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Abstract. The aim of this study is to investigate the shallow thermal field differences for two differently aged passive continental margins by analyzing regional variations in geothermal gradient and exploring the controlling factors for these variations. Hence, we analyzed two previously published 3-D conductive and lithospheric-scale thermal models of the Southwest African and the Norwegian passive margins. These 3-D models differentiate various sedimentary, crustal, and mantle units and integrate different geophysical data such as seismic observations and the gravity field. We extracted the temperature–depth distributions in 1 km intervals down to 6 km below the upper thermal boundary condition. The geothermal gradient was then calculated for these intervals between the upper thermal boundary condition and the respective depth levels (1, 2, 3, 4, 5, and 6 km below the upper thermal boundary condition). According to our results, the geothermal gradient decreases with increasing depth and shows varying lateral trends and values for these two different margins. We compare the 3-D geological structural models and the geothermal gradient variations for both thermal models and show how radiogenic heat production, sediment insulating effect, and thermal lithosphere–asthenosphere boundary (LAB) depth influence the shallow thermal field pattern. The results indicate an ongoing process of oceanic mantle cooling at the young Norwegian margin compared with the old SW African passive margin that seems to be thermally equilibrated in the present day.
To better understand the reaction of Arctic coasts to increasing environmental pressure, coastal changes along a 210-km length of the Yukon Territory coast in north-west Canada were investigated. Shoreline positions were acquired from aerial and satellite images between 1951 and 2011. Shoreline change rates were calculated for multiple time periods along the entire coast and at six key sites. Additionally, Differential Global Positioning System (DGPS) measurements of shoreline positions from seven field sites were used to analyze coastal dynamics from 1991 to 2015 at higher spatial resolution. The whole coast has a consistent, spatially averaged mean rate of shoreline change of 0.7 +/- 0.2 m/a with a general trend of decreasing erosion from west to east. Additional data from six key sites shows that the mean shoreline change rate decreased from -1.3 +/- 0.8 (1950s-1970s) to -0.5 +/- 0.6 m/a (1970s-1990s). This was followed by a significant increase in shoreline change to -1.3 +/- 0.3 m/a in the 1990s to 2011. This increase is confirmed by DGPS measurements that indicate increased erosion rates at local rates up to -8.9 m/a since 2006. Ground surveys and observations with remote sensing data indicate that the current rate of shoreline retreat along some parts of the Yukon coast is higher than at any time before in the 64-year-long observation record. Enhanced availability of material in turn might favor the buildup of gravel features, which have been growing in extent throughout the last six decades. Plain Language Summary The Arctic is warming, but the impacts on its coasts are not well documented. To better understand the reaction of Arctic coasts to increasing environmental pressure, shoreline position changes along a 210-km length of the Yukon Territory coast in northwest Canada were investigated for the time period from 1951 to 2015. Shoreline positions were extracted from historical aerial images from the 1950s, 1970s, and 1990s and from satellite images from 2011. Additionally, measurements of shoreline positions from field sites were used to analyze coastal dynamics from 1991 to 2015. The mean shoreline change rate was -1.3 m/a between the 1950s and 1970s and followed by a decrease to -0.5 m/a between the 1970s to 1990s. This was followed by a significant increase in mean shoreline change rates again to -1.3 m/a in the 1990s to 2011 time period. This acceleration in erosion is confirmed by field measurements that indicate increased erosion rates at high local rates up to -8.9 m/a since 2006. Enhanced coastal erosion might, in turn, favor the buildup of gravel features, which have been growing in extent throughout the last six decades.
High Mountain Asia provides water for more than a billion downstream users. Many catchments receive the majority of their yearly water budget in the form of snow - the vast majority of which is not monitored by sparse weather networks. We leverage passive microwave data from the SSMI series of satellites (SSMI, SSMI/S, 1987-2016), reprocessed to 3.125 km resolution, to examine trends in the volume and spatial distribution of snow-water equivalent (SWE) in the Indus Basin. We find that the majority of the Indus has seen an increase in snow-water storage. There exists a strong elevation-trend relationship, where high-elevation zones have more positive SWE trends. Negative trends are confined to the Himalayan foreland and deeply-incised valleys which run into the Upper Indus. This implies a temperature-dependent cutoff below which precipitation increases are not translated into increased SWE. Earlier snowmelt or a higher percentage of liquid precipitation could both explain this cutoff.(1) Earlier work 2 found a negative snow-water storage trend for the entire Indus catchment over the time period 1987-2009 (-4 x 10(-3) mm/yr). In this study based on an additional seven years of data, the average trend reverses to 1.4 x 10(-3). This implies that the decade since the mid-2000s was likely wetter, and positively impacted long-term SWE trends. This conclusion is supported by an analysis of snowmelt onset and end dates which found that while long-term trends are negative, more recent (since 2005) trends are positive (moving later in the year).(3)
Weltweit verursachen Städte etwa 70 % der Treibhausgasemissionen und sind daher wichtige Akteure im Klimaschutz bzw. eine wichtige Zielgruppe von Klimapolitiken. Gleichzeitig sind Städte besonders stark von möglichen Auswirkungen des Klimawandels betroffen: Insbesondere extreme Wetterereignisse wie Hitzewellen oder Starkregenereignisse mit Überflutungen verursachen in Städten hohe Sachschäden und wirken sich negativ auf die Gesundheit der städtischen Bevölkerung aus. Daher verfolgt das Projekt ExTrass das Ziel, die städtische Resilienz gegenüber extremen Wetterereignissen in enger Zusammenarbeit mit Stadtverwaltungen, Strukturen des Bevölkerungsschutzes und der Zivilgesellschaft zu stärken. Im Fokus stehen dabei (kreisfreie) Groß- und Mittelstädte mit 50.000 bis 500.000 Einwohnern, insbesondere die Fallstudienstädte Potsdam, Remscheid und Würzburg.
Der vorliegende Bericht beinhaltet die Ergebnisse der 14-monatigen Definitionsphase von ExTrass, in der vor allem die Abstimmung eines Arbeitsprogramms im Mittelpunkt stand, das in einem nachfolgenden dreijährigen Forschungsprojekt (F+E-Phase) gemeinsam von Wissenschaft und Praxispartnern umgesetzt werden soll. Begleitend wurde eine Bestandsaufnahme von Klimaanpassungs- und Klimaschutzstrategien/-plänen in 99 deutschen Groß- und Mittelstädten vorgenommen. Zudem wurden für Potsdam und Würzburg Pfadanalysen für die Klimapolitik durchgeführt. Darin wird insbesondere die Bedeutung von Schlüsselakteuren deutlich. Weiterhin wurden im Rahmen von Stakeholder-Workshops Anpassungsherausforderungen und aktuelle Handlungsbedarfe in den Fallstudienstädten identifiziert und Lösungsansätze erarbeitet, die in der F+E-Phase entwickelt und getestet werden sollen. Neben Maßnahmen auf gesamtstädtischer Ebene und auf Stadtteilebene wurden Maßnahmen angestrebt, die die Risikowahrnehmung, Vorsorge und Selbsthilfefähigkeit von Unternehmen und Bevölkerung stärken können. Daher wurde der Stand der Risikokommunikation in Deutschland für das Projekt aufgearbeitet und eine erste Evaluation von Risikokommunikationswerkzeugen durchgeführt. Der Bericht endet mit einer Kurzfassung des Arbeitsprogramms 2018-2021.
Salt marshes filter pollutants, protect coastlines against storm surges, and sequester carbon, yet are under threat from sea level rise and anthropogenic modification. The sustained existence of the salt marsh ecosystem depends on the topographic evolution of marsh platforms. Quantifying marsh platform topography is vital for improving the management of these valuable landscapes. The determination of platform boundaries currently relies on supervised classification methods requiring near-infrared data to detect vegetation, or demands labour-intensive field surveys and digitisation. We propose a novel, unsupervised method to reproducibly isolate salt marsh scarps and platforms from a digital elevation model (DEM), referred to as Topographic Identification of Platforms (TIP). Field observations and numerical models show that salt marshes mature into subhorizontal platforms delineated by subvertical scarps. Based on this premise, we identify scarps as lines of local maxima on a slope raster, then fill landmasses from the scarps upward, thus isolating mature marsh platforms. We test the TIP method using lidar-derived DEMs from six salt marshes in England with varying tidal ranges and geometries, for which topographic platforms were manually isolated from tidal flats. Agreement between manual and unsupervised classification exceeds 94% for DEM resolutions of 1 m, with all but one site maintaining an accuracy superior to 90% for resolutions up to 3 m. For resolutions of 1 m, platforms detected with the TIP method are comparable in surface area to digitised platforms and have similar elevation distributions. We also find that our method allows for the accurate detection of local block failures as small as 3 times the DEM resolution. Detailed inspection reveals that although tidal creeks were digitised as part of the marsh platform, unsupervised classification categorises them as part of the tidal flat, causing an increase in false negatives and overall platform perimeter. This suggests our method may benefit from combination with existing creek detection algorithms. Fallen blocks and high tidal flat portions, associated with potential pioneer zones, can also lead to differences between our method and supervised mapping. Although pioneer zones prove difficult to classify using a topographic method, we suggest that these transition areas should be considered when analysing erosion and accretion processes, particularly in the case of incipient marsh platforms. Ultimately, we have shown that unsupervised classification of marsh platforms from high-resolution topography is possible and sufficient to monitor and analyse topographic evolution.
The climate is a complex dynamical system involving interactions and feedbacks among different processes at multiple temporal and spatial scales. Although numerous studies have attempted to understand the climate system, nonetheless, the studies investigating the multiscale characteristics of the climate are scarce. Further, the present set of techniques are limited in their ability to unravel the multi-scale variability of the climate system. It is completely plausible that extreme events and abrupt transitions, which are of great interest to climate community, are resultant of interactions among processes operating at multi-scale. For instance, storms, weather patterns, seasonal irregularities such as El Niño, floods and droughts, and decades-long climate variations can be better understood and even predicted by quantifying their multi-scale dynamics. This makes a strong argument to unravel the interaction and patterns of climatic processes at different scales. With this background, the thesis aims at developing measures to understand and quantify multi-scale interactions within the climate system.
In the first part of the thesis, I proposed two new methods, viz, multi-scale event synchronization (MSES) and wavelet multi-scale correlation (WMC) to capture the scale-specific features present in the climatic processes. The proposed methods were tested on various synthetic and real-world time series in order to check their applicability and replicability. The results indicate that both methods (WMC and MSES) are able to capture scale-specific associations that exist between processes at different time scales in a more detailed manner as compared to the traditional single scale counterparts.
In the second part of the thesis, the proposed multi-scale similarity measures were used in constructing climate networks to investigate the evolution of spatial connections within climatic processes at multiple timescales. The proposed methods WMC and MSES, together with complex network were applied to two different datasets.
In the first application, climate networks based on WMC were constructed for the univariate global sea surface temperature (SST) data to identify and visualize the SSTs patterns that develop very similarly over time and distinguish them from those that have long-range teleconnections to other ocean regions. Further investigations of climate networks on different timescales revealed (i) various high variability and co-variability regions, and (ii) short and long-range teleconnection regions with varying spatial distance. The outcomes of the study not only re-confirmed the existing knowledge on the link between SST patterns like El Niño Southern Oscillation and the Pacific Decadal Oscillation, but also suggested new insights into the characteristics and origins of long-range teleconnections.
In the second application, I used the developed non-linear MSES similarity measure to quantify the multivariate teleconnections between extreme Indian precipitation and climatic patterns with the highest relevance for Indian sub-continent. The results confirmed significant non-linear influences that were not well captured by the traditional methods. Further, there was a substantial variation in the strength and nature of teleconnection across India, and across time scales.
Overall, the results from investigations conducted in the thesis strongly highlight the need for considering the multi-scale aspects in climatic processes, and the proposed methods provide robust framework for quantifying the multi-scale characteristics.
Due to the challenges in upscaling daily climatic forcing to geological time, physically realistic models describing how rainfall drives fluvial erosion are lacking. To bridge this gap between short-term hydrology and long-term geomorphology, we derive a theoretical framework for long-term fluvial erosion rates driven by realistic climate by integrating an established stochastic-mechanistic model of hydrology into a threshold-stochastic formulation of stream power. The hydrological theory provides equations for the daily streamflow probability distribution as a function of climatic boundary conditions. The new parameters introduced are rooted firmly in established climatic and hydrological theory. This allows us to account for how fluvial erosion rates respond to changes in rainfall intensity, frequency, evapotranspiration rates, and soil moisture dynamics in a way that is consistent with existing theories. We use this framework to demonstrate how hydroclimatic conditions and erosion threshold magnitude control the degree of nonlinearity between steepness index and erosion rate. We find that hydrological processes can have a significant influence on how erosive a particular climatic forcing will be. By accounting for the influence of hydrology on fluvial erosion, we conclude that climate is an important control on erosion rates and long-term landscape evolution.
Understanding the geologic evolution of Northern Tibetan Plateau with multiple thermochronometers
(2018)
The early onset of deformation following the India-Asia collision, Neogene expanse of uplift, and complex systems that comprise strike-slip faults, thrust faults, and intermontane basins characterize the Cenozoic tectonism of Northern Tibetan Plateau and raise two prominent questions in orogenic geodynamics: 1) What mechanism(s) control(s) the transfer of stress related to the India-Asia collision across the distance of >2000 km; and 2) Why the development of high topography was delayed in the Northern Tibetan Plateau and what does it reveal about how the internal forces and external boundary conditions evolved. To address these two questions, we reconstruct a holistic spatial-temporal deformation history of the Northern Tibetan Plateau by using a range of thermochronometers, with closure temperature spanning from 350 degrees C to-60-70 degrees C. This multi-thermochronometer study reveals three stages of faulting related cooling, in the early Cretaceous, in Paleocene-Eocene and in middle-late Miocene. We observe that Paleocene-Eocene deformation was spatially restricted and mostly occurred on reactivated Cretaceous structures, indicating a control of pre-existing weakness on early Cenozoic deformation. Extensive Neogene deformation contrasts with restricted Paleocene-Eocene deformation and relatively quiescent shortening during the Oligocene-early Miocene, which implies a change in the regional tectonics regime. Global plate reconstructions show that this tectonic reorganization is coeval with an increase in Pacific-Asia plate convergence rates. We argue that this change in regional tectonics is a result of increasing constrictive environment of the eastern plate boundary, which changed the behavior of the Altyn Tagh fault the boundary fault of Northern Tibetan Plateau, causing it to change from feeding slip into structures out of the plateau to feeding slip into structures at plateau margins.
Accelerometric data from the well-studied valley EUROSEISTEST are used to investigate ground motion uncertainty and variability. We define a simple local ground motion prediction equation (GMPE) and investigate changes in standard deviation (σ) and its components, the between-event variability (τ) and within-event variability (φ). Improving seismological metadata significantly reduces τ (30–50%), which in turn reduces the total σ. Improving site information reduces the systematic site-to-site variability, φ S2S (20–30%), in turn reducing φ, and ultimately, σ. Our values of standard deviations are lower than global values from literature, and closer to path-specific than site-specific values. However, our data have insufficient azimuthal coverage for single-path analysis. Certain stations have higher ground-motion variability, possibly due to topography, basin edge or downgoing wave effects. Sensitivity checks show that 3 recordings per event is a sufficient data selection criterion, however, one of the dataset’s advantages is the large number of recordings per station (9–90) that yields good site term estimates. We examine uncertainty components binning our data with magnitude from 0.01 to 2 s; at smaller magnitudes, τ decreases and φ SS increases, possibly due to κ and source-site trade-offs Finally, we investigate the alternative approach of computing φ SS using existing GMPEs instead of creating an ad hoc local GMPE. This is important where data are insufficient to create one, or when site-specific PSHA is performed. We show that global GMPEs may still capture φ SS , provided that: (1) the magnitude scaling errors are accommodated by the event terms; (2) there are no distance scaling errors (use of a regionally applicable model). Site terms (φ S2S ) computed by different global GMPEs (using different site-proxies) vary significantly, especially for hard-rock sites. This indicates that GMPEs may be poorly constrained where they are sometimes most needed, i.e., for hard rock.
Cosmic-ray neutron sensing (CRNS) is a promising proximal soil sensing technique to estimate soil moisture at intermediate scale and high temporal resolution. However, the signal shows complex and non-unique response to all hydrogen pools near the land surface, providing some challenges for soil moisture estimation in practical applications. Aims of the study were 1) to assess the uncertainty of CRNS as a stand-alone approach to estimate volumetric soil moisture in cropped field 2) to identify the causes of this uncertainty 3) and possible improvements. Two experimental sites in Germany were equipped with a CRNS probe and point-scale soil moisture network. Additional monitoring activities were conducted during the crop growing season to characterize the soil-plant systems. This data is used to identify and quantify the different sources of uncertainty (factors). An uncertainty analysis, based on Monte Carlo approach, is applied to propagate these uncertainties to CRNS soil moisture estimations. In addition, a sensitivity analysis based on the Sobol’ method is performed to identify the most important factors explaining this uncertainty. Results show that CRNS soil moisture compares well to the soil moisture network when these point-scale values are weighted to account for the spatial sensitivity of the signal and other sources of hydrogen (lattice water and organic carbon) are added to the water content. However, the performance decreases when CRNS is considered as a stand-alone method to retrieve the actual (non-weighted) volumetric soil moisture. The support volume (penetration depth and radius) shows also a considerable uncertainty, especially in relatively dry soil moisture conditions. Four of the seven factors analyzed (the vertical soil moisture profile, bulk density, incoming neutron correction and the calibrated parameter N0) were found to play an important role. Among the possible improvements identified, a simple correction factor based on vertical point-scale soil moisture profiles shows to be a promising approach to account for the sensitivity of the CRNS signal to the upper soil layers.
The selection of earthquake focal mechanisms (FMs) for stress tensor inversion (STI) is commonly done on a spatial basis, that is, hypocentres. However, this selection approach may include data that are undesired, for example, by mixing events that are caused by different stress tensors when for the STI a single stress tensor is assumed. Due to the significant increase of FM data in the past decades, objective data-driven data selection is feasible, allowing more refined FM catalogues that avoid these issues and provide data weights for the STI routines. We present the application of angular classification with expectation-maximization (ACE) as a tool for data selection. ACE identifies clusters of FM without a priori information. The identified clusters can be used for the classification of the style-of-faulting and as weights of the FM data. We demonstrate that ACE effectively selects data that can be associated with a single stress tensor. Two application examples are given for weighted STI from South America. We use the resulting clusters and weights as a priori information for an STI for these regions and show that uncertainties of the stress tensor estimates are reduced significantly.
Tillage erosion on arable land is a very important process leading to a net downslope movement of soil and soil constitutes. Tillage erosion rates are commonly in the same order of magnitude as water erosion rates and can be even higher, especially under highly mechanized agricultural soil management. Despite its prevalence and magnitude, tillage erosion is still understudied compared to water erosion. The goal of this study was to bring together experts using different techniques to determine tillage erosion and use the different results to discuss and quantify uncertainties associated with tillage erosion measurements. The study was performed in northeastern Germany on a 10 m by 50 m plot with a mean slope of 8%. Tillage erosion was determined after two sequences of seven tillage operations. Two different micro-tracers (magnetic iron oxide mixed with soil and fluorescent sand) and one macro-tracer (passive radio-frequency identification transponders (RFIDs), size: 4 x 22 mm) were used to directly determine soil fluxes. Moreover, tillage induced changes in topography were measured for the entire plot with two different terrestrial laser scanners and an unmanned aerial system for structure from motion topography analysis. Based on these elevation differences, corresponding soil fluxes were calculated. The mean translocation distance of all techniques was 0.57 m per tillage pass, with a relatively wide range of mean soil translocation distances ranging from 039 to 0.72 m per pass. A benchmark technique could not be identified as all used techniques have individual error sources, which could not be quantified. However, the translocation distances of the macro-tracers used were consistently smaller than the translocation distances of the micro-tracers (mean difference = -26 +/- 12%), which questions the widely used assumption of non-selective soil transport via tillage operations. This study points out that tillage erosion measurements, carried out under almost optimal conditions, are subject to major uncertainties that are far from negligible. (C) 2018 Elsevier B.V. All rights reserved.
Arctic tundra landscapes are composed of a complex mosaic of patterned ground features, varying in soil moisture, vegetation composition, and surface hydrology over small spatial scales (10-100 m). The importance of microtopography and associated geomorphic landforms in influencing ecosystem structure and function is well founded, however, spatial data products describing local to regional scale distribution of patterned ground or polygonal tundra geomorphology are largely unavailable. Thus, our understanding of local impacts on regional scale processes (e.g., carbon dynamics) may be limited. We produced two key spatiotemporal datasets spanning the Arctic Coastal Plain of northern Alaska (similar to 60,000 km(2)) to evaluate climate-geomorphological controls on arctic tundra productivity change, using (1) a novel 30m classification of polygonal tundra geomorphology and (2) decadal-trends in surface greenness using the Landsat archive (1999-2014). These datasets can be easily integrated and adapted in an array of local to regional applications such as (1) upscaling plot-level measurements (e.g., carbon/energy fluxes), (2) mapping of soils, vegetation, or permafrost, and/or (3) initializing ecosystem biogeochemistry, hydrology, and/or habitat modeling.
Tundra be dammed
(2018)
Increasing air temperatures are changing the arctic tundra biome. Permafrost is thawing, snow duration is decreasing, shrub vegetation is proliferating, and boreal wildlife is encroaching. Here we present evidence of the recent range expansion of North American beaver (Castor canadensis) into the Arctic, and consider how this ecosystem engineer might reshape the landscape, biodiversity, and ecosystem processes. We developed a remote sensing approach that maps formation and disappearance of ponds associated with beaver activity. Since 1999, 56 new beaver pond complexes were identified, indicating that beavers are colonizing a predominantly tundra region (18,293km(2)) of northwest Alaska. It is unclear how improved tundra stream habitat, population rebound following overtrapping for furs, or other factors are contributing to beaver range expansion. We discuss rates and likely routes of tundra beaver colonization, as well as effects on permafrost, stream ice regimes, and freshwater and riparian habitat. Beaver ponds and associated hydrologic changes are thawing permafrost. Pond formation increases winter water temperatures in the pond and downstream, likely creating new and more varied aquatic habitat, but specific biological implications are unknown. Beavers create dynamic wetlands and are agents of disturbance that may enhance ecosystem responses to warming in the Arctic.
Process life cycle assessment (PLCA) is widely used to quantify environmental flows associated with the manufacturing of products and other processes. As PLCA always depends on defining a system boundary, its application involves truncation errors. Different methods of estimating truncation errors are proposed in the literature; most of these are based on artificially constructed system complete counterfactuals. In this article, we review the literature on truncation errors and their estimates and systematically explore factors that influence truncation error estimates. We classify estimation approaches, together with underlying factors influencing estimation results according to where in the estimation procedure they occur. By contrasting different PLCA truncation/error modeling frameworks using the same underlying input-output (I-O) data set and varying cut-off criteria, we show that modeling choices can significantly influence estimates for PLCA truncation errors. In addition, we find that differences in I-O and process inventory databases, such as missing service sector activities, can significantly affect estimates of PLCA truncation errors. Our results expose the challenges related to explicit statements on the magnitude of PLCA truncation errors. They also indicate that increasing the strictness of cut-off criteria in PLCA has only limited influence on the resulting truncation errors. We conclude that applying an additional I-O life cycle assessment or a path exchange hybrid life cycle assessment to identify where significant contributions are located in upstream layers could significantly reduce PLCA truncation errors.
A geological transect across the suture separating northwestern South America from the Panama Arc helps document the provenance and thermal history of both crustal domains and the suture zone. During middle Miocene, strata were being accumulated over the suture zone between the Panama Arc and the continental margin. Integrated provenance analyses of those middle Miocene strata show the presence of mixed sources that includes material derived from the two major crustal domains: the old northwestern South American orogens and the younger Panama Arc. Coeval moderately rapid exhumation of Upper Cretaceous to Paleogene sediments forming the reference continental margin is suggested from our inverse thermal modeling. Strata within the suture zone are intruded by similar to 12 Ma magmatic arc-related plutons, marking the transition from a collisional orogen to a subduction-related one. Renewed late Miocene to Pliocene acceleration of the exhumation rates is the consequence of a second tectonic pulse, which is likely to be triggered by the onset of a flat-slab subduction of the Nazca plate underneath the northernmost Andes of Colombia, suggesting that late Miocene to Pliocene orogeny in the Northern Andes is controlled by at least two different tectonic mechanisms.
Thermokarst lakes are prevalent in Arctic coastal lowland regions and sublake permafrost degradation and talik development contributes to greenhouse gas emissions by tapping the large permafrost carbon pool. Whereas lateral thermokarst lake expansion is readily apparent through remote sensing and shoreline measurements, sublake thawed sediment conditions and talik growth are difficult to measure. Here we combine transient electromagnetic surveys with thermal modeling, backed up by measured permafrost properties and radiocarbon ages, to reveal closed-talik geometry associated with a thermokarst lake in continuous permafrost. To improve access to talik geometry data, we conducted surveys along three transient electromagnetic transects perpendicular to lakeshores with different decadal-scale expansion rates of 0.16, 0.38, and 0.58m/year. We modeled thermal development of the talik using boundary conditions based on field data from the lake, surrounding permafrost and a borehole, independent of the transient electromagnetics. A talik depth of 91m was determined from analysis of the transient electromagnetic surveys. Using a lake initiation age of 1400years before present and available subsurface properties the results from thermal modeling of the lake center arrived at a best estimate talk depth of 80m, which is on the same order of magnitude as the results from the transient electromagnetic survey. Our approach has provided a noninvasive estimate of talik geometry suitable for comparable settings throughout circum-Arctic coastal lowland regions.
Tomato (Solanum lycopersicum L.) being an important vegetable is cultivated and used throughout the world. It not only contributes in fulfilling the basic nutritional requirements of the human body but also has many health benefits due to its rich biochemical composition. However, its production at large scale is hampered by many limiting factors such as biotic and abiotic stresses. Among the different abiotic stresses, drought poses drastic impact on tomato yield. Drought stress is genetically regulated by many transcription factors that not only regulate the stress responsive mechanism but also facilitate the growth and development of tomato plants. NAC is an important stress related transcription factor genes family, and the ATAF1 gene, a member of this family, is involved in ABA signaling and stress response. In this study, tomato variety Rio Drande was transformed with drought resistant ATAF1 gene via Agrobacterium mediated gene transformation method. The ATAF1 gene was first cloned in the pK7WFG2 vector having kanamycin selectable marker and then it was introduced in the Agrobacterium tumefaciens strain GV3101 through heat shock method. The tomato cotyledon and hypocotyl ex-plants of variety "Rio Ggrande" were cultured on callus induction medium (MS + 2.5 mg/L IAA + 2 mg/L BAP). The calli were then infected with Agrobacterium tumefaciens strain GV3101 containing ATAF1 gene and selection was carried out on the kanamycin selectable medium (MS + 100 mg/L Kan), and were regenerated on MS medium with 1 mg/L IAA + 1 mg/L BAP. Out of 216 putative transformed calli, 13 calli were able to regenerate on the selection medium. Of the 13 calli, three transgenic tomato plantlets were recovered, and these were confirmed through PCR analysis for the presence of 432 bp fragment of ATAF1 gene. The transformation protocol reported here can be used to generate drought resistant tomato plants in future.
Flooding is an imminent natural hazard threatening most river deltas, e.g. the Mekong Delta. An appropriate flood management is thus required for a sustainable development of the often densely populated regions. Recently, the traditional event-based hazard control shifted towards a risk management approach in many regions, driven by intensive research leading to new legal regulation on flood management. However, a large-scale flood risk assessment does not exist for the Mekong Delta. Particularly, flood risk to paddy rice cultivation, the most important economic activity in the delta, has not been performed yet. Therefore, the present study was developed to provide the very first insight into delta-scale flood damages and risks to rice cultivation. The flood hazard was quantified by probabilistic flood hazard maps of the whole delta using a bivariate extreme value statistics, synthetic flood hydrographs, and a large-scale hydraulic model. The flood risk to paddy rice was then quantified considering cropping calendars, rice phenology, and harvest times based on a time series of enhanced vegetation index (EVI) derived from MODIS satellite data, and a published rice flood damage function. The proposed concept provided flood risk maps to paddy rice for the Mekong Delta in terms of expected annual damage. The presented concept can be used as a blueprint for regions facing similar problems due to its generic approach. Furthermore, the changes in flood risk to paddy rice caused by changes in land use currently under discussion in the Mekong Delta were estimated. Two land-use scenarios either intensifying or reducing rice cropping were considered, and the changes in risk were presented in spatially explicit flood risk maps. The basic risk maps could serve as guidance for the authorities to develop spatially explicit flood management and mitigation plans for the delta. The land-use change risk maps could further be used for adaptive risk management plans and as a basis for a cost-benefit of the discussed land-use change scenarios. Additionally, the damage and risks maps may support the recently initiated agricultural insurance programme in Vietnam.
Towards an understanding of climate proxy formation in the Chew Bahir basin, southern Ethiopian Rift
(2018)
Deciphering paleoclimate from lake sediments is a challenge due to the complex relationship between climate parameters and sediment composition. Here we show the links between potassium (K) concentrations in the sediments of the Chew Bahir basin in the Southern Ethiopian Rift and fluctuations in the catchment precipitation/evaporation balance. Our micro-X-ray fluorescence and X-ray diffraction results suggest that the most likely process linking climate with potassium concentrations is the authigenic illitization of smectites during episodes of higher alkalinity and salinity in the closed -basin lake, due to a drier climate. Whole-rock and clay size fraction analyses suggest that illitization of the Chew Bahir clay minerals with increasing evaporation is enhanced by octahedral Al-to-Mg substitution in the clay minerals, with the resulting layer charge increase facilitating potassium-fixation. Linking mineralogy with geochemistry shows the links between hydroclimatic control, process and formation of the Chew Bahir K patterns, in the context of well-known and widely documented eastern African climate fluctuations over the last 45,000 years. These results indicate characteristic mineral alteration patterns associated with orbitally controlled wet-dry cycles such as the African Humid Period (similar to 15-5 ka) or high-latitude controlled climate events such as the Younger Dryas (similar to 12.8-11.6 ka) chronozone. Determining the impact of authigenic mineral alteration on the Chew Bahir records enables the interpretation of the previously established pXRF-derived aridity proxy K and provides a better paleohydrological understanding of complex climate proxy formation.
In near-surface geophysics, small portable loop-loop electro-magnetic induction (EMI) sensors using harmonic sources with a constant and rather small frequency are increasingly used to investigate the electrical properties of the subsurface. For such sensors, the influence of electrical conductivity and magnetic permeability on the EMI response is well-understood. Typically, data analysis focuses on reconstructing an electrical conductivity model by inverting the out-of-phase response. However, in a variety of near-surface applications, magnetic permeability (or susceptibility) models derived from the in-phase (IP) response may provide important additional information. In view of developing a fast 3D inversion procedure of the IP response for a dense grid of measurement points, we first analyze the 3D sensitivity functions associated with a homogeneous permeable half-space. Then, we compare synthetic data computed using a linear forward-modeling method based on these sensitivity functions with synthetic data computed using full nonlinear forward-modeling methods. The results indicate the correctness and applicability of our linear forward-modeling approach. Furthermore, we determine the advantages of converting IP data into apparent permeability, which, for example, allows us to extend the applicability of the linear forward-modeling method to high-magnetic environments. Finally, we compute synthetic data with the linear theory for a model consisting of a controlled magnetic target and compare the results with field data collected with a four-configuration loop-loop EMI sensor. With this field-scale experiment, we determine that our linear forward-modeling approach can reproduce measured data with sufficiently small error, and, thus, it represents the basis for developing efficient inversion approaches.
Many regions central to our understanding of tectonics and landscape evolution are active or ancient magmatic terranes, and robust interpretation of low-temperature thermochronologic ages in these settings requires careful attention to the drivers of rock heating and cooling, including magmatism. However, we currently lack a quantitative framework for evaluating the potential role of magmatic coolingthat is, post-magmatic thermal relaxationin shaping cooling age patterns in regions with a history of intrusive magmatism. Here we use analytical approximations and numerical models to characterize how low-temperature thermochronometers document cooling inside and around plutons in steadily exhuming environments. Our models predict that the thermal field a pluton intrudes into, specifically the ambient temperatures relative to the closure temperature of a given thermochronometer, is as important as the pluton size and temperature in controlling the pattern and extent of thermochronometer resetting in the country rocks around a pluton. We identify one advective and several conductive timescales that govern the relationship between the crystallization and cooling ages inside a pluton. In synthetic vertical age-elevation relationships (AERs), resetting next to plutons results in changes in AER slope that could be misinterpreted as past changes in exhumation rate if the history of magmatism is not accounted for. Finally, we find that large midcrustal plutons, such as those emplaced at similar to 10-15-km depth, can reset the low-temperature thermochronometers far above them in the upper crusta result with considerable consequences for thermochronology in arcs and regions with a history of magmatic activity that may not have a surface expression.
Plain Language Summary The 2015 Gorkha earthquake in Nepal caused severe losses in the hydropower sector. The country temporarily lost similar to 20% of its hydropower capacity, and >30 hydropower projects were damaged. The projects hit hardest were those that were affected by earthquake-triggered landslides. We show that these projects are located along very steep rivers with towering sidewalls that are prone to become unstable during strong seismic ground shaking. A statistical classification based on a topographic metric that expresses river steepness and earthquake ground acceleration is able to approximately predict hydropower damage during future earthquakes, based on successful testing of past cases. Thus, our model enables us to estimate earthquake damages to hydropower projects in other parts of the Himalayas. We find that >10% of the Himalayan drainage network may be unsuitable for hydropower infrastructure given high probabilities of high earthquake damages.
Natural thermoluminescence (TL) in rocks reflects a dynamic equilibrium between radiation-induced TL growth and decay via thermal and athermal pathways. When rocks exhume through Earth's crust and cool from high to low temperature, this equilibrium level increases as the temperature dependent thermal decay decreases. This phenomenon can be exploited to extract thermal histories of rocks. The main advantage of TL is that a single TL glow curve has a wide range of thermal stabilities (lifetime <ka to Ba), and hence can provide multiple constraints on thermal histories. Here we constrain the distribution of kinetic parameters of TL in feldspar using a glow curve deconvolution method and fitting infinitesimal sub-peaks using a general order kinetic model. Each peak corresponds to a different but closely located energy level E. Forward modeling is applied for different time-temperature histories to estimate the sensitivity and limitation of each signal for different cooling rates. The results show that it is possible to constrain thermal histories between ∼30 °C and ∼80 °C. The results also illustrate that shallower traps, i.e. with lower activation energies, can be exploited to constrain lower cooling histories >100 °C/Ma, whereas deeper traps, i.e. with higher activation energies, provide constraints on thermal histories for higher cooling rates (>300 °C/Ma). Finally, we show how the path of rock exhumation (i.e., depth vs. time) can be constrained using an inverse approach. The newly developed methodology is applied to rapidly cooled samples from the Namche Barwa massif, eastern Himalaya to suggest a trend in exhumation rate with time that follows an inverse correlation with global temperature and glaciers equilibrium altitude line (ELA).
Knowledge of the present-day crustal in-situ stress field is a key for the understanding of geodynamic processes such as global plate tectonics and earthquakes. It is also essential for the management of geo-reservoirs and underground storage sites for energy and waste. Since 1986, the World Stress Map (WSM) project has systematically compiled the orientation of maximum horizontal stress (S-Hmax). For the 30th anniversary of the project, the WSM database has been updated significantly with 42,870 data records which is double the amount of data in comparison to the database release in 2008. The update focuses on areas with previously sparse data coverage to resolve the stress pattern on different spatial scales. In this paper, we present details of the new WSM database release 2016 and an analysis of global and regional stress pattern. With the higher data density, we can now resolve stress pattern heterogeneities from plate-wide to local scales. In particular, we show two examples of 40 degrees-60 degrees S-Hmax rotations within 70 km. These rotations can be used as proxies to better understand the relative importance of plate boundary forces that control the long wave-length pattern in comparison to regional and local controls of the crustal stress state. In the new WSM project phase IV that started in 2017, we will continue to further refine the information on the S-Hmax orientation and the stress regime. However, we will also focus on the compilation of stress magnitude data as this information is essential for the calibration of geomechanical-numerical models. This enables us to derive a 3-D continuous description of the stress tensor from point-wise and incomplete stress tensor information provided with the WSM database. Such forward models are required for safety aspects of anthropogenic activities in the underground and for a better understanding of tectonic processes such as the earthquake cycle.
This study refines the method for calibrating a glacio-hydrological model based on Hydrograph Partitioning Curves (HPCs), and evaluates its value in comparison to multidata set optimization approaches which use glacier mass balance, satellite snow cover images, and discharge. The HPCs are extracted from the observed flow hydrograph using catchment precipitation and temperature gradients. They indicate the periods when the various runoff processes, such as glacier melt or snow melt, dominate the basin hydrograph. The annual cumulative curve of the difference between average daily temperature and melt threshold temperature over the basin, as well as the annual cumulative curve of average daily snowfall on the glacierized areas are used to identify the starting and end dates of snow and glacier ablation periods. Model parameters characterizing different runoff processes are calibrated on different HPCs in a stepwise and iterative way. Results show that the HPC-based method (1) delivers model-internal consistency comparably to the tri-data set calibration method; (2) improves the stability of calibrated parameter values across various calibration periods; and (3) estimates the contributions of runoff components similarly to the tri-data set calibration method. Our findings indicate the potential of the HPC-based approach as an alternative for hydrological model calibration in glacierized basins where other calibration data sets than discharge are often not available or very costly to obtain.
Changes in topography on Earth, particularly the growth of major mountain belts like the Central Andes, have a fundamental impact on regional and global atmospheric circulation patterns. These patterns, in turn, affect processes such as precipitation, erosion, and sedimentation. Over the last two decades, various geochemical, geomorphologic, and geologic approaches have helped identify when, where, and how quickly topography has risen in the past. The current spatio-temporal picture of Central Andean growth is now providing insight into which deep-Earth processes have left their imprint on the shape of the Earth's surface.
The Timpa delle Murge ophiolite in the North Calabrian Unit is part of the Liguride Complex (southern Apennines). The study is concentrated on the gabbroic part of the ophiolite of the Pollino area. They preserve the high-grade ocean floor metamorphic and locally developed flaser textures under ocean floor conditions. The primary magmatic assemblages are clinopyroxene, plagioclase, and opaques. Brown hornblende is a late magmatic phase. Green hornblende, actinolite, albite, chlorite and epidote display metamorphic recrystallization under lower amphibolite facies conditions, followed by greenschist facies. The gabbros show subalkaline near to alkaline character with a tendency to a more calkalkaline trend. The normalization to primitive mantle and mid-ocean ridge basalt (N-MORB) compositions indicates a considerable depletion in Nb, P, Zr and Ti and an enrichment in Ba, Rb, K, Sr and Eu. This points to a mantle source, which is not compatible with a "normal" mid-ocean ridge situation. Rather, the gabbros are generated from a N-MORB-like melt with a strong crustal component, which was influenced by subduction related fluids and episodic melting during mid-ocean-ridge processes. Plausible geodynamic settings of the Timpa delle Murge gabbros are oceanic back-arc positions with embryonic MORB-activities. Similar slab contaminated magmatism is also known from the early stage of island arc formation in supra-subduction zone environments like the Izu-Bonin-Mariana island arc.
The Timpa delle Murge ophiolite in the North Calabrian Unit is part of the Liguride Complex (southern Apennines). The study is concentrated on the gabbroic part of the ophiolite of the Pollino area. They preserve the high-grade ocean floor metamorphic and locally developed flaser textures under ocean floor conditions. The primary magmatic assemblages are clinopyroxene, plagioclase, and opaques. Brown hornblende is a late magmatic phase. Green hornblende, actinolite, albite, chlorite and epidote display metamorphic recrystallization under lower amphibolite facies conditions, followed by greenschist facies.
The gabbros show subalkaline near to alkaline character with a tendency to a more calkalkaline trend. The normalization to primitive mantle and mid-ocean ridge basalt (N-MORB) compositions indicates a considerable depletion in Nb, P, Zr and Ti and an enrichment in Ba, Rb, K, Sr and Eu. This points to a mantle source, which is not compatible with a "normal" mid-ocean ridge situation. Rather, the gabbros are generated from a N-MORB-like melt with a strong crustal component, which was influenced by subduction related fluids and episodic melting during mid-ocean-ridge processes.
Plausible geodynamic settings of the Timpa delle Murge gabbros are oceanic back-arc positions with embryonic MORB-activities. Similar slab contaminated magmatism is also known from the early stage of island arc formation in supra-subduction zone environments like the Izu-Bonin-Mariana island arc.
The Siwalik sedimentary rocks of the Himalayan foreland basin preserve a record of Himalayan orogenesis, paleo-drainage evolution, and erosion. This study focuses on the still poorly studied easternmost Himalaya Siwalik record located directly downstream of the Namche Barwa syntaxis. We use luminescence, palaeomagnetism, magnetostratigraphy, and apatite fission-track dating to constrain the depositional ages of three Siwalik sequences: the Sibo outcrop (Upper Siwalik sediments at ca. 200-800 ka), the Remi section (Middle and Upper Siwalik rocks at >0.8-<8.8 +/- 2.4 Ma), and the Siang section (Middle Siwalik rocks at <9.3 +/- 1.5 to <13.5 +/- 1.5 Ma). Cretaceous-Paleogene detrital zircon and apatite U-Pb ages, characteristic of the Transhimalayan Gangdese Batholiths that crop out northwest of the syntaxis, are present throughout the Sibo, Remi, and Siang successions, confirming the existence of a Yarlung-Brahmaputra connection since at least the Late Miocene. A ca. 500 Ma zircon population increases up section, most strikingly sometime between 3.6 to 6.6 Ma, at the expense of Transhimalayan grains. We consider the ca. 500 Ma population to be derived from the Tethyan or Greater Himalaya, and we interpret the up-section increase to reflect progressive exhumation of the Namche Barwa syntaxis. Early Cretaceous zircon and apatite U-Pb ages are rare in the Sibo, Remi, and Siang successions, but abundant in modern Siang River sediments. Zircons of this age range are characteristic of the Transhimalayan Bomi-Chayu batholiths, which crop out east of the syntaxis and are eroded by the Parlung River, a modern tributary of the Siang River. We interpret the difference in relative abundance of Early Cretaceous zircons between the modern and ancient sediments to reflect capture of the Parlung by the Siang after 800 ka.
The SISAL database
(2018)
Stable isotope records from speleothems provide information on past climate changes, most particularly information that can be used to reconstruct past changes in precipitation and atmospheric circulation. These records are increasingly being used to provide "out-of-sample" evaluations of isotope-enabled climate models. SISAL (Speleothem Isotope Synthesis and Analysis) is an international working group of the Past Global Changes (PAGES) project. The working group aims to provide a comprehensive compilation of speleothem isotope records for climate reconstruction and model evaluation. The SISAL database contains data for individual speleothems, grouped by cave system. Stable isotopes of oxygen and carbon (delta O-18, delta C-13) measurements are referenced by distance from the top or bottom of the speleothem. Additional tables provide information on dating, including information on the dates used to construct the original age model and sufficient information to assess the quality of each data set and to erect a standardized chronology across different speleothems. The metadata table provides location information, information on the full range of measurements carried out on each speleothem and information on the cave system that is relevant to the interpretation of the records, as well as citations for both publications and archived data.
Relative abundances of 157 diatom taxa from Yakutian lake surface-sediments were investigated for their potential to indicate certain environmental conditions. Data from 206 sites from Arctic, sub-Arctic and boreal environments were included. Redundancy analyses were performed to assess the explanatory power of mean July temperature (T-July), conductivity, pH, dissolved silica concentration, phosphate concentration, lake depth and vegetation type on diatom species composition. Boosted regression tree analyses were performed to infer the most relevant environmental variables for abundances of individual taxa and weighted average regression was applied to infer their respective optimum and tolerance. Electrical conductivity was best indicated by diatom taxa. In contrast, only few taxa were indicative of Si and water depth. Few taxa were related to specific pH values. Although T-July, explained the highest proportion of variance in the diatom spectra and was, after conductivity, the second-most selected splitting variable, we a priori decided not to present indicator taxa because of the poorly understood relationship between diatom occurrences and T-July. In total, 92 diatom taxa were reliable indicators of a certain vegetation type or a combination of several types. The high numbers of indicative species for open vegetation sites and for forested sites suggest that the principal turnover is the transition from forest-tundra to northern taiga. Overall, our results reveal that preference ranges of diatom taxa for environmental variables are mostly broad, and the use of indicator taxa for the purposes of environmental reconstruction or environmental monitoring is therefore restricted to marked rather than subtle environmental transitions.
Management intensity modifies soil properties, e.g., organic carbon (C-org) concentrations and soil pH with potential feedbacks on plant diversity. These changes might influence microbial P concentrations (P-mic) in soil representing an important component of the Pcycle. Our objectives were to elucidate whether abiotic and biotic variables controlling P-mic concentrations in soil are the same for forests and grasslands, and to assess the effect of region and management on P-mic concentrations in forest and grassland soils as mediated by the controlling variables. In three regions of Germany, Schwabische Alb, Hanich-Dun, and Schorfheide-Chorin, we studied forest and grassland plots (each n=150) differing in plant diversity and land-use intensity. In contrast to controls of microbial biomass carbon (C-mic), P-mic was strongly influenced by soil pH, which in turn affected phosphorus (P) availability and thus microbial Puptake in forest and grassland soils. Furthermore, P-mic concentrations in forest and grassland soils increased with increasing plant diversity. Using structural equation models, we could show that soil C-org is the profound driver of plant diversity effects on P-mic in grasslands. For both forest and grassland, we found regional differences in P-mic attributable to differing environmental conditions (pH, soil moisture). Forest management and tree species showed no effect on P-mic due to a lack of effects on controlling variables (e.g., C-org). We also did not find management effects in grassland soils which might be caused by either compensation of differently directed effects across sites or by legacy effects of former fertilization constraining the relevance of actual practices. We conclude that variables controlling P-mic or C-mic in soil differ in part and that regional differences in controlling variables are more important for P-mic in soil than those induced by management.
There has been recent progress in the understanding of the evolution of Quaternary climate. Simultaneously, there have been improvements in the understanding of glacial erosion processes, with better parameter constraints. Despite this, there remains much debate about whether or not the observed cooling over the Quaternary has driven an increase in glacial erosion rates. Most studies agree that the erosional response to climate change must be transient; therefore, the time scale of the climatic change and the response time of glacial erosion must be accounted for. Here we analyze the equations governing glacial erosion in a steadily uplifting landscape with variable climatic forcing and derive expressions for two fundamental response time scales. The first time scale describes the response of the glacier and the second one the glacial erosion response. We find that glaciers have characteristic time scales of the order of 10 to 10,000 years, while the characteristic time scale for glacial erosion is of the order of a few tens of thousands to a few million years. We then use a numerical model to validate the approximations made to derive the analytical solutions. The solutions show that short period forcing is dampened by the glacier response time, and long period forcing (>1 Myr) may be dampened by erosional response of glaciers when the rock uplift rates are high. In most tectonic and climatic conditions, we expect to see the strongest response of glacial erosion to periodic climatic forcing corresponding to Plio-Pleistocene climatic cycles. Finally, we use the numerical model to predict the response of glacial systems to the observed climatic forcing of the Quaternary, including, but not limited to, the Milankovich periods and the long-term secular cooling trend. We conclude that an increase of glacial erosion in response to Quaternary cooling is physically plausible, and we show that the magnitude of the increase depends on rock uplift and ice accumulation rates.
The basic seismic load parameters for the upcoming national design regulation for DIN EN 1998-1/NA result from the reassessment of the seismic hazard supported by the German Institution for Civil Engineering (DIBt). This 2016 version of the national seismic hazard assessment for Germany is based on a comprehensive involvement of all accessible uncertainties in models and parameters and includes the provision of a rational framework for integrating ranges of epistemic uncertainties and aleatory variabilities in a comprehensive and transparent way. The developed seismic hazard model incorporates significant improvements over previous versions. It is based on updated and extended databases, it includes robust methods to evolve sets of models representing epistemic uncertainties, and a selection of the latest generation of ground motion prediction equations. The new earthquake model is presented here, which consists of a logic tree with 4040 end branches and essential innovations employed for a realistic approach. The output specifications were designed according to the user oriented needs as suggested by two review teams supervising the entire project. Seismic load parameters, for rock conditions of nu(S30) = 800 m/s, are calculated for three hazard levels (10, 5 and 2% probability of occurrence or exceedance within 50 years) and delivered in the form of uniform hazard spectra, within the spectral period range 0.02-3 s, and seismic hazard maps for peak ground acceleration, spectral response accelerations and for macroseismic intensities. Results are supplied as the mean, the median and the 84th percentile. A broad analysis of resulting uncertainties of calculated seismic load parameters is included. The stability of the hazard maps with respect to previous versions and the cross-border comparison is emphasized.
We present the results of a consistency check performed over the flatfile extracted from the engineering strong motion (ESM) database. The flatfile includes 23,014 recordings from 2179 earthquakes in the magnitude range from 3.5 to 7.8 that occurred since the 1970s in Europe and Middle East, as presented in the companion article by Lanzano et al. (Bull Earthq Eng, 2018a). The consistency check is developed by analyzing different residual distributions obtained from ad-hoc ground motion prediction equations for the absolute spectral acceleration (SA), displacement and Fourier amplitude spectra (FAS). Only recordings from earthquakes shallower than 40 km are considered in the analysis. The between-event, between-station and event-and-station corrected residuals are computed by applying a mixed-effect regression. We identified those earthquakes, stations, and recordings showing the largest deviations from the GMPE median predictions, and also evaluated the statistical uncertainty on the median model to get insights on the applicable magnitude–distance ranges and the usable period (or frequency) range. We observed that robust median predictions are obtained up to 8 s for SA and up to 20 Hz for FAS, although median predictions for Mw ≥ 7 show significantly larger uncertainties with ‘bumps’ starting above 5 s for SA and below 0.3 Hz for FAS. The between-station variance dominates over the other residual variances, and the dependence of the between-station residuals on logarithm of Vs30 is well-described by a piece-wise linear function with period-dependent slopes and hinge velocity around 580 m/s. Finally, we compared the between-event residuals obtained by considering two different sources of moment magnitude. The results show that, at long periods, the between-event terms from the two regressions have a weak correlation and the overall between-event variability is dissimilar, highlighting the importance of magnitude source in the regression results.
The moment magnitude (M-w) 5.5 earthquake that struck South Korea in November 2017 was one of the largest and most damaging events in that country over the past century. Its proximity to an enhanced geothermal system site, where high-pressure hydraulic injection had been performed during the previous 2 years, raises the possibility that this earthquake was anthropogenic. We have combined seismological and geodetic analyses to characterize the mainshock and its largest aftershocks, constrain the geometry of this seismic sequence, and shed light on its causal factors. According to our analysis, it seems plausible that the occurrence of this earthquake was influenced by the aforementioned industrial activities. Finally, we found that the earthquake transferred static stress to larger nearby faults, potentially increasing the seismic hazard in the area.
The impact of reservoir heterogeneities on High-Temperature aquifer thermal energy storage systems
(2018)
We conducted a geoscientific feasibility study for the development of a high-temperature thermal aquifer energy storage system (HT-ATES) outside the capital of Muscat, northern Oman. The aquifer storage is part of a solar geothermal cooling project for the sustainable and continuous cooling of office buildings. The main concept is that excess solar energy will be stored in the subsurface through hot water injection and subsequently utilised as auxiliary energy source during peak demand times. The characterisation of aquifer heterogeneities is thus essential to predict subsurface thermal heat plume development and recovery efficiency of the storage system. We considered two aquifer systems as potential storage horizons, (i) a clastic-dominated alluvial fan system where individual channel systems in combination with diagenetic alterations constitute the main heterogeneities and (ii) a carbonate-dominated system represented by a homogenous layer-cake architecture. The feasibility study included a multidisciplinary approach from initial field work, geocellular reservoir modelling to finite element fluid flow and thermal modelling. Our results show that for the HT-ATES system, with a high frequency of injection and production cycles, heat loss mainly occurs due to heterogeneities in the permeability field of the aquifer in combination with buoyancy driven vertical fluid flow. An impermeable cap-rock is needed to keep the heat plume in place. Conductive heat loss is a minor issue. Highly complex heat plume geometries are apparent in the clastic channel system and ATES well planning is challenging due to the complex and interconnected high permeable channels. The carbonate sequence shows uniform plume geometries due to the layer cake architecture of the system and is tentatively more suitable for ATES development. Based on our findings we propose the general concept of HT-ATES traps, incorporating and building on expertise and knowledge from petroleum and reservoir geology regarding reservoir rocks and suitable trap&seal geometries. The concept can be used as guideline for future high-temperature aquifer storage exploration and development.
The Sierra Nevada de Santa Marta in NW Colombia is an isolated massif at the northernmost end of the Andes chain near the boundary with the Caribbean plate. Previous geologic mapping and K-Ar dating have shown that Jurassic plutonic and volcanic units make up a large part of the Santa Marta Massif (SMM). These rocks have been considered to be part of a Jurassic magmatic arc extending from NW Colombia to northern Chile, but without any geochemical basis for comparison. This paper reports on a geochemical and Sr-Nd-Pb isotope study of the Jurassic rocks in the SMM and provides 12 new U-Pb zircon ages from in-situ laser ICP-MS dating. The plutonic and volcanic units span a range from 45 to 78 wt.% SiO2, with a dominance of intermediate to felsic compositions with SiO2 > 57 wt.%. They classify as calc-alkaline, medium to high-K, metaluminous rocks with trace-element features typical for arc-derived magma series. In terms of their major and trace-element compositions, the SMM Jurassic units overlap with contemporary plutonic and volcanic rocks from other regions of the Central and Eastern Cordilleras of Colombia, and confirm an arc affinity. The new U-Pb ages range from 176 +/- 1 Ma to 192 +/- 2 Ma (n = 12), with most between 180 and 188 Ma (n = 7). The initial Sr isotope ratios (at 180 Ma) are between 0.7012 and 0.7071 (n = 29), with 3 outliers attributed to mobilization of Rb and/or Sr, Nearly all samples have negative( )epsilon Nd-(180) values between - 10.3 and 0.0 (n = 30), the two exceptions being only slightly positive (1.1 and 1.9). Measured Pb isotope ratios fall in a narrow range, with Pb-206/Pb-204 from 18.02 to 19.95, (207) Pb/(204) Pb from 15.56 to 15.67 and Pb-208/Pb-204 from 37.76 to 39.04 (n = 28). In the regional context of previous studies, these results confirm early Jurassic ages and an arc affinity for the widespread magmatism exposed in the eastern and northeastern Colombian Andes. We also note patterns in the distribution and composition of magmas. The magmatic activity in the Central Cordillera tends to be younger than in the Eastern Cordillera and is spatially more restricted to the vicinity of regional fault systems. In terms of composition, Jurassic igneous rocks in the Eastern Cordillera have systematically lower epsilon Nd-(180) values than those from the Central Cordillera, whereas the Pb isotope ratios overlap. We ascribe the Nd isotope variations to heterogeneity in the mantle source and/or degree of crustal contamination, whereas the Pb isotope ratios are crust-dominated and similar throughout the region. The spatio-temporal and compositional evolution of Jurassic magmatic rocks in the Northern Andes reflect the major plate kinematic readjustment between the Triassic and the Early Jurassic in the proto-Andean margin.
Urban areas play an unprecedented role in potentially mitigating climate change and supporting sustainable development. In light of the rapid urbanisation in many parts on the globe, it is crucial to understand the relationship between settlement size and CO2 emission efficiency of cities. Recent literature on urban scaling properties of emissions as a function of population size has led to contradictory results and more importantly, lacked an in-depth investigation of the essential factors and causes explaining such scaling properties. Therefore, in analogy to the well-established Kaya Identity, we develop a relation combining the involved exponents. We demonstrate that application of this Urban Kaya Relation will enable a comprehensive understanding about the intrinsic factors determining emission efficiencies in large cities by applying it to a global dataset of 61 cities. Contrary to traditional urban scaling studies which use Ordinary Least Squares (OLS) regression, we show that the Reduced Major Axis (RMA) is necessary when complex relations among scaling exponents are to be investigated. RMA is given by the geometric mean of the two OLS slopes obtained by interchanging the dependent and independent variable. We discuss the potential of the Urban Kaya Relation in mainstreaming local actions for climate change mitigation.
The effect of Indian Summer Monsoon rainfall on surface water delta D values in the central Himalaya
(2018)
Stable isotope proxy records, such as speleothems, plant-wax biomarker records, and ice cores, are suitable archives for the reconstruction of regional palaeohydrologic conditions. But the interpretation of these records in the tropics, especially in the Indian Summer Monsoon (ISM) domain, is difficult due to differing moisture and water sources: precipitation from the ISM and Winter Westerlies, as well as snow- and glacial meltwater. In this study, we use interannual differences in ISM strength (2011-2012) to understand the stable isotopic composition of surface water in the Arun River catchment in eastern Nepal. We sampled main stem and tributary water (n = 204) for stable hydrogen and oxygen isotope analysis in the postmonsoon phase of two subsequent years with significantly distinct ISM intensities. In addition to the 2011/2012 sampling campaigns, we collected a 12-month time series of main stem waters (2012/2013, n = 105) in order to better quantify seasonal effects on the variability of surface water delta O-18/delta D. Furthermore, remotely sensed satellite data of rainfall, snow cover, glacial coverage, and evapotranspiration was evaluated. The comparison of datasets from both years revealed that surface waters of the main stem Arun and its tributaries were D-enriched by similar to 15 parts per thousand when ISM rainfall decreased by 20%. This strong response emphasizes the importance of the ISM for surface water run-off in the central Himalaya. However, further spatio-temporal analysis of remote sensing data in combination with stream water d-excess revealed that most high-altitude tributaries and the Tibetan part of the Arun receive high portions of glacial melt water and likely Winter Westerly Disturbances precipitation. We make the following two implications: First, palaeohydrologic archives found in high-altitude tributaries and on the southern Tibetan Plateau record a mixture of past precipitation delta D values and variable amounts of additional water sources. Second, surface water isotope ratios of lower elevated tributaries strongly reflect the isotopic composition of ISM rainfall implying a suitable region for the analysis of potential delta D value proxy records.
Numerous charcoal accumulations discovered in the submerged Chan Hol cave near Tulum, Quintana Roo, Mexico, have been C-14-dated revealing ages between 8110 +/- 28 C-14 a BP (9122-8999 cal a BP) and 7177 +/- 27 C-14 a BP (8027-7951 cal a BP). These charcoal concentrations, interpreted here as ancient illumination sites, provide strong evidence that the Chan Hol cave was dry and accessible during that time interval. Humans used the cave for at least 1200 years during the early and middle Holocene, before access was successively interrupted by global sea level rise and flooding of the cave system. Our data thus narrow the gap between an early settlement in the Tulum area reaching from the late Pleistocene (similar to 13 000 a) to middle Holocene (e.g. 7177 C-14 a BP), and the Maya Formative period at approximately 3000 a bp. Yet, no evidence has been presented to date for human settlement during the similar to 4000-year interval between 7000 and 3000 a. This is remarkable as settlement in other areas of south-eastern Mexico (e.g. Chiapas, Tabasco) and in Guatemala was apparently continuous.
The central Andes
(2018)
The Central Andes and the Atacama Desert represent a unique geological, climatic, and magmatic setting on our planet. It is the only place on Earth where subduction of an oceanic plate below an active continental margin has led to an extensive mountain chain and an orogenic plateau that is second in size only to the Tibetan Plateau, which resulted from continental collision. In this article, we introduce the history of the Central Andes and the evolution of its landscape. We also discuss links between tectonic forces, magmatism, and the extreme hyperarid climate of this land that, in turn, has led to rich deposits of precious ores and minerals.
The AlpArray seismic network
(2018)
The AlpArray programme is a multinational, European consortium to advance our understanding of orogenesis and its relationship to mantle dynamics, plate reorganizations, surface processes and seismic hazard in the Alps-Apennines-Carpathians-Dinarides orogenic system. The AlpArray Seismic Network has been deployed with contributions from 36 institutions from 11 countries to map physical properties of the lithosphere and asthenosphere in 3D and thus to obtain new, high-resolution geophysical images of structures from the surface down to the base of the mantle transition zone. With over 600 broadband stations operated for 2 years, this seismic experiment is one of the largest simultaneously operated seismological networks in the academic domain, employing hexagonal coverage with station spacing at less than 52 km. This dense and regularly spaced experiment is made possible by the coordinated coeval deployment of temporary stations from numerous national pools, including ocean-bottom seismometers, which were funded by different national agencies. They combine with permanent networks, which also required the cooperation of many different operators. Together these stations ultimately fill coverage gaps. Following a short overview of previous large-scale seismological experiments in the Alpine region, we here present the goals, construction, deployment, characteristics and data management of the AlpArray Seismic Network, which will provide data that is expected to be unprecedented in quality to image the complex Alpine mountains at depth.
An essential, respected, and critical aspect of the modern practice of science and scientific publishing is peer review. The process of peer review facilitates best practices in scientific conduct and communication, ensuring that manuscripts published as accurate, valuable, and clearly communicated. The over 152 papers published in Tectonics in 2017 benefit from the time, effort, and expertise of our reviewers who have provided thoughtfully considered advice on each manuscript. This role is critical to advancing our understanding of the evolution of the continents and their margins, as these reviews lead to even clearer and higher-quality papers. In 2017, the over 423 papers submitted to Tectonics were the beneficiaries of more than 786 reviews provided by 562 members of the tectonics community and related disciplines. To everyone who has volunteered their time and intellect to peer reviewing, thank you for helping Tectonics and all other AGU Publications provide the best science possible.
In this study, we analyze interactions in lake and lake catchment systems of a continuous permafrost area. We assessed colored dissolved organic matter (CDOM) absorption at 440 nm (a(440)(CDOM)) and absorption slope (S300-500) in lakes using field sampling and optical remote sensing data for an area of 350 km(2) in Central Yamal, Siberia. Applying a CDOM algorithm (ratio of green and red band reflectance) for two high spatial resolution multispectral GeoEye-1 and Worldview-2 satellite images, we were able to extrapolate the a()(CDOM) data from 18 lakes sampled in the field to 356 lakes in the study area (model R-2 = 0.79). Values of a(440)(CDOM) in 356 lakes varied from 0.48 to 8.35 m(-1) with a median of 1.43 m(-1). This a()(CDOM) dataset was used to relate lake CDOM to 17 lake and lake catchment parameters derived from optical and radar remote sensing data and from digital elevation model analysis in order to establish the parameters controlling CDOM in lakes on the Yamal Peninsula. Regression tree model and boosted regression tree analysis showed that the activity of cryogenic processes (thermocirques) in the lake shores and lake water level were the two most important controls, explaining 48.4% and 28.4% of lake CDOM, respectively (R-2 = 0.61). Activation of thermocirques led to a large input of terrestrial organic matter and sediments from catchments and thawed permafrost to lakes (n = 15, mean a(440)(CDOM) = 5.3 m(-1)). Large lakes on the floodplain with a connection to Mordy-Yakha River received more CDOM (n = 7, mean a(440)(CDOM) = 3.8 m(-1)) compared to lakes located on higher terraces.
In this study, we analyze interactions in lake and lake catchment systems of a continuous permafrost area. We assessed colored dissolved organic matter (CDOM) absorption at 440 nm (a(440)(CDOM)) and absorption slope (S300-500) in lakes using field sampling and optical remote sensing data for an area of 350 km(2) in Central Yamal, Siberia. Applying a CDOM algorithm (ratio of green and red band reflectance) for two high spatial resolution multispectral GeoEye-1 and Worldview-2 satellite images, we were able to extrapolate the a()(CDOM) data from 18 lakes sampled in the field to 356 lakes in the study area (model R-2 = 0.79). Values of a(440)(CDOM) in 356 lakes varied from 0.48 to 8.35 m(-1) with a median of 1.43 m(-1). This a()(CDOM) dataset was used to relate lake CDOM to 17 lake and lake catchment parameters derived from optical and radar remote sensing data and from digital elevation model analysis in order to establish the parameters controlling CDOM in lakes on the Yamal Peninsula. Regression tree model and boosted regression tree analysis showed that the activity of cryogenic processes (thermocirques) in the lake shores and lake water level were the two most important controls, explaining 48.4% and 28.4% of lake CDOM, respectively (R-2 = 0.61). Activation of thermocirques led to a large input of terrestrial organic matter and sediments from catchments and thawed permafrost to lakes (n = 15, mean a(440)(CDOM) = 5.3 m(-1)). Large lakes on the floodplain with a connection to Mordy-Yakha River received more CDOM (n = 7, mean a(440)(CDOM) = 3.8 m(-1)) compared to lakes located on higher terraces.
Ground‐motion prediction equations (GMPEs) are calibrated to predict the intensity of ground shaking at any given location, based on earthquake magnitude, source‐to‐site distance, local soil amplifications, and other parameters. GMPEs are generally assumed to be independent of time; however, evidence is increasing that large earthquakes modify the shallow soil conditions and those of the fault zone for months or years. These changes may affect the intensity of shaking and result in time‐dependent effects that can potentially be resolved by analyzing between‐event residuals (residuals between observed and predicted ground motion for individual earthquakes averaged over all stations). Here, we analyze a data set of about 65,000 recordings for about 1400 earthquakes in the moment magnitude range 2.5–6.5 that occurred in central Italy from 2008 to 2017 to capture the temporal variability of the ground shaking at high frequency. We first compute between‐event residuals for each earthquake in the Fourier domain with respect to a GMPE developed ad hoc for the analyzed data set. The between‐events show large changes after the occurrence of mainshocks such as the 2009 Mw 6.3 L'Aquila, the 2016 Mw 6.2 Amatrice, and Mw 6.5 Norcia earthquakes. Within the time span of a few months after the mainshocks, the between‐event contribution to the ground shaking varies by a factor 7. In particular, we find a large drop in the between‐events in the aftermath of the L'Aquila earthquake, followed by a slow positive trend that leads to a recovery interrupted by a new drop at the beginning of 2014. We also quantify the frequency‐dependent correlation between the Brune stress drop Δσ and the between‐events. We find that the temporal changes of Δσ resemble those of the between‐event residuals; in particular, during the period when the between‐events show the positive trend, the average logarithm of Δσ increases with an annual rate of 0.19 (i.e., the amplification factor for Δσ is 1.56 per year). Breakpoint analysis located a change in the linear trend coefficients of Δσ versus time in February 2014, although no large earthquakes occurred at that time. Finally, the temporal variability of Δσ mirrors the relative seismic‐velocity variations observed in previous studies for the same area and period, suggesting that both crack healing along the main fault system and healing of microcracks distributed at shallow depths throughout the surrounding region might be necessary to explain the wider observations of postearthquake recovery.
Changes in species' distributions are classically projected based on their climate envelopes. For Siberian forests, which have a tremendous significance for vegetation-climate feedbacks, this implies future shifts of each of the forest-forming larch (Larix) species to the north-east. However, in addition to abiotic factors, reliable projections must assess the role of historical biogeography and biotic interactions. Here, we use sedimentary ancient DNA and individual-based modelling to investigate the distribution of larch species and mitochondrial haplotypes through space and time across the treeline ecotone on the southern Taymyr peninsula, which at the same time presents a boundary area of two larch species. We find spatial and temporal patterns, which suggest that forest density is the most influential driver determining the precise distribution of species and mitochondrial haplotypes. This suggests a strong influence of competition on the species' range shifts. These findings imply possible climate change outcomes that are directly opposed to projections based purely on climate envelopes. Investigations of such fine-scale processes of biodiversity change through time are possible using paleoenvironmental DNA, which is available much more readily than visible fossils and can provide information at a level of resolution that is not reached in classical palaeoecology.
The Red Indian Line (RIL) in central Newfoundland is the suture, where the main tract of the Iapetus Ocean was closed at similar to 452 Ma during accretion of the peri-Gondwanan Victoria arc with the composite active Laurentian margin. The protracted deformation history of this soft collision started at similar to 471 Ma with accretion of oceanic terranes to the active composite Laurentian margin. After Iapetus closure both colliding active margins were progressively deformed and metamorphosed during Silurian and Devonian (Salinic, Acadian and Neoacadian orogenic cycles). Peak conditions of the very low- to medium-grade, heterogeneously distributed metamorphism were determined by pseudosection techniques within the range of 2-7 kbar, 230-450 degrees C during increase of the metamorphic field gradient from similar to 12 degrees C/km to similar to 32 degrees C/km over time. Multiple metamorphic crystallisation stages were dated by white mica Ar-40/Ar-39 spot and plateau ages, additional Rb-Sr mineral isochrons involving white mica and one U/Pb age of titanite. All resulting ages between 439 +/- 4 Ma and 356 +/- 16 Ma postdate the closure of Iapetus. Results differ along two transects: The oldest ages of 443-421 Ma (Salinic orogenic cycle) were observed along the northern transect through the RIL zone with minimal younger overprint. Hence low temperature, intermediate to high pressure conditions (4.0-7.0 kbar, 230-340 degrees C) achieved during Taconic-Salinic underthrusting are well preserved. During Acadian dextral transpression the Taconic-Salinic structural wedge was tilted subvertically. In contrast, rocks along the southern transect through the RIL zone mainly show Acadian ages of 408-390 Ma with local preservation of older ages. Acadian deformation occurred under low temperature/low pressure conditions (similar to 250-450 degrees C, 2.5-4.6 kbar). Also Silurian terrestrial cover rocks were buried under these conditions. Acadian-Neoacadian deformation (393-340 Ma) becomes younger towards the northwest and progressively localized in transcurrent fault zones. This final foreland deformation at shallow crustal level established the Acadian/Neoacadian orogenic front in central Newfoundland slightly northwest of the RIL.
TDS-1 GNSS Reflectometry
(2018)
This study presents the development and a systematic evaluation study of GNSS reflectometry wind speeds. After establishing a wind speed retrieval algorithm, UK TechDemoSat-1 (TDS-1) derived winds, from May 2015 to July 2017, are compared to the Advanced Scatterometer (ASCAT). ERA-Interim wind fields of the European Centre for Medium-range Weather Forecasts (ECMWF) and in situ observation from Tropical Atmosphere Ocean buoy array in the Pacific are taken as reference. One-year averaged TDS-1 global winds demonstrate small differences with ECMWF in a majority of areas as well as discuss under- and overestimations. The pioneering TDS-1 winds demonstrate a root-mean-squared error (RMSE) and bias of 2.77 and -0.33 m/s, which are comparable to the RMSE and bias derived by ASCAT winds, as large as 2.31 and 0.25 m/s, respectively. Using buoys measurements as reference, RMSE and bias of 2.23 and -0.03 m/s for TDS-1 as well as 1.40 and -0.68 m/s for ASCAT are obtained. Utilizing rain microwave-infrared estimates of the Tropical Rainfall Measuring Mission, rain-affected observation of both ASCAT and TDS-1 are collected and evaluated. Although ASCAT winds show a significant performance degradation resulting in an RMSE and bias of 3.16 and 1.03 m/s, respectively, during rain condition, TDS-1 shows a more reliable performance with an RMSE and bias of 2.94 and -0.21 m/s, respectively, which indicates the promising capability of GNSS forward scattering for wind retrievals during rain. A decrease in TDS-1-derived bistatic radar cross sections during rain events, at weak winds, is also demonstrated.
Dumortierite was synthesized in piston-cylinder experiments at 2.5-4.0 GPa, 650-700 degrees C in the Al2O3 -B2O3-SiO2-H2O (ABSH) system. Electron-microprobe (EMP) analyses reveal significant boron-excess (up to 0.26 B-[4] per formula unit, pfu) and silicon-deficiency relative to the ideal anhydrous dumortierite stoichiometry Al7BSi3O18 . The EMP data in conjunction with results from single-crystal Raman spectroscopy and powder X-ray diffraction provide evidence that silicon at the tetrahedral site is replaced by excess boron via the substitution Si-[4] <--> B-[4] + H. The Raman spectrum of synthetic dumortierite in the frequency region 2000 4000 cm(-1) comprises eight bands, of which six are located at frequencies below 3400 cm(-1). This points to strong hydrogen bonding, most likely O2-H center dot center dot center dot O7 and O7-H center dot center dot center dot O2, arising from a high number of octahedral vacancies at the All site and substitution of trivalent Al3+ and B3+ for Si4+ at Si1 and Si2 sites, causing decreasing acceptor-donor distances and lower incident valence at the acceptor oxygen. Contrary to the synthetic high-pressure ABSH-dumortierite, magnesiodumortierite from the Dora-Maira Massif, which is assumed to have formed at similar conditions (2.5-3.0 GPa, 700 degrees C), does not show any B-excess. Tourmaline shows an analogous behaviour in that magnesium-rich (e.g., dravitic) tourmaline formed at high pressure shows no or only minor amounts of tetrahedral boron, whereas natural aluminum-rich tourmaline and synthetic olenitic tourmaline formed at high pressures can incorporate significant amounts of tetrahedral boron. Two mechanisms might account for this discrepancy: (i) Structural avoidance of Mg-[6]-(OR3+)-R-[4] configurations in magnesiodumortierite due to charge deficieny at the oxygens O2 and O7 and strong local distortion of M1 due to decreased O2-O7 bond length, and/or (ii) decreasing fluid mobility of boron in Al-rich systems at high pressures.
Unravelling the spatiotemporal evolution of the Cenozoic Andean (Altiplano-Puna) plateau has been one of the most intriguing problems of South American geology. Despite a number of investigations, the early deformation and uplift history of this area remained largely enigmatic. This paper analyses the Paleogene tectono-sedimentary history of the Casa Grande Basin, in the present-day transition zone between the northern sector of the Puna Plateau and the northern part of the Argentine Eastern Cordillera. Our detailed mapping of synsedimentary structures records the onset of regional contractional deformation during the middle Eocene, revealing reactivation of Cretaceous extensional structures and the development of doubly vergent thrusts. This is in agreement with records from other southern parts of the Puna Plateau and the Eastern Cordillera. These observations indicate the existence of an Eocene broken foreland setting within the region, characterized by low-lying compressional basins and ranges with spatially disparate sectors of deformation, which was subsequently subjected to regional uplift resulting in the attainment of present-day elevations during the Neogene.
Coastal ecosystems in the Arctic are affected by climate change. As summer rainfall frequency and intensity are projected to increase in the future, more organic matter, nutrients and sediment could bemobilized and transported into the coastal nearshore zones. However, knowledge of current processes and future changes is limited. We investigated streamflow dynamics and the impacts of summer rainfall on lateral fluxes in a small coastal catchment on Herschel Island in the western Canadian Arctic. For the summer monitoring periods of 2014-2016, mean dissolved organic matter flux over 17 days amounted to 82.7 +/- 30.7 kg km(-2) and mean total dissolved solids flux to 5252 +/- 1224 kg km(-2). Flux of suspended sediment was 7245 kg km(-2) in 2015, and 369 kg km(-2) in 2016. We found that 2.0% of suspended sediment was composed of particulate organic carbon. Data and hysteresis analysis suggest a limited supply of sediments; their interannual variability is most likely caused by short-lived localized disturbances. In contrast, our results imply that dissolved organic carbon is widely available throughout the catchment and exhibits positive linear relationship with runoff. We hypothesize that increased projected rainfall in the future will result in a similar increase of dissolved organic carbon fluxes.
Nearly 13,000 years ago, the warming trend into the Holocene was sharply interrupted by a reversal to near glacial conditions. Climatic causes and ecological consequences of the Younger Dryas (YD) have been extensively studied, however proxy archives from the Mediterranean basin capturing this period are scarce and do not provide annual resolution. Here, we report a hydroclimatic reconstruction from stable isotopes (delta O-18, delta C-13) in subfossil pines from southern France. Growing before and during the transition period into the YD (12 900-12 600 cal BP), the trees provide an annually resolved, continuous sequence of atmospheric change. Isotopic signature of tree sourcewater (delta O-18(sw)) and estimates of relative air humidity were reconstructed as a proxy for variations in air mass origin and precipitation regime. We find a distinct increase in inter-annual variability of sourcewater isotopes (delta O-18(sw)), with three major downturn phases of increasing magnitude beginning at 12 740 cal BP. The observed variation most likely results from an amplified intensity of North Atlantic (low delta O-18(sw)) versus Mediterranean (high delta O-18(sw)) precipitation. This marked pattern of climate variability is not seen in records from higher latitudes and is likely a consequence of atmospheric circulation oscillations at the margin of the southward moving polar front.
Nearly 13,000 years ago, the warming trend into the Holocene was sharply interrupted by a reversal to near glacial conditions. Climatic causes and ecological consequences of the Younger Dryas (YD) have been extensively studied, however proxy archives from the Mediterranean basin capturing this period are scarce and do not provide annual resolution. Here, we report a hydroclimatic reconstruction from stable isotopes (delta O-18, delta C-13) in subfossil pines from southern France. Growing before and during the transition period into the YD (12 900-12 600 cal BP), the trees provide an annually resolved, continuous sequence of atmospheric change. Isotopic signature of tree sourcewater (delta O-18(sw)) and estimates of relative air humidity were reconstructed as a proxy for variations in air mass origin and precipitation regime. We find a distinct increase in inter-annual variability of sourcewater isotopes (delta O-18(sw)), with three major downturn phases of increasing magnitude beginning at 12 740 cal BP. The observed variation most likely results from an amplified intensity of North Atlantic (low delta O-18(sw)) versus Mediterranean (high delta O-18(sw)) precipitation. This marked pattern of climate variability is not seen in records from higher latitudes and is likely a consequence of atmospheric circulation oscillations at the margin of the southward moving polar front.
Pre-existing weakness zones in the lithosphere such as transform faults/fracture zones and extinct mid-oceanic ridges have been suggested to facilitate subduction initiation in an intra-oceanic environment. Here, we propose that the additional forcing coming from the mantle suction flow is required to trigger the conversion of a fracture zone/transform fault into a converging plate boundary. This suction flow can be induced either from the slab remnants of former converging plate boundaries or/and from slabs of neighbouring active subduction zones. Using 2-D coupled thermo-mechanical models, we show that a sufficiently strong mantle flow is able to convert a fracture zone/transform fault into a subduction zone. However, this process is feasible only if the fracture zone/transform fault is very close to the mid-oceanic ridge. Our numerical model results indicate that time of subduction initiation depends on the velocity, domain size and location of mantle suction flow and age of the oceanic plate.
Sub-seasonal thaw slump mass wasting is not consistently energy limited at the landscape scale
(2018)
Predicting future thaw slump activity requires a sound understanding of the atmospheric drivers and geomorphic controls on mass wasting across a range of timescales. On sub-seasonal timescales, sparse measurements indicate that mass wasting at active slumps is often limited by the energy available for melting ground ice, but other factors such as rainfall or the formation of an insulating veneer may also be relevant. To study the sub-seasonal drivers, we derive topographic changes from single-pass radar interferometric data acquired by the TanDEM-X satellites. The estimated elevation changes at 12m resolution complement the commonly observed planimetric retreat rates by providing information on volume losses. Their high vertical precision (around 30 cm), frequent observations (11 days) and large coverage (5000 km(2)) allow us to track mass wasting as drivers such as the available energy change during the summer of 2015 in two study regions. We find that thaw slumps in the Tuktoyaktuk coastlands, Canada, are not energy limited in June, as they undergo limited mass wasting (height loss of around 0 cm day 1) despite the ample available energy, suggesting the widespread presence of early season insulating snow or debris veneer. Later in summer, height losses generally increase (around 3 cm day 1), but they do so in distinct ways. For many slumps, mass wasting tracks the available energy, a temporal pattern that is also observed at coastal yedoma cliffs on the Bykovsky Peninsula, Russia. However, the other two common temporal trajectories are asynchronous with the available energy, as they track strong precipitation events or show a sudden speed-up in late August respectively. The observed temporal patterns are poorly related to slump characteristics like the headwall height. The contrasting temporal behaviour of nearby thaw slumps highlights the importance of complex local and temporally varying controls on mass wasting.
The lack of process-based classification procedures may lead to unrealistic hyetograph design due to complex oscillation of rainfall depths when assimilated at high temporal resolutions. Four consecutive years of sub-hourly rainfall data were assimilated in three study areas (Guaraira, GEB, Sao Joao do Cariri, CEB, and Aiuaba, AEB) under distinct climates (very hot semi-arid and tropical wet). This study aimed to define rainfall events (for Minimum Inter-event Time, MIT, and Minimum Rainfall Depth, MRD, equal to 30 min and 1.016 mm, respectively), classify their hyetograph types (rectangular, R, unimodal with left-skewed, UL, right-skewed, UR, and centred peaks, UC, bimodal, B, and shapeless, SL), and compare their key rainfall properties (frequency, duration, depth, rate and peak). A rain pulse aggregation process allowed for reshaping SL-events for six different time spans varying from 2 to 30 min. The results revealed that the coastal area held predominantly R-events (64% events and 49% rainfall depth), in western semi-arid prevailed UL-events (57% events and 63% rainfall depth), whereas in eastern semi-arid mostly were R-events (61% events and 30% rainfall depth) similar to coastal area. It is concluded that each cloud formation type had important effects on hyetograph properties, differentiating them even within the same climate.
Active and passive source data from two seismic experiments within the interdisciplinary project TIPTEQ (from The Incoming Plate to mega Thrust EarthQuake processes) were used to image and identify the structural and petrophysical properties (such as P- and S-velocities, Poisson's ratios, pore pressure, density and amount of fluids) within the Chilean seismogenic coupling zone at 38.25°S, where in 1960 the largest earthquake ever recorded (Mw 9.5) occurred. Two S-wave velocity models calculated using traveltime and noise tomography techniques were merged with an existing velocity model to obtain a 2D S-wave velocity model, which gathered the advantages of each individual model. In a following step, P- and S-reflectivity images of the subduction zone were obtained using different pre stack and post-stack depth migration techniques. Among them, the recent prestack line-drawing depth migration scheme yielded revealing results. Next, synthetic seismograms modelled using the reflectivity method allowed, through their input 1D synthetic P- and S-velocities, to infer the composition and rocks within the subduction zone. Finally, an image of the subduction zone is given, jointly interpreting the results from this work with results from other studies. The Chilean seismogenic coupling zone at 38.25°S shows a continental crust with highly reflective horizontal, as well as (steep) dipping events. Among them, the Lanalhue Fault Zone (LFZ), which is interpreted to be east-dipping, is imaged to very shallow depths. Some steep reflectors are observed for the first time, for example one near the coast, related to high seismicity and another one near the LFZ. Steep shallow reflectivity towards the volcanic arc could be related to a steep west-dipping reflector interpreted as fluids and/or melts, migrating upwards due to material recycling in the continental mantle wedge. The high resolution of the S-velocity model in the first kilometres allowed to identify several sedimentary basins, characterized by very low P- and S-velocities, high Poisson's ratios and possible steep reflectivity. Such high Poisson's ratios are also observed within the oceanic crust, which reaches the seismogenic zone hydrated due to bending-related faulting. It is interpreted to release water until reaching the coast and under the continental mantle wedge. In terms of seismic velocities, the inferred composition and rocks in the continental crust is in agreement with field geology observations at the surface along the proflle. Furthermore, there is no requirement to call on the existence of measurable amounts of present-day fluids above the plate interface in the continental crust of the Coastal Cordillera and the Central Valley in this part of the Chilean convergent margin. A large-scale anisotropy in the continental crust and upper mantle, previously proposed from magnetotelluric studies, is proposed from seismic velocities. However, quantitative studies on this topic in the continental crust of the Chilean seismogenic zone at 38.25°S do not exist to date.
Carbonate-rich silicate and carbonate melts play a crucial role in deep Earth magmatic processes and their melt structure is a key parameter, as it controls physical and transport properties. Carbon-rich melts can be strongly enriched in trace elements, but the structural incorporation mechanisms of these elements are difficult to study because such melts generally cannot be quenched to glasses. In this contribution we investigate the influence of CO2 on the local environments of trace elements contained in silicate glasses with variable CO2 concentrations and in silicate and carbonate melts. The melts were studied in-situ at high pressure and temperature conditions using the Paris-Edinburgh press (2.2 to 2.6 GPa and 1200 to 1500 degrees C). The compositions studied include sodium-rich peralkaline silicate melts and glasses and carbonate melts similar to those occurring naturally at Oldoinyo Lengai volcano. The local environments of yttrium (Y), lanthanum (La) and strontium (Sr) were investigated using extended X-ray absorption fine structure (EXAFS) spectroscopy. Main findings of the study suggest: (1) In peralkaline silicate glasses the local structure of Y is unaffected by the CO2 content. Contrary, a slight increase of oxygen bond lengths of Sr and La is inferred with increasing CO2 content in peralkaline glasses, while they remain constant in glasses of even higher peralkalinity independent of the CO2 content. (2) In silicate melts of different CO2 contents Y-O bond lengths are constant, while a slight increase within carbonate melt compositions is deduced. On the other hand, a steady bond lengths increase over the whole compositional range is inferred for La-O and Sr-O. This may well be explained by distinct preferences of these elements for specific local environments. Based on these new data, we suggest potential mechanisms for the structural incorporation of these elements, a key step towards understanding their partitioning behavior in natural magmatic systems.
The impressive number of stream gauges in Chile, combined with a suite of past and recent large earthquakes, makes Chile a unique natural laboratory to study several streams that recorded responses to multiple seismic events. We document changes in discharge in eight streams in Chile following two or more large earthquakes. In all cases, discharge increases. Changes in discharge occur for peak ground velocities greater than about 7-11cm/s. Above that threshold, the magnitude of both the increase in discharge and the total excess water do not increase with increasing peak ground velocities. While these observations are consistent with previous work in California, they conflict with lab experiments that show that the magnitude of permeability changes increases with increasing amplitude of ground motion. Instead, our study suggests that streamflow responses are binary. Plain Language Summary Earthquakes deform and shake the surface and the ground below. These changes may affect groundwater flows by increasing the permeability along newly formed cracks and/or clearing clogged pores. As a result, groundwater flow may substantially increase after earthquakes and remain elevated for several months. Here we document streamflow anomalies following multiple high magnitude earthquakes in multiple streams in one of the most earthquake prone regions worldwide, Chile. We take advantage of the dense monitoring network in Chile that recorded streamflow since the 1940s. We show that once a critical ground motion is exceeded, streamflow responses to earthquakes can be expected.
Germination marks a critical transition in plant life that is prone to high mortality. Strong selection pressure is therefore expected to finely tune it to environmental conditions. Our study on the common Mediterranean grass Brachypodium hybridum assessed whether germination behavior changes systematically along a steep natural rainfall gradient ranging from harsh desert to rather mild mesic-Mediterranean conditions, We specifically tested hypotheses that germination behavior confers greater risk-spreading in populations from drier, unpredictable environments, and that seeds from wetter populations are better competitors. In 14 populations (spanning 114-954 mm annual rainfall) we assessed three alternative key parameters of germination in a greenhouse experiment: between-year dormancy, days to emergence within a season, and temporal spread. Addition of neighbor seeds accounted for competition as another crucial environmental factor. In six of the 14 populations, we also compared seeds originating from corresponding north (more mesic) and south (more arid) exposed hill slopes to test whether germination patterns along the large-scale rainfall gradient are paralleled at this smaller scale. B. hybridum exhibited generally high germination fractions and rapid emergence with very little temporal spread, indicating overall little risk-spreading germination. Surprisingly, none of the three parameters changed systematically with increasing aridity, neither at large scale along the rainfall gradient nor at small scale between north and south exposures. Neighbor seeds, however, mildly suppressed germination. Germination of neighbor seeds, in turn, was more strongly suppressed by B. hybridum seeds from drier populations, and this effect was stronger for forb than for grass neighbor species. Our results provide strong evidence that increased risk-spreading germination is not a universal, essential strategy to persist in increasingly dry, unpredictable environments. They also highlight that competition with neighbors occurs even at the earliest plant life stage. Since neighbor effects were species-specific, competition among seeds can affect community composition at later plant stages.
To evaluate the spatiotemporal variations of ground motions in northern Chile, we built a high-quality rock seismic acceleration database and an interface earthquakes catalog. Two ground-motion prediction equation (GMPE) models for subduction zones have been tested and validated for the area. They were then used as backbone models to describe the time-space variations of earthquake frequency content (Fourier and response spectra). Consistent with previous studies of large subduction earthquakes, moderate interface earthquakes in northern Chile show an increase of the high-frequency energy released with depth. A regional variability of earthquake frequency content is also observed, which may be related to a lateral segmentation of the mechanical properties of the subduction interface. Finally, interface earthquakes show a temporal evolution of their frequency content in the earthquake sequence associated with the 2014 Iquique M-w 8.1 megathrust earthquake. Surprisingly, the change does not occur with the mainshock but is associated with an 8 month slow slip preceding the megathrust. Electronic Supplement: Strong-motion database.
The potential link between erosion rates at the Earth’s surface and changes in global climate has intrigued geoscientists for decades1,2 because such a coupling has implications for the influence of silicate weathering3,4 and organic-carbon burial5 on climate and for the role of Quaternary glaciations in landscape evolution1,6. A global increase in late-Cenozoic erosion rates in response to a cooling, more variable climate has been proposed on the basis of worldwide sedimentation rates7. Other studies have indicated, however, that global erosion rates may have remained steady, suggesting that the reported increases in sediment-accumulation rates are due to preservation biases, depositional hiatuses and varying measurement intervals8,9,10. More recently, a global compilation of thermochronology data has been used to infer a nearly twofold increase in the erosion rate in mountainous landscapes over late-Cenozoic times6. It has been contended that this result is free of the biases that affect sedimentary records11, although others have argued that it contains biases related to how thermochronological data are averaged12 and to erosion hiatuses in glaciated landscapes13. Here we investigate the 30 locations with reported accelerated erosion during the late Cenozoic6. Our analysis shows that in 23 of these locations, the reported increases are a result of a spatial correlation bias—that is, combining data with disparate exhumation histories, thereby converting spatial erosion-rate variations into temporal increases. In four locations, the increases can be explained by changes in tectonic boundary conditions. In three cases, climatically induced accelerations are recorded, driven by localized glacial valley incision. Our findings suggest that thermochronology data currently have insufficient resolution to assess whether late-Cenozoic climate change affected erosion rates on a global scale. We suggest that a synthesis of local findings that include location-specific information may help to further investigate drivers of global erosion rates.
Despite its societal relevance, the question whether fluctuations in flood occurrence or magnitude are coherent in space has hardly been addressed in quantitative terms. We investigate this question for Germany by analysing fluctuations in annual maximum series (AMS) values at 68 discharge gauges for the common time period 1932-2005. We find remarkable spatial coherence across Germany given its different flood regimes. For example, there is a tendency that flood-rich/-poor years in sub-catchments of the Rhine basin, which are dominated by winter floods, coincide with flood-rich/-poor years in the southern sub-catchments of the Danube basin, which have their dominant flood season in summer. Our findings indicate that coherence is caused rather by persistence in catchment wetness than by persistent periods of higher/lower event precipitation. Further, we propose to differentiate between event-type and non-event-type coherence. There are quite a number of hydrological years with considerable nonevent-type coherence, i.e. AMS values of the 68 gauges are spread out through the year but in the same magnitude range. Years with extreme flooding tend to be of event-type and non-coherent, i.e. there is at least one precipitation event that affects many catchments to various degree. Although spatial coherence is a remarkable phenomenon, and large-scale flooding across Germany can lead to severe situations, extreme magnitudes across the whole country within one event or within one year were not observed in the investigated period. (C) 2018 Elsevier B.V. All rights reserved.
Some like it hot
(2018)
Accumulating evidence has demonstrated considerable impact of climate change on biodiversity, with terrestrial ectotherms being particularly vulnerable. While climate-induced range shifts are often addressed in the literature, little is known about the underlying ecological responses at individual and population levels. Using a 30-yr monitoring study of the long-living nocturnal gecko Gehyra variegata in arid Australia, we determined the relative contribution of climatic factors acting locally (temperature, rainfall) or distantly (La Nina induced flooding) on ecological processes ranging from traits at the individual level (body condition, body growth) to the demography at population level (survival, sexual maturity, population sizes). We also investigated whether thermoregulatory activity during both active (night) and resting (daytime) periods of the day can explain these responses. Gehyra variegata responded to local and distant climatic effects. Both high temperatures and high water availability enhanced individual and demographic parameters. Moreover, the impact of water availability was scale independent as local rainfall and La Nina induced flooding compensated each other. When water availability was low, however, extremely high temperatures delayed body growth and sexual maturity while survival of individuals and population sizes remained stable. This suggests a trade-off with traits at the individual level that may potentially buffer the consequences of adverse climatic conditions at the population level. Moreover, hot temperatures did not impact nocturnal nor diurnal behavior. Instead, only cool temperatures induced diurnal thermoregulatory behavior with individuals moving to exposed hollow branches and even outside tree hollows for sun-basking during the day. Since diurnal behavioral thermoregulation likely induced costs on fitness, this could decrease performance at both individual and population level under cool temperatures. Our findings show that water availability rather than high temperature is the limiting factor in our focal population of G.variegata. In contrast to previous studies, we stress that drier rather than warmer conditions are expected to be detrimental for nocturnal desert reptiles. Identifying the actual limiting climatic factors at different scales and their functional interactions at different ecological levels is critical to be able to predict reliably future population dynamics and support conservation planning in arid ecosystems.
Signals stored in sediment
(2018)
Tectonic and climatic boundary conditions determine the amount and the characteristics (size distribution and composition) of sediment that is generated and exported from mountain regions. On millennial timescales, rivers adjust their morphology such that the incoming sediment (Qs,in) can be transported downstream by the available water discharge (Qw). Changes in climatic and tectonic boundary conditions thus trigger an adjustment of the downstream river morphology. Understanding the sensitivity of river morphology to perturbations in boundary conditions is therefore of major importance, for example, for flood assessments, infrastructure and habitats. Although we have a general understanding of how rivers evolve over longer timescales, the prediction of channel response to changes in boundary conditions on a more local scale and over shorter timescales remains a major challenge. To better predict morphological channel evolution, we need to test (i) how channels respond to perturbations in boundary conditions and (ii) how signals reflecting the persisting conditions are preserved in sediment characteristics. This information can then be applied to reconstruct how local river systems have evolved over time.
In this thesis, I address those questions by combining targeted field data collection in the Quebrada del Toro (Southern Central Andes of NW Argentina) with cosmogenic nuclide analysis and remote sensing data. In particular, I (1) investigate how information on hillslope processes is preserved in the 10Be concentration (geochemical composition) of fluvial sediments and how those signals are altered during downstream transport. I complement the field-based approach with physical experiments in the laboratory, in which I (2) explore how changes in sediment supply (Qs,in) or water discharge (Qw) generate distinct signals in the amount of sediment discharge at the basin outlet (Qs,out). With the same set of experiments, I (3) study the adjustments of alluvial channel morphology to changes in Qw and Qs,in, with a particular focus in fill-terrace formation. I transfer the findings from the experiments to the field to (4) reconstruct the evolution of a several-hundred meter thick fluvial fill-terrace sequence in the Quebrada del Toro. I create a detailed terrace chronology and perform reconstructions of paleo-Qs and Qw from the terrace deposits. In the following paragraphs, I summarize my findings on each of these four topics.
First, I sampled detrital sediment at the outlet of tributaries and along the main stem in the Quebrada del Toro, analyzed their 10Be concentration ([10Be]) and compared the data to a detailed hillslope-process inventory. The often observed non-linear increase in catchment-mean denudation rate (inferred from [10Be] in fluvial sediment) with catchment-median slope, which has commonly been explained by an adjustment in landslide-frequency, coincided with a shift in the main type of hillslope processes. In addition, the [10Be] in fluvial sediments varied with grain-size. I defined the normalized sand-gravel-index (NSGI) as the 10Be-concentration difference between sand and gravel fractions divided by their summed concentrations. The NSGI increased with median catchment slope and coincided with a shift in the prevailing hillslope processes active in the catchments, thus making the NSGI a potential proxy for the evolution of hillslope processes over time from sedimentary deposits. However, the NSGI recorded hillslope-processes less well in regions of reduced hillslope-channel connectivity and, in addition, has the potential to be altered during downstream transport due to lateral sediment input, size-selective sediment transport and abrasion.
Second, my physical experiments revealed that sediment discharge at the basin outlet (Qs,out) varied in response to changes in Qs,in or Qw. While changes in Qw caused a distinct signal in Qs,out during the transient adjustment phase of the channel to new boundary conditions, signals related to changes in Qs,in were buffered during the transient phase and likely only become apparent once the channel is adjusted to the new conditions. The temporal buffering is related to the negative feedback between Qs,in and channel-slope adjustments. In addition, I inferred from this result that signals extracted from the geochemical composition of sediments (e.g., [10Be]) are more likely to represent modern-day conditions during times of aggradation, whereas the signal will be temporally buffered due to mixing with older, remobilized sediment during times of channel incision.
Third, the same set of experiments revealed that river incision, channel-width narrowing and terrace cutting were initiated by either an increase in Qw, a decrease in Qs,in or a drop in base level. The lag-time between the external perturbation and the terrace cutting determined (1) how well terrace surfaces preserved the channel profile prior to perturbation and (2) the degree of reworking of terrace-surface material. Short lag-times and well preserved profiles occurred in cases with a rapid onset of incision. Also, lag-times were synchronous along the entire channel after upstream perturbations (Qw, Qs,in), whereas base-level fall triggered an upstream migrating knickzone, such that lag-times increased with distance upstream. Terraces formed after upstream perturbations (Qw, Qs,in) were always steeper when compared to the active channel in new equilibrium conditions. In the base-level fall experiment, the slope of the terrace-surfaces and the modern channel were similar. Hence, slope comparisons between the terrace surface and the modern channel can give insights into the mechanism of terrace formation.
Fourth, my detailed terrace-formation chronology indicated that cut-and-fill episodes in the Quebrada del Toro followed a ~100-kyr cyclicity, with the oldest terraces ~ 500 kyr old. The terraces were formed due to variability in upstream Qw and Qs. Reconstructions of paleo-Qs over the last 500 kyr, which were restricted to times of sediment deposition, indicated only minor (up to four-fold) variations in paleo-denudation rates. Reconstructions of paleo-Qw were limited to the times around the onset of river incision and revealed enhanced discharge from 10 to 85% compared to today. Such increases in Qw are in agreement with other quantitative paleo-hydrological reconstructions from the Eastern Andes, but have the advantage of dating further back in time.
Near-surface geophysical imaging of alluvial fan settings is a challenging task but crucial for understating geological processes in such settings. The alluvial fan of Ghor Al-Haditha at the southeast shore of the Dead Sea is strongly affected by localized subsidence and destructive sinkhole collapses, with a significantly increasing sinkhole formation rate since ca. 1983. A similar increase is observed also on the western shore of the Dead Sea, in correlation with an ongoing decline in the Dead Sea level. Since different structural models of the upper 50 m of the alluvial fan and varying hypothetical sinkhole processes have been suggested for the Ghor Al-Haditha area in the past, this study aimed to clarify the subsurface characteristics responsible for sinkhole development.
For this purpose, high-frequency shear wave reflection vibratory seismic surveys were carried out in the Ghor Al-Haditha area along several crossing and parallel profiles with a total length of 1.8 and 2.1 km in 2013 and 2014, respectively. The sedimentary architecture of the alluvial fan at Ghor Al-Haditha is resolved down to a depth of nearly 200 m at a high resolution and is calibrated with the stratigraphic profiles of two boreholes located inside the survey area.
The most surprising result of the survey is the absence of evidence of a thick (> 2–10 m) compacted salt layer formerly suggested to lie at ca. 35–40 m depth. Instead, seismic reflection amplitudes and velocities image with good continuity a complex interlocking of alluvial fan deposits and lacustrine sediments of the Dead Sea between 0 and 200 m depth. Furthermore, the underground section of areas affected by sinkholes is characterized by highly scattering wave fields and reduced seismic interval velocities. We propose that the Dead Sea mud layers, which comprise distributed inclusions or lenses of evaporitic chloride, sulfate, and carbonate minerals as well as clay silicates, become increasingly exposed to unsaturated water as the sea level declines and are consequently destabilized and mobilized by both dissolution and physical erosion in the subsurface. This new interpretation of the underlying cause of sinkhole development is supported by surface observations in nearby channel systems. Overall, this study shows that shear wave seismic reflection technique is a promising method for enhanced near-surface imaging in such challenging alluvial fan settings.
Near-surface geophysical imaging of alluvial fan settings is a challenging task but crucial for understating geological processes in such settings. The alluvial fan of Ghor Al-Haditha at the southeast shore of the Dead Sea is strongly affected by localized subsidence and destructive sinkhole collapses, with a significantly increasing sinkhole formation rate since ca. 1983. A similar increase is observed also on the western shore of the Dead Sea, in correlation with an ongoing decline in the Dead Sea level. Since different structural models of the upper 50 m of the alluvial fan and varying hypothetical sinkhole processes have been suggested for the Ghor Al-Haditha area in the past, this study aimed to clarify the subsurface characteristics responsible for sinkhole development. For this purpose, high-frequency shear wave reflection vibratory seismic surveys were carried out in the Ghor Al-Haditha area along several crossing and parallel profiles with a total length of 1.8 and 2.1 km in 2013 and 2014, respectively. The sedimentary architecture of the alluvial fan at Ghor Al-Haditha is resolved down to a depth of nearly 200 m at a high resolution and is calibrated with the stratigraphic profiles of two boreholes located inside the survey area. The most surprising result of the survey is the absence of evidence of a thick (>2-10 m) compacted salt layer formerly suggested to lie at ca. 35-40 m depth. Instead, seismic reflection amplitudes and velocities image with good continuity a complex interlocking of alluvial fan deposits and lacustrine sediments of the Dead Sea between 0 and 200 m depth. Furthermore, the underground section of areas affected by sinkholes is characterized by highly scattering wave fields and reduced seismic interval velocities. We propose that the Dead Sea mud layers, which comprise distributed inclusions or lenses of evaporitic chloride, sulfate, and carbonate minerals as well as clay silicates, become increasingly exposed to unsaturated water as the sea level declines and are consequently destabilized and mobilized by both dissolution and physical erosion in the subsurface. This new interpretation of the underlying cause of sinkhole development is supported by surface observations in nearby channel systems. Overall, this study shows that shear wave seismic reflection technique is a promising method for enhanced near-surface imaging in such challenging alluvial fan settings.
Despite remarkable tectonostratigraphic similarities along the Himalayan arc, pronounced topographic and exhumational variability exists in different morphotectonic segments. The processes responsible for this segmentation are debated. Of particular interest is a 30- to 40-km-wide orogen-parallel belt of rapid exhumation that extends from central Nepal to the western Himalaya and its possible linkage to a midcrustal ramp in the basal decollement, and the related growth of Lesser Himalayan duplex structures. Here we present 26 new apatite fission track cooling ages from the Beas-Lahul region, at the transition from the Central to the Western Himalaya (77 degrees-78 degrees E) to investigate segmentation in the Himalayan arc from a thermochronologic perspective. Together with previously published data from this part of the orogen, we document significant lateral changes in exhumation between the Dhauladar Range to the west, the Beas-Lahul region, and the Sutlej area to the east of the study area. In contrast to the Himalayan front farther east, exhumation in the far western sectors is focused at the frontal parts of the mountain range and associated with the hanging wall of the Main Boundary Thrust fault ramp. Our results allow us to spatially correlate the termination of the rapid exhumation belt with a midcrustal ramp to the west. We suggest that a plunging anticline at the northwestern edge of the Larji-Kullu-Rampur window represents the termination of the Central Himalayan segment, which is related to the evolution of the Lesser Himalayan duplex. Key Points
Annual greenhouse gas emissions have increased more than threefold between 1950 and 2014, posing a major threat to the integrity of the entire earth system and subsequently to humankind. Consequently, roadmaps towards low-carbon pathways are urgently needed. Our study contributes to a more detailed understanding of the dynamics of country based emission patterns and uses them to discuss prospective low-carbon pathways for countries. As availability of databases on sectoral emissions substantially increased, we employ machine learning techniques to classify emission features and pathways. By doing so, 18 representative emission patterns are derived. Overall emissions from seven sectors and for 167 countries covering the time span from 1950 to 2014 have been used in the analyses. The following significant trends can be observed: a) increasing per capita emissions due to growing fossil fuel use in many parts of the world, b) a decline in per capita emissions in some countries, and c) a shift in the emission shares, i.e., a reduction of agricultural and land use contributions in certain regions. Using the emission patterns, their dynamics, and best performing countries as role models, we show the possibility for gaining a decent human development without significantly increasing per capita emissions.
Runoff predictions in ungauged arctic basins using conceptual models forced by reanalysis data
(2018)
Due to global warming, the problem of assessing water resources and their vulnerability to climate drivers in the Arctic region has become a focus in the recent years. This study is aimed at investigating three lumped hydrological models to predict daily runoff of large-scale Arctic basins in the case of substantial data scarcity. All models were driven only by meteorological forcing reanalysis dataset without any additional information about landscape, soil, or vegetation cover properties of the studied basins. Model parameter regionalization based on transferring the whole parameter set showed good efficiency for predictions in ungauged basins. We run a blind test of the proposed methodology for ensemble runoff predictions on five sub-basins, for which only monthly observations were available, and obtained promising results for current water resources assessment for a broad domain of ungauged basins in the Russian Arctic.
Agricultural soil landscapes of hummocky ground moraines are characterized by 3D spatial patterns of soil types that result from profile modifications due to the combined effect of water and tillage erosion. We hypothesize that crops reflect such soil landscape patterns by increased or reduced plant and root growth. Root development may depend on the thickness and vertical sequence of soil horizons as well as on the structural development state of these horizons at different landscape positions. The hypotheses were tested using field data of the root density (RD) and the root lengths (RL) of winter wheat using the minirhizotron technique. We compared data from plots at the CarboZALF-D site (NE Germany) that are representing a non-eroded reference soil profile (Albic Luvisol) at a plateau position, a strongly eroded profile at steep slope (Calcaric Regosol), and a depositional profile at the footslope (Anocolluvic Regosol). At each of these plots, three Plexiglas access tubes were installed down to approx. 1.5 m soil depth. Root measurements were carried out during the growing season of winter wheat (September 2014-August 2015) on six dates. The root length density (RLD) and the root biomass density were derived from RD values assuming a mean specific root length of 100 m g(-1). Values of RD and RLD were highest for the Anocolluvic Regosol and lowest for the Calcaric Regosol. The maximum root penetration depth was lower in the Anocolluvic Regosol because of a relatively high and fluctuating water table at this landscape position. Results revealed positive relations between below-ground (root) and above-ground crop parameters (i.e., leaf area index, plant height, biomass, and yield) for the three soil types. Observed root densities and root lengths in soils at the three landscape positions corroborated the hypothesis that the root system was reflecting erosion-induced soil profile modifications. Soil landscape position dependent root growth should be considered when attempting to quantify landscape scale water and element balances as well as agricultural productivity.
Rock glaciers in semiarid mountains contain large amounts of ice and might be important water stores aside from glaciers, lakes, and rivers. Yet whether and how rock glaciers interact with river channels in mountain valleys remains largely unresolved. We examine the potential for rock glaciers to block or disrupt river channels, using a new inventory of more than 2000 intact rock glaciers that we mapped from remotely sensed imagery in the Karakoram (KR), Tien Shan (TS), and Altai (ALT) mountains. We find that between 5% and 14% of the rock glaciers partly buried, blocked, diverted or constricted at least 95 km of mountain rivers in the entire study area. We use a Bayesian robust logistic regression with multiple topographic and climatic inputs to discern those rock glaciers disrupting mountain rivers from those with no obvious impacts. We identify elevation and potential incoming solar radiation (PISR), together with the size of feeder basins, as dominant predictors, so that lower-lying and larger rock glaciers from larger basins are more likely to disrupt river channels. Given that elevation and PISR are key inputs for modelling the regional distribution of mountain permafrost from the positions of rock-glacier toes, we infer that river-blocking rock glaciers may be diagnostic of non-equilibrated permafrost. Principal component analysis adds temperature evenness and wet-season precipitation to the controls that characterise rock glaciers impacting on rivers. Depending on the choice of predictors, the accuracy of our classification is moderate to good with median posterior area-under-the-curve values of 0.71-0.89. Clarifying whether rapidly advancing rock glaciers can physically impound rivers, or fortify existing dams instead, deserves future field investigation. We suspect that rock-glacier dams are conspicuous features that have a polygenetic history and encourage more research on the geomorphic coupling between permafrost lobes, river channels, and the sediment cascades of semiarid mountain belts. (c) 2018 John Wiley & Sons, Ltd.
The formation and breaching of natural dammed lakes have formed the landscapes, especially in seismically active high-mountain regions. Dammed lakes pose both, potential water resources, and hazard in case of dam breaching. Central Asia has mostly arid and semi-arid climates. Rock glaciers already store more water than ice-glaciers in some semi-arid regions of the world, but their distribution and advance mechanisms are still under debate in recent research. Their impact on the water availability in Central Asia will likely increase as temperatures rise and glaciers diminish.
This thesis provides insight to the relative age distribution of selected Kyrgyz and Kazakh rock glaciers and their single lobes derived from lichenometric dating. The size of roughly 8000 different lichen specimens was used to approximate an exposure age of the underlying debris surface. We showed that rock-glacier movement differs signifcantly on small scales. This has several implications for climatic inferences from rock glaciers. First, reactivation of their lobes does not necessarily point to climatic changes, or at least at out-of-equilibrium conditions. Second, the elevations of rock-glacier toes can no longer be considered as general indicators of the limit of sporadic mountain permafrost as they have been used traditionally.
In the mountainous and seismically active region of Central Asia, natural dams, besides rock glaciers, also play a key role in controlling water and sediment infux into river valleys. However, rock glaciers advancing into valleys seem to be capable of infuencing the stream network, to dam rivers, or to impound lakes. This influence has not previously been addressed. We quantitatively explored these controls using a new inventory of 1300 Central Asian rock glaciers. Elevation, potential incoming solar radiation, and the size of rock glaciers and their feeder basins played key roles in predicting dam appearance. Bayesian techniques were used to credibly distinguish between lichen sizes on rock glaciers and their lobes, and to find those parameters of a rock-glacier system that are most credibly expressing the potential to build natural dams.
To place these studies in the region's history of natural dams, a combination of dating of former lake levels and outburst flood modelling addresses the history and possible outburst flood hypotheses of the second largest mountain lake of the world, Issyk Kul in Kyrgyzstan. Megafoods from breached earthen or glacial dams were found to be a likely explanation for some of the lake's highly fluctuating water levels. However, our detailed analysis of candidate lake sediments and outburst-flood deposits also showed that more localised dam breaks to the west of Issyk Kul could have left similar geomorphic and sedimentary evidence in this Central Asian mountain landscape. We thus caution against readily invoking megafloods as the main cause of lake-level drops of Issyk Kul. In summary, this thesis addresses some new pathways for studying rock glaciers and natural dams with several practical implications for studies on mountain permafrost and natural hazards.
The extent of continental rifts and subduction zones through deep geological time provides insights into the mechanisms behind supercontinent cycles and the long term evolution of the mantle. However, previous compilations have stopped short of mapping the locations of rifts and subduction zones continuously since the Neoproterozoic and within a self-consistent plate kinematic framework. Using recently published plate models with continuously closing boundaries for the Neoproterozoic and Phanerozoic, we estimate how rift and peri-continental subduction length vary from 1 Ga to present and test hypotheses pertaining to the supercontinent cycle and supercontinent breakup. We extract measures of continental perimeter-to-area ratio as a proxy for the existence of a supercontinent, where during times of supercontinent existence the perimeter-to-area ratio should be low, and during assembly and dispersal it should be high. The amalgamation of Gondwana is clearly represented by changes in the length of peri-continental subduction and the breakup of Rodinia and Pangea by changes in rift lengths. The assembly of Pangea is not clearly defined using plate boundary lengths, likely because its formation resulted from the collision of only two large continents. Instead the assembly of Gondwana (ca. 520 Ma) marks the most prominent change in arc length and perimeter-to-area ratio during the last billion years suggesting that Gondwana during the Early Palaeozoic could explicitly be considered part of a Phanerozoic supercontinent. Consequently, the traditional understanding of the supercontinent cycle, in terms of supercontinent existence for short periods of time before dispersal and re-accretion, may be inadequate to fully describe the cycle. Instead, either a two-stage supercontinent cycle could be a more appropriate concept, or alternatively the time period of 1 to 0 Ga has to be considered as being dominated by supercontinent existence, with brief periods of dispersal and amalgamation.
In public perception, abnormal animal behavior is widely assumed to be a potential earthquake precursor, in strong contrast to the viewpoint in natural sciences. Proponents of earthquake prediction via animals claim that animals feel and react abnormally to small changes in environmental and physico-chemical parameters related to the earthquake preparation process. In seismology, however, observational evidence for changes of physical parameters before earthquakes is very weak. In this study, we reviewed 180 publications regarding abnormal animal behavior before earthquakes and analyze and discuss them with respect to (1) magnitude-distance relations, (2) foreshock activity, and (3) the quality and length of the published observations. More than 700 records of claimed animal precursors related to 160 earthquakes are reviewed with unusual behavior of more than 130 species. The precursor time ranges from months to seconds prior to the earthquakes, and the distances from a few to hundreds of kilometers. However, only 14 time series were published, whereas all other records are single observations. The time series are often short (the longest is 1 yr), or only small excerpts of the full data set are shown. The probability density of foreshocks and the occurrence of animal precursors are strikingly similar, suggesting that at least parts of the reported animal precursors are in fact related to foreshocks. Another major difficulty for a systematic and statistical analysis is the high diversity of data, which are often only anecdotal and retrospective. The study clearly demonstrates strong weaknesses or even deficits in many of the published reports on possible abnormal animal behavior. To improve the research on precursors, we suggest a scheme of yes and no questions to be assessed to ensure the quality of such claims.
Natural extreme events are an integral part of nature on planet earth. Usually these events are only considered hazardous to humans, in case they are exposed. In this case, however, natural hazards can have devastating impacts on human societies. Especially hydro-meteorological hazards have a high damage potential in form of e.g. riverine and pluvial floods, winter storms, hurricanes and tornadoes, which can occur all over the globe. Along with an increasingly warm climate also an increase in extreme weather which potentially triggers natural hazards can be expected. Yet, not only changing natural systems, but also changing societal systems contribute to an increasing risk associated with these hazards. These can comprise increasing exposure and possibly also increasing vulnerability to the impacts of natural events. Thus, appropriate risk management is required to adapt all parts of society to existing and upcoming risks at various spatial scales. One essential part of risk management is the risk assessment including the estimation of the economic impacts. However, reliable methods for the estimation of economic impacts due to hydro-meteorological hazards are still missing. Therefore, this thesis deals with the question of how the reliability of hazard damage estimates can be improved, represented and propagated across all spatial scales. This question is investigated using the specific example of economic impacts to companies as a result of riverine floods in Germany.
Flood damage models aim to describe the damage processes during a given flood event. In other words they describe the vulnerability of a specific object to a flood. The models can be based on empirical data sets collected after flood events. In this thesis tree-based models trained with survey data are used for the estimation of direct economic flood impacts on the objects. It is found that these machine learning models, in conjunction with increasing sizes of data sets used to derive the models, outperform state-of-the-art damage models. However, despite the performance improvements induced by using multiple variables and more data points, large prediction errors remain at the object level. The occurrence of the high errors was explained by a further investigation using distributions derived from tree-based models. The investigation showed that direct economic impacts to individual objects cannot be modeled by a normal distribution. Yet, most state-of-the-art approaches assume a normal distribution and take mean values as point estimators. Subsequently, the predictions are unlikely values within the distributions resulting in high errors. At larger spatial scales more objects are considered for the damage estimation. This leads to a better fit of the damage estimates to a normal distribution. Consequently, also the performance of the point estimators get better, although large errors can still occur due to the variance of the normal distribution. It is recommended to use distributions instead of point estimates in order to represent the reliability of damage estimates.
In addition current approaches also mostly ignore the uncertainty associated with the characteristics of the hazard and the exposed objects. For a given flood event e.g. the estimation of the water level at a certain building is prone to uncertainties. Current approaches define exposed objects mostly by the use of land use data sets. These data sets often show inconsistencies, which introduce additional uncertainties. Furthermore, state-of-the-art approaches also imply problems of missing consistency when predicting the damage at different spatial scales. This is due to the use of different types of exposure data sets for model derivation and application. In order to face these issues a novel object-based method was developed in this thesis. The method enables a seamless estimation of hydro-meteorological hazard damage across spatial scales including uncertainty quantification. The application and validation of the method resulted in plausible estimations at all spatial scales without overestimating the uncertainty.
Mainly newly available data sets containing individual buildings make the application of the method possible as they allow for the identification of flood affected objects by overlaying the data sets with water masks. However, the identification of affected objects with two different water masks revealed huge differences in the number of identified objects. Thus, more effort is needed for their identification, since the number of objects affected determines the order of magnitude of the economic flood impacts to a large extent.
In general the method represents the uncertainties associated with the three components of risk namely hazard, exposure and vulnerability, in form of probability distributions. The object-based approach enables a consistent propagation of these uncertainties in space. Aside from the propagation of damage estimates and their uncertainties across spatial scales, a propagation between models estimating direct and indirect economic impacts was demonstrated. This enables the inclusion of uncertainties associated with the direct economic impacts within the estimation of the indirect economic impacts. Consequently, the modeling procedure facilitates the representation of the reliability of estimated total economic impacts. The representation of the estimates' reliability prevents reasoning based on a false certainty, which might be attributed to point estimates. Therefore, the developed approach facilitates a meaningful flood risk management and adaptation planning.
The successful post-event application and the representation of the uncertainties qualifies the method also for the use for future risk assessments. Thus, the developed method enables the representation of the assumptions made for the future risk assessments, which is crucial information for future risk management. This is an important step forward, since the representation of reliability associated with all components of risk is currently lacking in all state-of-the-art methods assessing future risk.
In conclusion, the use of object-based methods giving results in the form of distributions instead of point estimations is recommended. The improvement of the model performance by the means of multi-variable models and additional data points is possible, but small. Uncertainties associated with all components of damage estimation should be included and represented within the results. Furthermore, the findings of the thesis suggest that, at larger scales, the influence of the uncertainty associated with the vulnerability is smaller than those associated with the hazard and exposure. This leads to the conclusion that for an increased reliability of flood damage estimations and risk assessments, the improvement and active inclusion of hazard and exposure, including their uncertainties, is needed in addition to the improvements of the models describing the vulnerability of the objects.
Recent studies indicate that the tropical belt has been expanding during recent decades, which can significantly influence precipitation in subtropical climates. Often the location of the tropical border is identified using the Hadley cell edge (HCE) or the subtropical jet stream (STJ), but most studies concentrated on the zonal-mean state, thereby missing regional impacts. Here we detect longitudinal-resolved trends in STJ cores and HCEs over 1979-2016 in both hemispheres at a higher spatial and temporal resolution than previous studies. Besides pronounced regional trend differences in both sign and magnitude, we show that winter HCE and STJ variability increased in the Mediterranean region and decreased over the American and Asian continents. Rainfall variability in these regions changed likewise, and most of those changes can be explained by changes in HCE/STJ variability. This highlights the importance of understanding future tropical belt changes both regionally and in terms of variability. Plain Language Summary We applied a new network-based method to detect motion of the tropical climate border with longitudinal resolution. Depending on the longitudinal position, there are differences in both direction and magnitude of the border motion. In addition, we demonstrate that the rainfall variability is increasing in the Mediterranean region and decreasing over the American and Asian continents, which can be explained by the variability of the tropical belt location.
Both enstatite spectra are very bright in the VIS and NIR and show almost neutral to slightly bluish spectral slopes with a steep absorption in the UV. Very low iron in the enstatites (below similar to 0.04 wt% FeO) already results in weak albeit noticeable absorptions in the VNIR between 0.4 and 0.9 mu m. Orthoenstatite and clinoenstatite are not distinguishable based only on their spectra in the VIS and NIR. At the Reststrahlen bands in the MIR a systematic difference in the number and exact position of local minima at similar to 10 mu m between clinoenstatite and orthoenstatite is evident. This can be used to discern between the polymorphs in this wavelength range. Additionally, we can distinguish between Fe-free low- and high-Ca pyroxenes in the MIR.
Arctic tundra ecosystems have experienced unprecedented change associated with climate warming over recent decades. Across the Pan-Arctic, vegetation productivity and surface greenness have trended positively over the period of satellite observation. However, since 2011 these trends have slowed considerably, showing signs of browning in many regions. It is unclear what factors are driving this change and which regions/landforms will be most sensitive to future browning. Here we provide evidence linking decadal patterns in arctic greening and browning with regional climate change and local permafrost-driven landscape heterogeneity. We analyzed the spatial variability of decadal-scale trends in surface greenness across the Arctic Coastal Plain of northern Alaska (similar to 60,000 km(2)) using the Landsat archive (1999-2014), in combination with novel 30 m classifications of polygonal tundra and regional watersheds, finding landscape heterogeneity and regional climate change to be the most important factors controlling historical greenness trends. Browning was linked to increased temperature and precipitation, with the exception of young landforms (developed following lake drainage), which will likely continue to green. Spatiotemporal model forecasting suggests carbon uptake potential to be reduced in response to warmer and/or wetter climatic conditions, potentially increasing the net loss of carbon to the atmosphere, at a greater degree than previously expected.
The appropriate selection of recurrence thresholds is a key problem in applications of recurrence quantification analysis and related methods across disciplines. Here, we discuss the distribution of pairwise distances between state vectors in the studied system’s state space reconstructed by means of time-delay embedding as the key characteristic that should guide the corresponding choice for obtaining an adequate resolution of a recurrence plot. Specifically, we present an empirical description of the distance distribution, focusing on characteristic changes of its shape with increasing embedding dimension. Our results suggest that selecting the recurrence threshold according to a fixed percentile of this distribution reduces the dependence of recurrence characteristics on the embedding dimension in comparison with other commonly used threshold selection methods. Numerical investigations on some paradigmatic model systems with time-dependent parameters support these empirical findings.
Recurrence plots (RPs) provide an intuitive tool for visualizing the (potentially multi-dimensional) trajectory of a dynamical system in state space. In case only univariate observations of the system’s overall state are available, time-delay embedding has become a standard procedure for qualitatively reconstructing the dynamics in state space. The selection of a threshold distance 𝜀
, which distinguishes close from distant pairs of (reconstructed) state vectors, is known to have a substantial impact on the recurrence plot and its quantitative characteristics, but its corresponding interplay with the embedding dimension has not yet been explicitly addressed. Here, we point out that the results of recurrence quantification analysis (RQA) and related methods are qualitatively robust under changes of the (sufficiently high) embedding dimension only if the full distribution of pairwise distances between state vectors is considered for selecting 𝜀, which is achieved by consideration of a fixed recurrence rate.
The use of chironomids (Diptera: Chironomidae) as indicators of changes in natural and climatic settings allows one to reconstruct paleoclimatic and paleoenvironmental conditions. Based on the results of lithological and chironomid analyses, the loss on ignition (LOI) values, as well as the results of radiocarbon dating (C-14 AMS), new data on the paleoclimate in the Karelian Isthmus, in particular the quantitative reconstruction of the mean July temperature (T (July), A degrees C) in the Late Pleistocene and Holocene and the evolution of the ecosystem of Medvedevskoe Lake have been obtained.
We present the first high-resolution trace element (Mg/Ca, Sr/Ca, Ba/Ca) record from a stalagmite in southwestern Romania covering the last 3.6 ka, which provides the potential for quantitative climate reconstruction. Precise age control is based on three independent dating methods, in particular for the last 250 yr, where chemical lamina counting is combined with the identification of the 20th century radiocarbon bomb peak and Th-230/U dating. Long-term cave monitoring and model simulations of drip water and speleothem elemental variability indicate that precipitation-related processes are the main drivers of speleothem Mg/Ca ratios. Calibration against instrumental climate data shows a significant anti-correlation of speleothem Mg/Ca ratios with autumn/winter (October to March) precipitation (r = -0.61, p < 0.01), which is statistically robust when considering age uncertainties and auto-correlation. This relationship is used to develop a quantitative reconstruction of autumn/winter precipitation. During the late Holocene, our data suggest a heterogeneous pattern of past regional winter hydroclimate in the Carpathian/Balkan realm, along with intermittent weakening of the dominant influence of North Atlantic forcing. In agreement with other regional paleo-hydrological reconstructions, the observed variability reveals periodically occurring strong NW-SE hydro-climate gradients. We hypothesize, that this pattern is caused by shifts of the eastern edge of the area of influence of the NAO across central eastern Europe due to the confluence of North Atlantic forcing, and other climatic features such as the East Atlantic/Western Russia (EAWR) pattern. (C) 2018 Elsevier B.V. All rights reserved.
After a comprehensive geophysical prospecting the Quaternary MA 1/2 tina Maar, located on a line between the two Quaternary scoria cones Komorni could be revealed by a scientific drilling at the German-Czech border in 2007. Further geophysical field investigations led to the discovery of another geological structure about 2.5 km ESE of the small town Neualbenreuth (NE-Bavaria, Germany), inferred to be also a maar structure, being the fourth volcanic feature aligned along the NW-SE trending Tachov fault zone. It is only faintly indicated as a partial circular rim in the digital elevation model. Though not expressed by a clear magnetic anomaly, geoelectric and refraction seismic tomography strongly indicates a bowl-shaped depression filled with low-resistivity and low-velocity material, correlating well with the well-defined negative gravity anomaly of - 2.5 mGal. Below ca. 15 m-thick debris layer, successions of mostly laminated sediments were recovered in a 100 m-long sediment core in 2015. Sections of finely laminated layers, likely varves, rich in organic matter and tree pollen, were recognized in the upper (22-30 m) and lower (70-86 m) part of the core, respectively, interpreted as interglacials, whereas mostly minerogenic laminated deposits, poor in organic matter, and (almost) barren of tree pollen are interpreted as clastic glacial deposits. According to a preliminary age model based on magnetostratigraphy, palynology, radiocarbon dating, and cyclostratigraphy, the recovered sediments span the time window from about 85 ka back to about 270 ka, covering marine isotope stages 5-8. Sedimentation rates are in the range of 10 cm ka(-1) in interglacials and up to 100 cm ka(-1) in glacial phases. The stratigraphic record resembles the one from MA 1/2 tina Maar, with its eruption date being derived from a nearby tephra deposit at 288 +/- 17 ka, thus supporting the age model of the inferred Neualbenreuth Maar.
The Sesia zone in the Italian Western Alps is a piece of continental crust that has been subducted to eclogite-facies conditions and records a complex metamorphic history. The exact timing of events and the significance of geochronological information are debated due to the interplay of tectonic, metamorphic, and metasomatic processes. Here we present new geochronological data using Rb-Sr internal mineral isochrons and in situ Ar-40/Ar-39 laser ablation data to provide constraints on the relative importance of fluid-mediated mineral replacement reactions and diffusion for the interpretation of radiogenic isotope signatures, and on the use of these isotopic systems for dating metamorphic and variably deformed rocks. Our study focuses on the shear zone at the contact between two major lithological units of the Sesia zone, the eclogitic micaschists and the gneiss minuti. Metasedimentary rocks of the eclogitic micaschists unit contain phengite with step-like zoning in major element chemistry as evidence for petrologic disequilibrium. Distinct Ar-40/Ar-39 spot ages of relict phengite cores and over-printed rims demonstrate the preservation of individual age domains in the crystals. The eclogitic micaschists also show systematic Sr isotope disequilibria among different phengite populations, so that minimum ages of relict assemblage crystallization can be differentiated from the timing of late increments of deformation. The preservation of these disequilibrium features shows the lack of diffusive re-equilibration and underpins that fluid-assisted dissolution and recrystallization reactions are the main factors controlling the isotope record in these subduction-related metamorphic rocks. Blueschist-facies mylonites record deformation along the major shear zone that separates the eclogitic micaschists from the gneiss minuti. Two Rb-Sr isochrones that comprise several white mica fractions and glaucophane constrain the timing of this deformation and accompanying near-complete blueschist-facies re-equilibration of the Rb-Sr system to 60.1 +/- 0.9 Ma and 60.9 +/- 2.1 Ma, respectively. Overlapping ages in eclogitic micaschists of 60.1 +/- 1.1 (Rb-Sr isochron of sheared matrix assemblage), 58.6 +/- 0.8, and 60.9 +/- 0.4 Ma (white mica Ar-40/Ar-39 inverse isochron ages) support the significance of this age and show that fluid-rock interaction and partial re-equilibration occurred as much as several kilometers away from the shear zone. An earlier equilibration during high-pressure conditions in the eclogitic mica schists is recorded in minimum Rb-Sr ages for relict assemblages (77.2 +/- 0.8 and 72.4 +/- 1.1 Ma) and an Ar-40/Ar-39 inverse isochron age of 75.4 +/- 0.8 Ma for white mica cores, again demonstrating that the two isotope systems provide mutually supporting geochronological information. Local reactivation and recrystallization along the shear zone lasted >15 m.y., as late increments of deformation are recorded in a greenschist-facies mylonite by a Rb-Sr isochron age of 46.5 +/- 0.7 Ma.
The variation of Rayleigh ellipticity versus frequency is gaining popularity in site characterization. It becomes a necessary observable to complement dispersion curves when inverting shear wave velocity profiles. Various methods have been proposed so far to extract polarization from ambient vibrations recorded on a single three-component station or with an array of three-component sensors. If only absolute values were recovered 10 yr ago, new array-based techniques were recently proposed with enhanced efficiencies providing also the ellipticity sign. With array processing, higher-order modes are often detected even in the ellipticity domain. We suggest to explore the properties of a high-resolution beamforming where radial and vertical components are explicitly included. If N is the number of three-component sensors, 2N x 2N cross-spectral density matrices are calculated for all presumed directions of propagation. They are built with N radial and N vertical channels. As a first approach, steering vectors are designed to fit with Rayleigh wave properties: the phase shift between radial and vertical components is either -Pi/2 or Pi/2. We show that neglecting the ellipticity tilt due to attenuation has only minor effects on the results. Additionally, we prove analytically that it is possible to retrieve the ellipticity value from the usual maximization of the high-resolution beam power. The method is tested on synthetic data sets and on experimental data. Both are reference sites already analysed by several authors. A detailed comparison with previous results on these cases is provided.
Flash floods and debris flows are iconic hazards inmountainous regions with steep relief, high rainfall intensities, rapid snowmelt events, and abundant sediments. The cuesta landscapes of southern Germany hardly come to mind when dealing with such hazards. A series of heavy rainstorms dumping up to 140mm in 2 h caused destructive flash floods and debris flows in May 2016. The most severe damage occurred in the Braunsbach municipality, which was partly buried by 42,000 m(3) of boulders, gravel, mud, and anthropogenic debris from the small catchment of Orlacher Bach (similar to 6 km(2)). We analysed this event by combining rainfall patterns, geological conditions, and geomorphic impacts to estimate an average sediment yield of 14,000 t/km(2) that mostly (similar to 95%) came from some 50 riparian landslides and channel-bed incision of similar to 2 m. This specific sediment yield ranks among the top 20% globally, while the intensity-duration curve of the rainstormis similarly in the upper percentile range of storms that had triggered landslides. Compared to similar-sized catchments in the greater region hit by the rainstorms, we find that the Orlacher Bach is above the 95th percentile in terms of steepness, storm-rainfall intensity, and topographic curvatures. The flash flood transported a sediment volume equal to as much as 20-40% of the Pleistocene sediment volume stored in the Orlacher Bach fan, andmay have had several predecessors in the Holocene. River control structures from 1903 and records of a debris flow in the 1920s in a nearby catchment indicate that the local inhabitants may have been aware of the debris-flow hazards earlier. Such recurring and destructive events elude flood-hazard appraisals in humid landscapes of gentle relief, and broaden mechanistic views of how landslides and debris flows contribute to shaping small and deeply cut tributaries in the southern Germany cuesta landscape.
The equatorial electrojet is an enhanced eastward current in the dayside E region ionosphere flowing along the magnetic equator. The equatorial electrojet is highly variable as it is subject to various forcing mechanisms including atmospheric waves from the lower layers of the atmosphere. There are occasionally times when the intensity of the equatorial electrojet at a fixed longitude shows an oscillatory variation with a period of approximately 6days. We present case studies of such events based on the equatorial electrojet measurements from the CHAMP and Swarm satellites. The spatial and temporal variability of the equatorial electrojet intensity during these events reveals characteristics of a westward propagating wave with zonal wavenumber 1, consistent with the effect of the quasi-6-day planetary wave. Analyses of the geopotential height data from the Aura satellite confirm the presence of the quasi-6-day planetary wave in the lower thermosphere during the events. The amplitude of the quasi-6-day variation in the equatorial electrojet intensity depends on longitude, but no systematic longitudinal dependence is found for different events. During the event of August 2010, quasi-6-day variations are also observed by ground-based magnetometers and a radar in the Peruvian sector. The effect of the quasi-6-day wave accounts for up to +/- 5.9m/s in the equatorial vertical plasma velocity at noon, which is much larger than previously predicted by a numerical model. These results suggest that the quasi-6-day planetary wave is an important source of short-term variability in the equatorial ionosphere.
Quantifying the roles of single stations within homogeneous regions using complex network analysis
(2018)
Regionalization and pooling stations to form homogeneous regions or communities are essential for reliable parameter transfer, prediction in ungauged basins, and estimation of missing information. Over the years, several clustering methods have been proposed for regional analysis. Most of these methods are able to quantify the study region in terms of homogeneity but fail to provide microscopic information about the interaction between communities, as well as about each station within the communities. We propose a complex network-based approach to extract this valuable information and demonstrate the potential of our approach using a rainfall network constructed from the Indian gridded daily precipitation data. The communities were identified using the network-theoretical community detection algorithm for maximizing the modularity. Further, the grid points (nodes) were classified into universal roles according to their pattern of within- and between-community connections. The method thus yields zoomed-in details of individual rainfall grids within each community.
Subsurface lateral flow in hillslope soils depends on lower permeability or texture-contrasting soil horizons. In the arable hummocky soil landscape, erosion processes caused glacial till appearance closer to the soil surface at upslope positions. The objective of this work was to quantify the potential for subsurface lateral flow depending on the erosion-affected spatial hydropedological complexity. The eroded Haplic Luvisol profile was studied due to the presence of a relatively dense C horizon that varied in depth, thickness, and sloping angle. A two-dimensional numerical modeling and sensitivity analysis for the saturated hydraulic conductivity (K-s) of the C horizon and the depth to C horizon (i.e., soil solum thickness) was performed for rainstorms in 2011 and 2012 using HYDRUS-2D. A K-s value of <2.5 cm d(-1) for the C horizon was required for lateral flow initiation. Lateral flow was (i) increasing with decreasing solum thickness, indicating an erosion-induced feedback on subsurface lateral flow, and (ii) dependent on the soil moisture regime prior to rainstorms. The effect of lateral flow on the movement of a conservative tracer was simulated in the form of a "virtual experiment". Simulation scenarios revealed only a relatively small lateral shift of the tracer plume caused by a local decoupling of water (already lateral) from subsequent tracer movement (still vertical). Longer term simulations suggested that, for the present conditions, lateral flow was limited mostly to occasional summer storm events. Even without considering preferential flow contribution to lateral flow, highly complex hydropedologic interactions are present in erosion-affected heterogeneous soil profiles.
How information about sediment transport processes is transmitted to the sedimentary record remains a complex problem for the interpretation of fluvial stratigraphy. Alluvial fan deposits represent the condensed archive of sediment transport, which is at least partly controlled by tectonics and climate. For three coupled catchment-fan systems in northern Death Valley, California, we measure grain size across 12 well-preserved Holocene and late-Pleistocene surfaces, mapped in detail from field observations and remote sensing. Our results show that fan surfaces correlated to the late Pleistocene are, on average, 30-50% coarser than active or Holocene fan surfaces. We adopt a self-similar form of grain size distribution based on the observed stability of the ratio between mean grain size and standard deviation downstream. Using statistical analysis, we show that fan surface grain size distributions are self-similar. We derive a relative mobility function using our self-similar grain size distributions, which describes the relative probability of a given grain size being transported. We show that the largest mobile grain sizes are between 20 and 35mm, a value that varies over time and is clearly lower in the Holocene than in the Pleistocene; a change we suggest is due to a drier climate in the Holocene. These results support recent findings that alluvial fan sedimentology can record past environmental change and that these landscapes are potentially sensitive to climatic change over a glacial-interglacial cycle. We demonstrate that the self-similarity methodology offers a means to explore changes in relative mobility of grain sizes from preserved fluvial deposits. Plain Language Summary A key challenge in Earth Science is understanding how landscapes respond to climate. It may be possible to observe measurable differences in certain landscapes settings such as alluvial fans in desert regions. Alluvial fans are believed to be effective recorders of climate, representing a cumulative store of material transported downstream by rainfall-sensitive river systems. In northern Death Valley, California, we measure at high resolution grain size on three alluvial fans with surfaces that date from the Holocene and the arid climate of today to the 20-40% wetter late-Pleistocene epoch. We find that older late-Pleistocene surfaces are coarser on average than surfaces deposited during the modern and Holocene dry period, suggesting a changing sediment transport regime potentially in response to precipitation. We also show that measured grain size distributions within and between surfaces can be successfully normalized based on the decay in mean grain size and variance downstream, exhibiting a self-similar pattern. Finally, we employ a grain size relative mobility model using our field data to establish which grain sizes are likely to be in transport or locked in the substrate. This model predicts that during the wetter late-Pleistocene mobile grain sizes are up to 40% larger than during the Holocene.
Quantifying rock weakening due to decreasing calcite mineral content by numerical simulations
(2018)
The quantification of changes in geomechanical properties due to chemical reactions is of paramount importance for geological subsurface utilisation, since mineral dissolution generally reduces rock stiffness. In the present study, the effective elastic moduli of two digital rock samples, the Fontainebleau and Bentheim sandstones, are numerically determined based on micro-CT images. Reduction in rock stiffness due to the dissolution of 10% calcite cement by volume out of the pore network is quantified for three synthetic spatial calcite distributions (coating, partial filling and random) using representative sub-cubes derived from the digital rock samples. Due to the reduced calcite content, bulk and shear moduli decrease by 34% and 38% in maximum, respectively. Total porosity is clearly the dominant parameter, while spatial calcite distribution has a minor impact, except for a randomly chosen cement distribution within the pore network. Moreover, applying an initial stiffness reduced by 47% for the calcite cement results only in a slightly weaker mechanical behaviour. Using the quantitative approach introduced here substantially improves the accuracy of predictions in elastic rock properties compared to general analytical methods, and further enables quantification of uncertainties related to spatial variations in porosity and mineral distribution.
Quantifying rock weakening due to decreasing calcite mineral content by numerical simulations
(2018)
The quantification of changes in geomechanical properties due to chemical reactions is of paramount importance for geological subsurface utilisation, since mineral dissolution generally reduces rock stiffness. In the present study, the effective elastic moduli of two digital rock samples, the Fontainebleau and Bentheim sandstones, are numerically determined based on micro-CT images. Reduction in rock stiffness due to the dissolution of 10% calcite cement by volume out of the pore network is quantified for three synthetic spatial calcite distributions (coating, partial filling and random) using representative sub-cubes derived from the digital rock samples. Due to the reduced calcite content, bulk and shear moduli decrease by 34% and 38% in maximum, respectively. Total porosity is clearly the dominant parameter, while spatial calcite distribution has a minor impact, except for a randomly chosen cement distribution within the pore network. Moreover, applying an initial stiffness reduced by 47% for the calcite cement results only in a slightly weaker mechanical behaviour. Using the quantitative approach introduced here substantially improves the accuracy of predictions in elastic rock properties compared to general analytical methods, and further enables quantification of uncertainties related to spatial variations in porosity and mineral distribution.
Together with the gradual change of mean values, ongoing climate change is projected to increase frequency and amplitude of temperature and precipitation extremes in many regions of Europe. The impacts of such in most cases short term extraordinary climate situations on terrestrial ecosystems are a matter of central interest of recent climate change research, because it can not per se be assumed that known dependencies between climate variables and ecosystems are linearly scalable. So far, yet, there is a high demand for a method to quantify such impacts in terms of simultaneities of event time series.
In the course of this manuscript the new statistical approach of Event Coincidence Analysis (ECA) as well as it's R implementation is introduced, a methodology that allows assessing whether or not two types of event time series exhibit similar sequences of occurrences. Applications of the method are presented, analyzing climate impacts on different temporal and spacial scales: the impact of extraordinary expressions of various climatic variables on tree stem variations (subdaily and local scale), the impact of extreme temperature and precipitation events on the owering time of European shrub species (weekly and country scale), the impact of extreme temperature events on ecosystem health in terms of NDVI (weekly and continental scale) and the impact of El Niño and La Niña events on precipitation anomalies (seasonal and global scale).
The applications presented in this thesis refine already known relationships based on classical methods and also deliver substantial new findings to the scientific community: the widely known positive correlation between flowering time and temperature for example is confirmed to be valid for the tails of the distributions while the widely assumed positive dependency between stem diameter variation and temperature is shown to be not valid for very warm and very cold days. The larger scale investigations underline the sensitivity of anthrogenically shaped landscapes towards temperature extremes in Europe and provide a comprehensive global ENSO impact map for strong precipitation events.
Finally, by publishing the R implementation of the method, this thesis shall enable other researcher to further investigate on similar research questions by using Event Coincidence Analysis.
Mountain rivers respond to strong earthquakes by rapidly aggrading to accommodate excess sediment delivered by co-seismic landslides. Detailed sediment budgets indicate that rivers need several years to decades to recover from seismic disturbances, depending on how recovery is defined. We examine three principal proxies of river recovery after earthquake-induced sediment pulses around Pokhara, Nepal's second largest city. Freshly exhumed cohorts of floodplain trees in growth position indicate rapid and pulsed sedimentation that formed a fan covering 150 km2 in a Lesser Himalayan basin with tens of metres of debris between the 11th and 15th centuries AD. Radiocarbon dates of buried trees are consistent with those of nearby valley deposits linked to major medieval earthquakes, such that we can estimate average rates of re-incision since. We combine high-resolution digital elevation data, geodetic field surveys, aerial photos, and dated tree trunks to reconstruct geomorphic marker surfaces. The volumes of sediment relative to these surfaces require average net sediment yields of up to 4200 t km–2 yr–1 for the 650 years since the last inferred earthquake-triggered sediment pulse. The lithological composition of channel bedload differs from that of local bedrock, confirming that rivers are still mostly evacuating medieval valley fills, locally incising at rates of up to 0.2 m yr–1. Pronounced knickpoints and epigenetic gorges at tributary junctions further illustrate the protracted fluvial response; only the distal portions of the earthquake-derived sediment wedges have been cut to near their base. Our results challenge the notion that mountain rivers recover speedily from earthquakes within years to decades. The valley fills around Pokhara show that even highly erosive Himalayan rivers may need more than several centuries to adjust to catastrophic perturbations. Our results motivate some rethinking of post-seismic hazard appraisals and infrastructural planning in active mountain regions.
Evidence for Quaternary climate change in East Africa has been derived from outcrops on land and lake cores and from marine dust, leaf wax, and pollen records. These data have previously been used to evaluate the impact of climate change on hominin evolution, but correlations have proved to be difficult, given poor data continuity and the great distances between marine cores and terrestrial basins where fossil evidence is located. Here, we present continental coring evidence for progressive aridification since about 575 thousand years before present (ka), based on Lake Magadi (Kenya) sediments. This long-term drying trend was interrupted by many wet-dry cycles, with the greatest variability developing during times of high eccentricity-modulated precession. Intense aridification apparent in the Magadi record took place between 525 and 400 ka, with relatively persistent arid conditions after 350 ka and through to the present. Arid conditions in the Magadi Basin coincide with the Mid-Brunhes Event and overlap with mammalian extinctions in the South Kenya Rift between 500 and 400 ka. The 525 to 400 ka arid phase developed in the South Kenya Rift between the period when the last Acheulean tools are reported (at about 500 ka) and before the appearance of Middle Stone Age artifacts (by about 320 ka). Our data suggest that increasing Middle- to Late-Pleistocene aridification and environmental variability may have been drivers in the physical and cultural evolution of Homo sapiens in East Africa.
Preface
(2018)
Here we present high-resolution delta O-18 records obtained from speleothems collected in the eastern Bolivian Andes. The stable isotope records are related to the regional- to large-scale atmospheric circulation over South America and allow interpreting changes in delta O-18 during the last 1400 yr as a function of changes in precipitation regimes over the southern tropical Andes. Two distinct phases with more negative delta O-18 values, interpreted as periods of increased convective activity over the eastern Andean Cordillera in Bolivia are observed concomitantly with periods of global climate anomalies during the last millennium, such as the Medieval Climate Anomaly (MCA) and the Little Ice Age (LIA) respectively. Changes in the Bolivian delta O-18 record during the LIA are apparently related to a southward displacement of the Intertropical Convergence Zone (ITCZ), which acts as a main moisture driver to intensify convection over the tropical continent. During the MCA, however, the increased convective activity observed in the Bolivian record is likely the result of a different mechanism, which implies moisture sourced mainly from the southern tropical Atlantic. This interpretation is consistent with paleoclimate records further to the north in the tropical Andes that show progressively drier conditions during this time period, indicating a more northerly position of the ITCZ. The transition period between the MCA and the LIA shows a slight tendency toward increased delta O-18 values, indicating weakened convective activity. Our results also reveal a non-stationary anti-phased behavior between the delta O-18 reconstructions from Bolivia and northeastern Brazil that confirms a continental-scale east-west teleconnection across South America during the LIA.