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At least 127 records · Page 7Linked to original sources

The flaminio obelisk in Rome: vibrational characteristics as part of preservation efforts

The purpose of the paper is to study the vibrational characteristics of the Flaminio Obelisk in Rome as part of general studies being performed for preservation purposes. The state of preservation of the monument is described as well as the sonic method used to evaluate the integrity of the sections. The results of the sonic tests are used to determine reductions in the cross-sectional properties. A stick model including two rotational frequency independent soil springs at the basement level of the obelisk is developed. A response spectrum and stress analysis according to the Italian Seismic Code is performed considering and evaluating the degraded characteristics of sections. -from Authors

Earthquake Engineering and Structural Dynamics

An efficient, analytic solution using order statistics for probabilistic seismic‐hazard assessment without the Poisson assumption

Standard approaches to probabilistic seismic‐hazard assessment (PSHA) assume that earthquakes are random, independent events that follow a Poisson distribution of occurrences in a given time period ( Cornell, 1968 ). To overcome the limitations of the Poisson assumption, such as ignoring earthquake clustering, we introduce an analytic method for PSHA that uses order statistics to allow for arbitrary distributions of earthquake occurrence. Cornell (1968) used the Poisson assumption to achieve a computationally efficient method that enables users to explore the impact of parameters used in earthquake occurrence and ground‐motion models. We apply our order statistics method to the highly clustered seismicity associated with caldera collapses at Kīlauea and explore the general implications of non‐Poisson behavior for PSHA. We find that non‐Poisson behavior has the greatest impact for high probabilities of exceedance, low‐mean rates of occurrence, and multiple exceedances. Those conditions can be important for applications such as operating standards for buildings and infrastructure engineering, standards for temporary structures and during construction, the insurance industry, the design of earthquake early warning, and to assess hazards due to clustered processes such as aftershock sequences and earthquake swarms. The commonly used rate of exceedance hides the difference between the hazard due to a non‐Poisson distribution and a Poisson distribution with the same mean rate of earthquakes. Thus, including non‐Poisson behavior in PSHA means that we must plot and discuss PSHA results as the probability and not the rate of exceedance.

Bulletin of the Seismological Society of America

Quaternary geologic map of the Regina 4° x 6° quadrangle, United States and Canada

For scientific purposes, the map differentiates Quaternary surficial deposits and materials on the basis of clast lithology or composition, matrix texture or particle size, structure, genesis, stratigraphic relations, engineering geologic properties, and relative age, as shown on the correlation diagram and indicated in the 'Description of Map Units'. Deposits of some constructional landforms, such as end moraines, are distinguished as map units. Deposits of erosional landforms, such as outwash terraces, are not distinguished, although glaciofluvial, ice-contact, fluvial, and lacustrine deposits that are mapped may be terraced. Differentiation of sequences of fluvial and glaciofluvial deposits at this scale is not possible. For practical purposes, the map is a surficial materials map. Materials are distinguished on the basis of lithology or composition, texture or particle size, and other physical, chemical, and engineering characteristics. It is not a map of soils that are recognized and classified in pedology or agronomy. Rather, it is a generalized map of soils as recognized in engineering geology, or of substrata or parent materials in which pedologic or agronomic soils are formed. As a materials map, it serves as a base from which a variety of maps for use in planning engineering, land-use planning, or land-management projects can be derived and from which a variety of maps relating to earth surface processes and Quaternary geologic history can be derived.

Regina quadrangle

Quaternary Geologic Map of the Lake Nipigon 4 Degrees x 6 Degrees Quadrangle, United States and Canada

The Quaternary Geologic Map of the Lake Nipigon 4 degree x 6 degree Quadrangle was mapped as part of the Quaternary Geologic Atlas of the United States. The atlas was begun as an effort to depict the areal distribution of surficial geologic deposits and other materials that accumulated or formed during the past 2+ million years, the period that includes all activities of the human species. These materials are at the surface of the earth. They make up the 'ground' on which we walk, the 'dirt' in which we dig foundations, and the 'soil' in which we grow crops. Most of our human activity is related in one way or another to these surface materials that are referred to collectively by many geologists as regolith, the mantle of fragmental and generally unconsolidated material that overlies the bedrock foundation of the continent. The maps were compiled at 1:1,000,000 scale. This map is a product of collaboration of the Ontario Geological Survey, the University of Michigan, and the U.S. Geological Survey, and is designed for both scientific and practical purposes. It was prepared in two stages. First, separate maps and map explanations were prepared by the compilers. Second, the maps were combined, integrated, and supplemented by the editor. Map unit symbols were revised to a uniform system of classification and the map unit descriptions were prepared by the editor from information received from the compilers and from additional sources listed under Sources of Information. Diagrams accompanying the map were prepared by the editor. For scientific purposes, the map differentiates Quaternary surficial deposits on the basis of lithology or composition, texture or particle size, structure, genesis, stratigraphic relationships, engineering geologic properties, and relative age, as shown on the correlation diagram and indicated in the map unit descriptions. Deposits of some constructional landforms, such as kame moraine deposits, are distinguished as map units. Deposits of erosional landforms, such as outwash terraces, are not distinguished, although glaciofluvial, ice-contact, and lacustrine deposits that are mapped may be terraced. As a Quaternary geologic map it serves as a base from which a variety of maps relating Quaternary geologic history can be derived. For practical purposes, the map is a surficial materials map. Materials are distinguished on the basis of lithology or composition, texture or particle size, and other physical, chemical, and engineering characteristics. It is not a map of soils that are recognized and classified in pedology or agronomy. Rather, it is a generalized map of soils as recognized in engineering geology, or of substrata or parent materials in which pedologic or agronomic soils are formed. As a materials map it serves as a base from which a variety of maps for use in planning engineering, land use, or land management projects can be derived.

IMAP

The Ecology of Parasite-Host Interactions at Montezuma Well National Monument, Arizona - Appreciating the Importance of Parasites

Although parasites play important ecological roles through the direct interactions they have with their hosts, historically that fact has been underappreciated. Today, scientists have a growing appreciation of the scope of such impacts. Parasites have been reported to dominate food webs, alter predator-prey relationships, act as ecosystem engineers, and alter community structure. In spite of this growing awareness in the scientific community, parasites are still often neglected in the consideration of the management and conservation of resources and ecosystems. Given that at least half of the organisms on earth are probably parasitic, it should be evident that the ecological functions of parasites warrant greater attention. In this report, we explore different aspects of parasite-host relationships found at a desert spring pond within Montezuma Well National Monument, Arizona. In three separate but related chapters, we explore interactions between a novel amphipod host and two parasites. First, we identify how host behavior responds to this association and how this association affects interactions with both invertebrate non-host predators and a vertebrate host predator. Second, we look at the human dimension, investigating how human recreation can indirectly affect patterns of disease by altering patterns of vertebrate host space use. Finally - because parasites and diseases are of increasing importance in the management of wildlife species, especially those that are imperiled or of management concern - the third chapter argues that research would benefit from increased attention to the statistical analysis of wildlife disease studies. This report also explores issues of statistical parasitology, providing information that may better inform those designing research projects and analyzing data from studies of wildlife disease. In investigating the nature of parasite-host interactions, the role that relationships play in ecological communities, and how human activities alter these associations, scientists usually make inferences by methods of statistical hypotheses testing. This type of hypothesis testing places additional importance on the analysis and interpretation of parasite-host interactions. We address these ideas in this report, focusing on the following questions: (1) How do two parasites with complex life cycles alter the behavior of a novel amphipod host, and how do host and non-host predators respond to infected amphipod prey? (2) Does human recreation affect spatial patterns of infection in an otherwise natural ecosystem? (3) How is hypothesis-testing applied in studies of wildlife disease? (4) What conclusions can we make about the relative usefulness of these methodologies? and (5) How can the analysis and interpretation of wildlife disease studies be improved? Each chapter of this report contains its own literature-cited section, with tables included in appendixes at the end of the full report.

Open-File Report

Characterization of major lithologic units underlying the lower American River using water-borne continuous resistivity profiling, Sacramento, California, June 2008

The levee system of the lower American River in Sacramento, California, is situated above a mixed lithology of alluvial deposits that range from clay to gravel. In addition, sand deposits related to hydraulic mining activities underlie the floodplain and are preferentially prone to scour during high-flow events. In contrast, sections of the American River channel have been observed to be scour resistant. In this study, the U.S. Geological Survey, in cooperation with the U.S. Army Corps of Engineers, explores the resistivity structure of the American River channel to characterize the extent and thickness of lithologic units that may impact the scour potential of the area. Likely lithologic structures are interpreted, but these interpretations are non-unique and cannot be directly related to scour potential. Additional geotechnical data would provide insightful data on the scour potential of certain lithologic units. Additional interpretation of the resistivity data with respect to these results may improve interpretations of lithology and scour potential throughout the American River channel and floodplain. Resistivity data were collected in three profiles along the American River using a water-borne continuous resistivity profiling technique. After processing and modeling these data, inverted resistivity profiles were used to make interpretations about the extent and thickness of possible lithologic units. In general, an intermittent high-resistivity layer likely indicative of sand or gravel deposits extends to a depth of around 30 feet (9 meters) and is underlain by a consistent low-resistivity layer that likely indicates a high-clay content unit that extends below the depth of investigation (60 feet or 18 meters). Immediately upstream of the Watt Avenue Bridge, the high-resistivity layer is absent, and the low-resistivity layer extends to the surface where a scour-resistant layer has been previously observed in the river bed.

California

Assessing the long-term earthquake risk for the US National Bridge Inventory (NBI)

We estimate annualized earthquake loss associated with over 600,000 bridges located throughout the contiguous United States. Each year, the Federal Highway Administration, in partnership with State Departments of Transportation, undertake a massive exercise to update the National Bridge Inventory (NBI) by combining data from states, federal agencies, local jurisdictions, and tribal governments. The NBI captures pertinent details related to individual bridges (e.g., their usage, repairs, or retrofits). We make use of the 2018 NBI that contain the necessary engineering attributes needed to assign the appropriate Hazus bridge class for each bridge, which can then be used for engineering risk analyses. Basic structural data, component dimensions, and regional replacement cost factors are used to develop an economic exposure model. This is a significant improvement over previous replacement costs, and as a result of this study, results are now available within the Federal Emergency Management Agency’s Hazus platform. Earthquake hazard is defined using the U.S. Geological Survey’s 2018 National Seismic Hazard Model. For each bridge location, we obtain an earthquake shaking hazard curve defined in terms of spectral acceleration at a vibration period of 1.0 sec, ensuring that it properly reflects the site-specific soil conditions. We then integrate it with the bridge-specific fragility curve to compute annual probabilities of exceeding various damage states. Next, we perform economic loss analyses using the repair costs associated with specific damage states, resulting in an estimate of mean total annual financial loss for each bridge; this long-term measure of seismic risk enables us to illustrate the distribution of overall financial risk with respect to geographical region, era of construction, or type of bridge.

contiguous United States

Does amplitude scaling of ground motion records result in biased nonlinear structural drift responses?

Limitations of the existing earthquake ground motion database lead to scaling of records to obtain seismograms consistent with a ground motion target for structural design and evaluation. In the engineering seismology community, acceptable limits for 'legitimate' scaling vary from one (no scaling allowed) to 10 or more. The concerns expressed by detractors of scaling are mostly based on the knowledge of, for example, differences in ground motion characteristics for different earthquake magnitude-distance (Mw-Rclose) scenarios, and much less on their effects on structures. At the other end of the spectrum, proponents have demonstrated that scaling is not only legitimate but also useful for assessing structural response statistics for Mw-Rclose scenarios. Their studies, however, have not investigated more recent purposes of scaling and have not always drawn conclusions for a wide spectrum of structural vibration periods and strengths. This article investigates whether scaling of records randomly selected from an Mw-Rclose bin (or range) to a target fundamental-mode spectral acceleration (Sa) level introduces bias in the expected nonlinear structural drift response of both single-degree-of-freedom oscillators and one multi-degree-of-freedom building. The bias is quantified relative to unscaled records from the target Mw-Rclose bin that are 'naturally' at the target Sa level. We consider scaling of records from the target Mw-Rclose bin and from other Mw-Rclose bins. The results demonstrate that scaling can indeed introduce a bias that, for the most part, ca be explained by differences between the elastic response spectra of the scaled versus unscaled records. Copyright ?? 2007 John Wiley & Sons, Ltd.

Earthquake Engineering and Structural Dynamics

Effects of catastrophic floods and debris flows on the sediment retention structure, North Fork Toutle River, Washington

The eruption of Mount St. Helens in 1980 produced a debris avalanche that flowed down the upper reaches of the North Fork Toutle River in southwestern Washington, clogging this drainage with sediment. In response to continuous anomalously high sediment flux into the Toutle and Cowlitz Rivers resulting from this avalanche and associated debris flows, the U.S. Army Corps of Engineers completed a Sediment Retention Structure (SRS) on the North Fork Toutle River in May 1989. For one decade, the SRS effectively blocked most of the sediment transport down the Toutle River. In 1999, the sediment level behind the SRS reached the elevation of the spillway base. Since then, a higher percentage of sediment has been passing the SRS and increasing the flood risk in the Cowlitz River. Currently (2012), the dam is filling with sediment at a rate that cannot be sustained for its original design life, and the U.S. Army Corps of Engineers is concerned with the current ability of the SRS to manage floods. This report presents an assessment of the ability of the dam to pass large flows from three types of scenarios (it is assumed that no damage to the spillway will occur). These scenarios are (1) a failure of the debris-avalanche blockage forming Castle Lake that produces a dambreak flood, (2) a debris flow from failure of that blockage, or (3) a debris flow originating in the crater of Mount St. Helens. In each case, the flows are routed down the Toutle River and through the SRS using numerical models on a gridded domain produced from a digital elevation model constructed with existing topography and dam infrastructure. The results of these simulations show that a structurally sound spillway is capable of passing large floods without risk of overtopping the crest of the dam. In addition, large debris flows originating from Castle Lake or the crater of Mount St. Helens never reach the SRS. Instead, debris flows fill the braided channels upstream of the dam and reduce its storage capacity.

Washington

Geologic framework, structure, and hydrogeologic characteristics of the Knippa Gap area in eastern Uvalde and western Medina Counties, Texas

The Edwards aquifer is the primary source of potable water for the San Antonio area in south-central Texas. The Knippa Gap was postulated to channel or restrict flow in the Edwards aquifer in eastern Uvalde County, and its existence was based on a series of numerical simulations of groundwater flow in the aquifer. To better understand the function of the area known as the Knippa Gap as it pertains to its geology and structure, the geologic framework, structure, and hydrogeologic characteristics of the area were evaluated by the U.S. Geological Survey in cooperation with the U.S. Army Corps of Engineers-Fort Worth District. The principal structural feature in the San Antonio area is the Balcones Fault Zone, which is the result of Miocene age faulting. In Medina County, the faulting of the Balcones Fault Zone has produced a relay-ramp structure that dips to the southwest from the Edwards aquifer recharge zone and extends westward and below land surface from Seco Creek. Groundwater flow paths in the Edwards aquifer are influenced by faulting and geologic structure. Some faults act as barriers to groundwater flow paths where the aquifer is offset by 50 percent or more and result in flow moving parallel to the fault. The effectiveness of a fault as a barrier to flow changes as the amount of fault displacement changes. The structurally complex area of the Balcones Fault Zone contains relay ramps, which form in extensional fault systems to allow for deformation changes along the fault block. In Medina County, the faulting of the Balcones Fault Zone has produced a relay-ramp structure that dips to the southwest from the Edwards aquifer recharge zone. Groundwater moving down the relay ramp in northern Medina County flows downgradient (downdip) to the structural low (trough) from the northeast to the southwest. In Uvalde County, the beds dip from a structural high known as the Uvalde Salient. This results in groundwater moving from the structural high and downgradient (dip) towards a structural low (trough) to the northeast. These two opposing structural dips result in a subsurface structural low (trough) locally referred to as the Knippa Gap. This trough is located in eastern Uvalde County beneath the towns of Knippa and Sabinal. By using data that were compiled and collected for this study and previous studies, a revised map was constructed depicting the geologic framework, structure, and hydrogeologic characteristics of the Knippa Gap area in eastern Uvalde and western Medina Counties, Tex. The map also shows the interpreted structural dip directions and interpreted location of a structural low (trough) in the area known as the Knippa Gap.

Texas

Quantifying modeling uncertainty in simplified beam models for building response prediction

The use of simple models for response prediction of building structures is preferred in earthquake engineering for risk evaluations at regional scales, as they make computational studies more feasible. The primary impediment in their gainful use presently is the lack of viable methods for quantifying (and reducing upon) the modeling errors/uncertainties they bear. This study presents a Bayesian calibration method wherein the modeling error is embedded into the parameters of the model. The method is specifically described for coupled shear-flexural beam models here, but it can be applied to any parametric surrogate model. The major benefit the method offers is the ability to consider the modeling uncertainty in the forward prediction of any degree-of-freedom or composite response regardless of the data used in calibration. The method is extensively verified using two synthetic examples. In the first example, the beam model is calibrated to represent a similar beam model but with enforced modeling errors. In the second example, the beam model is used to represent the detailed finite element model of a 52-story building. Both examples show the capability of the proposed solution to provide realistic uncertainty estimation around the mean prediction.

Structural Control and Health Monitoring

Physical habitat dynamics in four side-channel chutes, lower Missouri River

Construction of the side-channel chutes has become a popular means to rehabilitate habitate of the Lower Missouri River. We studied various aspects of hydrology, hydraulics, and geomorphology of four side-channel chutes to document a range of existing conditions in the Lower Missouri River. The Cranberry Bend side-channel chute has existed for at least 40 years and is an example of a persistent, minimally engineered chute. The Lisbon Bottom side-channel chute is a young chute, created by extreme floods during 1993 – 1996, and allowed to evolve with minimum engineering of inlet and outlet structures. The Hamburg Bend and North Overton Bottom side-channel chutes were constructed in 1996 and 2000, respectively, as part of the Missouri River Bank Stabilization and navigation Fish and Wildlife Mitigation Project. These side-channel chutes provide increased areas of sandbars and shallow, slow water – habitats thought to be substantially diminished in the modern Missouri River. Depths and velocities measured in side-channel chutes are also present in the main channel, but the chutes provide more areas of slow, shallow water and they increase the range of discharges over which shallow, slow water is present. The 3.6 km long Lisbon Bottom chute provides as much as 50% of the entire shallow water habitat that exists in the encompassing 15 km reach of the river. At Cranberry Bend and Lisbon Bottom, the side-channel chutes provided 10 – 40% of the availabile sandbar area in the reach, depending on discharge. Each of the side-channel chutes shows evidence of continuing erosion and deposition. The longevity and the Cranberry Bend chute attests to dynamic stability – that is, a chute that maintains form and processes while shifting in position. The Hamburg chute similarly shows evidence of lateral movement and construction of flood plain to compensate for erosion. The Lisbon Bottom chute – the most intensively studied chute – appears to have achieved an equilibrium width and continues to migrate slowly; however, evidence of aggradation indicates that the chute has not reached an ultimate form, and may be continuing to adjust to altered hydrology and sediment availability. The North Overton Bottoms chute is the newest in the study. In its originally constructed form, the North Overton Bottoms pilot chute was extremely stable, even while being subjected to two floods in excess of 2-year recurrence interval and after accumulating large, potentially destabilizing large woody debris jams. Ongoing adaptive re-engineering of the North Overton Bottoms chute has prevented assessment of how the chute might have adjusted its form in the absence of intervention.

Iowa, Kansas, Missouri, Nebraska

Stability concepts in ecology

The term stability, as applied to ecological systems, whether populations, communities, or ecosystems, means the tendency either to stay either close to some initial state, or to stay within certain bounds, or to persist in the face of environmental disturbances or changes. Here, a historical overview of stability concepts in ecology is outlined and measures of stability are discussed and described mathematically, including local stability, engineering resilience, resistance, persistence, and structural stability. Examples of instabilities caused by both pulse and press disturbances are given.

Book chapter

Fish assemblages in borrow-pit lakes of the Lower Mississippi River

Borrow-pit lakes encompass about a third of the lentic water habitats (by area) in the active floodplain of the Lower Mississippi River, yet little is known about their fish assemblages. We investigated whether fish assemblages supported by borrow-pit lakes resembled those in oxbow lakes to help place the ecological relevance of borrow-pit lakes in context with that of natural floodplain lakes. In all, we collected 75 fish species, including 65 species in eight borrow-pit lakes, 52 species in four riverside oxbow lakes, and 44 species in eight landside oxbow lakes. Significant differences in several species richness metrics were evident between borrow-pit lakes and landside oxbow lakes but not between borrow-pit lakes and riverside oxbow lakes. All three lake types differed in fish assemblage composition. Borrow-pit lakes and riverside oxbow lakes tended to include a greater representation of fish species that require access to diverse environments, including lentic, lotic, and palustrine habitats; fish assemblages in landside oxbow lakes included a higher representation of lacustrine species. None of the fish species collected in borrow-pit lakes was federally listed as threatened or endangered, but several were listed as species of special concern by state governments in the region, suggesting that borrow-pit lakes provide habitat for sensitive riverine and wetland fish species. Differences in fish assemblages among borrow-pit lakes were linked to engineered morphologic features, suggesting that diversity in engineering can contribute to diversity in fish assemblages; however, more research is needed to match engineering designs with fish assemblage structures that best meet conservation needs.

Lower Mississippi River

Surface material and snout-vent length predict vertical scaling ability in brown treesnakes:an evaluation of multispecies barriers for invasive species control on Guam

The combination of snake-proof barriers and an aerial toxicant delivery system for snake suppression may allow large-scale control of invasive brown treesnakes (Boiga irregularis) on Guam. However, suppression or local eradication of several other species (e.g., introduced ungulates, cats, rodents) may be required for successful restoration and recovery of forest habitat and reintroduction of native fauna. Island-wide eradication of invasive species is unlikely on Guam, and existing snake-proof barriers are largely ineffective against cats, rodents, shrews, or monitors. Improved barrier technology and pest-control tools may together provide a viable solution to support localized restoration of species and habitats. We designed and tested prototype multispecies barriers using materials known to repel ungulates, cats, and rodents, with a focus on testing the ability of a rolled hood installed over three different mesh designs to repel brown treesnakes and black rats (Rattus rattus). Woven wire (4.9 × 12 mm aperture, 2.5 mm dia. wire) repelled 99.1% of all snakes, including ≥1031 breach attempts by 112 individuals and 2 successful breaches by 1 small individual. Woven wire (6 × 6 mm aperture, 2.7 mm dia. wire) repelled 100% of all snakes, including 611 breach attempts by 65 individuals. Mini chain link mesh (7 × 9 mm aperture, 1 mm dia. wire) repelled 100% of all snakes, including 1053 breach attempts by 97 individuals. Brown treesnakes were unable to climb either of the two woven wire designs (1642 breach attempts by 160 individuals), making the rolled hood serve as a redundant secondary snake barrier. The rolled hood repelled 100% of all snakes when individuals were provided a climbable surface to access the hood (94 breach attempts by 39 snakes). The probability of a snake being able to climb the mini chain link mesh was inversely related to SVL. The rolled hood repelled 100% of all rats, with 5079 breach attempts by 21 individuals. Recommended next steps include consultation with engineers to address wind loading, structural integrity, material interactions, and integration of decision support tools to optimize cost and efficacy of barrier designs on the landscape.

Management of Biological Invasions.

Probabilistic seismic demand analysis using advanced ground motion intensity measures

One of the objectives in performance-based earthquake engineering is to quantify the seismic reliability of a structure at a site. For that purpose, probabilistic seismic demand analysis (PSDA) is used as a tool to estimate the mean annual frequency of exceeding a specified value of a structural demand parameter (e.g. interstorey drift). This paper compares and contrasts the use, in PSDA, of certain advanced scalar versus vector and conventional scalar ground motion intensity measures (IMs). One of the benefits of using a well-chosen IM is that more accurate evaluations of seismic performance are achieved without the need to perform detailed ground motion record selection for the nonlinear dynamic structural analyses involved in PSDA (e.g. record selection with respect to seismic parameters such as earthquake magnitude, source-to-site distance, and ground motion epsilon). For structural demands that are dominated by a first mode of vibration, using inelastic spectral displacement (Sdi) can be advantageous relative to the conventionally used elastic spectral acceleration (Sa) and the vector IM consisting of Sa and epsilon (??). This paper demonstrates that this is true for ordinary and for near-source pulse-like earthquake records. The latter ground motions cannot be adequately characterized by either Sa alone or the vector of Sa and ??. For structural demands with significant higher-mode contributions (under either of the two types of ground motions), even Sdi (alone) is not sufficient, so an advanced scalar IM that additionally incorporates higher modes is used.

Earthquake Engineering and Structural Dynamics

Quantifying geomorphic change at ephemeral stream restoration sites using a coupled-model approach

Rock-detention structures are used as restoration treatments to engineer ephemeral stream channels of southeast Arizona, USA, to reduce streamflow velocity, limit erosion, retain sediment, and promote surface-water infiltration. Structures are intended to aggrade incised stream channels, yet little quantified evidence of efficacy is available. The goal of this 3-year study was to characterize the geomorphic impacts of rock-detention structures used as a restoration strategy and develop a methodology to predict the associated changes. We studied reaches of two ephemeral streams with different watershed management histories: one where thousands of loose-rock check dams were installed 30 years prior to our study, and one with structures constructed at the beginning of our study. The methods used included runoff, sediment transport, and geomorphic modelling and repeat terrestrial laser scanner (TLS) surveys to map landscape change. Where discharge data were not available, event-based runoff was estimated using KINEROS2, a one-dimensional kinematic-wave runoff and erosion model. Discharge measurements and estimates were used as input to a two-dimensional unsteady flow-and-sedimentation model (Nays2DH) that combined a gridded flow, transport, and bed and bank simulation with geomorphic change. Through comparison of consecutive DEMs, the potential to substitute uncalibrated models to analyze stream restoration is introduced. We demonstrate a new approach to assess hydraulics and associated patterns of aggradation and degradation resulting from the construction of check-dams and other transverse structures. Notably, we find that stream restoration using rock-detention structures is effective across vastly different timescales.

Arizona

Updates to building-code maps for the 2015 NEHRP recommended seismic provisions

With the 2014 update of the U.S. Geological Survey (USGS) National Seismic Hazard Model (NSHM) as a basis, the Building Seismic Safety Council (BSSC) has updated the earthquake ground motion maps in the National Earthquake Hazards Reduction Program (NEHRP) Recommended Seismic Provisions for New Buildings and Other Structures , with partial funding from the Federal Emergency Management Agency. Anticipated adoption of the updated maps into the American Society of Civil Engineers Minimum Design Loads for Building and Other Structures and the International Building and Residential Codes is underway. Relative to the ground motions in the prior edition of each of these documents, most of the updated values are within a ±20% change. The larger changes are, in most cases, due to the USGS NSHM updates, reasons for which are given in companion publications. In some cases, the larger changes are partly due to a BSSC update of the slope of the fragility curve that is used to calculate the risk-targeted ground motions, and/or the introduction by BSSC of a quantitative definition of “active faults” used to calculate deterministic ground motions.

Earthquake Spectra