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- transiente Erdbebenmuster (1)
- travel time distribution (1)
- treeline (1)
- trend analysis (1)
- trend detection (1)
- triggered earthquake (1)
- tropical lowland rainforest (1)
- tsunami (1)
- uncertainty estimation (1)
- underplating (1)
- varves (1)
- vegetation (1)
- vegetation cover (1)
- vegetation expansion (1)
- very low-low-grade metamorphism (1)
- volcanic glass (1)
- volcanic island (1)
- vulkanischer Gläser (1)
- water quality (1)
- waves and tides (1)
- wetlands (1)
- zircon fission tracks (1)
- Ökohydrologie (1)
Institute
- Institut für Geowissenschaften (238) (remove)
Numerous studies investigated the influence of abiotic (meteorological conditions) and biotic factors (tree characteristics) on stemflow generation. Although these studies identified the variables that influence stemflow volumes in simply structured forests, the combination of tree characteristics that allows a robust prediction of stemflow volumes in species-rich forests is not well known. Many hydrological applications, however, require at least a rough estimate of stemflow volumes based on the characteristics of a forest stand. The need for robust predictions of stemflow motivated us to investigate the relationships between tree characteristics and stemflow volumes in a species-rich tropical forest located in central Panama. Based on a sampling setup consisting of ten rainfall collectors, 300 throughfall samplers and 60 stemflow collectors and cumulated data comprising 26 rain events, we derive three main findings. Firstly, stemflow represents a minor hydrological component in the studied 1-ha forest patch (1.0% of cumulated rainfall). Secondly, in the studied species-rich forest, single tree characteristics are only weakly related to stemflow volumes. The influence of multiple tree parameters (e.g. crown diameter, presence of large epiphytes and inclination of branches) and the dependencies among these parameters require a multivariate approach to understand the generation of stemflow. Thirdly, predicting stemflow in species-rich forests based on tree parameters is a difficult task. Although our best model can capture the variation in stemflow to some degree, a critical validation reveals that the model cannot provide robust predictions of stemflow. A reanalysis of data from previous studies in species-rich forests corroborates this finding. Based on these results and considering that for most hydrological applications, stemflow is only one parameter among others to estimate, we advocate using the base model, i.e. the mean of the stemflow data, to quantify stemflow volumes for a given study area. Studies in species-rich forests that wish to obtain predictions of stemflow based on tree parameters probably need to conduct a much more extensive sampling than currently implemented by most studies. Copyright (c) 2015 John Wiley & Sons, Ltd.
On 27 December 2007, a 1.9 seismic event occurred within a dyke in the deep-level Mponeng Gold Mine, South Africa. From the seismological network of the mine and the one from the Japanese-German Underground Acoustic Emission Research in South Africa (JAGUARS) group, the hypocentral depth (3,509 m), focal mechanism and aftershock location were estimated. Since no mining activity took place in the days before the event, dynamic triggering due to blasting can be ruled out as the cause. To investigate the hypothesis that stress transfer, due to excavation of the gold reef, induced the event, we set up a small-scale high-resolution three-dimensional (3D) geomechanical numerical model. The model consisted of the four different rock units present in the mine: quartzite (footwall), hard lava (hanging wall), conglomerate (gold reef) and diorite (dykes). The numerical solution was computed using a finite-element method with a discretised mesh of approximately elements. The initial stress state of the model is in agreement with in situ data from a neighbouring mine, and the step-wise excavation was simulated by mass removal from the gold reef. The resulting 3D stress tensor and its changes due to mining were analysed based on the Coulomb failure stress changes on the fault plane of the event. The results show that the seismic event was induced regardless of how the Coulomb failure stress changes were calculated and of the uncertainties in the fault plane solution. We also used the model to assess the seismic hazard due to the excavation towards the dyke. The resulting curve of stress changes shows a significant increase in the last in front of the dyke, indicating that small changes in the mining progress towards the dyke have a substantial impact on the stress transfer.
Barite concretions and bands are widely distributed in black shale-chert horizons in the Yurtus Formation of Lower Cambrian in Aksu area, northwestern Tarim Basin, NW China. They mainly consist of coarse-grained anhedral to euhedral barite crystals with minor dolomites and pyrites. Petrological features indicate these concretions grew from the porewater in unconsolidated sediments at shallow burial below sediment-water interface. The slight deviation of Sr-87/Sr-86 ratios (0.7083 to 0.7090) and significant elevated delta S-34 values (56.8-76.4 parts per thousand CDT) of barite samples with respect to those of the Early Cambrian seawater further support that barite deposits precipitated from the enclosed porewater in sediment column, which evolved from the penecontemporaneous seawater with weak interaction with the host fine-grained siliciclastic sediments and highly-depleted sulfate in response to prolonged strong bacterial sulfate reduction without necessary renewal. The abundant organic matters in the basal Yurtus Formation should have facilitated developing sulfate-depleted methanogenesis zone and sulfate-methane transition zone (SMTZ) slightly after deposition. Therefore, barite deposits in the Yurtus Formation most likely resulted from diagenetic barium cycling and persistently grew from the porewater in the static SMTZ with a low sedimentation rate in the Early Cambrian. In comparison with the distribution of sedimentary barites in geological records, we tentatively proposed that a transition in diagenetic barium cycling and associated mineralization may have occurred from the Precambrian to Cambrian periods; this scenario may be causally linked to the changes in marine ecology (the advent of mesozooplankton and associated faecal pellet) and geochemistry (the increase of seawater sulfate concentration). Thus, the occurrence of diagenetic barite deposits in the Yurtus Formation implies that diagenetic barium cycling and more effective scavenging of barium from CH4- and Ba-rich porewaters within sediments might have become an nonnegligible process in continental margin areas, at least, since the earliest Cambrian, which could have significantly impacted the marine barium cycling. (C) 2015 Elsevier B.V. All rights reserved.
The Upper Cambrian Lower Qiulitag Group in the Tarim Basin, NW China, is overwhelmingly composed of cyclic dolomites. Based on extensive field investigations and facies analysis from four outcrop sections in the Bachu-Keping area, northwestern Tarim Basin, four main types of facies are recognized: open-marine subtidal, restricted shallow subtidal, intertidal, and supratidal facies, and these are further subdivided into ten lithofacies. In general, these facies are vertically arranged into shallowing-upward, metre-scale cycles. These cycles are commonly composed of a thin basal horizon reflecting abrupt deepening, and a thicker upper succession showing gradual shallowing upwards. Based on the vertical facies arrangements and changes across boundary surfaces, two types of cycle: peritidal and shallow subtidal cycle, are further identified. The peritidal cycles, predominating over the lower-middle Lower Qiulitag Group, commence with shallow subtidal to lower intertidal facies and are capped by inter-supratidal facies. In contrast, the shallow subtidal cycles, dominating the upper Lower Qiulitag Group, are capped by shallow-subtidal facies. Based on vertical lithofacies variations, cycle stacking patterns, and accommodation variations revealed by Fischer plots, six larger-scale third-order depositional sequences (Sq1-Sq6) are recognized. These sequences generally consist of a lower transgressive and an upper regressive systems tract. The transgressive tracts are dominated by thicker-than-average cycles, indicating an overall accommodation increase, whereas the regressive tracts are characterized by thinner-than-average peritidal cycles, indicating an overall accommodation decrease. The sequence boundaries are characterized by transitional zones of stacked thinner-than-average cycles, rather than by a single surface. These sequences can further be grouped into lower-order sequence sets: the lower and upper sequence sets. The lower sequence set, including Sq1-Sq3, is characterized by peritidal facies-dominated sequences and a progressive decrease in accommodation space, indicating a longer-term fall in sea level. In contrast, the upper sequence set (Sq4-Sq6) is characterized by subtidal facies-dominated sequences and a progressive increase in accommodation space, indicating a longer-term rise in sea level.
Analysis and modeling of transient earthquake patterns and their dependence on local stress regimes
(2015)
Investigations in the field of earthquake triggering and associated interactions, which includes aftershock triggering as well as induced seismicity, is important for seismic hazard assessment due to earthquakes destructive power. One of the approaches to study earthquake triggering and their interactions is the use of statistical earthquake models, which are based on knowledge of the basic seismicity properties, in particular, the magnitude distribution and spatiotemporal properties of the triggered events.
In my PhD thesis I focus on some specific aspects of aftershock properties, namely, the relative seismic moment release of the aftershocks with respect to the mainshocks; the spatial correlation between aftershock occurrence and fault deformation; and on the influence of aseismic transients on the aftershock parameter estimation. For the analysis of aftershock sequences I choose a statistical approach, in particular, the well known Epidemic Type Aftershock Sequence (ETAS) model, which accounts for the input of background and triggered seismicity. For my specific purposes, I develop two ETAS model modifications in collaboration with Sebastian Hainzl. By means of this approach, I estimate the statistical aftershock parameters and performed simulations of aftershock sequences as well.
In the case of seismic moment release of aftershocks, I focus on the ratio of cumulative seismic moment release with respect to the mainshocks. Specifically, I investigate the ratio with respect to the focal mechanism of the mainshock and estimate an effective magnitude, which represents the cumulative aftershock energy (similar to Bath's law, which defines the average difference between mainshock and the largest aftershock magnitudes). Furthermore, I compare the observed seismic moment ratios with the results of the ETAS simulations. In particular, I test a restricted ETAS (RETAS) model which is based on results of a clock advanced model and static stress triggering.
To analyze spatial variations of triggering parameters I focus in my second approach on the aftershock occurrence triggered by large mainshocks and the study of the aftershock parameter distribution and their spatial correlation with the coseismic/postseismic slip and interseismic locking. To invert the aftershock parameters I improve the modified ETAS (m-ETAS) model, which is able to take the extension of the mainshock rupture into account. I compare the results obtained by the classical approach with the output of the m-ETAS model.
My third approach is concerned with the temporal clustering of seismicity, which might not only be related to earthquake-earthquake interactions, but also to a time-dependent background rate, potentially biasing the parameter estimations. Thus, my coauthors and I also applied a modification of the ETAS model, which is able to take into account time-dependent background activity. It can be applicable for two different cases: when an aftershock catalog has a temporal incompleteness or when the background seismicity rate changes with time, due to presence of aseismic forces.
An essential part of any research is the testing of the developed models using observational data sets, which are appropriate for the particular study case. Therefore, in the case of seismic moment release I use the global seismicity catalog. For the spatial distribution of triggering parameters I exploit two aftershock sequences of the Mw8.8 2010 Maule (Chile) and Mw 9.0 2011 Tohoku (Japan) mainshocks. In addition, I use published geodetic slip models of different authors. To test our ability to detect aseismic transients my coauthors and I use the data sets from Western Bohemia (Central Europe) and California.
Our results indicate that:
(1) the seismic moment of aftershocks with respect to mainshocks depends on the static stress changes and is maximal for the normal, intermediate for thrust and minimal for strike-slip stress regimes, where the RETAS model shows a good correspondence with the results;
(2) The spatial distribution of aftershock parameters, obtained by the m-ETAS model, shows anomalous values in areas of reactivated crustal fault systems. In addition, the aftershock density is found to be correlated with coseismic slip gradient, afterslip, interseismic coupling and b-values. Aftershock seismic moment is positively correlated with the areas of maximum coseismic slip and interseismically locked areas. These correlations might be related to the stress level or to material properties variations in space;
(3) Ignoring aseismic transient forcing or temporal catalog incompleteness can lead to the significant under- or overestimation of the underlying trigger parameters. In the case when a catalog is complete, this method helps to identify aseismic sources.
The Tian Shan range is an inherited intracontinental structure reactivated by the far-field effects of the India-Asia collision. A growing body of thermochronology and magnetostratigraphy datasets shows that the range grew through several tectonic pulses since similar to 25 Ma, however the early Cenozoic history remains poorly constrained. The time-lag between the Eocene India-Asia collision and the Miocene onset of Tian Shan exhumation is particularly enigmatic. This peculiar period is potentially recorded along the southwestern Tian Shan piedmont. There, late Eocene marine deposits of the proto-Paratethys epicontinental sea transition to continental foreland basin sediments of unknown age were recently dated. We provide magnetostratigraphic dating of these continental sediments from the 1700-m-thick Mine section integrated with previously published detrital apatite fission track and U/Pb zircon ages. The most likely correlation to the geomagnetic polarity time scale indicates an age span from 20.8 to 13.3 Ma with a marked increase in accumulation rates at 19-18 Ma. This implies that the entire Oligocene period is missing between the last marine and first continental sediments, as suggested by previous southwestern Tian Shan results. This differs from the southwestern Tarim basin where Eocene marine deposits are continuously overlain by late Eocene-Oligocene continental sediments. This supports a simple evolution model of the western Tarim basin with Eocene-Oligocene foreland basin activation to the south related to northward thrusting of the Kunlun Shan, followed by early Miocene activation of northern foreland basin related to overthrusting of the south Tian Shan. Our data also support southward propagation of the Tian Shan piedmont from 20 to 18 Ma that may relate to motion on the Talas Fergana Fault. The coeval activation of a major right-lateral strike-slip system allowing indentation of the Pamir Salient into the Tarim basin, suggests far-field deformation from the India-Asia collision zone affected the Tian Shan and the Talas Fergana fault by early Miocene. (C) 2015 Elsevier B.V. All rights reserved.
Ar-40/Ar-39 in situ UV laser ablation of white mica, Rb-Sr mineral isochrons and zircon fission track dating were applied to determine ages of very low- to low-grade metamorphic processes at 3.5 +/- 0.4 kbar, 280 +/- 30 degrees C in the Avalonian Mira terrane of SE Cape Breton Island (Nova Scotia). The Mira terrane comprises Neoproterozoic volcanic-arc rocks overlain by Cambrian sedimentary rocks. Crystallization of metamorphic white mica was dated in six metavolcanic samples by Ar-40/Ar-39 spot age peaks between 396 +/- 3 and 363 +/- 14 Ma. Rb-Sr systematics of minerals and mineral aggregates yielded two isochrons at 389 +/- 7 Ma and 365 +/- 8 Ma, corroborating equilibrium conditions during very low- to low-grade metamorphism. The dated white mica is oriented parallel to foliations produced by sinistral strike-slip faulting and/or folding related to the Middle-Late Devonian transpressive assembly of Avalonian terranes during convergence and emplacement of the neighbouring Meguma terrane. Exhumation occurred earlier in the NW Mira terrane than in the SE. Transpression was related to the closure of the Rheic Ocean between Gondwana and Laurussia by NW-directed convergence. The Ar-40/Ar-39 spot age spectra also display relict age peaks at 477-465 Ma, 439 Ma and 420-428 Ma attributed to deformation and fluid access, possibly related to the collision of Avalonia with composite Laurentia or to earlier Ordovician-Silurian rifting. Fission track ages of zircon from Mira terrane samples range between 242 +/- 18 and 225 +/- 21 Ma and reflect late Palaeozoic reburial and reheating close to previous peak metamorphic temperatures under fluid-absent conditions during rifting prior to opening of the Central Atlantic Ocean.
The study reported here evaluates the degree to which metals, salt anions and organic compounds are released from shales by exposure to water, either in its pure form or mixed with additives commonly employed during shale gas exploitation. The experimental conditions used here were not intended to simulate the exploitation process itself, but nevertheless provided important insights into the effects additives have on solute partition behaviour under oxic to sub-oxic redox conditions.
In order to investigate the mobility of major (e.g. Ca, Fe) and trace (e.g. As, Cd, Co, Mo, Pb, U) elements and selected organic compounds, we performed leaching tests with black shale samples from Bornholm, Denmark and Lower Saxony, Germany. Short-term experiments (24 h) were carried out at ambient pressure and temperatures of 100 degrees C using five different lab-made stimulation fluids. Two long-term experiments under elevated pressure and temperature conditions at 100 degrees C/100 bar were performed lasting 6 and 2 months, respectively, using a stimulation fluid containing commercially-available biocide, surfactant, friction reducer and clay stabilizer.
Our results show that the amount of dissolved constituents at the end of the experiment is independent of the pH of the stimulation fluid but highly dependent on the composition of the black shale and the buffering capacity of specific components, namely pyrite and carbonates. Shales containing carbonates buffer the solution at pH 7-8. Sulphide minerals (e.g. pyrite) become oxidized and generate sulphuric acid leading to a pH of 2-3. This low pH is responsible for the overall much larger amount of cations dissolved from shales containing pyrite but little to no carbonate. The amount of elements released into the fluid is also dependent on the residence time, since as much as half of the measured 23 elements show highest concentrations within four days. Afterwards, the concentration of most of the elemental species decreased pointing to secondary precipitations. Generally, in our experiments less than 15% of each analysed element contained in the black shale was mobilised into the fluid. (C) 2015 Elsevier Ltd. All rights reserved.
Ultrahigh-pressure (UHP), coesite-bearing edogites in the Himalaya have been documented from the Kaghan Valley in Pakistan and the Tso Morani area in northwest India. These complexes are part of the northern edge of the Indian plate that has been subducted to, and metamorphosed at, mantle depths of more than 100 km before being exhumed. Both UHP complexes are located today directly adjacent to the Indus-Tsangpo suture zone and are not separated by non-metamorphosed sequences of Tethyan sediments from the Asian margin. Herein, we present new data for one fresh coesite-bearing eclogite from the Tso Moran massif. Therein, garnets are zoned reflecting their growth during prograde and peak metamorphism and showing a thin retrograde overgrowth. Inclusions can be directly correlated to the compositional zoning and are seen as either relicts of the protolith mineral paragenesis and as "snap shots" of the mineral paragenesis during subduction and under peak conditions. Rare earth element concentrations (REE) were obtained for garnet, mineral inclusions in garnet and matrix minerals. The REE pattern in garnet reflects a sequential change in matrix minerals and their proportions due to net transfer reactions during subduction and peak metamorphism. Using conventional geothermobarometry, a peak pressure of ca. 44-48 kbar at 560-760 degrees C followed by an S-shaped exhumation curve has been deduced. Gibbs free energy minimization modelling was used to supplement our analytical findings. (C) 2015 Elsevier B.V. All rights reserved.
Land-use concepts provide decision support for the most efficient usage options according to sustainable development and multifunctionality requirements. However, developments in landscape-related, agricultural production schemes are primarily driven by economic benefits. Therefore, most agricultural land-use concepts tackle particular problems or interests and lack a systemic perspective. As a result, we discuss a conceptual model for future site-specific agricultural land-use with an inbuilt requirement for adequate experimental sites to enable monitoring systems for a new generation of ecosystem models and for new approaches to address science-stakeholder interactions.
Carbon storage capacity of semi-arid grassland soils and sequestration potentials in northern China
(2015)
Organic carbon (OC) sequestration in degraded semi-arid environments by improved soil management is assumed to contribute substantially to climate change mitigation. However, information about the soil organic carbon (SOC) sequestration potential in steppe soils and their current saturation status remains unknown. In this study, we estimated the OC storage capacity of semi-arid grassland soils on the basis of remote, natural steppe fragments in northern China. Based on the maximum OC saturation of silt and clay particles <20m, OC sequestration potentials of degraded steppe soils (grazing land, arable land, eroded areas) were estimated. The analysis of natural grassland soils revealed a strong linear regression between the proportion of the fine fraction and its OC content, confirming the importance of silt and clay particles for OC stabilization in steppe soils. This relationship was similar to derived regressions in temperate and tropical soils but on a lower level, probably due to a lower C input and different clay mineralogy. In relation to the estimated OC storage capacity, degraded steppe soils showed a high OC saturation of 78-85% despite massive SOC losses due to unsustainable land use. As a result, the potential of degraded grassland soils to sequester additional OC was generally low. This can be related to a relatively high contribution of labile SOC, which is preferentially lost in the course of soil degradation. Moreover, wind erosion leads to substantial loss of silt and clay particles and consequently results in a direct loss of the ability to stabilize additional OC. Our findings indicate that the SOC loss in semi-arid environments induced by intensive land use is largely irreversible. Observed SOC increases after improved land management mainly result in an accumulation of labile SOC prone to land use/climate changes and therefore cannot be regarded as contribution to long-term OC sequestration.
Timing and magnitude of surface uplift are key to understanding the impact of crustal deformation and topographic growth on atmospheric circulation, environmental conditions, and surface processes. Uplift of the East African Plateau is linked to mantle processes, but paleoaltimetry data are too scarce to constrain plateau evolution and subsequent vertical motions associated with rifting. Here, we assess the paleotopographic implications of a beaked whale fossil (Ziphiidae) from the Turkana region of Kenya found 740 km inland from the present-day coastline of the Indian Ocean at an elevation of 620 m. The specimen is similar to 17 My old and represents the oldest derived beaked whale known, consistent with molecular estimates of the emergence of modern straptoothed whales (Mesoplodon). The whale traveled from the Indian Ocean inland along an eastward-directed drainage system controlled by the Cretaceous Anza Graben and was stranded slightly above sea level. Surface uplift from near sea level coincides with paleoclimatic change from a humid environment to highly variable and much drier conditions, which altered biotic communities and drove evolution in east Africa, including that of primates.
Individual great earthquakes are posited to release the elastic strain energy that has accumulated over centuries by the gradual movement of tectonic plates(1,2). However, knowledge of plate deformation during a complete seismic cycle-two successive great earthquakes and the intervening interseismic period-remains incomplete(3). A complete seismic cycle began in south-central Chile in 1835 with an earthquake of about magnitude 8.5 (refs 4,5) and ended in 2010 with a magnitude 8.8 earthquake(6). During the first earthquake, an uplift of Isla Santa Maria by 2.4 to 3m was documented(4,5). In the second earthquake, the island was uplifted(7) by 1.8 m. Here we use nautical surveys made in 1804, after the earthquake in 1835 and in 1886, together with modern echo sounder surveys and GPS measurements made immediately before and after the 2010 earthquake, to quantify vertical deformation through the complete seismic cycle. We find that in the period between the two earthquakes, Isla Santa Maria subsided by about 1.4 m. We simulate the patterns of vertical deformation with a finite-element model and find that they agree broadly with predictions from elastic rebound theory(2). However, comparison with geomorphic and geologic records of millennial coastline emergence(8,9) reveal that 10-20% of the vertical uplift could be permanent.
Studies of seismic tomography have been highly successful at imaging the deep structure of subduction zones. In a study complementary to these tomographic studies, we use array seismology and reflected waves to image a stagnant slab in the mantle transition zone. Using P and S (SH) waves we find a steeply dipping reflector centred at ca. 400 km depth and ca. 550 km west of the present Mariana subduction zone (at 20N, 140E). The discovery of this anomaly in tomography and independently in array seismology (this paper) helps in understanding the evolution of the Mariana margin. The reflector/stagnant slab may be the remains of the hypothetical North New Guinea Plate, which was theorized to have subducted ca. 50 Ma.
The specific chemical composition of monazite in shear zones is controlled by the syndeformation dissolution-precipitation reactions of the rock-forming minerals. This relation can be used for dating deformation, even when microfabric characteristics like shape preferred orientation or intracrystalline deformation of monazite itself are missing. Monazite contemporaneously formed in and around the shear zones may have different compositions. These depend on the local chemical context rather than reflecting successive crystallization episodes of monazite.
This is demonstrated in polymetamorphic, mylonitic high-pressure (HP) garnet-kyanite granulites of the Alpine Sidironero Complex (Rhodope UHP terrain, Northern Greece). The studied mylonitic rocks escaped from regional migmatization at 40-36 Ma and from subsequent shearing through cooling until 36 Ma. In-situ laser-ablation split-stream inductively-coupled plasma mass spectrometry (LASS) analyses have been carried out on monazite from micro-scale shear zones, from pre-mylonitic microlithons as well as of monazite inclusions in relictic minerals complimented by U-Pb data on rutile and Rb-Sr data of biotite.
Two major metamorphic episodes, Mesozoic and Cenozoic, are constrained. Chemical compositions, isotopic characteristics and apparent ages systematically vary among monazite of four different microfabric domains (I-IV). Within three pre-mylonitic domains (inclusions in (I) pre-mylonitic kyanite and (II) garnet porphyroclasts, and (III) in pre-mylonitic microlithons) monazite yields ages of ca. 130-150 Ma for HP-granulite metamorphism, in line with previous geochronological results in the area. Patchy alteration of the pre-mylonitic monazite by intra-grain dissolution-precipitation processes variably increased negative Eu anomaly and reduced the HREE contents. The apparent age of this altered monazite is reduced.
Monazite in the syn-mylonitic shear bands (IV) differs in chemical composition from unaltered and altered monazite of the three pre-mylonitic domains by having a significantly more pronounced negative Eu anomaly, a flatter HREE pattern, and high Th content. These compositional characteristics are linked with syn-mylonitic formation of plagioclase and resorption of garnet in the shear bands under amphibolite fades conditions. The absence of pre-mylonitic monazite in the shear zones, in contrast to the other domains, suggests complete dissolution of old and formation of new monazite. This probably results from an increased alkalinity and reactivity of the fluid that again is controlled by syn-mylonitic interaction with feldspar and apatite in the shear zones. There, the deformation was accommodated by dissolution precipitation creep at ca. 690 +/- 50 degrees C and 6-7.5 kbar. Growth of monazite at 55 +/- 1 Ma dates this deformation, which precedes the regional migmatization of the Sidironero Complex, whereas rutile and biotite ages reflect these later stages. This new pressure-temperature-time constraint for a relictic deformation structure provides insight into the still missing parts of the overall metamorphic, deformation and exhumation processes of the UHP units in the Rhodope. (C) 2015 Elsevier B.V. All rights reserved.
We hypothesized that at the very beginning of terrestrial ecosystem development, airborne testate amoebae play a pivotal role in facilitating organismic colonization and related soil processes. We, therefore, analyzed size and quantity of airborne testate amoebae and immigration and colonization success of airborne testate amoebae on a new land surface (experimental site "Chicken Creek", artificial post-mining water catchment). Within an altogether 91-day exposure of 70 adhesive traps, 12 species of testate amoebae were identified to be of airborne origin. Phryganella acropodia (51% of all individuals found, diameter about 35-45 mu m) and Centropyxis sphagnicola (23% of all individuals found, longest axis about 55-68 mu m), occurred most frequently in the adhesive traps. We extrapolated an aerial amoeba deposition of 61 individuals d(-1) m(-2) (living and dead individuals combined). Although it would be necessary to have a longer sequence (some additional years), our analysis of the "target substrate" of aerial immigration (catchment site) may point to a shift from a stochastic (variable) beginning of community assembly to a more deterministic (stable) course. This shift was assigned to an age of seven years of initial soil development. Although experienced specialists are necessary to conduct these time-consuming studies, the presented data suggest that terrestrial amoebae are suitable indicators for initial ecosystem development and utilization.
Profundal lake sediment cores are often interpreted in line with diverse and detailed sedimentological processes to infer paleoenvironmental conditions. The effects of frozen lake surfaces on terrigenous sediment deposition and how climate changes on the Tibetan Plateau are reflected in these lakes, however, is seldom discussed. A lake sediment core from Hala Lake (590 km(2)), northeastern Tibetan Plateau spanning the time interval from the Last Glacial Maximum to the present was investigated using high-resolution grain-size composition of lacustrine deposits. Seismic analysis along a north-south profile across the lake was used to infer the sedimentary setting within the lake basin. Periods of freezing and melting processes on the lake surface were identified by MODIS (MOD10A1) satellite data. End-member modeling of the grain size distribution allowed the discrimination between lacustrine, eolian and fluvial sediments. The dominant clay sedimentation (slack water type) during the global Last Glacial Maximum (LGM) reflects ice interceptions in long cold periods, in contrast to abundant eolian input during abrupt cold events. Therefore, fluvial and slack water sedimentation processes can indicate changes in the local paleoclimate during periods of the lake being frozen, when eolian input was minor. Inferred warm (i.e., similar to 22.7 and 19.5 cal. ka BP) and cold (i.e., similar to 11-9 and 3-1.5 cal. ka BP) spells have significant environmental impacts, not only in the regional realm, but they are also coherent with global-scale climate events. The eolian input generally follows the trend of the mid-latitude westerly wind dynamics in winter, contributing medium-sized sand to the lake center, deposited within the ice cover during icing and melting phases. Enhanced input was dominant during the Younger Dryas, Heinrich Event 1 and at around 8.2 ka, equivalent to the well-known events of the North Atlantic realm. (C) 2015 Elsevier Ltd. All rights reserved.
Multi-scale analysis of electrical conductivity of peatlands for the assessment of peat properties
(2015)
Peatlands store large amounts of carbon. This storage function has been reduced through intensive drainage, which leads to the decomposition of peat, resulting in a loss of carbon. Measurements of the real (sigma) and imaginary part (sigma) of electrical conductivity can deliver information on peat properties, such as the pore fluid conductivity (sigma(w)), cation exchange capacity (CEC), bulk density ((b)), water content (WC) and soil organic matter (SOM) content. These properties change with the peat's degree of decomposition (DD). To explore the relationships between the peat properties, sigma, sigma and DD, we focused on three different types of survey and scales. First, point measurements were made with a conductivity probe at various locations over a large area of northeast Germany to determine the degree of correlation between sigma and DD. Second, nine of these locations were selected for sampling to determine which of the properties sigma(w), CEC, (b), WC and SOM predominantly influence sigma and sigma. This multisite dataset includes the entire range of DD and was analysed in the laboratory. Third, one site was selected for a survey of sigma including sampling, to identify which properties mainly control sigma in a single-site approach. Statistical analysis revealed that for the multisite laboratory dataset, sigma(w) has the strongest effect on sigma, followed by CEC, whereas sigma is mainly determined by CEC. In a single-site approach, WC followed by CEC had a dominant effect on sigma. No clear correlation could be observed between (i) DD and peat properties and (ii) DD and sigma or sigma. This is because of the complex changes in properties with increasing DD.
Climate change is likely to impact the seasonality and generation processes of floods in the Nordic countries, which has direct implications for flood risk assessment, design flood estimation, and hydropower production management. Using a multi-model/multi-parameter approach to simulate daily discharge for a reference (1961–1990) and a future (2071–2099) period, we analysed the projected changes in flood seasonality and generation processes in six catchments with mixed snowmelt/rainfall regimes under the current climate in Norway. The multi-model/multi-parameter ensemble consists of (i) eight combinations of global and regional climate models, (ii) two methods for adjusting the climate model output to the catchment scale, and (iii) one conceptual hydrological model with 25 calibrated parameter sets. Results indicate that autumn/winter events become more frequent in all catchments considered, which leads to an intensification of the current autumn/winter flood regime for the coastal catchments, a reduction of the dominance of spring/summer flood regimes in a high-mountain catchment, and a possible systematic shift in the current flood regimes from spring/summer to autumn/winter in the two catchments located in northern and south-eastern Norway. The changes in flood regimes result from increasing event magnitudes or frequencies, or a combination of both during autumn and winter. Changes towards more dominant autumn/winter events correspond to an increasing relevance of rainfall as a flood generating process (FGP) which is most pronounced in those catchments with the largest shifts in flood seasonality. Here, rainfall replaces snowmelt as the dominant FGP primarily due to increasing temperature.We further analysed the ensemble components in contributing to overall uncertainty in the projected changes and found that the climate projections and the methods for downscaling or bias correction tend to be the largest contributors. The relative role of hydrological parameter uncertainty, however, is highest for those catchments showing the largest changes in flood seasonality, which confirms the lack of robustness in hydrological model parameterization for simulations under transient hydrometeorological conditions.
Climate change is likely to impact the seasonality and generation processes of floods in the Nordic countries, which has direct implications for flood risk assessment, design flood estimation, and hydropower production management. Using a multi-model/multi-parameter approach to simulate daily discharge for a reference (1961–1990) and a future (2071–2099) period, we analysed the projected changes in flood seasonality and generation processes in six catchments with mixed snowmelt/rainfall regimes under the current climate in Norway. The multi-model/multi-parameter ensemble consists of (i) eight combinations of global and regional climate models, (ii) two methods for adjusting the climate model output to the catchment scale, and (iii) one conceptual hydrological model with 25 calibrated parameter sets. Results indicate that autumn/winter events become more frequent in all catchments considered, which leads to an intensification of the current autumn/winter flood regime for the coastal catchments, a reduction of the dominance of spring/summer flood regimes in a high-mountain catchment, and a possible systematic shift in the current flood regimes from spring/summer to autumn/winter in the two catchments located in northern and south-eastern Norway. The changes in flood regimes result from increasing event magnitudes or frequencies, or a combination of both during autumn and winter. Changes towards more dominant autumn/winter events correspond to an increasing relevance of rainfall as a flood generating process (FGP) which is most pronounced in those catchments with the largest shifts in flood seasonality. Here, rainfall replaces snowmelt as the dominant FGP primarily due to increasing temperature.We further analysed the ensemble components in contributing to overall uncertainty in the projected changes and found that the climate
projections and the methods for downscaling or bias correction tend to be the largest contributors. The relative role of hydrological parameter uncertainty, however, is highest for those catchments showing the largest changes in flood seasonality, which confirms the lack of robustness in hydrological model parameterization for simulations under transient hydrometeorological conditions.
The 2008 eruption of Chaiten volcano in southern Chile severely impacted several densely forested river catchments by supplying excess pyroclastic sediment to the channel networks. Our aim is to substantiate whether and how channel geometry and forest stands changed in the Rayas River following the sudden input of pyroclastic sediment. We measured the resulting changes to channel geometry and riparian forest stands along 17.6 km of the impacted gravel-bed Rayas River (294 km(2)) from multiple high-resolution satellite images, aerial photographs, and fieldwork to quantify yield volume characteristics of the forest stands. Limited channel changes during the last 60 years before the eruption reflect a dynamic equilibrium condition of the river corridor, despite the high annual precipitation and the sediment supply from Chaiten and Michinmahuida volcanoes in the headwaters. Images taken in 1945, 2004, and 2005 show that total size of the vegetated channel islands nearly doubled between 1945 and 2004 and remained unchanged between 2004 and 2005. Pyroclastic sediment entering the Rayas River after the 2008 eruption caused only minor average channel widening (7%), but killed all island vegetation in the study reach. Substantial shifts in the size distribution of in-channel vegetation patches reflect losses in total island area of 46% from 2005 to 2009 and an additional 34% from 2009 to 2012. The estimated pulsed release of organic carbon into the channel, mainly in the form of large wood from obliterated island and floodplain forests, was 78-400 tC/km/y and surpasses most documented yields from small mountainous catchments with similar rainfall, forest cover, and disturbance history, while making up between 20% and 60% of the annual carbon burial rate of fluvial sediments in the northern Patagonian fjords. We conclude that the carbon footprint of the 2008 Chaiten eruption on the Rayas River was more significant than the measured geomorphic impacts on channel geometry for the first five years following disturbance. The modest post-eruptive geomorphic response in this river is a poor indicator of its biogeochemical response. (C) 2015 Elsevier B.V. All rights reserved.
We present an experimental approach to study the three-dimensional microstructure of gas diffusion layer (GDL) materials under realistic compression conditions. A dedicated compression device was designed that allows for synchrotron-tomographic investigation of circular samples under well-defined compression conditions. The tomographic data provide the experimental basis for stochastic modeling of nonwoven GDL materials. A plain compression tool is used to study the fiber courses in the material at different compression stages. Transport relevant geometrical parameters, such as porosity, pore size, and tortuosity distributions, are exemplarily evaluated for a GDL sample in the uncompressed state and for a compression of 30 vol.%. To mimic the geometry of the flow-field, we employed a compression punch with an integrated channel-rib-profile. It turned out that the GDL material is homogeneously compressed under the ribs, however, much less compressed underneath the channel. GDL fibers extend far into the channel volume where they might interfere with the convective gas transport and the removal of liquid water from the cell. (C) 2015 AIP Publishing LLC.
Ground-based magnetic surveying is a common geophysical method to explore near-surface environments in a non-destructive manner. In many typical applications (such as archaeological prospection), the resulting anomaly maps are often characterized by low signal-to-noise ratios and, thus, the suppression of noise is a key step in data processing. Here, we propose the steering kernel regression (SKR) method to denoise magnetic data sets. SKR has been recently developed to suppress random noise in images and video sequences. The core of the method is the steering kernel function which represents a robust estimate of local image structure. Using such a kernel within an iterative regression based denoising framework, helps to minimize image blurring and to preserve the underlying structures such as edges and corners. Because such filter characteristics are desirable for random noise attenuation in potential field data sets, we apply the SKR method for processing high-resolution ground-based magnetic data as they are typically collected in archaeological applications. We test and evaluate the SKR method using synthetic and field data examples and also compare it to more commonly employed denoising strategies relying, for example, on fixed filter masks (e.g., Gaussian filters). Our results show that the SKR method is successful in removing random and acquisition related noise present in our data. Concurrently, it preserves the local image structure including the amplitudes of anomalies. As demonstrated by derivative based transformations, the mentioned filter characteristics significantly impact subsequent processing steps and, therefore, result in an improved analysis and interpretation of magnetic data. Thus, the method can be considered as a promising and novel approach for denoising ground-based magnetic data.
Ground-penetrating radar (GPR) is an established geophysical method to explore near-surface sedimentary environments. Interpreting GPR images is largely based on manual procedures following concepts known as GPR facies analysis. We have developed a novel strategy to distinguish GPR facies in a largely automated and more objective manner. First, we calculate 13 textural attributes to quantify GPR reflection characteristics. Then, this database is reduced using principal component analysis. Finally, we image the dominating principal components using composite imaging and classify them using standard clustering methods. The potential of this work-flow is evaluated using a 2D GPR field example collected across stratified glaciofluvial deposits. Our results demonstrate that the derived facies images are well correlated with the composition and the porosity of the sediments as known from independent borehole logs. Our analysis strategy eases and improves the interpretability of GPR data and will help in a variety of geologic and hydrological problems.
Hyporheic exchange transports solutes into the subsurface where they can undergo biogeochemical transformations, affecting fluvial water quality and ecology. A three-dimensional numerical model of a natural in-stream gravel bar (20 m x 6 m) is presented. Multiple steady state streamflow is simulated with a computational fluid dynamics code that is sequentially coupled to a reactive transport groundwater model via the hydraulic head distribution at the streambed. Ambient groundwater flow is considered by scenarios of neutral, gaining, and losing conditions. The transformation of oxygen, nitrate, and dissolved organic carbon by aerobic respiration and denitrification in the hyporheic zone are modeled, as is the denitrification of groundwater-borne nitrate when mixed with stream-sourced carbon. In contrast to fully submerged structures, hyporheic exchange flux decreases with increasing stream discharge, due to decreasing hydraulic head gradients across the partially submerged structure. Hyporheic residence time distributions are skewed in the log-space with medians of up to 8 h and shift to symmetric distributions with increasing level of submergence. Solute turnover is mainly controlled by residence times and the extent of the hyporheic exchange flow, which defines the potential reaction area. Although streamflow is the primary driver of hyporheic exchange, its impact on hyporheic exchange flux, residence times, and solute turnover is small, as these quantities exponentially decrease under losing and gaining conditions. Hence, highest reaction potential exists under neutral conditions, when the capacity for denitrification in the partially submerged structure can be orders of magnitude higher than in fully submerged structures.
Stream water and groundwater are important fresh water resources but their water quality is deteriorated by harmful solutes introduced by human activities. The interface between stream water and the subsurface water is an important zone for retention, transformation and attenuation of these solutes. Streambed structures enhance these processes by increased water and solute exchange across this interface, denoted as hyporheic exchange.
This thesis investigates the influence of hydrological and morphological factors on hyporheic water and solute exchange as well as redox-reactions in fluvial streambed structures on the intermediate scale (10–30m). For this purpose, a three-dimensional numerical modeling approach for coupling stream water flow with porous media flow is used. Multiple steady state stream water flow scenarios over different generic pool-riffle morphologies and a natural in-stream gravel bar are simulated by a computational fluid dynamics code that provides the hydraulic head distribution at the streambed. These heads are subsequently used as the top boundary condition of a reactive transport groundwater model of the subsurface beneath the streambed. Ambient groundwater that naturally interacts with the stream water is considered in scenarios of different magnitudes of downwelling stream water (losing case) and upwelling groundwater (gaining case). Also, the neutral case, where stream stage and groundwater levels are balanced is considered. Transport of oxygen, nitrate and dissolved organic carbon and their reaction by aerobic respiration and denitrification are modeled.
The results show that stream stage and discharge primarily induce hyporheic exchange flux and solute transport with implications for specific residence times and reactions at both the fully and partially submerged structures. Gaining and losing conditions significantly diminish the extent of the hyporheic zone, the water exchange flux, and shorten residence times for both the fully and partially submerged structures. With increasing magnitude of gaining or losing conditions, these metrics exponentially decrease.
Stream water solutes are transported mainly advectively into the hyporheic zone and hence their influx corresponds directly to the infiltrating water flux. Aerobic respiration takes place in the shallow streambed sediments, coinciding to large parts with the extent of the hyporheic exchange flow. Denitrification occurs mainly as a “reactive fringe” surrounding the aerobic zone, where oxygen concentration is low and still a sufficient amount of stream water carbon source is available. The solute consumption rates and the efficiency of the aerobic and anaerobic reactions depend primarily on the available reactive areas and the residence times, which are both controlled by the interplay between hydraulic head distribution at the streambed and the gradients between stream stage and ambient groundwater. Highest solute consumption rates can be expected under neutral conditions, where highest solute flux, longest residence times and largest extent of the hyporheic exchange occur. The results of this thesis show that streambed structures on the intermediate scale have a significant potential to contribute to a net solute turnover that can support a healthy status of the aquatic ecosystem.
Episodes of environmental stability and instability may be equally important for African hominin speciation, dispersal, and cultural innovation. Three examples of a change from stable to unstable environmental conditions are presented on three different time scales: (1) the Mid Holocene (MH) wet dry transition in the Chew Bahir basin (Southern Ethiopian Rift; between 11 ka and 4 ka), (2) the MIS 5-4 transition in the Naivasha basin (Central Kenya Rift; between 160 ka and 50 ka), and (3) the Early Mid Pleistocene Transition (EMPT) in the Olorgesailie basin (Southern Kenya Rift; between 1.25 Ma and 0.4 Ma). A probabilistic age modeling technique is used to determine the timing of these transitions, taking into account possible abrupt changes in the sedimentation rate including episodes of no deposition (hiatuses). Interestingly, the stable-unstable conditions identified in the three records are always associated with an orbitally-induced decrease of insolation: the descending portion of the 800 kyr cycle during the EMPT, declining eccentricity after the 115 ka maximum at the MIS 5-4 transition, and after similar to 10 ka. This observation contributes to an evidence-based discussion of the possible mechanisms causing the switching between environmental stability and instability in Eastern Africa at three different orbital time scales (10,000 to 1,000,000 years) during the Cenozoic. This in turn may lead to great insights into the environmental changes occurring at the same time as hominin speciation, brain expansion, dispersal out of Africa, and cultural innovations and may provide key evidence to build new hypotheses regarding the causes of early human evolution. (C) 2015 Elsevier Ltd. All rights reserved.
Continental rifts are excellent regions where the interplay between extension, the build-up of topography, erosion and sedimentation can be evaluated in the context of landscape evolution. Rift basins also constitute important archives that potentially record the evolution and migration of species and the change of sedimentary conditions as a result of climatic change. Finally, rifts have increasingly become targets of resource exploration, such as hydrocarbons or geothermal systems. The study of extensional processes and the factors that further modify the mainly climate-driven surface process regime helps to identify changes in past and present tectonic and geomorphic processes that are ultimately recorded in rift landscapes.
The Cenozoic East African Rift System (EARS) is an exemplary continental rift system and ideal natural laboratory to observe such interactions. The eastern and western branches of the EARS constitute first-order tectonic and topographic features in East Africa, which exert a profound influence on the evolution of topography, the distribution and amount of rainfall, and thus the efficiency of surface processes. The Kenya Rift is an integral part of the eastern branch of the EARS and is characterized by high-relief rift escarpments bounded by normal faults, gently tilted rift shoulders, and volcanic centers along the rift axis.
Considering the Cenozoic tectonic processes in the Kenya Rift, the tectonically controlled cooling history of rift shoulders, the subsidence history of rift basins, and the sedimentation along and across the rift, may help to elucidate the morphotectonic evolution of this extensional province. While tectonic forcing of surface processes may play a minor role in the low-strain rift on centennial to millennial timescales, it may be hypothesized that erosion and sedimentation processes impacted by climate shifts associated with pronounced changes in the availability in moisture may have left important imprints in the landscape.
In this thesis I combined thermochronological, geomorphic field observations, and morphometry of digital elevation models to reconstruct exhumation processes and erosion rates, as well as the effects of climate on the erosion processes in different sectors of the rift. I present three sets of results: (1) new thermochronological data from the northern and central parts of the rift to quantitatively constrain the Tertiary exhumation and thermal evolution of the Kenya Rift. (2) 10Be-derived catchment-wide mean denudation rates from the northern, central and southern rift that characterize erosional processes on millennial to present-day timescales; and (3) paleo-denudation rates in the northern rift to constrain climatically controlled shifts in paleoenvironmental conditions during the early Holocene (African Humid Period).
Taken together, my studies show that time-temperature histories derived from apatite fission track (AFT) analysis, zircon (U-Th)/He dating, and thermal modeling bracket the onset of rifting in the Kenya Rift between 65-50 Ma and about 15 Ma to the present. These two episodes are marked by rapid exhumation and, uplift of the rift shoulders. Between 45 and 15 Ma the margins of the rift experienced very slow erosion/exhumation, with the accommodation of sediments in the rift basin.
In addition, I determined that present-day denudation rates in sparsely vegetated parts of the Kenya Rift amount to 0.13 mm/yr, whereas denudation rates in humid and more densely vegetated sectors of the rift flanks reach a maximum of 0.08 mm/yr, despite steeper hillslopes. I inferred that hillslope gradient and vegetation cover control most of the variation in denudation rates across the Kenya Rift today. Importantly, my results support the notion that vegetation cover plays a fundamental role in determining the voracity of erosion of hillslopes through its stabilizing effects on the land surface.
Finally, in a pilot study I highlighted how paleo-denudation rates in climatic threshold areas changed significantly during times of transient hydrologic conditions and involved a sixfold increase in erosion rates during increased humidity. This assessment is based on cosmogenic nuclide (10Be) dating of quartzitic deltaic sands that were deposited in the northern Kenya Rift during a highstand of Lake Suguta, which was associated with the Holocene African Humid Period. Taken together, my new results document the role of climate variability in erosion processes that impact climatic threshold environments, which may provide a template for potential future impacts of climate-driven changes in surface processes in the course of Global Change.
Piggyback basins on the margins of growing orogens commonly serve as sensitive recorders of the onset of thrust deformation and changes in source areas. The Bieertuokuoyi piggyback basin, located in the hanging wall of the Pamir Frontal Thrust, provides an unambiguous record of the outward growth of the northeast Pamir margin in northwest China from the Miocene through the Quaternary. To reconstruct the deformation along the margin, we synthesized structural mapping, stratigraphy, magnetostratigraphy, and cosmogenic burial dating of basin fill and growth strata. The Bieertuokuoyi basin records the initiation of the Pamir Frontal Thrust and the Takegai Thrust similar to 5-6Ma, as well as clast provenance and paleocurrent changes resulting from the Pliocene-to-Recent uplift and exhumation of the Pamir to the south. Our results show that coeval deformation was accommodated on the major structures on the northeast Pamir margin throughout the Miocene to Recent. Furthermore, our data support a change in the regional kinematics around the Miocene-Pliocene boundary (similar to 5-6Ma). Rapid exhumation of NE Pamir extensional domes, coupled with cessation of the Kashgar-Yecheng Transfer System on the eastern margin of the Pamir, accelerated the outward propagation of the northeastern Pamir margin and the southward propagation of the Kashi-Atushi fold-and-thrust belt in the southern Tian Shan. This coeval deformation signifies the coupling of the Pamir and Tarim blocks and the transfer of shortening north to the Pamir frontal faults and across the quasi-rigid Tarim Basin to the southern Tian Shan Kashi-Atushi fold-and-thrust system.
Runoff, especially during summer months, and low flows have decreased in Central and Eastern Europe during the last decades. A detailed knowledge on predictors and dependencies between meteorological forcing, catchment properties and low flow is necessary to optimize regional adaption strategies to sustain minimum runoff. The objective of this study is to identify low flow predictors for 16 small catchments in Northeast Germany and their long-term shifts between 1965 and 2006. Non-linear regression models (support vector machine regression) were calibrated to iteratively select the most powerful low flow predictors regarding annual 30-day minimum flow (AM(30)). The data set consists of standardized precipitation (SPI) and potential evapotranspiration (SpETI) indices on different time scales and lag times. The potential evapotranspiration of the previous 48 and 3 months, as well as the precipitation of the previous 3 months and last year were the most relevant predictors for AM(30). Pearson correlation (r(2)) of the final model is 0.49 and if for every year the results for all catchments are averaged r(2) increases to 0.80 because extremes are smoothing out. Evapotranspiration was the most important low flow predictor for the study period. However, distinct long-term shifts in the predictive power of variables became apparent. The potential evapotranspiration of the previous 48 months explained most of the variance, but its relevance decreased during the last decades. The importance of precipitation variables increased with time. Model performance was higher at catchments with a more damped discharge behavior. The results indicate changes in the relevant processes or flow paths generating low flows. The identified predictors, temporal patterns and patterns between catchments will support the development of low flow monitoring systems and determine those catchments where adaption measures should aim more at increasing groundwater recharge. (C) 2014 Elsevier B.V. All rights reserved.
Flood risk analyses are often estimated assuming the same flood intensity along the river reach under study, i.e. discharges are calculated for a number of return periods T, e.g. 10 or 100 years, at several streamflow gauges. T-year discharges are regionalised and then transferred into T-year water levels, inundated areas and impacts. This approach assumes that (1) flood scenarios are homogeneous throughout a river basin, and (2) the T-year damage corresponds to the T-year discharge. Using a reach at the river Rhine, this homogeneous approach is compared with an approach that is based on four flood types with different spatial discharge patterns. For each type, a regression model was created and used in a Monte-Carlo framework to derive heterogeneous scenarios. Per scenario, four cumulative impact indicators were calculated: (1) the total inundated area, (2) the exposed settlement and industrial areas, (3) the exposed population and 4) the potential building loss. Their frequency curves were used to establish a ranking of eight past flood events according to their severity. The investigation revealed that the two assumptions of the homogeneous approach do not hold. It tends to overestimate event probabilities in large areas. Therefore, the generation of heterogeneous scenarios should receive more attention.
This study focuses on evaluating the potential of ALOS/PALSAR time-series data to analyze the activation of deep-seated landslides in the foothill zone of the high mountain Alai range in the southern Tien Shan (Kyrgyzstan). Most previous field-based landslide investigations have revealed that many landslides have indicators for ongoing slow movements in the form of migrating and newly developing cracks. L-band ALOS/PALSAR data for the period between 2007 and 2010 are available for the 484 km(2) area in this study. We analyzed these data using the Small Baseline Subset (SBAS) time-series technique to assess the surface deformation related to the activation of landslides. We observed up to +/- 17 mm/year of LOS velocity deformation rates, which were projected along the local steepest slope and resulted in velocity rates of up to -63 mm/year. The obtained rates indicate very slow movement of the deep-seated landslides during the observation time. We also compared these movements with precipitation and earthquake records. The results suggest that the deformation peaks correlate with rainfall in the 3 preceding months and with an earthquake event. Overall, the results of this study indicated the great potential of L-band InSAR time series analysis for efficient spatiotemporal identification and monitoring of slope activations in this region of high landslide activity in Southern Kyrgyzstan.
Information on extreme precipitation for future climate is needed to assess the changes in the frequency and intensity of flooding. The primary source of information in climate change impact studies is climate model projections. However, due to the coarse resolution and biases of these models, they cannot be directly used in hydrological models. Hence, statistical downscaling is necessary to address climate change impacts at the catchment scale.
This study compares eight statistical downscaling methods (SDMs) often used in climate change impact studies. Four methods are based on change factors (CFs), three are bias correction (BC) methods, and one is a perfect prognosis method. The eight methods are used to downscale precipitation output from 15 regional climate models (RCMs) from the ENSEMBLES project for 11 catchments in Europe. The overall results point to an increase in extreme precipitation in most catchments in both winter and summer. For individual catchments, the downscaled time series tend to agree on the direction of the change but differ in the magnitude. Differences between the SDMs vary between the catchments and depend on the season analysed. Similarly, general conclusions cannot be drawn regarding the differences between CFs and BC methods. The performance of the BC methods during the control period also depends on the catchment, but in most cases they represent an improvement compared to RCM outputs. Analysis of the variance in the ensemble of RCMs and SDMs indicates that at least 30% and up to approximately half of the total variance is derived from the SDMs. This study illustrates the large variability in the expected changes in extreme precipitation and highlights the need for considering an ensemble of both SDMs and climate models. Recommendations are provided for the selection of the most suitable SDMs to include in the analysis.
Especially for extreme precipitation or floods, there is considerable spatial and temporal variability in long term trends or in the response of station time series to large-scale climate indices. Consequently, identifying trends or sensitivity of these extremes to climate parameters can be marked by high uncertainty. When one develops a nonstationary frequency analysis model, a key step is the identification of potential trends or effects of climate indices on the station series. An automatic clustering procedure that effectively pools stations where there are similar responses is desirable to reduce the estimation variance, thus improving the identification of trends or responses, and accounting for spatial dependence. This paper presents a new hierarchical Bayesian approach for exploring homogeneity of response in large area data sets, through a multicomponent mixture model. The approach allows the reduction of uncertainties through both full pooling and partial pooling of stations across automatically chosen subsets of the data. We apply the model to study the trends in annual maximum daily stream flow at 68 gauges over Germany. The effects of changing the number of clusters and the parameters used for clustering are demonstrated. The results show that there are large, mainly upward trends in the gauges of the River Rhine Basin in Western Germany and along the main stream of the Danube River in the south, while there are also some small upward trends at gauges in Central and Northern Germany.
Sediments in rivers record the dynamics of erosion processes. While bulk sediment fluxes are easily and routinely obtained, sediment caliber remains underexplored when inferring erosion mechanisms. Yet sediment grain size distributions may be the key to discriminating their origin. We have studied grain size-specific suspended sediment fluxes in the Kali Gandaki, a major trans-Himalayan river. Two strategically located gauging stations enable tracing of sediment caliber on either side of the Himalayan orographic barrier. The data show that fine sediment input into the northern headwaters is persistent, while coarse sediment comes from the High Himalayas during the summer monsoon. A temporally matching landslide inventory similarly indicates the prominence of monsoon-driven hillslope mass wasting. Thus, mechanisms of sediment supply can leave strong traces in the fluvial caliber, which could project well beyond the mountain front and add to the variability of the sedimentary record of orogen erosion.
The organic-carbon (OC) pool accumulated in Arctic permafrost (perennially frozen ground) equals the carbon stored in the modern atmosphere. To give an idea of how Yedoma region permafrost could respond under future climatic warming, we conducted a study to quantify the organic-matter quality (here defined as the intrinsic potential to be further transformed, decomposed, and mineralized) of late Pleistocene (Yedoma) and Holocene (thermokarst) deposits on the Buor-Khaya Peninsula, northeast Siberia. The objective of this study was to develop a stratigraphic classified organic-matter quality characterization. For this purpose the degree of organic-matter decomposition was estimated by using a multiproxy approach. We applied sedimentological (grain-size analyses, bulk density, ice content) and geochemical parameters (total OC, stable carbon isotopes (delta C-13),total organic carbon : nitrogen (C / N) ratios) as well as lipid biomarkers (n-alkanes, n-fatty acids, hopanes, triterpenoids, and biomarker indices, i.e., average chain length, carbon preference index (CPI), and higher-plant fatty-acid index (HPFA)). Our results show that the Yedoma and thermokarst organic-matter qualities for further decomposition exhibit no obvious degradation-depth trend. Relatively, the C / N and delta C-13 values and the HPFA index show a significantly better preservation of the organic matter stored in thermokarst deposits compared to Yedoma deposits. The CPI data suggest less degradation of the organic matter from both deposits, with a higher value for Yedoma organic matter. As the interquartile ranges of the proxies mostly over-lap, we interpret this as indicating comparable quality for further decomposition for both kinds of deposits with likely better thermokarst organic-matter quality. Supported by principal component analyses, the sediment parameters and quality proxies of Yedoma and thermokarst deposits could not be unambiguously separated from each other. This revealed that the organic-matter vulnerability is heterogeneous and depends on different decomposition trajectories and the previous decomposition and preservation history. Elucidating this was one of the major new contributions of our multiproxy study. With the addition of biomarker data, it was possible to show that permafrost organic-matter degradation likely occurs via a combination of (uncompleted) degradation cycles or a cascade of degradation steps rather than as a linear function of age or sediment facies. We conclude that the amount of organic matter in the studied sediments is high for mineral soils and of good quality and therefore susceptible to future decomposition. The lack of depth trends shows that permafrost acts like a giant freezer, preserving the constant quality of ancient organic matter. When undecomposed Yedoma organic matter is mobilized via thermokarst processes, the fate of this carbon depends largely on the environmental conditions; the carbon could be preserved in an undecomposed state till refreezing occurs. If modern input has occurred, thermokarst organic matter could be of a better quality for future microbial decomposition than that found in Yedoma deposits.
The use of topographic metrics for estimating the susceptibility to, and reconstructing the characteristics of, debris flows has a long research tradition, although largely devoted to humid mountainous terrain. The exceptional 2010 monsoonal rainstorms in the high-altitude mountain desert of Ladakh and Zanskar, NW India, were a painful reminder of how susceptible arid regions are to rainfall-triggered flash floods, landslides, and debris flows. The rainstorms of August 4-6 triggered numerous debris flows, killing 182 people, devastating 607 houses, and more than 10 bridges around Ladakh's capital of Leh. The lessons from this disaster motivated us to revisit methods of predicting (a) flow parameters such as peak discharge and maximum velocity from field and remote sensing data, and (b) the susceptibility to debris flows from catchment morphometry. We focus on quantifying uncertainties tied to these approaches. Comparison of high-resolution satellite images pre- and post-dating the 2010 rainstorm reveals the extent of damage and catastrophic channel widening. Computations based on these geomorphic markers indicate maximum flow velocities of 1.6-6.7 m s(-1) with runout of up to similar to 10 km on several alluvial fans that sustain most of the region's settlements. We estimate median peak discharges of 310-610 m(3) s(-1), which are largely consistent with previous estimates. Monte Carlo-based error propagation for a single given flow-reconstruction method returns a variance in discharge similar to one derived from juxtaposing several different flow reconstruction methods. We further compare discriminant analysis, classification tree modelling, and Bayesian logistic regression to predict debris-flow susceptibility from morphometric variables of 171 catchments in the Ladakh Range. These methods distinguish between fluvial and debris flow-prone catchments at similar success rates, but Bayesian logistic regression allows quantifying uncertainties and relationships between potential predictors. We conclude that, in order to be robust and reliable, morphometric reconstruction of debris-flow properties and susceptibility requires careful assessment and reporting of errors and uncertainties. (C) 2015 Elsevier B.V. All rights reserved.
Improving semi-automated glacier mapping with a multi-method approach: applications in central Asia
(2015)
Studies of glaciers generally require precise glacier outlines. Where these are not available, extensive manual digitization in a geographic information system (GIS) must be performed, as current algorithms struggle to delineate glacier areas with debris cover or other irregular spectral profiles. Although several approaches have improved upon spectral band ratio delineation of glacier areas, none have entered wide use due to complexity or computational intensity.
In this study, we present and apply a glacier mapping algorithm in Central Asia which delineates both clean glacier ice and debris-covered glacier tongues. The algorithm is built around the unique velocity and topographic characteristics of glaciers and further leverages spectral and spatial relationship data. We found that the algorithm misclassifies between 2 and 10% of glacier areas, as compared to a similar to 750 glacier control data set, and can reliably classify a given Landsat scene in 3-5 min.
The algorithm does not completely solve the difficulties inherent in classifying glacier areas from remotely sensed imagery but does represent a significant improvement over purely spectral-based classification schemes, such as the band ratio of Landsat 7 bands three and five or the normalized difference snow index. The main caveats of the algorithm are (1) classification errors at an individual glacier level, (2) reliance on manual intervention to separate connected glacier areas, and (3) dependence on fidelity of the input Landsat data.
It has been known for many decades that the lunar tidal influence in the equatorial electrojet (EEJ) is noticeably enhanced during Northern Hemisphere winters. Recent literature has discussed the role of stratospheric sudden warming (SSW) events behind the enhancement of lunar tides and the findings suggest a positive correlation between the lunar tidal amplitude and lower stratospheric parameters (zonal mean air temperature and zonal mean zonal wind) during SSW events. The positive correlation raises the question whether an inverse approach could also be developed which makes it possible to deduce the occurrence of SSW events before their direct observations (before 1952) from the amplitude of the lunar tides. This study presents an analysis technique based on the phase of the semi-monthly lunar tide to determine the lunar tidal modulation of the EEJ. A statistical approach using the superposed epoch analysis is also carried out to formulate a relation between the EEJ tidal amplitude and lower stratospheric parameters. Using these results, we have estimated a threshold value for the tidal wave power that could be used to identify years with SSW events from magnetic field observations.
We present a new record of eolian dust flux to the western Subarctic North Pacific (SNP) covering the past 27,000years based on a core from the Detroit Seamount. Comparing the SNP dust record to the North Greenland Ice Core Project (NGRIP) ice core record shows significant differences in the amplitude of dust changes to the two regions during the last deglaciation, while the timing of abrupt changes is synchronous. If dust deposition in the SNP faithfully records its mobilization in East Asian source regions, then the difference in the relative amplitude must reflect climate-related changes in atmospheric dust transport to Greenland. Based on the synchronicity in the timing of dust changes in the SNP and Greenland, we tie abrupt deglacial transitions in the Th-230-normalized He-4 flux record to corresponding transitions in the well-dated NGRIP dust flux record to provide a new chronostratigraphic technique for marine sediments from the SNP. Results from this technique are complemented by radiocarbon dating, which allows us to independently constrain radiocarbon paleoreservoir ages. We find paleoreservoir ages of 745140years at 11,653year B.P., 680228years at 14,630year B.P., and 790498years at 23,290year B.P. Our reconstructed paleoreservoir ages are consistent with modern surface water reservoir ages in the western SNP. Good temporal synchronicity between eolian dust records from the Subantarctic Atlantic and equatorial Pacific and the ice core record from Antarctica supports the reliability of the proposed dust tuning method to be used more widely in other global ocean regions.
In this paper we report on a series of replicated tracer experiments with deuterium conducted under controlled, steady stormflow conditions at the Gardsjon G1 catchment in south-western Sweden. In five different years, these experiments were carried out in a subcatchment of G1. Deuterium was applied as a narrow pulse so that distributions of water transit times could be directly inferred from the observed tracer breakthrough curves. Significantly different transit times of water were observed under similar experimental conditions. Coefficients of variation for estimated mean transit times were greater than 60%, which can be understood as a measure of the interannual variability for this type of experiments. Implications for water transit times under more natural flow conditions as wells as for future experimentation are discussed. Copyright (c) 2015 John Wiley & Sons, Ltd.
Climate change will alter the forces of predation and competition in temperate ectotherm food webs. This may increase local extinction rates, change the fate of invasions and impede species reintroductions into communities. Invasion success could be modulated by traits (e.g., defenses) and adaptations to climate. We studied how different temperatures affect the time until extinction of species, using bitrophic and tritrophic planktonic food webs to evaluate the relative importance of predatory overexploitation and competitive exclusion, at 15 and 25 A degrees C. In addition, we tested how inclusion of a subtropical as opposed to a temperate strain in this model food web affects times until extinction. Further, we studied the invasion success of the temperate rotifer Brachionus calyciflorus into the planktonic food web at 15 and 25 A degrees C on five consecutive introduction dates, during which the relative forces of predation and competition differed. A higher temperature dramatically shortened times until extinction of all herbivore species due to carnivorous overexploitation in tritrophic systems. Surprisingly, warming did not increase rates of competitive exclusion among the tested herbivore species in bitrophic communities. Including a subtropical herbivore strain reduced top-down control by the carnivore at high temperature. Invasion attempts of temperate B. calyciflorus into the food web always succeeded at 15 A degrees C, but consistently failed at 25 A degrees C due to voracious overexploitation by the carnivore. Pre-induction of defenses (spines) in B. calyciflorus before the invasion attempt did not change its invasion success at the high temperature. We conclude that high temperatures may promote local extinctions in temperate ectotherms and reduce their chances of successful recovery.
Dinosterol delta D values in stratified tropical lakes (Cameroon) are affected by eutrophication
(2015)
In freshwater settings, dinosterol (4 alpha,23,24-trimethyl-5 alpha-cholest-22E-en-3 beta-ol) is produced primarily by dinoflagellates, which encompass various species including autotrophs, mixotrophs and heterotrophs. Due to its source specificity and occurrence in lake and marine sediments, its presence and hydrogen isotopic composition (delta D) should be valuable proxies for paleohydrological reconstruction. However, because the purity required for hydrogen isotope measurements is difficult to achieve using standard wet chemical purification methods, their potential as a paleohydrological proxy is rarely exploited. In this study, we tested delta D values of dinosterol in both particulate organic matter (POM) and sediments of stratified tropical freshwater lakes (from Cameroon) as a paleohydrological proxy, the lakes being characterized by variable degrees of eutrophication. In POM and sediment samples, the delta D values of dinosterol correlated with lake water delta D values, confirming a first order influence of source water delta D values. However, we observed that sedimentary dinosterol was D enriched from ca. 19 to 54% compared with POM dinosterol. The enrichment correlated with lake water column conditions, mainly the redox potential at the oxic-anoxic interface (E-h OAI). The observations suggest that paleohydrologic reconstruction from delta D values of dinosterol in the sediments of stratified tropical lakes ought to be sensitive to the depositional environment, in addition to lake water delta D values, with more positive dinosterol delta values potentially reflecting increasing lake eutrophication. Furthermore, in lake sediments, the concentration of partially reduced vs. non-reduced C-34 botryococcenes, stanols vs. stenols, and bacterial (diploptene, diplopterol and beta beta-bishomohopanol) vs. planktonic/terrestrial lipids (cholesterol, campesterol and dinosterol) correlated with Eh OAI. We suggest using such molecular proxies for lake redox conditions in combination with dinosterol delta D values to evaluate the effect of lake trophic status on sedimentary dinosterol delta D values, as a basis for accurately reconstructing tropical lake water delta D values. (C) 2015 Elsevier Ltd. All rights reserved.
The observation that the hydrogen isotope composition (delta D) of leaf wax lipids is determined mainly by precipitation delta D values, has resulted in the application of these biomarkers to reconstruct paleoclimate from geological records. However, because the delta D values of leaf wax lipids are additionally affected by vegetation type and ecosystem evapotranspiration, paleoclimatic reconstruction remains at best semi-quantitative. Here, we used published results for the carbon isotope composition (delta C-13) of n-alkanes in common plants along a latitudinal gradient in C-3/C-4 vegetation and relative humidity in Cameroon and demonstrated that pentacyclic triterpene methyl ethers (PTMEs) and n-C-29 and n-C-31 in the same soil, derived mainly from C-4 graminoids (e.g. grass) and C-3 plants (e.g. trees and shrubs), respectively. We found that the delta D values of soil n-C-27, n-C29 and n-C-31, and PTMEs correlated significantly with surface water delta D values, supporting previous observations that leaf wax lipid delta D values are an effective proxy for reconstructing precipitation delta D values even if plant types changed significantly. The apparent fractionation (epsilon(app)) between leaf wax lipid and precipitation delta D values remained relatively constant for C-3-derived long chain n-alkanes, whereas eapp of C-4-derived PTMEs decreased by 20 parts per thousand along the latitudinal gradient encompassing a relative humidity range from 80% to 45%. Our results indicate that PTME delta D values derived from C-4 graminoids may be a more reliable paleo-ecohydrological proxy for ecosystem evapotranspiration within tropical and sub-tropical Africa than n-alkane delta D values, the latter being a better proxy for surface water delta D values. We suggest that vegetation changes associated with different plant water sources and/or difference in timing of leaf wax synthesis between C-3 trees of the transitional class and C-3 shrubs of the savanna resulted in a D depletion in soil long chain n-alkanes, thereby counteracting the effect of evapotranspiration D enrichment along the gradient. In contrast, evaporative D enrichment of leaf and soil water was significant enough to be recorded in the delta D values of PTMEs derived from C-4 graminoids, likely because PTMEs recorded the hydrogen isotopic composition of the same vegetation type.
This study presents the development of 1D and 2D Surface Evolution Codes (SECs) and their coupling to any lithospheric-scale (thermo-)mechanical code with a quadrilateral structured surface mesh.
Both SECs involve diffusion as approach for hillslope processes and the stream power law to reflect riverbed incision. The 1D SEC settles sediment that was produced by fluvial incision in the appropriate minimum, while the supply-limited 2D SEC DANSER uses a fast filling algorithm to model sedimantation. It is based on a cellular automaton. A slope-dependent factor in the sediment flux extends the diffusion equation to nonlinear diffusion. The discharge accumulation is achieved with the D8-algorithm and an improved drainage accumulation routine. Lateral incision enhances the incision's modelling. Following empirical laws, it incises channels of several cells width.
The coupling method enables different temporal and spatial resolutions of the SEC and the thermo-mechanical code. It transfers vertical as well as horizontal displacements to the surface model. A weighted smoothing of the 3D surface displacements is implemented. The smoothed displacement vectors transmit the deformation by bilinear interpolation to the surface model. These interpolation methods ensure mass conservation in both directions and prevent the two surfaces from drifting apart.
The presented applications refer to the evolution of the Pamir orogen. A calibration of DANSER's parameters with geomorphological data and a DEM as initial topography highlights the advantage of lateral incision. Preserving the channel width and reflecting incision peaks in narrow channels, this closes the huge gap between current orogen-scale incision models and observed topographies.
River capturing models in a system of fault-bounded block rotations reaffirm the importance of the lateral incision routine for capturing events with channel initiation. The models show a low probability of river capturings with large deflection angles. While the probability of river capturing is directly depending on the uplift rate, the erodibility inside of a dip-slip fault speeds up headward erosion along the fault: The model's capturing speed increases within a fault.
Coupling DANSER with the thermo-mechanical code SLIM 3D emphasizes the versatility of the SEC. While DANSER has minor influence on the lithospheric evolution of an indenter model, the brittle surface deformation is strongly affected by its sedimentation, widening a basin in between two forming orogens and also the southern part of the southern orogen to south, east and west.
The response of surface processes to climatic forcing is fundamental for understanding the impacts of climate change on landscape evolution. In the Himalaya, most large rivers feature prominent fill terraces that record an imbalance between sediment supply and transport capacity, presumably due to past fluctuations in monsoon precipitation and/or effects of glaciation at high elevation. Here, we present volume estimates, chronological constraints, and Be-10-derived paleo-erosion rates from a prominent valley fill in the Yamuna catchment, Garhwal Himalaya, to elucidate the coupled response of rivers and hillslopes to Pleistocene climate change. Although precise age control is complicated due to methodological problems, the new data support formation of the valley fill during the late Pleistocene and its incision during the Holocene. We interpret this timing to indicate that changes in discharge and river-transport capacity were major controls. Compared to the present day, late Pleistocene hillslope erosion rates were higher by a factor of similar to 2-4, but appear to have decreased during valley aggradation. The higher late Pleistocene erosion rates are largely unrelated to glacial erosion and could be explained by enhanced sediment production on steep hillslopes due to increased periglacial activity that declined as temperatures increased. Alternatively, erosion rates that decrease during valley aggradation are also consistent with reduced landsliding from threshold hillslopes as a result of rising base levels. In that case, the similarity of paleo-erosion rates near the end of the aggradation period with modern erosion rates might imply that channels and hillslopes are not yet fully coupled everywhere and that present-day hillslope erosion rates may underrepresent long-term incision rates. (C) 2015 Elsevier B.V. All rights reserved.
It is widely accepted that climate has a strong impact and exerts important feedbacks on erosional processes and sediment transport mechanisms. However, the extent at which climate influences erosion is still a matter of debate. In this paper we test whether frost-cracking processes and related temperature variations can influence the sediment production and surface erosion in a small catchment situated in the eastern Italian Alps. To this extent, we first present a geomorphic map of the region that we complement with published Be-10-based denudation rates. We then apply a preexisting heat-flow model in order to analyze the variations of the frost-cracking intensity (FCI) in the study area, which could have controlled the sediment production in the basin. Finally, we compare the model results with the pattern of denudation rates and Quaternary deposits in the geomorphic map. The model results, combined with field observations, mapping, and quantitative geomorphic analyses, reveal that frost-cracking processes have had a primary role in the production of sediment where the intensity of sediment supply has been dictated and limited by the combined effect of temperature variations and conditions of bedrock preservation. These results highlight the importance of a yet poorly understood process for the production of sediment in mountain areas. (C) 2015 Elsevier B.V. All rights reserved.
This paper reports on extremely thick and massive duricrusts in soils of two basins in the Alentejo (southern Portugal). Since different types of duricrusts (calcretes, silcretes and palycretes) have been reported from other regions in the Mediterranean, the purpose of this study was to identify the cementing agents in the duricrusts and to compare their composition in the two basins. Moreover, the study aimed at identifying the processes involved in duricrust formation, and especially the role of topography and lateral water and element transport in the landscape, and drawing conclusions about environmental conditions and time of duricrust formation.
After studying an extensive number of road cuts in the field and mapping soil patterns in parts of the two basins by manual augering, ten pedons were selected for detailed description and sampling. Thin sections were analysed under a petrographic microscope, focusing on the micromorphology and optical properties of the cementing materials. Selected samples were studied by scanning electron microscopy and energy-dispersive X-ray spectroscopy to reconfirm the optical identification. The laboratory analyses included pH, carbonate contents, and X-ray diffraction analysis.
The duricrusts in the eastern Sado basin are indurated by silica. Combination of XRD and thin section analysis allowed to identify opal-CT as a major component, while opal-A is present to a lesser extent, and chalcedony is very rare. The cementing materials of the duricrusts in the Oriola basin are palygorskite and calcite, which may occur alone or in combination within a soil profile.
The thick duricrusts formed in the basins through precipitation of calcite, palygorskite and silica from lateral water flows, which ran from the Serra de Portel into the basins, during short moist seasons in a generally warm, semi-arid climate with strong evapotranspiration. Lithology of the upper catchment areas (element sources) and topography control the spatial distribution of the different duricrusts. Their formation took place mainly during the Pliocene. Palygorskite transformation to smectite in the upper parts of the palycretes indicates that palygorskite is unstable in the present (more humid, typical Mediterranean) climate. This study demonstrates the potential role of lateral water and element transport in landscapes that need to be considered in pedological studies and concepts, and the use of mineral indicators of past climates such as palygorskite and the ageing stage of silica precipitations as tools for reconstructing environmental conditions and possible time of duricrust formation.
A better understanding of past variations of the Indian Summer Monsoon (ISM), that plays a vital role for the still largely agro-based economy in India, can lead to a better assessment of its potential impact under global climate change scenarios. However, our knowledge of spatiotemporal patterns of ISM strength is limited due to the lack of high-resolution, continental paleohydrological records. Here, we reconstruct centennial-scale hydrological variability during the Holocene associated to changes in the intensity of the ISM based on a record of lipid biomarker abundances and compound-specific stable isotopic composition of a 10 m long sediment core from saline alkaline Lonar Lake, situated in the core 'monsoon zone' of central India.
We identified three main periods of distinct hydrology during the Holocene in central India. The period between 10.1 and 6 cal ka BP was likely the wettest during the Holocene. Lower average chain length (ACL) index values (29.4-28.6) and negative delta C-13(wax) values (-34.8 parts per thousand to -27.8 parts per thousand) of leaf wax n-alkanes indicate the dominance of woody C-3 vegetation in the catchment, and negative delta D-wax values (concentration weighted average) (-171 parts per thousand to -147 parts per thousand) suggest a wet period due to an intensified monsoon. After 6 cal ka BP, a gradual shift to less negative delta C-13(wax) values (particularly for the grass derived n-C-31) and appearance of the triterpene lipid tetrahymanol, generally considered as a marker for salinity and water column stratification, mark the onset of drier conditions. At 5.1 cal ka BP an increasing flux of leaf wax n-alkanes along with the highest flux of tetrahymanol indicate a major lowering of the lake level. Between 4.8 and 4 cal ka BP, we find evidence for a transition to arid conditions, indicated by high and strongly variable tetrahymanol flux. In addition, a pronounced shift to less negative delta C-13(wax) values, in particular for n-C-31 (-25.2 parts per thousand to -22.8 parts per thousand), during this period indicates a change of dominant vegetation to C-4 grasses. In agreement with other proxy data, such as deposition of evaporite minerals, we interpret this period to reflect the driest conditions in the region during the last 10.1 ka. This transition led to protracted late Holocene arid conditions after 4 ka with the presence of a permanent saline lake, supported by the sustained presence of tetrahymanol and more positive average delta D-wax values (-122 parts per thousand to -141 parts per thousand). A late Holocene peak of cyanobacterial biomarker input at 1.3 cal ka BP might represent an event of lake eutrophication, possibly due to human impact and the onset of cattle/livestock farming in the catchment.
A unique feature of our record is the presence of a distinct transitional period between 4.8 and 4 cal ka BP, which was characterized by some of the most negative delta D-wax values during the Holocene (up to -180 parts per thousand), when all other proxy data indicate the driest conditions during the Holocene. These negative delta D-wax values can as such most reasonably be explained by a shift in moisture source area and/or pathways or rainfall seasonality during this transitional period. We hypothesize that orbital induced weakening of the summer solar insolation and associated reorganization of the general atmospheric circulation, as a possible southward displacement of the tropical rainbelt, led to an unstable hydroclimate in central India between 4.8 and 4 ka.
The causes for the formation of large igneous provinces and hotspot trails are still a matter of considerable dispute. Seismic tomography and other studies suggest that hot mantle material rising from the core-mantle boundary (CMB) might play a significant role in the formation of such hotspot trails. An important area to verify this concept is the South Atlantic region, with hotspot trails that spatially coincide with one of the largest low-velocity regions at the CMB, the African large low shear-wave velocity province. The Walvis Ridge started to form during the separation of the South American and African continents at ca. 130 Ma as a consequence of Gondwana breakup. Here, we present the first deep-seismic sounding images of the crustal structure from the landfall area of the Walvis Ridge at the Namibian coast to constrain processes of plume-lithosphere interaction and the formation of continental flood basalts (Parana and Etendeka continental flood basalts) and associated intrusive rocks. Our study identified a narrow region (<100 km) of high-seismic-velocity anomalies in the middle and lower crust, which we interpret as a massive mafic intrusion into the northern Namibian continental crust. Seismic crustal reflection imaging shows a flat Moho as well as reflectors connecting the high-velocity body with shallow crustal structures that we speculate to mark potential feeder channels of the Etendeka continental flood basalt. We suggest that the observed massive but localized mafic intrusion into the lower crust results from similar-sized variations in the lithosphere (i.e., lithosphere thickness or preexisting structures).
Assessing uncertainty in refraction seismic traveltime inversion using a global inversion strategy
(2015)
To analyse and invert refraction seismic travel time data, different approaches and techniques have been proposed. One common approach is to invert first-break travel times employing local optimization approaches. However, these approaches result in a single velocity model, and it is difficult to assess the quality and to quantify uncertainties and non-uniqueness of the found solution. To address these problems, we propose an inversion strategy relying on a global optimization approach known as particle swarm optimization. With this approach we generate an ensemble of acceptable velocity models, i.e., models explaining our data equally well. We test and evaluate our approach using synthetic seismic travel times and field data collected across a creeping hillslope in the Austrian Alps. Our synthetic study mimics a layered near-surface environment, including a sharp velocity increase with depth and complex refractor topography. Analysing the generated ensemble of acceptable solutions using different statistical measures demonstrates that our inversion strategy is able to reconstruct the input velocity model, including reasonable, quantitative estimates of uncertainty. Our field data set is inverted, employing the same strategy, and we further compare our results with the velocity model obtained by a standard local optimization approach and the information from a nearby borehole. This comparison shows that both inversion strategies result in geologically reasonable models (in agreement with the borehole information). However, analysing the model variability of the ensemble generated using our global approach indicates that the result of the local optimization approach is part of this model ensemble. Our results show the benefit of employing a global inversion strategy to generate near-surface velocity models from refraction seismic data sets, especially in cases where no detailed a priori information regarding subsurface structures and velocity variations is available.
Non-invasive imaging techniques to study O-2 micro-patterns around pesticide treated lupine roots
(2015)
The soil root interface is a highly heterogeneous system, e.g. in terms of O-2 and pH distribution. The destructive character of conventional methods disturbs the natural conditions of those biogeochemical gradients. Therefore, experiments aiming to control these influences and study pesticide kinetics under given O-2 and pH conditions suffer from a large uncertainty of the "real" O-2/pH at a certain position. Our approach with two different imaging techniques will examine the soil-root interface as well as the dissipation of the applied pesticide at a high spatial resolution.
The obtained outcomes show directly that the pH has an influence on enantioselective dissipation of the acetanilide fungicide metalaxyl. In areas with high pH from an applied racemic mixture, the R-enantiomer dissipates faster than the S-enantiomer. Moreover, we found significantly reduced oxygen values in the bulk soil and vicinity of metalaxyl treated roots compared to control plant roots. The combination of matrix-assisted laser desorption/ionization mass spectrometry (MALDI) and fluorescence imaging indicated the oxygen-dependent behavior of metalaxyl at the root surface.
The results presented here underline the great potential of combining different imaging methods to examine the soil-root interfaces as well as the dissipation of organic pollutants in small soil compartments. (C) 2014 Elsevier B.V. All rights reserved.
Limits to lichenometry
(2015)
Lichenometry is a straightforward and inexpensive method for dating Holocene rock surfaces. The rationale is that the diameter of the largest lichen scales with the age of the originally fresh rock surface that it colonised. The success of the method depends on finding the largest lichen diameters, a suitable lichen-growth model, and a robust calibration curve. Recent critique of the method motivates us to revisit the accuracy and uncertainties of lichenometry. Specifically, we test how well lichenometry is capable of resolving the ages of different lobes of large active rock glaciers in the Kyrgyz Tien Shan. We use a bootstrapped quantile regression to calibrate local growth curves of Xanthoria elegans, Aspicilia tianshanica, and Rhizocarpon geographicum, and report a nonlinear decrease in dating accuracy with increasing lichen diameter. A Bayesian type of an analysis of variance demonstrates that our calibration allows discriminating credibly between rock-glacier lobes of different ages despite the uncertainties tied to sample size and correctly identifying the largest lichen thalli. Our results also show that calibration error grows with lichen size, so that the separability of rock-glacier lobes of different ages decreases, while the tendency to assign coeval ages increases. The abundant young (<200 yr) specimen of fast-growing X elegans are in contrast with the fewer, slow-growing, but older (200-1500 yr) R. geographicum and A. tianshanica, and record either a regional reactivation of lobes in the past 200 years, or simply a censoring effect of lichen mortality during early phases of colonisation. The high variance of lichen sizes captures the activity of rock-glacier lobes, which is difficult to explain by regional climatic cooling or earthquake triggers alone. Therefore, we caution against inferring palaeoclimatic conditions from the topographic position of rock-glacier lobes. We conclude that lichenometry works better as a tool for establishing a relative, rather than an absolute, chronology of rock-glacier lobes in the northern Tien Shan. (C) 2015 Elsevier Ltd. All rights reserved.
Extreme weather events are likely to occur more often under climate change and the resulting effects on ecosystems could lead to a further acceleration of climate change. But not all extreme weather events lead to extreme ecosystem response. Here, we focus on hazardous ecosystem behaviour and identify coinciding weather conditions. We use a simple probabilistic risk assessment based on time series of ecosystem behaviour and climate conditions. Given the risk assessment terminology, vulnerability and risk for the previously defined hazard are estimated on the basis of observed hazardous ecosystem behaviour.
We apply this approach to extreme responses of terrestrial ecosystems to drought, defining the hazard as a negative net biome productivity over a 12-month period. We show an application for two selected sites using data for 1981-2010 and then apply the method to the pan-European scale for the same period, based on numerical modelling results (LPJmL for ecosystem behaviour; ERA-Interim data for climate).
Our site-specific results demonstrate the applicability of the proposed method, using the SPEI to describe the climate condition. The site in Spain provides an example of vulnerability to drought because the expected value of the SPEI is 0.4 lower for hazardous than for non-hazardous ecosystem behaviour. In northern Germany, on the contrary, the site is not vulnerable to drought because the SPEI expectation values imply wetter conditions in the hazard case than in the non-hazard case.
At the pan-European scale, ecosystem vulnerability to drought is calculated in the Mediterranean and temperate region, whereas Scandinavian ecosystems are vulnerable under conditions without water shortages. These first model- based applications indicate the conceptual advantages of the proposed method by focusing on the identification of critical weather conditions for which we observe hazardous ecosystem behaviour in the analysed data set. Application of the method to empirical time series and to future climate would be important next steps to test the approach.
The overarching goal of this dissertation is to provide a better understanding of the role of wind and water in shaping Earth’s Cenozoic orogenic plateaus - prominent high-elevation, low relief sectors in the interior of Cenozoic mountain belts. In particular, the feedbacks between surface uplift, the build-up of topography and ensuing changes in precipitation, erosion, and vegetation patterns are addressed in light of past and future climate change. Regionally, the study focuses on the two world’s largest plateaus, the Altiplano-Puna Plateau of the Andes and Tibetan Plateau, both characterized by average elevations of >4 km. Both plateaus feature high, deeply incised flanks with pronounced gradients in rainfall, vegetation, hydrology, and surface processes. These characteristics are rooted in the role of plateaus to act as efficient orographic barriers to rainfall and to force changes in atmospheric flow.
The thesis examines the complex topics of tectonic and climatic forcing of the surface-process regime on three different spatial and temporal scales: (1) bedrock wind-erosion rates are quantified in the arid Qaidam Basin of NW Tibet over millennial timescales using cosmogenic radionuclide dating; (2) present-day stable isotope composition in rainfall is examined across the south-central Andes in three transects between 22° S and 28° S; these data are modeled and assessed with remotely sensed rainfall data of the Tropical Rainfall Measuring Mission and the Moderate Resolution Imaging Spectroradiometer; (3) finally, a 2.5-km-long Mio-Pliocene sedimentary record of the intermontane Angastaco Basin (25°45’ S, 66°00’ W) is presented in the context of hydrogen and carbon compositions of molecular lipid biomarker, and oxygen and carbon isotopes obtained from pedogenic carbonates; these records are compared to other environmental proxies, including hydrated volcanic glass shards from volcanic ashes intercalated in the sedimentary strata.
There are few quantitative estimates of eolian bedrock-removal rates from arid, low relief landscapes. Wind-erosion rates from the western Qaidam Basin based on cosmogenic 10Be measurements document erosion rates between 0.05 to 0.4 mm/yr. This finding indicates that in arid environments with strong winds, hyperaridity, exposure of friable strata, and ongoing rock deformation and uplift, wind erosion can outpace fluvial erosion. Large eroded sediment volumes within the Qaidam Basin and coeval dust deposition on the Chinese Loess plateau, exemplify the importance of dust production within arid plateau environments for marine and terrestrial depositional processes, but also health issues and fertilization of soils.
In the south-central Andes, the analysis of 234 stream-water samples for oxygen and hydrogen reveals that areas experiencing deep convective storms do not show the commonly observed patterns of isotopic fractionation and the expected co-varying relationships between oxygen and hydrogen with increasing elevation. These convective storms are formed over semi-arid intermontane basins in the transition between the broken foreland of the Sierras Pampeanas, the Eastern Cordillera, and the Puna Plateau in the interior of the orogen. Here, convective rainfall dominates the precipitation budget and no systematic stable isotope-elevation relationship exists. Regions to the north, in the transition between the broken foreland and the Subandean foreland fold-and-thrust belt, the impact of convection is subdued, with lower degrees of storminess and a stronger expected isotope-elevation relationship. This finding of present-day fractionation trends of meteoric water is of great importance for paleoenvironmental studies in attempts to use stable isotope relationships in the reconstruction of paleoelevations.
The third part of the thesis focuses on the paleohydrological characteristics of the Mio-Pliocene (10-2 Ma) Angastaco Basin sedimentary record, which reveals far-reaching environmental changes during Andean uplift and orographic barrier formation. A precipitation- evapotranspiration record identifies the onset of a precipitation regime related to the South American Low Level Jet at this latitude after 9 Ma. Humid foreland conditions existed until 7 Ma, followed by orographic barrier uplift to the east of the present-day Angastaco Basin. This was superseded by rapid (~0.5 Myr) aridification in an intermontane basin, highlighting the effects of eastward-directed deformation. A transition in vegetation cover from a humid C3 forest ecosystem to semi-arid C4-dominated vegetation was coeval with continued basin uplift to modern elevations.
Vegetated dunes are recognized as important natural barriers that shelter inland ecosystems and coastlines suffering daily erosive impacts of the sea and extreme events, such as tsunamis. However, societal responses to erosion and shoreline retreat often result in man-made coastal defence structures that cover part of the intertidal and upper shore zones causing coastal squeeze and habitat loss, especially for upper shore biota, such as dune plants. Coseismic uplift of up to 2.0 m on the Peninsula de Arauco (South central Chile, ca. 37.5 degrees S) caused by the 2010 Maule earthquake drastically modified the coastal landscape, including major increases in the width of uplifted beaches and the immediate conversion of mid to low sandy intertidal habitat to supralittoral sandy habitat above the reach of average tides and waves. To investigate the early stage responses in species richness, cover and across-shore distribution of the hitherto absent dune plants, we surveyed two formerly intertidal armoured sites and a nearby intertidal unarmoured site on a sandy beach located on the uplifted coast of Llico (Peninsula de Arauco) over two years. Almost 2 years after the 2010 earthquake, dune plants began to recruit, then rapidly grew and produced dune hummocks in the new upper beach habitats created by uplift at the three sites. Initial vegetation responses were very similar among sites. However, over the course of the study, the emerging vegetated dunes of the armoured sites suffered a slowdown in the development of the spatial distribution process, and remained impoverished in species richness and cover compared to the unarmoured site. Our results suggest that when released from the effects of coastal squeeze, vegetated dunes can recover without restoration actions. However, subsequent human activities and management of newly created beach and dune habitats can significantly alter the trajectory of vegetated dune development. Management that integrates the effects of natural and human induced disturbances, and promotes the development of dune vegetation as natural barriers can provide societal and conservation benefits in coastal ecosystems.
As part of ongoing research on Holocene lacustrine sediments of Lonar Crater Lake (central India), pollen assemblages in lake surface sediment and soil samples were studied to unravel pollenevegetation relationships, including pollen transport processes in tropical dry deciduous forest vegetation. Furthermore, palynological results were compared with geochemical proxies and spatial features of the lake sediments and the vegetation. The obtained data reveal strong differences in pollen assemblages and pollen concentrations between and within the studied trapping media. Local arboreal vegetation is adequately represented in the soil samples, but is less represented in the lake surface sediment samples. The composition of the lacustrine pollen assemblages is mainly influenced by patterns of transport through surface and channel runoff. Besides the relevance of our new data for reliable interpretation of fossil pollen spectra extracted from Lonar sediment cores, the results of this study are of general importance for the understanding of Quaternary pollen assemblages from tropical lacustrine archives, as well as for the implementation and selection of suitable approaches for quantitative pollen based environmental reconstructions in south Asia and beyond. (C) 2015 Elsevier Ltd and INQUA. All rights reserved.
Hydrothermal carbonization (HTC) produces carbon-rich nano-micro size particles. In this study, magnetic hydrochar (MHC) was prepared from model compound cellulose by simply adding ferrites during HTC. The effects of ferrites on HTC were evaluated by characterizing solid MHC and corresponding process liquid. Additionally, magnetic stability of MHC was tested by magnetic susceptibility method. Finally, MHC was used as support media for anaerobic films in anaerobic digestion (AD). Ash-free mass yield was around 50% less in MHC than hydrochar produced without ferrites at any certain HTC reaction condition, where organic part of MHC is mainly carbon. In fact, amorphous hydrochar was growing on the surface of inorganic ferrites. MHC maintained magnetic susceptibility regardless of reaction time at reaction temperature 250 degrees C. Pronounced inhibitory effects of magnetic hydrochar occurred during start-up of AD but diminished with prolong AD times. Visible biofilms were observed on the MHC by laser scanning microscope after AD. (C) 2015 Elsevier Ltd. All rights reserved.
In this study, influence of feedwater pH (2-12) was studied for hydrothermal carbonization (HTC) of wheat straw at 200 and 260 degrees C. Acetic acid and KOH were used as acidic and basic medium, respectively. Hydrochars were characterized by elemental and fiber analyses, SEM, surface area, pore volume and size, and ATR-FTIR, while HTC process liquids were analyzed by HPLC and GC. Both hydrochar and HTC process liquid qualities vary with feedwater pH. At acidic pH, cellulose and elemental carbon increase in hydrochar, while hemicellulose and pseudo-lignin decrease. Hydrochars produced at pH 2 feedwater has 2.7 times larger surface area than that produced at pH 12. It also has the largest pore volume (1.1 x 10(-1) ml g(-1)) and pore size (20.2 nm). Organic acids were increasing, while sugars were decreasing in case of basic feedwater, however, phenolic compounds were present only at 260 degrees C and their concentrations were increasing in basic feedwater. (C) 2015 Elsevier Ltd. All rights reserved.
Reduced nitrate supply to the subarctic North Pacific (SNP) surface during the last ice age has been inferred from coupled changes in diatom-bound delta N-15 (DB-delta N-15), bulk sedimentary delta N-15, and biogenic fluxes. However, the reliability of bulk sedimentary and DB-delta N-15 has been questioned, and a previously reported delta N-15 minimum during Heinrich Stadial 1 (HS1) has proven difficult to explain. In a core from the western SNP, we report the foraminifera-bound delta N-15 (FB-delta N-15) in Neogloboquadrina pachyderma and Globigerina bulloides, comparing them with DB-delta N-15 in the same core over the past 25 kyr. The delta N-15 of all recorders is higher during the Last Glacial Maximum (LGM) than in the Holocene, indicating more complete nitrate consumption. N. pachyderma FB-delta N-15 is similar to DB-delta N-15 in the Holocene but 2.2% higher during the LGM. This difference suggests a greater sensitivity of FB-delta(15)NZ to changes in summertime nitrate drawdown and delta N-15 rise, consistent with a lag of the foraminifera relative to diatoms in reaching their summertime production peak in this highly seasonal environment. Unlike DB-delta N-15, FB-delta N-15 does not decrease from the LGM into HS1, which supports a previous suggestion that the HS1 DB-delta N-15 minimum is due to contamination by sponge spicules. FB-delta N-15 drops in the latter half of the Bolling/Allerod warm period and rises briefly in the Younger Dryas cold period, followed by a decline into the mid-Holocene. The FB-delta N-15 records suggest that the coupling among cold climate, reduced nitrate supply, and more complete nitrate consumption that characterized the LGM also applied to the deglacial cold events.
Pseudotachylitic breccia (PTB) in the form of cm-wide melt breccia veinlets locally occurs on the exposed central uplift of the 380Ma Siljan impact structure. The host rock to the PTBs is the so-called Jarna granite of quartz monzonitic to syenodioritic composition. The nearly 603m long BH-5 drill core from Hattberg, near the centre of the Siljan central uplift, contains numerous veins and pods of PTB. In particular, two major zones of 60m combined width contain extensive PTB network breccias (30% actual melt breccia component), with individual melt breccia occurrences up to >1m in length. Core logging and petrographic and geochemical analysis of the core have been performed, and the data are interpreted to suggest the following. (1) The impact event caused low to moderate (at essentially <20GPa) shock deformation in the host rock and in clasts of this lithology within the PTB. (2) Macroscopic deformation of the basement mainly comprises fracturing, with only localised cataclasis. (3) No evidence for shock melting (i.e. compression/decompression melting early in the cratering process) could be observed. (4) Optical and scanning electron microscopy showed that dark PTB contains a definite melt component. (5) Shearing has significantly affected this part of the central uplift, but its effects are limited to very short displacements and likely did not result in extensive melting. (6) A frictional heating component upon melt generation can, however, not be excluded, as many PTB samples contain clasts of a mafic (gabbroic) component, although only in one place along the entire core, a 1.2cm-wide section through such material in direct contact to host rock was observed. Consequently, we suggest that, upon uplift in the central part of the impact structure, considerable melt volumes were generated locally, especially in areas that had been affected by extensive cataclasis and where grain size comminution favoured melt formation. Rapid decompression related to central uplift formation is the preferred process for the generation of the PTB melt breccias.
The Southern and Northern-Central Tian Shan are sharply different in the character of the evolution of Cretaceous-Paleogene magmatism. The Southern Tian Shan comprises a picrobasalt-trachybasalt-basanite-phonotephrite-phonolite volcanic series, which was formed over a considerable time interval from 122 to 46 Ma, whereas the Northern-Central Tian Shan hosts a foidite-basanite-trachybasalt-basaltbasaltic andesite volcanic association, which erupted within a rather narrow time interval between 61 and 53 Ma. The entire volcanic series of the former region was derived from a shallow garnet-free mantle source. The volcanic assemblage of the latter region included basanites and foidites derived from a deep garnet-bearing mantle source, whereas trachybasalt, basalt, and basaltic andesite melts were generated in the lower crust. It is supposed that the change of sources and different evolutionary trends of Cretaceous-Paleogene magmatism in the Southern and Northern-Central Tian Shan were caused by the activation of the heterogeneous lithosphere beneath the converging shores of the Late Paleozoic Turkestan paleoocean.
Body size has been widely recognised as a key factor determining community structure in ecosystems. We analysed size diversity patterns of phytoplankton, zooplankton and fish assemblages in 13 data sets from freshwater and marine sites with the aim to assess whether there is a general trend in the effect of predation and resource competition on body size distribution across a wide range of aquatic ecosystems. We used size diversity as a measure of the shape of size distribution. Size diversity was computed based on the Shannon-Wiener diversity expression, adapted to a continuous variable, i.e. as body size. Our results show that greater predation pressure was associated with reduced size diversity of prey at all trophic levels. In contrast, competition effects depended on the trophic level considered. At upper trophic levels (zooplankton and fish), size distributions were more diverse when potential resource availability was low, suggesting that competitive interactions for resources promote diversification of aquatic communities by size. This pattern was not found for phytoplankton size distributions where size diversity mostly increased with low zooplankton grazing and increasing nutrient availability. Relationships we found were weak, indicating that predation and competition are not the only determinants of size distribution. Our results suggest that predation pressure leads to accumulation of organisms in the less predated sizes, while resource competition tends to favour a wider size distribution.
Biogenic silicon (BSI) pools influence Si cycling in terrestrial ecosystems. As research has been focused mainly on phytogenic BSi pools until now, there is only little information available on quantities of other BSi pools. There are no systematic studies on protozoic Si pools - here represented by idiosomic testate amoebae (TA) - and abiotic and biotic influences in temperate forest ecosystems. We selected ten old forests along a strong gradient in soil forming factors (especially parent material and climate), soil properties and humus forms. We quantified idiosomic Si pools, corresponding annual biosilicification, plant-available and amorphous Si fractions of topsoil horizons. Furthermore, we analyzed the potential influences of abiotic factors (e.g. soil pH) and earthworms on idiosomic Si pools.
While idiosomic Si pools were relatively small (up to 5 kg Si ha(-1)), annual biosilicification rates of living TA (17-80 kg Si ha(-1)) were comparable to or even exceeded reported data of annual Si uptake by trees. Soil pH exerted a strong, non-linear control on plant-available Si. Surprisingly, no relationship between Si supply and idiosomic Si pools could be found (no Si limitation). Instead, idiosomic Si pools showed a strong, negative relationship to earthworm biomasses, which corresponded to humus forms. We concluded that earthworms control idiosomic Si pools in forest soils by direct (feeding, competition) and/or indirect mechanisms (e.g. change of habitat structure). Earthworms themselves were strongly influenced by soil pH: Below a threshold of pH 3.8 no endogeic or anecic earthworms existed. As soil pH is a result of weathering and acidification idiosomic Si pools are indirectly, but ultimately controlled by soil forming factors, mainly parent material and climate. (C) 2014 Elsevier B.V. All rights reserved.
Development of geophysical methods to characterize methane hydrate reservoirs on a laboratory scale
(2015)
Gas hydrates are crystalline solids composed of water and gas molecules. They are stable at elevated pressure and low temperatures. Therefore, natural gas hydrate deposits occur at continental margins, permafrost areas, deep lakes, and deep inland seas. During hydrate formation, the water molecules rearrange to form cavities which host gas molecules. Due to the high pressure during hydrate formation, significant amounts of gas can be stored in hydrate structures. The water-gas ratio hereby can reach up to 1:172 at 0°C and atmospheric pressure. Natural gas hydrates predominantly contain methane. Because methane constitutes both a fuel and a greenhouse gas, gas hydrates are a potential energy resource as well as a potential source for greenhouse gas.
This study investigates the physical properties of methane hydrate bearing sediments on a laboratory scale. To do so, an electrical resistivity tomography (ERT) array was developed and mounted in a large reservoir simulator (LARS). For the first time, the ERT array was applied to hydrate saturated sediment samples under controlled temperature, pressure, and hydrate saturation conditions on a laboratory scale. Typically, the pore space of (marine) sediments is filled with electrically well conductive brine. Because hydrates constitute an electrical isolator, significant contrasts regarding the electrical properties of the pore space emerge during hydrate formation and dissociation. Frequent measurements during hydrate formation experiments permit the recordings of the spatial resistivity distribution inside LARS. Those data sets are used as input for a new data processing routine which transfers the spatial resistivity distribution into the spatial distribution of hydrate saturation. Thus, the changes of local hydrate saturation can be monitored with respect to space and time.
This study shows that the developed tomography yielded good data quality and resolved even small amounts of hydrate saturation inside the sediment sample. The conversion algorithm transforming the spatial resistivity distribution into local hydrate saturation values yielded the best results using the Archie-var-phi relation. This approach considers the increasing hydrate phase as part of the sediment frame, metaphorically reducing the sample’s porosity. In addition, the tomographical measurements showed that fast lab based hydrate formation processes cause small crystallites to form which tend to recrystallize.
Furthermore, hydrate dissociation experiments via depressurization were conducted in order to mimic the 2007/2008 Mallik field trial. It was observed that some patterns in gas and water flow could be reproduced, even though some setup related limitations arose.
In two additional long-term experiments the feasibility and performance of CO2-CH4 hydrate exchange reactions were studied in LARS. The tomographical system was used to monitor the spatial hydrate distribution during the hydrate formation stage. During the subsequent CO2 injection, the tomographical array allowed to follow the CO2 migration front inside the sediment sample and helped to identify the CO2 breakthrough.
Winter storms are the most costly natural hazard for European residential property. We compare four distinct storm damage functions with respect to their forecast accuracy and variability, with particular regard to the most severe winter storms. The analysis focuses on daily loss estimates under differing spatial aggregation, ranging from district to country level. We discuss the broad and heavily skewed distribution of insured losses posing difficulties for both the calibration and the evaluation of damage functions. From theoretical considerations, we provide a synthesis between the frequently discussed cubic wind-damage relationship and recent studies that report much steeper damage functions for European winter storms. The performance of the storm loss models is evaluated for two sources of wind gust data, direct observations by the German Weather Service and ERA-Interim reanalysis data. While the choice of gust data has little impact on the evaluation of German storm loss, spatially resolved coefficients of variation reveal dependence between model and data choice. The comparison shows that the probabilistic models by Heneka et al. (2006) and Prahl et al. (2012) both provide accurate loss predictions for moderate to extreme losses, with generally small coefficients of variation. We favour the latter model in terms of model applicability. Application of the versatile deterministic model by Klawa and Ulbrich (2003) should be restricted to extreme loss, for which it shows the least bias and errors comparable to the probabilistic model by Prahl et al. (2012).
The drainage and cultivation of fen peatlands create complex small-scale mosaics of soils with extremely variable soil organic carbon (SOC) stocks and groundwater levels (GWLs). To date, the significance of such sites as sources or sinks for greenhouse gases such as CO2 and CH4 is still unclear, especially if the sites are used for cropland. As individual control factors such as GWL fail to account for this complexity, holistic approaches combining gas fluxes with the underlying processes are required to understand the carbon (C) gas exchange of drained fens. It can be assumed that the stocks of SOC and N located above the variable GWL - defined as dynamic C and N stocks - play a key role in the regulation of the plant- and microbially mediated CO2 fluxes in these soils and, inversely, for CH4. To test this assumption, the present study analysed the C gas exchange (gross primary production - GPP; ecosystem respiration - R-eco; net ecosystem exchange - NEE; CH4) of maize using manual chambers for 4 years. The study sites were located near Paulinenaue, Germany, where we selected three soil types representing the full gradient of GWL and SOC stocks (0-1 m) of the landscape: (a) Haplic Arenosol (AR; 8 kg C m(-2)); (b) Mollic Gleysol (GL; 38 kg C m(-2)); and (c) Hemic Histosol (HS; 87 kg C m(-2)). Daily GWL data were used to calculate dynamic SOC (SOCdyn) and N (N-dyn) stocks.
Average annual NEE differed considerably among sites, ranging from 47 +/- 30 g C m(-2) yr(-1) in AR to -305 +/- 123 g C m(-2) yr(-1) in GL and -127 +/- 212 g C m(-2) yr(-1) in HS. While static SOC and N stocks showed no significant effect on C fluxes, SOCdyn and N-dyn and their interaction with GWL strongly influenced the C gas exchange, particularly NEE and the GPP : R-eco ratio. Moreover, based on nonlinear regression analysis, 86% of NEE variability was explained by GWL and SOCdyn. The observed high relevance of dynamic SOC and N stocks in the aerobic zone for plant and soil gas exchange likely originates from the effects of GWL-dependent N availability on C formation and transformation processes in the plant-soil system, which promote CO2 input via GPP more than CO2 emission via R-eco.
The process-oriented approach of dynamic C and N stocks is a promising, potentially generalisable method for system-oriented investigations of the C gas exchange of groundwater-influenced soils and could be expanded to other nutrients and soil characteristics. However, in order to assess the climate impact of arable sites on drained peatlands, it is always necessary to consider the entire range of groundwater-influenced mineral and organic soils and their respective areal extent within the soil landscape.
We herein reappraise the pressure-temperature (PT) evolution of the high-pressure and low-temperature (HP-LT) Tavsanli zone (western Turkey) in order to (i) better characterize rock units exhumed along a cooling subduction interface, from birth to steady state and (ii) constrain exhumation and detachment dynamics, as well as mechanical coupling between plates. Based on PT estimates and field observations three oceanic complexes are recognized between the HP-LT continental margin and the obducted ophiolite, with PT estimates ranging from incipient metamorphism to blueschist-fades conditions. PT conditions for the continental unit are reappraised to 24 kbar and similar to 500 degrees C on the basis of pseudosection modelling and Raman spectroscopy on carbonaceous material. A tentative reconstruction of the subduction zone evolution is proposed using available radiometric and palaeogeographic data and recent thermomechanical modelling. Both PT conditions and field observations point out to the slicing of km-sized units at different preferred depths along the subduction interface, thus providing constraints on the dynamics of accretion and underplating. In particular, the comparison of PT estimates for the Tavsanli zone and for other broadly similar fossil subduction settings (i.e., Oman, Corsica, New Caledonia, Franciscan, Schistes Lustres) suggests that units are detached preferentially from the slab at specific depths of 30-40 km (i.e., downdip of the seismogenic zone) and similar to 80 km. We propose that these depths are controlled by major changes in mechanical coupling along the plate interface, whereas exhumation through time would rather be controlled by large-scale geodynamic boundary conditions. (C) 2015 Elsevier B.V. All rights reserved.
Two of the most controversial issues concerning the late Cenozoic evolution of the Andean orogen are the timing of uplift of the intraorogenic Puna plateau and its eastern border, the Eastern Cordillera, and ensuing changes in climatic and surface-process conditions in the intermontane basins of the NW-Argentine Andes. The Eastern Cordillera separates the internally drained, arid Puna from semi-arid intermontane basins and the humid sectors of the Andean broken foreland and the Subandean fold-and-thrust belt to the east. With elevations between 4,000 and 6,000 m the eastern flanks of the Andes form an efficient orographic barrier with westward-increasing elevation and asymmetric rainfall distribution and amount with respect to easterly moisture-bearing winds. This is mirrored by pronounced gradients in the efficiency of surface processes that erode and re-distribute sediment from the uplifting ranges. Although the overall pattern of deformation and uplift in this sector of the southern central Andes shows an eastward migration of deformation, a well-developed deformation front does not exist and uplift and associated erosion and sedimentary processes are highly disparate in space and time. In addition, periodic deformation within intermontane basins, and continued diachronous foreland uplifts associated with the reactivation of inherited basement structures furthermore make a rigorous assessment of the spatiotemporal uplift patterns difficult.
This thesis focuses on the tectonic evolution of the Eastern Cordillera of NW Argentina, the depositional history of its intermontane sedimentary basins, and the regional topographic evolution of the eastern flank of the Puna Plateau. The intermontane basins of the Eastern Cordillera and the adjacent morphotectonic provinces of the Sierras Pampeanas and the Santa Bárbara System are akin to reverse fault bounded, filled, and partly coalesced sedimentary basins of the Puna Plateau. In contrast to the Puna basins, however, which still form intact morphologic entities, repeated deformation, erosion, and re-filling have impacted the basins in the Eastern Cordillera. This has resulted in a rich stratigraphy of repeated basin fills, but many of these basins have retained vestiges of their early depositional history that may reach back in time when these areas were still part of a contiguous and undeformed foreland basin. Fortunately, these strata also contain abundant volcanic ashes that are not only important horizons to decipher tectono-sedimentary events through U-Pb geochronology and geochemical correlation, but they also represent terrestrial recorders of the hydrogen-isotope composition of ancient meteoric waters that can be compared to the isotopic composition of modern meteoric water. The ash horizons are thus unique recorders of past environmental conditions and lend themselves to tracking the development of rainfall barriers and tectonically forced climate and environmental change through time.
U-Pb zircon geochronology and paleocurrent reconstructions of conglomerate sequences in the Humahuaca Basin of the Eastern Cordillera at 23.5° S suggest that the basin was an integral part of a largely unrestricted depositional system until 4.2 Ma, which subsequently became progressively decoupled from the foreland by range uplifts to the east that forced easterly moisture-bearing winds to precipitate in increasingly eastward locations. Multiple cycles of severed hydrological conditions and drainage re-capture are identified together with these processes that were associated with basin filling and sediment evacuation, respectively. Moreover, systematic relationships among faults, regional unconformities and deformed landforms reveal a general pattern of intra-basin deformation that appears to be linked with basin-internal deformation during or subsequent to episodes of large-scale sediment removal. Some of these observations are supported by variations in the hydrogen stable isotope composition of volcanic glass from the Neogene to Quaternary sedimentary record, which can be related to spatiotemporal changes in topography and associated orographic effects. δDg values in the basin strata reveal two main trends associated with surface uplift in the catchment area between 6.0 and 3.5 Ma and the onset of semiarid conditions in the basin following the attainment of threshold elevations for effective orographic barriers to the east after 3.5 Ma. The disruption of sediment supply from western sources after 4.2 Ma and subsequent hinterland aridification, moreover, emphasize the possibility that these processes were related to lateral orogenic growth of the adjacent Puna Plateau. As a result of the hinterland aridification the regions in the orogen interior have been characterized by an inefficient fluvial system, which in turn has helped maintaining internal drainage conditions, sediment storage, and relief reduction within high-elevation basins.
The diachronous nature of basin formation and impacts on the fluvial system in the adjacent broken foreland is underscored by the results of detailed sediment provenance and paleocurrent analyses, as well as U-Pb zircon geochronology in the Lerma and Metán basins at ca. 25° S. This is particularly demonstrated by the isolated uplift of the Metán range at ~10 Ma, which is more than 50 km away from the presently active orogenic front along the eastern Puna margin and the Eastern Cordillera to the west. At about 5 Ma, Puna-sourced sediments disappear from the foreland record, documenting further range uplifts in the Eastern Cordillera and hydrological isolation of the neighboring Angastaco Basin from the foreland. Finally, during the late Pliocene and Quaternary, deformation has been accommodated across the entire foreland and is still active. To elucidate the interactions between tectonically controlled changes in elevation and their impact on atmospheric circulation processes in this region, this thesis provides additional, temporally well-constrained hydrogen stable isotope results of volcanic glass samples from the broken foreland, including the Angastaco Basin, and other intermontane basins farther south. The results suggest similar elevations of intermontane basins and the foreland sectors prior to ca. 7 Ma. In case of the Angastaco Basin the region was affected by km-scale surface uplift of the basin. A comparison with coeval isotope data collected from sedimentary sequences in the Puna plateau explains rapid shifts in the intermontane δDg record and supports the notion of recurring phases of enhanced deep convection during the Pliocene, and thus climatic conditions during the middle to late Pliocene similar to the present day.
Combined, field-based and isotope geochemical methods used in this study of the NW-Argentine Andes have thus helped to gain insight into the systematics, rate changes, interactions, and temporal characteristics among tectonically controlled deformation patterns, the build-up of topography impacting atmospheric processes, the distribution of rainfall, and resulting surface processes in a tectonically active mountain belt. Ultimately, this information is essential for a better understanding of the style and the rates at which non-collisional mountain belts evolve, including the development orogenic plateaus and their bordering flanks. The results presented in this study emphasize the importance of stable isotope records for paleoaltimetric and paleoenvironmental studies in mountain belts and furnishes important data for a rigorous interpretation of such records.
Graph theory has long been used in quantitative geography and landscape ecology and has been applied in Earth and atmospheric sciences for several decades. Recently, however, there have been increased, and more sophisticated, applications of graph theory concepts and methods in geosciences, principally in three areas: spatially explicit modeling, small-world networks, and structural models of Earth surface systems. This paper reviews the contrasting goals and methods inherent in these approaches, but focuses on the common elements, to develop a synthetic view of graph theory in the geosciences. Techniques applied in geosciences are mainly of three types: connectivity measures of entire networks; metrics of various aspects of the importance or influence of particular nodes, links, or regions of the network; and indicators of system dynamics based on graph adjacency matrices. Geoscience applications of graph theory can be grouped in five general categories: (1) Quantification of complex network properties such as connectivity, centrality, and clustering; (2) Tests for evidence of particular types of structures that have implications for system behavior, such as small-world or scale-free networks; (3) Testing dynamical system properties, e.g., complexity, coherence, stability, synchronization, and vulnerability; (4) Identification of dynamics from historical records or time series; and (5) spatial analysis. Recent and future expansion of graph theory in geosciences is related to general growth of network-based approaches. However, several factors make graph theory especially well suited to the geosciences: Inherent complexity, exploration of very large data sets, focus on spatial fluxes and interactions, and increasing attention to state transitions are all amenable to analysis using graph theory approaches. (C) 2015 Elsevier B.V. All rights reserved.
In this study, we investigate how immersive 3D geovisualization can be used in higher education. Based on MacEachren and Kraak's geovisualization cube, we examine the usage of immersive 3D geovisualization and its usefulness in a research-based learning module on flood risk, called GEOSimulator. Results of a survey among participating students reveal benefits, such as better orientation in the study area, higher interactivity with the data, improved discourse among students and enhanced motivation through immersive 3D geovisualization. This suggests that immersive 3D visualization can effectively be used in higher education and that 3D CAVE settings enhance interactive learning between students.
For karstified aquifer systems, numerical models of groundwater flow are difficult to setup and parameterize. However, a system understanding useful for groundwater management may be obtained without applying overly complicated models. In this study, we demonstrate for a karstified carbonate aquifer in south-western Germany that a combination of methods with moderate data requirements can be used to infer flowpaths and transit times of groundwater to production wells.
Faulting processes in volcanic areas result from a complex interaction of pressurized fluid-filled cracks and conduits with the host rock and local and regional tectonic setting. Often, volcanic seismicity is difficult to decipher in terms of the physical processes involved, and there is a need for models relating the mechanics of volcanic sources to observations. Here we use focal mechanism data of the energetic swarm induced by the 2000 dike intrusion at Miyakejima (Izu Archipelago, Japan), to study the relation between the 3-D dike-induced stresses and the characteristics of the seismicity. We perform a clustering analysis on the focal mechanism (FM) solutions and relate them to the dike stress field and to the scaling relationships of the earthquakes. We find that the strike and rake angles of the FMs are strongly correlated and cluster on bands in a strike-rake plot. We suggest that this is consistent with optimally oriented faults according to the expected pattern of Coulomb stress changes. We calculate the frequency-size distribution of the clustered sets finding that focal mechanisms with a large strike-slip component are consistent with the Gutenberg-Richter relation with a b value of about 1. Conversely, events with large normal faulting components deviate from the Gutenberg-Richter distribution with a marked roll-off on its right-hand tail, suggesting a lack of large-magnitude events (M-w>5.5). This may result from the interplay of the limited thickness and lower rock strength of the layer of rock above the dike, where normal faulting is expected, and lower stress levels linked to the faulting style and low confining pressure.
Aseismic transient driving the swarm-like seismic sequence in the Pollino range, Southern Italy
(2015)
Tectonic earthquake swarms challenge our understanding of earthquake processes since it is difficult to link observations to the underlying physical mechanisms and to assess the hazard they pose. Transient forcing is thought to initiate and drive the spatio-temporal release of energy during swarms. The nature of the transient forcing may vary across sequences and range from aseismic creeping or transient slip to diffusion of pore pressure pulses to fluid redistribution and migration within the seismogenic crust. Distinguishing between such forcing mechanisms may be critical to reduce epistemic uncertainties in the assessment of hazard due to seismic swarms, because it can provide information on the frequency-magnitude distribution of the earthquakes (often deviating from the assumed Gutenberg-Richter relation) and on the expected source parameters influencing the ground motion (for example the stress drop). Here we study the ongoing Pollino range (Southern Italy) seismic swarm, a long-lasting seismic sequence with more than five thousand events recorded and located since October 2010. The two largest shocks (magnitude M-w = 4.2 and M-w = 5.1) are among the largest earthquakes ever recorded in an area which represents a seismic gap in the Italian historical earthquake catalogue. We investigate the geometrical, mechanical and statistical characteristics of the largest earthquakes and of the entire swarm. We calculate the focal mechanisms of the M-l > 3 events in the sequence and the transfer of Coulomb stress on nearby known faults and analyse the statistics of the earthquake catalogue. We find that only 25 per cent of the earthquakes in the sequence can be explained as aftershocks, and the remaining 75 per cent may be attributed to a transient forcing. The b-values change in time throughout the sequence, with low b-values correlated with the period of highest rate of activity and with the occurrence of the largest shock. In the light of recent studies on the palaeoseismic and historical activity in the Pollino area, we identify two scenarios consistent with the observations and our analysis: This and past seismic swarms may have been 'passive' features, with small fault patches failing on largely locked faults, or may have been accompanied by an 'active', largely aseismic, release of a large portion of the accumulated tectonic strain. Those scenarios have very different implications for the seismic hazard of the area.
In this study we investigate a dayside, midlatitude plasma depletion (DMLPD) encountered on 22 May 2014 by the Swarm and GRACE satellites, as well as ground-based instruments. The DMLPD was observed near Puerto Rico by Swarm near 10 LT under quiet geomagnetic conditions at altitudes of 475-520 km and magnetic latitudes of similar to 25 degrees-30 degrees. The DMLPD was also revealed in total electron content observations by the Saint Croix station and by the GRACE satellites (430 km) near 16 LT and near the same geographic location. The unique Swarm constellation enables the horizontal tilt of the DMLPD to be measured (35 degrees clockwise from the geomagnetic east-west direction). Ground-based airglow images at Arecibo showed no evidence for plasma density depletions during the night prior to this dayside event. The C/NOFS equatorial satellite showed evidence for very modest plasma density depletions that had rotated into the morningside from nightside. However, the equatorial depletions do not appear related to the DMLPD, for which the magnetic apex height is about 2500 km. The origins of the DMLPD are unknown, but may be related to gravity waves.
Previous studies suggested that electric and/or magnetic field fluctuations observed in the nighttime topside ionosphere at midlatitudes generally originate from quiet time nocturnal medium-scale traveling ionospheric disturbances (MSTIDs). However, decisive evidences for the connection between the two have been missing. In this study we make use of the multispacecraft observations of midlatitude magnetic fluctuations (MMFs) in the nighttime topside ionosphere by the Swarm constellation. The analysis results show that the area hosting MMFs is elongated in the NW-SE (NE-SW) direction in the Northern (Southern) Hemisphere. The elongation direction and the magnetic field polarization support that the area hosting MMFs is nearly field aligned. All these properties of MMFs suggest that they have close relationship with MSTIDs. Expectation values of root-mean-square field-aligned currents associated with MMFs are up to about 4nA/m(2). MMF coherency significantly drops for longitudinal distances of 1 degrees.
Plasma convection in the high-latitude ionosphere provides important information about magnetosphere-ionosphere-thermosphere coupling. In this study we estimate the along-track component of plasma convection within and around the polar cap, using electron density profiles measured by the three Swarm satellites. The velocity values estimated from the two different satellite pairs agree with each other. In both hemispheres the estimated velocity is generally anti-sunward, especially for higher speeds. The obtained velocity is in qualitative agreement with Super Dual Auroral Radar Network data. Our method can supplement currently available instruments for ionospheric plasma velocity measurements, especially in cases where these traditional instruments suffer from their inherent limitations. Also, the method can be generalized to other satellite constellations carrying electron density probes.
Sea-surface temperatures (SSTs) based on radiolarian assemblage changes are estimated for the last 160 kyr, from a sediment core (Y9) recovered from Pukaki Saddle, northeast of Campbell Plateau. Site Y9 lies beneath Subantarctic Surface Water (SAW) immediately to the north of the Subantarctic Front (SAF), which in this region is bathymetrically constrained by the edges of Campbell Plateau and defines the northern boundary of the Antarctic Circumpolar Current (ACC). Radiolarian assemblages are characterised by an exceptionally high abundance of the Antarctic to subantarctic species Antarctissa spp. (up to 68%), especially during glacial intervals. SST estimates are derived using Factor Analysis and the Modern Analog Technique. Both methods capture the glacial-interglacial (G-I) pattern. The SST reconstructions show the changing relative influence of distinct water masses during the past G-I cycle, with major temperature variations of the order of 7-9 degrees C at glacial Terminations. Glacials (marine isotope stages (MIS) 6 and 2) are associated with particularly cool SSTs that are indicative of a more vigorous SAF/ACC and an enhancement of the inflow through Pukaki Saddle and/or frequent development of cold-core eddies at the SAF. By contrast, the influence of warmer waters and relaxation of the ACC during interglacials can be inferred from temperatures slightly warmer (e.g., mid-Holocene) and/or comparable to present day (e.g., MIS 5e). During these intervals, relatively warmer temperatures most likely indicate a higher warmcore eddy activity due to a strengthened Subtropical Front and/or a weakened inflow of cool water through Pukaki Saddle and/or an increased stratification in the Campbell Plateau region. Furthermore, the SST record is characterised by an abrupt warming at ca. 10 kyr (i.e., Termination l), the occurrence of a reversal at Termination I, and a warming event at the end of MIS 4, coinciding with the A4 event in the Byrd ice core. These characteristics, together with the pronounced G-I cycle shown by the SST estimates, suggest that Site Y9 is influenced by major oceanographic changes in the SW Pacific and responds to thermal changes at high southern latitudes. (C) 2014 Elsevier B.V. All rights reserved.
Permafrost inundated since the last glacial maximum is degrading, potentially releasing trapped or stabilized greenhouse gases, but few observations of the depth of ice-bonded permafrost (IBP) below the seafloor exist for most of the arctic continental shelf. We use spectral ratios of the ambient vibration seismic wavefield, together with estimated shear wave velocity from the dispersion curves of surface waves, for estimating the thickness of the sediment overlying the IBP. Peaks in spectral ratios modeled for three-layered 1-D systems correspond with varying thickness of the unfrozen sediment. Seismic receivers were deployed on the seabed around Muostakh Island in the central Laptev Sea, Siberia. We derive depths of the IBP between 3.7 and 20.7m15%, increasing with distance from the shoreline. Correspondence between expected permafrost distribution, modeled response, and observational data suggests that the method is promising for the determination of the thickness of unfrozen sediment.
In order to achieve meaningful climate protection targets at the global scale, each country is called to set national energy policies aimed at reducing energy consumption and carbon emissions. By calculating the monthly heating energy demand of dwellings in the Netherlands, our case study country, we contrast the results with the corresponding aspired national targets. Considering different future population scenarios, renovation measures and temperature variations, we show that a near zero energy demand in 2050 could only be reached with very ambitious renovation measures. While the goal of reducing the energy demand of the building sector by 50% until 2030 compared to 1990 seems feasible for most provinces and months in the minimum scenario, it is impossible in our scenario with more pessimistic yet still realistic assumptions regarding future developments. Compared to the current value, the annual renovation rate per province would need to be at least doubled in order to reach the 2030 target independent of reasonable climatic and population changes in the future. Our findings also underline the importance of policy measures as the annual renovation rate is a key influencing factor regarding the reduction of the heating energy demand in dwellings. (C) 2015 Elsevier Ltd. All rights reserved.
Understanding the rates and pattern of erosion is a key aspect of deciphering the impacts of climate and tectonics on landscape evolution. Denudation rates derived from terrestrial cosmogenic nuclides (TCNs) are commonly used to quantify erosion and bridge tectonic (Myr) and climatic (up to several kiloyears) time scales. However, how the processes of erosion in active orogens are ultimately reflected in Be-10 TCN samples remains a topic of discussion. We investigate this problem in the Arun Valley of eastern Nepal with 34 new Be-10-derived catchment-mean denudation rates. The Arun Valley is characterized by steep north-south gradients in topography and climate. Locally, denudation rates increase northward, from <0.2mmyr(-1) to similar to 1.5mmyr(-1) in tributary samples, while main stem samples appear to increase downstream from similar to 0.2mmyr(-1) at the border with Tibet to 0.91mmyr(-1) in the foreland. Denudation rates most strongly correlate with normalized channel steepness (R-2=0.67), which has been commonly interpreted to indicate tectonic activity. Significant downstream decrease of Be-10 concentration in the main stem Arun suggests that upstream sediment grains are fining to the point that they are operationally excluded from the processed sample. This results in Be-10 concentrations and denudation rates that do not uniformly represent the upstream catchment area. We observe strong impacts on Be-10 concentrations from local, nonfluvial geomorphic processes, such as glaciation and landsliding coinciding with areas of peak rainfall rates, pointing toward climatic modulation of predominantly tectonically driven denudation rates.
Effect of mass wasting on soil organic carbon storage and coastal erosion in permafrost environments
(2015)
Accelerated permafrost thaw under the warming Arctic climate can have a significant impact on Arctic landscapes. Areas underlain by permafrost store high amounts of soil organic carbon (SOC). Permafrost disturbances may contribute to increased release of carbon dioxide and methane to the atmosphere. Coastal erosion, amplified through a decrease in Arctic sea-ice extent, may also mobilise SOC from permafrost. Large expanses of permafrost affected land are characterised by intense mass-wasting processes such as solifluction, active-layer detachments and retrogressive thaw slumping. Our aim is to assess the influence of mass wasting on SOC storage and coastal erosion.
We studied SOC storage on Herschel Island by analysing active-layer and permafrost samples, and compared non-disturbed sites to those characterised by mass wasting. Mass-wasting sites showed decreased SOC storage and material compaction, whereas sites characterised by material accumulation showed increased storage. The SOC storage on Herschel Island is also significantly correlated to catenary position and other slope characteristics. We estimated SOC storage on Herschel Island to be 34.8 kg C m-2. This is comparable to similar environments in northwest Canada and Alaska.
Coastal erosion was analysed using high resolution digital elevation models (DEMs). Two LIDAR scanning of the Yukon Coast were done in 2012 and 2013. Two DEMs with 1 m horizontal resolution were generated and used to analyse elevation changes along the coast. The results indicate considerable spatial variability in short-term coastline erosion and progradation. The high variability was related to the presence of mass-wasting processes. Erosion and deposition extremes were recorded where the retrogressive thaw slump (RTS) activity was most pronounced. Released sediment can be transported by longshore drift and affects not only the coastal processes in situ but also along adjacent coasts.
We also calculated volumetric coastal erosion for Herschel Island by comparing a stereo-photogrammetrically derived DEM from 2004 with LIDAR DEMs. We compared this volumetric erosion to planimetric erosion, which was based on coastlines digitised from satellite imagery. We found a complex relationship between planimetric and volumetric coastal erosion, which we attribute to frequent occurrence of mass-wasting processes along the coasts. Our results suggest that volumetric erosion corresponds better with environmental forcing and is more suitable for the estimation of organic carbon fluxes than planimetric erosion.
Mass wasting can decrease SOC storage by several mechanisms. Increased aeration following disturbance may increase microbial activity, which accelerates organic matter decomposition. New hydrological conditions that follow the mass wasting event can cause leaching of freshly exposed material. Organic rich material can also be directly removed into the sea or into a lake. On the other hand the accumulation of mobilised material can result in increased SOC storage. Mass-wasting related accumulations of mobilised material can significantly impact coastal erosion in situ or along the adjacent coast by longshore drift. Therefore, the coastline movement observations cannot completely resolve the actual sediment loss due to these temporary accumulations. The predicted increase of mass-wasting activity in the course of Arctic warming may increase SOC mobilisation and coastal erosion induced carbon fluxes.
Pollen productivity estimates (PPE) are used to quantitatively reconstruct variations in vegetation within a specific distance of the sampled pollen archive. Here, for the first time, PPEs from Siberia are presented. The study area (Khatanga region, Krasnoyarsk territory, Russia) is located in the Siberian Sub-arctic where Larix is the sole forest-line forming tree taxon. Pollen spectra from two different sedimentary environments, namely terrestrial mosses (n = 16) and lakes (n = 15, median radius similar to 100 m) and their surrounding vegetation were investigated to extract PPEs. Our results indicate some differences in pollen spectra between moss and lake pollen. Larix and Cyperaceae for example obtained higher representation in the lacustrine than in terrestrial moss samples. This highlights that in calibration studies, modem and fossil datasets should use archives of similar sedimentary origin. Results of an Extended R-Value model were applied to assess the relevant source area of pollen (RSAP) and to calculate the PPEs for both datasets. As expected, the RSAP of the moss samples was very small (about 10 m) compared to the lacustrine samples (about 25 km). Calculation of PPEs for the six most common taxa yielded generally similar results for both datasets. Relative to Poaceae (reference taxon, PPE = 1) Betula nana-type (PPEmoss: 1.8, PPElake: 1.8) and Alnus fruticosa-type (PPEmoss:6.4, PPElake:2.9) were overrepresented while Cyperaceae (PPEmoss:0.5, PPElake:0.1), Ericaceae (PPEmoss: 0.3, PPElake <0.01), Salix (PPEmoss:0.03, PPElake <00.1) and Larix (PPEmoss: <0.01, PPElake:0.2) were under-represented in the pollen spectra compared to the vegetation in the RSAP. The estimation for the dominant tree in the region, Larix gmelinii, is the first published result for this species, but needs to be considered very preliminary. The inferred sequence from over- to under-representation is mostly consistent with results from Europe; however, the absolute values show some differences. Gathering vegetation data was limited by the remoteness of our study area and a lack of high-resolute satellite imagery and vegetation maps. Our estimate may serve as a first reference to strengthen future vegetation reconstructions in this climate-sensitive region. (C) 2015 Elsevier B.V. All rights reserved.
Siberian arctic vegetation and lake water communities, known for their temperature dependence, are expected to be particularly impacted by recent climate change and high warming rates. However, decadal information on the nature and strength of recent vegetation change and its time lag to climate signals are rare. In this study, we present a Pb-210/Cs-137 dated pollen and Pediastrum species record from a unnamed lake in the south of the Taymyr peninsula covering the period from AD 1706 to 2011. Thirty-nine palynomorphs and 10 morphotypes of Pediastrum species were studied to assess changes in vegetation and lake conditions as probable responses to climate change. We compared the pollen record with Pediastrum species, which we consider to be important proxies of climate changes. Three pollen assemblage zones characterised by Betula nana, Alnus viridis and Larix gmelinii (1706-1808); herbs such as Cyperaceae, Artemisia or Senecio (1808-1879), and higher abundance of Larix pollen (1955-2011) are visible. Also, three Pediastrum assemblage zones show changes of aquatic conditions: higher abundances of Pediastrum boryanum var. brevicorne (1706-1802); medium abundances of P. kawraiskyi and P. integrum (1802-1840 and 1920-1980), indicating cooler conditions while less eutrophic conditions are indicated by P. boryanum, and a mainly balanced composition with only small changes of cold- and warm-adapted Pediastrum species (1965-2011). In general, compositional Pediastrum species turnover is slightly higher than that indicated by pollen data (0.54 vs 0.34 SD), but both are only minor for this treeline location. In conclusion, the relevance of differentiation of Pediastrum species is promising and can give further insights into the relationship between lakes and their surrounding vegetation transferred onto climatic conditions.
The hydrological load causing flood hazard is in many instances not only determined by peak discharge, but is a multidimensional problem. While the methodology for multivariate frequency analysis is well established, the estimation of the associated uncertainty is rarely studied. In this paper, a method is developed to quantify the different sources of uncertainty for a bivariate flood frequency analysis. The method is exemplarily developed for the Mekong Delta (MD), one of the largest and most densely populated river deltas worldwide. Floods in the MD are the basis for the livelihoods of the local population, but they are also the major hazard. This hazard has, however, not been studied within the frame of a probabilistic flood hazard analysis. The nature of the floods in the MD suggests a bivariate approach, because the societal flood severity is determined by both peak discharge and flood volume. The uncertainty caused by selection of statistical models and parameter estimation procedures are analyzed by applying different models and methods. For the quantification of the sampling uncertainty two bootstrapping methods were applied. The developed bootstrapping-based uncertainty estimation method shows that large uncertainties are associated with the estimation of bivariate flood quantiles. This uncertainty is much larger than the model selection and fitting uncertainty. Given the rather long data series of 88 years, it is concluded that bivariate flood frequency analysis is expected to carry significant uncertainty and that the quantification and reduction of uncertainty merit greater attention. But despite this uncertainty the proposed approach has certainly major advantages compared to a univariate approach, because (a) it reflects the two essential aspects of floods in this region, (b) the uncertainties are inherent for every bivariate frequency analysis in hydrology due to the general limited length of observations and can hardly be avoided, and (c) a framework for the quantification of the uncertainties is given, which can be used and interpreted in the hazard assessment. In addition it is shown by a parametric bootstrapping experiment how longer observation time series can reduce the sampling uncertainty. Based on this finding it is concluded that bivariate frequency analyses in hydrology would greatly benefit from discharge time series augmented by proxy or historical data, or by causal hydrologic expansion of time series. (C) 2015 Elsevier B.V. All rights reserved.
Sequences of coral reef terraces characterized by staircase morphologies and a homogeneous lithology make them appropriate to isolate the influence of uplift on drainage morphology. Along the northern coast of Sumba Island, Indonesia, we investigated the correlations between landscape morphology and uplift rates, which range from 0.02 to 0.6 mm.yr(-1). We studied eight morphometric indices at two scales: whole island (similar to 11,000 km(2)) and within sequences of reefal terraces (similar to 3000 km(2)). At the latter scale, we extracted morphometric indices for 15 individual catchments draining mostly the reefal terraces and for 30 areas undergoing specific ranges of uplift rates draining only the reefal terraces. Indices extracted from digital elevation models include residual relief, incision, stream gradient indices (SL and k(sn)), the hypsometric integral, drainage area, mean relief, and the shape factor. We find that SL, the hypsometric integral, mean relief and the shape factor of catchments positively correlate with uplift rates, whereas incision, residual relief, and k(sn) do not. More precisely, we find that only the areas that are uplifting at a rate faster than 03 mm.yr(-1) can yield the extreme values for these indices, implying that these extreme values are indicative of fast uplifting areas. However, the relationship is not bivalent because any uplift rate can be associated with low values of the same indices. For all indices, the transient conditions of the drainage influence the correlation with Pleistocene mean uplift rates, illustrating the necessity to extract morphometric indices with an appropriate choice of catchment scale. This type of analysis helps to identify the morphometric indices that are most useful for tectonic analysis in areas of unknown uplift, allowing for easy identification of short spatial variations of uplift rate and detection of areas with relatively fast uplift rates in unstudied coastal zones. (C) 2015 Elsevier B.V. All rights reserved.
Reconstructing climate from the Dead Sea sediment record using high-resolution micro-facies analyses
(2015)
The sedimentary record of the Dead Sea is a key archive for reconstructing climate in the eastern Mediterranean region, as it stores the environmental and tectonic history of the Levant for the entire Quaternary. Moreover, the lake is located at the boundary between Mediterranean sub-humid to semi-arid and Saharo-Arabian hyper-arid climates, so that even small shifts in atmospheric circulation are sensitively recorded in the sediments. This DFG-funded doctoral project was carried out within the ICDP Dead Sea Deep Drilling Project (DSDDP) that intended to gain the first long, continuous and high-resolution sediment core from the deep Dead Sea basin. The drilling campaign was performed in winter 2010-11 and more than 700 m of sediments were recovered. The main aim of this thesis was (1) to establish the lithostratigraphic framework for the ~455 m long sediment core from the deep Dead Sea basin and (2) to apply high-resolution micro-facies analyses for reconstructing and better understanding climate variability from the Dead Sea sediments.
Addressing the first aim, the sedimentary facies of the ~455 m long deep-basin core 5017-1 were described in great detail and characterised through continuous overview-XRF element scanning and magnetic susceptibility measurements. Three facies groups were classified: (1) the marl facies group, (2) the halite facies group and (3) a group involving different expressions of massive, graded and slumped deposits including coarse clastic detritus. Core 5017-1 encompasses a succession of four main lithological units. Based on first radiocarbon and U-Th ages and correlation of these units to on-shore stratigraphic sections, the record comprises the last ca 220 ka, i.e. the upper part of the Amora Formation (parts of or entire penultimate interglacial and glacial), the last interglacial Samra Fm. (~135-75 ka), the last glacial Lisan Fm. (~75-14 ka) and the Holocene Ze’elim Formation. A major advancement of this record is that, for the first time, also transitional intervals were recovered that are missing in the exposed formations and that can now be studied in great detail.
Micro-facies analyses involve a combination of high-resolution microscopic thin section analysis and µXRF element scanning supported by magnetic susceptibility measurements. This approach allows identifying and characterising micro-facies types, detecting event layers and reconstructing past climate variability with up to seasonal resolution, given that the analysed sediments are annually laminated. Within this thesis, micro-facies analyses, supported by further sedimentological and geochemical analyses (grain size, X-ray diffraction, total organic carbon and calcium carbonate contents) and palynology, were applied for two time intervals:
(1) The early last glacial period ~117-75 ka was investigated focusing on millennial-scale hydroclimatic variations and lake level changes recorded in the sediments. Thereby, distinguishing six different micro-facies types with distinct geochemical and sedimentological characteristics allowed estimating relative lake level and water balance changes of the lake. Comparison of the results to other records in the Mediterranean region suggests a close link of the hydroclimate in the Levant to North Atlantic and Mediterranean climates during the time of the build-up of Northern hemisphere ice sheets during the early last glacial period.
(2) A mostly annually laminated late Holocene section (~3700-1700 cal yr BP) was analysed in unprecedented detail through a multi-proxy, inter-site correlation approach of a shallow-water core (DSEn) and its deep-basin counterpart (5017-1). Within this study, a ca 1500 years comprising time series of erosion and dust deposition events was established and anchored to the absolute time-scale through 14C dating and age modelling. A particular focus of this study was the characterisation of two dry periods, from ~3500 to 3300 and from ~3000 to 2400 cal yr BP, respectively. Thereby, a major outcome was the coincidence of the latter dry period with a period of moist and cold climate in Europe related to a Grand Solar Minimum around 2800 cal yr BP and an increase in flood events despite overall dry conditions in the Dead Sea region during that time. These contrasting climate signatures in Europe and at the Dead Sea were likely linked through complex teleconnections of atmospheric circulation, causing a change in synoptic weather patterns in the eastern Mediterranean.
In summary, within this doctorate the lithostratigraphic framework of a unique long sediment core from the deep Dead Sea basin is established, which serves as a base for any further high-resolution investigations on this core. It is demonstrated in two case studies that micro-facies analyses are an invaluable tool to understand the depositional processes in the Dead Sea and to decipher past climate variability in the Levant on millennial to seasonal time-scales. Hence, this work adds important knowledge helping to establish the deep Dead Sea record as a key climate archive of supra-regional significance.
The ecohydrological transfers, interactions and degradation arising from high-intensity storm events
(2015)
Dynamics of solute export from catchments can be classified in terms of chemostatic and chemodynamic export regimes by an analysis of concentration-discharge relationships. Previous studies hypothesized that distinct export regimes emerge from the presence of solute mass stores within the catchment and their connectivity to the stream. However, so far a direct link of solute export to identifiable catchment characteristics is missing. Here we investigate long-term time series of stream water quality and quantity of nine neighboring catchments in Central Germany ranging from relatively pristine mountain catchments to agriculturally dominated lowland catchments, spanning large gradients in land use, geology, and climatic conditions. Given the strong collinearity of catchment characteristics we used partial least square regression analysis to quantify the predictive power of these characteristics for median concentrations and the metrics of export regime. We can show that median concentrations and metrics of the export regimes of major ions and nutrients can indeed be inferred from catchment characteristics. Strongest predictors for median concentrations were the share of arable land, discharge per area, runoff coefficient and available water capacity in the root zone of the catchments. The available water capacity in the root zone, the share of arable land being artificially drained and the topographic gradient were found to be the most relevant predictors for the metrics of export regime. These catchment characteristics can represent the size of solute mass store such as the fraction of arable land being a measure for the store of nitrate. On the other hand, catchment characteristics can be a measure for the connectivity of these solute stores to the stream such as the fraction of tile drained land in the catchments. This study demonstrates the potential of data-driven, top down analyses using simple metrics to classify and better understand dominant controls of solute export from catchments. (C) 2015 Elsevier Ltd. All rights reserved.
We study segregation of the subducted oceanic crust (OC) at the core-mantle boundary and its ability to accumulate and form large thermochemical piles (such as the seismically observed Large Low Shear Velocity Provinces (LLSVPs)). Our high-resolution numerical simulations of thermochemical mantle convection suggest that the longevity of LLSVPs for up to three billion years, and possibly longer, can be ensured by a balance in the rate of segregation of high-density OC material to the core-mantle boundary (CMB) and the rate of its entrainment away from the CMB by mantle upwellings. For a range of parameters tested in this study, a large-scale compositional anomaly forms at the CMB, similar in shape and size to the LLSVPs. Neutrally buoyant thermochemical piles formed by mechanical stirringwhere thermally induced negative density anomaly is balanced by the presence of a fraction of dense anomalous materialbest resemble the geometry of LLSVPs. Such neutrally buoyant piles tend to emerge and survive for at least 3Gyr in simulations with quite different parameters. We conclude that for a plausible range of values of density anomaly of OC material in the lower mantleit is likely that it segregates to the CMB, gets mechanically mixed with the ambient material, and forms neutrally buoyant large-scale compositional anomalies similar in shape to the LLSVPs.
We study segregation of the subducted oceanic crust (OC) at the core mantle boundary and its ability to accumulate and form large thermochemical piles (such as the seismically observed Large Low Shear Velocity Provinces - LLSVPs). Our high-resolution numerical simulations suggest that the longevity of LLSVPs for up to three billion years, and possibly longer, can be ensured by a balance in the rate of segregation of high-density OC-material to the CMB, and the rate of its entrainment away from the CMB by mantle upwellings.
For a range of parameters tested in this study, a large-scale compositional anomaly forms at the CMB, similar in shape and size to the LLSVPs. Neutrally buoyant thermochemical piles formed by mechanical stirring - where thermally induced negative density anomaly is balanced by the presence of a fraction of dense anomalous material - best resemble the geometry of LLSVPs. Such neutrally buoyant piles tend to emerge and survive for at least 3Gyr in simulations with quite different parameters. We conclude that for a plausible range of values of density anomaly of OC material in the lower mantle - it is likely that it segregates to the CMB, gets mechanically mixed with the ambient material, and forms neutrally buoyant large scale compositional anomalies similar in shape to the LLSVPs.
We have developed an efficient FEM code with dynamically adaptive time and space resolution, and marker-in-cell methodology. This enabled us to model thermochemical mantle convection at realistically high convective vigor, strong thermally induced viscosity variations, and long term evolution of compositional fields.
Geochemistry and Ar-40/Ar-39 age of Early Carboniferous dolerite sills in the southern Baltic Sea
(2015)
The Early Carboniferous magmatic event in the southern Baltic Sea is manifested by dolerite intrusions. The presumable area in which the dolerite intrusions occur ranges from 30 to 60 km in east-west direction, and is about 100 km in north-south direction. The dolerites were sampled in well D1-1 and investigated by applying chemical analysis and Ar-40/Ar-39 step-heating dating. Dolerites are classified as alkali and sodic, characterized by high TiO2 (3.92, 3.99 wt%) and P2O5 (1.67, 1.77 wt%) and low MgO (4.89, 4.91 wt%) concentrations, enriched in light rare earth elements, originated from an enriched mantle magma source and emplaced in a continental rift tectonic setting. The 351 +/- 11 Ma Ar-40/Ar-39 plateau age for groundmass plagioclase indicates a considerable age gap with the 310-250 Ma magmatism in southern Scandinavia and northern Germany. The magmatic rocks in the Baltic Sedimentary Basin are coeval with alkaline intrusions of NE Poland. Both magmatic provinces lie in the northwestward prolongation of the Pripyat-Dnieper-Donetsk Rift (370-359 Ma) and may constitute a later phase of magmatic activity of this propagating rift system.
Probabilistic seismic-hazard analysis (PSHA) is the current tool of the trade used to estimate the future seismic demands at a site of interest. A modern PSHA represents a complex framework that combines different models with numerous inputs. It is important to understand and assess the impact of these inputs on the model output in a quantitative way. Sensitivity analysis is a valuable tool for quantifying changes of a model output as inputs are perturbed, identifying critical input parameters, and obtaining insight about the model behavior. Differential sensitivity analysis relies on calculating first-order partial derivatives of the model output with respect to its inputs; however, obtaining the derivatives of complex models can be challenging.
In this study, we show how differential sensitivity analysis of a complex framework such as PSHA can be carried out using algorithmic/automatic differentiation (AD). AD has already been successfully applied for sensitivity analyses in various domains such as oceanography and aerodynamics. First, we demonstrate the feasibility of the AD methodology by comparing AD-derived sensitivities with analytically derived sensitivities for a basic case of PSHA using a simple ground-motion prediction equation. Second, we derive sensitivities via AD for a more complex PSHA study using a stochastic simulation approach for the prediction of ground motions. The presented approach is general enough to accommodate more advanced PSHA studies of greater complexity.