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At least 1,081 records · Page 60Linked to original sources

Evaluating autonomous acoustic surveying techniques for rails in tidal marshes

There is a growing interest toward the use of autonomous recording units (ARUs) for acoustic surveying of secretive marsh bird populations. However, there is little information on how ARUs compare to human surveyors or how best to use ARU data that can be collected continuously throughout the day. We used ARUs to conduct 2 acoustic surveys for king ( Rallus elegans ) and clapper rails ( R. crepitans ) within a tidal marsh complex along the Pamunkey River, Virginia, USA, during May–July 2015. To determine the effectiveness of an ARU in replacing human personnel, we compared results of callback point‐count surveys with concurrent acoustic recordings and calculated estimates of detection probability for both rail species combined. The success of ARUs at detecting rails that human observers recorded decreased with distance ( P ≤ 0.001), such that at <25 m, 90.3% of human‐recorded rails also were detected by the ARU, but at >75 m, only 34.0% of human‐detected rails were detected by the ARU. To determine a subsampling scheme for continuous ARU data that allows for effective surveying of presence and call rates of rails, we used ARUs to conduct 15 continuous 48‐hr passive surveys, generating 720 hr of recordings. We established 5 subsampling periods of 5, 10, 15, 30, and 45 min to evaluate ARU‐based presence and vocalization detections of rails compared with each of the full 60‐min sampling of ARU‐based detection of rails. All subsampling periods resulted in different ( P ≤ 0.001) detection rates and unstandardized vocalization rates compared with the hourly sampling period. However, standardized vocalization counts from the 30‐min subsampling period were not different from vocalization counts of the full hourly sampling period. When surveying rail species in estuarine environments, species‐, habitat‐, and ARU‐specific limitations to ARU sampling should be considered when making inferences about abundances and distributions from ARU data.

Wildlife Society Bulletin↗

Chemical variation related to the stratigraphy of the Columbia River basalt

Study of major element chemical analyses of Columbia River basalt leads to a grouping of most of the analyses into 11 chemical types which are distinguished with little overlap on a SiO 2 -MgO variation diagram. Other diagnostic variation diagrams are total iron (‘FeO’)-MgO, K 2 O-MgO, and TiO 2 -MgO. A four-unit informal stratigraphy has been adopted in order to define the relations between chemical composition and stratigraphic position. From oldest to youngest, the four stratigraphic units are (1) lower basalt of Bond (1963) and Picture Gorge basalt, (2) lower Yakima basalt, (3) middle Yakima basalt, and (4) upper Yakima basalt. Most of the Picture Gorge and lower basalt flows are relatively rich in MgO (approximately 4.5 to 7.1 percent) and are distinguished by intermediate SiO 2 relative to MgO. Furthermore, the Picture Gorge basalt generally has low K 2 O relative to MgO. The lower Yakima basalt consists almost entirely of flows with relatively low MgO content (approximately 3.0 to 5.5 percent) and with the highest SiO 2 relative to MgO of any flows of the Columbia River basalt. The middle Yakima basalt contains flows of three distinct chemical types, which together cover the same MgO range as the lower Yakima flows but which have considerably lower SiO 2 and higher ‘FeO’ and TiO 2 relative to MgO. Flows in the upper Yakima basalt are of diverse composition; two of the youngest flows are distinguished by having the lowest SiO 2 and highest ‘FeO’, TiO 2 , and P 2 O 5 relative to MgO of any analyzed Columbia River basalt. Flows of one or more chemical types may form the dominant lithology in a stratigraphic unit, but single flows of the same chemical types may occur in any stratigraphic unit. Some lava sampled in the eastern part of the plateau has more TiO 2 than does lava of otherwise similar composition sampled in the western part of the plateau. This is tentatively interpreted as reflecting a heterogeneous composition for the mantle beneath the Columbia Plateau.

Oregon, Washington↗

Number and size of last-glacial Missoula floods in the Columbia River valley between the Pasco Basin, Washington, and Portland, Oregon

Field evidence and radiocarbon age dating, combined with hydraulic flow modeling, provide new information on the magnitude, frequency, and chronology of late Pleistocene Missoula floods in the Columbia River valley between the Pasco Basin, Washington, and Portland, Oregon. More than 25 floods had discharges of > 1.0 x 10 6 m 3 /s. At least 15 floods had discharges of >3.0 x 10 6 m 3 /s. At least six or seven had peak discharges of >6.5 x 106 m 3 /s, and at least one flood had a peak discharge of >10 x 106 m 3 /s, a value consistent with earlier results from near Wallula Gap, but better defined because of the strong hydraulic controls imposed by critical flow at constrictions near Crown and Mitchell Points in the Columbia River Gorge. Stratigraphy and geomorphic position, combined with 25 radiocarbon ages and the widespread occurrence of the ca. 13 ka (radiocarbon years) Mount St. Helens set-S tephra, show that most if not all the Missoula flood deposits exposed in the study area were emplaced after 19 ka (radiocarbon years), and many were emplaced after 15 ka. More than 13 floods perhaps postdate ca. 13 ka, including at least two with discharges of >6 x 10 6 m 3 /s. From discharge and stratigraphic relationships upstream, we hypothesize that the largest flood in the study reach resulted from a Missoula flood that predated blockage of the Columbia River valley by the Cordilleran ice sheet. Multiple later floods, probably including the majority of floods recorded by fine- and coarse-grained deposits in the study area, resulted from multiple releases of glacial Lake Missoula that spilled into a blocked and inundated Columbia River valley upstream of the Okanogan lobe and were shunted south across the Channeled Scabland.

Geological Society of America Bulletin↗

Chronology, sedimentology, and microfauna of groundwater discharge deposits in the central Mojave Desert, Valley Wells, California

During the late Pleistocene, emergent groundwater supported persistent and long-lived desert wetlands in many broad valleys and basins in the American Southwest. When active, these systems provided important food and water sources for local fauna, supported hydrophilic and phreatophytic vegetation, and acted as catchments for eolian and alluvial sediments. Desert wetlands are represented in the geologic record by groundwater discharge deposits, which are also called spring or wetland deposits. Groundwater discharge deposits contain information on the timing and magnitude of past changes in water-table levels and, thus, are a source of paleohydrologic and paleoclimatic information. Here, we present the results of an investigation of extensive groundwater discharge deposits in the central Mojave Desert at Valley Wells, California. We used geologic mapping and stratigraphic relations to identify two distinct wetland sequences at Valley Wells, which we dated using radiocarbon, luminescence, and uranium-series techniques. We also analyzed the sediments and microfauna (ostracodes and gastropods) to reconstruct the specific environments in which they formed. Our results suggest that the earliest episode of high water-table conditions at Valley Wells began ca. 60 ka (thousands of calendar yr B.P.), and culminated in peak discharge between ca. 40 and 35 ka. During this time, cold (4–12 °C) emergent groundwater supported extensive wetlands that likely were composed of a wet, sedge-rush-tussock meadow mixed with mesic riparian forest. After ca. 35 ka, the water table dropped below the ground surface but was still shallow enough to support dense stands of phreatophytes through the Last Glacial Maximum (LGM). The water table dropped further after the LGM, and xeric conditions prevailed until modest wetlands returned briefly during the Younger Dryas cold event (13.0–11.6 ka). We did not observe any evidence of wet conditions during the Holocene at Valley Wells. The timing of these fluctuations is consistent with changes in other paleowetland systems in the Mojave Desert, the nearby Great Basin Desert, and in southeastern Arizona, near the border of the Sonoran and Chihuahuan Deserts. The similarities in hydrologic conditions between these disparate locations suggest that changes in groundwater levels during the late Pleistocene in desert wetlands scattered throughout the American Southwest were likely driven by synoptic-scale climate processes.

California↗

Efficacy of bear spray as a deterrent against polar bears

Although there have been few attempts to systematically analyze information on the use of deterrents on polar bears ( Ursus maritimus ), understanding their effectiveness in mitigating human-polar bear conflicts is critical to ensuring both human safety and polar bear conservation. To fill this knowledge gap, we analyzed 19 incidents involving the use of bear spray on free-ranging polar bears from 1986 to 2019 in Canada, Russia, and the United States to evaluate the effectiveness of bear spray as a polar bear deterrent. We found that bear spray was an effective deterrent in close-range encounters with polar bears, stopping undesirable behavior in 18 of 19 incidents. Bear spray effectively deterred both curious and aggressive polar bears, including polar bears attempting to attack people. The mean distance between user and bear at the time of spraying was 2 m (min–max = 0.2–10.0 m, mode = 1 m), though bears were usually first seen at greater distances. Bear spray was successfully deployed against polar bears in all 4 seasons. Wind affected spray performance in 1 of 19 of incidents. In 8 of 14 bear spray incidents, other deterrents were used without success before bear spray was used effectively to deter polar bears. No humans or polar bears were killed or injured in any of the incidents in which bear spray was used. We also analyzed 54 polar bear attacks and attempted attacks on humans where bear spray was not carried. The data suggest that in 93% of those incidents, the use of bear spray might have saved the lives of both the people and bears involved if it had been available and used. Our analysis improves our understanding of the effectiveness of bear spray for polar bear conflict mitigation.

Wildlife Society Bulletin↗

Geophysical data reveal the crustal structure of the Alaska range orogen within the aftershock zone of the Mw 7.9 Denali fault earthquake

Geophysical information, including deep-crustal seismic reflection, magnetotelluric ( mt ), gravity, and magnetic data, cross the aftershock zone of the 3 November 2002 M w 7.9 Denali fault earthquake. These data and aftershock seismicity, jointly interpreted, reveal the crustal structure of the right-lateral-slip Denali fault and the eastern Alaska Range orogen, as well as the relationship between this structure and seismicity. North of the Denali fault, strong seismic reflections from within the Alaska Range orogen show features that dip as steeply as 25° north and extend downward to depths between 20 and 25 km. These reflections reveal crustal structures, probably ductile shear zones, that most likely formed during the Late Cretaceous, but these structures appear to be inactive, having produced little seismicity during the past 20 years. Furthermore, seismic reflections mainly dip north, whereas alignments in aftershock hypocenters dip south. The Denali fault is nonreflective, but modeling of mt , gravity, and magnetic data suggests that the Denali fault dips steeply to vertically. However, in an alternative structural model, the Denali fault is defined by one of the reflection bands that dips to the north and flattens into the middle crust of the Alaska Range orogen. Modeling of mt data indicates a rock body, having low electrical resistivity (>10 Ω·m), that lies mainly at depths greater than 10 km, directly beneath aftershocks of the Denali fault earthquake. The maximum depth of aftershocks along the Denali fault is 10 km. This shallow depth may arise from a higher-than-normal geothermal gradient. Alternatively, the low electrical resistivity of deep rocks along the Denali fault may be associated with fluids that have weakened the lower crust and helped determine the depth extent of the aftershock zone.

Alaska↗

Timing of spring surveys for midcontinent sandhill cranes

The U.S. Fish and Wildlife Service has used spring aerial surveys to estimate numbers of migrating sandhill cranes ( Grus canadensis ) staging in the Platte River Valley of Nebraska, USA. Resulting estimates index the abundance of the midcontinent sandhill crane population and inform harvest management decisions. However, annual changes in the index have exceeded biologically plausible changes in population size (>50% of surveys between 1982 and 2013 indicate >&plusmn;20% change), raising questions about nuisance variation due to factors such as migration chronology. We used locations of cranes marked with very-high-frequency transmitters to estimate migration chronology (i.e., proportions of cranes present within the Platte River Valley). We also used roadside surveys to determine the percentage of cranes staging at the Platte River Valley but outside of the survey area when surveys occur. During March 2001&ndash;2007, an average of 86% (71&ndash;94%; SD&thinsp;=&thinsp;7%) of marked cranes were present along the Platte River during scheduled survey dates, and 0&ndash;11% of cranes that were present along the Platte River were not within the survey boundaries. Timing of the annual survey generally corresponded with presence of the greatest proportion of marked cranes and with least inter-annual variation; consequently, accuracy of estimates could not have been improved by surveying on different dates. Conducting the survey earlier would miss birds not yet arriving at the staging site; whereas, a later date would occur at a time when a larger portion of birds may have already departed the staging site and when a greater proportion of birds occurred outside of the surveyed area. Index values used to monitor midcontinent sandhill crane abundance vary annually, in part, due to annual variation in migration chronology and to spatial distribution of cranes in the Platte River Valley; therefore, managers should interpret survey results cautiously, with awareness of a continuing need to identify and understand components of variation. Published 2014. This article is a U.S. Government work and is in the public domain in the USA.

Nebraska↗

Erosion, storage, and transport of sediment in two subbasins of the Rio Puerco, New Mexico

Arroyos in the American Southwest proceed through cut-and-fill cycles that operate at centennial to millennial time scales. The geomorphic community has put much effort into understanding the causes of arroyo cutting in the late Quaternary and in the modern record (late 1800s), while little effort has gone into understanding how arroyos fill and the sources of this fill. Here, we successfully develop a geographic information system (GIS)-modeled sediment budget that is based on detailed field measurements of hillslope and channel erosion and deposition. Field measurements were made in two arroyo basins draining different lithologies and undergoing different land disturbance (Volcano Hill Wash, 9.30 km 2 ; Arroyo Chavez, 2.11 km 2 ) over a 3 yr period. Both basins have incised channels that formed in response to the late nineteenth-century incision of the Rio Puerco. Large volumes of sediment were generated during arroyo incision, equal to more than 100 yr of the current annual total sediment load (bed load + suspended load) in each basin. Downstream reaches in both arroyos are presently aggrading, and the main source of the sediment is from channel erosion in upstream reaches and first- and second-order tributaries. The sediment budget shows that channel erosion is the largest source of sediment in the current stage of the arroyo cycle: 98% and 80% of the sediment exported out of Volcano Hill Wash and Arroyo Chavez, respectively. The geomorphic surface most affected by arroyo incision and one of the most important sediment sources is the valley alluvium, where channel erosion, gullying, soil piping, and grazing all occur. Erosion rates calculated for the entire Volcano Hill Wash (-0.26 mm/yr) and Arroyo Chavez (-0.53 mm/yr) basins are higher than the modeled upland erosion rates in each basin, reflecting the large contributions from channel erosion. Erosion rates in each basin are affected by a combination of land disturbance (grazing) and lithology--erodible sandstones and shales in Arroyo Chavez compared with basalt for Volcano Hill Wash. Despite these differences, hillslope sediment yields are similar to long-term denudation rates. As the arroyo fills over time from mouth to headwaters, hillslope sediment becomes a more significant sediment source.

New Mexico↗

Applications of a broad-spectrum tool for conservation and fisheries analysis: Aquatic gap analysis

Natural resources support all of our social and economic activities, as well as our biological existence. Humans have little control over most of the physical, biological, and sociological conditions dictating the status and capacity of natural resources in any particular area. However, the most rapid and threatening influences on natural resources typically are anthropogenic overuse and degradation. In addition, living natural resources (i.e., organisms) do not respect political boundaries, but are aware of their optimal habitat and environmental conditions. Most organisms have wider spatial ranges than the jurisdictional boundaries of environmental agencies that deal with them; even within those jurisdictions, information is patchy and disconnected. Planning and projecting effects of ecological management are difficult, because many organisms, habitat conditions, and interactions are involved. Conservation and responsible resource use involves wise management and manipulation of the aspects of the environment and biological communities that can be effectively changed. Tools and data sets that provide new insights and analysis capabilities can enhance the ability of resource managers to make wise decisions and plan effective, long-term management strategies. Aquatic gap analysis has been developed to provide those benefits. Gap analysis is more than just the assessment of the match or mis-match (i.e., gaps) between habitats of ecological value and areas with an appropriate level of environmental protection (e.g., refuges, parks, preserves), as the name suggests. Rather, a Gap Analysis project is a process which leads to an organized database of georeferenced information and previously available tools to examine conservation and other ecological issues; it provides a geographic analysis platform that serves as a foundation for aquatic ecological studies. This analytical tool box allows one to conduct assessments of all habitat elements within an area of interest. Aquatic gap analysis naturally focuses on aquatic habitats. The analytical tools are largely based on specification of the species-habitat relations for the system and organism group of interest (Morrison et al. 2003; McKenna et al. 2006; Steen et al. 2006; Sowa et al. 2007). The Great Lakes Regional Aquatic Gap Analysis (GLGap) project focuses primarily on lotic habitat of the U.S. Great Lakes drainage basin and associated states and has been developed to address fish and fisheries issues. These tools are unique because they allow us to address problems at a range of scales from the region to the stream segment and include the ability to predict species specific occurrence or abundance for most of the fish species in the study area. The results and types of questions that can be addressed provide better global understanding of the ecological context within which specific natural resources fit (e.g., neighboring environments and resources, and large and small scale processes). The geographic analysis platform consists of broad and flexible geospatial tools (and associated data) with many potential applications. The objectives of this article are to provide a brief overview of GLGap methods and analysis tools, and demonstrate conservation and planning applications of those data and tools. Although there are many potential applications, we will highlight just three: (1) support for the Eastern Brook Trout Joint Venture (EBTJV), (2) Aquatic Life classification in Wisconsin, and (3) an educational tool that makes use of Google Earth (use of trade or product names does not imply endorsement by the U.S. Government) and Internet accessibility.

Gap Analysis Bulletin↗

A decade of death and other dynamics: Deepening perspectives on the diversity and distribution of sea stars and wasting

Mass mortality events provide valuable insight into biological extremes and also ecological interactions more generally. The sea star wasting epidemic that began in 2013 catalyzed study of the microbiome, genetics, population dynamics, and community ecology of several high-profile species inhabiting the northeastern Pacific but exposed a dearth of information on the diversity, distributions, and impacts of sea star wasting for many lesser-known sea stars and a need for integration across scales. Here, we combine datasets from single-site to coast-wide studies, across time lines from weeks to decades, for 65 species. We evaluated the impacts of abiotic characteristics hypothetically associated with sea star wasting (sea surface temperature, pelagic primary productivity, upwelling wind forcing, wave exposure, freshwater runoff) and species characteristics (depth distribution, developmental mode, diet, habitat, reproductive period). We find that the 2010s sea star wasting outbreak clearly affected a little over a dozen species, primarily intertidal and shallow subtidal taxa, causing instantaneous wasting prevalence rates of 5%–80%. Despite the collapse of some populations within weeks, environmental and species variation protracted the outbreak, which lasted 2–3 years from onset until declining to chronic background rates of ∼2% sea star wasting prevalence. Recruitment began immediately in many species, and in general, sea star assemblages trended toward recovery; however, recovery was heterogeneous, and a marine heatwave in 2019 raised concerns of a second decline. The abiotic stressors most associated with the 2010s sea star wasting outbreak were elevated sea surface temperature and low wave exposure, as well as freshwater discharge in the north. However, detailed data speaking directly to the biological, ecological, and environmental cause(s) and consequences of the sea star wasting outbreak remain limited in scope, unavoidably retrospective, and perhaps always indeterminate. Redressing this shortfall for the future will require a broad spectrum of monitoring studies not less than the taxonomically broad cross-scale framework we have modeled in this synthesis.

Biological Bulletin↗

Basaltic thermals and Subplinian plumes: Constraints from acoustic measurements at Shishaldin volcano, Alaska

The 1999 basaltic eruption of Shishaldin volcano (Alaska, USA) included both Strombolian and Subplinian activity, as well as a “pre-Subplinian” phase interpreted as the local coalescence within a long foam in the conduit. Although few visual observations were made of the eruption, a great deal of information regarding gas velocity, gas flux at the vent and plume height may be inferred by using acoustic recordings of the eruption. By relating acoustic power to gas velocity, a time series of gas velocity is calculated for the Subplinian and pre-Subplinian phases. These time series show trends in gas velocity that are interpreted as plumes or, for those signals lasting only a short time, thermals. The Subplinian phase is shown to be composed of a thermal followed by five plumes with a total expelled gas volume of &#x2248; 1.5 &#x00D7; 10 7 m 3 "> ≈ 1.5 × 10 7 m 3 . The initiation of the Subplinian activity is probably related to the arrival of a large overpressurised bubble close to the top of the magma column. A gradual increase in low-frequency (0.01–0.5 Hz) signal prior to this “trigger bubble” may be due to the rise of the bubble in the conduit. This delay corresponds to a reservoir located at ≈3.9 km below the surface, in good agreement with studies on other volcanoes. The presence of two thermal phases is also identified in the middle of the pre-Subplinian phase with a total gas release of &#x2248; 4.3 &#x00D7; 10 6 m 3 "> ≈ 4.3 × 10 6 m 3 and &#x2248; 3.6 &#x00D7; 10 6 m 3 "> ≈ 3.6 × 10 6 m 3 . Gas velocity at the vent is found to be &#x2248; 82 m . s &#x2212; 1 "> ≈ 82 m . s − 1 and &#x2248; 90 m . s &#x2212; 1 "> ≈ 90 m . s − 1 for the Subplinian plumes and the pre-Subplinian thermals respectively. The agreement is very good between estimates of the gas flux from modelling the plume height and those obtained from acoustic measurements, leading to a new method by which eruption physical parameters may be quantified. Furthermore, direct measurements of gas velocity can be used for better estimates of the S O 2 "> S O 2 flux released during the eruption.

Alaska↗

A 400-k.y. perspective on arc volcanism: An exceptional explosive eruption record from Central Mexico

Volcanic eruption records provide key information for hazard planning but suffer from a time-dependent loss of resolution, hindering long-term evaluations of volcano behavior. Here, we investigate an exceptional sedimentary sequence from Lake Chalco, on the SE edge of Mexico City, which provides a perspective on volcanic activity over hundred-thousand-year time scales, and we develop a methodological and analytical protocol applicable to core datasets globally. The lava-dominated base of the sequence (~105 m) is followed by ~155 m of lateral-collapse derived deposits and overlain by ~295 m of lacustrine sediments containing at least 450 visible tephra fall deposits (TFDs), spanning 400 k.y. These TFDs include 205 events sourced from large-magnitude (predominantly volcanic explosivity index [VEI] ≥5) silicic explosive eruptions, principally from regional polygenetic sources, and 205 deposits from the nearby Sierra Chichinautzin volcanic field (SCVF). A gradual decline in both frequency and apparent magnitude in the silicic eruption record is consistent with the gradual migration of volcanism south along the adjacent Sierra Nevada volcanic range, toward Popocatépetl. In contrast, the SCVF-derived deposits imply persistent but episodic activity, on time scales of 40–70 k.y., suggesting that the SCVF has been more continuously active than previously recognized. Decoupled trends between the SCVF and regional silicic sources implies that the total magmatic flux is not dictated at the arc scale, or by external (e.g., climatic) drivers, but instead reflects the independent development of individual volcanic systems. The records indicate a minimum long-term frequency of impactful eruptions on Mexico City to be one per 900 years (>1 cm tephra deposited) or 9000 years (≥10 cm tephra).

Central Mexico↗

Decompression and degassing, repressurization, and regassing during cyclic eruptions at Guagua Pichincha volcano, Ecuador, 1999–2001

In 1999–2001, Guagua Pichincha volcano, Ecuador, produced a series of cyclic explosive and effusive eruptions. Rock samples, including dense blocks and pumiceous clasts collected during the eruption sequence, and ballistic bombs later collected from the crater floor, provide information about magma storage, ascent, decompression, degassing, repressurization, and regassing prior to eruption. Pairs of Fe-Ti oxides indicate equilibrium within 1.2–1.5 log units above the NNO oxidation buffer and equilibrium temperatures from 805 to 905 °C. Melt inclusions record H 2 O contents of 2.7–4.6 wt% and CO 2 contents (uncorrected for CO 2 segregation into bubbles) from 19 to 310 ppm. Minimum melt inclusion saturation pressures fall between 69 and 168 MPa, or equilibration depths of 2.8 and 6.8 km, the lower end of which is coincident with the maximum inferred equilibration depths for the most vesicular breadcrust bombs sampled. Amphibole phenocrysts lack breakdown rims (except for one sample) and plagioclase phenocrysts have abundant oscillatory compositional zones. Plagioclase areal microlite number densities ( N a ) range over less than one order of magnitude (8.9×10 3 –8.7×10 4 mm -2 ) among all samples, with the exception of a dense, low crystallinity sample ( N a = 3.0×10 3 mm −2 ) and a pumiceous sample erupted on 17 December 1999 ( N a = 1.7×10 3 mm −2 ). Plagioclase microlite shapes include tabular, hopper, and swallowtail forms. Taken together, the relatively high plagioclase microlite number densities, the high number of oscillatory zones in plagioclase phenocrysts, the presence of CO 2 in groundmass glass, seismicity, and time-varying tilt cycles provide a picture of sudden evacuation of magma residing at different levels in the shallow conduit. Explosive eruptions punctuate inter-eruptive repose periods marked by time-varying rates of degassing (volatile fluxing) and re-pressurization. Shallow residence time in the conduit was sufficient to allow precipitation of silica-phase in the groundmass, but insufficient to allow breakdown of hornblende phenocrysts, with the one exception of the final dome sample from 2000, which has the longest preceding repose time. These results support a model of cyclic pressure cycling, volatile exsolution and regassing, and magma decompression decoupled from ascent.

Guagua Pichincha Volcano↗

The Hardscrabble Creek complex: A newly discovered, mostly buried, Mesoproterozoic mafic-ultramafic pluton in the Wet Mountains, Colorado, USA

The origin of prolific ca. 1.4 Ga ferroan magmatism between the southwestern USA and eastern Canada is enigmatic and has been explained by various models, including extensional, mantle plume, and convergent plate-margin models. Rare mafic plutons are associated with the ferroan plutons, which may help constrain their mantle source and tectonic setting. In the southwestern USA, only two such mafic plutons are known to exist. We present the first evidence for a third, mostly buried, potentially layered, mafic-ultramafic Mesoproterozoic pluton, informally referred to as the Hardscrabble Creek complex, in the central Wet Mountains of Colorado, USA. Recent geophysical data show an elliptical magnetic and gravity high spatially coincident with local gabbroic outcrops. New field and petrographic analyses of these exposed rocks reveal that they consist of ultramafic to mafic cumulates, including orthopyroxenite, olivine norite, norite, and anorthosite. High-precision U-Pb dating of zircon from orthopyroxenite and norite yield weighted mean 206 Pb/ 238 U dates of 1352.36 ± 1.60 Ma and 1352.37 ± 1.71 Ma, respectively. These dates indicate that the complex formed over a narrow timeframe, after the adjacent 1362 ± 7 Ma ferroan San Isabel Granite, and during the waning stages of the regional ca. 1.4 Ga ferroan magmatism. Whole-rock geochemistry and Nd-Sr-Pb isotope compositions of samples from the Hardscrabble Creek complex are similar to those of the San Isabel Granite, suggesting that they were derived from the same or a similar mantle source. The mineral chemistry of the samples is comparable to Proterozoic massif-type anorthosites and related mafic intrusions, indicating that the Hardscrabble Creek complex and San Isabel Granite together represent a rare anorthosite-mangerite-charnockite-granite (AMCG) suite in the southwestern USA. The Hardscrabble Creek complex is unique because it formed ~80 m.y. after the other few mafic plutons in the southwestern USA, and it contains an ultramafic section that is absent from these plutons and rare to the AMCG suite in general. A combination of arc-like whole-rock geochemistry, chondrite uniform reservoir-like Nd-Sr-Pb isotopes, and ocean island basalt (OIB)-like zircon trace element chemistry suggests that the complex was derived from a partial melt of OIB-like mantle and interacted with metasomatically enriched lithospheric mantle. The enriched lithospheric mantle signature, combined with the long ~160 m.y. duration of magmatism in the region, is consistent with a period of protracted convergent tectonism.

Colorado↗

Impact origin of the Avak Structure, Arctic Alaska, and genesis of the Barrow gas fields

Geophysical and subsurface geologic data suggest that the Avak structure, which underlies the Arctic Coastal Plain 12 km southeast of Barrow, Alaska, is a hypervelocity meteorite or comet impact structure. The structure is a roughly circular area of uplifted, chaotically deformed Upper Triassic to Lower Cretaceous sedimentary rocks 8 km in diameter that is bounded by a ring of anastomosing, inwardly dipping, listric normal faults 12 km in diameter. A zone of gently outward-dipping sedimentary country rocks forms a discontinuous ring of "rim anticlines" within the peripheral ring of normal faults. Beyond these anticlines, the sedimentary rocks are almost flat-lying. Basement consists of strongly deformed Ordovician and Silurian argillite. Density and acoustic impedance con rasts between the argillite and the overlying strata produce gravity and seismic-reflection signatures that define a ring of anticlines around the disturbed zone and a structural high surrounded by an annular structural low at its center. In the adjacent Barrow gas fields, the tops of the informally named Neocomian "pebble shale" unit and the gas-producing Lower Jurassic Barrow sand (local usage) lie at average subsea depths of 488 m and 670 m, respectively. In the Avak 1 well, drilled on the central high, the pebble shale and the Barrow sand lie near the surface, documenting more than 500 m of relative uplift at the high. The cores in this well have steep dips (30-90 degrees), mixed breccia with Franklinian argillite clasts 10 and 90 m above basement, quartz grains with shock mosaicism and multiple sets of shock lamellae, oriented concussion fractures in sand-size quartz grains, and shatter cones resembling those found in the peripheral zones of well-documented impact structures. In addition, above-background levels o fractured quartz grains in Barrow sand were found as far as 19 km beyond the rim of the Avak structure. Data concerning the age of the Avak structure are not definitive. If submarine landslide deposits in the upper part of the Aptian and Albian Torok Formation, in the subsurface 200 km to the east, were triggered by the Avak event, then the Avak meteorite struck a submerged marine shelf about 100 + or - 5 Ma. However, the impact features found at Avak (shatter cones, concussion fractures, shock lamellae and shock mosaicism in quartz grains, and widespread cataclasis) characterize the distal zones of meteorite impact structures. Fused rocks, plastic deformation, and shock-metamorphic minerals found in more proximal zones of impact structures are apparently missing. These observations, and the lack of Avak ejecta in cuttings and cores from the Torok Formation and Nanushuk Group (Albian to middle Cenomanian) in surrounding test wells, indicate that the impact event postdated these beds. In this case, the Avak meteorite struck a Late Cretaceous or Tertiary marine shelf or coastal plain between the Cenomanian (ca. 95 Ma), and deposition of the basal beds of the overlying late Pliocene and Quaternary Gubik Formation (ca. 3 Ma).

Alaska↗

Teleseismic and near-field analysis of the Nahanni earthquakes in the Northwest Territories, Canada

The analysis of the Nahanni earthquakes of October 5, 1985 (MS 6.6), and December 23, 1985 (MS 6.9), will have important implications for the assessment of seismic hazards in intraplate environments. To maximize the information available to seismic engineers, broadband data recorded teleseismically are analyzed jointly with strong-motion data recorded in the near field. The time-domain analysis of teleseismic data yields the source mechanisms, depths, and complexities of rupture of each earthquake. Both earthquakes occurred as shallow thrusts with centroid depths (6 to 7 km) and shallowly dipping fault planes that correspond well with the aftershock distributions obtained from a local survey run by the Canadian Geological Survey. The shallow nodal plane for the October 5 earthquake dips 30° to the WSW, while the shallow nodal planes of the subevents for the December 23 earthquake dip an average of 23° to the WSW. The October 5 earthquake has an impulsive initial rupture, followed by a weak subevent of longer duration but smaller moment release. The December 23 earthquake exhibits more complexity, being comprised of three subevents of similar size. The subevent delays derived from the teleseismic analysis are used to help interpret arrivals in records of ground velocity recorded in the near field of the December 23 earthquake. The rupture geometries inferred from the joint near- and far-field analysis suggest that the rupture processes were unusually complicated and that the 2g peak that occurs late in one of the near-field records could be a localized phenomenon. Spectral analyses of the teleseismic P waves yield the following source parameters for the October 5 and December 23 earthquakes, respectively: the seismic moments are 1.2 and 1.8 × 1026 dyne-cm, the radiated energies are 1.8 and 2.8 × 1021 dyne-cm, and the dynamic stress drops are 65 and 50 bar. The acceleration source spectra of both earthquakes exhibit an intermediate slope (| üα(ω) | ∝ω) from 0.03 to 0.3 Hz, suggesting that the earthquakes represent the failure of asperities. Extrapolating the teleseismic P-wave spectra to estimate the near-field S-wave spectra yields good fits to the acceleration spectra from two strong motion records, but underestimates the spectra from a third strong motion record with the strongest, but possibly localized, accelerations.

Bulletin of the Seismological Society of America↗

The southern Whidbey Island fault: An active structure in the Puget Lowland, Washington

Information from seismic-reflection profiles, outcrops, boreholes, and potential field surveys is used to interpret the structure and history of the southern Whidbey Island fault in the Puget Lowland of western Washington. This northwest-trending fault comprises a broad (as wide as 6–11 km), steep, northeast-dipping zone that includes several splays with inferred strike-slip, reverse, and thrust displacement. Transpressional deformation along the southern Whidbey Island fault is indicated by along-strike variations in structural style and geometry, positive flower structure, local unconformities, out-of-plane displacements, and juxtaposition of correlative sedimentary units with different histories. The southern Whidbey Island fault represents a segment of a boundary between two major crustal blocks. The Cascade block to the northeast is floored by diverse assemblages of pre-Tertiary rocks; the Coast Range block to the southwest is floored by lower Eocene marine basaltic rocks of the Crescent Formation. The fault probably originated during the early Eocene as a dextral strike-slip fault along the eastern side of a continental-margin rift. Bending of the fault and transpressional deformation began during the late middle Eocene and continues to the present. Oblique convergence and clockwise rotation along the continental margin are the inferred driving forces for ongoing deformation. Evidence for Quaternary movement on the southern Whidbey Island fault includes (1) offset and disrupted upper Quaternary strata imaged on seismic-reflection profiles; (2) borehole data that suggests as much as 420 m of structural relief on the Tertiary-Quaternary boundary in the fault zone; (3) several meters of displacement along exposed faults in upper Quaternary sediments; (4) late Quaternary folds with limb dips of as much as ≈9°; (5) large-scale liquefaction features in upper Quaternary sediments within the fault zone; and (6) minor historical seismicity. The southern Whidbey Island fault should be considered capable of generating large earthquakes (M s ≥7) and represents a potential seismic hazard to residents of the Puget Lowland.

Washington↗

Late Neogene–Quaternary tephrochronology, stratigraphy, and paleoclimate of Death Valley, California, USA

Sedimentary deposits in midlatitude continental basins often preserve a paleoclimate record complementary to marine-based records. However, deriving that paleoclimate record depends on having well-exposed deposits and establishing a sufficiently robust geochronology. After decades of research, we have been able to correlate 77 tephra beds exposed in multiple stratigraphic sections in the Death Valley area, California, United States. These correlations identify 25 different tephra beds that erupted from at least five different volcanic centers from older than 3.58 Ma to ca. 32 ka. We have informally named and determined the ages for seven previously unrecognized beds: ca. 3.54 Ma tuff of Curry canyon, ca. 3.45 Ma tuff of Furnace Creek, ca. 3.1 Ma tuff of Kit Fox Hills, ca. 3.1 Ma tuff of Mesquite Flat, ca. 3.15 Ma tuff of Texas Spring, 3.117 ± 0.011 Ma tuff of Echo Canyon, and the ca. 1.3 Ma Amargosa ash bed. Several of these tephra beds are found as far northeast as central Utah and could be important marker beds in western North America. Our tephrochronologic data, combined with magnetic polarity data and 40 Ar/ 39 Ar age determinations, redefine Neogene sedimentary deposits exposed across 175 km 2 of the Death Valley area. The alluvial/lacustrine Furnace Creek Formation is a time-transgressive sedimentary sequence ranging from ca. 6.0 to 2.5 Ma in age. The ca. 2.5–1.7 Ma Funeral Formation is typically exposed as a proximal alluvial-fan facies overlying the Furnace Creek Formation. We have correlated deposits in the Kit Fox Hills, Salt Creek, Nova Basin, and southern Death Valley with the informally named ca. 1.3–0.5 Ma Mormon Point formation. In addition, our correlation of the late Pleistocene Wilson Creek ash bed 15 in the Lake Rogers deposits represents the first unambiguous sequences deposited during the Last Glacial Maximum (marine isotope stage [MIS] 2) in Death Valley. Based on this new stratigraphic framework, we show that the Pliocene and Pleistocene climate in Death Valley is consistent with the well-established marine tropical/subtropical record. Pluvial lakes in Death Valley and Searles Valley began to form ca. 3.5–3.4 Ma in the late Pliocene during MIS MG5. Initiation of lakes in these two hydrologically separated valleys at the same time at the beginning of a cooling trend in the marine climate record suggests a link to a cooler, wetter (glacial) regional climate in North America. The Death Valley lake persisted until ca. 3.30 Ma, at the peak of the M2 glaciation, after which there is no evidence of Pliocene lacustrine deposition, even at the peak of the Northern Hemisphere Glaciation (ca. 2.75 Ma). If pluvial lakes in the Pliocene are an indirect record of glacial climate conditions, as they are for the Pleistocene, then a glacial climate was present in western North America for ∼200,000 yr during the Pliocene, encompassing MIS MG5–M2. Pleistocene pluvial lakes in Death Valley that formed ca. 1.98–1.78 Ma, 1.3–1.0 Ma, and ca. 0.6 Ma (MIS 16) are consistent with other regional climate records that indicate a regional glacial climate; however, Death Valley was relatively dry at ca. 0.77 Ma (MIS 19), when large lakes existed in other basins. The limited extent of the MIS 2 marsh/shallow lake in the Lake Rogers basin of northern Death Valley reflects the well-known regional glacial climate at that time; however, Death Valley received relatively lower inflow and rainfall in comparison.

Geological Society of America Bulletin↗