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The 17 January 1994 Northridge, California, earthquake: A retrospective analysis

The 17 January 1994 Northridge, California, earthquake was a watershed event, with far-reaching societal and scientific impacts. The earthquake, which occurred in the early days of both broadband seismic networks and the Internet, spurred advances in seismic monitoring, real-time systems, and development of data products. Motivated by the 30th anniversary of the earthquake, we present a brief retrospective of the earthquake and its impact, and reconsider both ground motions and the aftershock distribution using modern tools and best-available data. With improvements in instrumentation and analysis methodology, recent earthquakes continue to reveal increasing complexity of ground motions, fault systems, and earthquake ruptures. Even in the absence of data from state-of-the art instrumentation, a retrospective consideration of ground motion data from the Northridge earthquake reveals complexities beyond what could be characterized (and modeled) thirty years ago. Aftershock relocations for both the 1971 Sylmar and 1994 Northridge earthquakes also reveal an updated view of fault complexity. Our study does provide a cautionary tale regarding legacy data sets and research results that are not easily accessible, which can result in discrepancies between catalog data and products from best-available science. We also briefly describe outreach products produced as part of the anniversary commemoration.

California↗

Proterozoic structure, Cambrian rifting, and younger faulting as revealed by a regional seismic reflection network in the southern Illinois Basin

Four high-quality seismic reflection profiles through the southern Illinois Basin, totaling 245 km in length, provide an excellent regional subsurface stratigraphic and structural framework for evaluation of seismic risk, hydrocarbon occurrence, and other regional geologic studies. These data provide extensive subsurface information on the geometry of the intersection of the Cambrian Reelfoot and Rough Creek rifts, on extensive Proterozoic reflection sequences, and on structures (including the Fluorspar Area Fault Complex and Hicks Dome) that underlie a transitional area between the well-defined New Madrid seismic zone (to the southwest) and a more diffuse area of seismicity in the southern Illinois Basin. Our principal interpretations from these data are listed here in order of geologic age, from oldest to youngest: Prominent Proterozoic layering, possibly equivalent to Proterozoic (∼1 Ga) Middle Run Formation clastic strata and underlying (1.3–1.5 Ga) volcanic rocks of the East Continent rift basin, has been strongly deformed, probably as part of the Grenville foreland fold and thrust belt. A well-defined angular unconformity is seen in many places between Proterozoic and Cambrian strata; a post-Grenville Proterozoic sequence is also apparent locally, directly beneath the base of the Cambrian. We infer a major reversal in Cambrian rift polarity (accommodation zone) in the Rough Creek Graben in western Kentucky. Seismic facies analysis suggests the presence of basin-floor fan complexes at and near the base of the Cambrian interval and within parts of a Proterozoic post-Grenville sequence in several parts of the Rough Creek Graben. There is an abrupt pinchout of the Mount Simon Sandstone against crystalline basement beneath the Dale Dome (near the Texaco no. 1 Cuppy well, Hamilton County) in southeastern Illinois, and a more gradual Mount Simon pinchout to the southeast. Where crossed by the seismic reflection line in southeast Illinois, some faults in the Wabash Valley Fault System produce discrete offset in Ordovician and younger strata only; one of the Wabash Valley faults cuts the top of the Precambrian on this seismic profile. The data show clear evidence of late Paleozoic reverse faulting along both boundaries of the Rough Creek Graben in western Kentucky, although significant unreactivated Cambrian rift-bounding faults are also preserved. Chaotic reflection patterns in the lower and middle Paleozoic strata near Hicks Dome, southern Illinois, are related to a combination of intrusive brecciation, intense faulting, and alteration of carbonate strata by acidic mineralizing fluids, all of which occurred in the Permian. Late Paleozoic(?) reverse faulting is interpreted on one flank of the Rock Creek Graben, southern Illinois. Permian and Mesozoic(?) extensional faulting is clearly imaged in the Fluorspar Area Fault Complex; neotectonic studies suggest that these structures were reactivated in the Quaternary.

Illinois, Indiana, Kentucky, Missouri↗

SAS procedures for designing and analyzing sample surveys

Complex surveys often are necessary to estimate occurrence (or distribution), density, and abundance of plants and animals for purposes of re-search and conservation. Most scientists are familiar with simple random sampling, where sample units are selected from a population of interest (sampling frame) with equal probability. However, the goal of ecological surveys often is to make inferences about populations over large or complex spatial areas where organisms are not homogeneously distributed or sampling frames are in-convenient or impossible to construct. Candidate sampling strategies for such complex surveys include stratified,multistage, and adaptive sampling (Thompson 1992, Buckland 1994).

Bulletin of the Ecological Society of America↗

Effects of biodiversity on ecosystem functioning: a consensus of current knowledge

Humans are altering the composition of biological communities through a variety of activities that increase rates of species invasions and species extinctions, at all scales, from local to global. These changes in components of the Earth's biodiversity cause concern for ethical and aesthetic reasons, but they also have a strong potential to alter ecosystem properties and the goods and services they provide to humanity. Ecological experiments, observations, and theoretical developments show that ecosystem properties depend greatly on biodiversity in terms of the functional characteristics of organisms present in the ecosystem and the distribution and abundance of those organisms over space and time. Species effects act in concert with the effects of climate, resource availability, and disturbance regimes in influencing ecosystem properties. Human activities can modify all of the above factors; here we focus on modification of these biotic controls. The scientific community has come to a broad consensus on many aspects of the relationship between biodiversity and ecosystem functioning, including many points relevant to management of ecosystems. Further progress will require integration of knowledge about biotic and abiotic controls on ecosystem properties, how ecological communities are structured, and the forces driving species extinctions and invasions. To strengthen links to policy and management, we also need to integrate our ecological knowledge with understanding of the social and economic constraints of potential management practices. Understanding this complexity, while taking strong steps to minimize current losses of species, is necessary for responsible management of Earth's ecosystems and the diverse biota they contain. Based on our review of the scientific literature, we are certain of the following conclusions: 1) Species' functional characteristics strongly influence ecosystem properties. Functional characteristics operate in a variety of contexts, including effects of dominant species, keystone species, ecological engineers, and interactions among species (e.g., competition, facilitation, mutualism, disease, and predation). Relative abundance alone is not always a good predictor of the ecosystem-level importance of a species, as even relatively rare species (e.g., a keystone predator) can strongly influence pathways of energy and material flows. 2) Alteration of biota in ecosystems via species invasions and extinctions caused by human activities has altered ecosystem goods and services in many well-documented cases. Many of these changes are difficult, expensive, or impossible to reverse or fix with technological solutions. 3) The effects of species loss or changes in composition, and the mechanisms by which the effects manifest themselves, can differ among ecosystem properties, ecosystem types, and pathways of potential community change. 4) Some ecosystem properties are initially insensitive to species loss because (a) ecosystems may have multiple species that carry out similar functional roles, (b) some species may contribute relatively little to ecosystem properties, or (c) properties may be primarily controlled by abiotic environmental conditions. 5) More species are needed to insure a stable supply of ecosystem goods and services as spatial and temporal variability increases, which typically occurs as longer time periods and larger areas are considered. We have high confidence in the following conclusions: 1) Certain combinations of species are complementary in their patterns of resource use and can increase average rates of productivity and nutrient retention. At the same time, environmental conditions can influence the importance of complementarity in structuring communities. Identification of which and how many species act in a complementary way in complex communities is just beginning. 2) Susceptibility to invasion by exotic species is strongly influenced by species composition and, under similar environmental conditions, generally decreases with increasing species richness. However, several other factors, such as propagule pressure, disturbance regime, and resource availability also strongly influence invasion success and often override effects of species richness in comparisons across different sites or ecosystems. 3) Having a range of species that respond differently to different environmental perturbations can stabilize ecosystem process rates in response to disturbances and variation in abiotic conditions. Using practices that maintain a diversity of organisms of different functional effect and functional response types will help preserve a range of management options. Uncertainties remain and further research is necessary in the following areas: 1) Further resolution of the relationships among taxonomic diversity, functional diversity, and community structure is important for identifying mechanisms of biodiversity effects. 2) Multiple trophic levels are common to ecosystems but have been understudied in biodiversity/ecosystem functioning research. The response of ecosystem properties to varying composition and diversity of consumer organisms is much more complex than responses seen in experiments that vary only the diversity of primary producers. 3) Theoretical work on stability has outpaced experimental work, especially field research. We need long-term experiments to be able to assess temporal stability, as well as experimental perturbations to assess response to and recovery from a variety of disturbances. Design and analysis of such experiments must account for several factors that covary with species diversity. 4) Because biodiversity both responds to and influences ecosystem properties, understanding the feedbacks involved is necessary to integrate results from experimental communities with patterns seen at broader scales. Likely patterns of extinction and invasion need to be linked to different drivers of global change, the forces that structure communities, and controls on ecosystem properties for the development of effective management and conservation strategies. 5) This paper focuses primarily on terrestrial systems, with some coverage of freshwater systems, because that is where most empirical and theoretical study has focused. While the fundamental principles described here should apply to marine systems, further study of that realm is necessary. Despite some uncertainties about the mechanisms and circumstances under which diversity influences ecosystem properties, incorporating diversity effects into policy and management is essential, especially in making decisions involving large temporal and spatial scales. Sacrificing those aspects of ecosystems that are difficult or impossible to reconstruct, such as diversity, simply because we are not yet certain about the extent and mechanisms by which they affect ecosystem properties, will restrict future management options even further. It is incumbent upon ecologists to communicate this need, and the values that can derive from such a perspective, to those charged with economic and policy decision-making.

Ecological Monographs↗

Uncertainty in spatially explicit animal dispersal models

Uncertainty in estimates of survival of dispersing animals is a vexing difficulty in conservation biology. The current notion is that this uncertainty decreases the usefulness of spatially explicit population models in particular. We examined this problem by comparing dispersal models of three levels of complexity: (1) an event-based binomial model that considers only the occurrence of mortality or arrival, (2) a temporally explicit exponential model that employs mortality and arrival rates, and (3) a spatially explicit grid-walk model that simulates the movement of animals through an artificial landscape. Each model was fitted to the same set of field data. A first objective of the paper is to illustrate how the maximum-likelihood method can be used in all three cases to estimate the means and confidence limits for the relevant model parameters, given a particular set of data on dispersal survival. Using this framework we show that the structure of the uncertainty for all three models is strikingly similar. In fact, the results of our unified approach imply that spatially explicit dispersal models, which take advantage of information on landscape details, suffer less from uncertainly than do simpler models. Moreover, we show that the proposed strategy of model development safeguards one from error propagation in these more complex models. Finally, our approach shows that all models related to animal dispersal, ranging from simple to complex, can be related in a hierarchical fashion, so that the various approaches to modeling such dispersal can be viewed from a unified perspective.

Ecological Applications↗

Development of a passive, in situ, integrative sampler for hydrophilic organic contaminants in aquatic environments

Increasingly it is being realized that a holistic hazard assessment of complex environmental contaminant mixtures requires data on the concentrations of hydrophilic organic contaminants including new generation pesticides, pharmaceuticals, personal care products, and many chemicals associated with household, industrial, and agricultural wastes. To address this issue, we developed a passive in situ sampling device (the polar organic chemical integrative sampler [POCIS]) that integratively concentrates trace levels of complex mixtures of hydrophilic environmental contaminants, enables the determination of their time-weighted average water concentrations, and provides a method of estimating the potential exposure of aquatic organisms to the complex mixture of waterborne contaminants. Using a prototype sampler, linear uptake of selected herbicides and pharmaceuticals with log K ow S < 4.0 was observed for up to 56 d. Estimation of the ambient water concentrations of chemicals of interest is achieved by using appropriate uptake models and determination of POCIS sampling rates for appropriate exposure conditions. Use of POCIS in field validation studies targeting the herbicide diuron in the United Kingdom resulted in the detection of the chemical at estimated concentrations of 190 to 600 ng/L. These values are in agreement with reported levels found in traditional grab samples taken concurrently.

Environmental Toxicology and Chemistry↗

Gold enrichment and the Bi-Au association in pyrrhotite-rich massive sulfide deposits, Escanaba trough, Southern Gorda Ridge

High gold contents (to 10.1 ppm, avg 1.4 ppm, n = 34) occur in pyrrhotite-rich massive sulfide samples from the sediment-covered floor of the Escanaba trough, the slow-spreading, southernmost segment of Gorda Ridge. These concentrations reflect the presence of primary gold, formed during high-temperature hydrothermal activity in mounds and chimneys, and secondary gold deposited during sea-floor weathering of massive sulfide. Primary gold occurs as fine-grained (<2 ??m) gold, electrum, maldonite (Au2Bi), and a rare unnamed mineral (AuBi5S4) and is texturally and temporally associated with sulfarsenides (arsenopyrite, glaucodot, alloclastite, and cobaltite), arsenides (lo??llingite and safflorite), Bi minerals (native bismuth, Bi tellurides, Bi-Te sulfides, and bismuthinite), and galena. Larger (>2 ??m) secondary gold grains have a porous, flaky morphology and occur in samples in which pyrrhotite is oxidized and replaced by Fe oxyhydroxides, Fe sulfate, and sulfur. Mounds and chimneys dominated by pyrrhotite and containing lesser amounts of isocubanite, chalcopyrite, and Fe-rich sphalerite were formed by high-temperature (estimated range 325??-275??C), reduced, low-sulfur vent fluids. The mineral and fluid compositions during this main stage of hydrothermal venting reflect subsurface interaction between circulating hydrothermal fluids and turbiditic sediment containing as much as 1.1 percent organic carbon. As the deposition of pyrrhotite, Cu-Fe sulfides, and sphalerite waned, a volumetrically minor suite of sulfarsenide, arsenide, Bi, and Au minerals was deposited from highly reduced, late main-stage fluids diffusing through mounds and chimneys. The low solubility of Au as a bisulfide complex and the absence of fluid mixing during this stage of hydrothermal activity apparently inhibited the precipitation of gold directly from solution. Instead, gold precipitation is thought to be linked to elevated concentrations of Bi in the late main-stage fluids. The textural relationships of Au and Bi minerals in pyrrhotite-rich samples, low melting point of native bismuth (271.4??C), and recent experimental results on Au and Bi in hydrothermal fluids contribute to the hypothesis that gold was effectively scavenged from the Escanaba trough vent fluids by coexisting droplets of liquid bismuth. Additional phase relationships of alloys in the Au-Bi system indicate that deposition of native bismuth and maldonite occurred at temperatures as low as 241??C. Bismuth droplets trapped in void space between main-stage mineral grains scavenged gold from ambient hydrothermal fluid to a greater extent than bismuth enclosed by late-forming pyrrhotite. The limited solid solution of Au in Bi can explain the apparent exsolution texture in which gold blebs are hosted by native bismuth. The electrum, native bismuth (with gold inclusions), and galena represent the last traces of gold mineralization from late main-stage fluids. During sea-floor weathering and the oxidation of pyrrhotite in the mounds and chimneys, secondary gold formed as aggregates of colloidal particles along pH gradients between acidic pore waters and ambient seawater. Gold was mobilized from earlier formed primary gold minerals and transported as aqueous chloride complexes. The reduction of Au(III) by residual Fe2+ in partly altered pyrrhotite and adsorption of colloids by Fe oxyhydroxides may have influenced the location of secondary gold grains within the alteration front. Solubility differences between gold and silver chloride complexes at low temperature account for the low Ag content of secondary gold grains. The high concentrations of Bi, and thus the association of Au and Bi minerals in pyrrhotite-rich massive sulfide, can be ascribed to the extensive interaction of hydrothermal fluids with sediment in the Escanaba trough. In contrast, the absence of the Au-Bi association in massive sulfides at other ridges, including other sediment-covered sites at Middle Valley and the Guaymas basin

Economic Geology↗

Pulsed Mesozoic deformation in the Cordilleran hinterland and evolution of the Nevadaplano: Insights from the Pequop Mountains, NE Nevada

Mesozoic crustal shortening in the North American Cordillera’s hinterland was related to the construction of the Nevadaplano orogenic plateau. Petrologic and geochemical proxies in Cordilleran core complexes suggest substantial Late Cretaceous crustal thickening during plateau construction. In eastern Nevada, geobarometry from the Snake Range and Ruby Mountains-East Humboldt Range-Wood Hills-Pequop Mountains (REWP) core complexes suggests that the ~10–12 km thick Neoproterozoic-Triassic passive-margin sequence was buried to great depths (>30 km) during Mesozoic shortening and was later exhumed to the surface via high-magnitude Cenozoic extension. Deep regional burial is commonly reconciled with structural models involving cryptic thrust sheets, such as the hypothesized Windermere thrust in the REWP. We test the viability of deep thrust burial by examining the least-deformed part of the REWP in the Pequop Mountains. Observations include a compilation of new and published peak temperature estimates ( ⁠ n = 60 "> n = 60 n=60 ⁠ ) spanning the Neoproterozoic-Triassic strata, documentation of critical field relationships that constrain deformation style and timing, and new 40 Ar/ 39 Ar ages. This evidence refutes models of deep regional thrust burial, including (1) recognition that most contractional structures in the Pequop Mountains formed in the Jurassic, not Cretaceous, and (2) peak temperature constraints and field relationships are inconsistent with deep burial. Jurassic deformation recorded here correlates with coeval structures spanning western Nevada to central Utah, which highlights that Middle-Late Jurassic shortening was significant in the Cordilleran hinterland. These observations challenge commonly held views for the Mesozoic-early Cenozoic evolution of the REWP and Cordilleran hinterland, including the timing of contractional strain, temporal evolution of plateau growth, and initial conditions for high-magnitude Cenozoic extension. The long-standing differences between peak-pressure estimates and field relationships in Nevadan core complexes may reflect tectonic overpressure.

Nevada↗

Preliminary chemical correlation of chromite with the containing rocks

Chromite investigations of the U. S. Geological Survey since 1939 indicate that economic deposits of chromite rich in normative spinel ((Mg, Fe)Al 2 O 4 ) occur in peridotites which are closely associated with gabbro; high-chrome chromites occur in feldspar-free peridotites; and chromites rich in both normative chromite ((Mg, Fe)Cr 2 O 4 ) and magnetite (FeFe 2 O 4 ) are found in the pyroxene-rich stratiform complexes. Reaction of high-alumina chromite with diopsidic gabbro to form anorthite, olivine, and enstatite is described, and some probable equilibria between chromite and silicate minerals are discussed. A plot of 63 complete analyses on a triangular prism of composition shows that chromites from different geologic provinces in the Western Hemisphere vary consistently and fall in overlapping, but distinct, fields. The chromites of the Caribbean Province, which occur in dunite and troctolite, have the general formula Cr (sub 25-80) Al (sub 15-75) Fe (sub 1-5) (Mg (sub 65-75) ) and average about Cr 50 Al 47 (Mg 70 ). The chromites of the Pacific Coast, which occur in dunite and saxonite, average about Cr 70 Al 24 (Mg 60 ) in the range Cr (sub 60-77) Al (sub 16-35) Fe (sub 3-12) (Mg (sub 45-75) ). The stratiform deposits of the Stillwater and Bushveld complexes occur in harzburgite and bronzitite, and are very much alike, averaging Cr 60 Al 32 (Mg 52 ) and Cr 58 Al 34 (Mg 44 ) respectively. Chromites from gabbroic facies of the Bushveld complex are much richer in normative magnetite, presumably reflecting a higher CaO: Al 2 O 3 ratio in the silicate environment.

Economic Geology↗

Geochemistry and mineralogy of a uraniferous sub bituminous coal

A sample of subbituminous uraniferous coal from the Red Desert, Sweetwater County, Wyo., has been studied mineralogically. The coal contains gypsum (6 percent), kaolinite (1 percent), quartz (0.3 percent), calcite (trace), and limonite (trace). This suite of minerals and the absence of pyrite show that the coal has been subjected to weathering and oxidation. No uranium minerals have been found; mechanical fractionation has indicated that the uranium is associated with the organic constituents of the coal. The minerals that have been isolated contain 0.0006 percent uranium, a content that is to be expected for nonuraniferous sedimentary rocks. The organic components of the coal contain approximately 0.002 percent uranium. On the basis of material-balance calculations, the organic components carry 98 percent of the uranium in the coal. Batch extraction of the Wyoming coal with 6 N hydrochloric acid leads to the solution of almost 90 percent of its uranium. Recovery of uranium is independent of the particle size of the coal between - 4 and - 20 mesh, and is accompanied by the solution of approximately 70 percent of the inorganic constituents (ash) of the coal. The extract contains, together with uranium, a concentration of several elements such as manganese, cerium, and vanadium that are present in the coal. Fischer assays of this weathered coal from the Red Desert indicate a yield of 16.7 gallons of tar per ton. Yields of both tar and char are about 15 percent lower if the coal is first treated with 6 N hydrochloric acid to extract the uranium. It is suggested that uranium was introduced into the coal by means of ground water carrying soluble alkaline or alkaline-earth uranyl carbonate complexes. The mineral schroeckingerite-a similar complex-is found near this subbituminous coal in the Red Desert of Wyoming. These complexes, which are unstable in acid medium, release the uranyl ion (U02++), which may then react with organic constituents of the coal to form ionic uranyl-organic compounds that are insoluble above a pH of about 2.2. Preliminary data indicate that the uranium is associated with various humic components of the coal. The distribution of uranium among the components of the subbituminous coal from Wyoming is similar to the distribution in a lignite from South Dakota. There is no indication that uranium was introduced into or retained by the two coals by appreciably different geochemical processes. © 1955 Society of Economic Geologists, Inc.

Wyoming↗

Studies of hydrothermal gold deposition (I). Carlin gold deposit, Nevada: The role of carbonaceous materials in gold deposition

Studies of fresh carbonate host rocks and unoxidized gold ores of the Carlin mine indicate that gold, quartz, barite, pyrite, and other sulfides were introduced into the Roberts Mountains Formation by acid hydrothermal solutions. Laboratory investigations on the carbonaceous materials in the host rocks and ores and studies of reactions between carbonaceous materials and gold-bearing solutions show that the rocks contain: (1) An activated carbon component capable of adsorbing gold chloride or gold cyanide complexes from solution; (2) A mixture of high-molecular-weight hydrocarbons usually associated with the activated carbon components; and (3) An organic acid, similar to "humic acid," containing functional groups capable of interacting with gold complexes to form gold organic compounds. Although the exact structure of the gold organic compound(s) is not known, the most attractive possibility is chelation, where ligands such as N, S, or O in organic acids would easily displace the chloride ion from aurous chloride complexes and form stable gold chelates. Subsequent oxidation of the gold organic compounds destroys the organic component and leads to the formation of metallic gold. The relative amounts and types of carbonaceous materials are of principal importance in determining the chemical state and amount of gold deposited in carbonaceous limestone, although such factors as temperature, pH, and the oxidation state of the system are also involved.Although most of the gold ores at the Carlin mine are in the Silurian Roberts Mountains Formation and are at least several hundred feet stratigraphically below the Roberts Mountains thrust fault, disseminated replacement-type gold deposits could form in the lower-plate Devonian limestones (designated the Popovich Formation at the Carlin mine) and in carbonate and shale units of the upper-plate Ordovician Vinini Formation. In a structural setting that would provide satisfactory channels for movement of gold-bearing solutions, physical characteristics and chemical and mineralogical compositions, including the presence of organic materials, indicate that all three formations are favorable for replacement and deposition of gold.

Nevada↗

Evolution of volcanic and tectonic features in caldera settings and their importance in the localization of ore deposits

Many calderas are located along regionally important fault zones that are intermittently active before and after the caldera cycle. In mineralized calderas, the ore deposits are controlled by structures developed during caldera formation and by regional faults which intersect and reactivate the caldera-related structures. In the earliest phase of the caldera cycle, tumescence occurs over the shallowly emplaced magma chamber and normal faults develop within the structural dome above the magma chamber. This early phase of faulting is disrupted by caldera formation but some of the faults are preserved outside the caldera margin and may become important ore-controlling structures such as the Ruja mercury deposit in the McDermitt caldera complex, Nevada, and the precious metal deposits in the Atlanta district, Nevada, outside the Indian Peak caldera. Caldera-related structures such as ring fracture faults are commonly the most important in controlling the emplacement of resurgent magma, as well as postcollapse intrusions and associated ore deposits. During the resurgence phase of the caldera, faults related to an apical graben, and radial and ring faults and fractures form and may extend outside the collapse structure. Radial and ring faults and fractures provided the structural control for gold alunite-type deposits in the Rodalquilar caldera complex, Spain.At the end of the caldera cycle, the area over the batholith related to the caldera-forming magma chambers is uplifted as isostatic compensation occurs, or subsides if the volcanic field is developed within a rapidly subsiding graben. Volume change resulting from crystallization will also contribute to subsidence. Regional subsidence of the Lake Owyhee volcanic field in southeastern Oregon at the end of the caldera cycle is reflected by arkosic sedimentation in the caldera basins and throughout the eastern part of the volcanic field. Crystallization of the underlying batholith permits the reestablishment of brittle deformation along the regional faults which initially may have controlled magma emplacement. This tectonic activity may reactivate caldera structures and these typically become important for localization of hydrothermal activity. Hot spring-type gold deposits in the Lake Owyhee volcanic field formed when a regional northwest-trending structure reactivated the caldera ring fracture fault zone of the Three Fingers caldera. The formation of hydrothermal ore deposits at the end of the caldera cycle is often related to tectonic reactivation of caldera structures by regional faults and emplacement of small volumes of magma as stocks and vent complexes along these structures.

Economic Geology↗

Distinguishing Grenvillian basement from pre-Taconian cover rocks in the Northern Appalachians

Distinguishing Grenvillian basement rocks from pre-Taconian cover sequences in the Appalachians is a first-order problem essential for accurate structural interpretations. The Cavendish Formation in southeastern Vermont presents a classic example of this problem. Doll and others (1961) showed the Cavendish Formation as younger than the Middle Proterozoic Mount Holly Complex but older than the lithologically similar Cambrian Tyson and Hoosac Formations. More recently, the name Cavendish Formation has been informally abandoned, and its metasedimentary units have been mapped as the Tyson and Hoosac Formations of Late Proterozoic to Cambrian age. In a radical departure from these interpretations, Ratcliffe and others (1997) reassigned metasedimentary rocks of the Cavendish Formation to the Mount Holly Complex based on an inferred intrusive relationship between them and a 1.42 Ga tonalite. This new age assignment, if correct, requires a completely new structural interpretation of the region. SHRIMP and Pb evaporation ages of detrital zircons extracted from a quartzite layer from Cavendish Gorge near the proposed intrusive contact with the tonalite constrain the time of deposition of the Cavendish Formation. Grain shapes of the zircons vary from euhedral to nearly spherical. Virtually all the grains have pitted surfaces and show at least some rounding of edges and terminations; grains exhibit oscillatory zoning typical of zircons that crystallized from a magma. Single-grain Pb evaporation analyses of ten zircons and SHRIMP analyses of 15 zircons all yield ages less than 1.42 Ga. Seven of the grains are consistent with derivation from the Bull Hill Gneiss that postdates the Grenville orogenic cycle and predates deposition of the Cavendish Formation. Thus, the metasedimentary units of the Cavendish Formation should not be assigned to the Mount Holly Complex.

northern Appalachians↗

CGS: Coupled growth and survival model with cohort fairness

Fish modeling in complex environments is critical for understanding drivers of population dynamics in aquatic systems. This paper proposes a Bayesian network method for modeling fish survival and growth over multiple connected rivers. Traditional fish survival models capture the effect of multiple environmental drivers (e.g., stream temperature, stream flow) by adding different variables, which increases model complexity and results in very long and impractical run times (i.e., weeks). We propose a coupled survival-growth model that leverages the observations from both sources simultaneously. It also integrates the Bayesian process into the neural network model to efficiently capture complex variable relationships in the system while also conforming to known survival processes used in existing fish models. To further reduce the performance disparity of fish body length across cohorts, we propose two approaches for enforcing fairness by the adjustment of training priorities and data augmentation. The results based on a real-world fish dataset collected in Massachusetts, US demonstrate that the proposed method can greatly improve prediction accuracy in modeling survival and body length compared to independent models on survival and growth, and effectively reduce the performance disparity across cohorts. The fish growth and movement patterns discovered by the proposed model are also consistent with prior studies in the same region, while vastly reducing run times and memory requirements.

Conference Paper↗

Comments on the species limits of certain North American birds, part 1

Although species limits of North American birds are relatively well-delineated, discrepancies among global lists identify species complexes that are subject to differences of opinion. As part of our work with the North American Classification Committee (NACC) of the American Ornithological Society, we here assess species limits in 11 such species complexes of North American birds: Spruce Grouse (Canachites canadensis), Band-tailed Pigeon (Patagioenas fasciata), Antillean Mango (Anthracothorax dominicus), Greenish Puffleg (Haplophaedia aureliae), Black Oystercatcher (Haematopus bachmani), Hook-billed Kite (Chondrohierax uncinatus), Sharp-shinned Hawk (Accipiter striatus), Elegant Trogon (Trogon elegans), American Three-toed Woodpecker (Picoides dorsalis), Golden-olive Woodpecker (Colaptes rubiginosus), and Olive-throated Parakeet (Eupsittula nana). We provide updated information on the taxonomic history of these species, and recommend updated taxonomic treatments by using published works, analysis of museum specimens, and citizen/community science databases. We hope this work will provide a foundation for future taxonomic research in these species complexes.

Bulletin of the British Ornithologists' Club↗

Bedrock geology and mineral resources of the Knoxville 1° x 2° quadrangle, Tennessee, North Carolina, and South Carolina

The Knoxville 1° x 2° quadrangle spans the Southern Blue Ridge physiographic province at its widest point from eastern Tennessee across western North Carolina to the northwest corner of South Carolina. The quadrangle also contains small parts of the Valley and Ridge province in Tennessee and the Piedmont province in North and South Carolina. Bedrock in the Valley and Ridge consists of unmetamorphosed, folded and thrust-faulted Paleozoic miogeoclinal sedimentary rocks ranging in age from Cambrian to Mississippian. The Blue Ridge is a complex of stacked thrust sheets divided into three parts: (1) a west flank underlain by rocks of the Late Proterozoic and Early Cambrian Chilhowee Group and slightly metamorphosed Late Proterozoic Ocoee Supergroup west of the Greenbrier fault; (2) a central part containing crystalline basement of Middle Proterozoic age (Grenville), Ocoee Supergroup rocks east of the Greenbrier fault, and rocks of the Murphy belt; and (3) an east flank containing the Helen, Tallulah Falls, and Richard Russell thrust sheets and the amphibolitic basement complex. All of the east flank thrust sheets contain polydeformed and metamorphosed sedimentary and igneous rocks of mostly Proterozoic age. The Blue Ridge is separated by the Brevard fault zone from a large area of rocks of the Inner Piedmont to the east, which contains the Six Mile thrust sheet and the ChaugaWalhalla thrust complex. All of these rocks are also polydeformed and metamorphosed sedimentary and igneous rocks. The Inner Piedmont rocks in this area occupy both the Piedmont and part of the Blue Ridge physiographic provinces. The intensity of deformation and metamorphism increases from west to east in the Blue Ridge. The west flank is mostly chlorite grade or relatively unmetamorphosed, and the central part of the Blue Ridge is mostly staurolite, garnet, or biotite grade, although sillimanite grade rocks occur along the eastern part of the central Blue Ridge in the vicinity of the leading edge of the Hayesville fault. The east flank of the Blue Ridge and much of the Inner Piedmont are at kyanite or sillimanite grade of regional metamorphism except for a zone of retrograde rocks in the Brevard fault zone and a small area of biotite-grade rocks in the extreme southwest part of the Grandfather Mountain window in the northeast corner of the quadrangle. The major mineral resources in the Knoxville 1° x 2° quadrangle are construction materials and a variety of industrial minerals mostly related to either granite and pegmatite or ultramafic rocks. Past production in the quadrangle of metals, which are of secondary importance relative to construction materials and industrial minerals, include copper in massive sulfides of the Besshi type, gold-bearing quartz veins, and residual iron and manganese deposits. Resources are discussed in relation to the Valley and Ridge, Blue Ridge, and Piedmont provinces. The following resources are the most important: A. Construction materials: Dimension stone of the Tennessee marble district in the Valley and Ridge. Limestone and dolomite of the Valley and Ridge. Sand and gravel and crushed stone, widespread throughout the quadrangle. B. Industrial minerals: Feldspar, flake mica, and quartz produced by flotation methods from the Spruce Pine Alaskite (muscovite granodiorite) in the east flank of the Blue Ridge. The district produces about half of the U.S. feldspar and significant amounts of the U.S. flake mica. Olivine produced from alpine-type dunite bodies in the east flank of the Blue Ridge. Talc and marble from the Murphy belt in the central part of the Blue Ridge. Vermiculite produced from a large deposit near Tigerville, S.C., in the Inner Piedmont. Deposit worked out and mine backfilled. Smaller deposits associated with ultramafic rocks in the east flank of the Blue Ridge are now uneconomic and have not been worked in the past 20 years. C. Metals: Copper in three deposits, the Fontana and Hazel Creek mines in the Great Smoky Mountains National Park in the Central Blue Ridge, and the Cullowhee mine in the east flank of the Blue Ridge. D. Organic fuels: The rocks of the quadrangle contain no coal and probably lie outside the maximum range in thermal maturity permitting the survival of oil. The rocks in the Valley and Ridge and for a short distance eastward below the west flank of the Blue Ridge probably lie within a zone of thermal maturity permitting the survival of natural gas. Consequently the western part of the quadrangle is an area of high risk for hydrocarbon exploration. No exploration drilling has been done in this belt.

North Carolina, South Carolina, Tennessee↗

Geomorphic changes on the Mississippi River flood plain at Miller City, Illinois, as a result of the flood of 1993

During the 1993 floods on the upper Mississippi and Missouri rivers, the most dramatic changes to floodplains occurred at levee-break complexes where large discharges were concentrated through narrow breaks in levees. Scour and deposition associated with levee breaks adversely affected large areas of formerly productive bottomland. This case study of the levee-break complex at Miller City, Illinois, documents the geomorphic effects of a typical levee-break complex.

Illinois↗

United States-Mexican Borderlands: Facing tomorrow's challenges through USGS science

Along the nearly 3,200 kilometers (almost 2,000 miles) of the United States–Mexican border, in an area known as the Borderlands, we are witnessing the expression of the challenges of the 21st century. This circular identifies several challenge themes and issues associated with life and the environment in the Borderlands, listed below. The challenges are not one-sided; they do not originate in one country only to become problems for the other. The issues and concerns of each challenge theme flow in both directions across the border, and both nations feel their effects throughout the Borderlands and beyond. The clear message is that our two nations, the United States and Mexico, face the issues in these challenge themes together, and the U.S. Geological Survey (USGS) understands it must work with its counterparts, partners, and customers in both countries. Though the mission of the USGS is not to serve as land manager, law enforcer, or code regulator, its innovation and creativity and the scientific and technical depth of its capabilities can be directly applied to monitoring the conditions of the landscape. The ability of USGS scientists to critically analyze the monitored data in search of signals and trends, whether they lead to negative or positive results, allows us to reach significant conclusions—from providing factual conclusions to decisionmakers, to estimating how much of a natural resource exists in a particular locale, to predicting how a natural hazard phenomenon will unfold, to forecasting on a scale from hours to millennia how ecosystems will behave. None of these challenge themes can be addressed strictly by one or two science disciplines; all require well-integrated, cross-discipline thinking, data collection, and analyses. The multidisciplinary science themes that have become the focus of the USGS mission parallel the major challenges in the border region between Mexico and the United States. Because of this multidisciplinary approach, the USGS possesses a unique set of capabilities that can address these challenges. The USGS can apply geographical, geospatial, biological, hydrological, and geological sciences to these complex issues and thereby provide insight into the area’s natural systems and their relation to human activity. As we come to better understand the complexities of the components of these challenge themes, we discover that each part is inextricably intertwined with other overarching issues. Because of the complex interactions of the human, ecological, political, and economic exigencies associated with this area, the status of the Borderlands has become an ever-present concern for most American citizens and for Mexican and United States Federal, State, and local governments. This circular is intended to provide you - citizen, local decisionmaker, government leader, or private entrepreneur—an overview of what the USGS considers the current and future challenges in the United States–Mexican border region and examples of how the USGS can make a difference in understanding and addressing these issues.

United States-Mexico Borderlands↗