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At least 1,369 records · Page 76Linked to original sources

Cessation of oil exposure in harlequin ducks after the Exxon Valdez oil spill: Cytochrome P4501A biomarker evidence

The authors quantified hepatic hydrocarbon-inducible cytochrome P4501A (CYP1A) expression, as ethoxyresorufin-O-deethylase (EROD) activity, in wintering harlequin ducks ( Histrionicus histrionicus ) captured in Prince William Sound, Alaska (USA), during 2011, 2013, and 2014 (22–25 yr following the 1989 Exxon Valdez oil spill). Average EROD activity was compared between birds from areas oiled by the spill and those from nearby unoiled areas. The present study replicated studies conducted from 1998 to 2009 demonstrating that harlequin ducks using areas oiled in 1989 had elevated EROD activity, indicative of oil exposure, up to 2 decades post spill. In the present study, it was found that average EROD activity during March 2011 was significantly higher in wintering harlequin ducks captured in oiled areas relative to unoiled areas, which the authors interpret to indicate that harlequin ducks continued to be exposed to residual Exxon Valdez oil up to 22 yr after the original spill. However, the 2011 results also indicated reductions in exposure relative to previous years. Average EROD activity in birds from oiled areas was approximately 2 times that in birds from unoiled areas in 2011, compared with observations from 2005 to 2009, in which EROD activity was 3 to 5 times higher in oiled areas. It was also found that average EROD activity during March 2013 and March 2014 was not elevated in wintering harlequin ducks from oiled areas. The authors interpret these findings to indicate that exposure of harlequin ducks to residual Exxon Valdez oil abated within 24 yr after the original spill. The present study finalizes a timeline of exposure, extending over 2 decades, for a bird species thought to be particularly vulnerable to oil contamination in marine environments

Alaska↗

Advancing process‐based watershed hydrological research using near‐surface geophysics: A vision for, and review of, electrical and magnetic geophysical methods

We want to develop a dialogue between geophysicists and hydrologists interested in synergistically advancing process based watershed research. We identify recent advances in geophysical instrumentation, and provide a vision for the use of electrical and magnetic geophysical instrumentation in watershed scale hydrology. The focus of the paper is to identify instrumentation that could significantly advance this vision for geophysics and hydrology during the next 3–5 years. We acknowledge that this is one of a number of possible ways forward and seek only to offer a relatively narrow and achievable vision. The vision focuses on the measurement of geological structure and identification of flow paths using electrical and magnetic methods. The paper identifies instruments, provides examples of their use, and describes how synergy between measurement and modelling could be achieved. Of specific interest are the airborne systems that can cover large areas and are appropriate for watershed studies. Although airborne geophysics has been around for some time, only in the last few years have systems designed exclusively for hydrological applications begun to emerge. These systems, such as airborne electromagnetic (EM) and transient electromagnetic (TEM), could revolutionize hydrogeological interpretations. Our vision centers on developing nested and cross scale electrical and magnetic measurements that can be used to construct a three‐dimensional (3D) electrical or magnetic model of the subsurface in watersheds. The methodological framework assumes a ‘top down’ approach using airborne methods to identify the large scale, dominant architecture of the subsurface. We recognize that the integration of geophysical measurement methods, and data, into watershed process characterization and modelling can only be achieved through dialogue. Especially, through the development of partnerships between geophysicists and hydrologists, partnerships that explore how the application of geophysics can answer critical hydrological science questions, and conversely provide an understanding of the limitations of geophysical measurements and interpretation.

Hydrological Processes↗

Use of terrestrial field studies in the derivation of bioaccumulation potential of chemicals

Field-based studies are an essential component of research addressing the behavior of organic chemicals, and a unique line of evidence that can be used to assess bioaccumulation potential in chemical registration programs and aid in development of associated laboratory and modeling efforts. To aid scientific and regulatory discourse on the application of terrestrial field data in this manner, this article provides practical recommendations regarding the generation and interpretation of terrestrial field data. Currently, biota-to-soil-accumulation factors (BSAFs), biomagnification factors (BMFs), and bioaccumulation factors (BAFs) are the most suitable bioaccumulation metrics that are applicable to bioaccumulation assessment evaluations and able to be generated from terrestrial field studies with relatively low uncertainty. Biomagnification factors calculated from field-collected samples of terrestrial carnivores and their prey appear to be particularly robust indicators of bioaccumulation potential. The use of stable isotope ratios for quantification of trophic relationships in terrestrial ecosystems needs to be further developed to resolve uncertainties associated with the calculation of terrestrial trophic magnification factors (TMFs). Sampling efforts for terrestrial field studies should strive for efficiency, and advice on optimization of study sample sizes, practical considerations for obtaining samples, selection of tissues for analysis, and data interpretation is provided. Although there is still much to be learned regarding terrestrial bioaccumulation, these recommendations provide some initial guidance to the present application of terrestrial field data as a line of evidence in the assessment of chemical bioaccumulation potential and a resource to inform laboratory and modeling efforts.

Integrated Environmental Assessment and Management↗

Demographic and temporal variations in immunity and condition of polar bears (Ursus maritimus) from the southern Beaufort Sea

Assessing the health and condition of animals in their natural environment can be problematic. Many physiological metrics, including immunity, are highly influenced by specific context and recent events to which researchers may be unaware. Thus, using a multifaceted physiological approach and a context-specific analysis encompassing multiple time scales can be highly informative. Ecoimmunological tools in particular can provide important indications to the health of animals in the wild. We collected blood and hair samples from free-ranging polar bears (Ursus maritimus) in the southern Beaufort Sea and examined the influence of sex, age, and reproductive status on metrics of immunity, stress, and body condition during 2013–2015. We examined metrics of innate immunity (bactericidal ability and lysis) and stress (hair cortisol, reactive oxygen species, and oxidative barrier), in relation to indices of body condition considered to be short term (urea to creatinine ratio; UC ratio) and long term (storage energy and body mass index). We found the factors of sex, age, and reproductive status of the bear were critical for interpreting different physiological metrics. Additionally, the metrics of body condition were important predictors for stress indicators. Finally, many of these metrics differed between years, illustrating the need to examine populations on a longer time scale. Taken together, this study demonstrates the complex relationship between multiple facets of physiology and how interpretation requires us to examine individuals within a specific context.

Alaska↗

A broader definition of occupancy: A reply to Hayes and Monofils

Occupancy models are widely used to analyze presence–absence data for a variety of taxa while accounting for observation error (MacKenzie et al. 2002, 2006; Tyre et al. 2003; Royle and Dorazio 2008). Hayes and Monfils (2015) question their use for analyzing avian point count data based on purported violations of model assumptions incurred by avian mobility. Animal mobility is an important consideration, not just for occupancy models, but for a variety of population and habitat models (Boyce 2006, Royle et al. 2009, Manning and Goldberg 2010, Dormann et al. 2013, Renner et al. 2015). Nevertheless, we believe the ultimate conclusions of Hayes and Monfils are shortsighted mainly due to a narrow interpretation of occupancy. Rather than turn away from the use of occupancy models, we believe they remain an appropriate method for analyzing many data sets collected from avian point count surveys. Further, we suggest that there is value in having a broader and more nuanced interpretation of occupancy that incorporates the potential for animal movement.

Journal of Wildlife Management↗

Truth, models, model sets, AIC, and multimodel inference: a Bayesian perspective

Statistical inference begins with viewing data as realizations of stochastic processes. Mathematical models provide partial descriptions of these processes; inference is the process of using the data to obtain a more complete description of the stochastic processes. Wildlife and ecological scientists have become increasingly concerned with the conditional nature of model-based inference: what if the model is wrong? Over the last 2 decades, Akaike's Information Criterion (AIC) has been widely and increasingly used in wildlife statistics for 2 related purposes, first for model choice and second to quantify model uncertainty. We argue that for the second of these purposes, the Bayesian paradigm provides the natural framework for describing uncertainty associated with model choice and provides the most easily communicated basis for model weighting. Moreover, Bayesian arguments provide the sole justification for interpreting model weights (including AIC weights) as coherent (mathematically self consistent) model probabilities. This interpretation requires treating the model as an exact description of the data-generating mechanism. We discuss the implications of this assumption, and conclude that more emphasis is needed on model checking to provide confidence in the quality of inference.

Journal of Wildlife Management↗

Identifying conditions associated with outliers produced by three different chlorophyll fluorometers: A comparison of instrumentation and development of correction formulae

Measurements of chlorophyll concentration reported by fluorometers (fChl) are used in environmental research and monitoring, as inputs to models, and in the interpretation of remote sensing data. Researchers and managers benefit from understanding how to interpret and ensure the accuracy of fChl data collected by in situ fluorometers. Although fChl values produced by different manufacturers are often in agreement with discrete laboratory-derived Chlorophyll a (Chl a ) concentration measurements, there are instances in which results significantly differ. Further, when measuring fChl side by side, different fluorometers may report values that differ significantly from each other, despite passing calibration checks prior to deployment. We compared environmental conditions and phytoplankton species composition associated with instances in which fChl measurements from three different fluorometers (EXO2 Total Algae Smart Sensor, YSI Inc./Xylem Inc., Yellow Springs, Ohio; FluoroProbe III, bbe Moldaenke GmbH, Kiel, Germany; WETStar, Sea-Bird Scientific, Bellevue, Washington) were significantly different from laboratory-derived Chl a concentrations. Results indicated that elevated primary productivity, as indicated by high pH, dissolved oxygen, and the ratio of Chl a to phaeophytin, were correlated with underestimated fChl values recorded by each sensor. After removing outliers, we determined unique correction guidance for each of the three sensors and demonstrated that after applying correction formulae, fChl measurements produced by each sensor became directly comparable.

California↗

Multidecadal trends in body size of Puget Sound Chinook Salmon: Analysis of data from the Tengu Derby, a culturally unique fishery

In Pacific salmon Oncorhynchus spp., downward trends in size and abundance have been reported for species and stocks for over 40 years, but the patterns are inconsistent among regions and species. Interpretation of these trends is complicated by many possible contributing factors, including short time series, data comprising a mix of stocks, and varying gear types. Here, we present data on the mass of individual Chinook Salmon Oncorhynchus tshawytscha caught in the winter from 1946 to 2019 in central Puget Sound, Washington, by participants in what may be the longest running Pacific salmon derby in North America, the Tengu Derby. In this annual recreational fishing competition, established by Japanese Americans immediately after release from internment camps at the end of World War II, participants follow strict gear, area, and methods regulations and catch almost exclusively salmonids originating from and remaining in Puget Sound. Records revealed an overall decline in fish mass over the decades, with a high degree of variability throughout the time series. Specifically, resident Chinook Salmon exhibited several shifts, including a decrease in size from a high in the 1950s to a low around 1980, followed by an increase to another high around 1990 and then a decline over the most recent 30 years. These size trends of residents differed from those of Puget Sound Chinook Salmon as a whole. We infer that the resident fish experienced ecological conditions affecting their growth that were distinct from those of fish feeding along the Pacific Ocean in the same periods. These distinct trends in size of Chinook Salmon from common origins indicate that the different migration patterns of fish within stocks must be considered in the analysis and interpretation of body size trends and also in patterns of survival.

Washington↗

Application of ground-penetrating radar imagery for three-dimensional visualisation of near-surface structures in ice-rich permafrost, Barrow, Alaska

Three-dimensional ground-penetrating radar (3D GPR) was used to investigate the subsurface structure of ice-wedge polygons and other features of the frozen active layer and near-surface permafrost near Barrow, Alaska. Surveys were conducted at three sites located on landscapes of different geomorphic age. At each site, sediment cores were collected and characterised to aid interpretation of GPR data. At two sites, 3D GPR was able to delineate subsurface ice-wedge networks with high fidelity. Three-dimensional GPR data also revealed a fundamental difference in ice-wedge morphology between these two sites that is consistent with differences in landscape age. At a third site, the combination of two-dimensional and 3D GPR revealed the location of an active frost boil with ataxitic cryostructure. When supplemented by analysis of soil cores, 3D GPR offers considerable potential for imaging, interpreting and 3D mapping of near-surface soil and ice structures in permafrost environments.

Alaska↗

A kinematic model for the formation of the Siletz-Crescent forearc terrane by capture of coherent fragments of the Farallon and Resurrection plates

The volcanic basement of the Oregon and Washington Coast ranges has been proposed to represent a pair of tracks of the Yellowstone hotspot formed at a mid-ocean ridge during the early Cenozoic. This interpretation has been questioned on many grounds, especially that the range of ages does not match the offshore spreading rates and that the presence of continental coarse clastic sediments is difficult to reconcile with fast convergence rates between the oceanic plates and North America. Updates to basement geochronology and plate motion history reveal that these objections are much less serious than when they were first raised. Forward plate kinematic modeling reveals that predicted basement ages can be consistent with the observed range of about 55–49 Ma, and that the entire basement terrane can form within about 300 km of continental sources for clastic sediments. This kinematic model indicates that there is no firm reason to reject the near-ridge hotspot hypothesis on the basis of plate motions. A novel element of the model is the Resurrection plate, previously proposed to exist between the Farallon and Kula plates. By including the defunct Resurrection plate in our reconstruction, we are able to model the Farallon hotspot track as docking against the Oregon subduction margin starting about 53 Ma, followed by docking of the Resurrection track to the north starting about 48 Ma. Accretion of the Farallon plate fragment and partial subduction of the Resurrection fragment complicates the three-dimensional structure of the modern Cascadia forearc. We interpret the so-called “E” layer beneath Vancouver Island to be part of the Resurrection fragment. Our new kinematic model of mobile terranes within the Paleogene North American plate boundary allows reinterpretation of the three-dimensional structure of the Cascadia forearc and its relationship to ongoing seismotectonic processes.

Washington;Oregon↗

Accuracy of aging ducks in the U.S. Fish and Wildlife Service Waterfowl Parts Collection Survey

The U.S. Fish and Wildlife Service conducts an annual Waterfowl Parts Collection Survey to estimate composition of harvested waterfowl by species, sex, and age (i.e., juv or ad). The survey relies on interpretation of duck wings by a group of experienced biologists at annual meetings (hereafter, flyway wingbees). Our objectives were to estimate accuracy of age assignment at flyway wingbees and to explore how accuracy rates may influence bias of age composition estimates. We used banded mallards (Anas platyrhynchos; n = 791), wood ducks (Aix sponsa; n = 242), and blue-winged teal (Anas discors; n = 39) harvested and donated by hunters as our source of birds used in accuracy assessments. We sent wings of donated birds to wingbees after the 2002–2003 and 2003–2004 hunting seasons and compared species, sex, and age determinations made at wingbees with our assessments based on internal and external examination of birds and corresponding banding records. Determinations of species and sex of mallards, wood ducks, and blue-winged teal were accurate (>99%). Accuracy of aging adult mallards increased with harvest date, whereas accuracy of aging juvenile male wood ducks and juvenile blue-winged teal decreased with harvest date. Accuracy rates were highest (96% and 95%) for adult and juvenile mallards, moderate for adult and juvenile wood ducks (92% and 92%), and lowest for adult and juvenile blue-winged teal (84% and 82%). We used these estimates to calculate bias for all possible age compositions (0–100% proportion juv) and determined the range of age compositions estimated with acceptable levels of bias. Comparing these ranges with age compositions estimated from Parts Collection Surveys conducted from 1961 to 2008 revealed that mallard and wood duck age compositions were estimated with insignificant levels of bias in all national surveys. However, 69% of age compositions for blue-winged teal were estimated with an unacceptable level of bias. The low preliminary accuracy rates of aging blue-winged teal based on our limited sample suggest a more extensive accuracy assessment study may be considered for interpreting age compositions of this species.

Wildlife Society Bulletin↗

Assessment of selenium effects in lotic ecosystems

The selenium literature has grown substantially in recent years to encompass new information in a variety of areas. Correspondingly, several different approaches to establishing a new water quality criterion for selenium have been proposed since establishment of the national water quality criterion in 1987. Diverging viewpoints and interpretations of the selenium literature have lead to opposing perspectives on issues such as establishing a national criterion based on a sediment-based model, using hydrologic units to set criteria for stream reaches, and applying lentic-derived effects to lotic environments. This Commentary presents information on the lotic verse lentic controversy. Recently, an article was published that concluded that no adverse effects were occurring in a cutthroat trout population in a coldwater river with elevated selenium concentrations (C. J. Kennedy, L. E. McDonald, R. Loveridge, and M. M. Strosher, 2000, Arch. Environ. Contam. Toxicol. 39, 46–52). This article has added to the controversy rather than provided further insight into selenium toxicology. Information, or rather missing information, in the article has been critically reviewed and problems in the interpretations are discussed.

Ecotoxicology and Environmental Safety↗

Geology of the Uranius Group Volcanic Constructs: Uranius Patera, Ceraunius Tholus, and Uranius Tholus

Uranius Patera, Ceraunius Tholus, and Uranius Tholus (three small constructs in the northeast Tharsis region) date to the Late Hesperian Epoch and define the earliest phases of constructional volcanism in the Tharsis province. All three volcanoes are interpreted as shields, built by effusive eruptions of low-viscosity lavas, presumably basalt. Ceraunius Tholus and Uranius Tholus also record pyroclastic volcanism in the form of mantling deposits on their flanks; Uranius Patera either did not experience pyroclastic volcanism or the deposits were subsequently buried by later effusive eruptions. Troughs observed on the flanks of Ceraunius Tholus and Uranius Tholus are interpreted to have been formed by fluvial surface runoff. These constructs are coeval with other small edifices in western Tharsis province and are coeval with plains volcanism in the southern Tharsis, Syria, and Sinai regions. ?? 2000 Academic Press.

Icarus↗

Reinterpretation of the Burmester core, Bonneville basin, Utah

Initial interpretation of the sediments from the Burmester core (Eardley et al. (1973). Geological Society of America Bulletin 84, 211-216) indicated that 17 deep-lake cycles, separated by shallow-lake and soil-forming intervals, occurred in the Bonneville basin during the Brunhes Chron (the last 780 x 103 yr). Our re-examination of the core, along with new sedimentological, geochronological, and paleontological data, indicate that only four deep-lake cycles occurred during this period, apparently correlative with marine oxygen-isotope stages 2, 6, 12, and 16. This interpretation suggests that large lakes formed in the Bonneville basin only during the most extensive of the Northern Hemisphere glaciations.

Quaternary Research↗

Are the benches at Mormon Point, Death Valley, California, USA, scarps or strandlines?

The benches and risers at Mormon Point, Death Valley, USA, have long been interpreted as strandlines cut by still-stands of pluvial lakes correlative with oxygen isotope stage (OIS) 5e/6 (120,000-186,000 yr B.P.) and OIS-2 (10,000-35,000 yr B.P.). This study presents geologic mapping and geomorphic analyses (Gilbert's criteria, longitudinal profiles), which indicate that only the highest bench at Mormon Point (~90 m above mean sea level (msl)) is a lake strandline. The other prominent benches on the north-descending slope immediately below this strandline are interpreted as fault scarps offsetting a lacustrine abrasion platform. The faults offsetting the abrasion platform most likely join downward into and slip sympathetically with the Mormon Point turtleback fault, implying late Quaternary slip on this low-angle normal fault. Our geomorphic reinterpretation implies that the OIS-5e/6 lake receded rapidly enough not to cut strandlines and was ~90 m deep. Consistent with independent core studies of the salt pan, no evidence of OIS-2 lake strandlines was found at Mormon Point, which indicates that the maximum elevation of the OIS-2 lake surface was -30 m msl. Thus, as measured by pluvial lake depth, the OIS-2 effective precipitation was significantly less than during OIS-5e/6, a finding that is more consistent with other studies in the region. The changed geomorphic context indicates that previous surface exposure dates on fault scarps and benches at Mormon Point are uninterpretable with respect to lake history. ?? 2002 University of Washington.

Quaternary Research↗

Passive seismic survey of sediment thickness, Dasht-e-Nawar basin, eastern Afghanistan

Exploration of water resources is needed for public supply, extraction of mineral resources, and economic development in Afghanistan. Remotely-sensed data are useful for identifying the general nature of surface sediments, however, “boots on the ground” geophysical surveys or drilling programs are needed to quantify the thickness of sediments or aquifers. The nature of such investigations presents a risk to field crews that may prohibit exploration of potentially valuable aquifers or mineral resources. The Dasht-e-Nawar basin, in east-central Afghanistan, contains a 400 km2 playa that includes evaporative mineral deposits, particularly lithium, which has been of interest since the 1970s. However, exploration of the basin, as with many areas of Afghanistan, has been hampered by decades of conflict. In 2014, an investigation of the basin was conducted by the U.S. Department of Defense Task Force for Business and Stability Operations (TFBSO), and their contractor, in cooperation with the U.S. Geological Survey (USGS). For this investigation the USGS compared the results of a rapid passive seismic survey of basin sediment thickness to the results of an independently conducted gravity survey of the same area. Each point measurement for the passive seismic method requires less than 30 minutes in the field by one person. The technique utilizes ambient seismic noise without an external sound source such as required by traditional seismic surveys. Additionally, the technique does not require external sensor arrays, which can be kilometers long for some geophysical techniques. The passive seismic equipment used in this study weighs approximately 1 kilogram and is about 10 cm3 in size. Although relatively new for assessment of sediment thickness, several investigations have found this method to be capable of estimating sediment thicknesses, in the 10’s to 1000 meter range, in settings with unconsolidated sediment over bedrock and a contrast in acoustic impedance. In this investigation, the gravity survey was conducted during a period of 3 weeks by an experienced field crew; required a detailed, centimeter-scale land elevation survey; and required laboratory analyses of sediment and rock densities to interpret the gravity data. In contrast, the passive seismic survey was collected by two inexperienced operators over a period of 8 days and required no additional data to interpret. Due to security restrictions, USGS personnel could not visit the site and the seismic operator was trained immediately prior to the field work. Although the quality of the seismic survey was affected by strong afternoon winds, and by the inexperience of the field operator, the results were fairly comparable to the gravity survey. Similar basin sediment thicknesses and patterns in sediment thickness were identified by both surveys in the basin with an estimated maximum thickness of approximately 170 m. The passive seismic technique required substantially less field resources and time than would be required by other geophysical surveys. Although this method will not be effective in all geologic settings, it may be a valuable assessment tool for use before conducting other, more intensive, geophysical efforts or drilling programs, especially in regions with elevated security risks such as Afghanistan.

Dasht-e-Nawar basin↗

Verification of remotely sensed data

Ground or field checks are an important part of any remote sensing study and are necessary to provide an accurate and useful interpretive product. Field checking is necessary to confirm the validity of spectral, spatial, and morphological interpretations. In general, field checking should be done during all stages of any type of a remote sensing investigation. The methods and magnitude of work necessary to complete the field checking will be dependent on the type of remote sensing data to be verified and the scientific questions to be answered. Remotely sensed data provides an assessment of natural and anthropogenic features as they appear at the time of data acquisition, and possible changes between data acquisition and field checking must be considered.

Book chapter↗

The age and thermal history of Cerro Rico de Potosi, Bolivia

Cerro Rico de Potosi, Bolivia, is the world's largest silver deposit and has been mined since the sixteenth century for silver, and for tin and zinc during the twentieth century, together with by-product copper and lead. The deposit consists primarily of veins that cut an altered igneous body that we interpret to be a dacitic volcanic dome and its underlying tuff ring and explosion breccia. The deposit is compositionally and thermally zoned, having a core of cassiterite, wolframite, bismuthinite, and arsenopyrite surrounded by a peripheral, lower-temperature mineral assemblage consisting principally of sphalerite, galena, lead sulfosalt, and silver minerals. The low-temperature assemblage also was superimposed on the high-temperature assemblage in response to cooling of the main hydrothermal system. Both the dacite dome and the ore fluids were derived from a larger magmatic/hydrothermal source at depth. The dome was repeatedly fractured by recurrent movement on the fault system that guided its initial emplacement. The dome was extruded at 13.8 ± 0.2 Ma (2σ), based on U-Th-Pb dating of zircon. Mineralization and alteration occurred within about 0.3 my of dome emplacement, as indicated by a 40 Ar/ 39 Ar date of 13.76 ± 0.10Ma (1σ) for sericite from the pervasive quartz-sericite-pyrite alteration associated with the main-stage, high-temperature, mineralization. The last thermal event able to reset zircon fission tracks occurred no later than 12.5 ± 1.1 Ma (1σ), as indicated by fission-tract dating. Minor sericite, and magmatic-steam alunite veins, were episodically formed around 11 Ma and between 8.3 and 5.7 Ma; the younger episodes occurring at the time of extensional fracturing at Cerro Rico and wide-spread volcanism in the adjacent Los Frailes volcanic field. None of these younger events appear to be significant thermal/mineralizing events; the exceptionally flat thermal release pattern of 39 Ar from sericite and the results of the fission-tract dating of zircon show that none of the younger events was hot enough, and lasted long enough, to cause significant loss of Ar or annealing of zircon fission tracks. U-Th-Pb dating of zircon cores indicates a Precambrian progenitor for some zircons, and REE analyses of dated samples of hydrothermally altered dacite show the presence of a prominent positive Eu anomaly, which constrains interpretations of the origin and evolution of the magmatic/hydrothermal system.

Cerro Rico de Potosi↗