Science
Faster alerts for California megaquakes: Early-warning system gets major upgrade
California’s earthquake early-warning system is getting a seismic upgrade, one that will allow residents to receive more timely alerts about shaking from an incoming megaquake.
The upgrade, also available in Oregon and Washington, will provide features important for warnings about the “Big One.”
The improvements could mean that, depending on where they are and where the quake begins, Californians would receive an earlier, more accurate estimate of magnitude before the earth starts shaking — say from a magnitude 7.8 earthquake that begins on the San Andreas fault near the Mexican border and ruptures the fault toward Los Angeles County.
The upgrade also would improve warnings for the Pacific Northwest and California’s North Coast, which are threatened by tsunamis from quakes along the Cascadia subduction zone.
The U.S. Geological Survey and its nonprofit partner EarthScope announced the upgraded system Wednesday.
For the most powerful earthquakes, the improvements “become very, very critical in helping us get to the answer quicker — in terms of how big that event is,” said Robert de Groot, one of the operations team leaders of the USGS’ ShakeAlert System.
For smaller earthquakes, the older system worked “perfectly fine,” De Groot said. But with larger quakes, the magnitude could be underestimated for quite some time, robbing residents of crucial information in the seconds before they feel the most destructive shaking.
Let’s say an earthquake on the southern San Andreas fault that starts near the Mexican border ends up being a magnitude 8, but the earliest estimate says it’s a magnitude 6.5. The longer that underestimate is broadcasting to phones, the less likely people are to take appropriate action.
“People would react differently — much differently — than if you said it was a magnitude 8,” said David Mencin, vice president of data services for EarthScope, a nonprofit funded by the National Science Foundation, USGS and NASA that’s supplying data for the improved early-warning system.
“The largest, most destructive earthquakes are the ones that we’re really worried about,” Mencin said. “This fixes the problem of underestimating those magnitudes, which is critical.”
One of the most famous underestimations came in 2011 with the epic magnitude 9.1 earthquake that triggered a devastating tsunami off the eastern coast of Japan, leaving roughly 18,000 dead. An initial estimate put the quake’s magnitude at 7.9, meaning the actual earthquake was an astonishing 63 times stronger in terms of energy released.
That underestimation led to a misjudgment of tsunami heights — with some of the first detailed alerts erroneously estimating the tsunami would be lower than protective sea walls. And when communications were cut off, a false sense of security settled in, with many people never receiving accurate evacuation alerts.
Had Japan used GPS data, a more accurate magnitude of the quake could’ve been generated far more quickly, Mencin said.
The USGS’ West Coast earthquake early-warning system has long relied on hundreds of seismic sensors embedded in the ground. But there is only so much shaking they can detect in a short time.
“Seismometers tend to get overwhelmed for earthquakes that are magnitude 7 and greater. They can begin to get ‘saturated,’” Mencin said. During particularly intense shaking, the seismometers — basically objects on a spring — start to hit the wall of the instrument, and so the seismic signal is “clipped” and can’t quickly calculate magnitudes above a certain threshold.
Coming to the rescue now are hundreds of GPS sensors on Earth’s surface and run by EarthScope. Most of the time, these sensors track very slow movement, on the order of millimeters or less per year. That can illustrate subtle tectonic plate action between major earthquakes, illustrating how the Pacific plate, where L.A. is located, is nudging northwest relative to the North American plate, where the Mojave Desert is located.
But in a major earthquake, there is considerable, permanent movement of the ground, where one piece of land jolts away from the other, moving yards in seconds. In the great San Francisco earthquake of 1906, land on one side of the San Andreas fault generally jammed 8.5 feet past the other, De Groot said.
And in the last great southern San Andreas earthquake — rupturing the fault in 1857 between Monterey and San Bernardino counties — land on one side of the fault generally lurched 10 feet relative to the other side. Both the 1857 and 1906 earthquakes were somewhere around magnitude 7.8.
In the largest of the Ridgecrest earthquakes in 2019, there were about 2 feet of fault offset for the magnitude 7.1 quake, De Groot said.
The first calculation of the earthquake early-warning system will still rely on seismic sensors, which measure ground velocity and acceleration, De Groot said. Then, as a quake continues to rupture along a fault, GPS sensors will measure the distance a block of land has moved.
“What GPS allows us to do is to get a handle on how big that earthquake is getting — or could be — sooner,” De Groot said. That means the early-warning system could realize a quake was a magnitude 7, or higher, a few seconds earlier than before.
It’s important to know that an earthquake’s magnitude doesn’t appear instantly. Quakes rupture on a fault at the speed of sound through rock, which is slower than the light speed of today’s telecommunications systems. This is the principle that allows people farther away from the start of an earthquake to get seconds of advance warning of the worst shaking to come.
On the San Andreas fault, an earthquake that begins rupturing at the Salton Sea and ends at Mt. San Gorgonio, roughly 80 miles away, would produce a magnitude 7.3 earthquake.
A rupture of the San Andreas fault between the Salton Sea and Mt. San Gorgonio could produce a magnitude 7.3 quake.
(Angelica Quintero / Los Angeles Times)
But one that ruptures the entire 340-mile length of the southern San Andreas, ending in Monterey County, would create a magnitude 8.2 earthquake and produce shaking over a much wider swath of Southern and Central California.
A rupture of the entire 340-mile length of the southern San Andreas fault between Monterey County and the Salton Sea would produce a magnitude 8.2 earthquake.
(Angelica Quintero / Los Angeles Times)
“As the earthquake grows in size, it’ll be able to help update that magnitude more quickly and with more accuracy,” De Groot said of the GPS data, which will spread the early warnings to a larger region. “By adding in the [GPS] data, you actually get a handle on how big the earthquake really is sooner.”
The net result will “translate into longer warning times for people who could potentially get alerts on their phones,” De Groot said. That would give people more time to take action, such as surgeons and dentists moving sharp tools from near patients, allowing trains to slow to reduce the risk of derailment, opening firehouse doors before they can be jammed shut and giving the public time to drop, cover and hold on.
Depending on where people are, some may not get a warning before they feel the first shaking, which is known as the “P wave.” But the goal is to give a warning before the most damaging shaking occurs — the “S wave” — which comes later.
“What we really want to get people to know about is getting the alert before the strongest shaking,” De Groot said.
By the end of 2025, the USGS’ ShakeAlert — which is about 90% complete — is expected to have 1,675 seismic sensing stations. EarthScope says an additional 1,000 GPS stations run by the nonprofit are contributing data to the system.
EarthScope, the nation’s primary seismological and geodetic data facility, was recently formed as the merger of UNAVCO, which held an archive for GPS data, and IRIS, which held a seismic data archive.
The earthquake early-warning system has become more popular in recent years as people get more accustomed to the alerts. In February’s widely felt magnitude-4.6 earthquake in Malibu, some felt left out when they didn’t receive an early warning.
The alerts can be received by downloading the free MyShake app on iOS and Android. Android users are automatically subscribed to Android Earthquake Alerts. Those systems are set to sound an alarm when an earthquake is estimated to be of magnitude 4.5 or higher and the expected shaking intensity at the user’s cellphone location is expected to be at least “weak” — level 3 on the Modified Mercalli Intensity Scale, where it’s felt quite noticeably by people indoors and may rock standing motor vehicles slightly or feel like a truck is passing by.
Earthquakes of greater strength — magnitude 5 and above — will send users a wireless emergency alert, similar to an Amber Alert, if they’re in a location expected to get at least “light” shaking intensity. That’s level 4 on the Modified Mercalli Intensity Scale — shaking intensity enough to rattle dishes, windows and doors, and can feel like a heavy truck striking a building.
Science
In search for autism’s causes, look at genes, not vaccines, researchers say
Earlier this year, Health and Human Services Secretary Robert F. Kennedy Jr. pledged that the search for autism’s cause — a question that has kept researchers busy for the better part of six decades — would be over in just five months.
“By September, we will know what has caused the autism epidemic, and we’ll be able to eliminate those exposures,” Kennedy told President Trump during a Cabinet meeting in April.
That ambitious deadline has come and gone. But researchers and advocates say that Kennedy’s continued fixation on autism’s origins — and his frequent, inaccurate claims that childhood vaccines are somehow involved — is built on fundamental misunderstandings of the complex neurodevelopmental condition.
Even after more than half a century of research, no one yet knows exactly why some people have autistic traits and others do not, or why autism spectrum disorder looks so different across the people who have it. But a few key themes have emerged.
Researchers believe that autism is most likely the result of a complex set of interactions between genes and the environment that unfold while a child is in the womb. It can be passed down through families, or originate with a spontaneous gene mutation.
Environmental influences may indeed play a role in some autism cases, but their effect is heavily influenced by a person’s genes. There is no evidence for a single trigger that causes autism, and certainly not one a child encounters after birth: not a vaccine, a parenting style or a post-circumcision Tylenol.
“The real reason why it’s complicated, the more fundamental one, is that there’s not a single cause,” said Irva Hertz-Picciotto, a professor of public health science and director of the Environmental Health Sciences Center at UC Davis. “It’s not a single cause from one person to the next, and not a single cause within any one person.”
Kennedy, an attorney who has no medical or scientific training, has called research into autism’s genetics a “dead end.” Autism researchers counter that it’s the only logical place to start.
“If we know nothing else, we know that autism is primarily genetic,” said Joe Buxbaum, a molecular neuroscientist who directs the Seaver Autism Center for Research and Treatment at the Icahn School of Medicine at Mount Sinai. “And you don’t have to actually have the exact genes [identified] to know that something is genetic.”
Some neurodevelopment disorders arise from a difference in a single gene or chromosome. People with Down syndrome have an extra copy of chromosome 21, for example, and Fragile X syndrome results when the FMR1 gene isn’t expressed.
Autism in most cases is polygenetic, which means that multiple genes are involved, with each contributing a little bit to the overall picture.
Researchers have found hundreds of genes that could be associated with autism; there may be many more among the roughly 20,000 in the human genome.
In the meantime, the strongest evidence that autism is genetic comes from studies of twins and other sibling groups, Buxbaum and other researchers said.
The rate of autism in the U.S. general population is about 2.8%, according to a study published last year in the journal Pediatrics. Among children with at least one autistic sibling, it’s 20.2% — about seven times higher than the general population, the study found.
Twin studies reinforce the point. Both identical and fraternal twins develop in the same womb and are usually raised in similar circumstances in the same household. The difference is genetic: identical twins share 100% of their genetic information, while fraternal twins share about 50% (the same as nontwin siblings).
If one fraternal twin is autistic, the chance that the other twin is also autistic is about 20%, or about the same as it would be for a nontwin sibling.
But if one in a pair of identical twins is autistic, the chance that the other twin is also autistic is significantly higher. Studies have pegged the identical twin concurrence rate anywhere from 60% to 90%, though the intensity of the twins’ autistic traits may differ significantly.
Molecular genetic studies, which look at the genetic information shared between siblings and other blood relatives, have found similar rates of genetic influence on autism, said Dr. John Constantino, a professor of pediatrics, psychiatry and behavioral sciences at the Emory University School of Medicine and chief of behavioral and mental health at Children’s Healthcare of Atlanta.
Together, he said, “those studies have indicated that a vast share of the causation of autism can be traced to the effects of genetic influences. That is a fact.”
Buxbaum compares the heritability of autism to the heritability of height, another polygenic trait.
“There’s not one gene that’s making you taller or shorter,” Buxbaum said. Hundreds of genes play a role in where you land on the height distribution curve. A lot of those genes run in families — it’s not unusual for very tall people, for example, to have very tall relatives.
But parents pass on a random mix of their genes to their children, and height distribution across a group of same-sex siblings can vary widely. Genetic mutations can change the picture. Marfan syndrome, a condition caused by mutations in the FBN1 gene, typically makes people grow taller than average. Hundreds of genetic mutations are associated with dwarfism, which causes shorter stature.
Then once a child is born, external factors such as malnutrition or disease can affect the likelihood that they reach their full height potential.
So genes are important. But the environment — which in developmental science means pretty much anything that isn’t genetics, including parental age, nutrition, air pollution and viruses — can play a major role in how those genes are expressed.
“Genetics does not operate in a vacuum, and at the same time, the impact of the environment on people is going to depend on a person’s individual genetics,” said Brian K. Lee, a professor of epidemiology and biostatistics at Drexel University who studies the genetics of developmental disorders.
Unlike the childhood circumstances that can affect height, the environmental exposures associated with autism for the most part take place in utero.
Researchers have identified multiple factors linked to increased risks of the disorder, including older parental age, infant prematurity and parental exposure to air pollution and industrial solvents.
Investigations into some of these linkages were among the more than 50 autism-related studies whose funding Kennedy has cut since taking office, a ProPublica investigation found. In contrast, no credible study has found links between vaccines and autism — and there have been many.
One move from the Department of Health and Human Services has been met with cautious optimism: even as Kennedy slashed funding to other research projects, the department in September announced a $50-million initiative to explore the interactions of genes and environmental factors in autism, which has been divided among 13 different research groups at U.S. universities, including UCLA and UC San Diego.
The department’s selection of well-established, legitimate research teams was met with relief by many autism scientists.
But many say they fear that such decisions will be an anomaly under Kennedy, who has repeatedly rejected facts that don’t conform to his preferred hypotheses, elevated shoddy science and muddied public health messaging on autism with inaccurate information.
Disagreements are an essential part of scientific inquiry. But the productive ones take place in a universe of shared facts and build on established evidence.
And when determining how to spend limited resources, researchers say, making evidence-based decisions is vital.
“There are two aspects of these decisions: Is it a reasonable expenditure based on what we already know? And if you spend money here, will you be taking money away from HHS that people are in desperate need of?” Constantino said. “If you’re going to be spending money, you want to do that in a way that is not discarding what we already know.”
Science
Contributor: New mothers are tempted by Ozempic but don’t have the data they need
My friend Sara, eight weeks after giving birth, left me a tearful voicemail. I’m a clinical psychologist specializing in postpartum depression and psychosis, but mental health wasn’t Sara’s issue. Postpartum weight gain was.
Sara told me she needed help. She’d gained 40 pounds during her pregnancy, and she was still 25 pounds overweight. “I’m going back to work and I can’t look like this,” she said. “I need to take Ozempic or something. But do you know if it’s safe?”
Great question. Unfortunately researchers don’t yet have an answer. On Dec. 1, the World Health Organization released its first guidelines on the use of GLP-1 receptor agonists such as Ozempic, generically known as semaglutide. One of the notable policy suggestions in that report is to not prescribe GLP-1s to pregnant women. Disappointingly, the report says nothing about the use of the drug by postpartum women, including those who are breastfeeding.
There was a recent Danish study that led to medical guidelines against prescribing to patients who are pregnant or breastfeeding.
None of that is what my friend wanted to hear. I could only encourage her to speak to her own medical doctor.
Sara’s not alone. I’ve seen a trend emerging in my practice in which women use GLP-1s to shed postpartum weight. The warp speed “bounce-back” ideal of body shapes for new mothers has reemerged, despite the mental health field’s advocacy to abolish the archaic pressure of martyrdom in motherhood. GLP-1s are being sold and distributed by compound pharmacies like candy. And judging by their popularity, nothing tastes sweeter than skinny feels.
New motherhood can be a stressful time for bodies and minds, but nature has also set us up for incredible growth at that moment. Contrary to the myth of spaced-out “mommy brains,” new neuroplasticity research shows that maternal brains are rewired for immense creativity and problem solving.
How could GLP-1s affect that dynamic? We just don’t know. We do know that these drugs are associated with changes far beyond weight loss, potentially including psychiatric effects such as combating addiction.
Aside from physical effects, this points to an important unanswered research question: What effects, if any, do GLP-1s have on a woman’s brain as it is rewiring to attune to and take care of a newborn? And on a breastfeeding infant? If GLP-1s work on the pleasure center of the brain and your brain is rewiring to feel immense pleasure from a baby coo, I can’t help but wonder if that will be dampened. When a new mom wants a prescription for a GLP-1 to help shed baby weight, her medical provider should emphasize those unknowns.
These drugs may someday be a useful tool for new mothers. GLP-1s are helping many people with conditions other than obesity. A colleague of mine was born with high blood pressure and cholesterol. She exercised every day and adopted a pescatarian diet. Nothing budged until she added a GLP-1 to her regimen, bringing her blood pressure to a healthy 120/80 and getting cholesterol under control. My brother, an otherwise healthy young man recently diagnosed with a rare idiopathic lymphedema of his left leg, is considering GLP-1s to address inflammation and could be given another chance at improving his quality of life.
I hope that GLP-1s will continue to help those who need it. And I urge everyone — especially new moms — to proceed with caution. A healthy appetite for nutritious food is natural. That food fuels us for walks with our dogs, swims along a coastline, climbs through leafy woods. It models health and balance for the young ones who are watching us for clues about how to live a healthy life.
Nicole Amoyal Pensak, a clinical psychologist and researcher, is the author of “Rattled: How to Calm New Mom Anxiety With the Power of the Postpartum Brain.”
Science
California issues advisory on a parasitic fly whose maggots can infest living humans
A parasitic fly whose maggots can infest living livestock, birds, pets and humans could threaten California soon.
The New World Screwworm has rapidly spread northward from Panama since 2023 and farther into Central America. As of early September, the parasitic fly was present in seven states in southern Mexico, where 720 humans have been infested and six of them have died. More than 111,000 animals also have been infested, health officials said.
In early August, a person traveling from El Salvador to Maryland was discovered to have been infested, federal officials said. But the parasitic fly has not been found in the wild within a 20-mile radius of the infested person, which includes Maryland, Virginia and the District of Columbia.
After the Maryland incident, the California Department of Public Health decided to issue a health advisory this month warning that the New World Screwworm could arrive in California from an infested traveler or animal, or from the natural travel of the flies.
Graphic images of New World Screwworm infestations show open wounds in cows, deer, pigs, chickens, horses and goats, infesting a wide swath of the body from the neck, head and mouth to the belly and legs.
The Latin species name of the fly — hominivorax — loosely translates to “maneater.”
“People have to be aware of it,” said Dr. Peter Chin-Hong, a UC San Francisco infectious diseases specialist. “As the New World Screwworm flies northward, they may start to see people at the borders — through the cattle industry — get them, too.”
Other people at higher risk include those living in rural areas where there’s an outbreak, anyone with open sores or wounds, those who are immunocompromised, the very young and very old, and people who are malnourished, the U.S. Centers for Disease Control and Prevention says.
There could be grave economic consequences should the New World Screwworm get out of hand among U.S. livestock, leading to animal deaths, decreased livestock production, and decreased availability of manure and draught animals, according to the U.S. Department of Agriculture.
“It is not only a threat to our ranching community — but it is a threat to our food supply and our national security,” the USDA said.
Already, in May, the USDA suspended imports of live cattle, horse and bison from the Mexican border because of the parasitic fly’s spread through southern Mexico.
The New World Screwworm isn’t new to the U.S.
But it was considered eradicated in the United States in 1966, and by 1996, the economic benefit of that eradication was estimated at nearly $800 million, “with an estimated $2.8 billion benefit to the wider economy,” the USDA said.
Texas suffered an outbreak in 1976. A repeat could cost the state’s livestock producers $732 million a year and the state economy $1.8 billion, the USDA said.
Historically, the New World Screwworm was a problem in the U.S. Southwest and expanded to the Southeast in the 1930s after a shipment of infested animals, the USDA said. Scientists in the 1950s discovered a technique that uses radiation to sterilize male parasitic flies.
Female flies that mate with the sterile male flies produce sterile eggs, “so they can’t propagate anymore,” Chin-Hong said. It was this technique that allowed the U.S., Mexico and Central America to eradicate the New World Screwworm by the 1960s.
But the parasitic fly has remained endemic in South America, Cuba, Haiti and the Dominican Republic.
In late August, the USDA said it would invest in new technology to try to accelerate the pace of sterile fly production. The agency also said it would build a sterile-fly production facility at Edinburg, Texas, which is close to the Mexico border, and would be able to produce up to 300 million sterile flies per week.
“This will be the only United States-based sterile fly facility and will work in tandem with facilities in Panama and Mexico to help eradicate the pest and protect American agriculture,” the USDA said.
The USDA is already releasing sterile flies in southern Mexico and Central America.
The risk to humans from the fly, particularly in the U.S., is relatively low. “We have decent nutrition; people have access to medical care,” Chin-Hong said.
But infestations can happen. Open wounds are a danger, and mucus membranes can also be infested, such as inside the nose, according to the CDC.
An infestation occurs when fly maggots infest the living flesh of warm-blooded animals, the CDC says. The flies “land on the eyes or the nose or the mouth,” Chin-Hong said, or, according to the CDC, in an opening such as the genitals or a wound as small as an insect bite. A single female fly can lay 200 to 300 eggs at a time.
When they hatch, the maggots — which are called screwworms — “have these little sharp teeth or hooks in their mouths, and they chomp away at the flesh and burrow,” Chin-Hong said. After feeding for about seven days, a maggot will fall to the ground, dig into the soil and then awaken as an adult fly.
Deaths among humans are uncommon but can happen, Chin-Hong said. Infestation should be treated as soon as possible. Symptoms can include painful skin sores or wounds that may not heal, the feeling of the larvae moving, or a foul-smelling odor, the CDC says.
Patients are treated by removal of the maggots, which need to be killed by putting them into a sealed container of concentrated ethyl or isopropyl alcohol then disposed of as biohazardous waste.
The parasitic fly has been found recently in seven Mexican states: Campeche, Chiapas, Oaxaca, Quintana Roo, Tabasco, Veracruz, and Yucatán. Officials urge travelers to keep open wounds clean and covered, avoid insect bites, and wear hats, loose-fitting long-sleeved shirts and pants, socks, and insect repellents registered by the Environmental Protection Agency as effective.
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