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Protection motivation theory (PMT) has become a popular theory to explain the risk-reducing behavior of residents against natural hazards. PMT captures the two main cognitive processes that individuals undergo when faced with a threat, namely, threat appraisal and coping appraisal. The latter describes the evaluation of possible response measures that may reduce or avert the perceived threat. Although the coping appraisal component of PMT was found to be a better predictor of protective intentions and behavior, little is known about the factors that influence individuals’ coping appraisals of natural hazards. More insight into flood-coping appraisals of PMT, therefore, are needed to better understand the decision-making process of individuals and to develop effective risk communication strategies. This study presents the results of two surveys among more than 1,600 flood-prone households in Germany and France. Five hypotheses were tested using multivariate statistics regarding factors related to flood-coping appraisals, which were derived from the PMT framework, related literature, and the literature on social vulnerability. We found that socioeconomic characteristics alone are not sufficient to explain flood-coping appraisals. Particularly, observational learning from the social environment, such as friends and neighbors, is positively related to flood-coping appraisals. This suggests that social norms and networks play an important role in flood-preparedness decisions. Providing risk and coping information can also have a positive effect. Given the strong positive influence of the social environment on flood-coping appraisals, future research should investigate how risk communication can be enhanced by making use of the observed social norms and network effects.
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.
To safeguard the sustainable use of ecosystems and their services, early detection of potentially damaging changes in functional capabilities is needed. To support a proper ecosystem management, the analysis of an ecosystem’s vulnerability provide information on its weaknesses as well as on its capacity to recover after suffering an impact. However, the application of the vulnerability concept to ecosystems is still an emerging topic. After providing background on the vulnerability concept, we summarize existing ecosystem vulnerability research on the basis of a systematic literature review with a special focus on ecosystem type, disciplinary background, and more detailed definition of the ecosystem vulnerability components. Using the Web of ScienceTM Core Collection, we overviewed the literature from 1991 onwards but used the 5 years from 2011 to 2015 for an in-depth analysis, including 129 articles. We found that ecosystem vulnerability analysis has been applied most notably in conservation biology, climate change research, and ecological risk assessments, pinpointing a limited spreading across the environmental sciences. It occurred primarily within marine and freshwater ecosystems. To avoid confusion, we recommend using the unambiguous term ecosystem vulnerability rather than ecological, environmental, population, or community vulnerability. Further, common ground has been identified, on which to define the ecosystem vulnerability components exposure, sensitivity, and adaptive capacity. We propose a framework for ecosystem assessments that coherently connects the concepts of vulnerability, resilience, and adaptability as different ecosystem responses. A short outlook on the possible operationalization of the concept by ecosystem vulnerabilty indices, and a conclusion section complete the review.
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.
Quantifying the pace of ice-sheet growth is critical to understanding ice-age climate and dynamics. Here, we show that the diversion of the Hudson River (northeastern North America) late in the last glaciation phase (ca. 30 ka), which some previous studies have speculated was due to glacial isostatic adjustment (GIA), can be used to infer the timing of the Laurentide Ice Sheet’s growth to its maximum extent. Landscapes in the vicinity of glaciated regions have likely responded to crustal deformation produced by ice-sheet growth and decay through river drainage reorganization, given that rates of uplift and subsidence are on the order of tens of meters per thousand years. We perform global, gravitationally self-consistent simulations of GIA and input the predicted crustal deformation field into a landscape evolution model. Our calculations indicate that the eastward diversion of the Hudson River at 30 ka is consistent with exceptionally rapid growth of the Laurentide Ice Sheet late in the glaciation phase, beginning at 50–35 ka.
Landslide hazard motivates the need for a deeper understanding of the events that occur before, during, and after catastrophic slope failures. Due to the destructive nature of such events, in situ observation is often difficult or impossible. Here, we use data from a network of 58 seismic stations to characterise a large landslide at the Askja caldera, Iceland, on 21 July 2014. High data quality and extensive network coverage allow us to analyse both long- and short-period signals associated with the landslide, and thereby obtain information about its triggering, initiation, timing, and propagation. At long periods, a landslide force history inversion shows that the Askja landslide was a single, large event starting at the SE corner of the caldera lake at 23:24:05 UTC and propagating to the NW in the following 2 min The bulk sliding mass was 7-16 x 10(10) kg, equivalent to a collapsed volume of 35-80 x 10(6) m(3). The sliding mass was displaced downslope by 1260 +/- 250 m. At short periods, a seismic tremor was observed for 30 min before the landslide. The tremor is approximately harmonic with a fundamental frequency of 2.3 Hz and shows time-dependent changes of its frequency content. We attribute the seismic tremor to stick-slip motion along the landslide failure plane. Accelerating motion leading up to the catastrophic slope failure culminated in an aseismic quiescent period for 2 min before the landslide. We propose that precursory seismic signals may be useful in landslide early-warning systems. The 8 h after the main landslide failure are characterised by smaller slope failures originating from the destabilised caldera wall decaying in frequency and magnitude. We introduce the term "afterslides" for this subsequent, declining slope activity after a large landslide.
A comprehensive hydro-sedimentological dataset for the Isabena catchment, northeastern (NE) Spain, for the period 2010-2018 is presented to analyse water and sediment fluxes in a Mediterranean mesoscale catchment. The dataset includes rainfall data from 12 rain gauges distributed within the study area complemented by meteorological data of 12 official meteo-stations. It comprises discharge data derived from water stage measurements as well as suspended sediment concentrations (SSCs) at six gauging stations of the River Isabena and its sub-catchments. Soil spectroscopic data from 351 suspended sediment samples and 152 soil samples were collected to characterize sediment source regions and sediment properties via fingerprinting analyses. The Isabena catchment (445 km(2)) is located in the southern central Pyrenees ranging from 450 m to 2720 m a.s.l.; together with a pronounced topography, this leads to distinct temperature and precipitation gradients. The River Isabena shows marked discharge variations and high sediment yields causing severe siltation problems in the downstream Barasona Reservoir. The main sediment source is badland areas located on Eocene marls that are well connected to the river network. The dataset features a comprehensive set of variables in a high spatial and temporal resolution suitable for the advanced process understanding of water and sediment fluxes, their origin and connectivity and sediment budgeting and for the evaluation and further development of hydro-sedimentological models in Mediterranean mesoscale mountainous catchments.
For over a century, geomorphologists have attempted to unravel information about landscape evolution, and processes that drive it, using river profiles. Many studies have combined new topographic datasets with theoretical models of channel incision to infer erosion rates, identify rock types with different resistance to erosion, and detect potential regions of tectonic activity. The most common metric used to analyse river profile geometry is channel steepness, or k(s). However, the calculation of channel steepness requires the normalisation of channel gradient by drainage area. This normalisation requires a power law exponent that is referred to as the channel concavity index. Despite the concavity index being crucial in determining channel steepness, it is challenging to constrain. In this contribution, we compare both slope-area methods for calculating the concavity index and methods based on integrating drainage area along the length of the channel, using so-called "chi" (chi) analysis. We present a new chi-based method which directly compares chi values of tributary nodes to those on the main stem; this method allows us to constrain the concavity index in transient landscapes without assuming a linear relationship between chi and elevation. Patterns of the concavity index have been linked to the ratio of the area and slope exponents of the stream power incision model (m/n); we therefore construct simple numerical models obeying detachment-limited stream power and test the different methods against simulations with imposed m and n. We find that chi-based methods are better than slope-area methods at reproducing imposed m/n ratios when our numerical landscapes are subject to either transient uplift or spatially varying uplift and fluvial erodibility. We also test our methods on several real landscapes, including sites with both lithological and structural heterogeneity, to provide examples of the methods' performance and limitations. These methods are made available in a new software package so that other workers can explore how the concavity index varies across diverse landscapes, with the aim to improve our understanding of the physics behind bedrock channel incision.
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.
With increasing amount of strong motion data, Ground Motion Prediction Equation (GMPE) developers are able to quantify empirical site amplification functions (delta S2S(s)) from GMPE residuals, for use in site-specific Probabilistic Seismic Hazard Assessment. In this study, we first derive a GMPE for 5% damped Pseudo Spectral Acceleration (g) of Active Shallow Crustal earthquakes in Japan with 3.4 <= M-w <= 7.3 and 0 <= R-JB <= 600km. Using k-mean spectral clustering technique, we then classify our estimated delta S2S(s)(T = 0.01 - 2s) of 588 wellcharacterized sites, into 8 site clusters with distinct mean site amplification functions, and within-cluster site-tosite variability similar to 50% smaller than the overall dataset variability (phi(S2S)). Following an evaluation of existing schemes, we propose a revised data-driven site classification characterized by kernel density distributions of V-s30, V-s10, H-800, and predominant period (T-G) of the site clusters.
It is well-known that prey species often face trade-offs between defense against predation and competitiveness, enabling predator-mediated coexistence. However, we lack an understanding of how the large variety of different defense traits with different competition costs affects coexistence and population dynamics. Our study focusses on two general defense mechanisms, that is, pre-attack (e.g., camouflage) and post-attack defenses (e.g., weaponry) that act at different phases of the predator—prey interaction. We consider a food web model with one predator, two prey types and one resource. One prey type is undefended, while the other one is pre- or post-attack defended paying costs either by a higher half-saturation constant for resource uptake or a lower maximum growth rate. We show that post-attack defenses promote prey coexistence and stabilize the population dynamics more strongly than pre-attack defenses by interfering with the predator's functional response: Because the predator spends time handling “noncrackable” prey, the undefended prey is indirectly facilitated. A high half-saturation constant as defense costs promotes coexistence more and stabilizes the dynamics less than a low maximum growth rate. The former imposes high costs at low resource concentrations but allows for temporally high growth rates at predator-induced resource peaks preventing the extinction of the defended prey. We evaluate the effects of the different defense mechanisms and costs on coexistence under different enrichment levels in order to vary the importance of bottom-up and top-down control of the prey community.
The literature contains a sizable number of publications where weather types are used to decompose climate shifts or trends into contributions of frequency and mean of those types. They are all based on the product rule, that is, a transformation of a product of sums into a sum of products, the latter providing the decomposition. While there is nothing to argue about the transformation itself, its interpretation as a climate shift or trend decomposition is bound to fail. While the case of a climate shift may be viewed as an incomplete description of a more complex behaviour, trend decomposition indeed produces bogus trends, as demonstrated by a synthetic counterexample with well-defined trends in type frequency and mean. Consequently, decompositions based on that transformation, be it for climate shifts or trends, must not be used.
In areas characterized by many volcanoes, identifying the source of a deposit may not be trivial. This becomes much more complicated when looking for the source of a debris avalanche deposit (DAD), the common products of catastrophic volcanic edifice collapses. To overcome this problem, in this work a methodology is proposed based on the integration of texture features and areal distribution of the deposit, comparison between the petrography of the coarser clasts within the DAD and of the proximal products, grain-size analysis, and the volumetric estimations of the deposit and the volume missing from the volcanic edifice. This methodology has been tested to a DAD occurred near the city of Ibarra (Imbabura Province; Northern Ecuador), having a controversial source. Two main volcanic edifice are located in proximity of the DAD, the Cubilche volcano (3826 m.a.s.l.), located immediately south of and east of the colossal dormant Imbabura volcano. The former displays a sharp horseshoe shaped scar towards the north and inside this post-collapse edifice, that we name old Cubilche volcano (OCV), is located the young Cubilche volcano (YCV) that refilled a portion of the collapse scar and partially covered the southern flank of the OCV. Detailed knowledge of Cubilche volcano is critical because of its close proximity and interspersed activity with Imbabura volcano. In fact, Imbabura most recent edifice was built over the northwestern slope of the OCV and partially covered it. Recent studies linked the studied DAD to both Imbabura volcano as a product of its northern sector collapse, as well as neighboring Cubilche volcano. Our data points to Cubilche as the most likely source for this DAD. A perspective view of the shaded relief image of the present day OCV shows that the morphology of the volcano is well-preserved on its southern, eastern, and western flanks. This allows us to reconstruct the morphology of the OCV previous to the collapse through interpolation of elevation and altitude data of preserved flanks. A DEM of the present day topography was used for extrapolating the morphology. Using similar methodology, the post collapse base of the amphitheater was reconstructed by removing the relief of the present day YCV. The reconstructed topography of the OCV shows that it could have been a symmetric cone, reaching a maximum elevation of similar to 4100 m.a.s.l. with a lack volume of similar to 3.5 km(3). Based on this scenario, the deposit originated from the OCV main collapse should have a volume >3-3.5 km(3) in accordance to the volume calculated for the studied DAD. (C) 2018 Elsevier B.V. All rights reserved.
Climate and environmental changes since the Last Glacial Maximum in the tropical zone of West Africa are usually inferred from marine and continental records. In this study, the potential of carbonate pedo-sedimentary geosystems, i.e. Vertisol relics, to record paleoenvironmental changes in the southwestern part of Chad Basin are investigated. A multi-dating approach was applied on different pedogenic organo-mineral constituents. Optically stimulated luminescence (OSL) dating was performed on the soil K-rich feldspars and was combined with radiocarbon dating on both the inorganic (C-14(inorg)) and organic carbon (C-14(org)) soil fractions. Three main pedo-sedimentary processes were assessed over the last 20 ka BP: 1) the soil parent material deposition, from 18 ka to 12 ka BP (OSL), 2) the soil organic matter integration, from 11 cal ka to 8 cal ka BP (C-14(org)), and 3) the pedogenic carbonate nodule precipitation, from 7 cal ka to 5 cal ka BP (C-14(inorg)). These processes correlate well with the Chad Basin stratigraphy and West African records and are shown to be related to significant changes in the soil water balance responding to the evolution of continental hydrology during the Late Quaternary. The last phase affecting the Vertisol relics is the increase of erosion, which is hypothesized to be due to a decrease of the vegetation cover triggered by (i) the onset of drier conditions, possibly strengthened by (ii) anthropogenic pressure. Archaeological data from Far North Cameroon and northern Nigeria, as well as sedimentation times in Lake Tilla (northeastern Nigeria), were used to test these relationships. The increase of erosion is suggested to possibly occur between c. 3 cal ka and 1 cal ka BP. Finally, satellite images revealed similar geosystems all along the Sudano-Sahelian belt, and initial C-14(inorg) ages of the samples collected in four sites gave similar ages to those reported in this study. Consequently, the carbonate pedo-sedimentary geosystems are valuable continental paleoenvironmental archives and soil water balance proxies of the semiarid tropics of West Africa. (C) 2018 Elsevier Ltd. All rights reserved.
Quantitative estimates of sea-level rise in the Mediterranean Basin become increasingly accurate thanks to detailed satellite monitoring. However, such measuring campaigns cover several years to decades, while longer-term sea-level records are rare for the Mediterranean. We used a data archeological approach to reanalyze monthly mean sea-level data of the Antalya-I (1935–1977) tide gauge to fill this gap. We checked the accuracy and reliability of these data before merging them with the more recent records of the Antalya-II (1985–2009) tide gauge, accounting for an eight-year hiatus. We obtain a composite time series of monthly and annual mean sea levels spanning some 75 years, providing the longest record for the eastern Mediterranean Basin, and thus an essential tool for studying the region's recent sea-level trends. We estimate a relative mean sea-level rise of 2.2 ± 0.5 mm/year between 1935 and 2008, with an annual variability (expressed here as the standard deviation of the residuals, σresiduals = 41.4 mm) above that at the closest tide gauges (e.g., Thessaloniki, Greece, σresiduals = 29.0 mm). Relative sea-level rise accelerated to 6.0 ± 1.5 mm/year at Antalya-II; we attribute roughly half of this rate (~3.6 mm/year) to tectonic crustal motion and anthropogenic land subsidence. Our study highlights the value of data archeology for recovering and integrating historic tide gauge data for long-term sea-level and climate studies.
A submerged pine forest from the early Holocene in the Mecklenburg Lake District, northern Germany
(2018)
For the first time, evidence of a submerged pine forest from the early Holocene can be documented in a central European lake. Subaquatic tree stumps were discovered in Lake Giesenschlagsee at a depth of between 2 and 5m using scuba divers, side-scan sonar and a remotely operated vehicle. Several erect stumps, anchored to the ground by roots, represent an insitu record of this former forest. Botanical determination revealed the stumps to be Scots pine (Pinus sylvestris) with an individual tree age of about 80years. The trees could not be dated by means of dendrochronology, as they are older than the regional reference chronology for pine. Radiocarbon ages from the wood range from 10880 +/- 210 to 10370 +/- 130cal. a BP, which is equivalent to the mid-Preboreal to early Boreal biozones. The trees are rooted in sedge peat, which can be dated to this period as well, using pollen stratigraphical analysis. Tilting of the peat bed by 4m indicates subsidence of the ground due to local dead ice melting, causing the trees to become submerged and preserved for millennia. Together with recently detected Lateglacial insitu tree occurrences in nearby lakes, the submerged pine forest at Giesenschlagsee represents a new and highly promising type of geo-bio-archive for the wider region. Comparable insitu pine remnants occur at some terrestrial (buried setting) and marine (submerged setting) sites in northern central Europe and beyond, but they partly differ in age. In general, the insitu pine finds document shifts of the zonal boreal forest ecosystem during the late Quaternary.
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.
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.
The flash-flood in Braunsbach in the north-eastern part of Baden-Wuerttemberg/Germany was a particularly strong and concise event which took place during the floods in southern Germany at the end of May/early June 2016. This article presents a detailed analysis of the hydro-meteorological forcing and the hydrological consequences of this event. A specific approach, the "forensic hydrological analysis" was followed in order to include and combine retrospectively a variety of data from different disciplines. Such an approach investigates the origins, mechanisms and course of such natural events if possible in a "near real time" mode, in order to follow the most recent traces of the event. The results show that it was a very rare rainfall event with extreme intensities which, in combination with catchment properties, led to extreme runoff plus severe geomorphological hazards, i.e. great debris flows, which together resulted in immense damage in this small rural town Braunsbach. It was definitely a record-breaking event and greatly exceeded existing design guidelines for extreme flood discharge for this region, i.e. by a factor of about 10. Being such a rare or even unique event, it is not reliably feasible to put it into a crisp probabilistic context. However, one can conclude that a return period clearly above 100 years can be assigned for all event components: rainfall, peak discharge and sediment transport. Due to the complex and interacting processes, no single flood cause or reason for the very high damage can be identified, since only the interplay and the cascading characteristics of those led to such an event. The roles of different human activities on the origin and/or intensification of such an extreme event are finally discussed. (C) 2018 Elsevier B.V. All rights reserved.
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.
A comprehensive understanding of the regional vegetation responses to long-term climate change will help to forecast Earth system dynamics. Based on a new well-dated pollen data set from Kanas Lake and a review on the published pollen records in and around the Altai Mountains, the regional vegetation dynamics and forcing mechanisms are discussed. In the Altai Mountains, the forest optimum occurred during 10-7ka for the upper forest zone and the tree line decline and/or ecological shifts were caused by climatic cooling from around 7ka. In the lower forest zone, the forest reached an optimum in the middle Holocene, and then increased openness of the forest, possibly caused by both climate cooling and human activities, took place in the late Holocene. In the lower basins or plains around the Altai Mountains, the development of protograssland or forest benefited from increasing humidity in the middle to late Holocene. Plain Language Summary In the Altai Mountains and surrounding area of central Asia, the previous studies of the Holocene paleovegetation and paleoclimate studies did not discuss the different ecological limiting factors for the vegetation in high mountains and low-elevation areas due to limited data. With accumulating fossil pollen data and surface pollen data, it is possible to understand better the geomorphological effect on the vegetation and discrepancies of vegetation/forest responses to large-scale climate forcing, and it is also possible to get reliable quantitative reconstructions of climate. Here our new pollen data and review on the published fossil pollen data will help us to look into the past climate change and vertical evolution of vegetation in this important area of the Northern Hemisphere. Based on our study, it can be concluded that the growth of taiga forest in the wetter areas may be promoted under a future warmer climate, while the forest in the relatively dry areas is liable to decline, and the different vegetation dynamics will contribute to future high-resolution coupled vegetation-climate model for Earth system modelling.
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.
Nitraria is a halophytic taxon (i.e., adapted to saline environments) that belongs to the plant family Nitrariaceae and is distributed from the Mediterranean, across Asia into the south-eastern tip of Australia. This taxon is thought to have originated in Asia during the Paleogene (66-23 Ma), alongside the proto-Paratethys epicontinental sea. The evolutionary history of Nitraria might hold important clues on the links between climatic and biotic evolution but limited taxonomic documentation of this taxon has thus far hindered this line of research. Here we investigate if the pollen morphology and the chemical composition of the pollen wall are informative of the evolutionary history of Nitraria and could explain if origination along the proto-Paratethys and dispersal to the Tibetan Plateau was simultaneous or a secondary process. To answer these questions, we applied a novel approach consisting of a combination of Fourier Transform Infrared spectroscopy (FTIR), to determine the chemical composition of the pollen wall, and pollen morphological analyses using Light Microscopy (LM) and Scanning Electron Microscopy (SEM). We analysed our data using ordinations (principal components analysis and non-metric multidimensional scaling), and directly mapped it on the Nitrariaceae phylogeny to produce a phylomorphospace and a phylochemospace. Our LM, SEM and FTIR analyses show clear morphological and chemical differences between the sister groups Peganum and Nitraria. Differences in the morphological and chemical characteristics of highland species (Nitraria schoberi, N. sphaerocarpa, N. sibirica and N. tangutorum) and lowland species (Nitraria billardierei and N. retusa) are very subtle, with phylogenetic history appearing to be a more important control on Nitraria pollen than local environmental conditions. Our approach shows a compelling consistency between the chemical and morphological characteristics of the eight studied Nitrariaceae species, and these traits are in agreement with the phylogenetic tree. Taken together, this demonstrates how novel methods for studying fossil pollen can facilitate the evolutionary investigation of living and extinct taxa, and the environments they represent.
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.
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.
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.
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.
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.
To achieve the goal of keeping global warming well below 2 °C, private investors have to shift capital from brown to green infrastructures and technologies and provide additional green investment. In this paper, we present a game-theoretic perspective on the challenge of triggering such investments. The question of climate change mitigation is often related to the prisoner's dilemma, a game with one Nash equilibrium. However, the authors perceive investment for mitigation and adaptation as a coordination problem of selecting among multiple equilibria. To illustrate this, we model a non-cooperative coordination game, related to the stag hunt, with a brown equilibrium with lower payoffs that can be achieved single-handedly and a green equilibrium with higher payoffs that requires coordination. As multiple experiments show, in such games actors often fail to coordinate on a payoff dominant equilibrium due to uncertainty. Thus, we discuss how uncertainty could be reduced along two options: one that concerns a change in the payoff structure of the game and another that concerns subjective probabilities.
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
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.
We investigate the source characteristics of picoseismicity (M-w < -2) recorded during a hydraulic fracturing in situ experiment performed in the underground Aspo Hard Rock Laboratory, Sweden. The experiment consisted of six stimulations driven by three different water injection schemes and was performed inside a 28-m-long, horizontal borehole located at 410-m depth. The fracturing processes were monitored with a variety of seismic networks including broadband seismometers, geophones, high-frequency accelerometers, and acoustic emission sensors thereby covering a wide frequency band between 0.01 and 100,000Hz. Here we study the high-frequency signals with dominant frequencies exceeding 1000 Hz. The combined seismic network allowed for detection and detailed analysis of 196 small-scale seismic events with moment magnitudes M-W < -3.5 (source sizes of decimeter scale) that occurred solely during the stimulations and shortly after. The double-difference relocated hypocenter catalog as well as source parameters were used to study the physical characteristics of the induced seismicity and then compared to the stimulation parameters. We observe a spatiotemporal migration of the picoseismic events away and toward the injection intervals in direct correlation with changes in the hydraulic energy (product of fluid injection pressure and injection rate). We find that the total radiated seismic energy is extremely low with respect to the product of injected fluid volume and pressure (hydraulic energy). The radiated seismic energy correlates well with the hydraulic energy rate. The obtained fault plane solutions for particularly well-characterized events signify the reactivation of preexisting rock defects under influence of increased pore fluid pressure on fault plane orientations in good correspondence with the local stress field orientation.
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.
Crop yield variations are strongly influenced by the spatial and temporal availabilities of water and nitrogen in the soil during the crop growth season. To estimate the quantities and distributions of water and nitrogen within a given soil, process-oriented soil models have often been used. These models require detailed information about the soil characteristics and profile architecture (e.g., soil depth, clay content, bulk density, field capacity and wilting point), but high resolution information about these soil properties, both vertically and laterally, is difficult to obtain through conventional approaches. However, on-the-go electrical resistivity tomography (ERT) measurements of the soil and data inversion tools have recently improved the lateral resolutions of the vertically distributed measurable information. Using these techniques, nearly 19,000 virtual soil profiles with defined layer depths were successfully created for a 30 ha silty cropped soil over loamy and sandy substrates in Central Germany, which were used to initialise the CArbon and Nitrogen DYnamics (CANDY) model. The soil clay content was derived from the electrical resistivity (ER) and the collected soil samples using a simple linear regression approach (the mean R-2 of clay = 0.39). The additional required structural and hydrological properties were derived from pedotransfer functions. The modelling results, derived soil texture distributions and original ER data were compared with the spatial winter wheat yield distribution in a relatively dry year using regression and boundary line analysis. The yield variation was best explained by the simulated soil water content (R-2 = 0.18) during the grain filling and was additionally validated by the measured soil water content with a root mean square error (RMSE) of 7.5 Vol%.
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.
Following the widespread assumption that a majority of ubiquitous marine microplastic particles originate from land-based sources, recent studies identify rivers as important pathways for microplastic particles (MPP) to the oceans. Yet a detailed understanding of the underlying processes and dominant sources is difficult to obtain with the existing accurate but extremely time-consuming methods available for the identification of MPP. Thus in the presented study, a novel approach applying short-wave infrared imaging spectroscopy for the quick and semi-automated identification of MPP is applied in combination with a multitemporal survey concept. Volume-reduced surface water samples were taken from transects at ten points along a major watercourse running through the South of Berlin, Germany, on six dates. After laboratory treatment, the samples were filtered onto glass fiber filters, scanned with an imaging spectrometer and analyzed by image processing. The presented method allows to count MPP, classify the plastic types and determine particle sizes. At the present stage of development particles larger than 450 m in diameter can be identified and a visual validation showed that the results are reliable after a subsequent visual final check of certain typical error types. Therefore, the method has the potential to accelerate microplastic identification by complementing FTIR and Raman microspectroscopy. Technical advancements (e.g. new lens) will allow lower detection limits and a higher grade of automatization in the near future. The resulting microplastic concentrations in the water samples are discussed in a spatio-temporal context with respect to the influence (i) of urban areas, (ii) of effluents of three major Berlin wastewater treatment plants discharging into the canal and (iii) of precipitation events. Microplastic concentrations were higher downstream of the urban area and after precipitation. An increase in microplastic concentrations was discernible for the wastewater treatment plant located furthest upstream though not for the other two. (C) 2018 Elsevier Ltd. All rights reserved.
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.
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).
One main challenge in constructing a reliable recurrence plot (RP) and, hence, its quantification [recurrence quantification analysis (RQA)] of a continuous dynamical system is the induced noise that is commonly found in observation time series. This induced noise is known to cause disrupted and deviated diagonal lines despite the known deterministic features and, hence, biases the diagonal line based RQA measures and can lead to misleading conclusions. Although discontinuous lines can be further connected by increasing the recurrence threshold, such an approach triggers thick lines in the plot. However, thick lines also influence the RQA measures by artificially increasing the number of diagonals and the length of vertical lines [e.g., Determinism (DET) and Laminarity (LAM) become artificially higher]. To take on this challenge, an extended RQA approach for accounting disrupted and deviated diagonal lines is proposed. The approach uses the concept of a sliding diagonal window with minimal window size that tolerates the mentioned deviated lines and also considers a specified minimal lag between points as connected. This is meant to derive a similar determinism indicator for noisy signal where conventional RQA fails to capture. Additionally, an extended local minima approach to construct RP is also proposed to further reduce artificial block structures and vertical lines that potentially increase the associated RQA like LAM. The methodology and applicability of the extended local minima approach and DET equivalent measure are presented and discussed, respectively.
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 precise determination of the stable C and O isotope fractionation between water and calcite (CC) and water and aragonite (AR) is of special interest for climate reconstructions, e.g. paleotemperatures. Previous studies reported results from both laboratory and field experiments, but their results are only partly consistent. Here we present C and O isotope data of a stalagmite from the Swiss Alps, which shows CC-AR transitions along individual growth layers. Using detailed analyses both laterally and perpendicular to such layers we examined the difference in the C and O isotope fractionation factor of the HCO3- - CC and the HCO3- - AR system. For O this difference is similar to the water-CC and water-AR offset provided in experimental studies. The O isotope fractionation difference in the water-CC and water-AR system is comparable to those determined in laboratory studies but shows a statistically significant correlation with the CaCO3 precipitation rate. For C we found a fractionation difference, which is independent of CaCO3 precipitation rate and with slightly smaller values for the fractionation offset between HCO3- - CC and HCO3- - AR compared to literature values. However, we also found an unexpected decrease in delta C-13 along growth layers, which contradicts the widely used concept of Rayleigh fractionation during CO2 degassing and CaCO3 precipitation. The results of this study can be used e.g., to correct stable isotope time series of stalagmites showing CC-AR transitions along their growth axes. (C) 2018 Elsevier Ltd. All rights reserved.
Quaternary glaciations have repeatedly shaped large tracts of the Andean foreland. Its spectacular large glacial lakes, staircases of moraine ridges, and extensive outwash plains have inspired generations of scientists to reconstruct the processes, magnitude, and timing of ice build-up and decay at the mountain front. Surprisingly few of these studies noticed many dozens of giant (≥108 m3) mass-wasting deposits in the foreland. We report some of the world's largest terrestrial landslides in the eastern piedmont of the Patagonian Ice Sheet (PIS) along the traces of the former Lago Buenos Aires and Lago Puyerredón glacier lobes and lakes. More than 283 large rotational slides and lateral spreads followed by debris slides, earthflows, rotational and translational rockslides, complex slides and few large rock avalanches detached some 164 ± 56 km3 of material from the slopes of volcanic mesetas, lake-bounding moraines, and river-gorge walls. Many of these landslide deposits intersect with well-dated moraine ridges or former glacial-lake shorelines, and offer opportunities for relative dating of slope failure. We estimate that >60% of the landslide volume (∼96 km3) detached after the Last Glacial Maximum (LGM). Giant slope failures cross-cutting shorelines of a large Late Glacial to Early Holocene lake (“glacial lake PIS”) likely occurred during successive lake-level drop between ∼11.5 and 8 ka, and some of them are the largest hitherto documented landslides in moraines. We conclude that 1) large portions of terminal moraines can fail catastrophically several thousand years after emplacement; 2) slopes formed by weak bedrock or unconsolidated glacial deposits bordering glacial lakes can release extremely large landslides; and 3) landslides still occur in the piedmont, particularly along postglacial gorges cut in response to falling lake levels.
Time series of groundwater and stream water quality often exhibit substantial temporal and spatial variability, whereas typical existing monitoring data sets, e.g. from environmental agencies, are usually characterized by relatively low sampling frequency and irregular sampling in space and/or time. This complicates the differentiation between anthropogenic influence and natural variability as well as the detection of changes in water quality which indicate changes in single drivers. We suggest the new term "dominant changes" for changes in multivariate water quality data which concern (1) multiple variables, (2) multiple sites and (3) long-term patterns and present an exploratory framework for the detection of such dominant changes in data sets with irregular sampling in space and time. Firstly, a non-linear dimension-reduction technique was used to summarize the dominant spatiotemporal dynamics in the multivariate water quality data set in a few components. Those were used to derive hypotheses on the dominant drivers influencing water quality. Secondly, different sampling sites were compared with respect to median component values. Thirdly, time series of the components at single sites were analysed for long-term patterns. We tested the approach with a joint stream water and groundwater data set quality consisting of 1572 samples, each comprising sixteen variables, sampled with a spatially and temporally irregular sampling scheme at 29 sites in northeast Germany from 1998 to 2009. The first four components were interpreted as (1) an agriculturally induced enhancement of the natural background level of solute concentration, (2) a redox sequence from reducing conditions in deep groundwater to post-oxic conditions in shallow groundwater and oxic conditions in stream water, (3) a mixing ratio of deep and shallow groundwater to the streamflow and (4) sporadic events of slurry application in the agricultural practice. Dominant changes were observed for the first two components. The changing intensity of the first component was interpreted as response to the temporal variability of the thickness of the unsaturated zone. A steady increase in the second component at most stream water sites pointed towards progressing depletion of the denitrification capacity of the deep aquifer.
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.
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.
Subduction zone magmas are more oxidised on eruption than those at mid-ocean ridges. This is attributed either to oxidising components, derived from subducted lithosphere (slab) and added to the mantle wedge, or to oxidation processes occurring during magma ascent via differentiation. Here we provide direct evidence for contributions of oxidising slab agents to melts trapped in the sub-arc mantle. Measurements of sulfur (S) valence state in sub-arc mantle peridotites identify sulfate, both as crystalline anhydrite (CaSO4) and dissolved SO42- in spinel-hosted glass (formerly melt) inclusions. Copper-rich sulfide precipitates in the inclusions and increased Fe3+/Sigma Fe in spinel record a S6+-Fe2+ redox coupling during melt percolation through the sub-arc mantle. Sulfate-rich glass inclusions exhibit high U/Th, Pb/Ce, Sr/Nd and delta S-34 (+ 7 to + 11%), indicating the involvement of dehydration products of serpentinised slab rocks in their parental melt sources. These observations provide a link between liberated slab components and oxidised arc magmas.
Great megathrust earthquakes arise from the sudden release of energy accumulated during centuries of interseismic plate convergence. The moment deficit (energy available for future earthquakes) is commonly inferred by integrating the rate of interseismic plate locking over the time since the previous great earthquake. But accurate integration requires knowledge of how interseismic plate locking changes decades after earthquakes, measurements not available for most great earthquakes. Here we reconstruct the post-earthquake history of plate locking at Guafo Island, above the seismogenic zone of the giant 1960 (M-w = 9.5) Chile earthquake, through forward modeling of land-level changes inferred from aerial imagery (since 1974) and measured by GPS (since 1994). We find that interseismic locking increased to similar to 70% in the decade following the 1960 earthquake and then gradually to 100% by 2005. Our findings illustrate the transient evolution of plate locking in Chile, and suggest a similarly complex evolution elsewhere, with implications for the time- and magnitude-dependent probability of future events.
Originally developed for use in the petroleum industry, Rock-Eval pyrolysis is a technique commonly applied to lake sediments to infer paleoenvironmental reconstructions. The standard Rock-Eval parameters provide information on the amount of total organic and inorganic carbon (TOC and MinC, respectively), and are usually interpreted as proxies for the source (aquatic or terrestrial) of the primary production of organic matter (Hydrogen Index vs Oxygen Index). Although this method usually provides valuable evidence, the common presence of siderite in tropical lake sediments can alter the primary signal of the sedimentary organic matter (SOM). Indeed, the CO2 and CO released by the pyrolysis of siderite are integral to the calculation of the SOM-related standard Rock-Eval parameters. In this study, we analyze sediments from a core collected in the Lake Barombi (southwest Cameroon) and describe the impact of siderite on standard Rock-Eval parameters. We propose a workflow that allows standard Rock-Eval parameters to be corrected, based on the analysis of thermograms. The proposed corrections provide siderite-effect-free parameters, accurately reflecting the changes in sedimentary organic matter composition. (C) 2018 Elsevier Ltd. All rights reserved.
Fibroblast growth factor 23 (FGF23) is a proteohormone regulating renal phosphate transport and vitamin D metabolism as well as inducing left heart hypertrophy. FGF23-deficient mice suffer from severe tissue calcification, accelerated aging and a myriad of aging-associated diseases. Bone cells produce FGF23 upon store-operated calcium ion entry (SOCE) through the calcium selective ion channel Orai1. AMP-activated kinase (AMPK) is a powerful energy sensor helping cells survive states of energy deficiency, and AMPK down-regulates Orai1. Here we investigated the role of AMPK in FGF23 production. Fgf23 gene transcription was analyzed by qRT-PCR and SOCE by fluorescence optics in UMR106 osteoblast-like cells while the serum FGF23 concentration and phosphate metabolism were assessed in AMPKa1-knockout and wild-type mice. The AMPK activator, 5-aminoimidazole-4-carboxamide ribonucleotide (AICAR) down-regulated, whereas the AMPK inhibitor, dorsomorphin dihydrochloride (compound C) and AMPK gene silencing induced Fgf23 transcription. AICAR decreased membrane abundance of Orai1 and SOCE. SOCE inhibitors lowered Fgf23 gene expression induced by AMPK inhibition. AMPKa1-knockout mice had a higher serum FGF23 concentration compared to wild-type mice. Thus, AMPK participates in the regulation of FGF23 production in vitro and in vivo. The inhibitory effect of AMPK on FGF23 production is at least in part mediated by Orai1-involving SOCE.