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As land-cover conversion continues to expand into ever more remote areas in the humid tropics, montane rainforests are increasingly threatened. In the south Ecuadorian Andes, they are not only subject to man-made disturbances but also to naturally occurring landslides. I was interested in the impact of this ecosystem dynamics on a key parameter of the hydrologic cycle, the soil saturated hydraulic conductivity (synonym: permeability; Ks from here on), because it is a sensitive indicator for soil disturbances. My general objective was to quantify the effects of the regional natural and human disturbances on the saturated hydraulic conductivity and to describe the resulting spatial-temporal patterns. The main hypotheses were: 1) disturbances cause an apparent displacement of the less permeable soil layer towards the surface, either due to a loss of the permeable surface soil after land-sliding, or as a consequence of the surface soil compaction under cattle pastures; 2) ‘recovery’ from disturbance, either because of landslide re-vegetation or because of secondary succession after pasture abandonment, involves an apparent displacement of the less permeable layer back towards the original depth an 3) disturbances cause a simplification of the Ks spatial structure, i.e. the spatially dependent random variation diminishes; the subsequent recovery entails the re-establishment of the original structure. In my first study, I developed a synthesis of recent geostatistical research regarding its applicability to soil hydraulic data, including exploratory data analysis and variogram estimation techniques; I subsequently evaluated the results in terms of spatial prediction uncertainty. Concerning the exploratory data analysis, my main results were: 1) Gaussian uni- and bivariate distributions of the log-transformed data; 2) the existence of significant local trends; 3) no need for robust estimation; 4) no anisotropic variation. I found partly considerable differences in covariance parameters resulting from different variogram estimation techniques, which, in the framework of spatial prediction, were mainly reflected in the spatial connectivity of the Ks-field. Ignoring the trend component and an arbitrary use of robust estimators, however, would have the most severe consequences in this respect. Regarding variogram modeling, I encouraged restricted maximum likelihood estimation because of its accuracy and independence on the selected lags needed for experimental variograms. The second study dealt with the Ks spatial-temporal pattern in the sequences of natural and man-made disturbances characteristic for the montane rainforest study area. To investigate the disturbance effects both on global means and the spatial structure of Ks, a combined design-and model-based sampling approach was used for field-measurements at soil depths of 12.5, 20, and 50 cm (n=30-150/depth) under landslides of different ages (2 and 8 years), under actively grazed pasture, fallows following pasture abandonment (2 to 25 years of age), and under natural forest. Concerning global means, our main findings were 1) global means of the soil permeability generally decrease with increasing soil depth; 2) no significant Ks differences can be observed among landslides and compared to the natural forest; 3) a distinct permeability decrease of two orders of magnitude occurs after forest conversion to pasture at shallow soil depths, and 4) the slow regeneration process after pasture abandonment requires at least one decade. Regarding the Ks spatial structure, we found that 1) disturbances affect the Ks spatial structure in the topsoil, and 2) the largest differences in spatial patterns are associated with the subsoil permeability. In summary, the regional landslide activity seems to affect soil hydrology to a marginal extend only, which is in contrast to the pronounced drop of Ks after forest conversion. We used this spatial-temporal information combined with local rain intensities to assess the partitioning of rainfall into vertical and lateral flowpaths under undisturbed, disturbed, and regenerating land-cover types in the third study. It turned out that 1) the montane rainforest is characterized by prevailing vertical flowpaths in the topsoil, which can switch to lateral directions below 20 cm depth for a small number of rain events, which may, however, transport a high portion of the annual runoff; 2) similar hydrological flowpaths occur under the landslides except for a somewhat higher probability of impermeable layer formation in the topsoil of a young landslide, and 3) pronounced differences in runoff components can be observed for the human disturbance sequence involving the development of near-surface impeding layers for 24, 44, and 8 % of rain events for pasture, a two-year-old fallow, and a ten-year-old fallow, respectively.
The styles of deformation of the fore-arc wedges along the Chilean convergent margin are observed to vary significantly, despite similar plate kinematic conditions. Here, I focus on the analysis of fore-arc deformation on two regions along the Chilean convergent margin at 20°-24°S and 37°-42°S. Although both regions are subjected to the oblique subduction of the oceanic Nazca plate and backstopped by the Andes mountain chain; they display different patterns of deformation. The northern Chilean study area (20° - 24°S) is characterized by an exceptionally thick crust of about 60 km beneath the Altiplano – Puna plateau, lack of an accretionary wedge in the fore-arc due to hyperarid climate, and consequently a sediment starved trench. Two major margin parallel strike slip faults are observed in this area, the Atacama Fault Zone (AFZ) and the Precordilleran Fault System (PFS). Both strike-slip faults do not exhibit significant recent displacement. The southern study area (37° - 42°S), compared to the northern study area, is characterized by lower topography, high precipitation rates (~2000 mm/yr), and a younger subducted oceanic plate. An active strike-slip fault, the Liquiñe-Ofqui-Fault-Zone (LOFZ), shows ~1 cm/yr recent dextral movement and shapes the surface of this area. Thus, the southern Chilean study area exhibits localized strike-slip motion. Within this area the largest earthquake ever recorded, the 1960 Valdivia earthquake, occurred with a moment magnitude of MW=9.5. I have constructed 2D thermal models and 3D mechanical models for both Chilean study areas to study processes related to active subduction. The applied numerical method is the finite element technique by means of the commercial software package ABAQUS. The thermal models are focused on the thermal conditions along the plate interface. The thermal structure along the plate interface reveals the limits of coupling but also the type of transition from coupled to uncoupled and vice versa. The model results show that shear heating at the plate interface is an important mechanism that should be taken into account. The models also show that the thermal condition at the downdip limit of the coupling zone leads to a sharp decrease of friction along the interface. Due to the different geometries of the two Chilean study areas, such as the slab dip and the thickness of the continental crust, the downdip limit of the southern study area is slightly shallower than that of the northern study area. The results of the 2D thermal models are used to constrain the spatial extent of the coupling zone in the 3D mechanical models. 3D numerical simulations are used to investigate how geometry, rheology and mechanical parameters influence strain partitioning and styles of deformation in the Chilean fore-arc. The general outline of the models is based on the fore-arc geometry and boundary conditions as derived from geophysical and geological field data. I examined the influence of different rheological approaches and varying physical properties of the fore-arc to identify and constrain the parameters controlling the difference in surface deformation between the northern and southern study area. The results of numerical studies demonstrate that a small slab dip, a high coefficient of basal friction, a high obliquity of convergence, and a high Young’s modulus favour localisation of deformation in the fore-arc wedge. This parameter study helped me to constrain preferred models for the two Chilean study areas that fit to first order observations. These preferred models explain the difference in styles of deformation as controlled by the angle of obliquity, the dip of subducting slab, and the strength of wedge material. The difference in styles can be even larger if I apply stronger coupling between plates within the southern area; however, several independent observations indicate opposite tendency showing southward decrease of intensity of coupling. The weaker wedge material of the preferred model for the northern study area is associated with advanced development of the adjacent orogen, the Central Andes. Analysis of world-wide examples of oblique subduction zones supports the conclusion that more mature subduction zones demonstrate less pronounced localization of strike-slip motion.
Exploring elections features from a geographical perspective is the focus of this study. Its primary objective is to develop a scientific approach based on geoinformation technology (GIT) that promotes deeper understanding how geographical settings affect the spatial and temporal variations of voting behaviour and election outcomes. For this purpose, the five parliamentary elections (1991-2005) following the political turnaround in 1990 in the South East European reform country Albania have been selected as a case study. Elections, like other social phenomena that do not develop uniformly over a territory, inherit a spatial dimension. Despite of fact that elections have been researched by various scientific disciplines ranging from political science to geography, studies that incorporate their spatial dimension are still limited in number and approaches. Consequently, the methodologies needed to generate an integrated knowledge on many facets that constitute election features are lacking. This study addresses characteristics and interactions of the essential elements involved in an election process. Thus, the baseline of the approach presented here is the exploration of relations between three entities: electorate (political and sociodemographic features), election process (electoral system and code) and place (environment where voters reside). To express this interaction the concept of electoral pattern is introduced. Electoral patterns are defined by the study as the final view of election results, chiefly in tabular and/or map form, generated by the complex interaction of social, economic, juridical, and spatial features of the electorate, which has occurred at a specific time and in a particular geographical location. GIT methods of geoanalysis and geovisualization are used to investigate the characteristics of electoral patterns in their spatial and temporal distribution. Aggregate-level data modelled in map form were used to analyse and visualize the spatial distribution of election patterns components and relations. The spatial dimension of the study is addressed in the following three main relations: One, the relation between place and electorate and its expression through the social, demographic and economic features of the electorate resulting in the profile of the electorate’s context; second, the electorate-election interaction which forms the baseline to explore the perspective of local contextual effects in voting behaviour and election results; third, the relation between geographical location and election outcomes reflecting the implication of determining constituency boundaries on election results. To address the above relations, three types of variables: geo, independent and dependent, have been elaborated and two models have been created. The Data Model, developed in a GIS environment, facilitates structuring of election data in order to perform spatial analysis. The peculiarity of electoral patterns – a multidimensional array that contains information on three variables, stored in data layers of dissimilar spatial units of reference and scales of value measurement – prohibit spatial analysis based on the original source data. To perform a joint spatial analysis it is therefore mandatory to restructure the spatial units of reference while preserving their semantic content. In this operation, all relevant electoral as well as socio-demographic data referenced to different administrative spatial entities are re-referenced to uniform grid cells as virtual spatial units of reference. Depending on the scale of data acquisition and map presentation, a cell width of 0.5 km has been determined. The resulting fine grid forms the basis of subsequent data analyses and correlations. Conversion of the original vector data layers into target raster layers allows for unification of spatial units, at the same time retaining the existing level of detail of the data (variables, uniform distribution over space). This in turn facilitates the integration of the variables studied and the performance of GIS-based spatial analysis. In addition, conversion to raster format makes it possible to assign new values to the original data, which are based on a common scale eliminating existing differences in scale of measurement. Raster format operations of the type described are well-established data analysis techniques in GIT, yet they have rarely been employed to process and analyse electoral data. The Geovisualization Model, developed in a cartographic environment, complements the Data Model. As an analog graphic model it facilitates efficient communication and exploration of geographical information through cartographic visualization. Based on this model, 52 choropleth maps have been generated. They represent the outcome of the GIS-based electoral data analysis. The analog map form allows for in-depth visual analysis and interpretation of the distribution and correlation of the electoral data studied. For researchers, decision makers and a wider public the maps provide easy-to-access information on and promote easy-to-understand insight into the spatial dimension, regional variation and resulting structures of the electoral patterns defined.
Entwicklung, Implementierung und Erprobung eines planetaren Informationssystems auf Basis von ArcGIS
(2007)
Mit der Entwicklung der modernen Raumfahrt Mitte der 60er-Jahre des zwanzigsten Jahrhunderts und der Eroberung des Weltraums brach eine neue Epoche der bis dato auf Beobachtungen mit dem Teleskop gestützten planetaren Forschung an. Während des Wettrennens um die technologische Führerschaft im All zur Zeit des Kalten Krieges war das erste Ziel die Entsendung von Satelliten zur Erdbeobachtung, denen aber schon bald Sonden zum Mond und den benachbarten Planeten folgten. Diese Missionen lieferten eine enorme Fülle von Informationen in Form von Bildern und Messergebnissen in unterschiedlichen Datenformaten. Diese galt und gilt es zu strukturieren, zu verwalten, zu aktualisieren und zu interpretieren. Für die Interpretation terrestrischer Daten werden geographische Informationssysteme (GIS) hinzugezogen, die jedoch für planetare Anwendungen aufgrund unterschiedlicher Voraussetzungen nicht ohne weiteres eingesetzt werden können. Daher wurde im Rahmen dieser Arbeit die für die Verwaltung von geographischen Daten der Erdfernerkundung kommerziell erhältliche Software ArcGIS Desktop 9.0 / 9.1 (ESRI) mit eigenen Programmen und Modulen für die Planetenforschung angepasst. Diese ermöglichen die Aufbereitung und den Import planetarer Bild- und Textinformation in die kommerzielle Software. Zusätzlich wurde eine planetare Datenbank zur Speicherung und zentralen Verwaltung der Informationen aufgebaut. Die im Rahmen dieser Arbeit entwickelten Softwarekomponenten ermöglichen die schnelle und benutzerfreundliche Aufbereitung der in der Datenbank gehaltenen Informationen und das Auslesen in Dateiformate, die für geographische Informationssysteme geeignet sind. Des Weiteren wurde eine „Werkzeugleiste“ für ArcGIS entwickelt, die das Arbeiten mit planetaren Datensätzen beträchtlich beschleunigt und vereinfacht. Sie beinhaltet auch Module zur wissenschaftlichen Interpretation der planetaren Informationen, wie beispielsweise der Berechnung der Oberflächenrauigkeit der Marsoberfläche inklusive der flächendeckenden Kalibrierung der Eingangs-Basisdaten. Exemplarisch konnte gezeigt werden, dass das Verfahren eine verbesserte Berechnung der Oberflächenrauigkeit ermöglicht, als bisher angewandte Ansätze. Zudem wurde eine auf ArcGIS basierende Prozesskette zur Berechnung von hierarchischen Flussnetzen entwickelt und erprobt. Das terrestrische Beispiel, die Analyse eines Abflusssystems auf Island, zeigte eine sehr große Übereinstimmung der errechneten Gewässernetze mit den morphologischen Gegebenheiten vor Ort. Daraus ließ sich eine hohe Genauigkeit der mit demselben Ansatz errechneten Gewässernetze auf dem Mars ableiten. Auf der Grundlage der in dieser Arbeit entwickelten Programme und Module lassen sich auch Daten zukünftiger Missionen aufbereiten und in ein solches System einbinden, um diese mit eigenen Ansätzen zu verwalten, zu aktualisieren und für neue wissenschaftliche Fragestellungen perfekt anzupassen, einzusetzen und zu präsentieren, um so neue wissenschaftliche Erkenntnisse in der Planetenforschung zu gewinnen.
Ziel dieser Arbeit war es, die Stickstoff- und Phosphorprozesse im nordostdeutschen Tiefland detailliert zu untersuchen und Handlungsoptionen hinsichtlich der Landnutzung zur nachhaltigen Steuerung der Stickstoff- und Phosphoreinträge in die Fließgewässer aufzuzeigen. Als Grundvoraussetzung für die Modellierung des Nährstoffhaushaltes mussten zunächst die hydrologischen Prozesse und die Abflüsse für die Einzugsgebiete validiert werden. Dafür wurde in dieser Arbeit das ökohydrologische Modell SWIM verwendet. Die Abflussmodellierung umfasste den Zeitraum 1991 - 2000. Die Ergebnisse dazu zeigen, dass SWIM in der Lage war, die hydrologischen Prozesse in den Untersuchungsgebieten adäquat wiederzugeben. Auf der Grundlage der Modellierung des Wasserhaushaltes wurden mit SWIM die Stoffumsatzprozesse für den Zeitraum 1996 - 2000 simuliert. Um dabei besonders das Prozessgeschehen im Tiefland zu berücksichtigen, war die Erweiterung von SWIM um einen Ammonium-Pool mit dessen Umsatzprozessen erforderlich. Außerdem wurde der Prozess der Nährstoffversickerung so ergänzt, dass neben Nitrat auch Ammonium und Phosphat durch das gesamte Bodenprofil verlagert und über die Abflusskomponenten zum Gebietsauslass transportiert werden können. Mit diesen Modellerweiterungen konnten die Stickstoff und Phosphorprozesse in den Untersuchungsgebieten gut abgebildet werden. Mit dem so validierten Modell wurden weitere Anwendungen ermöglicht. Nährstoffsimulationen für den Zeitraum 1981 bis 2000 dienten der Untersuchung des abnehmenden Trends in den Nährstoffkonzentrationen der Nuthe. Die Untersuchungsergebnisse lassen deutlich erkennen, dass sich die Konzentrationen nach 1990 hauptsächlich auf Grund der Reduzierung der Einträge aus punktförmigen Quellen und Rieselfeldern verringert haben. Weitere Modellrechnungen zur Herkunft der Nährstoffe haben ergeben, dass Nitrat überwiegend aus diffusen Quellen, Ammonium und Phosphat dagegen aus punktförmigen Quellen stammen. Als besonders sensitiv auf die Modellergebnisse haben sich die Parameter zu Landnutzung und -management und die Durchwurzelungstiefe der Pflanzen herausgestellt. Abschließend wurden verschiedene Landnutzungsszenarien angewendet. Die Ergebnisse zu den Szenariorechnungen zeigen, dass fast alle vorgegebenen Landnutzungsszenarien zu einer Verringerung der Stickstoff- bzw. Phosphoremissionen führten. Die Anwendung von Szenarien, die alle relevanten Zielvorgaben und Empfehlungen zum Ressourcenschutz berücksichtigen, zeigen die größten Veränderungen.
Sicherung und Entwicklung von Böden und ihren Funktionen in Niederungen durch Naturschutzmaßnahmen
(2007)
Mit dem 1999 in Kraft getretenen Bundesbodenschutzgesetz ist eine wichtige Grundlage geschaffen, den Boden u. a. stärker in Planungs- und Zulassungsverfahren zu berücksichtigen. Die Ziele des Gesetzes, die nachhaltige Sicherung und Wiederherstellung von Bodenfunktionen, können wegen fehlender gesetzlicher Instrumente allerdings nicht eigenständig umgesetzt werden. Eine Schnittstelle zur Realisierung bodenbezogener Erhaltungs- und Entwicklungsziele bieten deshalb naturschutzrechtliche Instrumente wie die Landschaftsplanung, die Eingriffsregelung und Pflege- und Entwicklungspläne von Schutzgebieten. Am Beispiel beeinträchtigter Niederungsböden wird in der Arbeit hinterfragt und aufgezeigt, inwieweit auf das Schutzgut Boden bezogene Maßnahmenplanungen wie Wiedervernässung und Extensivierung mit naturschutzrechtlichen Instrumenten effektiv erstellt und umgesetzt werden können. Es liegt die Hypothese zugrunde, dass eine genaue Ist-Zustandserfassung von Niederungsböden auf Grundlage der in der naturschutzfachlichen Planungspraxis gängig herangezogenen Kartengrundlagen nicht möglich ist. Für die Bestimmung der Entwicklungspotenziale von Niederungsböden sowie die Erarbeitung detaillierter Maßnahmenplanungen ist eine gezielte Vor-Ort-Erhebung planungsrelevanter Bodenmerkmale erforderlich, auf die jedoch häufig verzichtet wird. Zudem wird bisher den Wirkungen von Maßnahmen auf das Leistungsvermögen und die Funktionsfähigkeit sowie den erforderlichen Ausgangsvoraussetzungen zu wenig Beachtung geschenkt. Dies erschwert die Umsetzung mit naturschutzrechtlichen Instrumenten. Ziel der Arbeit ist es, verallgemeinerbare Handlungsempfehlungen für die Durchführung von Vor-Ort-Erhebungen und die Ableitung von Aufwertungspotenzialen von Niederungsböden für eine zielgerichtete Maßnahmenkonzeption und sachgerechte Umsetzung zu formulieren. Auf der Basis einer Literaturanalyse und einer Untersuchung der aktuellen Standortausprägung in einem Beispielgebiet, dem Polder "Götz-Gollwitz", der in der entwässerten Niederung der "Mittleren Havel" (Bundesland Brandenburg)liegt, - wird untersucht, wie die Maßnahmen Wiedervernässung und Extensivierung auf die Bodeneigenschaften wirken und welche Veränderungen zum Erhalt und zur Verbesserung der Funktionsfähigkeit der Böden führen. - werden die aktuellen Substrat- und Bodentypen, die hydromorphen Verhältnisse sowie die Vegetationsausprägung gekennzeichnet. Es erfolgt ein Vergleich der Ergebnisse mit der Aussagekraft von standortkundlichen Kartenwerken. - werden Entwicklungsszenarien skizziert. Es wird aufgezeigt, welche Ausgangsvoraussetzungen und durchzuführenden Maßnahmen für die Erreichung bodenbezogener Ziele im Polder "Götz-Gollwitz" erforderlich und welche Wirkungen dabei auf den Boden, die derzeitige Flächennutzung sowie auf die Biotop- und Artenausstattung zu erwarten sind. Auf Basis der prognostizierten Standortveränderungen erfolgt die Diskussion, inwieweit es in Abhängigkeit der Szenarien bzw. der dabei getätigten Maßnahmen im Einzelnen zum Erhalt bzw. zur Verbesserung der Funktionsfähigkeit von Böden kommt. Für die Formulierung von Handlungsempfehlungen - wird anhand dreier häufig auftretender Ausgangszustände eine vom Beispielgebiet losgelöste Diskussion zum Erhalt und zu Verbesserungsmöglichkeiten der Leistungs- und Funktionsfähigkeit von Böden geführt. Dabei erfolgt die Unterscheidung, ob konkrete Maßnahmen als Ausgleichs- und Ersatzmaßnahmen aus der naturschutzrechtlichen Eingriffsregelung oder durch Pflege- und Entwicklungspläne als sonstige Minderungs-, Erhaltungs- oder Entwicklungsmaßnahmen umgesetzt werden können. - werden die Aktualität sowie Flächen- und Aussagenschärfe von Kartengrundlagen bewertet und ein Teil der Bodenparameter bestimmt, die unbedingt im Gelände zu erheben sind, um Ziele und Maßnahmen gezielter abzuleiten. - wird aus den Untersuchungen abgeleitet, mit welchem Aufwand und Methoden eine Überprüfung der aktuellen Standortausprägung zu erfolgen hat. Die Herleitung eines vertretbaren Erhebungsaufwandes (Punktdichte und -anordnung) wird durch verschiedene Rechenbeispiele unterstützt, die auf Basis der Honorarordnung für Architekten und Ingenieure (HOAI) und der im Beispielgebiet aufgebrachten Arbeitszeit kalkuliert werden. Die Vorgehensweise für die Prüfung und Erhebung des aktuellen Bodenzustandes sowie Ableitung der Aufwertungspotenziale von Bodenfunktionen wird in einem Ablaufschema dargestellt. Schlussfolgerungen beziehen sich auf Erreichung bodenbezogener Zielvorstellung in Abhängigkeit von den Anforderungen naturschutzrechtlicher Planungsinstrumente. Es wird die Bedeutung von Vor-Ort-Erhebungen als wertvollen Planungsbeitrag herausgestellt und die Notwendigkeit und Möglichkeiten aufgezeigt, für die Ebene der Maßnahmenplanung finanzielle Mittel zur Begleichung der Kosten von Vor-Ort-Erhebungen aufzubringen. Die vorliegende Arbeit leistet einen substanziellen Beitrag dazu, bodenbezogene Maßnahmenplanungen in Niederungsgebieten künftig realistischer und sachgerecht mit Instrumenten des Naturschutzes durchführen zu können.
A water quality model for shallow river-lake systems and its application in river basin management
(2007)
This work documents the development and application of a new model for simulating mass transport and turnover in rivers and shallow lakes. The simulation tool called 'TRAM' is intended to complement mesoscale eco-hydrological catchment models in studies on river basin management. TRAM aims at describing the water quality of individual water bodies, using problem- and scale-adequate approaches for representing their hydrological and ecological characteristics. The need for such flexible water quality analysis and prediction tools is expected to further increase during the implementation of the European Water Framework Directive (WFD) as well as in the context of climate change research. The developed simulation tool consists of a transport and a reaction module with the latter being highly flexible with respect to the description of turnover processes in the aquatic environment. Therefore, simulation approaches of different complexity can easily be tested and model formulations can be chosen in consideration of the problem at hand, knowledge of process functioning, and data availability. Consequently, TRAM is suitable for both heavily simplified engineering applications as well as scientific ecosystem studies involving a large number of state variables, interactions, and boundary conditions. TRAM can easily be linked to catchment models off-line and it requires the use of external hydrodynamic simulation software. Parametrization of the model and visualization of simulation results are facilitated by the use of geographical information systems as well as specific pre- and post-processors. TRAM has been developed within the research project 'Management Options for the Havel River Basin' funded by the German Ministry of Education and Research. The project focused on the analysis of different options for reducing the nutrient load of surface waters. It was intended to support the implementation of the WFD in the lowland catchment of the Havel River located in North-East Germany. Within the above-mentioned study TRAM was applied with two goals in mind. In a first step, the model was used for identifying the magnitude as well as spatial and temporal patterns of nitrogen retention and sediment phosphorus release in a 100~km stretch of the highly eutrophic Lower Havel River. From the system analysis, strongly simplified conceptual approaches for modeling N-retention and P-remobilization in the studied river-lake system were obtained. In a second step, the impact of reduced external nutrient loading on the nitrogen and phosphorus concentrations of the Havel River was simulated (scenario analysis) taking into account internal retention/release. The boundary conditions for the scenario analysis such as runoff and nutrient emissions from river basins were computed by project partners using the catchment models SWIM and ArcEGMO-Urban. Based on the output of TRAM, the considered options of emission control could finally be evaluated using a site-specific assessment scale which is compatible with the requirements of the WFD. Uncertainties in the model predictions were also examined. According to simulation results, the target of the WFD -- with respect to total phosphorus concentrations in the Lower Havel River -- could be achieved in the medium-term, if the full potential for reducing point and non-point emissions was tapped. Furthermore, model results suggest that internal phosphorus loading will ease off noticeably until 2015 due to a declining pool of sedimentary mobile phosphate. Mass balance calculations revealed that the lakes of the Lower Havel River are an important nitrogen sink. This natural retention effect contributes significantly to the efforts aimed at reducing the river's nitrogen load. If a sustainable improvement of the river system's water quality is to be achieved, enhanced measures to further reduce the immissions of both phosphorus and nitrogen are required.
There is already strong evidence that temperate lakes have been highly vulnerable to human induced climate warming during the last century. Hitherto climate impact studies have mainly focussed on the impacts of the recent long-term warming in winter and spring and little is known on the influence of climate warming on temperate lakes in summer. In the present thesis, I studied some aspects, which may have been strongly involved in determining the response of a lake to climate warming in summer. Thereby I have focussed on climate induced impacts on the thermal characteristics and the phenology and abundance of summer plankton in a shallow polymictic lake (Müggelsee, Germany). First, the influence of climate warming on the phenology and abundance of the lake plankton was investigated across seasons. Fast-growing spring phytoplankton and zooplankton (Daphnia) advanced largely synchronously, whereas long-term changes in the phenology of slow-growing summer zooplankton were clearly species-specific and not synchronised. The phenology and/or abundance of several summer copepod species changed according to their individual thermal requirements at decisive developmental stages such as emergence from diapause in spring. The study emphasises that not only the degree of warming, but also its timing within the annual cycle is of great ecological importance. To analyse the impact of climate change on the thermal characteristics of the lake, I examined the long-term development of the daily epilimnetic temperature extrema during summer. The study demonstrated for the first time for lakes that the daily epilimnetic minima (during nighttime) have increased more rapidly than the daily epilimnetic maxima (during daytime), resulting in a distinct decrease in the daily epilimnetic temperature range. This day-night asymmetry in epilimnetic temperature was likely caused by an increased nighttime emission of long-wave radiation from the atmosphere. This underlines that not only increases in air temperature, but also changes in other meteorological variables such as wind speed, relative humidity and cloud cover may play an important role in determining the lake temperature with respect to further climate change. Furthermore, a short-term analysis on the mixing regime of the polymictic lake was conducted to examine the frequency and duration of stratification events and their impacts on dissolved oxygen, dissolved nutrients and summer phytoplankton. Even during the longest stratification events (heatwaves in 2003 and 2006) the thermal characteristics of the lake differed from those typically found in shallow dimictic lakes, which exhibit a continuous stratification during summer. Particularly, hypolimnetic temperatures were higher, favouring the depletion of oxygen and the accumulation of dissolved nutrient in the hypolimnion. Thermal stratification will be very likely amplified in the future, thus, I conclude that polymictic lakes will be very vulnerable to alterations in the thermal regime with respect to projections of further climate change during summer. Finally, a long-term case study on the long and short-term changes in the development of the planktonic larvae of the freshwater mussel Dreissena polymorpha was performed to analyse the impacts of simultaneous changes in the thermal and in the trophic regime of the lake. Both the climate warming and the decrease in external nutrient load were important in determining the abundance of the pelagic larvae by affecting different features of the life-history of this species throughout the warm season. The long-term increase in the abundance and length of larvae was related to the decrease in external nutrient loading and the change in phytoplankton composition. However, the recent heatwaves in 2003 and 2006 have offset this positive effect on larval abundance, due to unfavourable low oxygen concentrations that had resulted from extremely long stratification events, mimicking the effects of nutrient enrichment. Climate warming may thus induce counteracting effects in productive shallow lakes that underwent lake restoration through a decrease in external nutrient loading. I conclude that not only the nature of climate change and thus the timing of climate warming throughout the seasons and the occurrence of climatic extremes as heatwaves, but also site-specific lake conditions as the thermal mixing regime and the trophic state are crucial factors governing the impacts of climate warming on internal lake processes during summer. Consequently, further climate impact research on lake functioning should focus on how the different lake types respond to the complex environmental forcing in summer, to allow for a comprehensive understanding of human induced environmental changes in lakes.
Mafic magmatism in the Eastern Cordillera and Putumayo Basin, Colombia : causes and consequences
(2007)
The Eastern Cordillera of Colombia is mainly composed of sedimentary rocks deposited since early Mesozoic times. Magmatic rocks are scarce. They are represented only by a few locally restricted occurrences of dykes and sills of mafic composition presumably emplaced in the Cretaceous and of volcanic rocks of Neogene age. This work is focused on the study of the Cretaceous magmatism with the intention to understand the processes causing the genesis of these rocks and their significance in the regional tectonic setting of the Northern Andes. The magmatic rocks cut the Cretaceous sedimentary succession of black shales and marlstones that crop out in both flanks of the Eastern Cordillera. The studied rocks were classified as gabbros (Cáceres, Pacho, Rodrigoque), tonalites (Cáceres, La Corona), diorites and syenodiorites (La Corona), pyroxene-hornblende gabbros (Pacho), and pyroxene-hornblendites (Pajarito). The gabbroic samples are mainly composed of plagioclase, clinopyroxene, and/or green to brown hornblende, whereas the tonalitic rocks are mainly composed of plagioclase and quartz. The samples are highly variable in crystal sizes from fine- to coarse-grained. Accessory minerals such as biotite, titanite and zircon are present. Some samples are characterized by moderate to strong alteration, and show the presence of epidote, actinolite and chlorite. Major and trace element compositions of the rocks as well as the rock-forming minerals show significant differences in the geochemical and petrological characteristics for the different localities, suggesting that this magmatism does not result from a single melting process. The wide compositional spectrum of trace elements in the intrusions is characteristic for different degrees of mantle melting and enrichment of incompatible elements. MORB- and OIB-like compositions suggest at least two different sources of magma with tholeiitic and alkaline affinity, respectively. Evidence of slab-derived fluids can be recognized in the western part of the basin reflected in higher Ba/Nb and Sr/P ratios and also in the Sr radiogenic isotope ratios, which is possible a consequence of metasomatism in the mantle due to processes related to the presence of a previously subducted slab. The trace element patterns evidence an extensional setting in the Cretaceous basin producing a continental rift, with continental crust being stretched until oceanic crust was generated in the last stages of this extension. Electron microprobe analyses (EMPA) of the major elements and synchrotron radiation micro-X-ray fluorescence (μ-SRXRF) analyses of the trace element composition of the early crystallized minerals of the intrusions (clinopyroxenes and amphiboles) reflect the same dual character that has been found in the bulk-rock analyses. Despite the observed alteration of the rocks, the mineral composition shows evidences for an enriched and a relative depleted magma source. Even the normalization of the trace element concentrations of clinopyroxenes and amphiboles to the whole rock nearly follows the pattern predicted by published partition coefficients, suggesting that the alteration did not change the original trace element compositions of the investigated minerals. Sr-Nd-Pb isotope data reveal a large isotopic variation but still suggest an initial origin of the magmas in the mantle. Samples have moderate to highly radiogenic compositions of 143Nd/144Nd and high 87Sr/86Sr ratios and follow a trend towards enriched mantle compositions, like the local South American Paleozoic crust. The melts experienced variable degrees of contamination by sediments, crust, and seawater. The age corrected Pb isotope ratios show two separated groups of samples. This suggests that the chemical composition of the mantle below the Northern Andes has been modified by the interaction with other components resulting in a heterogeneous combination of materials of diverse origins. Although previous K/Ar age dating have shown that the magmatism took place in the Cretaceous, the high error of the analyses and the altered nature of the investigated minerals did preclude reliable interpretations. In the present work 40Ar/39Ar dating was carried out. The results show a prolonged history of magmatism during the Cretaceous over more than 60 Ma, from ~136 to ~74 Ma (Hauterivian to Campanian). Pre-Cretaceous rifting phases occurred in the Triassic-Jurassic for the western part of the basin and in the Paleozoic for the eastern part. Those previous rifting phases are decisive mechanisms controlling the localization and composition of the Cretaceous magmatism. Therefore, it is the structural position and not the age of the intrusions which preconditions the kind of magmatism and the degree of melting. The divergences on ages are the consequence of the segmentation of the basin in several sub-basins which stretching, thermal evolution and subsidence rate evolved independently. The first hypothesis formulated at the beginning of this investigation was that the Cretaceous gabbroic intrusions identified in northern Ecuador could be correlated with the intrusions described in the Eastern Cordillera. The mafic occurrences should mark the location of the most subsiding places of the large Cretaceous basin in northern South America. For this reason, the gabbroic intrusions cutting the Cretaceous succession in the Putumayo Basin, southern Colombia, were investigated. The results of the studies were quite unexpected. The petrologic and geochemical character of the magmatic rocks indicates subduction-related magmatism. K/Ar dating of amphibole yields a Late Miocene to Pliocene age (6.1 ± 0.7 Ma) for the igneous event in the basin. Although there is no correlation between this magmatic event and the Cretaceous magmatic event, the data obtained has significant tectonic and economic implications. The emplacement of the Neogene gabbroic rocks coincides with the late Miocene/Pliocene Andean orogenic uplift as well as with a significant pulse of hydrocarbon generation and expulsion.
The terrestrial biosphere impacts considerably on the global carbon cycle. In particular, ecosystems contribute to set off anthropogenic induced fossil fuel emissions and hence decelerate the rise of the atmospheric CO₂ concentration. However, the future net sink strength of an ecosystem will heavily depend on the response of the individual processes to a changing climate. Understanding the makeup of these processes and their interaction with the environment is, therefore, of major importance to develop long-term climate mitigation strategies. Mathematical models are used to predict the fate of carbon in the soil-plant-atmosphere system under changing environmental conditions. However, the underlying processes giving rise to the net carbon balance of an ecosystem are complex and not entirely understood at the canopy level. Therefore, carbon exchange models are characterised by considerable uncertainty rendering the model-based prediction into the future prone to error. Observations of the carbon exchange at the canopy scale can help learning about the dominant processes and hence contribute to reduce the uncertainty associated with model-based predictions. For this reason, a global network of measurement sites has been established that provides long-term observations of the CO₂ exchange between a canopy and the atmosphere along with micrometeorological conditions. These time series, however, suffer from observation uncertainty that, if not characterised, limits their use in ecosystem studies. The general objective of this work is to develop a modelling methodology that synthesises physical process understanding with the information content in canopy scale data as an attempt to overcome the limitations in both carbon exchange models and observations. Similar hybrid modelling approaches have been successfully applied for signal extraction out of noisy time series in environmental engineering. Here, simple process descriptions are used to identify relationships between the carbon exchange and environmental drivers from noisy data. The functional form of these relationships are not prescribed a priori but rather determined directly from the data, ensuring the model complexity to be commensurate with the observations. Therefore, this data-led analysis results in the identification of the processes dominating carbon exchange at the ecosystem scale as reflected in the data. The description of these processes may then lead to robust carbon exchange models that contribute to a faithful prediction of the ecosystem carbon balance. This work presents a number of studies that make use of the developed data-led modelling approach for the analysis and interpretation of net canopy CO₂ flux observations. Given the limited knowledge about the underlying real system, the evaluation of the derived models with synthetic canopy exchange data is introduced as a standard procedure prior to any real data employment. The derived data-led models prove successful in several different applications. First, the data-based nature of the presented methods makes them particularly useful for replacing missing data in the observed time series. The resulting interpolated CO₂ flux observation series can then be analysed with dynamic modelling techniques, or integrated to coarser temporal resolution series for further use e.g., in model evaluation exercises. However, the noise component in these observations interferes with deterministic flux integration in particular when long time periods are considered. Therefore, a method to characterise the uncertainties in the flux observations that uses a semi-parametric stochastic model is introduced in a second study. As a result, an (uncertain) estimate of the annual net carbon exchange of the observed ecosystem can be inferred directly from a statistically consistent integration of the noisy data. For the forest measurement sites analysed, the relative uncertainty for the annual sum did not exceed 11 percent highlighting the value of the data. Based on the same models, a disaggregation of the net CO₂ flux into carbon assimilation and respiration is presented in a third study that allows for the estimation of annual ecosystem carbon uptake and release. These two components can then be further analysed for their separate response to environmental conditions. Finally, a fourth study demonstrates how the results from data-led analyses can be turned into a simple parametric model that is able to predict the carbon exchange of forest ecosystems. Given the global network of measurements available the derived model can now be tested for generality and transferability to other biomes. In summary, this work particularly highlights the potential of the presented data-led methodologies to identify and describe dominant carbon exchange processes at the canopy level contributing to a better understanding of ecosystem functioning.
The Andean orogen is the most outstanding example of mountain building caused by the subduction of oceanic below continental lithosphere. The Andes formed by the subduction of the Nazca and Antarctic oceanic plates under the South American continent over at least ~200 million years. Tectonic and climatic conditions vary markedly along this north-south–oriented plate boundary, which thus represents an ideal natural laboratory to study tectonic and climatic segmentation processes and their possible feedbacks. Most of the seismic energy on Earth is released by earthquakes in subduction zones, like the giant 1960, Mw 9.5 event in south-central Chile. However, the segmentation mechanisms of surface deformation during and between these giant events have remained poorly understood. The Andean margin is a key area to study seismotectonic processes because of its along-strike variability under similar plate kinematic boundary conditions. Active deformation has been widely studied in the central part of the Andes, but the south-central sector of the orogen has gathered less research efforts. This study focuses on tectonics at the Neogene and late Quaternary time scales in the Main Cordillera and coastal forearc of the south-central Andes. For both domains I document the existence of previously unrecognized active faults and present estimates of deformation rates and fault kinematics. Furthermore these data are correlated to address fundamental mountain building processes like strain partitioning and large-scale segmentation. In the Main Cordillera domain and at the Neogene timescale, I integrate structural and stratigraphic field observations with published isotopic ages to propose four main phases of coupled styles of tectonics and distribution of volcanism and magmatism. These phases can be related to the geometry and kinematics of plate convergence. At the late Pleistocene timescale, I integrate field observations with lake seismic and bathymetric profiles from the Lago Laja region, located near the Andean drainage divide. These data reveal Holocene extensional faults, which define the Lago Laja fault system. This fault system has no significant strike-slip component, contrasting with the Liquiñe-Ofqui dextral intra-arc system to the south, where Holocene strike-slip markers are ubiquitous. This contrast in structural style along the arc is coincident with a marked change in along-strike fault geometries in the forearc, across the Arauco Peninsula. Thereon I propose that a net gradient in the degree of partitioning of oblique subduction occurs across the Arauco transition zone. To the north, the margin parallel component of oblique convergence is distributed in a wide zone of diffuse deformation, while to the south it is partitioned along an intra-arc, margin-parallel strike-slip fault zone. In the coastal forearc domain and at the Neogene timescale, I integrate structural and stratigraphic data from field observations, industry reflection-seismic profiles and boreholes to emphasize the influence of climate-driven filling of the trench on the mechanics and kinematics of the margin. I show that forearc basins in the 34-45°S segment record Eocene to early Pliocene extension and subsidence followed by ongoing uplift and contraction since the late Pliocene. I interpret the first stage as caused by tectonic erosion due to high plate convergence rates and reduced trench fill. The subsequent stage, in turn, is related to accretion caused by low convergence rates and the rapid increase in trench fill after the onset of Patagonian glaciations and climate-driven exhumation at ~6-5 Ma. On the late Quaternary timescale, I integrate off-shore seismic profiles with the distribution of deformed marine terraces from Isla Santa María, dated by the radiocarbon method, to show that inverted reverse faulting controls the coastal geomorphology and segmentation of surface deformation. There, a cluster of microearthquakes illuminates one of these reverse faults, which presumingly reaches the plate interface. Furthermore, I use accounts of coseismic uplift during the 1835 M>8 earthquake made by Charles Darwin, to propose that this active reverse fault has been mechanically coupled to the megathrust. This has important implications on the assessment of seismic hazards in this, and other similar regions. These results underscore the need to study plate-boundary deformation processes at various temporal and spatial scales and to integrate geomorphologic, structural, stratigraphic, and geophysical data sets in order to understand the present distribution and causes of tectonic segmentation.
Soils contain a large amount of carbon (C) that is a critical regulator of the global C budget. Already small changes in the processes governing soil C cycling have the potential to release considerable amounts of CO2, a greenhouse gas (GHG), adding additional radiative forcing to the atmosphere and hence to changing climate. Increased temperatures will probably create a feedback, causing soils to release more GHGs. Furthermore changes in soil C balance impact soil fertility and soil quality, potentially degrading soils and reducing soils function as important resource. Consequently the assessment of soil C dynamics under present, recent past and future environmental conditions is not only of scientific interest and requires an integrated consideration of main factors and processes governing soil C dynamics. To perform this assessment an eco-hydrological modelling tool was used and extended by a process-based description of coupled soil carbon and nitrogen turnover. The extended model aims at delivering sound information on soil C storage changes beside changes in water quality, quantity and vegetation growth under global change impacts in meso- to macro-scale river basins, exemplary demonstrated for a Central European river basin (the Elbe). As a result this study: ▪ Provides information on joint effects of land-use (land cover and land management) and climate changes on croplands soil C balance in the Elbe river basin (Central Europe) presently and in the future. ▪ Evaluates which processes, and at what level of process detail, have to be considered to perform an integrated simulation of soil C dynamics at the meso- to macro-scale and demonstrates the model’s capability to simulate these processes compared to observations. ▪ Proposes a process description relating soil C pools and turnover properties to readily measurable quantities. This reduces the number of model parameters, enhances the comparability of model results to observations, and delivers same performance simulating long-term soil C dynamics as other models. ▪ Presents an extensive assessment of the parameter and input data uncertainty and their importance both temporally and spatially on modelling soil C dynamics. For the basin scale assessments it is estimated that croplands in the Elbe basin currently act as a net source of carbon (net annual C flux of 11 g C m-2 yr-1, 1.57 106 tons CO2 yr-1 entire croplands on average). Although this highly depends on the amount of harvest by-products remaining on the field. Future anticipated climate change and observed climate change in the basin already accelerates soil C loss and increases source strengths (additional 3.2 g C m-2 yr-1, 0.48 106 tons CO2 yr-1 entire croplands). But anticipated changes of agro-economic conditions, translating to altered crop share distributions, display stronger effects on soil C storage than climate change. Depending on future use of land expected to fall out of agricultural use in the future (~ 30 % of croplands area as “surplus” land), the basin either considerably looses soil C and the net annual C flux to the atmosphere increases (surplus used as black fallow) or the basin converts to a net sink of C (sequestering 0.44 106 tons CO2 yr-1 under extensified use as ley-arable) or reacts with decrease in source strength when using bioenergy crops. Bioenergy crops additionally offer a considerable potential for fossil fuel substitution (~37 PJ, 1015 J per year), whereas the basin wide use of harvest by-products for energy generation has to be seen critically although offering an annual energy potential of approximately 125 PJ. Harvest by-products play a central role in soil C reproduction and a percentage between 50 and 80 % should remain on the fields in order to maintain soil quality and fertility. The established modelling tool allows quantifying climate, land use and major land management impacts on soil C balance. New is that the SOM turnover description is embedded in an eco-hydrological river basin model, allowing an integrated consideration of water quantity, water quality, vegetation growth, agricultural productivity and soil carbon changes under different environmental conditions. The methodology and assessment presented here demonstrates the potential for integrated assessment of soil C dynamics alongside with other ecosystem services under global change impacts and provides information on the potentials of soils for climate change mitigation (soil C sequestration) and on their soil fertility status.
Earthquakes form by sudden brittle failure of rock mostly as shear ruptures along a rupture plane. Beside this, mechanisms other than pure shearing have been observed for some earthquakes mainly in volcanic areas. Possible explanations include complex rupture geometries and tensile earthquakes. Tensile earthquakes occur by opening or closure of cracks during rupturing. They are likely to be often connected with fluids that cause pressure changes in the pore space of rocks leading to earthquake triggering. Tensile components have been reported for swarm earthquakes in West Bohemia in 2000. The aim and subject of this work is an assessment and the accurate determination of such tensile components for earthquakes in anisotropic media. Currently used standard techniques for the retrieval of earthquake source mechanisms assume isotropic rock properties. By means of moment tensors, equivalent forces acting at the source are used to explain the radiated wavefield. Conversely, seismic anisotropy, i.e. directional dependence of elastic properties, has been observed in the earth's crust and mantle such as in West Bohemia. In comparison to isotropy, anisotropy causes modifications in wave amplitudes and shear-wave splitting. In this work, effects of seismic anisotropy on true or apparent tensile source components of earthquakes are investigated. In addition, earthquake source parameters are determined considering anisotropy. It is shown that moment tensors and radiation patterns due to shear sources in anisotropic media may be similar to those of tensile sources in isotropic media. In contrast, similarities between tensile earthquakes in anisotropic rocks and shear sources in isotropic media may exist. As a consequence, the interpretation of tensile source components is ambiguous. The effects that are due to anisotropy depend on the orientation of the earthquake source and the degree of anisotropy. The moment of an earthquake is also influenced by anisotropy. The orientation of fault planes can be reliably determined even if isotropy instead of anisotropy is assumed and if the spectra of the compressional waves are used. Greater difficulties may arise when the spectra of split shear waves are additionally included. Retrieved moment tensors show systematic artefacts. Observed tensile source components determined for events in West Bohemia in 1997 can only partly be attributed to the effects of moderate anisotropy. Furthermore, moment tensors determined earlier for earthquakes induced at the German Continental Deep Drilling Program (KTB), Bavaria, were reinterpreted under assumptions of anisotropic rock properties near the borehole. The events can be consistently identified as shear sources, although their moment tensors comprise tensile components that are considered to be apparent. These results emphasise the necessity to consider anisotropy to uniquely determine tensile source parameters. Therefore, a new inversion algorithm has been developed, tested, and successfully applied to 112 earthquakes that occurred during the most recent intense swarm episode in West Bohemia in 2000 at the German-Czech border. Their source mechanisms have been retrieved using isotropic and anisotropic velocity models. Determined local magnitudes are in the range between 1.6 and 3.2. Fault-plane solutions are similar to each other and characterised by left-lateral faulting on steeply dipping, roughly North-South oriented rupture planes. Their dip angles decrease above a depth of about 8.4km. Tensile source components indicating positive volume changes are found for more than 60% of the considered earthquakes. Their size depends on source time and location. They are significant at the beginning of the swarm and at depths below 8.4km but they decrease in importance later in the course of the swarm. Determined principle stress axes include P axes striking Northeast and Taxes striking Southeast. They resemble those found earlier in Central Europe. However, depth-dependence in plunge is observed. Plunge angles of the P axes decrease gradually from 50° towards shallow angles with increasing depth. In contrast, the plunge angles of the T axes change rapidly from about 8° above a depth of 8.4km to 21° below this depth. By this thesis, spatial and temporal variations in tensile source components and stress conditions have been reported for the first time for swarm earthquakes in West Bohemia in 2000. They also persist, when anisotropy is assumed and can be explained by intrusion of fluids into the opened cracks during tensile faulting.
Lakustrine Sedimente als Archive des spätquartären Umweltwandels in der Amery-Oase, Ostantarktis
(2006)
Im Rahmen einer deutsch-australischen Forschungskooperation erfolgte im Südsommer 2001/2002 eine Expedition in die Amery-Oase (70°50’S, 68°00’E), die im Einzugsgebiet des Lambert-Gletscher/Amery-Schelfeis-Systems, dem größten ostantarktischen Eis-Drainagesystem, liegt. Von deutscher Seite wurden im Zuge der Geländekampagne erstmals lakustrine Sedimentsequenzen gewonnen, um die bislang wenig erforschte spätquartäre Klima- und Umweltgeschichte dieser rund 1800 km<sup>2 großen eisfreien Region zu rekonstruieren. Die drei untersuchten Glazialseen Beaver, Radok und Terrasovoje unterscheiden sich sowohl deutlich in ihrer Größe, Bathymetrie und den hydrologischen Merkmalen sowie in ihren Sedimentabfolgen. Einen Schwerpunkte dieser Doktorarbeit bildet die Rekonstruktion der Sedimentationsprozesse und des Ablagerungsmilieus sowie Untersuchungen zur Herkunft des detritischen Sedimentmaterials in den Seebecken. Der methodische Ansatz verfolgt die Charakterisierung der klastischen Sedimentfazies an Hand lithologisch-granulometrischer Merkmale sowie mineralogisch-geochemischer Analysen der Sedimentherkunft. Ein weiterer Schwerpunkt ist die Rekonstruktion der holozänen biogen gesteuerten Ablagerungsbedingungen im Terrasovoje-See, die Rückschlüsse auf den kurzfristigen postglazialen Klima- und Umweltwandel in der Amery-Oase gestattet. Dabei wurden mikrofazielle Untersuchungsmethoden und hochauflösende Elementscannermessungen angewandt. Die klastische Sedimentherkunft in den drei Seen unterscheidet sich räumlich deutlich voneinander und spiegelt den komplexen geologischen Aufbau der Amery-Oase wider. Als Sedimentquellen konnten präkambrische Metamorphite, permotriassische Sedimentgesteine und tertiäre Lockersedimente identifiziert werden. Die Varibilität der Herkunftssignale ist zeitlich weniger deutlich als räumlich ausgeprägt und deutet auf relativ konstante Liefergebiete in den einzelnen Seen hin. Das glaziolakustrine Ablagerungsmilieu der drei untersuchten Seen zeigt klare räumliche und zeitliche Unterschiede. In allen drei Seen setzen sich die älteren Sedimente aus grobkörnigem, häufig diamiktischem Material zusammen, während die jüngeren Sedimente aus feinkörnigen Laminiten bestehen. Die lithofazielle Zweiteilung in den Sedimentabfolgen deutet auf einen Rückzug der Gletscher und/oder einen Anstieg der Wassertiefen im Übergang von den grobkörnigen zu den feinkörnigen Ablagerungseinheiten hin. Die oberen feinkörnigen Kernabschnitte spiegeln in allen drei Seen die postglaziale lakustrine Sedimentation wider. Im Beaver-See wird die postglaziale Fazies durch laminierte klastische Stillwassersedimente repräsentiert, im Radok-See durch Turbiditsequenzen und im Terrasovoje-See durch Algenlaminite. Abgesehen vom Terrasovoje-See ist die zeitliche Einordnung der Fazieswechsel auf Grund mangelnder Altersinformationen schwer erfassbar. Im Terrasovoje-See setzte die postglaziale Sedimentation um rund 12,4 cal. ka ein. Somit weisen die darunterliegenden glazigenen Klastika mindestens ein spätpleistozänes Alter auf. Die sedimentologischen Eigenschaften, Änderungen der Sedimentationsraten und organogene Zusammensetzung der postglazialen Biogenlaminite des Terrasovoje-Sees deuten auf Variationen der paläolimnologischen Bedingungen hinsichtlich Eisbedeckung, biologischer Produktivität, Wasserstand, Redoxbedingungen und Salinität hin, die mit regionalen holozänen Klimaänderungen in Verbindung gebracht werden können. Weitere Anhaltspunkte ergeben sich aus der Zusammensetzung und den Mächtigkeitsvariationen der Laminae, die generell aus Wechsellagerungen von Cyanobakterienmatten mit feinklastischen Lagen bestehen. Lagenzählungen der Laminae belegen Änderungen des Ablagerungsmilieus auf subdekadischen Zeitskalen, wobei zeitweilige jährliche Signale nicht ausgeschlossen werden können. Unter Berücksichtigung aller faziellen Indikatoren lässt sich aus der Sedimentabfolge des Terrasovoje-Sees ein frühholozänes Klimaoptimum zwischen 9 und 7 cal. ka sowie weitere Wärmephasen zwischen 3,2 und 2,3 cal. ka sowie 1,5 und 1,0 cal. ka ableiten. Im Vergleich mit Eiskernarchiven und anderen Seesedimentabfolgen aus ostantarktischen Oasen zeigt sich, dass das Auftreten postglazialer Warmphasen nicht allenorts einem allgemein gültigen räumlich-zeitlichen Muster folgt. Die Ursachen hierfür liegen vermutlich in den lokalen geographischen Gegebenheiten. Es lässt sich daraus schliessen, dass die bisher vorliegenden Klimarekonstruktionen eher das Lokalklima an einem Untersuchungsstandort als das Großklima der Ostantarktis reflektieren. Daraus ergibt sich die Notwendigkeit weiterer Untersuchungen von antarktischen Klimaarchiven und Untersuchungsstandorten, um örtliche von überregionalen Klimasignalen besser unterscheiden zu können.
The intracontinental endorheic Aral Sea, remote from oceanic influences, represents an excellent sedimentary archive in Central Asia that can be used for high-resolution palaeoclimate studies. We performed palynological, microfacies and geochemical analyses on sediment cores retrieved from Chernyshov Bay, in the NW part of the modern Large Aral Sea. The most complete sedimentary sequence, whose total length is 11 m, covers approximately the past 2000 years of the late Holocene. High-resolution palynological analyses, conducted on both dinoflagellate cysts assemblages and pollen grains, evidenced prominent environmental change in the Aral Sea and in the catchment area. The diversity and the distribution of dinoflagellate cysts within the assemblages characterized the sequence of salinity and lake-level changes during the past 2000 years. Due to the strong dependence of the Aral Sea hydrology to inputs from its tributaries, the lake levels are ultimately linked to fluctuations in meltwater discharges during spring. As the amplitude of glacial meltwater inputs is largely controlled by temperature variations in the Tien Shan and Pamir Mountains during the melting season, salinity and lake-level changes of the Aral Sea reflect temperature fluctuations in the high catchment area during the past 2000 years. Dinoflagellate cyst assemblages document lake lowstands and hypersaline conditions during ca. 0–425 AD, 920–1230 AD, 1500 AD, 1600–1650 AD, 1800 AD and since the 1960s, whereas oligosaline conditions and higher lake levels prevailed during the intervening periods. Besides, reworked dinoflagellate cysts from Palaeogene and Neogene deposits happened to be a valuable proxy for extreme sheet-wash events, when precipitation is enhanced over the Aral Sea Basin as during 1230–1450 AD. We propose that the recorded environmental changes are related primarily to climate, but may have been possibly amplified during extreme conditions by human-controlled irrigation activities or military conflicts. Additionally, salinity levels and variations in solar activity show striking similarities over the past millennium, as during 1000–1300 AD, 1450–1550 and 1600–1700 AD when low lake levels match well with an increase in solar activity thus suggesting that an increase in the net radiative forcing reinforced past Aral Sea’s regressions. On the other hand, we used pollen analyses to quantify changes in moisture conditions in the Aral Sea Basin. High-resolution reconstruction of precipitation (mean annual) and temperature (mean annual, coldest versus warmest month) parameters are performed using the “probability mutual climatic spheres” method, providing the sequence of climate change for the past 2000 years in western Central Asia. Cold and arid conditions prevailed during ca. 0–400 AD, 900–1150 AD and 1500–1650 AD with the extension of xeric vegetation dominated by steppe elements. Conversely, warmer and less arid conditions occurred during ca. 400–900 AD and 1150–1450 AD, where steppe vegetation was enriched in plants requiring moister conditions. Change in the precipitation pattern over the Aral Sea Basin is shown to be predominantly controlled by the Eastern Mediterranean (EM) cyclonic system, which provides humidity to the Middle East and western Central Asia during winter and early spring. As the EM is significantly regulated by pressure modulations of the North Atlantic Oscillation (NAO) when the system is in a negative phase, a relationship between humidity over western Central Asia and the NAO is proposed. Besides, laminated sediments record shifts in sedimentary processes during the late Holocene that reflect pronounced changes in taphonomic dynamics. In Central Asia, the frequency of dust storms occurring during spring when the continent is heating up is mostly controlled by the intensity and the position of the Siberian High (SH) Pressure System. Using titanium (Ti) content in laminated sediments as a proxy for aeolian detrital inputs, changes in wind dynamics over Central Asia is documented for the past 1500 years, offering the longest reconstruction of SH variability to date. Based on high Ti content, stronger wind dynamics are reported from 450–700 AD, 1210–1265 AD, 1350–1750 AD and 1800–1975 AD, reporting a stronger SH during spring. In contrast, lower Ti content from 1750–1800 AD and 1980–1985 AD reflect a diminished influence of the SH and a reduced atmospheric circulation. During 1180–1210 AD and 1265–1310 AD, considerably weakened atmospheric circulation is evidenced. As a whole, though climate dynamics controlled environmental changes and ultimately modulated changes in the western Central Asia’s climate system, it is likely that changes in solar activity also had an impact by influencing to some extent the Aral Sea’s hydrology balance and also regional temperature patterns in the past. <hr> The appendix of the thesis is provided via the HTML document as ZIP download.
One of the most difficult issues when dealing with optical water remote-sensing is its acceptance as a useful application for environmental research. This problem is, on the one hand, concerned with the optical complexity and variability of the investigated natural media, and therefore the question arises as to the plausibility of the parameters derived from remote-sensing techniques. Detailed knowledge about the regional bio- and chemico-optical properties is required for such studies, however such information is seldom available for the sites of interest. On the other hand, the primary advantage of remote-sensing information, which is the provision of a spatial overview, may not be exploited fully by the disciplines that would benefit most from such information. It is often seen in a variety of disciplines that scientists have been primarily trained to look at discrete data sets, and therefore have no experience of incorporating information dealing with spatial heterogeneity. In this thesis, the opportunity was made available to assess the potential of Ocean Colour data to provide spatial and seasonal information about the surface waters of Lake Baikal (Siberia). While discrete limnological field data is available, the spatial extension of Lake Baikal is enormous (ca. 600 km), while the field data are limited to selected sites and expedition time windows. Therefore, this remote-sensing investigation aimed to support a multi-disciplinary limnological investigation within the framework of the paleoclimate EU-project ‘High Resolution CONTINENTal Paleoclimate Record in Lake Baikal, Siberia (CONTINENT)’ using spatial and seasonal information from the SeaWiFS satellite (NASA). From this, the SeaWiFS study evolved to become the first efficient bio-optical satellite study of Lake Baikal. During the course of three years, field work including spectral field measurements and water sampling, was carried out at Lake Baikal in Southern Siberia, and at the Mecklenburg and Brandenburg lake districts in Germany. The first step in processing the SeaWiFS satellite data involved adapting the SeaDAS (NASA) atmospheric-correction processing to match as close as possible the specific conditions of Lake Baikal. Next, various Chl-a algorithms were tested on the atmospherically-corrected optimized SeaWiFS data set (years 2001 to 2002), comparing the CONTINENT pigment ground-truth data with the Chl-a concentrations derived from the satellite data. This showed the high performance of the global Chl-a products OC2 and OC4 for the oligotrophic, transparent waters (bio-optical Case 1) of Lake Baikal. However, considerable Chl-a overestimation prevailed in bio-optical Case 2 areas for the case of discharge events. High-organic terrigenous input into Lake Baikal could be traced and information extracted using the SeaWiFS spectral data. Suspended Particulate Matter (SPM) was quantified by the regression of the SeaDAS attenuation coefficient as the optical parameter with SPM field data. Finally, the Chl-a and terrigenous input maps derived from the remote sensing data were used to assist with analyzing the relationships between the various discrete data obtained during the CONTINENT field work. Hence, plausible spatial and seasonal information describing autochthonous and allochthonous material in Lake Baikal could be provided by satellite data.Lake Baikal, with its bio-optical complexity and its different areas of Case 1 and Case 2 waters, is a very interesting case study for Ocean Colour analyses. Proposals for future Ocean Colour studies of Lake Baikal are discussed, including which bio-optical parameters for analytical models still need to be clarified by field investigations.
Durch die Stilllegung der Kali-Gewinnung und -Produktion zwischen 1990 und 1993 sowie die begonnene Rekultivierung der Kali-Rückstandshalden haben sich die Salzfrachteintragsbedingungen für die Fließgwewässer im "Südharz-Kalirevier" in Thüringen zum Teil deutlich verändert. Aufgrund erheblich geringerer Salzeinträge in die Vorfluter Wipper und Bode ist es möglich geworden, zu einer ökologisch verträglichen Salzfrachtsteuerung überzugehen. Die Komplexität der zugrunde liegenden Stofftransportprozesse im Einzugsgebiet der Wipper macht es jedoch unumgänglich, den Steuerungsvorgang nicht nur durch reine Bilanzierungsvorgänge auf der betrachteten Steuerstrecke zu erfassen (so wie bisher praktiziert), sondern auch die Abflussdynamik im Fließgewässer und den Wasserhaushalt im Gebiet mit einzubeziehen. Die Ergebnisse dieser Arbeit dienen zum einen einer Vertiefung der Prozessverständnisse und der Interaktion von Wasserhaushalt, Abflussbildung sowie Stofftransport in bergbaubeeinflussten Einzugsgebieten am Beispiel der Unstrut bzw. ihrer relevanten Nebenflüsse. Zum anderen sollen sie zur Analyse und Bewertung eines Bewirtschaftungsplanes für die genannten Fließgewässer herangezogen werden können. Ziel dieser Arbeit ist die Erstellung eines prognosetauglichen Steuerungsinstrumentes, das für die Bewirtschaftung von Flusseinzugsgebieten unterschiedlicher Größe genutzt und unter den Rahmenbedingungen der bergbaubedingten salinaren Einträge effektiv zur Steuerung der anthropogenen Frachten eingesetzt werden kann. Die Quellen der anthropogen eingeleiteten Salzfracht sind vor allem die Rückstandshalden der stillgelegten Kaliwerke. Durch Niederschläge entstehen salzhaltige Haldenabwässer, die zum Teil ungesteuert über oberflächennahe Ausbreitungsvorgänge direkt in die Vorfluter gelangen, ein anderer Teil wird über die Speichereinrichtungen gefasst und gezielt abgestoßen. Durch Undichtigkeiten des Laugenstapelbeckens in Wipperdorf gelangen ebenfalls ungesteuerte Frachteinträge in die Wipper. Ein weiterer Eintragspfad ist zudem die geogene Belastung. Mit Hilfe detaillierter Angaben zu den oben genannten Eintragspfaden konnten Modellrechnungen im Zeitraum von 1992 bis 2003 durchgeführt werden. Durch die Ausarbeitung eines neuartigen Steuerungskonzeptes für das Laugenstapelbecken Wipperdorf, war es nun möglich, die gefasste Haldenlauge entsprechend der aktuellen Abflusssituation gezielt abstoßen zu können. Neben der modelltechnischen Erfassung der aktuellen hydrologischen Situation und der Vorgabe eines Chlorid-Konzentrationssteuerzieles für den Pegel Hachelbich, mussten dabei weitere Randbedingungen (Beckenkapazität, Beckenfüllstand, Mindestfüllstand, Kapazität des Ableitungskanals, usw.) berücksichtigt werden. Es zeigte sich, dass unter Anwendung des Steuerungskonzeptes die Schwankungsbreite der Chloridkonzentration insgesamt gesehen deutlich verringert werden konnte. Die Überschreitungshäufigkeiten bezüglich eines Grenzwertes von 2 g Chlorid/l am Pegel Hachelbich fielen deutlich, und auch die maximale Dauer einer solchen Periode konnte stark verkürzt werden. Kritische Situationen bei der modelltechnischen Frachtzusteuerung traten nur dann auf, wenn Niedrigwasserverhältnisse durch die Simulationsberechnungen noch unterschätzt wurden. Dies hatte deutliche Überschreitungen der Zielvorgaben für den Pegel Hachelbich zur Folge. Mit Hilfe des Steuerungsalgorithmus konnten desweiteren auch Szenarienberechnungen durchgeführt werden, um die Auswirkungen zukünftig zu erwartender Salzfrachten näher spezifizieren zu können. Dabei konnte festgestellt werden, dass Abdichtungsmaßnahmen der Haldenkörper sich direkt positiv auf die Entwicklung der Konzentration in Hachelbich auswirkten. Durch zusätzlich durchgeführte Langzeitszenarien konnte darüber hinaus nachgewiesen werden, dass langfristig eine Grenzwertfestlegung auf 1,5 g Chlorid/l in Hachelbich möglich ist, und die Stapelkapazitäten dazu ausreichend bemessen sind.
The scope of this study is to investigate the environmental change in the German part of the Elbe river basin, whereby the focus is on two water related problems: having too little water and having water of poor quality. The Elbe region is representative of humid to semi-humid landscapes in central Europe, where water availability during the summer season is the limiting factor for plant growth and crop yields, especially in the loess areas, where the annual precipitation is lower than 500 mm. It is most likely that water quantity problems will accelerate in future, because both the observed and the projected climate trend show an increase in temperature and a decrease in annual precipitation, especially in the summer. Another problem is nutrient pollution of rivers and lakes. In the early 1990s, the Elbe was one of the most heavily polluted rivers in Europe. Even though nutrient emissions from point sources have notably decreased in the basin due to reduction of industrial sources and introduction of new and improved sewage treatment facilities, the diffuse sources of pollution are still not sufficiently controlled. The investigations have been done using the eco-hydrological model SWIM (Soil and Water Integrated Model), which has been embedded in a model framework of climate and agro-economic models. A global scenario of climate and agro-economic change has been regionalized to generate transient climate forcing data and land use boundary conditions for the model. The model was used to transform the climate and land use changes into altered evapotranspiration, groundwater recharge, crop yields and river discharge, and to investigate the development of water quality in the river basin. Particular emphasis was given to assessing the significance of the impacts on the hydrology, taking into account in the analysis the inherent uncertainty of the regional climate change as well as the uncertainty in the results of the model. The average trend of the regional climate change scenario indicates a decrease in mean annual precipitation up to 2055 of about 1.5 %, but with high uncertainty (covering the range from -15.3 % to +14.8 %), and a less uncertain increase in temperature of approximately 1.4 K. The relatively small change in precipitation in conjunction with the change in temperature leads to severe impacts on groundwater recharge and river flow. Increasing temperature induces longer vegetation periods, and the seasonality of the flow regime changes towards longer low flow spells in summer. As a results the water availability will decrease on average of the scenario simulations by approximately 15 %. The increase in temperatures will improve the growth conditions for temperature limited crops like maize. The uncertainty of the climate trend is particularly high in regions where the change is the highest. The simulation results for the Nuthe subbasin of the Elbe indicate that retention processes in groundwater, wetlands and riparian zones have a high potential to reduce the nitrate concentrations of rivers and lakes in the basin, because they are located at the interface between catchment area and surface water bodies, where they are controlling the diffuse nutrient inputs. The relatively high retention of nitrate in the Nuthe basin is due to the long residence time of water in the subsurface (about 40 years), with good conditions for denitrification, and due to nitrate retention and plant uptake in wetlands and riparian zones. The concluding result of the study is that the natural environment and communities in parts of Central Europe will have considerably lower water resources under scenario conditions. The water quality will improve, but due to the long residence time of water and nutrients in the subsurface, this improvement will be slower in areas where the conditions for nutrient turn-over in the subsurface are poor.
Subduction zones are regions of intense earthquake activity up to great depth. Sources are located inside the subducting lithosphere and, as a consequence, seismic radiation from subduction zone earthquakes is strongly affected by the interior slab structure. The wave field of these intraslab events observed in the forearc region is profoundly influenced by a seismically slow layer atop the slab surface. This several kilometer thick low-velocity channel (wave guide) causes the entrapment of seismic energy producing strong guided wave phases that appear in P onsets in certain regions of the forearc. Observations at the Chile-Peru subduction zone presented here, as well as observations at several other circum-pacific subduction zones show such signals. Guided wave analysis contributes details of immense value regarding the processes near the slab surface, such as layering of subducted lithosphere, source locations of intraslab seismicity and most of all, range and manner of mineralogical phase transitions. Seismological data stem from intermediate depth events (depth range 70 km - 300 km) recorded in northern Chile near 21 Grad S during the collaborative research initiative " Deformation Processes in the Andes" (SFB 267). A subset of stations - all located within a slab-parallel transect close to 69 Grad W - show low-frequency first arrivals (2 Hz), sometimes followed by a second high-frequency phase. We employ 2-dimensional finite-difference simulations of complete P-SV wave propagation to explore the parameter space of subduction zone wave guides and explain the observations. Key processes underlying the guided wave propagation are studied: Two distinct mechanisms of decoupling of trapped energy from the wave guide are analyzed - a prerequisite to observe the phases at stations located at large distances from the wave guide (up to 100 km). Variations of guided wave effects perpendicular to the strike of the subduction zone are investigated, such as the influence of phases traveling in the fast slab. Further, the merits and limits of guided wave analysis are assessed. Frequency spectra of the guided wave onsets prove to be a robust quantity that captures guided wave characteristics at subduction zones including higher mode excitation. They facilitate the inference of wave guide structure and source positioning: The peak frequency of the guided wave fundamental mode is associated with a certain combination of layer width and velocity contrast. The excitation strength of the guided wave fundamental mode and higher modes is associated with source position and orientation relative to the low-velocity layer. The guided wave signals at the Chile-Peru subduction zone are caused by energy that leaks from the subduction zone wave guide. On the one hand, the bend shape of the slab allows for leakage at a depth of 100 km. On the other, equalization of velocities between the wave guide and the host rocks causes further energy leakage at the contact zone between continental and oceanic crust (70 km depth). Guided waves bearing information on deep slab structure can therefore be recorded at specific regions in the forearc. These regions are determined based on slab geometry, and their locations coincide with the observations. A number of strong constraints on the structure of the Chile-Peru slab are inferred: The deep wave guide for intraslab events is formed by a layer of 2 km average width that remains seismically slow (7 percent velocity reduction compared to surrounding mantle). This low-velocity layer at the top of the Chile-Peru slab is imaged from a depth of 100 km down to at least 160 km. Intermediate depth events causing the observed phases are located inside the layer or directly beneath it in the slab mantle. The layer is interpreted as partially eclogized lower oceanic crust persisting to depth beyond the volcanic arc.
About 24 % of the land surface in the northern hemisphere are underlayed by permafrost in various states. Permafrost aggradation occurs under special environmental conditions with overall low annual precipitation rates and very low mean annual temperatures. Because the general permafrost occurrence is mainly driven by large-scale climatic conditions, the distribution of permafrost deposits can be considered as an important climate indicator. The region with the most extensive continuous permafrost is Siberia. In northeast Siberia, the ice- and organic-rich permafrost deposits of the Ice Complex are widely distributed. These deposits consist mostly of silty to fine-grained sandy sediments that were accumulated during the Late Pleistocene in an extensive plain on the then subaerial Laptev Sea shelf. One important precondition for the Ice Complex sedimentation was, that the Laptev Sea shelf was not glaciated during the Late Pleistocene, resulting in a mostly continuous accumulation of permafrost sediments for at least this period. This shelf landscape became inundated and eroded in large parts by the Holocene marine transgression after the Last Glacial Maximum. Remnants of this landscape are preserved only in the present day coastal areas. Because the Ice Complex deposits contain a wide variety of palaeo-environmental proxies, it is an excellent palaeo-climate archive for the Late Quaternary in the region. Furthermore, the ice-rich Ice Complex deposits are sensible to climatic change, i.e. climate warming. Because of the large-scale climatic changes at the transition from the Pleistocene to the Holocene, the Ice Complex was subject to extensive thermokarst processes since the Early Holocene. Permafrost deposits are not only an environmental indicator, but also an important climate factor. Tundra wetlands, which have developed in environments with aggrading permafrost, are considered a net sink for carbon, as organic matter is stored in peat or is syn-sedimentary frozen with permafrost aggradation. Contrary, the Holocene thermokarst development resulted in permafrost degradation and thus the release of formerly stored organic carbon. Modern tundra wetlands are also considered an important source for the climate-driving gas methane, originating mainly from microbial activity in the seasonal active layer. Most scenarios for future global climate development predict a strong warming trend especially in the Arctic. Consequently, for the understanding of how permafrost deposits will react and contribute to such scenarios, it is necessary to investigate and evaluate ice-rich permafrost deposits like the widespread Ice Complex as climate indicator and climate factor during the Late Quaternary. Such investigations are a pre-condition for the precise modelling of future developments in permafrost distribution and the influence of permafrost degradation on global climate. The focus of this work, which was conducted within the frame of the multi-disciplinary joint German-Russian research projects "Laptev Sea 2000" (1998-2002) and "Dynamics of Permafrost" (2003-2005), was twofold. First, the possibilities of using remote sensing and terrain modelling techniques for the observation of periglacial landscapes in Northeast Siberia in their present state was evaluated and applied to key sites in the Laptev Sea coastal lowlands. The key sites were situated in the eastern Laptev Sea (Bykovsky Peninsula and Khorogor Valley) and the western Laptev Sea (Cape Mamontovy Klyk region). For this task, techniques using CORONA satellite imagery, Landsat-7 satellite imagery, and digital elevation models were developed for the mapping of periglacial structures, which are especially indicative of permafrost degradation. The major goals were to quantify the extent of permafrost degradation structures and their distribution in the investigated key areas, and to establish techniques, which can be used also for the investigation of other regions with thermokarst occurrence. Geographical information systems were employed for the mapping, the spatial analysis, and the enhancement of classification results by rule-based stratification. The results from the key sites show, that thermokarst, and related processes and structures, completely re-shaped the former accumulation plain to a strongly degraded landscape, which is characterised by extensive deep depressions and erosional remnants of the Late Pleistocene surface. As a results of this rapid process, which in large parts happened within a short period during the Early Holocene, the hydrological and sedimentological regime was completely changed on a large scale. These events resulted also in a release of large amounts of organic carbon. Thermokarst is now the major component in the modern periglacial landscapes in terms of spatial extent, but also in its influence on hydrology, sedimentation and the development of vegetation assemblages. Second, the possibilities of using remote sensing and terrain modelling as a supplementary tool for palaeo-environmental reconstructions in the investigated regions were explored. For this task additionally a comprehensive cryolithological field database was developed for the Bykovsky Peninsula and the Khorogor Valley, which contains previously published data from boreholes, outcrops sections, subsurface samples, and subsurface samples, as well as additional own field data. The period covered by this database is mainly the Late Pleistocene and the Holocene, but also the basal deposits of the sedimentary sequence, interpreted as Pliocene to Early Pleistocene, are contained. Remote sensing was applied for the observation of periglacial strucures, which then were successfully related to distinct landscape development stages or time intervals in the investigation area. Terrain modelling was used for providing a general context of the landscape development. Finally, a scheme was developed describing mainly the Late Quaternary landscape evolution in this area. A major finding was the possibility of connecting periglacial surface structures to distinct landscape development stages, and thus use them as additional palaeo-environmental indicator together with other proxies for area-related palaeo-environmental reconstructions. In the landscape evolution scheme, i.e. of the genesis of the Late Pleistocene Ice Complex and the Holocene thermokarst development, some new aspects are presented in terms of sediment source and general sedimentation conditions. This findings apply also for other sites in the Laptev Sea region.