly with horizontal orientation. However, conducting probabilistic seismic hazard analysis (PSHA) for each horizontal orientation is challenging because current ground‐motion models used in PSHA consider only a single horizontal intensity value, usually the median across all orientations, known as RotD50. To address this limitation, we employ physics‐based simulations for PSHA, which contain full waveforms from which ground‐motion intensities can be computed for all horizontal orientations to study directional seismic hazard. We apply our approach to the latest CyberShake study of the Greater Los Angeles metropolitan area, developed by the Statewide California Earthquake Center, finding that seismic hazard at a 2475‐yr return period, a common value used for earthquake‐resistant design, varies significantly with horizontal orientation. For instance, for SAs at 3 s, the maximum seismic hazard across all horizontal orientations is, on average, 15% higher than the median RotD50 hazard, with these differences becoming more pronounced at longer periods. These observed variations can generally be attributed to physical mechanisms that polarize seismic waves, such as the radiation pattern of the earthquake source and the influence of the subsurface structure. These results may have important implications for earthquake engineering applications, particularly for long‐period structures in areas with substantial horizontal variations in seismic hazard.

California

Characterizing directivity in small (M 2.4-5) aftershocks of the Ridgecrest sequence

Directivity, or the focusing of energy along the direction of an earthquake rupture, is a common property of earthquakes of all sizes and can cause increased hazard due to azimuthally dependent ground‐motion amplification. For small earthquakes, the effects of directivity are generally less pronounced due to reduced rupture size, yet the directivity in small events can bias source property estimates and provide important insights into general regional faulting patterns. However, due to observational limitations, directivity is usually only measured and modeled for large events. As such, many studies of small earthquakes either ignore directivity altogether or assume a constant rupture direction for all events in a cluster. In our study, we apply a refined directivity fitting method constrained with two separate methods of source deconvolution to the dataset of aftershocks of the 2019 Ridgecrest earthquakes, which contain a large number of well‐recorded small‐to‐mid sized earthquakes occurring in close proximity to each other. The revealed directivity of 100+ small (M 2.4–5) earthquakes is highly heterogeneous and primarily oblique to and away from the main fault strike, suggesting a complex postseismic stress redistribution. In addition, the energy focusing effect of directivity appears to bias the selection of high‐quality data from stations in the direction of rupture, leading to average stress‐drop increases of 50% if directivity is not accounted for.

California

Examining the role of elevated and sustained strain in dynamically triggering earthquakes on the Anza section of the San Jacinto fault

Microearthquakes can be dynamically triggered in southern California by remote earthquakes. However, directly connecting dynamic triggering mechanisms with observational data remains challenging. One proposed failure mechanism suggests that both the amplitude and duration of cyclic fatigue caused by the passing seismic wave contribute to triggering occurrence. Here, we measure dynamic strains recorded by borehole strainmeters in the Anza section of the San Jacinto fault zone from 710 earthquakes that occurred over 300 km away between 2008 and 2017 to systematically investigate the role of elevated and sustained strain in controlling dynamic triggering. We design a suite of tests to evaluate whether specific amplitude thresholds and durations of strain can predict dynamic triggering cases. We further test whether the peak dynamic strain (PDS) can predict triggering occurrence in combination with the strain amplitude and duration. Based on these tests, there is no strain amplitude–duration threshold that can distinguish triggering occurrence in Anza. Dynamic triggering is more likely to occur if a remote earthquake causes a PDS above 100 nanostrain, though many cases were triggered at smaller PDSs. The lack of clear correlation between triggering and characteristics of the dynamic strain field suggests that the tested features of the incoming waves do not determine triggering occurrence and local fault conditions and slip processes are more important in controlling dynamic triggering in Anza.

California

Colored shaded-relief bathymetric and acoustic-backscatter maps of Jenkinson Lake with orthomosaic of the Sly Park Creek and Hazel Creek area, California

The Caldor Fire was ignited on August 14, 2021, and burned almost 222,000 acres (898 square kilometers) in forested terrain of the central and western Sierra Nevada, California. During the subsequent two months, the fire burned nearly all of Sly Park Creek watershed in El Dorado County. The El Dorado Irrigation District manages the water supply for the area using storage in Jenkinson Lake, a 1.6-kilometer- (1.0-mile-) wide and 3.6-kilometer- (2.2-mile-) long reservoir, located south of the town of Pollock Pines. Several weeks after the fire, the U.S. Geological Survey began investigations into post-fire landscape responses, including sediment yield, by measuring new sediment deposition in Jenkinson Lake. This study focused on the collection and processing of bathymetric and acoustic-backscatter data, as well as onshore aerial imagery in and around Jenkinson Lake, to support wildfire science after the Caldor Fire. A colored shaded-relief bathymetric map (sheet 1) and an acoustic backscatter map (sheet 2) show the lake floor morphology and backscatter intensities.

California

Constraining source and path effects of large magnitude earthquakes using ground motion simulations

The purpose of this study is to use ground‐motion simulations to investigate ways in which source and path effects for large‐magnitude earthquakes can be represented in nonergodic ground‐motion models (GMMs). To achieve this, we designed a ground‐motion study in the San Francisco Bay Area that includes earthquakes with a broad range of magnitudes distributed uniformly on a fault plane, and sites covering a large range of rupture distances and azimuths. After running a large suite of kinematic simulations (magnitude 4–7), we then develop a nonergodic GMM with the simulated data. We find that trends in the within‐site residuals are affected significantly by the earthquake radiation pattern, rupture directivity, and slip patterns. Next, we modify an existing rupture directivity model to fit and remove the observed radiation pattern and rupture directivity from the residuals. We also minimize the contributions of slip patterns by averaging the within‐site residuals among multiple source realizations. Finally, after removing the source effects from the within‐site residuals, we compare the path effects computed with different magnitude groups using two approaches. The first approach only considers the small events that have the same shortest path to a site as the large events, whereas the second approach considers all small events on the fault plane. The results indicate that it is difficult to satisfactorily approximate the path effects of large events with those of small events using either approach, at least in the case of simulations.

California

Near-fault amplification and ground motion variability during the 2019 Ridgecrest, California sequence

We estimate ground-motion variability near the 2019 M 7.1 Ridgecrest earthquake sequence. Accurate seismic hazard estimation requires understanding ground-motion spatial correlations, yet many studies lack the dense station coverage needed to resolve small-scale variability. The 2019 M 7.1 Ridgecrest earthquake sequence presents a unique opportunity to examine ground motions and their spatial correlations at a range of interstation distances. The permanent seismic network was augmented with hundreds of temporary stations including several fault-crossing nodal arrays. We compute the event ( δE i ) and within-event ( δW ij ) residuals from the observed peak ground velocity and peak ground acceleration data to isolate potential sources of ground-motion variability. We then compare δW ij between station pairs that record an event to understand the semivariance of the ground motion versus interstation distance. By fitting an exponential model to the semivariances, we determine a correlation range of 25 km for the Ridgecrest region. Although the exponential model fits the broad-scale increase of semivariance with interstation distance, we also observe smaller-scale trends. We find that ground motions are less correlated for station pairs that are near or across faults that ruptured during the 2019 Ridgecrest sequence. We also find large, positive median δW ij with relative values 2–3 times larger than nearby stations for individual stations’ near-fault traces. Near-fault amplification and greater ground-motion variability can delineate fault zones and may locally increase the seismic hazard.

California

Earthquake stress drop, source spectra from laboratory experiments, and the apparent unsteadiness of frictional slip

Over a range of co-seismic total energy release, high sample rate slip, stress, and slip velocity measurements were made during frictional failure to determine seismic source properties. The near-field measurements were used to estimate stress drops using spectral approaches that are analogous to the standard seismological moment-corner determined Δσ and acceleration amplitude Δσ arms stress drops. Rapid frictional sliding produces slip velocity amplitude spectra that vary with frequency -1 so long as the energy dissipated by friction approaches the total energy release. Under these conditions Δσ and Δσ arms are similar in size. Since these are nearly direct measurements of fault slip velocity and because they produce flat acceleration spectra between the corner and an apparent fmax, friction in these experiments seems to produce dynamic acceleration and deceleration at all resolved frequencies. The physical origin of this unsteady motion is not known exactly but likely reflects rapid dynamic variations in fault strength or applied stress. On the other hand, when the total energy stored prior to failure is artificially made somewhat larger relative to that which can be dissipated by friction the velocity spectra vary with frequency -2 immediately below the corner. At these conditions Δσ and Δσ arms diverge. The excess stored energy is preferentially partitioned into radiated energy upon failure. Collectively the experiments imply that to produce unsteady, white noise accelerations that are observed for natural earthquakes, requires that at least 95% of the energy released does not escape the source region to be radiated to the far-field.

Bulletin of the Seismological Society of America

Ground motions from finite faults with unknown geometry

Earthquake emergency response and loss modeling require accurate models of ground‐motion intensity metrics (IMs), such as those produced by ShakeMap. In the critical minutes and hours after an earthquake, however, knowledge of the earthquake source geometry limits the accuracy of these models, especially in areas where seismic instrumentation is insufficient to constrain the shaking intensity pattern. Previous attempts to overcome this limitation have centered on computing the mean distance metrics from a suite of assumed source geometries. That approach is inadequate with modern ground‐motion models (GMMs) because they typically include terms for the hanging wall effect, depth to top of rupture, and other nonlinear terms. Such approaches also propagate the distance uncertainty through the GMMs and may not properly allocate the additional uncertainty into the between‐ and within‐event components. Here we present Finite‐Fault SIMulation with Mixed Effects Regression (FFSIMMER), a method to address these limitations by computing IM distributions from a suite of rupture realizations that fully accounts for all geometry‐related GMM terms and allows for the separation of the between‐ and within‐event components of the total uncertainty. The accuracy of this method is limited by the available constraints on the source parameters. To address this, FFSIMMER can incorporate constraints based on knowledge of the source, such as the approximate strike and dip based on knowledge of the plate tectonics and focal mechanism of the earthquake. We demonstrate the improvement in accuracy that can be achieved with the 2025 M 7.7 Mandalay, Burma (Myanmar), earthquake by incorporating constraints on the range of plausible source parameters.

Bulletin of the Seismological Society of America

Generalized Bancroft algorithm for locating earthquakes with P- and S-wave arrival times

Because of similarities between locating an earthquake with seismic stations and locating a Global Positioning System (GPS) receiver from satellites, the Bancroft algorithm developed for GPS processing can be used to locate earthquakes. Such an approach to earthquake location differs from the conventional method of choosing an initial or trial solution and then iteratively improving the solution until convergence. The Bancroft algorithm has the advantage of being a direct, noniterative solution but with the disadvantage of only being able to accommodate a homogeneous velocity model. An additional limitation of the standard Bancroft algorithm is that it considers arrival times in a medium with a single propagation velocity. This poses no problem for GPS processing because electromagnetic waves travel at the speed of light; however, for seismic waves it means the algorithm can be applied to collections of either P ‐ or S ‐wave arrival times. Here, I show how the Bancroft algorithm can be generalized to handle both P ‐ and S ‐wave arrival‐time measurements simultaneously. I also show how to accommodate depth‐varying P ‐ and S ‐wave velocity models. I apply the generalized Bancroft algorithm to microearthquakes beneath Tanaga Volcano in Alaska and compare standard locations from the widely used HYPOINVERSE location code to Bancroft locations and to the output of HYPOINVERSE when setting the trial location to the Bancroft location. I find the Bancroft locations outperform the results from the other methods for shallow earthquakes near sea level, where a quantity known as the geometric dilution of precision is large and linearized approaches such as HYPOINVERSE are expected to struggle.

Alaska

Site response in the Walnut Creek–Concord region of the San Francisco Bay, California: Ground motion amplification in a fault-bounded basin

Thirty‐seven portable accelerometers were deployed in the eastern San Francisco Bay communities of Walnut Creek and Concord to study site response in a fault‐bounded, urban, sedimentary basin. Local earthquakes were recorded for a period of two years from 2017 to 2019 resulting in 101 well‐recorded events. Site response is estimated by two methods: the reference site spectral ratio method and a source‐site spectral inversion method. The reference site spectral ratio method allows investigation of the variability of site amplification with source azimuth and frequency. The source‐site spectral inversion method yields the best least‐squares fit to site response for a database of ground‐motion records. Both methods show substantial amplification in the Walnut Creek–Concord basin below 2 Hz indicating strong surface‐wave development. Greater amplification is seen for sources aligned along the long axis of the basin. Inversion using close‐in sources at short distances yields lower amplification at longer periods than the entire data set due to reduced surface‐wave generation for steeper angles of incidence. Inversion of site response spectra for shallow shear‐wave velocity using a global search algorithm yields V S30 values consistent with generalized mapping results based on geology and topography but with greater variability due to local site variations. 3D finite‐element modeling shows greater amplification in the Walnut Creek–Concord basin with a basin‐edge effect likely contributing to higher ground motions. Topography is also seen to lead to increased scattering and shadowing effects.

California

Assessment of groundwater quantity and quality contributions to Lake Huron

Lake Huron, one of the five Great Lakes, borders the United States and Canada, with Michigan as the only U.S. State on its shoreline. Like other freshwater lakes, it faces water-quality challenges from nutrients and chemicals applied across its drainage basin. Although past studies focused on surface-water sources, groundwater contributions remain less understood. To address this gap, the U.S. Geological Survey, as part of the Cooperative Science and Monitoring Initiative, classified drainage basins to Lake Huron into eight hydrogeologic zones based on bedrock rock type and glacial sediment transmissivity. Utilizing existing data and empirical field data, we quantified groundwater discharge and identified areas of concern for loading of chloride and nitrate to Lake Huron. Groundwater contributions, including indirect and shoreline discharge, ranged from 5.8 to 11.5 inches annually, totaling 1.9 cubic miles and 0.09 cubic mile, respectively. Hydrogeologic zones with higher glacial sediment transmissivity yielded greater indirect groundwater discharge. Chloride levels above the U.S. Environmental Protection Agency’s 250-mg/L recommendation were mainly in the Saginaw lowlands, whereas nitrate above the 10-mg/L standard was rare—found in only 11 wells. Together, the analysis of where groundwater discharge is occurring in the Lake Huron Basin and the identification of areas with potential groundwater-quality concerns can help prioritize areas that are critical to protecting the long-term health of Lake Huron.

Michigan

High frequency and region-scale simulations of large (Mw7+) earthquakes on the southern Whidbey Island fault, Washington, USA

We simulate ground shaking in western Washington State from hypothetical M w 7.0–7.5 earthquakes on the southern Whidbey Island fault (SWIF). Ground motions are modeled considering kinematic source distributions on a complex fault plane, a 3D seismic velocity model, and region‐specific soil velocity models. We run simulations with varying model resolutions, including regional‐scale simulations with a maximum‐modeled frequency of ∼1 Hz and local‐scale simulations with a maximum‐modeled frequency of ∼2.5 Hz. Additional local‐scale simulations are run considering high‐resolution surface topography. We explore how source parameters (i.e., magnitude, hypocenter location, and dip direction) and 3D velocity structure impact peak shaking intensity and its variability. In particular, we find that earthquakes on the SWIF would likely produce strong shaking throughout the populated Puget Lowland, including in the cities of Everett, Seattle, Bellevue, and Tacoma, Washington. Simulated short‐period ( T ≤ 2 s) spectral accelerations are strong throughout the Puget Lowland, and long‐period shaking ( T ≥ 5 s) is strong in the deep regional sedimentary basins, especially the Everett and Seattle basins. Source parameters strongly influence intra‐ and interevent variability in response, primarily through changes in source and site geometry, as well as rupture directivity. We also note a potential coupling between rupture directivity and basin effects, wherein directivity pulses are seemingly guided through the region’s deep, interconnected sedimentary basins. Overall, this work highlights the impacts of 3D source, path, and site effects on seismic hazard in the U.S. Pacific Northwest and substantially expands the catalog of simulated ground motions for Puget Sound area crustal faults.

Washington

Relationship between peak and cumulative ground motions from 49 Mw 3-6 earthquakes in the San Francisco Bay Area

We examine the relationship between peak ground velocity (PGV) and cumulative absolute displacement (CAD) for 49 M w 3 – 6 earthquakes in the San Francisco Bay Area (SFBA) and gain insight into the spatiotemporal partitioning of seismic energy in ground motion records with respect to source, path, and site effects. PGV and CAD are positively correlated, but there can be large deviations from the average trend. For example, ground motion records with either very long duration resonance or short pulse-like motions will have higher or lower CAD, respectively, but could have very similar PGV. We perform principal component analysis (PCA) on PGV-CAD for >7000 records in the SFBA with the goal of investigating what influences positive or negative anomalies in cumulative motions. PCA rotates the PGV-CAD datapoints into two principal components, where the one with the larger variance, which we call the “primary intensity” represents mostly the distance-dependence of ground motion amplitudes. The other principal component, which we call the “excess motion”, represents the deviation from cumulative motions that would be typical for a ground motion record with a given PGV. The excess motion will be positive in the case of records with long duration ringing and will be negative for short duration pulse-like ground motions. We find that excess motion is generally positive at sites in sedimentary basins and in soft sediments around the SF Bay. Excess motion is generally negative in the very near field, as well as at sites on hard bedrock. We discuss the findings here in terms of implications for seismic hazard applications and other wave propagation phenomena.

California

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

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

Hawaii

Comparative crop yield forecasting using satellite-derived biophysical and agro-climatic predictors in Sub-Saharan Africa

Timely and accurate crop yield forecasting is central to food security early warning systems, particularly in climate-vulnerable regions. While operational forecasting frameworks commonly rely on precipitation and vegetation indices such as NDVI, their ability to provide actionable lead time remains limited. Here, we evaluate the added value of satellite-derived biophysical Essential Climate Variables (ECVs): Leaf Area Index (LAI) and Fraction of Photosynthetically Active Radiation (FAPAR), for forecasting millet yield in Burkina Faso (BF) and maize yield in South Africa (ZA) and Malawi (MW). Using Random Forest models, we quantify forecast skill across the growing season at both national and sub-national scales. Results show that LAI and FAPAR provide effective forecast lead times of approximately 4 months in BF, 2 months in ZA, and up to 6 months in MW relative to harvest. At peak performance, Mean Absolute Percentage Error (MAPE) reaches 19.8% (LAI) and 23.8% (FAPAR) in BF, 12.0% and 9.8% in ZA, and 21.8% and 20.8% in MW, respectively. Across countries, biophysical parameters often outperform NDVI and precipitation, particularly in arid and semi-arid regions. At the sub-national level, LAI and FAPAR enable classification of administrative units into high and moderate-skill forecast units, revealing strong spatial heterogeneity linked to crop dominance. However, forecast skill declines where the target crop is not the dominant type, highlighting an important limitation for operational deployment. Overall, the findings suggest that satellite-derived biophysical parameters can provide earlier and more spatially resolved yield signals than commonly used predictors, with potential to improve the timeliness and effectiveness of food security early warning systems.

Remote Sensing Applications: Society and Environme

Static and dynamic strain in the 1886 Charleston, South Carolina, earthquake

During the 1886 Mw 7.3 Charleston, South Carolina, earthquake, three railroads emanating from the city were exposed to severe shaking. Expansion joints in segmented railroad tracks are designed to allow railroad infrastructure to withstand a few parts in 10,000 of thermoelastic strain. We show that, in 1886, transient contractions exceeding this limiting value buckled rails, and transient extensions pulled rails apart. Calculated values for dynamic strain in the meizoseismal region are in reasonable agreement with those anticipated from the relation between strain and moment magnitude proposed by Barbour et al. (2021) and exceed estimated tectonic strain released by the earthquake by an order of magnitude. Almost all of the documented disturbances of railroad lines, including evidence for shortening of the rails, can thus be ascribed to the effects of dynamic strain changes, not static strain. Little or no damage to railroads was reported outside the estimated 10 −4 dynamic strain contour. The correspondence between 10 −3 and 2×10 −4 contours of dynamic strain and Mercalli intensity 9 and 8, anticipated from the dependence of each quantity on peak ground velocity, suggests it may be possible to use railroad damage to quantitatively estimate shaking intensity. At one location, near Rantowles, ≈20 km west of Charleston, a photograph of buckled track taken one day after the earthquake has been cited as evidence for shallow dextral slip and has long focused a search for a causal fault in this region. Photogrammetric analysis reveals that the buckle was caused by transient contraction of <10 cm with no dextral offset. Our results further weaken the evidence for faulting in the swamps and forests south of the Ashley River in 1886, hitherto motivated by the photograph and limited macroseismic evidence for high‐intensity shaking.

South Carolina

Do Graviquakes exist?

The “Graviquake” model, proposed in 2015 as an alternative to the elastic dislocation model, posits that normal faults are passive features dominated by coseismic gravitational collapse into a dilated crustal wedge, and that normal faulting is fundamentally distinct from strike‐slip and reverse faulting. Developed using finite‐element modeling before the 2016 central Apennines earthquake sequence, the model was revamped based on interpreted Differential Interferometric Synthetic Aperture Radar data from these events and used as evidence for a gravitational collapse episode. However, this interpretation relies on miscalculated elevation changes and is not corroborated by independent geophysical and seismological observations. Our analysis exposes fundamental flaws in the Graviquake model. By assuming that faults are passive players, it underrepresents the dynamic role of strain accumulation and release in rocks adjacent to faults. The hypothesized rapid expulsion of overpressurized fluids appears inconsistent with observed diffusion rates and lacks supporting seismological evidence. Part of the uplifted–subsided volume imbalance is likely an artifact arising from data processing, and in part is a transient effect due to the delayed response of the lower crust. Moment tensor analyses detect no isotropic components indicative of gravitational collapse, and observed ground motion and stress‐drop levels remain fully consistent with elastic dislocation theory. In addition, finite‐element modeling of normal faulting replicates observed surface deformation without invoking a collapsing wedge. The Graviquake model proposes a representation of normal‐faulting mechanics that differs significantly from established models and observations. Gravity does play a role in normal faulting, but the elastic dislocation theory remains the definitive framework of fault mechanics. Reinterpreting the 2016 earthquakes as a cascade of gravitational episodes, based on incorrect data processing and modeling, fails to substantiate the Graviquake hypothesis. Persistence in advocating this model could mislead seismic hazard assessment and undermine our understanding of normal faulting.

Bulletin of the Seismological Society of America

Seismic moment and local magnitude scales in Ridgecrest, CA from the SCEC/USGS Community Stress Drop Validation Study

We illustrate the systematic difference between moment magnitude and local magnitude caused by underlying earthquake source physics, using seismic moments submitted to the Statewide California Earthquake Center/United States Geological Survey Community Stress Drop Validation Study 2019 Ridgecrest data set. While the relationship between seismic moment and moment magnitude ( M or M w ) of log 10 ( M 0 ) ~ 1.5* M is uniformly valid for all earthquake sizes by definition (Hanks and Kanamori, 1979), the relationship between local magnitude M L and moment is itself magnitude dependent. For moderate events, ~3< M < ~6, M and M L are coincident; for earthquakes smaller than ~3, M L ~ 1.0 log 10 M 0 (Hanks and Boore, 1984). This is a physical consequence of the corner frequency fc becoming larger than the upper frequency of observation and implies that M L and M differ systematically by a factor of 1.5 for these small events. While this idea is not new, we propose a new, continuous relationship between local magnitude and moment, for magnitudes 2 to 6 which extrapolates to smaller and larger magnitudes, applicable to southern California specific to the Ridgecrest region. We make use of the plethora of seismic moments as submitted by many participants of the Community Stress Drop study, compared to the Southern California Seismic Network (SCSN) catalog magnitudes. Overall, the seismic moments in the Community Study recover moment magnitude well, so we use our new M L - M 0 to convert M L to M , refining the SCSN operational M Lr scale. This systematic difference of 50% in slope between local and moment magnitude at small magnitudes has implications for spectral stress drop estimates, earthquake ground motion modeling, as well as other magnitude scales and earthquake occurrence statistics.

California