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At least 1,261 records · Page 70Linked to original sources

Natural radionuclides and plutonium in sediments from the western Arctic Ocean: Sedimentation rates and pathways of radionuclides

Sediment cores collected during R.V. Polar Sea AOS94 expedition from the Chukchi Shelf to the North Poke were analyzed for several decay-series natural radionuclides and Pu isotopes to study sedimentation rates and pathways of radionuclides in the western Arctic Ocean. The measured sedimentation rates vary by more than three orders of magnitude along the transect, from 210Pb based rates of 200-700 cm kyr-1 over the Chukchi Shelf and 89 cm kyr-1 at the Chukchi Slope to 230Th-based rates of 0.02-0.3 cm kyr-1 at various settings in the deep basin. 230Th(ex) profiles in the central western Arctic Basin are characterized by a cyclic pattern and a pronounced sub-surface maximum superimposed on an overall decrease with depth. Sediment inventories of excess 210Pb and 230Th in the deep basin as a whole cannot account for their in situ production and 2610Pb fall-out. The opposite is true at the slope and shallower waters. We contend that, as with other ocean basins, boundary scavenging also exists in the Arctic Ocean. The broad continental shelves and the slope region may have the potential of removing all or moat of the particle-reactive radionuclides unaccounted for in the deep basin. The Pu isotope data are consistent with the notion of boundary scavenging. Sediment inventories and concentrations of Pu decrease rapidly offshore. Isotopic composition of Pu suggests mixing of fall-out Pu, which decreases with increasing latitudes, and fuels reprocessing Pu derived from the Russian and Atlantic sides of the Arctic Ocean. Although fuel reprocessing Pu has impinged on the Chukchi Slope, its existence over the Chukchi Shelf is not evident and probably overshadowed by fall-out Pu.

Deep-Sea Research Part II: Topical Studies in Ocea↗

Biodiversity changes in Cretaceous palynofloras of eastern Asia and western North America

Palynology has great potential for providing comparative data and interpretations about changes in biodiversity during the Cretaceous Period. This is especially true for both eastern Asia and western North America because of strong floristic similarities that existed between these regions during Cretaceous time. Also, because palynomorphs of terrestrial origin can be deposited in offshore as well as terrestrial environments, significant potential exists for marine-to-continental palynostratigraphic correlations in both regions. Palynological biostratigraphy can improve the geologic dating of changes in biodiversity. During the Early Cretaceous, eastern Asia and western North America lay within the Cerebropollenites palynofloral province, a circumpolar phytogeographic zone characterized by distinctive palynological assemblages. During most of the Late Cretaceous, these regions lay within the palynofloristically unique Aquilapollenites Province, which was more restricted geographically than the Cerebropollenites Province. The most important development during Cretaceous time that is reflected in palynological assemblages was the rise of the angiosperms as the numerically and ecologically dominant forms of vegetation. The most striking short-term palynofloral event in the two regions was the sudden disappearance of species of Aquilapollenites and associated genera at the Cretaceous-Tertiary (K/T) boundary. Both of these occurrences produced major changes in biodiversity in the terrestrial realm. Geologic research in International Geological Correlation Program Project 434 can benefit from applications of palynostratigraphy. Palynologic research within Project 434 could include development of a comprehensive palynostratigraphic zonation for the Cretaceous, the definition of regional palynostratigraphic datums, and investigation of the record of floral change at the K/T boundary. ?? 2002 Elsevier Science Ltd. All rights reserved.

Journal of Asian Earth Sciences↗

Geochemistry of coastal tarballs in southern California—A tribute to I. R. Kaplan

In the southern offshore California borderland, natural oil seeps occur mainly in the Santa Barbara Channel and Santa Monica Bay. Coastal tar residues (tarballs) from beaches bordering these water bodies were analyzed for six geochemical parameters: stable carbon isotopic compositions (δ 13 C) and four biomarker ratios (C 28 IC 29 hopane, sterane/hopane, refractory index, bisnorhopane index), and the presence or absence of trisnorhopane. The objectives of this study were to group these residues and infer possible sources and transport directions. Three major groups were established. Two groups are likely from natural seeps near the Channel Islands, whereas the third group probably comes from seeps within Santa Monica Bay. Residues from all groups occur on the Channel Islands and on mainland beaches from as far south as San Diego to Point Reyes north of San Francisco.

California↗

The effects of spilled oil on coastal ecosystems: Lessons from the Exxon Valdez spill

Oil spilled from ships or other sources into the marine environment often occurs in close proximity to coastlines, and oil frequently accumulates in coastal habitats. As a consequence, a rich, albeit occasionally controversial, body of literature describes a broad range of effects of spilled oil across several habitats, communities, and species in coastal environments. This statement is not to imply that spilled oil has less of an effect in pelagic marine ecosystems, but rather that marine spills occurring offshore may be less likely to be detected, and associated effects are more difficult to monitor, evaluate, and quantify (Peterson et al ., 2012). As a result, we have a much greater awareness of coastal pollution, which speaks to our need to improve our capacities in understanding the ecology of the open oceans. Conservation of coastal ecosystems and assessment of risks associated with oil spills can be facilitated through a better understanding of processes leading to direct and indirect responses of species and systems to oil exposure. It is also important to recognize that oil spilled from ships represents only ~9% of the nearly 700 000 barrels of petroleum that enter waters of North America annually from anthropogenic sources (NRC, 2003). The immediate effects of large spills can be defined as acute, due to the obvious and dramatic effects that are observed. In contrast, the remaining 625 000 barrels that are released each year can be thought of as chronic non-point pollution, resulting from oil entering the coastal ocean as runoff in a more consistent but much less conspicuous rate. In this chapter, we primarily address the effects of large oil spills that occur near coastlines and consider their potential for both acute and chronic effects on coastal communities. As described below, in some instances, the effects from chronic exposure may meet or exceed the more evident acute effects from large spills. Consequently, although quantifying chronic effects from low exposure rates can be challenging and time-consuming, the results of such efforts provide insights into the understudied effects of chronic non-point oil pollution.

Alaska↗

Wide-area debris field and seabed characterization of a deep ocean dump site surveyed by autonomous underwater vehicles

Disposal of industrial and hazardous waste in the deep ocean was a pervasive global practice near coastlines in the 20th century. Uncertainty in the quantity, location, and contents of dumped materials at historical disposal sites underscores ongoing risks to marine ecosystems and human health. This study presents analysis of a 150-km2 wide-area sidescan sonar survey conducted in March 2021 with two autonomous underwater vehicles (AUVs) at an offshore dumpsite in San Pedro Basin, California. Previous camera surveys located 60 barrels and other debris; sediment analysis in the region showed varying concentrations of the insecticidal chemical Dichlorodiphenyl-trichloroethane (DDT), for which an estimated 350-700 metric tons was discarded in the San Pedro Basin between 1947 and 1961. A lack of primary historical documents from Montrose Chemical or California Salvage Company that specify the DDT acid waste disposal method has contributed to the ambiguity surrounding whether the dumping method was via bulk discharge or containerized units. Barrels and debris visually detected during previous surveys by Remotely Operated Vehicles (ROVs) Jason and SuBastian and AUV Sentry served as the basis for ground truth testing and object classification using size and acoustic intensity characteristics. Target detection and classification algorithms were developed using image and signal processing techniques that resulted in the identification of over 74,000 debris targets within the survey region. Statistical, spectral, and machine learning techniques are used to characterize seabed variability and for bottom-type classification. These analytical techniques combined with the survey capabilities of AUVs provide a framework for efficient mapping and characterization of uncharted deep-water disposal sites.

California↗

Mercury speciation and transport via submarine groundwater discharge at a southern California coastal lagoon system

We measured total mercury (HgT) and monomethylmercury (MMHg) concentrations in coastal groundwater and seawater over a range of tidal conditions near Malibu Lagoon, California, and used 222Rn-derived estimates of submarine groundwater discharge (SGD) to assess the flux of mercury species to nearshore seawater. We infer a groundwater-seawater mixing scenario based on salinity and temperature trends and suggest that increased groundwater discharge to the ocean during low tide transported mercury offshore. Unfiltered HgT (U-HgT) concentrations in groundwater (2.2–5.9 pM) and seawater (3.3–5.2 pM) decreased during a falling tide, with groundwater U-HgT concentrations typically lower than seawater concentrations. Despite the low HgT in groundwater, bioaccumulative MMHg was produced in onshore sediment as evidenced by elevated MMHg concentrations in groundwater (0.2–1 pM) relative to seawater (∼0.1 pM) throughout most of the tidal cycle. During low tide, groundwater appeared to transport MMHg to the coast, resulting in a 5-fold increase in seawater MMHg (from 0.1 to 0.5 pM). Similarly, filtered HgT (F-HgT) concentrations in seawater increased approximately 7-fold during low tide (from 0.5 to 3.6 pM). These elevated seawater F-HgT concentrations exceeded those in filtered and unfiltered groundwater during low tide, but were similar to seawater U-HgT concentrations, suggesting that enhanced SGD altered mercury partitioning and/or solubilization dynamics in coastal waters. Finally, we estimate that the SGD HgT and MMHg fluxes to seawater were 0.41 and 0.15 nmol m–2 d–1, respectively – comparable in magnitude to atmospheric and benthic fluxes in similar environments.

California↗

Wave-induced mass transport affects daily Escherichia coli fluctuations in nearshore water

Characterization of diel variability of fecal indicator bacteria concentration in nearshore waters is of particular importance for development of water sampling standards and protection of public health. Significant nighttime increase in Escherichia coli ( E. coli ) concentration in beach water, previously observed at marine sites, has also been identified in summer 2000 from fixed locations in waist- and knee-deep waters at Chicago 63rd Street Beach, an embayed, tideless, freshwater beach with low currents at night (approximately 0.015 m s –1 ). A theoretical model using wave-induced mass transport velocity for advection was developed to assess the contribution of surface waves to the observed nighttime E. coli replenishment in the nearshore water. Using average wave conditions for the summer season of year 2000, the model predicted an amount of E. coli transported from water of intermediate depth, where sediment resuspension occurred intermittently, that would be sufficient to have elevated E. coli concentration in the surf and swash zones as observed. The nighttime replenishment of E. coli in the surf and swash zones revealed here is an important phase in the cycle of diel variations of E. coli concentration in nearshore water. According to previous findings in Ge et al. (Environ. Sci. Technol. 2010, 44, 6731–6737), enhanced current circulation in the embayment during the day tends to displace and deposit material offshore, which partially sets up the system by the early evening for a new period of nighttime onshore movement. This wave-induced mass transport effect, although facilitating a significant base supply of material shoreward, can be perturbed or significantly influenced by high currents (orders of magnitude larger than a typical wave-induced mass transport velocity), current-induced turbulence, and tidal forcing.

Illinois↗

Permafrost-associated gas hydrate: is it really approximately 1% of the global system?

Permafrost-associated gas hydrates are often assumed to contain ∼1 % of the global gas-in-place in gas hydrates based on a study26 published over three decades ago. As knowledge of permafrost-associated gas hydrates has grown, it has become clear that many permafrost-associated gas hydrates are inextricably linked to an associated conventional petroleum system, and that their formation history (trapping of migrated gas in situ during Pleistocene cooling) is consistent with having been sourced at least partially in nearby thermogenic gas deposits. Using modern data sets that constrain the distribution of continuous permafrost onshore5 and subsea permafrost on circum-Arctic Ocean continental shelves offshore and that estimate undiscovered conventional gas within arctic assessment units,16 the done here reveals where permafrost-associated gas hydrates are most likely to occur, concluding that Arctic Alaska and the West Siberian Basin are the best prospects. A conservative estimate is that 20 Gt C (2.7·1013 kg CH4) may be sequestered in permafrost-associated gas hydrates if methane were the only hydrate-former. This value is slightly more than 1 % of modern estimates (corresponding to 1600 Gt C to 1800 Gt C2,22) for global gas-in-place in methane hydrates and about double the absolute estimate (11.2 Gt C) made in 1981.26

Journal of Chemical & Engineering Data↗

Variability in bacterial community structure during upwelling in the coastal ocean

Over the last 30 years, investigations at the community level of marine bacteria and phytoplankton populations suggest they are tightly coupled. However, traditional oceanographic approaches cannot assess whether associations between specific bacteria and phytoplankton exist. Recently, molecular based approaches have been implemented to characterize specific members of different marine bacterial communities. Yet, few molecular-based studies have examined coastal upwelling situations. This is important since upwelling systems provide a unique opportunity for analyzing the association between specific bacteria and specific phytoplankton in the ocean. It is widely believed that upwelling can lead to changes in phytoplankton populations (blooms). Thus, if specific associations exist, we would expect to observe changes in the bacterial population triggered by the bloom. In this paper, we present preliminary data from coastal waters off New Jersey that confirm a shift in bacterial communities during a 1995 upwelling event recorded at a long-term earth observatory (LEO-15) in the Mid-Atlantic Bight. Using PCR amplification and cloning, specific bacterial 16S ribosomal RNA sequences were found which were present in upwelling samples during a phytoplankton bloom, but were not detected in non-bloom samples (surface seawater, offshore sites or sediment samples) collected at the same time or in the same area. These findings are consistent with the notion of specific associations between bacteria and phytoplankton in the ocean. However, further examination of episodic events, such as coastal upwelling, are needed to confirm the existence of specific associations. Additionally, experiments need to be performed to elucidate the mechanisms leading to the specific linkages between a group of bacteria and a group of phytoplankton.

Hydrobiologia↗

Diel and distributional abundance patterns of fish embryos and larvae in the lower Columbia and Deschutes rivers

Diel and distributional abundance patterns of free embryos and larvae of fishes in the lower Columbia River Basin were investigated. Ichthyoplankton samples were collected in 1993 during day and night in the main-channel and a backwater of the lower Columbia River, and in a tributary, the Deschutes River. Fish embryos and larvae collected in the main-channel Columbia River were primarily (85.6%) of native taxa (peamouth Mylocheilus caurinus, northern squawfish Ptychocheilus oregonensis, suckers Catostomus spp., and sculpins Cottus spp.), with two introduced species (American shad Alosa sapidissima and common carp Cyprinus carpio) comprising a smaller percentage of the catch (13.3%). Similarly, in the Deschutes River native taxa [lampreys (Petromyzontidae), minnows (Cyprinidae), and suckers Catostomus spp.] dominated collections (99.5% of the catch). In contrast, 83.5% of embryos and larvae in the Columbia River backwater were of introduced taxa [American shad, common carp, and sunfishes (Centrarchidae)]. In all locations, all dominant taxa except sculpins were collected in significantly greater proportions at night. Taxon-specific differences in proportions of embryos and larvae collected at night can in some instances be related to life history styles. In the main-channel Columbia River, northern squawfish and peamouth were strongly nocturnal and high proportions still had yolksacs, suggesting that they had recently hatched and were drifting downriver to rearing areas. In contrast, sculpin abundances were similar during day and night, and sculpins mostly had depleted yolksacs, indicating sculpins were feeding and rearing in offshore limnetic habitats. Taxon-specific diel abundance patterns and their causes must be considered when designing effective sampling programs for fish embryos and larvae.

Oregon↗

Paleolimnology and paleoclimate studies in Upper Klamath Lake, Oregon

The subsiding Upper Klamath Lake Basin contains sediments that were continuously deposited in a shallow, freshwater lake for more than 40 000 years. Well dated by radiometric methods and containing volcanic ashes of known age, these sediments constitute a valuable paleoclimate record. Sediment constituents and properties that reflect past climatic conditions in the area include pollen, diatoms, sediment geochemistry, and sediment magnetic properties. Many of these proxy measurements are also useful for comparing natural conditions in the lake to conditions following human settlement. Because of its location, the paleoclimate record from Upper Klamath Lake is valuable for comparisons to offshore marine records and as part of latitudinal transects of paleoclimate records along the west coast of the Americas.

Oregon↗

Effort explores 130 Million years of Antarctic paleoenvironment

Antarctic climate history has been dominated by events and turning points with causes that are poorly understood. To fill the gaps in our knowledges new effort is underway in the international geologic community to acquire and coordinate the circum‐Antarctic geologic data needed to derive and model paleoenvironments of the past 130 m.y. The effort, which focuses principally on using shallow (<100 m) stratigraphic drilling and coring to acquire the geologic data, is being led by the Antarctic Offshore Stratigraphy Project (ANTOSTRAT), a group that works under the aegis of the Scientific Committee on Antarctic Research (SCAR). About 40 scientists from 12 countries met this past summer in Wellington, New Zealand, at an ANTOSTRAT meeting to discuss strategies for implementing the desired paleoenvironmental field and modeling studies. The meeting was held in conjunction with the 8th International Symposium on Antarctic Earth Sciences.

Eos, Transactions, American Geophysical Union↗

Geological and geophysical evaluation of the mechanisms of the great 1899 Yakutat Bay earthquakes

We have used tectonic, geologic, and seismologic observations to reevaluate the mechanisms and seismotectonic significance of the two great ( M w = 8.1 and 8.2) September 1899 Yakutat Bay earthquakes. In their comprehensive study of these earthquakes between 1905 and 1910, Tarr and Martin (1912) showed that these events were accompanied by shoreline changes in Yakutat Bay that ranged from 14.4 m emergence to 2.1 m submergence, uplift of about 1 m at Yakataga 160 km west of Yakutat Bay, and by several zones of surface fissures on land. Although major earthquake faults were not found, Tarr and Martin postulated that the shoreline displacements were caused by vertical movements on a system of concealed steep normal faults and that the fissure zones on ridges were along subsidiary faults. Our geologic studies in the Yakutat Bay region indicate that: (1) the emergent shorelines along Yakutat Bay define a broad upwarp roughly 50 km ́ 30 km that is primarily related to reverse slip on local concealed shallowly dipping thrust faults; (2) the reported subsidence was due largely, or entirely, to nontectonic surficial submergence of unconsolidated deposits; and (3) most, if not all, of the zones of surface fractures related to the 1899 earthquakes are “sackung” that were probably caused by large-scale gravitational slumping of steep slopes, rather than faulting. A small number of early damped seismograms and the vertical uplift data were used to constrain the fault slippage that occurred during the two great earthquakes of 1899. Seismic moments determined from 50-s surface wave amplitudes are ~2 ́x 10 21 N m for these two events, equivalent to M w 8.1. Uplift determined from raised shorelines within Yakutat Bay can be accounted for by the 10 September event alone, and these data can be fit by ~10- to 20-m dip slippage on three dextral oblique thrust faults that dip ~30° northeast or north. Faulting complexity is also shown by the S-wave seismogram of the 10 September shock, which lasted ~3 min and shows at least three distinct long-period pulses. The large seismic moment of the 4 September event and uplift of ~1 m at Yakataga suggest a 150-km westward extension of faulting along the foothills fold-and-thrust zone. Our reassessment suggests that, although some portions of the complex plate boundary zone ruptured in 1899, regional seismic hazard is currently significant. First of all, none of the potentially tsunamigenic offshore thrust faults west of the Pamplona zone slipped in 1899. It is unlikely that all of the onshore thrust faults south of the Chugach–St. Elias thrust fault system did either. Furthermore, more than 100 years of convergence at 48 mm/yr across the region has reloaded faults that slipped in 1899 and added further strains on those that did not. Matters are much less clear for the Yakutat Bay thrusts because although they slipped in 1899, we have no good constraints on the convergence rates across these faults. The most recent pre-1899 uplift event in Yakutat Bay was at least 380 ± 70 years ago.

Alaska↗

Does a boundary of the Wrangell Block extend through southern Cook Inlet and Shelikof Strait, Alaska?

In southcentral Alaska, the boundaries of two different tectonic blocks extend southwestward from the Denali Fault toward Cook Inlet and Shelikof Strait. We use offshore multichannel seismic reflection data and oil-well stratigraphy to evaluate whether local geologic structures are compatible with boundaries of either tectonic block and with the relative motion expected across the block boundaries. Our main conclusion is that a block boundary does not extend southwestward the entire length of Shelikof Strait, as was proposed for one of the blocks. Furthermore, below southern Cook Inlet, no high-strain extensional structures that might be related to either proposed boundary are evident. Small normal faults below southern Cook Inlet could have been caused by block rotation, but they represent only minor strain. One way to explain the lack of larger structures is that the rotation began recently so that indicative boundary structures have not yet formed. Alternatively, deformation associated with the block boundaries could be distributed through onshore areas.

Alaska↗

Stress sensitivity of fault seismicity: A comparison between limited-offset oblique and major strike-slip faults

We present a new three-dimensional inventory of the southern San Francisco Bay area faults and use it to calculate stress applied principally by the 1989 M = 7.1 Loma Prieta earthquake and to compare fault seismicity rates before and after 1989. The major high-angle right-lateral faults exhibit a different response to the stress change than do minor oblique (right-lateral/thrust) faults. Seismicity on oblique-slip faults in the southern Santa Clara Valley thrust belt increased where the faults were undamped. The strong dependence of seismicity change on normal stress change implies a high coefficient of static friction. In contrast, we observe that faults with significant offset (>50–100 km) behave differently; microseismicity on the Hayward fault diminished where right-lateral shear stress was reduced and where it was undamped by the Loma Prieta earthquake. We observe a similar response on the San Andreas fault zone in southern California after the Landers earthquake sequence. Additionally, the offshore San Gregorio fault shows a seismicity rate increase where right-lateral/oblique shear stress was increased by the Loma Prieta earthquake despite also being clamped by it. These responses are consistent with either a low coefficient of static friction or high pore fluid pressures within the fault zones. We can explain the different behavior of the two styles of faults if those with large cumulative offset become impermeable through gouge buildup; coseismically pressurized pore fluids could be trapped and negate imposed normal stress changes, whereas in more limited offset faults, fluids could rapidly escape. The difference in behavior between minor and major faults may explain why frictional failure criteria that apply intermediate coefficients of static friction can be effective in describing the broad distributions of aftershocks that follow large earthquakes, since many of these events occur both inside and outside major fault zones.

Journal of Geophysical Research B: Solid Earth↗

Three-dimensional velocity structure of Siletzia and other accreted terranes in the Cascadia forearc of Washington

Eocene mafic crust with high seismic velocities underlies much of the Oregon and Washington forearc and acts as a backstop for accretion of marine sedimentary rocks from the obliquely subducting Juan de Fuca slab. Arc-parallel migration of relatively strong blocks of this terrane, known as Siletzia, focuses upper crustal deformation along block boundaries, which are potential sources of earthquakes. In a three-dimensional velocity model of coastal Washington, we have combined surface geology, well data, and travel times from earthquakes and controlled source seismic experiments to resolve the major boundaries of the Siletz terrane with the adjacent accreted sedimentary prism and volcanic arc. In southern Washington and northern Oregon the Siletz terrane appears to be a thick block (???20 km) that extends west of the coastline and makes a high-angle contact with the offshore accreted sedimentary prism. On its east flank the high-velocity Siletz terrane boundary coincides with an en echelon zone of seismicity in the arc. In northern Washington the western edge of Siletzia makes a lower-angled, fault-bound contact with the accretionary prism. In addition, alternating, east-west trending uplifts and downwarps of the Siletz terrane centered on the antiformal Olympic Mountains may reflect focusing of north-south compression in the northern part of the Siletz terrane. This compressional strain may result from northward transport and clockwise rotation of the Siletz terrane into the relatively fixed Canadian Coast Mountains restraining bend along the coast.

Oregon, Washington↗

Plate deformation at depth under northern California: Slab gap or stretched slab?

Plate kinematic interpretations for northern California predict a gap in the underlying subducted slab caused by the northward migration of the Pacific-North America-Juan de Fuca triple junction. However, large-scale decompression melting and asthenospheric upwelling to the base of the overlying plate within the postulated gap are not supported by geophysical and geochemical observations. We suggest a model for the interaction between the three plates which is compatible with the observations. In this 'slab stretch' model the Juan de Fuca plate under coastal northern California deforms by stretching and thinning to fill the geometrical gap formed in the wake of the northward migrating Mendocino triple junction. The stretching is in response to boundary forces acting on the plate. The thinning results in an elevated geothermal gradient, which may be roughly equivalent to a 4 Ma oceanic lithosphere, still much cooler than that inferred by the slab gap model. We show that reequilibration of this geothermal gradient under 20-30 km thick overlying plate can explain the minor Neogene volcanic activity, its chemical composition, and the heat flow. In contrast to northern California, geochemical and geophysical consequences of a 'true' slab gap can be observed in the California Inner Continental Borderland offshore Los Angeles, where local asthenospheric upwelling probably took place during the Miocene as a result of horizontal extension and rotation of the overlying plate. The elevated heat flow in central California can be explained by thermal reequilibration of the stalled Monterey microplate under the Coast Ranges, rather than by a slab gap or viscous shear heating in the mantle.

California↗

Across-shelf sediment transport: Interactions between suspended and bed sediment

We use a two-dimensional, time-dependent sediment-transport model to quantify across-shelf transport, deposition, and sorting during wave-driven resuspension events characteristic of those that dominate sediment transport on many continental shelves. Decreases in wave-orbital velocities as water depth increases, and the resulting cross-shelf gradient in bed shear stress favor a net offshore transport of sediment. On wide, flat shelves (slopes ∼0.1%percnt;), these gradients are low, and the depth to which the seabed is reworked depends mainly on bottom shear stress and local sediment availability. On narrow, steep shelves (slopes ∼0.5%percnt;), however, the gradient in bottom stress generates significant cross-shelf suspended sediment flux gradients that create regions of net erosion and deposition. While the magnitude of waves generally determines the water depth to which sediment can be resuspended, erosional and depositional patterns on narrow shelves are sensitive to cross-shelf gradients in wave energy, nonlocal sediment availability, and the direction and magnitude of the cross-shelf current. During energetic waves, cross-shelf divergence of suspended sediment flux can create a coarsened, erosional area on the inner shelf that abuts a region of fine-grained sediment deposition on the mid-to-outer shelf. If currents are strongly shoreward, however, flux divergence leads to erosion over the entire shelf.

Journal of Geophysical Research C: Oceans↗