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At least 1,189 records · Page 66Linked to original sources

Heat as a ground water tracer at the Russian River RBF facility, Sonoma County, California

Temperature is routinely collected as a water quality parameter, but only recently utilized as an environmental tracer of stream exchanges with ground water (Stonestrom and Constantz, 2003). In this paper, water levels and seasonal temperatures were used to estimate streambed hydraulic conductivities and water fluxes. Temperatures and water levels were analyzed from 3 observation wells near the Russian River RBF facility, north of Forestville, Sonoma County, CA. In addition, 9 shallow piezometers were installed in 3 cross-sections across the stream near a pair of collector wells at the RBF facility. Hydraulic conductivities and fluxes were estimated by matching simulated ground-water temperatures to the observed ground-water temperatures with an inverse modeling approach. Using temperature measurements in the shallow piezometers from 0.1 to 1.0 m below the channel, estimates of infiltration indicated a distinct area of streambed clogging near one of the RBF collector wells. For the deeper observation wells, temperature probes were located at depths between 3.5 m to 7.1 m below the channel. Estimated conductivities varied over an order of magnitude, with anisotropies of 5 (horizontal to vertical hydraulic conductivity) generally providing the best fit to observed temperatures.

California↗

Assessing massive flank collapse at stratovolcanoes using 3-D slope stability analysis

Massive rock failures pose one of the greatest hazards at stratovolcanoes; more than 20,000 fatalities have resulted worldwide from historical volcano edifice collapses. Although numerous processes can destabilize an edifice, gravitational instability is strongly influenced by the interplay of topography, variable potential failure surfaces, and the three-dimensional (3-D) distributions of rock strength and pore-fluid pressure. We have developed a 3-D slope stability analysis that can search digital topography and determine the locations of minimum stability and the volumes of potential failures. We use this 3-D method to conduct preliminary stability analyses of three stratovolcanoes that have had large rock failures: Mount St. Helens and Mount Rainier in the USA and Volcan Casita in Nicaragua. For the relatively uniform Mount St. Helens edifice, a 3-D analysis using topography alone provides a good predictor of the location and volume of the catastrophic 1980 collapse. At Mount Rainier, both topography and a 3-D distribution of weaker, hydrothermally altered rocks are needed to adequately characterize future hazard. For Casita, the location of the smaller, yet devastating, 1998 failure is predicted using topography and a reconnaissance interpretation of strength based on the distribution of fumarolic activity.

NATO Science Series↗

Lahar

A lahar is a flowing slurry of rock debris and water originating on the slopes of a volcano. The term may also mean the deposit of such a flow.

Book chapter↗

Tectonic tremor

Tectonic, non-volcanic tremor is a weak vibration of ground, which cannot be felt by humans but can be detected by sensitive seismometers. It is defined empirically as a low-amplitude, extended duration seismic signal associated with the deep portion (∼20–40 km depth) of some major faults. It is typically observed most clearly in the frequency range of 2–8 Hz and is depleted in energy at higher frequencies relative to regular earthquakes.

Book chapter↗

Rotational seismology

Rotational seismology is an emerging study of all aspects of rotational motions induced by earthquakes, explosions, and ambient vibrations. It is of interest to several disciplines, including seismology, earthquake engineering, geodesy, and earth-based detection of Einstein’s gravitation waves. Rotational effects of seismic waves, together with rotations caused by soil–structure interaction, have been observed for centuries (e.g., rotated chimneys, monuments, and tombstones). Figure 1a shows the rotated monument to George Inglis observed after the 1897 Great Shillong earthquake. This monument had the form of an obelisk rising over 19 metres high from a 4 metre base. During the earthquake, the top part broke off and the remnant of some 6 metres rotated about 15° relative to the base. The study of rotational seismology began only recently when sensitive rotational sensors became available due to advances in aeronautical and astronomical instrumentations.

Book chapter↗

Subsidence induced by underground extraction

Subsidence induced by underground extraction is a class of human-induced (anthropogenic) land subsidence that principally is caused by the withdrawal of subsurface fluids (groundwater, oil, and gas) or by the underground mining of coal and other minerals.

Book chapter↗

Complexity Theory

A complex system consists of many interacting parts, generates new collective behavior through self organization, and adaptively evolves through time. Many theories have been developed to study complex systems, including chaos, fractals, cellular automata, self organization, stochastic processes, turbulence, and genetic algorithms.

Book chapter↗

Magnetic indices

Magnetic indices are simple measures of magnetic activity that occurs, typically, over periods of time of less than a few hours and which is recorded by magnetometers at ground‐based observatories (Mayaud, 1980 ; Rangarajan, 1989 ; McPherron, 1995 ). The variations that indices measure have their origin in the Earth's ionosphere and magnetosphere. Some indices having been designed specifically to quantify idealized physical processes, while others function as more generic measures of magnetic activity. Indices are routinely used across the many subdisciplines in geomagnetism, including direct studies of the physics of the upper atmosphere and space, for induction studies of the Earth's crust and mantle, and for removal of disturbed‐time magnetic data in studies of the Earth's deep interior and core. Here we summarize the most commonly used magnetic indices, using data from a worldwide distribution of observatories, those shown in Figure M31 and whose sponsoring agencies are given in Table M1 .

Book chapter↗

Observatories, program in USA

The Geomagnetism Program of the US Geological Survey has, for over a century now, monitored the Earth's magnetic field through a network of magnetic observatories and conducted scientific analysis on the data collected. The program traces its origins to the Reorganization Act of 1843, in which Congress authorized the creation of a coastal survey agency, as part of the Treasury Department, that was responsible for, among other things, geomagnetic surveys. The 19th century saw the establishment of relatively short‐lived magnetic stations, as well as the production of declination maps for the United States and territories. With the purchase of Alaska, coastal surveys became an increasingly higher priority, and in 1889 the Coast and Geodetic Survey, with a Division of Terrestrial Magnetism, was established. The first essentially permanent geomagnetic observatories were established under the Division's leadership of Dr. Louis A. Bauer and Dr. John A. Fleming: Cheltenham Maryland Observatory was established in 1900, subsequently moved to the Fredericksburg site in 1956; Sitka Alaska Observatory was established in 1901 and that of Honolulu Hawaii in 1902. Soon after these observatories became operational, it was found that the Sitka and Honolulu magnetometers were also sensitive to local earthquakes, and so seismometers were installed at the sites. In part, because of this colocation of instruments, the magnetic and seismological programs in the Coast and Geodetic Survey were united in 1925 under the Division of Geomagnetism and Seismology. Over the years, the Geomagnetism Program has evolved in response to the needs of the United States and in response to changes in the nation's various federal agencies. In 1903 the Coast and Geodetic Survey was transferred to the newly organized Department of Commerce, and in 1970 the survey became part of the National Oceanic and Atmospheric Administration (NOAA). In 1973, the US Geological Survey of the Department of the Interior assumed responsibility for the nation's Geomagnetism and Seismology programs.

Book chapter↗

Principal component analysis in paleomagnetism

When studying the mean and variance of paleomagnetic data it is a common practice to employ principal component analysis (Jolliffe, 2002 ). The theory of this method is related to the mathematics quantifying the moment of inertia of a set of particles of mass about some reference point of interest. For the purposes of data analysis, principal component analysis was first promoted by Pearson ( 1901 ) and Hotelling ( 1933 ), and it also often associated with Karhunen ( 1947 ) and Loéve ( 1977 ). Principal component analysis is widely applied in crystallography (e.g., Schomaker et al ., 1959 ). In paleomagnetism (e.g., Mardia, 1972 ; Kirschvink, 1980 ), it finds application in studies of the average paleofield, paleosecular variation, demagnetization, and magnetic susceptibility. Here we discuss and demonstrate principal component analysis in application to full paleomagnetic vectorial data and, separately, to paleomagnetic directional data.

Book chapter↗

Statistical methods for paleovector analysis

Our concern is with the statistical description of paleomagnetic vectors and the estimation of their mean and variance. These vectors may come from a number of different rock units or archeological samples, representing a range of acquisition times, and be useful for studies of the mean paleomagnetic field and paleosecular variation ; alternatively, the vectors may come from individual measurements taken from a given rock unit or archeological sample, representing the same moment of acquisition, and be useful for studying the acquisition process itself. Directional data of a particular polarity are usually analyzed with a Fisher distribution (1953), and data of mixed polarities are usually analyzed with a Bingham distribution (1964). Occasionally, other directional distributions are used. For example, Bingham ( 1983 ) considered the projection of a three‐dimensional (3D), scalar‐variance Gaussian distribution onto the unit sphere, something he called the “angular‐Gaussian” distribution. More recently, Khokhlov et al. ( 2001 ) considered a generalization of the angular‐Gaussian distribution, one with a covariance matrix, which they used to analyze directional data from a number of sites. With respect to intensity data, they have traditionally been treated separately from paleodirections, analyzed with normal, log‐normal, or gamma distributions. Here, for data of either a particular polarity or of mixed polarities, we summarize these works, and that of Love and Constable ( 2003 ), who developed a full‐vector, scalar‐variance, Gaussian‐statistical framework for treating directional and intensity data simultaneously and self‐consistently.

Book chapter↗

Solute transport processes

Soils and aquifers are major compartments of the subsurface environment, which together control the terrestrial hydrological cycle. This subsurface is important for water resources and also as repository for municipal, industrial, and government waste. Aquifers are typically recharged by natural rainfall entering the soil profile and leaching into deeper soil layers. Due to intensive agricultural or industrial activities the leachate leaving the soil profile and entering the aquifer may contain concentrations of toxic substances such as agrochemicals, heavy metals, and polycyclic aromatic hydrocarbons. At contaminated industrial sites light and dense non-aqueous phase liquids (LNAPLs, DNAPLs) may be transported as a separate phase to the underlying aquifer systems. Once any of these chemicals have entered the aquifer they can be transported over large horizontal distances thus contaminating large parts of the aquifer and threateningwater supplywells. Remediation of highly contaminated aquifer systems is commonly a long-term and expensive proposition. As safe and effective use of the subsurface environment is a major challenge facing our society, there is a great need to improve our understanding of the shallow subsurface and the groundwater systems. This particularly includes the understanding of transport processes, which are responsible for the fate of contaminants.

Book chapter↗

Selection for salt tolerance in tidal freshwater swamp species: Advances using baldcypress as a model for restoration: Chapter 14

Worldwide, the intrusion of salinity into irrigated and natural landscapes has major economic and cultural impacts and has resulted in large reductions in crop yields (Epstein et al. 1980; Flowers 2003). Losses have prompted wide-scale programs to improve the salt tolerance of many agronomic species or to identify crop species that can tolerate lands affected by low levels of salinity. Few historic research efforts have considered forest tree species in the United States, especially in nonurban areas. Newer programs have focused on identifying salt tolerance in forest tree species but have mainly limited these efforts to compiling lists of salt tolerant species to be used in afforestation projects (Gogate et al. 1984; Shrivastava et al. 1988; Beckmann 1991; Bell 1999). Gogate et al. (1984), for instance, listed 26 potential species from Australia with silvicultural application to salt affected lands in India. More comprehensive efforts have considered species lists along with specific site requirements (Bell 1999); species tolerant to saline irrigation waters on dry land, for example, will not often be tolerant of salinity increases in wetland settings. Similar ideas have spawned field trials of native and nonnative tree species in India, Pakistan, Thailand, Australia, and the United States (Thomson 1988; Beckmann 1991; Krauss et al. 2000; Conner and Ozalp 2002; Marcar and Crawford 2004; Conner and Inabinette 2005). Concerted attempts at salt tolerance improvement of forest tree species have been limited, owing in part to the diversity of regional issues that such programs must consider. Whereas food, fodder, and pulp yield may be the major improvement goal on salt affected lands in India (Mathur and Sharma 1984), identifying trees that can survive deicing salts (Townsend 1989), oil and gas brine discharges (Auchmoody and Walters 1988), or sea-level rise induced salinity changes (Pezeshki et al. 1987, 1990) are of greater interest to larger industrial nations. Nevertheless, salt tolerance research on a range of tree species has converged on one very important finding; among the mechanisms proposed for salt tolerance in nonhalophytes (Greenway and Munns 1980; Munns and Termaat 1986; Cheeseman 1988), ion exclusion from cellular processes, especially exclusion of Cl- , ranks high (Townsend 1989). Identifying the principal mechanism and location of ion exclusion and determining the range of additive genetic variation available among physiological, morphological, and growth attributes for individual species have been the major elements of salt tolerance improvement programs for trees (Allen et al. 1994a).

Book chapter↗