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  • 1
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Abstract Geological relationships and geochronological data suggest that in Miocene time the metamorphic core of the central Himalayan orogen was a wedge-shaped body bounded below by the N-dipping Main Central thrust system and above the N-dipping South Tibetan detachment system. We infer that synchronous movement on these fault systems expelled the metamorphic core southward toward the Indian foreland, thereby moderating the extreme topographic gradient at the southern margin of the Tibetan Plateau. Reaction textures, thermobarometric data and thermodynamic modelling of pelitic schists and gneisses from the Nyalam transect in southern Tibet (28°N, 86°E) imply that gravitational collapse of the orogen produced a complex thermal structure in the metamorphic core. Amphibolite facies metamorphism and anatexis at temperatures of 950 K and depths of at least 30 km accompanied the early stages of displacement on the Main Central thrust system. Our findings suggest that the late metamorphic history of these rocks was characterized by high-T decompression associated with roughly 15 km of unroofing by movement on the South Tibetan detachment system. In the middle of the metamorphic core, roughly 7–8 km below the basal detachment of the South Tibetan system, the decompression was essentially isothermal. Near the base of the metamorphic core, roughly 4–6 km above the Main Central thrust, the decompression was accompanied by about 150 K of cooling. We attribute the disparity between the P–T paths of these two structural levels to cooling of the lower part of the metamorphic core as a consequence of continued (and probably accelerated) underthrusting of cooler rocks in the footwall of the Main Central thrust at the same time as movement on the South Tibetan detachment system.
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  • 2
    Electronic Resource
    Electronic Resource
    Oxford, UK : Blackwell Publishing Ltd
    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Abstract Metre-scale amphibolite boudins in the Cheyenne Belt of south-eastern Wyoming are cut and deformed by shear zones which preserve a full strain transition across 7 cm, from relatively undeformed amphibolite with a relict igneous texture to mylonitic amphibolite with an L-S tectonic fabric. The strain transition is marked by the progressive rotation of amphibole + plagioclase aggregates into parallelism with the shear-zone boundary. An increase in strain magnitude is indicated by development of the tectonic fabric and progressive reduction of amphibole and plagioclase grain size as a result of cataclasis. Bulk chemistry of five samples across a single strain transition shows no significant or systematic variation in major element chemistry except for a minor loss of SiO2, which indicates that the shear zone was a system essentially closed to non-volatile components during metamorphism and deformation. Amphibolites throughout the shear zone consist of amphibole and plagioclase with only minor amounts of quartz, chlorite, epidote, titanite and ilmenite. Within the relatively undeformed amphibolite, amphibole and plagioclase have wide compositional ranges in single thin sections. Amphibole compositions vary from actinolitic hornblende to magnesio-hornblende with increases in Al, Fe, Na and K contents and decreases in Si and Mg that can be modelled as progress along tschermakite, edenite and FeMg-1 exchange vectors from tremolite. Plagioclase ranges from An60 in cores to An30 within grain-boundary domains. With increasing strain magnitude, local variation of amphibole composition decreases as amphibole becomes predominantly magnesio-hornblende. Plagioclase composition range also decreases, although grain-boundary domains still have higher albite content. These petrological data indicate that shear-zone metamorphism was controlled by the magnitude of strain during synmetamorphic deformation. SEM and microprobe imaging indicate that chemical reactions occurred by a dissolution and reprecipitation process during or after cataclastic deformation. This suggests that grain-boundary formation was an important process in the petrological evolution of the shear zone, possibly by providing zones for fluid ingress to facilitate metamorphic reactions. These results highlight the necessity for conducting detailed microstructural evaluation of rocks in order to interpret petrological, isotopic and geochronological data.
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  • 3
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    Oxford, UK : Blackwell Publishing Ltd
    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Abstract Ten metamorphic domains can be distinguished in China, comprising four cratonic, three intracratonic and three intercratonic domains. Each domain contains one or more metamorphic belts, each of which, in turn, contains a characteristic metamorphic facies or facies series that was formed during a distinct metamorphic epoch.The metamorphic domains reflect the tectonic domains and tectonic evolution of China. Ancient continental nucleii in the North China and Tarim–Alxa cratons were probably unified with the Yangtze craton during the Early Proterozoic to form the China Platform. Widespread greenschist facies metamorphism, during the Middle and Late Proterozoic, accompanied by glaucophane–greenschist facies metamorphism, represents a rifting and closure event in the China Platform; a second rifting and closure event in the China Platform occurred during the Caledonian. The China and Siberian platforms were closed during the Hercynian to form the Eurasian Continent. Closure of the ancient Tethys Ocean occurred in the Indosinian epoch, and subduction and collision within Xizang (Tibet) and Taiwan occurred during Mesozoic–Cenozoic time.The distribution in time of types of metamorphism in China suggests cyclical changes of metamorphism known as the Archaean, Proterozoic and Phanerozoic megacycles. Each megacycle since the Archaean consists of a change from progressive, low- to intermediate-grade metamorphism to lower grade, greenschist metamorphism that was superimposed on a general trend in which high-grade metamorphism became progressively less important with time. The change in metamorphic megacycles shows a general secular decrease in regional heat supply during metamorphism punctuated by episodic high-grade, progressive metamorphism within orogenic belts.
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  • 4
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    Oxford, UK : Blackwell Publishing Ltd
    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Abstract The Shangdan fault in the Qinling Orogenic Belt of China is an important boundary between the Caledonian North Qinling Fold Belt and the Hercynian South Qinling Fold Belt. In the Danfeng area, the fault zone strikes WNW–ESE and comprises four strongly deformed zones and three weakly deformed domains parallel to each other. The fault zone has a complex history of multiple deformation and each domain has a different tectonic style that was formed at different stages of the deformation.The rocks exposed in the weakly deformed domains belong to the Qinling, Danfeng and Liuling Groups. In this paper, the mineral chemistry and mineral assemblages are used to infer the metamorphic conditions and the P–T paths of these units. The metamorphic units in and near the fault zone have different metamorphic conditions and histories that are correlated with the tectonic evolution of the fault zone. Caledonian–Hercynian uplift and southward thrusting of the Proterozoic Qinling Group, over the Danfeng and the Liuling Groups, produced the main metamorphic and tectonic features of the fault zone. Folding of both the Liuling Group and the thrust faults during the Hercynian–Indosinian was accompanied by northward thrusting.
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  • 5
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    Oxford, UK : Blackwell Publishing Ltd
    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Abstract Discontinuous ultramylonite zones cut Proterozoic granulite facies gneisses in MacRobertson Land, east Antarctica, and preserve evidence of ductile non-coaxial flow and reverse sense of shear. Cross-cutting relationships indicate that ultramylonite deformation involved overthrusting to the east, but progressively rotated to involve overthrusting to the north; rotation of the principal compressive stress axes is inferred. Extensive pseudotachylite developed during ultramylonitization, the history of individual ultramylonite zones having involved a single episode of pseudotachylite generation. Neoblastic sillimanite indicates ultramylonitization occurred at 〉520° C. On the basis of inferred recrystallized granulite facies mineral assemblages ultramylonitization occurred at 〉700° C, and ≤7.3 ± 0.5 kbar, at aH2O± 0.3 and low aCO2. Comparison of these values with those suggested by metamorphic assemblages in rocks unaffected by mylonitization indicates that the Rayner Complex experienced a late increase in pressure of 1–2 kbar during ultramylonitization. The P-T-aH2O conditions of the ultramylonite zones are inferred to have been close to the solidus for minimum melting, pseudotachylite generation having involved a limited pressure drop during brittle fracturing at high strain rates. Most of the pseudotachylite veins are undeformed; the mechanism(s) of fracturing and melting must have caused strain hardening in rocks surrounding the ultramylonite, further strain having been mostly accommodated by a new or subsidiary shear zone. Renewed stress at reduced strain rates, or renewed stress in zones in which the proportion of pseudotachylite was significantly higher, could have led to the rare occurrences of deformed pseudotachylite. The preservation of fine-grained pseudotachylite is dependent on it remaining dry.
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  • 6
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    Oxford, UK : Blackwell Publishing Ltd
    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Abstract C-O-H fluid produced by the equilibration of H2O and excess graphite must maintain the atomic H/O ratio of water, 2:1. This constraint implies that all thermodynamic properties of the fluid are uniquely determined at isobaric-isothermal conditions. The O2, H2O and CO2 fugacities (fo2, fH2O and fCO2) of such fluids have been estimated from equations of state and fit as a function of pressure and temperature. These fugacities can be taken as characteristic for graphitic metamorphic systems in which the dominant fluid source is dehydration, e.g. pelitic lithologies. Because there are no compositional degrees of freedom for graphite-saturated fluids produced entirely by dehydration, the variance of the dehydration process is not increased in comparison with that in non-graphitic systems. Thus, compositional ‘buffering’of C-O-H fluids by dehydration equilibria, a common petrological model, requires that redox reactions, decarbonation reactions or external, H/O ± 2, fluid sources perturb the evolution of the metamorphic system. Such perturbations are not likely to be significant in metapelitic environments, but their tendency will be to increase the fO2 of the fluid phase. At high metamorphic grades, pyrite desulphidation reactions may cause a substantial reduction of fH2O and slight increases in fO2 and fCO2 relative to sulphur-free fluid. At low metamorphic grade, sulphur solubility in H/O ± 2 fluids is so low that pyrite decomposition must occur by sulphur-conserving reactions that cause iron depletion in silicates, a common feature of sulphidic pelites. With increasing temperature and sulphur solubility, pyrite desulphidation may be driven by dehydration reactions or infiltration of H2O-rich fluids. The absence of magnetite and the assemblages carbonate + aluminosilicate or pyrite + pyrrhotite + ilmenite from most graphitic metapelites is consistent with an H/O = 2 model for GCOH(S) fluid. For graphitic rocks in which such a model is inapplicable, a phase diagram variable that defines the H/O ratio of GCOH(S) fluid is more useful than the conventional fO2 variable.
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  • 7
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    Oxford, UK : Blackwell Publishing Ltd
    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Abstract Muscovite-poor pelitic schists in the wallrocks of the Proterozoic Annex sulphide deposit, near Prieska, South Africa, contain peak metamorphic assemblages including Crd + Bt + Sil, St + Sil + Bt, Crd + St + Bt and, rarely, Ky + St ° Crd. All rocks include oligoclase, quartz and commonly Fe–Mn garnet, with or without muscovite. Peak assemblages, assigned to M2 regional metamorphism in the Gordonia Belt (Namaqua Province), are syn- to post-kinematic with respect to the main S2 fabric although larger staurolite grains contain S1 inclusion trails. Garnet–biotite thermometry, utilizing corrections for Fe3+, Mn, AlVI and Ti, yields peak temperatures of 571–624°C at pressures of 4.5–6.0 kbar. Consideration of the sympathetic variation of XMn in garnet with XMg in biotite and the preserved zoning patterns in prograde garnets, together with the inferred prograde transition from kyanite to sillimanite, indicates that heating occurred during mild decompression to the M2 metamorphic peak. Sillimanite and cordierite grew last in the prograde sequence, possibly related to a pulse of thermal metamorphism (M3) that is found along the margin of the Keimoes Suite batholith to the north.Retrograde assemblages, including Ms + Ky + Chl + Qtz (after Crd + Bt), Ky + Ms (after Sil) and Chl + Ms (after St) indicate a period of isobaric cooling (M4a) terminated by rehydration in the kyanite stability field at about 500°C.The size difference between prograde (1–2-mm) and retrograde (0.05–0.1-mm) mineral grains indicates substantial undercooling below equilibrium positions of relevant retrograde reactions prior to rehydration, and explains why cordierite that grew during M2 is almost completely destroyed. Post-M4a regrowth of staurolite and garnet (M4b) is spatially linked to sites of M4a rehydration. It reached temperatures of 510–530°C, remaining within the stability field of kyanite.A best fit of the observed textural history to the Namaqua orogenic cycle involves collision and heating (M2/D2) followed by granite intrusion (M3), rifting (M4a) and renewed heating due to crustal loading during volcanism (M4b). The P–T path for the Annex region is consistent with those derived from elsewhere in the Gordonia Belt and, with modification, to that published already for the nearby Prieska Copper Mines.
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  • 8
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    Oxford, UK : Blackwell Publishing Ltd
    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Abstract Portions of three Proterozoic tectonostratigraphic sequences are exposed in the Cimarron Mountains of New Mexico. The Cimarron River tectonic unit has affinities to a convergent margin plutonic/volcanic complex. Igneous hornblende from a quartz diorite stock records an emplacement pressure of 2–2.6 kbar. Rocks within this unit were subsequently deformed during a greenschist facies regional metamorphism at 4–5 kbar and 330 ± 50° C.The Tolby Meadow tectonic unit consists of quartzite and schist. Mineral assemblages are indicative of regional metamorphism at pressures near 4 kbar and temperatures of 520 ± 20° C. A low-angle ductile shear zone separates this succession from gneisses of the structurally underlying Eagle Nest tectonic unit. Gneissic granite yields hornblende pressures of 6–8 kbar. Pelitic gneiss records regional metamorphic conditions of 6–7 kbar and 705 ± 15° C, overprinted by retrogression at 4 kbar and 530 ± 10° C. Comparison of metamorphic and retrograde conditions indicates a P–T path dominated by decompression and cooling. The low-angle ductile shear zone represents an extensional structure which was active during metamorphism. This extension juxtaposed the Tolby Meadow and Eagle Nest units at 4 kbar and 520° C. Both units were later overprinted by folding and low-grade metamorphism, and then were emplaced against the Cimarron River tectonic unit by right-slip movement along the steeply dipping Fowler Pass shear zone.An argon isotope-correlation age obtained from igneous hornblende dates plutonism in the Cimarron River unit at 1678 Ma. Muscovite associated with the greenschist facies metamorphic overprint yields a 40 Ar/39 Ar plateau age of 1350 Ma. By contrast, rocks within the Tolby Meadow and Eagle Nest units yield significantly younger argon cooling ages. Hornblende isotope-correlation ages of 1394–1398 Ma are interpreted to date cooling during middle Proterozoic extension. Muscovite plateau ages of 1267–1257 Ma appear to date cooling from the low-grade metamorphic overprint. The latest ductile movement along the Fowler Pass shear zone post-dated these cooling ages. Argon released from muscovites of the Eagle Nest/Tolby Meadow composite unit, at low experimental temperatures, yields apparent ages of c. 1100 Ma. Similar ages are not obtained north-east of the Fowler Pass shear zone, suggesting movement more recently than 1100 Ma.
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  • 9
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    Oxford, UK : Blackwell Publishing Ltd
    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
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  • 10
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    Oxford, UK : Blackwell Publishing Ltd
    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Abstract Regional metamorphism in central Inner Mongolia has occurred during four different periods: the middle Proterozoic, the early Palaeozoic, the middle Palaeozoic and the late Palaeozoic tectonic cycles. The middle Proterozoic and late Palaeozoic metamorphic events are associated with rifting and are characterized by low-pressure facies series. The early Palaeozoic metamorphism occurred in two stages: (1) subduction zone metamorphism resulted in paired metamorphic belts in the Ondor Sum ophiolite and Bainaimiao island arc complex; and (2) orogenic metamorphism occurred during the collision of an island arc with the continent. Two types of middle Palaeozoic metamorphism are represented: (1) subduction zone metamorphism, which affected the melange; and (2) orogenic metamorphism that resulted from continent–continent collision.
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  • 11
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    Oxford, UK : Blackwell Publishing Ltd
    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Abstract The metamorphic history and tectonic evolution of the Qinling Complex is divided into formation and modification stages. During the Proterozoic formation stage, three deformational sequences are recognized. Andalusite–muscovite, sillimanite–muscovite and sillimanite–K-feldspar zones of amphibolite facies regional metamorphism are earlier than, or synchronous with the first or second phase of folding. Ductile shear zones were formed and Caledonian granites were emplaced during the modification stage. The granites superimposed contact aureoles (garnet–K-feldspar zone) on the regional metamorphic fabric.Metamorphic reactions, P–T conditions of metamorphism and P–T–t paths were estimated by analysis of mineral textures and standard thermobarometric techniques. The P–T–t path of the Proterozoic tectonometamorphic cycle shows prominent clockwise decompression. The P–T–t path of the Caledonian tectonometamorphic cycle is characterized by an early rise of pressure and temperature, followed by isothermal decompression (rapid uplift) and finally with isobaric cooling.The P–T–t paths of the two tectonometamorphic cycles reflect two major stages of collision and uplift in the evolution of the Qinling orogenic belt during the Proterozoic and Caledonian–Hercynian periods, respectively.
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  • 12
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    Oxford, UK : Blackwell Publishing Ltd
    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Abstract Eclogites are distributed for more than 500 km along a major tectonic boundary between the Sino-Korean and Yangtze cratons in central and eastern China. These eclogites usually have high-P assemblages including omphacite + kyanite and/or coesite (or its pseudomorph), and form a high-P eclogite terrane. They occur as isolated lenses or blocks 10 cm to 300 m long in gneisses (Type I), serpentinized garnet peridotites (Type II) and marbles (Type III). Type I eclogites were formed by prograde metamorphism, and their primary metamorphic mineral assemblage consists mainly of garnet [pyrope (Prp) = 15–40 mol%], omphacite [jadeite (Jd) = 34–64 mol%], pargasitic amphibole, kyanite, phengitic muscovite, zoisite, an SiO2 phase, apatite, rutile and zircon. Type II eclogites characteristically contain no SiO2 phase, and are divided into prograde eclogites and mantle-derived eclogites. The prograde eclogites of Type II are petrographically similar to Type I eclogites. The mantle-derived eclogites have high MgO/(FeO + Fe2O3) and Cr2O3 compositions in bulk rock and minerals, and consist mainly of pyrope-rich garnet (Prp = 48–60 mol%), sodic augite (Jd = 10–27 mol%) and rutile. Type III eclogites have an unusual mineral assemblage of grossular-rich (Grs = 57 mol%) garnet + omphacite (Jd = 30–34 mol%) + pargasite + rutile.Pargasitic and taramitic amphiboles, calcic plagioclase (An68), epidote, zoisite, K-feldspar and paragonite occur as inclusions in garnet and omphacite in the prograde eclogites. This suggests that the prograde eclogites were formed by recrystallization of epidote amphibolite and/or amphibolite facies rocks with near-isothermal compression reflecting crustal thickening during continent–continent collision of late Proterozoic age. Equilibrium conditions of the prograde eclogites range from P 〉 26 kbar and T= 500–750°C in the western part to P 〉 28 kbar and T= 810–880°C in the eastern part of the high-P eclogite terrane. The prograde eclogites in the eastern part are considered to have been derived from a deeper position than those in the western part. Subsequent reactions, manifested by (1) narrow rims of sodic plagioclase or paragonite on kyanite and (2) symplectites between omphacite and quartz are interpreted as an effect of near-isothermal decompression during the retrograde stage. The conditions at which symplectites re-equilibrated tend to increase from west (P 〈 10 kbar and T 〈 580°C) to east (P 〉 9 kbar and T 〉 680°C). Equilibrium temperatures of Type II mantle-derived eclogites and Type III eclogite are 730–750°C and 680°C, respectively.
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  • 13
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    Oxford, UK : Blackwell Publishing Ltd
    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Abstract Fluid evolution paths in the COHN system can be calculated for metamorphic rocks if there are relevant data regarding the mineral assemblages present, and regarding the oxidation and nitrodation states throughout the entire P-T loop. The compositions of fluid inclusions observed in granulitic rocks from Rogaland (south-west Norway) are compared with theoretical fluid compositions and molar volumes. The fluid parameters are calculated using a P-T path based on mineral assemblages, which are represented by rocks within the pigeonite-in isograd and by rocks near the orthopyroxene-in isograd surrounding an intrusive anorthosite massif. The oxygen and nitrogen fugacities are assumed to be buffered by the coexisting Fe-Ti oxides and Cr-carlsbergite, respectively. Many features of the natural fluid inclusions, including (1) the occurrence of CO2-N2-rich graphite-absent fluid inclusions near peak M2 metamorphic conditions (927° C and 400 MPa), (2) the non-existence of intermediate ternary CO2-CH4-N2 compositions and (3) the low-molar-volume CO2-rich fluid inclusions (36–42 cm3 mol−1), are reproduced in the calculated fluid system. The observed CO2-CH4-rich inclusions with minor N2 (5 mol%) should also include a large proportion of H2O according to the calculations. The absence of H2O from these natural high-molar-volume CO2-CH4-rich inclusions and the occurrence of natural CH4-N2-rich inclusions are both assumed to result from preferential leakage of H2O. This has been previously experimentally demonstrated for H2O-CO2-rich fluid inclusions, and has also been theoretically predicted. Fluid-deficient conditions may explain the relatively high molar volumes, but cannot be used to explain the occurrence of CH4-N2-rich inclusions and the absence of H2O.
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  • 14
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    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Abstract Declining temperatures during decay of a hydrothermal system, or during uplift and erosion, tend to result in veins involving progressive hydration reactions, e.g. veins with laumontite cutting prehnitepumpellyite facies rocks, and stilbite veins cutting laumontite veins.In contrast, examples are described of analcime replacement of heulandite along fractures in heulanditized vitric tuff, of replacement of analcime by albite along fractures in quartz-analcime rock, of joint-controlled replacement of heulandite in tuff by laumontite + quartz + (Na, K)-feldspars, of replacement of laumontite by prehnite + quartz along fractures in alumontitized vitric tuff, and of laumontitebearing feldspathic sandstones cut by vein assemblages of quartz and prehnite ° Calcite. The vein mineral assemblage, sometimes with pumpellyite and/or epidote in the prehnite-bearing veins, tends to spread as a zone of dehydration into the adjacent country rock. Except perhaps for albite replacement of analcime, and for laumontite replacement of heulandite, these open-system reactions involve cation activity ratios in the fluid. All involve dehydration. They are favoured by an increase in temperature, and except under certain situations where P-T equilibrium curves have negative slopes, are favoured by a fall in PH2O. Evidence indicates that in at least some cases the triggering mechanism was a drop in PH2O; this may be a widespread phenomenon associated with brittle fracture in the seismogenic upper crust. This may cause fluid pressure to drop from values approaching lithostatic to nearer hydrostatic, and equilibrium may be displaced to yield a less hydrous assemblage that appears as a dehydration vein and vein verge. The dehydration vein assemblage may be diagnostic of a higher grade mineral facies and adds to the mineral complexity attributable to varying permeabilities and fluid pressures in upper crustal strata. Mineral facies are likely to be more uniformly distributed in higher grade rocks from below the brittle-ductile transition zone.Reactions involving complex solid solutions are inappropriate as facies boundaries.
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  • 15
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Abstract Mg–Fe carpholite is widespread in the Diahot region of New Caledonia in highly aluminous schists and as veins in what was originally a clay-rich hydrothermal alteration envelope about massive suphide deposits. These carpholites have Fe/(Fe + Mg) ratios of 0.03–0.65 and no significant Mn component. Mg-carpholite + quartz occur in assemblages with chlorite or pyrophyllite, pyrophyllite + kaolinite and pyrophyllite + diaspore. Temperatures of 230–320° C and minimum pressures of 7 kbar are indicated for the Mg–Fe carpholite-bearing rocks. The regional distribution of aragonite and Mg–Fe carpholite parallel to a major zone of dominantly transcurrent movement and oblique to the trend of the subduction complex indicates the high-P/low-T schists owe their rapid uplift and preservation to the vertical component of the transcurrent faulting.
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  • 16
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    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Abstract A metasomatic diopside rock occurs at the top of the dolomitic Connemara Marble Formation of western Ireland and contains titanite and K-feldspar in addition to around 90% diopside (XMg= 0.90–0.97). U–Pb isotopic measurements on this mineral assemblage show that the titanite is both unusually uranium-rich and isotopically concordant, with the result that a precise U–Pb age of 478 ± 2.5 Ma can be determined. The age is identical within error to a less precise Rb–Sr age of diopside–K-feldspar of 483 ± 6 Ma. Petrological evidence indicates that the assemblage crystallized at c. 620° C close to or below the closure temperature of titanite. The age thus provides a precise estimate of the time of metamorphism; this age is 11 ± 3 Ma younger than the 490 Ma age for nearby gabbroic plutons which has previously been used to constrain the peak metamorphic age. This difference accords well with geological evidence that the gabbros were emplaced prior to the metamorphic peak. Analysis of minerals with high closure temperature from assemblages whose crystallization is unambiguously associated with a specific episode of fluid infiltration at the peak of metamorphism provides the basis for a new approach to dating metamorphism. The success of this approach is demonstrated by the results from Connemara.
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  • 17
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    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Abstract Eclogites with a wide range in bulk composition are present in the Münchberg Massif, part of the Variscan basement of the Bohemian Massif in north-east Bavaria. New analyses of the primary phases garnet, omphacite, phengite and amphibole, as well as the secondary phases clinopyroxene II, various amphiboles, biotite/phlogopite, plagioclase, margarite, paragonite, prehnite and pumpellyite, reveal a complex uplift history. New discoveries were made of samples with very jadeite-rich primary omphacite as well as a secondary omphacite in a symplectite with albite. Various geothermobarometric techniques, together with thermodynamic databases (incorporating separately determined activity–composition values) and experimental data have clustered the minimum conditions for the primary assemblages to the P–T range 650 ± 60° C, 14.3 ± 1 kbar. However, jadeite (in omphacite)–kyanite–paragonite (in phengite) and zoisite–grossular (in garnet)–kyanite–quartz relationships suggests pressures of 25–28 kbar at the same temperatures. The fact that the secondary omphacite–plagioclase assemblage yields pressures within a few hundred bars of the minimum pressures for the plagioclase-free assemblages strongly suggests that the minimum values are serious underestimates.Zoning, inclusion suites and breakdown reactions of primary phases, in addition to new minerals formed during uplift, define a polyphase metamorphic evolution which, from geochronological evidence, occurred solely within the Variscan cycle. The complex breakdown in other Bohemian Massif eclogites and the distinct variation in their temperatures during uplift suggest a multi-stage thrusting model for the regional evolution of the eclogites. Such an evolution has significance with respect to incorporation of mantle slices into crustal sequences and fluid derivation from successively subducted units, possibly driving the breakdown reactions.
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  • 18
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    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Abstract At Kottavattam, southern Kerala (India), late Proterozoic homogeneous leptynitic garnet–biotite gneisses of granitic composition have been transformed on a decimetric scale into coarse-grained massive charnockite sensu stricto along a set of conjugate fractures transecting the gneissic foliation. Charnockitization post-dates the polyphase deformation, regional high-grade metamorphism and anatexis, and evidently occurred at a late stage of the Pan-African tectonothermal history. Geothermobarometric and fluid inclusion data document textural and chemical equilibration of the gneiss and charnockite assemblages at similar Plith–T conditions (650–700°C, 5–6 kbar) in the presence of carbonic fluids internally buffered by reaction with graphite and opaque mineral phases (XCO2= 0.7–0.6; XH2O= 0.2–0.3; XN2= 0.1; log fO2= -17.5).Mineralogical zonation indicates that charnockitization of the leptynitic gneiss involved first the breakdown of biotite and oxidation of graphite in narrow, outward-migrating transition zones adjacent to the gneiss, followed by the breakdown of garnet and the neoblastesis of hypersthene in the central charnockite zone. Compared to the host gneiss, the charnockite shows higher concentrations of K, Na, Sr, Ba and Zn and lower concentrations of Mg, Fe, Ti, V, Y, Zr and the HREE, with a complementary pattern in the narrow transition zones of biotite breakdown. The Plith–T–XH2O data and chemical zonation patterns indicate charnockitization through subsolidus-dehydration reaction in an open system. Subsequent residence of the carbonic fluids in the charnockite resulted in low-grade alteration causing modification of the syn-charnockitic elemental distribution patterns and the properties of entrapped fluids. We favour an internally controlled process of arrested charnockitization in which, during near-isothermal uplift, the release of carbonic fluids from decrepitating inclusions in the host gneiss into simultaneously developing fracture zones led to a change in the fluid regime from ‘fluid-absent’in the gneiss to ‘fluid-present’in the fracture zones and to the development of an initial fluid-pressure gradient, triggering the dehydration reaction.
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  • 19
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    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Abstract Large calcite veins and pods in the Proterozoic Corella Formation of the Mount Isa Inlier provide evidence for kilometre-scale fluid transport during amphibolite facies metamorphism. These 10- to 100-m-scale podiform veins and their surrounding alteration zones have similar oxygen and carbon isotopic ratios throughout the 200 × 10-km Mary Kathleen Fold Belt, despite the isotopic heterogeneity of the surrounding wallrocks. The fluids that formed the pods and veins were not in isotopic equilibrium with the immediately adjacent rocks. The pods have δ13Ccalcite values of –2 to –7% and δ18Ocalcite values of 10.5 to 12.5%. Away from the pods, metadolerite wallrocks have δ18Owhole-rock values of 3.5 to 7%. and unaltered banded calc-silicate and marble wallrocks have δ13Ccalcite of –1.6 to –0.6%, and δ18Ocalcite of 18 to 21%. In the alteration zones adjacent to the pods, the δ18O values of both metadolerite and calc-silicate rocks approach those of the pods. Large calcite pods hosted entirely in calc-silicates show little difference in isotopic composition from pods hosted entirely in metadolerite. Thus, 100- to 500-m-scale isotopic exchange with the surrounding metadolerites and calc-silicates does not explain the observation that the δ18O values of the pods are intermediate between these two rock types. Pods hosted in felsic metavolcanics and metasiltstones are also isotopically indistinguishable from those hosted in the dominant metadolerites and calc-silicates. These data suggest the veins are the product of infiltration of isotopically homogeneous fluids that were not derived from within the Corella Formation at the presently exposed crustal level, although some of the spread in the data may be due to a relatively small contribution from devolatilization reactions in the calc-silicates, or thermal fluctuations attending deformation and metamorphism. The overall L-shaped trend of the data on plots of δ13C vs. δ18O is most consistent with mixing of large volumes of externally derived fluids with small volumes of locally derived fluid produced by devolatilization of calc-silicate rocks. Localization of the vein systems in dilatant sites around metadolerite/calc-silicate boundaries indicates a strong structural control on fluid flow, and the stable isotope data suggest fluid migration must have occurred at scales greater than at least 1 km. The ultimate source for the external fluid is uncertain, but is probably fluid released from crystallizing melts derived from the lower crust or upper mantle. Intrusion of magmas below the exposed crustal level would also explain the high geothermal gradient calculated for the regional metamorphism.
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  • 20
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    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
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  • 21
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    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Abstract The widespread khondalite series of south-east Inner Mongolia consists largely of biotite–sillimanite–garnet gneiss and quartzo-feldspathic gneiss with some marble and mafic granulite layers. It has experienced two metamorphic events at c. 2500 and 1900–2000 Ma.A pre-peak stage of the first metamorphism at T= 600–700°C and P 〉 6–7 kbar is recognized by the relict amphibolite facies assemblage Ky–Grt–Bt–Pl–Qtz and ‘protected’inclusions of biotite, hornblende, sodic plagioclase and quartz in garnet or orthopyroxene. The peak stage, with T=c. 800 ± 50°C and P 8–10 kbar, is characterized by the widespread granulite facies assemblages Sil–Grt–Bt–Kfs–Pl–Qtz in gneiss and Opx–Cpx–Pl ± Hbl ± Grt in granulite. The P–T–t path suggests that the supracrustal sequence was buried in the lower crust by tectonic thickening during D1–D2.The beginning of the second metamorphism is characterized by further temperature rise to 700°C or more at lower pressure. This stage is manifested by the appearance of cordierite after garnet, fibrolite (Sil2) after biotite in gneiss and transformation of Hbl1 into Opx2 and Cpx2 in granulite. Coronas of symplectitic Opx2 + Pl2 surrounding Grt1 and Cpx1 in mafic granulite are interpreted as products of near-isothermal decompression. The P–T–t path may be related tectonically to waning extension of the crust by the end of the early Proterozoic.
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  • 22
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    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Abstract The Qinling–Dabie accretionary fold belt in east-central China represents the E–W trending suture zone between the Sino-Korean and Yangtze cratons. A portion of the accretionary complex exposed in northern Hubei Province contains a high-pressure/low-temperature metamorphic sequence progressively metamorphosed from the blueschist through greenschist to epidote–amphibolite/eclogite facies. The ‘Hongan metamorphic belt’can be divided into three metamorphic zones, based on progressive changes in mineral assemblages: Zone I, in the south, is characterized by transitional blueschist–greenschist facies; Zone II is characterized by greenschist facies; Zone III, in the northernmost portion of the belt, is characterized by eclogite and epidote–amphibolite facies sequences. Changes in amphibole compositions from south to north as well as the appearance of increasingly higher pressure mineral assemblages toward the north document differences in metamorphic P–T conditions during formation of this belt. Preliminary P–T estimates for Zone I metamorphism are 5–7 kbar, 350–450°C; estimates for Zone III eclogites are 10–22 kbar, 500 ± 50°C.The petrographic, chemical and structural characteristics of this metamorphic belt indicate its evolution in a northward-dipping subduction zone and subsequent uplift prior to and during the final collision between the Sino-Korean and Yangtze cratons.
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  • 23
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    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Abstract The Lancang metamorphic terrane consists of an eastern low-P/T belt and a western high-P/T belt divided by a N–S-trending fault. Protoliths of both units are mid–late Proterozoic basement and its cover. The low-P/T belt includes the Permian Lincang batholith, related amphibolite facies rocks of the Damenglong and Chongshan groups, and Permo-Triassic volcanic and volcaniclastic rocks. Most whole-rock Rb–Sr isochron and U–Pb zircon ages of the Lincang batholith are in the range 290–279 and 254–212 Ma, respectively. Metamorphism of the low-P/T belt reaches upper amphibolite with local granulite facies (735°C at 5 kbar), subsequently retrogressed at 450–500°C during post-Triassic time. The high-P/T rocks grade from west to east from blueschist through transitional blueschist/greenschist to epidote amphibolite facies. Estimated P–T conditions follow the high-P intermediate facies series up to about 550–600°C, at which oligoclase is stable. The 40Ar/39Ar plateau age of sodic amphibole in blueschist is 279 Ma.The paired metamorphic belts combined with the spatial and temporal distribution of other blueschist belts lead us to propose a tentative tectonic history of south-east Asia since the latest Precambrian. Tectonic juxtaposition of paired belts with contrasting P–T conditions, perhaps during collision of the Baoshan block with south-east Asia, suggests that an intervening oceanic zone existed that has been removed. The Baoshan block is a microcontinent rifted from the northern periphery of Gondwana. Successive collision and amalgamation of microcontinents from either Gondwana or the Panthalassan ocean resulted in rapid southward continental growth of c. 500 km during the last 200 Ma. Hence, the Lancang region in south-east Asia represents a suture zone between two contrasting microcontinents.
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  • 24
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    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Abstract The high-grade metamorphic rocks of southern Brittany underwent a complex tectonic evolution under various P-T conditions (high-P, high-T), related to stacking of nappes during Palaeozoic continentcontinent collision.The east to west thrusting observed in the whole belt is strongly perturbed by vertical movements attributed to the ascent of anatectic granites in the high-T area. The field reconstruction of subvertical, closed elliptical structures in gneisses and migmatites, associated with the subhorizontal, doubly radial pattern of stretching lineation in the mica schists, suggests the existence of an elliptical diapiric body buried at depth beneath the present erosion level.Deformation is associated with a complex P-T evolution partly recorded in aluminous gneisses (kinzigites, e.g. morbihanites). A chronology of successive episodes of mineral growth at different compositions is established by detailed studies of the mineral-microstructure relationships in X-Z sections, using the deformation-partitioning concept (low- and high-strain zones).Several thermometric and barometric calibrations are applied to mineral pairs either in contact or not in contact but in equivalent microstructiiral positions with respect to the deformation history. This methodology provides a continuous microstructural control of P-T variations through time and leads to three P-T-t-d paths constructed from numerous successive P-T estimations. Path 1 is a clockwise retrograde path preserved in low-strain zones, which records general exhumation movements after crustal thickening. Paths 2 and 3 are clockwise prograde/retrograde paths from high-strain zones; they are interpreted and discussed in the light of models of crustal anatexis and upward movement of magma (diapirism). Deformation and P-T effects induced by diapirism can be distinguished from the general deformation-metamorphic history of a belt, and would seem to be produced during a late stage of its history.The present microstructural-petrological approach to defining successive mineral equilibria in relation to progressive deformation steps provides a far more accurate evaluation of the metamorphic evolution than is possible by ‘standard’thermobarometry.
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  • 25
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    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Abstract The metamorphic history of the Middle to Upper Jurassic volcanic and hypabyssal rocks exposed in the Klamath Mountains and Sierra Nevada of California is related, in part, to the rifting of a volcano-plutonic arc. The Callovian to Kimmeridgian rocks exposed in the region consist of, from north-west to south-east, a back-arc ophiolite, a rifted volcanic arc and a volcanic arc complex. All of these units have been metamorphosed and contain various combinations of the phases chlorite, amphibole, epidote, prehnite and pumpellyite. Projection of coexisting phases onto the composition plane MgO/(MgO + FeO) and Al2O3+ Fe2O3 - 0.75 CaO - Na2O through quartz, water, albite and epidote results in consistent mineralogical compatibilities within each region, but crossing tie-lines between regions. This suggests that the volcanic and hypabyssal rocks from each region have equilibrated under different intensive conditions.The back-arc ophiolite in the north has suffered subseafloor high-T/P hydrothermal metamorphism with geothermal gradients on the order of 100° C km−1. The rifted volcanic arc has undergone synchronous burial, hydrothermal and contact metamorphism. Metamorphic field gradients in the region pass through the prehnite-pumpellyite and greenschist facies suggesting geothermal gradients on the order of 30° C km−1. The southernmost volcanic arc complexes contain metavolcanics of the pumpellyiteactinolite and greenschist facies suggesting moderate- to high-P/T metamorphism and geothermal gradients on the order of 20° C km−1.The apparent increase in rifting and calculated geothermal gradients from south-east to north-west suggest that the observed very low- and low-grade metamorphism may be a response to enhanced thermal gradients during extension of the volcanic arc. This correlation between the extent of rifting and metamorphism is consistent with a model of diastathermal metamorphism of a propagating rift along the western margin of North America during the Late Jurassic. The plate tectonic setting may be analogous to the present-day Andaman Sea region.
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  • 26
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    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Abstract The Upper Cretaceous and Tertiary volcanic sequences in the Chilean Andes are affected by burial metamorphism. For example, in central Chile (between 32°30’and 35°S), the Abanico Formation, a folded upper Cretaceous to Palaeogene unit composed of basic lavas, tuffs and ash flows of intermediate composition and volcaniclastic sandstones, is characterized by heulandite- to laumontite-bearing zeolite facies assemblages in its upper part passing with depth to prehnite–pumpellyite facies assemblages.However, at c. 33°30'S in the Abanico Hill area, located just east of a graben at Santiago (the longitudinal Central Valley), the alteration pattern is unrelated to stratigraphic depth. It is characterized by a lateral increase in grade defined by assemblages with yugawaralite (reported for the first time in the Andes) laumontite, then wairakite ± epidote, and finally with abundant epidote successively closer to the graben boundary. This pattern was formed in a palaeogeothermal system with a high-T and a very low-P gradient. Geothermal alteration has also been inferred from the border zone of a Neogene caldera in the Abanico Hill area, and from the western fault boundary of the graben.These expressions of geothermal alteration, together with the occurrence of caldera structures, the huge volume of ignimbrites and numerous epithermal precious metal deposits of late Cretaceous and Tertiary age in central and northern Chile, suggest that fossil geothermal systems of this age are probably common features in the Chilean Andes.
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  • 27
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    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
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    Topics: Geosciences
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  • 28
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    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Abstract Petrological, oxygen isotope and 40Ar/39Ar studies were used to constrain the Tertiary metamorphic evolution of the lower tectonic unit of the Cyclades on Tinos. Polyphase high-pressure metamorphism reached pressures in excess of 15 kbar, based on measurements of the Si content in potassic white mica. Temperatures of 450–500° C at the thermal peak of high-pressure metamorphism were estimated from critical metamorphic assemblages, the validity of which is confirmed by a quartz–magnetite oxygen isotope temperature of 470° C. Some 40Ar/39Ar spectra of white mica give plateau ages of 44–40 Ma that are considered to represent dynamic recrystallization under peak or slightly post-peak high-pressure metamorphic conditions. Early stages in the prograde high-pressure evolution may be documented by older apparent ages in the high-temperature steps of some spectra.Eclogite to epidote blueschist facies mineralogies were partially or totally replaced by retrograde greenschist facies assemblages during exhumation. Oxygen isotope thermometry of four quartz–magnetite pairs from greenschist samples gives temperatures of 440–470° C which cannot be distinguished from those deduced for the high-pressure event. The exhumation and overprint is documented by decreasing ages of 32–28 Ma in some greenschists and late-stage blueschist rocks, and ages of 30–20 Ma in the lower temperature steps of the Ar release patterns of blueschist micas. Almost flat parts of Ar–Ar release spectra of some greenschist micas gave ages of 23–21 Ma which are assumed to represent incomplete resetting caused by a renewed prograde phase of greenschist metamorphism.Oxygen isotope compositions of blueschist and greenschist facies minerals show no evidence for the infiltration of a δ18O-enriched fluid. Rather, the compositions indicate that fluid to rock ratios were very low, the isotopic compositions being primarily controlled by those of the protolith rocks. We assume that the fundamental control catalysing the transformation of blueschists into greenschists and the associated resetting of their isotopic systems was the selective infiltration of metamorphic fluid. A quartz–magnetite sample from a contact metamorphic skarn, taken near the Miocene monzogranite of Tinos, gave an oxygen isotope temperature of 555° C and calculated water composition of 9.1%. The value of δ18O obtained from this water is consistent with a primary magmatic fluid, but is lower than that of fluids associated with the greenschist overprint, which indicates that the latter event cannot be directly related to the monozogranite intrusion.
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  • 29
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    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Abstract Orthopyroxene-bearing migmatites, exposed at the summit of Cone Peak in the Santa Lucia Range, California, offer an opportunity to explore potential links between granulite facies metamorphism and migmatite formation. Geothermobarometry indicates that the metamorphic temperatures and pressures were in the approximate ranges of 700–750° C and 7.0–7.5 kbar. The rocks at the summit comprise three domains: relatively coarse-grained, leucocratic veins; relatively fine-grained, biotite-enriched zones at the margins of the veins; and a biotite–hornblende-bearing host rock. Orthopyroxene is concentrated in the veins, which have also the highest ratio of anhydrous to hydrous minerals of the three rock types. The composition of the veins, together with their textures and modes, suggest that they formed through anatexis involving a dehydration-melting reaction which consumed hornblende and produced orthopyroxene. Variability in mineralogy and composition indicates that there was some local migration of magma along the veins before their final solidification. The biotite-enriched zones formed either by the concentration of residual biotite at the margins of the vein, or through the metasomatic conversion of hornblende (and/or pyroxene) to biotite, or by a combination of the two processes. Significant differences in the chemistry of the neosome (vein + biotite-enriched zone) and the host rock rule out simple dehydration melting in a local closed system. The model that explains best the mineralogical and chemical patterns involves triggering of melting by an influx of a low-aH2O mixed fluid which added K and Si to and removed Ca from the neosome.
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  • 30
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    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Abstract In the Adirondack Highlands of New York State, the effect of granulite facies metamorphism on the physical and isotopic characteristics of zircon from anorogenic plutonic rocks has a distinct geographical pattern. The location of zircon populations which appear to have been altered describes a roughly circular area where metamorphic palaeotemperatures have been determined to be in excess of 750° C. Zircons from anorogenic plutonic rocks outside this area were undisturbed during metamorphism and yield well constrained ages.Granitic, charnockitic and mangeritic anorogenic plutonic rocks peripheral to the Marcy anorthosite massif have large, euhedral, prismatic zircons that display fine, internal, magmatic growth zonations and abundant, randomly orientated, mineral inclusions. Co-genetic zircon fractions yield linear discordant arrays and well constrained upper intercepts of 1125–1157 Ma. Metamorphic zircon is limited to sporadically developed and volumetrically insignificant, clear, low-U overgrowths or protuberances.In marked contrast, zircons from petrographically and geochemically identical rocks adjacent to, or within, the Marcy anorthosite massif are typically large, limpid, anhedral to subhedral crystals or crystal fragments lacking internal features except for tubular cavities and CO-2-rich inclusions. Co-genetic zircon fractions yield nearly concordant, non-linear clusters with 207Pb/206Pb minimum ages of 1073–1095 Ma. Metamorphic overgrowths cannot be readily identified by optical or cathodoluminscence techniques; however, many grains show complex and unusual external boundaries suggestive of post-crystallization modification.These data indicate that temperatures as low as 750° C, in combination with other factors, may have been sufficient to facilitate recrystallization, and diffusion of radiogenic Pb from the zircon crystal structure, during the complex, protracted metamorphism of the Adirondack Highlands.
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    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
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    Topics: Geosciences
    Notes: Abstract Archaean greenstone belts are often cut by major shear zones, for example the Cadillac tectonic zone (CTZ) of the southern Abitibi region in north-western Quebec. At McWatters, the CTZ contains slices of metavolcanic units bounded by corridors of highly strained and altered rocks. Mineral assemblages of the metabasites record the metamorphic evolution of the CTZ.The McWatters metabasalts and metagabbros have similar chemistry but different mineral assemblages consisting of variable amounts of actinolite, hornblende, chlorite, albite, epidote, quartz, carbonates, titanite, biotite, rutile, magnetite, ilmenite and sulphides. The different mineral assemblages, which coexist in a single tectonic slice, can be divided into three types, characterized by (A) presence of hornblende and actinolite, (B) presence of actinolite and epidote, and (C) absence of amphibole and epidote. Partial replacements indicate that these mineral assemblages are not in equilibrium. The hornblende of the least altered and deformed samples of the type A assemblage is a relict of a prograde metamorphic event, contemporaneous with the development of the main schistosity. The prograde conditions are estimated at P= 5 kbar, T= 475° C with low Pf. The more altered and deformed samples of the type C assemblage record a later retrograde metamorphic event. Conditions of the later event are estimated at P= 4 kbar, T= 400° C with higher Pf. Widespread calcite precipitation occurred during a later episode. The diversity of the mineral assemblages results from permeability variations along the high-strain zones of the CTZ.
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  • 32
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    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Abstract Mineral equilibria in the system CaO–MgO–Al2O3–SiO2–H2O provide a basis for mapping of four reaction isograds and one bathograd in the low-pressure transition from subgreenschist to greenschist facies. Most of the Matachewan area of the Abitibi greenstone belt is in the lower-pressure bathozone, as indicated by the widespread occurrences of the subassemblage Prh–Chl. The higher-pressure bathozone is indicated by two occurrences of Pmp–Act–Ep–Qtz, but in these samples the bathograd is displaced to anomalously low pressure by the high Fe content of the coexisting minerals. This illustrates the need to analyse coexisting minerals, calculate activities of end-member species, and compute P–T curves for individual samples before interpreting the isograd/bathograd pattern.Petrographic and microprobe analysis indicates that great care must be taken in the selection of ‘equilibrium’ assemblages. Pyroxene phenocrysts in one sample are replaced by the assemblage Pmp–Act–Ep–Chl–Qtz, whereas Prh–Act–Ep–Chl–Qtz occurs in the groundmass. Compositional variation may be more cryptic, as in a sample of metabasaltic hyaloclastite that contains two spatially distinct ‘univariant’ assemblages, Prh–Pmp–Ep–Chl–Qtz and Prh–Act–Ep–Chl–Qtz, within the devitrified matrix. Whereas chlorite compositions are similar in both assemblages, prehnite and epidote in the latter assemblage are significantly richer in Fe and poorer in Al. Accordingly, the rock is interpreted to contain two distinct ‘univariant’ assemblages, rather than one ‘invariant’ assemblage (Prh–Pmp–Act–Ep–Chl–Qtz). The displaced ‘univariant’ curves for this sample intersect at 2.2 kbar and 250°C.Taking account of all thermobarometric implications, the low-grade limit of the greenschist facies is at 250–270°C and 2–2.5 kbar, corresponding to depths of 7–8 km. Comparison of apparent P–T conditions on both sides of the Larder Lake – Cadillac break, a regional CO2-metasomatized fault zone that is spatially associated with many Archaean gold deposits, provides an upper limit of not more than c. 1 km for post-metamorphic south-side-up, dip-slip displacement.
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    Restoration ecology 1 (1993), S. 0 
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: Livestock have been excluded from riparian zones along many streams in western North America in an effort to restore aquatic and riparian habitat degraded by livestock grazing. Within these exclosures, channel adjustment to elimination of grazing pressure may lag behind plant recovery because of the time required to deposit sediment along the vegetated banks of the stream channel. Moreover, unless grazing is eliminated from the watershed, the channel within the exclosure must still accommodate increased runoff and sediment loads from upstream. This hydrologic regime may prevent a return to predisturbance channel morphology. Cross sections of the North Fork Cottonwood Creek in the White Mountains of California showed no significant difference in channel width within and downstream of a 24-year-old exclosure, despite a lush growth of stream bank vegetation that gives the impression of a narrower channel within the exclosure.
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    Restoration ecology 1 (1993), S. 0 
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: Many felids are threatened by loss of habitat, lack of genetic diversity, and over-exploitation. The reintroduction of bobcats (Felis rufus) to Cumberland Island, Georgia provided an opportunity to reintroduce a mid-sized felid without the concern for species survival that is paramount with endangered species. We captured bobcats from the coastal plain region of Georgia, briefly held them in captivity, and released them on Cumberland Island. We describe and evaluate the protocols and techniques used to accomplish the reintroduction. Future reintroductions of felids should consider the problem of post-release dispersal, although our island was relatively isolated and inhibited dispersal. Also, any reintroduction effort should invest effort and resources into post-release monitoring of the population. Empirical knowledge about the effects of spatial distribution, genetics, population dynamics, especially mechanisms of population regulation, behavior, and environmental conditions on the viability of populations is critical to the conservation of endangered species. Future research of the bobcats on Cumberland Island will be able to address aspects of the population and genetic dynamics of a small, insular felid population.
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  • 35
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    Restoration ecology 1 (1993), S. 0 
    ISSN: 1526-100X
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    Topics: Biology
    Notes: We studied the use of mineland wetlands by birds and the relationship between avian communities and wetland characteristics. Data were collected from 20 wetlands in Pike County, Indiana, and included wetland size, depth, water conductivity and salinity, aquatic macroinvertebrate abundance, vegetation, and bird use. Principal component analysis showed that physical variables could be explained by two principal component scores and that wetlands could be grouped on the basis of size and conductivity. Principal component analysis could not reduce vegetation variables to fewer principal component scores, meaning that wetland vegetation characteristics were independent of one another and did not show any trend. Most wetlands had low invertebrate density, and wetlands with higher invertebrate density had low invertebrate diversity. Wetlands with similar habitat characteristics (physical, vegetative, and invertebrate) did not necessarily show similarities in bird assemblages. Bird similarity index values ranged from 0 to 59%, implying that each wetland has its own bird community. Stepwise multiple regression analysis (α= 0.05) relating bird use and habitat characteristics showed that bird species richness increased with the species richness of submergent vegetation and was correlated negatively with the species richness of emergent vegetation. There was no significant relationship between bird species richness or bird species diversity and wetland size. The number of species within different avian guilds correlated with different habitat characteristics. The species richness of submergent plants was a factor that correlated positively with the number of species of several guilds (dabblers, wading birds, and plunge divers). Wetland age was not a factor that determined bird use.
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  • 36
    ISSN: 1526-100X
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    Topics: Biology
    Notes: Grass seeding is widely used for erosion control, but its consequences for soil and regeneration following fire have been measured only infrequently. This study investigates the effect of grass seeding on the type and extent of plant cover; soil moisture percentage; and moisture stress, survival, growth, and root-tip and mycorrhiza formation of Pinus lambertiana (sugar pine) seedlings in a clearcut intensely burned by wildfire. One-year-old containerized sugar pine seedlings were planted in seeded and nonseeded areas in Spring 1988 and 1989 in the Longwood Fire area of southwest Oregon. In 1988, tree seedlings in grass-seeded plots experienced intense competition from the grass, reduced root-tip and mycorrhiza formation, low levels of soil moisture to meet evapotranspirational demand, high levels of mortality, and reduced growth. In 1989, however, the opposite was true: tree seedlings in nonseeded plots experienced competition from invading native annuals and perennials, low levels of soil moisture in summer, and higher levels of mortality. The studies we report here further indicate that, in an area characterized by extended summer drought, annual ryegrass impeded regeneration of sugar pine during the first season following the fire. Native species cover and richness have been significantly reduced in the seeded area and may affect long-term soil stability, productivity, and conifer restoration. Seeding of annual ryegrass at high rates under these conditions would seem ill advised.
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    Restoration ecology 1 (1993), S. 0 
    ISSN: 1526-100X
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    Topics: Biology
    Notes: Books reviewed in this article: Reintegrating Fragmented Landscapes towards Sustainable Production and Nature Conservation. R. J. Hobbs and D. A. Saunders. editors Restoring Acid Waters: Loch Fleet 1984–1990. G. Howels, and T.R.K. Dalziel, editors
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  • 38
    ISSN: 1526-100X
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    Topics: Biology
    Notes: In prairie restoration, use of seeds from nonlocal sources has been of concern to restorationists. We examined the specificity between vesicular-arbuscular mycorrhizal fungi obtained from a single location and little bluestem obtained from three localities. Seed was obtained from three sources: (1) a commercial seed supplier in Nebraska, (2) Sand Ridge State Forest (SRSF), Mason County, Illinois, the site from which the experimental soil containing the mycorrhizal inoculum was obtained, and (3) Sand Prairie Scrub Oak Nature Preserve (SPSO), 32 km southwest of SRSF. Plants were grown in three substrates: (1) autoclaved soil, (2) autoclaved soil to which a mycorrhizal fungal-free sieving of nonautoclaved soil was added, and (3) nonautoclaved soil. All plants grown in nonautoclaved soil were colonized by mycorrhizal fungi, whereas none of those grown in other substrates were colonized. Plants grown from SRSF seeds produced significantly (p 〈 0.05) more biomass than those grown from Nebraska seeds (X̄± SE, SRSF = 0.54 ± 0.04 g, SPSO = 0.49 ± 0.03 g, Nebraska = 0.37 ± 0.03 g). Plants grown in nonautoclaved soil, regardless of seed source, produced less biomass (0.27 ± 0.02 g) than plants grown in autoclaved soil (0.58 ± 0.03 g) or autoclaved soil plus sievings (0.59 ± 0.03 g).The results provide no clear indication of a host-endophyte specificity. However, the data suggest that the local genotypes of S. scoparium are better adapted to their native soil environment than are genotypes from other localities.
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  • 39
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    Restoration ecology 1 (1993), S. 0 
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: Glasshouse trials, using trickle irrigation and increasing levels of NaOH-induced alkalinity, identified species that could be expected to tolerate the high-pH conditions of bauxite processing waste residue sites. Of 29 taxa tested, the most tolerant were Casuarina obesa, Melaleuca lanceolata, M. armillaris, M. nesophila, Eucalyptus loxophleba, E. halophila, E. platypus, Tamarix aphylla, and a particular clone of E. camaldulensis; E. spathulata, E. tetragona, E. preissiana, E. gomphocephala, E. diptera, and E. occidentalis proved to be relatively sensitive to severe alkaline conditions. Tolerance appeared to relate to an ability to maintain root membrane function, nutrient uptake balance, and ultimately root tissue structure while under increasing levels of alkalinity stress. Species normally inhabiting alkaline soils tended to have increased growth rates in nutrient irrigation conditions between pH 8 and 10 compared with control plants irrigated with nutrient solutions of pH values near 7.4. However, once the irrigation solutions reached pH 12 and the buffering capacity of the soil appeared to be exceeded, the condition of susceptible plants rapidly declined and death followed. Sensitive plants initially showed symptoms related to nutrient deficiency, followed by wilting and death as the root systems failed. Field trial conditions in the bauxite residue impoundments at Kwinana, Western Australia, include soils with pH values as high as 11.00. In general, the relative survival and growth of seedlings after eight months were predicted by the response under glasshouse trial conditions. Appropriately designed stress trials can be important ecological techniques in choosing species most capable of surviving difficult environmental conditions in the rehabilitation of damaged landscapes.
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  • 40
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    Restoration ecology 1 (1993), S. 0 
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: In ecological restoration, nonindigenous species can pose a major problem because they are often aggressive and can overwhelm native species, thus altering ecosystem structure. This article identifies the circumstances in which prospects for use of restoration technology in controlling invaders are favorable or unfavorable, the factors that make certain species good colonizers, and the characteristics that make ecosystems susceptible to invasion. It discusses prospects for using restoration technology in controlling nonindigenous species by influencing hydroperiod, photo-period, thermoperiod, edaphic conditions, and availability of biological control agents so as to produce ecological conditions that are inhospitable to invaders. The limitations of restoration are discussed, as well as specific ecological situations in which it is likely to be the method of choice for control of nonindigenous species. Use of fire, flooding, manual removal, shading, substrate removal, and herbicide application as control techniques in conjunction with restoration efforts are considered. Specific examples, including the techniques employed, indicate the potential for controlling nonindigenous species in the process of ecosystem restoration.
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    Restoration ecology 1 (1993), S. 0 
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: Adequately evaluating the success of coastal tidal marsh restoration has lagged behind the actual practice of restoring tidally restricted salt marshes. A Spartina-dominated valley marsh at Barn Island Wildlife Management Area, Stonington, Connecticut, was tidally restricted in 1946 and consequently converted mostly to Typha angustifolia. With the re-introduction of tidal flooding in 1978, much of the marsh has reverted to Spartina alterniflora. Using a geographical information system (GIS), this study measures restoration success by the extent of geographical similarity between the vegetation of the restored marsh and the pre-impounded marsh. Based on geographical comparisons among different hydrologic states, pre-impounded (1946), impounded (1976), and restored (1988) tidal marsh restoration is a convergent process. Although salt marsh species currently dominate the restored system, the magnitude of actual agreement between the pre-impounded vegetation and that of the restored marsh is only moderate. Further restoration of the salt marsh vegetation may be limited by continued tidal restriction, marsh surface subsidence, and reduced accretion rates. General trends of recovery are identified using a gradient approach and the geographic pattern’ of vegetation change. In the strictest sense, if restoration refers only to vegetation types that geographically replicate preexisting types, then only 28% of the marsh has been restored. Restoration in a broader sense, however, representing the original salt marsh vegetation regardless of spatial position, amounts to 63% restored. Unrestored marsh, dominated by Typha angustifolia and Phragmites australis, remains at 37%. By emphasizing trends during vegetation recovery, this evaluation technique aims to understand the restoration process, direct future research goals, and ultimately aid in future restoration projects.
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    Restoration ecology 1 (1993), S. 0 
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: Books reviewed in this article: The Earth in Transition: Patterns and Processes of Biotic Impoverishment. A collection of papers from a symposium held in Woods Hole, Massachusetts, October 1986. George M. Woodwell, editor Restoration of Aquatic Ecosystems: Science, Technology, and Public Policy. National Research Council.
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    Restoration ecology 1 (1993), S. 0 
    ISSN: 1526-100X
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Biology
    Notes: Results are presented using vegetative shoots and bryophyte sods to restore floristically impoverished high arctic wet sedge-moss meadows that had suffered intense damage from vehicle activity during the period 1960–1967. Clonal transplants of Carex aquatilis var. stans, a native sedge, were planted with and without bryophyte sods in vehicle ruts in 1972. After nearly two decades, there was less Carex cover in the planted ruts with flowing water than in the contiguous controls. This pattern was slightly reversed in planted plots with standing water. Reinvasion of Eriophorum angustifolium occurred in treated ruts, but cover was less in both treatments than in controls in 1990. The unexpected recruitment of Eriophorum scheuchzeri from the seed bank in moss-sodded plots is discussed in terms of its local and regional importance. Total plant cover in restored ruts was nearly equal to that of controls, but biomass was somewhat less than that in control plots. Plots with bryophytes were environmentally distinct, due primarily to increases in organic mat depth relative to controls. After 18 years, restoration efforts resulted in increased plant cover in treated ruts compared to naturally recovering ruts.〈blockFixed type="quotation"〉The composition of no two patches of vegetation is precisely the same [and] neither are the seed banks. Successsion on different patches of disturebed ground in the same locality frequently proceeds quite differently because of such differences.—J. Miles, Vegetation Dynamics, 1979
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  • 44
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    Journal of economics & management strategy 2 (1993), S. 0 
    ISSN: 1530-9134
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Economics
    Notes: In markets, in which exchange requires costly search for trading partners, intermediaries can help to reduce the trading frictions. This intuition is modeled in a framework with heterogeneous agents, who have the choice between intermediated exchange and search accompanied by some bargaining procedure. The equilibria of such a game are characterized. In the case of a monopolistic intermediary, the tradeoff between the bid-ask spread and the costs of delay during private search determine the intermediary's clientele. In equilibrium the monopolist charges a positive spread. Traders with large gains from trade prefer to deal with him, whereas traders with relatively low gains from trade engage in search. In case of competition among intermediaries, the classical Bertrand result obtains, and bid and ask prices converge to the (unique) Walrasian equilibrium price. Thus, in the confines of the model, the Walrasian auctioneer of the market under consideration can be replaced by competing intermediaries. In addition a multiplicity of subgame perfect Nash equilibria emphasizes the coordination problems inherent in models of intermediation.
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    Journal of economics & management strategy 2 (1993), S. 0 
    ISSN: 1530-9134
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Economics
    Notes: A number of recent Canadian and U.S. antitrust cases have involved allegations that manufacturers of durable products have refused to supply parts to independent service organizations, apparently to monopolize the market for repairs of their products. This paper provides a theory of these strategies and considers the welfare implications of judicial orders to supply. The refusals here are seen as necessary to protect manufacturers' program of price discrimination: Expensive repairs represent a way to select high-intensity, high-value users and charge them more. In addition to the usual ambiguity associated with the welfare effects of prohibitions of price discrimination, forcing competition in repairs can have the further damaging effect of reducing social welfare by inducing manufacturers to lower product quality.
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    Journal of economics & management strategy 2 (1993), S. 0 
    ISSN: 1530-9134
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Economics
    Notes: The litigation crisis in this country is a subject of great importance to the chief executive officers of public uccounting firms. 1 will first address the problem's magnitude and its source and then speculate on the developments we might expect in the future. Like all forecasts, mine will certainly be wrung. I hope that my degree of error on the pessimistic side will be considerable.
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    Journal of economics & management strategy 2 (1993), S. 0 
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    Topics: Economics
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    Journal of economics & management strategy 2 (1993), S. 0 
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    Topics: Economics
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    Journal of economics & management strategy 2 (1993), S. 0 
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    Topics: Economics
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    Journal of economics & management strategy 2 (1993), S. 0 
    ISSN: 1530-9134
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Economics
    Notes: Research and development (R&D) competition among firms has recently been extended to R&D competition involving research joint ventures. It was previously shown that in an industry conducting cost-reducing R&D followed by competition in the product market, if all firms both fully share R&D information and coordinate investments to maximize pint profits, final products prices are lower, and firms' profits are higher than with information shriving alone, joint profit maximization alone, or no cooperation. In this paper we question whether a single research joint venture (RJV) cartel is the best form of industry R&D coordination. We show that there are circumstances in which splitting a single RJV cartel into several competing ones yields lower product prices. Moreover, we show that in these circumstances, splitting the industry into exactly two competing RJV cartels would be best.
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    Journal of economics & management strategy 2 (1993), S. 0 
    ISSN: 1530-9134
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Economics
    Notes: This paper studies the order of adoption of a process innovation, thin-slab casting, by U.S. steel makers. A game-theoretic model of technology adoption with capacity constraints indicates that incumbents are likely to trail entrants in adopting process technologies that reduce the minimal scale required to compete. Evidence from the case study also indicates, however, that the sorts of interactive effects emphasized by game-theoretic models may be dominated by the effects of competitors' heterogeneous precommitments.
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    Risk analysis 18 (1998), S. 0 
    ISSN: 1539-6924
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: The use of uncertainty factors in the standard method for deriving acceptable intake or exposure limits for humans, such as the Reference Dose (RfD), may be viewed as a conservative method of taking various uncertainties into account. As an obvious alternative, the use of uncertainty distributions instead of uncertainty factors is gaining attention. This paper presents a comprehensive discussion of a general framework that quantifies both the uncertainties in the no-adverse-effect level in the animal (using a benchmark-like approach) and the uncertainties in the various extrapolation steps involved (using uncertainty distributions). This approach results in an uncertainty distribution for the no-adverse-effect level in the sensitive human subpopulation, reflecting the overall scientific uncertainty associated with that level. A lower percentile of this distribution may be regarded as an acceptable exposure limit (e.g., RfD) that takes account of the various uncertainties in a nonconservative fashion. The same methodology may also be used as a tool to derive a distribution for possible human health effects at a given exposure level. We argue that in a probabilistic approach the uncertainty in the estimated no-adverse-effect-level in the animal should be explicitly taken into account. Not only is this source of uncertainty too large to be ignored, it also has repercussions for the quantification of the other uncertainty distributions.
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  • 53
    ISSN: 1539-6924
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    Topics: Energy, Environment Protection, Nuclear Power Engineering
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    Risk analysis 18 (1998), S. 0 
    ISSN: 1539-6924
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: This research explores public judgments about the threat-reducing potential of experts, individual behavior, and government spending. The data are responses of a national sample of 1225 to mail surveys that include measures of several dimensions of public judgments about violent crime, automobile accidents, hazardous chemical waste, air pollution, water pollution, global warming, AIDS, heart disease, and cancer. Beliefs about who can best mitigate threats are specific to classes of threats. In general, there is little faith that experts can do much about violent crime and automobile accidents, moderate faith in their ability to address problems of global warming, and greater expectations for expert solutions to the remaining threats. People judge individual behavior as effective in reducing the threats of violent crime, AIDS, heart disease, and automobile accidents but less so for the remaining threats. Faith in more government spending is highest for AIDS and the other two health items, lowest for the trio of violent crime, automobile accidents, and global warming, and moderate for the remaining threats. For most threats, people are not distributed at the extremes in judging mitigators. Strong attitudinal and demographic cleavages are also lacking, although some interesting relationships occur. This relative lack of sharp cleavages and the generally moderate opinion indicate ample opportunity for public education and risk communication.
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    Risk analysis 18 (1998), S. 0 
    ISSN: 1539-6924
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: Recreational and subsistence hunters and anglers consume a wide range of species, including birds, mammals, fish and shellfish, some of which represent significant exposure pathways for environmental toxic agents. This study focuses on the Department of Energy's (DOE'S) Savannah River Site (SRS), a former nuclear weapons production facility in South Carolina. The potential risk of contaminant intake from consuming mourning doves (Zenaida macroura), the most popular United States game bird, was examined under various risk scenarios. For all of these scenarios we used the mean tissue concentration of six metals (lead, mercury, cadmium, selenium, chromium, manganese) and radiocesium, in doves collected on and near SRS. We also estimated risk to a child consuming doves that had the maximum contaminant level. We used the cancer slope factor for radiocesium, the Environmental Protection Agencies UptakeBiokinetic model for lead, and published reference doses for the other metals. As a result of our risk assessments we recommend management of water levels in contaminated reservoirs so that lake bed sediments are not exposed to use by gamebirds and other terrestrial wildlife. Particularly, measures should be taken to insure that the hunting public does not have access to such a site. Our data also indicate that doves on popular hunting areas are exposed to excess lead, suggesting that banning lead shot for doves, as has been done for waterfowl, is desirable.
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    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: Exposure duration is an important component in determining long-term dose rates associated with exposure to environmental contaminants. Surveys of exposed populations collect information on individuals' past behaviors, including the durations of a behavior up to the time of the survey. This paper presents an empirical approach for determining the distribution of total durations that is consistent with the distribution past durations obtained from surveys. This approach is appropriate where the rates of beginning and ending a behavior are relatively constant over time. The approach allows the incorporation of information on the distribution of age in a population into the determination of the distribution of durations. The paper also explores the impact of “longevity” bias on survey data. A case study of the application of this approach to two angler populations is also provided. The results of the case study have characteristics similar to the results reported by Israeli and Nelson (Risk Anal. 12, 65-72 (1992)) from their analytical model of residential duration. Specifically, the average period of time for the total duration in the entire population is shorter than the average period of time reported for historical duration in the surveyed individuals.
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  • 57
    ISSN: 1539-6924
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: Information format can influence the extent to which target audiences understand and respond to risk-related information. This study examined four elements of risk information presentation format. Using printed materials, we examined target audience perceptions about: (a) reading level; (b) use of diagrams vs. text; (c) commanding versus cajoling tone; and (d) use of qualitative vs. quantitative information presented in a risk ladder. We used the risk communication topic of human health concerns related to eating noncommercial Great Lakes fish affected by chemical contaminants. Results from the comparisons of specific communication formats indicated that multiple formats are required to meet the needs of a significant percent of anglers for three of the four format types examined. Advisory text should be reviewed to ensure the reading level is geared to abilities of the target audience. For many audiences, a combination of qualitative and quantitative information, and a combination of diagrams and text may be most effective. For most audiences, a cajoling rather than commanding tone better provides them with the information they need to make a decision about fish consumption. Segmenting audiences regarding information needs and communication formats may help clarify which approaches to take with each audience.
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    Risk analysis 18 (1998), S. 0 
    ISSN: 1539-6924
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    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: Using exploratory data analysis, probability plots, scatterplots, and computer animations to rotate and visualize the data, we fit a trivariate Normal distribution to data for the height, the natural logarithm of body weight, and the body fat for 646 men between the ages of 50 and 80 years as reported by the medical staff of the U.S. Veterans Administration's “Normative Aging Study” in Boston, MA. Although these data do not include any children, women, or young men, the measurements represent the best data that we could find through a 4-year search. We believe that these data are well measured and reliable for men in the specified age range and that these data reveal an interesting statistical pattern for use in probabilistic PBPK models.
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    Risk analysis 18 (1998), S. 0 
    ISSN: 1539-6924
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    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: Significant research work has been completed in the development of risk-based inservice inspection (ISI) and testing (IST) technology for nuclear power plant applications through the ASME Center For Research and Technology Development. This paper provides technology that has been developed for these engineering applications. The technology includes risk-based ranking methods, beginning with the use of plant probabilistic risk assessment (PRA), for the determination of risk-significant and less risk-significant components for inspection and the determination of similar populations for pumps and valves for inservice testing. Decision analysis methods are outlined for developing ISI and IST programs. This methodology integrates nondestructive examination data, structural reliability/risk assessment results, PRA results, failure data, and expert opinion to evaluate the effectiveness of ISI programs. Similarly, decision analysis uses the output of failure mode and causes analysis in combination with data, expert opinion, and PRA results to evaluate the effectiveness of IST programs. Results of pilot applications of these ASME methods to actual nuclear plant systems and components are summarized. The results of this work are already being used to develop recommended changes in ISI and IST requirements by the ASME Section XI and the ASME Operation and Maintenance Code organizations. A perspective on Code and regulatory adoption is also outlined. Finally, the potential benefits to the nuclear industry in terms of safety, person-rem exposure, and costs are summarized.
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    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: Probabilistic Seismic Hazard Analysis (PSHA) is a methodology that estimates the likelihood that various levels of earthquake-caused ground motions will be exceeded at a given location in a given future time period. Due to large uncertainties in all of the geosciences data and in their modeling, multiple model interpretations are often possible. This leads to disagreements among the experts, which in the past has led to disagreement on the selection of a ground motion for design at a given site. This paper reports on a project, co-sponsored by the U.S. Nuclear Regulatory Commission, the U.S. Department of Energy, and the Electric Power Research Institute, that was undertaken to review the state-of-the-art and improve on the overall stability of the PSHA process, by providing methodological guidance on how to perform a PSHA. The project reviewed past studies and examined ways to improve on the present state-of-the-art. In analyzing past PSHA studies, the most important conclusion is that differences in PSHA results are commonly due to process rather than technical differences. Thus, the project concentrated heavily on developing process recommendations, especially on the use of multiple experts, and this paper reports on those process recommendations. The problem of facilitating and integrating the judgments of a diverse group of experts is analyzed in detail. The authors believe that the concepts and process principles apply just as well to non-earthquake fields such as volcanic hazard, flood risk, nuclear-plant safety, and climate change.
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  • 61
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    Risk analysis 18 (1998), S. 0 
    ISSN: 1539-6924
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    Topics: Energy, Environment Protection, Nuclear Power Engineering
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  • 62
    ISSN: 1539-6924
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: Trichloroacetic acid (TCA) is major metabolite of trichloroethylene (TRI) thought to contribute to its hepatocarcinogenic effects in mice. Recent studies have shown that peak blood concentrations of TCA in rats do not occur until approximately 12 hours following an oral dose of TRI. However, blood concentrations of TRI reach maximum within an hour and are nondetectable after 2 hours.(1) The results of study which examined the enterohepatic recirculation (EHC) of the principle TRI metabolited(2) was used to develop physiologically-based pharmacokinetic model for TRI, which includes enterohepatic recirculation of its metabolites. The model quantitatively predicts the uptake, distribution and elimination of TRI, trichloroethanol, trichloroethanol-glucuronide, and TCA and includes production of metabolites through the enterohepatic recirculation pathway. Physiologic parameters used in the model were obtained from the literature.(3.4) Parameters for TRI metabolism were taken from Fisher et al.(5) Other kinetic parameters were found in the literature or estimated from experimental data.(2) The model was calibrated to data from experiments of an earlier study where TRI was orally administered(2) Verification of the model was conducted using data on the enterohepatic recirculation of TCEOH and TCA(2) chloral hydrate data (infusion doses) from Merdink,(1) and TRI data from Templin(l) and Larson and Bull.(1)
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  • 63
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    Risk analysis 18 (1998), S. 0 
    ISSN: 1539-6924
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: Estimates were made of the numbers of liver carcinogens in 390 long-term bioassays conducted by the National Toxicology Program (NTP). These estimates were obtained from examination of the global pattern of p-values obtained from statistical tests applied to individual bioassays. Representative estimates of the number of liver carcinogens (90% confidence interval in parentheses) obtained in our analysis compared to NTP's determination are as follows: female rats—49 (23, 76), NTP = 30; male rats—88 (59, 116), NTP = 35; female mice—131 (105, 157), NTP = 81; male mice—100 (73, 126), NTP = 61; overall—166 (135, 197), NTP = 108. The estimator from which these estimates were obtained is biased low by an unknown amount. Consequently, this study provides persuasive evidence of the existence of more rodent liver carcinogens than were identified by the NTP.
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  • 64
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    Risk analysis 18 (1998), S. 0 
    ISSN: 1539-6924
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    Topics: Energy, Environment Protection, Nuclear Power Engineering
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  • 65
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    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Geosciences
    Notes: Abstract The enthalpy of reaction of plagioclase and pyroxene to produce garnet and quartz has been a major source of error in granulite geobarometry because of relatively uncertain enthalpy values available from high-temperature solution calorimetry and compiled indirectly from experimental phase equilibria. Recent, improved calorimetric measurements of ΔHR are shown to yield palaeopressures which are internally consistent between orthopyroxene and clinopyroxene calibrations for many South Indian granulites from the Archaean high-grade terranes of southern Karnataka and northern Tamil Nadu. This represents a considerable improvement over previous calibrations, which gave disparate results for the two independent barometers involving orthopyroxene and clinopyroxene, requiring a 2-kbar ‘empirical adjustment’to force agreement.Palaeopressures thus calculated for 30 well-documented two-pyroxene garnet granulites from South India give internally consistent pressures with a mean of 8.1°1.1 kbar at 750°C, consistent with the presence of both kyanite and sillimanite in many areas. Those samples for which garnet–pyroxene exchange thermometers give plausible granulite-range temperatures and whose minerals are minimally zoned give the best agreement of the two barometers. Samples which yield low palaeotemperatures and different rim and core compositions of minerals yield pressures for the orthopyroxene assemblage as much as 2 kbar lower than for the assemblage with clinopyroxene. This disparity probably represents post-metamorphic-peak re-equilibration. We conclude that considerable confidence may be placed in geobarometry of two-pyroxene granulites where apparent palaeotemperatures are in the granulite facies range (〉700°C) and where mineral zonation is minimal. Of the several possible sets of activity–composition relations in use, those constructed from analysis of phase equilibria give slightly higher palaeopressures and appear more consistent with analytical data from the Nilgiri Hills uplift, where kyanite is the only aluminium silicate reported to be stable in peak-metamorphic assemblages. The present results support a palaeopressure gradient, increasing generally from south to north, across the Nilgiri Hills as inferred by previous geobarometry.
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  • 66
    ISSN: 1525-1314
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    Topics: Geosciences
    Notes: Abstract A major episode of continental crust formation, associated with granulite facies metamorphism, occurred at 2.55–2.51 Ga and was related to accretional processes of juvenile crust. Dating of tonalitic–trondhjemitic, granitic gneisses and charnockites from the Krishnagiri area of South India indicates that magmatic protoliths are 2550–2530 ± 5 Ma, as shown by both U–Pb and 207Pb/206Pb single zircon methods. Monazite ages indicate high temperatures of cooling corresponding to conditions close to granulite facies metamorphism at 2510 ± 10 Ma. These data provide precise time constraints and Sr–Nd isotopes confirm the existence of late tonalitic–granodioritic juvenile gneisses at 2550 Ma. Pb single zircon ages from the older Peninsular gneisses (Gorur–Hassan area) are in agreement with some previous Sr ages and range between 3200 ± 20 and 3328 ± 10 Ma. These gneisses were derived from a 3.3–3.5-Ga mantle source as indicated from Nd isotopes. They did not participate significantly in the genesis of the 2.55-Ga juvenile magmas. All these data, together with previous work, suggest that the 2.51-Ga granulite facies metamorphism occurred near the contact of the ancient Peninsular gneisses and the 2.55–2.52-Ga ‘juvenile’tonalitic–trondhjemitic terranes during synaccretional processes (subduction, mantle plume?). Rb–Sr biotite ages between 2060 and 2340 Ma indicate late cooling probably related to the dextral major east–west shearing which displaced the 2.5-Ga juvenile terranes toward the west.
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  • 67
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    Journal of metamorphic geology 11 (1993), S. 0 
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  • 68
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    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
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    Topics: Geosciences
    Notes: Abstract The formation of spiral-shaped inclusion trails (SSITs) is problematical, and the two viable models for their formation involve opposite shear senses along the foliation in which the porphyroblasts are growing. One model argues for porphyroblast rotation, with respect to a geographically fixed reference frame, whereas the other argues for no such porphyroblast rotation, but instead rotation of the matrix foliation around the porphyroblast. Thus, porphyroblasts with SSITs cannot be used as shear-sense indicators until it is conclusively determined which model best explains them.Any successful model must explain features associated with SSITs, including: (1) foliation truncation zones, (2) smoothly curving SSITs, (3) millipede microstructure, (4) total inclusion-trail curvature in median sections, (5) porphyroblasts with SSITs that have grown together, (6) evidence for relative porphyroblast displacements, (7) shear-sense indicators inside and outside porphyroblasts; (8) crenulations associated with porphyroblasts and (9) geometries in sections subparallel to spiral axes (axes of rotation). A detailed study of these features suggests that most, if not all, can be explained by both the rotational and non-rotational models, in spite of these models involving diametrically opposed movement senses. Therefore, geometrical analysis of individual porphyroblast microstructures may not determine which model best explains SSITs until the kinematics required to form these microstructures are better understood, in particular the sense of shear along a developing crenulation cleavage. Specific tests for determining the shear sense along crenulation cleavages are proposed, and results of such tests may conclusively resolve the debate over how SSITs form.
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  • 69
    ISSN: 1525-1314
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    Topics: Geosciences
    Notes: Abstract The Mesozoic Murihiku and Waipapa terranes are two accretionary wedges of linked forearc and trench sediments, respectively, that were juxtaposed in the early Cretaceous.Late Triassic to late Jurassic Murihiku terrane volcaniclastic sediments are folded into a regional syncline and have been diagenetically altered. There is a general relationship between zeolite occurrence, clay mineralogy, vitrinite reflectance and stratigraphic position. Youngest Jurassic sediments contain heulandite, analcime and stilbite, whereas late Triassic to mid-Jurassic sediments have laumontite and heulandite (in detail the zeolite distribution is complicated). Tuffaceous horizons on the eastern limb of the syncline are calcitized rather than zeolitized. Post-diagenetic fractures associated with uplift are laumontite-filled. The inferred geothermal gradient is c. 15° C km−1.The Waipapa terrane is an accretionary complex dominated by imbricated terrigenous sediments of Triassic and Jurassic age with enclosed Permian to Jurassic pelagic sediments and basalts. Late Jurassic sediments are massive volaniclastic sandstones. The sediments are non-foliated, and metamorphic minerals in the massive sandstones have crystallized in specific domains. The observed metamorphic succession of prehnite-pumpellyite and pumpellyite-actinolite facies assemblages was overprinted in the imbricated rocks during a thermal event that was late in the deformation sequence and broadly coincident with hydraulic fracturing and veining.The metamorphic successions in the two terranes and their relationships to structural features are in excellent accord with accretionary complex models.
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  • 70
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    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
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    Topics: Geosciences
    Notes: Abstract The Siluro-Devonian Waits River Formation of north-east Vermont was deformed, intruded by plutons and regionally metamorphosed during the Devonian Acadian Orogeny. Five metamorphic zones were mapped based on the mineralogy of carbonate rocks. From low to high grade, these are: (1) ankerite-albite, (2) ankerite-oligoclase, (3) biotite, (4) amphibole and (5) diopside zones. Pressure was near 4.5kbar and temperature varied from c. 450° C in the ankerite-albite zone to c. 525° C in the diopside zone. Fluid composition for all metamorphic zones was estimated from mineral equilibria. Average calculated χco2[= CO2/(CO2+ H2O)] of fluid in equilibrium with the marls increases with increasing grade from 0.05 in the ankerite-oligoclase zone, to 0.25 in the biotite zone and to 0.44 in the amphibole zone. In the diopside zone, χCO2 decreases to 0.06.Model prograde metamorphic reactions were derived from measured modes, mineral chemistry, and whole-rock chemistry. Prograde reactions involved decarbonation with an evolved volatile mixture of χCO2 〉 0.50. The χCO2 of fluid in equilibrium with rocks from all zones, however, was generally 〈0.40. This difference attests to the infiltration of a reactive H2O-rich fluid during metamorphism. Metamorphosed carbonate rocks from the formation suggests that both heat flow and pervasive infiltration of a reactive H2O-rich fluid drove mineral reactions during metamorphism. Average time-integrated volume fluxes (cm3 fluid/cm2 rock), calculated from the standard equation for coupled fluid flow and reaction in porous media, are (1) ankerite-oligoclase zone: c. 1 × 104; (2) biotite zone: c. 3 × 104; (3) amphibole zone: c. 10 × 104; and diopside zone: c. 60 × 104. The increase in calculated flux with increasing grade is at least in part the result of internal production of volatiles from prograde reactions in pelitic schists and metacarbonate rocks within the Waits River Formation.The mapped pattern of time-integrated fluxes indicates that the Strafford-Willoughby Arch and the numerous igneous intrusions in the field area focused fluid flow during metamorphism. Many rock specimens in the diopside zone experienced extreme alkali depletion and also record low χCO2. Metamorphic fluids in equilibrium with diopside zone rocks may therefore represent a mixture of acid, H2O-rich fluids given off by the crystallizing magmas, and CO2-H2O fluids produced by devolatilization reactions in the host marls. Higher fluxes and different fluid compositions recorded near the plutons suggest that pluton-driven hydrothermal cells were local highs in the larger regional metamorphic hydrothermal system.
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  • 71
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    Journal of metamorphic geology 11 (1993), S. 0 
    ISSN: 1525-1314
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    Topics: Geosciences
    Notes: Abstract Natural, pure CO2 inclusions in quartz and olivine (c. Fo90) were exposed to controlled fH2 conditions at T= 718–728°C and Ptotal= 2 kbar; their compositions were monitored (before and after exposures) by microsampling Raman spectroscopy (MRS) and microthermometry. In both minerals exposed at the graphite–methane buffer (fH2= 73 bar), fluid speciations record the diffusion of hydrogen into the inclusions. In quartz, room-temperature products in euhedral isolated (EI type) inclusions are carbonic phases with molar compositions of c. CO2(60) + CH4(40) plus graphite (Gr) and H2O, whereas anhedral inclusions along secondary fractures (AS type) are Gr-free and contain H2O plus carbonic phases with compositions in the range c. CO2(60) + CH4(40) to CO2(10) + CH4(90). EI type inclusions in olivine evolved to c. CO2(90–95) + CH4(5–10) without Gr, whereas AS type inclusions have a range of compositions from CO2(90) + CH4(10) ± Gr to CH4(50) + H2(50) ± Gr; neither H2O nor any hydrous species was detected by optical microscopy or MRS in the olivine-hosted products. Differences in composition between and among the texturally distinct populations of inclusions in both minerals probably arise from variations in initial fluid densities, as all inclusions apparently equilibrated with the ambient fH2. These relations suggest that compositional variability among inclusions in a given natural sample does not require the entrapment of multiple generations of fluids. In addition, the absence of H2O in the olivine-hosted inclusions would require the extraction of oxygen from the fluids, in which case re-equilibration mechanisms may be dependent on the composition and structure of the host mineral.Many of the same samples were re-exposed to identical P–T conditions using Ar as the pressure medium, yielding ambient fH2= 0.06 bar. In most inclusions, the carbonic fluids returned to pure CO2 and graphite persisted in the products. Reversal of the mechanisms from the prior exposure at fH2= 73 bar did not occur in any inclusions but the AS types in olivine, in which minor CO2 was produced at the expense of CH4 and/or graphite. The observed non-reversibility of previous mechanisms may be attributed to: (1) slower fluid–solid reactions compared to reactions in the homogeneous fluid phase; (2) depressed activities of graphite due to poor ordering; and/or (3) low ambient fO2 at the conditions of the second run.
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  • 72
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    Restoration ecology 1 (1993), S. 0 
    ISSN: 1526-100X
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    Topics: Biology
    Notes: Books reviewed in this article: Directing Ecological Succession. James O. Luken Soil Restoration: Advances in Soil Science, vol. 17. Rattan Lai and B. A. Stewart, editors
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    Restoration ecology 1 (1993), S. 0 
    ISSN: 1526-100X
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    Topics: Biology
    Notes: The Pinelands National Reserve and UNESCO Biosphere encompass a large portion of southern New Jersey's Pine Barrens. Within the core preservation zone of these Reserves lies the Warren Grove Weapons Range, a military installation where exercises during the past 50 years have devastated portions of the indigenous pygmy pine-oak forest. In 1987, restoration efforts were initiated to identify materials and techniques that promote a diverse and productive native plant community atop drastically disturbed portions of the range. We used trial plantings to examine fertilizer and sewage compost fertility amendments, the effect of different native plant mixtures (including the dwarfed race of pitch pine, Pinus rigida), the influence of the ectomycorrhizal fungus Pisolithus tinctorius on the growth of pines and associated species, and mulch applications to conserve moisture and add organic matter. Following two growing seasons, test plantings exhibited 25% of the vegetation production found in the surrounding pine-oak community, 50% canopy closure, and levels of diversity comparable to the reference site. Maximum biomass and cover were achieved following the application of 16 Mg/ha compost and the establishment of pitch pine seedlings. Pitch pine was the dominant species in all plots where it was planted, with herbaceous species comprising the balance of the developing vegetation. Amendments of seeded grasses, P. tinctorius, and mulch influenced species composition but failed to enhance total plant production. We recommend restoring drastically disturbed sites in the pine plains with cultural input of compost to the spoils and planting of pitch pines and other woody species to accelerate the structural blending of reforested sites with the surrounding native vegetation.
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    Restoration ecology 1 (1993), S. 0 
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    Restoration ecology 1 (1993), S. 0 
    ISSN: 1526-100X
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    Topics: Biology
    Notes: A general model is presented describing ecosystem degradation to help decide when restoration, rehabilitation, or reallocation should be the preferred response. The latter two pathways are suggested when one or more “thresholds of irreversibility” have been crossed in the course of ecosystem degradation, and when “passive” restoration to a presumed predisturbance condition is deemed impossible. The young but burgeoning field of ecological restoration, and the older field of rehabilitation and sustainable range management of arid and semiarid lands (ASAL), are found to have much in common, especially compared with the reallocation of lands, which is often carried out without reference to pre-existing ecosystems. After clarifying some basic terminology, we present 18 vital ecosystem attributes for evaluating stages of degradation and planning experiments in the restoration or rehabilitation of degraded ecosystems. Finally, we offer 10 hypotheses concerning ecological restoration and rehabilitation as they apply to ASAL and perhaps to all terrestrial ecosystems.
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  • 76
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    Restoration ecology 1 (1993), S. 0 
    ISSN: 1526-100X
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    Topics: Biology
    Notes: Experiments were conducted in the field and the greenhouse to determine whether vesicular-arbus-cular mycorrhizae affect growth and competition between the native perennial Stipa pulchra and the introduced annual Avena barbata. Soils in the greenhouse were steam-sterilized, and in the field they were treated with the fungicide benomyl. Stipa pulchra showed decreased shoot dry mass and increased root mass when inoculated, while A. barbata showed the opposite response, increased shoot mass and decreased root mass. Mycorrhizal A. barbata also produced more seeds. Mycorrhizae did not alleviate the negative effects of competition of A. barbata on S. pulchra, as has been demonstrated for other pairs of weedy and nonweedy species. The same three species of mycorrhizal fungi were present in annual and perennial grasslands, but their relative composition was different. When inoculum from the two grassland types were tested in the field, the fungal species began to revert within five months to the species composition found in grasslands of the host plant. This indicates that, once annual grassland has been revegetated with the native S. pulchra, the original fungal species composition may return relatively quickly. Where A. barbata dominates, inoculation with mycorrhizal fungi alone will not suffice for establishing S. pulchra, and the usual practices for control of weed competition need to be employed.
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    Restoration ecology 1 (1993), S. 0 
    ISSN: 1526-100X
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    Topics: Biology
    Notes: Herbaria are potentially important repositories of living seeds that could be useful for recovery of rare plant species. To examine this capacity, we tested seed germination of rare milkweed (Asclepias) and milkvetch (Astragalus) species representing different collection dates and different herbaria. These groups have contrasting seed characteristics, with greater potential for longevity in the nonpermeable hard-coated milkvetch seeds. Twelve-year-old Asclepias lanuginosa seeds failed to germinate. However, we achieved 45% germination from three-year-old Asclepias meadii seeds, but germination dropped to 0% after ages of four to five years. Astragalus neglectus seeds germinated from 97-, 48-, and 28-year-old herbarium specimens, and Astragalus tennesseensis seeds germinated from a four-year-old collection. Seedlings produced from these experiments were incorporated into ex situ garden populations for recovery or restoration of rare species populations. Different herbarium pest control techniques may have significant bearing on the viability of seeds stored on herbarium specimens. Microwaving can cause precipitous loss of seed viability, while deep-freezing appears to allow some seeds to remain viable. Potentially live seeds of rare species should be stored under conditions that enhance their long-term viability.
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    Restoration ecology 1 (1993), S. 0 
    ISSN: 1526-100X
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    Topics: Biology
    Notes: The microbial community in a soil stripped and stored during opencast coal mining was analyzed. There were significant effects of soil disturbance on the microbial community: in particular, there were large decreases in the total microbial biomass, as determined by ATP analysis, and numbers of fungal propagules as a result of the store construction process, but there was no significant effect on the numbers of bacteria. During the subsequent months of storage there was a flush in the numbers of bacteria, with gram-negative bacteria showing an increase of nearly 700% in comparison to the control. During this time there was a steady accumulation in the amount of ammonium in the deepest part of the soil store, indicating the onset of anaerobiosis. These changes may be interpreted in terms of lifestyle strategy theory (Grime 1979). The bacteria exhibit behavior typical of R-strategists, or ruderal species, taking advantage of the nutrients made available by the death of fungal biomass during store construction. Fungi respond as C-strategists, or competitors, and they are severely affected by store construction-and unable to persist deep in the anaerobic part of the store. In contrast, anaerobes, S-strategists or stresstolerators, are able to survive under the same conditions. These changes have serious implications for the restoration of systems using stored topsoil as a resource. The microbial population has been altered in terms of its size and composition. Many of the fungi required for adequate breakdown and incorporation of organic matter will be absent, and the soils will be generally poor in microbial biomass. This will lead to inadequate nutrient cycling and poor soil structural stability, two factors essential for the restoration of a self-sustaining ecosystem.
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    ISSN: 1526-100X
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    Topics: Biology
    Notes: In order to extend quarrying near Thrislington Plantation, County Durham, England, 8.5 ha of magnesian limestone grassland was relocated over a period of eight years from October 1982. The effects of this on the flora and invertebrate fauna were examined within the Festuca-Helianthemum community at five plots relocated at different times. Plants were sampled with a point-quadrat, and invertebrates by pitfall trapping. Comparisons were made between age of the relocation, numbers of species and individuals, and diversity of flora and invertebrates. The plots were examined using the percentage similarity measure. The plots showed an initial change in some aspects of community structure for flora and invertebrate fauna, followed by a “recovery” period. This was particularly evident in the numbers of species and species diversity of plants and in the numbers of individuals and species diversity of invertebrates. Bare ground, left by the relocation process, was still evident between relocated turfs in the early plots, but it was successfully colonized by resident species in later plots. These results have implications for the future management of this and similar sites, particularly with respect to the emphasis placed on subsequent monitoring and the need to consider invertebrate faunas when implementing management strategies.
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    Topics: Biology
    Notes: 〈blockFixed type="quotation"〉We now recognize that humans have the power to alter the planet irreversibly, on a global scale. Humans must be concerned with the condition of the planet that is passed to future generations./〉
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    Journal of economics & management strategy 2 (1993), S. 0 
    ISSN: 1530-9134
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Economics
    Notes: Bidders in hostile takeovers have colluded in five separate instances. It is found that these collusive agreements did not affect the target's price significantly. A model is developed to explain this observation. A welfare analysis indicates that a positive probability of cartel formation can be socially beneficial and may or may not be beneficial to the target's shareholders, depending on the process generating takeover attempts. This sheds light on the existing policy debate concerning regulations of collusive agreements. An analysis of the existing case law is provided, which indicates that such collusive arrangements are legal at present.
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    Journal of economics & management strategy 2 (1993), S. 0 
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    Topics: Economics
    Notes: 〈blockFixed type="quotation"〉The Directors of … Companies … being the managers rather of other people's money than of their own, it cannot well be expected that they should watch over it with the same anxious vigilance with which the partners in private copartnery frequently watch over their own.—Adam Smith, 1776, Wealth of Nations
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    Journal of economics & management strategy 2 (1993), S. 0 
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    Topics: Economics
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    Journal of economics & management strategy 2 (1993), S. 0 
    ISSN: 1530-9134
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Economics
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    Risk analysis 18 (1998), S. 0 
    ISSN: 1539-6924
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Energy, Environment Protection, Nuclear Power Engineering
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    Risk analysis 18 (1998), S. 0 
    ISSN: 1539-6924
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: Evaluating alternatives for restoring the Everglades involves analysis of a complex ecological and economic system for which current knowledge is limited. Uncertain benefits and impacts are analyzed probabilistically in this paper, following otherwise accepted principles of net present value (NPV) analysis. Ecological benefits and impacts were considered in monetary terms. Probabilities for selected uncertain parameters were found by maximizing entropy. The first ecological risk conceptual model for the Everglades ecosystem was developed to show ecological interactions. “Current Plans” for restoration involve discharge of phosphorus-enriched water from artificial wetlands to relatively pristine Everglades marshes for 3–10 years, risking conversion of the ecosystem to a eutrophic cattail marsh. For two of the three areas studied, alternative “Bypass Plans” were shown to avoid the loss of up to 3000 acres of sawgrass marsh at a cost that is probabilistically justified by the value of the ecosystem preserved. Sensitivity of the results to projected ecological changes, eutrophic marsh valuation, natural marsh valuation, and future values as represented in the discount rate, was examined.
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    Risk analysis 18 (1998), S. 0 
    ISSN: 1539-6924
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: The motivation of the present work is to provide an auxiliary tool for the decision-maker (DM) faced with predictive model uncertainty. The tool is especially suited for the allocation of R&Dresources. When taking decisions under uncertainties, making use of the output from mathematical or computational models, the DM might be helped if the uncertainty in model predictions be decomposed in a quantitative-rather than qualitativefashion, apportioning uncertainty according to source. This would allow optimal use of resources to reduce the imprecision in the prediction. For complex models, such a decomposition of the uncertainty into constituent elements could be impractical as such, due to the large number of parameters involved. If instead parameters could be grouped into logical subsets, then the analysis could be more useful, also because the decision maker might likely have different perceptions (and degrees of acceptance) for different kinds of uncertainty. For instance, the decomposition in groups could involve one subset of factors for each constituent module of the model; or one set for the weights, and one for the factors in a multicriteria analysis; or phenomenological parameters of the model vs. factors driving the model configuratiodstructure aggregation level, etc.); finally, one might imagine that a partition of the uncertainty could be sought between stochastic (or aleatory) and subjective (or epistemic) uncertainty. The present note shows how to compute rigorous decomposition of the output's variance with grouped parameters, and how this approach may be beneficial for the efficiency and transparency of the analysis.
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    Risk analysis 18 (1998), S. 0 
    ISSN: 1539-6924
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: The concept of vulnerability of complex industrial systems is defined and discussed in relation to risk and system survivability. The discussion is illustrated by referring to a number of previous industrial accidents. The various risk factors, or threats, influencing an industrial system's vulnerability are classified and discussed. Both internal and external threats are covered. The general scope of vulnerability analysis is compared to traditional risk analysis approaches and main differences are illustrated. A general procedure for vulnerability analysis in two steps, including building of scenarios and preparation of relevant worksheets, is described and discussed.
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  • 89
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    Risk analysis 18 (1998), S. 0 
    ISSN: 1539-6924
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Energy, Environment Protection, Nuclear Power Engineering
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  • 90
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    Risk analysis 18 (1998), S. 0 
    ISSN: 1539-6924
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: The current safety criteria for a high hazard dam focus on protecting the dam during a large flood. While protecting the dam does help to protect downstream people and property, the two objectives are not the same. Instead, the criteria should focus on lowering property damage (including damage to the dam) and preventing flood deaths.High hazard dams must survive a design flood in the current safety criteria. However, experts don't agree on the size of the peak flow that meets this criteria.Statistical hydrologists have proposed an alternative to using professional judgment to specify the design flood. Unfortunately, peak flow distributions cannot be estimated with confidence for extreme floods given available data.A major safety goal is to prevent deaths from floods. Preventing deaths is a major reason for constructing the spillway to handle extreme floods so that the dam doesn't fail due to overtopping. However, even if the dam doesn't fail, the spilled floods could cause many deaths. A better approach is to warn people to get them out of harm's way if a flood is coming.Retrofitting existing dams that could pass a “probable maximum flood” (PMF) when built is almost never a good use of funds. Instead, funds would be spent better by focusing on preventing damage from small floods, lowering the damage from medium-sized floods, and warning people in the event of a flood that could pose risks to life.
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  • 91
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    Risk analysis 18 (1998), S. 0 
    ISSN: 1539-6924
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: This paper describes and illustrates the architecture of computer-based Dynamic Risk Management Systems (DRMS) designed to assist real-time risk management decisions for complex physical systems, for example, engineered systems such as offshore platforms or medical systems such as patient treatment in Intensive Care Units. A key characteristic of the DRMSs that we describe is that they are hybrid, combining the powers of Probabilistic Risk Analysis methods and heuristic Artificial Intelligence techniques. A control module determines whether the situation corresponds to a specific rule or regulation, and is clear enough or urgent enough for an expert system to make an immediate recommendation without further analysis of the risks involved. Alternatively, if time permits and if the uncertainties justify it, a risk and decision analysis module formulates and evaluates options, including that of gathering further information. This feature is particularly critical since, most of the time, the physical system is only partially observable, i.e., the signals observed may not permit unambiguous characterization of its state. The DRMS structure is also dynamic in that, for a given time window (e.g., 1 day or 1 hour), it anticipates the physical system's state (and, when appropriate, performs a risk analysis) accounting for its evolution, its mode of operations, the predicted external loads and problems, and the possible changes in the set of available options. Therefore, we specifically address the issue of dynamic information gathering for decision-making purposes. The concepts are illustrated focusing on the risk and decision analysis modules for a particular case of real-time risk management on board offshore oil platforms, namely of two types of gas compressor leaks, one progressive and one catastrophic. We describe briefly the DRMS proof-of-concept produced at Stanford, and the prototype (ARMS) that is being constructed by Bureau Veritas (Paris) based on these concepts.
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  • 92
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    Risk analysis 18 (1998), S. 0 
    ISSN: 1539-6924
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    Topics: Energy, Environment Protection, Nuclear Power Engineering
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    Risk analysis 18 (1998), S. 0 
    ISSN: 1539-6924
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: Identifying the causes of accidents is a necessary prerequisite for preventive action. Some research suggests however that the analysis of accidents does not only differ between experts and laymen but that it is also linked to certain characteristics inherent in the analyst and in the social group to which he belongs: beliefs, value systems, norms, experiences in common, attitudes, roles, social and technical practices, etc. Culturally determined bias seems to affect the perception of risk and the causes of accidents. This article presents a certain number of thoughts and results based upon research carried out on causal attributions of traffic accidents in The Ivory Coast (West Africa) and discusses the importance of culture in risk-taking and accident prevention. It shows in particular that fatalistic beliefs and mystical practices influence the perception of accidents and consequently incite one to take more risks and neglect safety measures.
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    Risk analysis 18 (1998), S. 0 
    ISSN: 1539-6924
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: Since substantial bias can result from assigning some type of mean exposure to a group, risk assessments based on epidemiological data should avoid the grouping of data whenever possible. However, ungrouped data are frequently unavailable, and the question arises as to whether an arithmetic or geometric mean is the most appropriate summary measure of exposure. It is argued in this paper that one should use the type of mean for which the total risk that would result if every member of the population was exposed to the mean level is as close as possible to the actual total population risk. Using this criterion an arithmetic mean is always preferred over a geometric mean whenever the dose response is convex. In each of several data sets examined in this paper for which the dose response was not convex, an arithmetic mean was still preferred based on this criterion.
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    Risk analysis 18 (1998), S. 0 
    ISSN: 1539-6924
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: Developmental anomalies resulting from prenatal toxicity can be manifested in terms of both malformations among surviving offspring and prenatal death. Although these two endpoints have traditionally been analyzed separately in the assessment of risk, multivariate methods of risk characterization have recently been proposed. We examined this and other issues in developmental toxicity risk assessment by evaluating the accuracy and precision of estimates of the effective dose (ED05) and the benchmark dose (BMD05) using computer simulation. Our results indicated that different variance structures (Dirichlet-trinomial and generalized linear model) used to characterize overdispersion yielded comparable results when fitting joint dose response models based on generalized estimating equations. (The choice of variance structure in separate modeling was also not critical.) However, using the Rao-Scott transformation to eliminate overdispersion tended to produce estimates of the ED05 with reduced bias and mean squared error. Because joint modeling ensures that the ED05 for overall toxicity (based on both malformations and prenatal death) is always less than the ED05 for either malformations or prenatal death, joint modeling is preferred to separate modeling for risk assessment purposes.
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    Risk analysis 18 (1998), S. 0 
    ISSN: 1539-6924
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: Nineteen Senior Managers of a major chemical company in the United Kingdom participated in a survey to determine their attitudes, beliefs, and perceptions regarding risks from chemicals. Similar surveys had previously been conducted with toxicologists and members of the general public in the United States and Canada. In general, the Senior Managers tended to judge risks to be quite small for most chemicals. Moreover, they had lower risk perceptions than did members of the British Toxicological Society and even far lower perceptions of risk than a comparison group of members of the Canadian public. The managers held views that were similar to British toxicologists working in industry and government and dissimilar to the views of toxicologists working in academia. The observed differences between views of managers, toxicologists, and the public must be recognized and understood in order to facilitate communication and constructive efforts to manage chemical risks.
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    Risk analysis 18 (1998), S. 0 
    ISSN: 1539-6924
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: The construction industry is both the largest civilian industry and the most unique in terms of fragmentation and its approach to controlling risk. Structural specifications establish nominal safety factors and design criteria for engineered structures such as buildings, bridges, dams, and power facilities. The goal is satisfactory strength capacity to safely and economically meet the demands of structural performance. Structures must resist the highly uncertain effects of combined gravity, earthquakes, wind, and snow loads supported by natural and human-made materials. The public's expectation is that structures should last a long time and have low lifetime risk of structural failure. Historically, specifications have contained safety factors which evolved from past experiences and provided adequate safety or low risk. Due to pressures of economy and the need to optimize structural performance, structural specifications have recently been developed and accepted by industry based on structural reliability and risk-assessment principles. This paper reviews developments of probabilistic applications in structural specifications including specification format, database, implementation examples, target risk levels, present research activities, and future goals for establishing optimal risk-design procedures.
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  • 98
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    Risk analysis 18 (1998), S. 0 
    ISSN: 1539-6924
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: Importance measures have been useful in the process of extracting insights from risk analyses. Importance measures have also been suggested for use in component classification. However, there are difficulties of interpretation associated with component classification based on importance measures. This paper briefly reviews an alternative method, “Top Event Prevention Analysis,” and, based on a simple example, compares its key characteristics to those of conventional applications of importance measures. The methods are compared with respect to the task of formulating a safety case for a complex and potentially hazardous facility, in which component classification plays an important role. A key subtask is identification of a collection of design elements that is necessary and sufficient to achieve the desired level of protection of the public, the workers, and the environment. At the design stage, identifying this set helps to determine what elements to include in the final design. Separately, a similar selection process could be used in order to justify limiting the scope of regulatory oversight to a subset of design elements, on which a safety case is to be based. This step could be taken during initial review of a design, or later as part of an effort to justify relief from regulatory requirements that are burdensome but provide little actual risk reduction.〈section xml:id="abs1-1"〉〈title type="main"〉SUMMARYA safety case should arguably be based on a collection of design elements that combine to provide satisfactory plant response to important safety challenges, and provide this response with the desired reliability (achieved through redundancy and diversity in design, and programmatic support activities as necessary in implementation). The key property of such a collection resides in the set as a whole, and not in any single element: the implications of including or not including any given design element in the collection depend strongly on what other design elements are included. Given a logic model that comprehensively addresses plant response, reflecting all components under consideration, and a defense-in-depth safety standard of the kind discussed above, TEPA is capable of choosing prevention sets: subsets of components that have the desired defense-in-depth property, and are suitable candidates for serving as the nucleus of a safety case.Single-event importance measures cannot capture considerations like this, except perhaps as part of an arduous iterative reformulation of a logic model to successively remove and restore combinations of events in a trial-and-error approach to a self-consistent design solution. No method of applying conventional importance measures has been shown to produce solutions that are feasible in the sense of completing pathsets, nor is one expected. Interpreting the upper portion of a ranked list of components as a safety case would therefore be a misapplication of the importance measure concept.However, given a prevention set, one could apply importance measures to fine-tune the allocation of resources within this set. That is, one could compute importances within a model that took credit only for elements of the prevention set, and reason from there. Even in this case, some iteration might be required in order to achieve a self-consistent allocation (one for which the reliability credit taken for each component is commensurate with the resources allocated to it). In order to draw valid conclusions in an application of this type, one must recall that all importance measures are predicated on credit for all modeled components; it is invalid to infer that components can be dropped from a safety case on grounds of low calculated importance. In short, application of importance measures is valid when (a) the selection problem has been solved by other means, (b) the importances are calculated with credit only for selected components, and (c) the resources allocated to each component are commensurate with the level of credit taken for the component (e.g., credit for a component's availability is backed up by an appropriate test schedule.).A byproduct of this work is the observation that whether or not TEPA itself is applied to choose prevention sets, a useful litmus test to be applied to a safety case is simply whether it is based on a union of complete success paths. As discussed above, thinking of the safety case in this way has other benefits, in helping to identify unmodeled components and in helping to specify the demands that must be met by each component, so that programmatic activities necessary to ensure its function can be identified and carried out. This formulation of the safety case helps in thinking about the relationship between component performance and resources allocated to that component. Understanding this relationship is essential to optimizing the use of safety resources.The number of combinations (possible prevention sets) that must be examined grows very rapidly as the number of design elements and minimal cutsets increases. Therefore, many realistic problems will be very demanding computationally. To some extent, this could be considered a drawback of TEPA, but it should be understood that the underlying problem is combinatorially very difficult, and actual solutions to it should not be expected to come easily in all cases. Fortunately, as illustrated by the practical applications summarized above, many real large-scale problems have specific features that permit their solution by adaptations of the general approach.
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    Risk analysis 18 (1998), S. 0 
    ISSN: 1539-6924
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    Topics: Energy, Environment Protection, Nuclear Power Engineering
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    Risk analysis 18 (1998), S. 0 
    ISSN: 1539-6924
    Source: Blackwell Publishing Journal Backfiles 1879-2005
    Topics: Energy, Environment Protection, Nuclear Power Engineering
    Notes: This paper raises two questions, i.e., Are some people more prone to perceive hazards than others embedded in the same dangerous working environment?, and—if so—Is it possible to find distinguishing characteristics allowing us to profile this worker segment? A survey study was conducted among catering personnel working on a drilling platform at the continental shelf in the North sea. It was observed that some people more than others perceived hazards in their working environment. By contrasting the extreme groups, i.e., the high and low hazards perceivers it was found that sociodemographics, e.g., gender, marital status, age and working experience possessed no descriptive power. However, the findings revealed that the worker segment prone to perceive high hazards also reported higher degree of burnout, anxiety and depression than did the low hazards perceivers. They (the high hazards perceivers) were also less satisfied with their stay on the platform, and they reported more health problems as well. The findings indicate that hazards perceptions of hazards go beyond mere “cold cognition,” also tapping into negatively feelings and emotional states. Theoretical and practical implications are highlighted.
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