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The European Alps are amongst the regions with highest glacier mass loss rates over the last decades. Under the threat of ongoing climate change, the ability to predict glacier mass balance changes for water and risk management purposes has become imperative. This raises an urgent need for reliable glacier models. The European Alps do not only host glaciers, but also numerous caves containing carbonate formations, called speleothems. Previous studies have shown that those speleothems also grew during times when the cave was covered by a warm-based glacier. In this thesis, I utilise speleothems from the European Alps as archives of local, environmental conditions related to mountain glacier evolution.
Previous studies have shown that speleothem isotope data from the Alps can be strongly affected by in-cave processes. Therefore, part of this thesis focusses on developing an isotope evolution model, which successfully reproduces differences between contemporaneous growing speleothems. The model is used to propose correction approaches for prior calcite precipitation effects on speleothem oxygen isotopes (δ18O). Applications on speleothem records from caves outside of the Alps demonstrate that corrected δ18O agrees better with other records and climate model simulations.
Existing speleothem growth histories and carbon isotope (δ13C) records from Alpine caves located at different elevations are used to infer soil vs. glacier cover and the thermal regime of the glacier over the last glacial cycle. The compatibility with glacier evolution models is statistically assessed. A general agreement between speleothem δ13C-derived information on soil vs. glacier presence and modelled glacier coverage is found. However, glacier retreat during Marine Isotope Stage (MIS) 3 seems to be underestimated by the model. Furthermore, speleothem data provides evidence of surface temperature above the freezing point which is, however, not fully reproduced by the simulations.
History of glacier cover and their thermal regime is explored for the high-elevation cave system Melchsee-Frutt in the Swiss Alps. Based on new (MIS 9b – MIS 7b, MIS 2) and available speleothem δ13C (MIS 7a – 5d) data, warm-based glacier cover is inferred for MIS 8, 7d, 6, and 2. Also a short period of cold-based ice coverage is found for early MIS 6. In a detailed multi-proxy analysis (δ18O, δ13C, Mg/Ca and Sr/Ca), millennial-scale changes in the glacier-related source of the water infiltrating in the karst during MIS 8 and 7d are found and linked to Northern Hemisphere climate variability.
While speleothem records from high-elevation cave sites in the Alps exhibit huge potential for glacier reconstruction, several limitations remain, which are discussed throughout this thesis. Ultimately, recommendations are given to further leverage subglacial speleothems as an archive of glacier dynamics.
Plate tectonic boundaries constitute the suture zones between tectonic plates. They are shaped by a variety of distinct and interrelated processes and play a key role in geohazards and georesource formation. Many of these processes have been previously studied, while many others remain unaddressed or undiscovered. In this work, the geodynamic numerical modeling software ASPECT is applied to shed light on further process interactions at continental plate boundaries. In contrast to natural data, geodynamic modeling has the advantage that processes can be directly quantified and that all parameters can be analyzed over the entire evolution of a structure. Furthermore, processes and interactions can be singled out from complex settings because the modeler has full control over all of the parameters involved. To account for the simplifying character of models in general, I have chosen to study generic geological settings with a focus on the processes and interactions rather than precisely reconstructing a specific region of the Earth.
In Chapter 2, 2D models of continental rifts with different crustal thicknesses between 20 and 50 km and extension velocities in the range of 0.5-10 mm/yr are used to obtain a speed limit for the thermal steady-state assumption, commonly employed to address the temperature fields of continental rifts worldwide. Because the tectonic deformation from ongoing rifting outpaces heat conduction, the temperature field is not in equilibrium, but is characterized by a transient, tectonically-induced heat flow signal. As a result, I find that isotherm depths of the geodynamic evolution models are shallower than a temperature distribution in equilibrium would suggest. This is particularly important for deep isotherms and narrow rifts. In narrow rifts, the magnitude of the transient temperature signal limits a well-founded applicability of the thermal steady-state assumption to extension velocities of 0.5-2 mm/yr. Estimation of the crustal temperature field affects conclusions on all temperature-dependent processes ranging from mineral assemblages to the feasible exploitation of a geothermal reservoir.
In Chapter 3, I model the interactions of different rheologies with the kinematics of folding and faulting using the example of fault-propagation folds in the Andean fold-and-thrust belt. The evolution of the velocity fields from geodynamic models are compared with those from trishear models of the same structure. While the latter use only geometric and kinematic constraints of the main fault, the geodynamic models capture viscous, plastic, and elastic deformation in the entire model domain. I find that both models work equally well for early, and thus relatively simple stages of folding and faulting, while results differ for more complex situations where off-fault deformation and secondary faulting are present. As fault-propagation folds can play an important role in the formation of reservoirs, knowledge of fluid pathways, for example via fractures and faults, is crucial for their characterization.
Chapter 4 deals with a bending transform fault and the interconnections between tectonics and surface processes. In particular, the tectonic evolution of the Dead Sea Fault is addressed where a releasing bend forms the Dead Sea pull-apart basin, while a restraining bend further to the North resulted in the formation of the Lebanese mountains. I ran 3D coupled geodynamic and surface evolution models that included both types of bends in a single setup. I tested various randomized initial strain distributions, showing that basin asymmetry is a consequence of strain localization. Furthermore, by varying the surface process efficiency, I find that the deposition of sediment in the pull-apart basin not only controls basin depth, but also results in a crustal flow component that increases uplift at the restraining bend.
Finally, in Chapter 5, I present the computational basis for adding further complexity to plate boundary models in ASPECT with the implementation of earthquake-like behavior using the rate-and-state friction framework. Despite earthquakes happening on a relatively small time scale, there are many interactions between the seismic cycle and the long time spans of other geodynamic processes. Amongst others, the crustal state of stress as well as the presence of fluids or changes in temperature may alter the frictional behavior of a fault segment. My work provides the basis for a realistic setup of involved structures and processes, which is therefore important to obtain a meaningful estimate for earthquake hazards.
While these findings improve our understanding of continental plate boundaries, further development of geodynamic software may help to reveal even more processes and interactions in the future.
Ecosystems play a pivotal role in addressing climate change but are also highly susceptible to drastic environmental changes. Investigating their historical dynamics can enhance our understanding of how they might respond to unprecedented future environmental shifts. With Arctic lakes currently under substantial pressure from climate change, lessons from the past can guide our understanding of potential disruptions to these lakes. However, individual lake systems are multifaceted and complex. Traditional isolated lake studies often fail to provide a global perspective because localized nuances—like individual lake parameters, catchment areas, and lake histories—can overshadow broader conclusions. In light of these complexities, a more nuanced approach is essential to analyze lake systems in a global context.
A key to addressing this challenge lies in the data-driven analysis of sedimentological records from various northern lake systems. This dissertation emphasizes lake systems in the northern Eurasian region, particularly in Russia (n=59). For this doctoral thesis, we collected sedimentological data from various sources, which required a standardized framework for further analysis. Therefore, we designed a conceptual model for integrating and standardizing heterogeneous multi-proxy data into a relational database management system (PostgreSQL). Creating a database from the collected data enabled comparative numerical analyses between spatially separated lakes as well as between different proxies.
When analyzing numerous lakes, establishing a common frame of reference was crucial. We achieved this by converting proxy values from depth dependency to age dependency. This required consistent age calculations across all lakes and proxies using one age-depth modeling software. Recognizing the broader implications and potential pitfalls of this, we developed the LANDO approach ("Linked Age and Depth Modelling"). LANDO is an innovative integration of multiple age-depth modeling software into a singular, cohesive platform (Jupyter Notebook). Beyond its ability to aggregate data from five renowned age-depth modeling software, LANDO uniquely empowers users to filter out implausible model outcomes using robust geoscientific data. Our method is not only novel but also significantly enhances the accuracy and reliability of lake analyses.
Considering the preceding steps, this doctoral thesis further examines the relationship between carbon in sediments and temperature over the last 21,000 years. Initially, we hypothesized a positive correlation between carbon accumulation in lakes and modelled paleotemperature. Our homogenized dataset from heterogeneous lakes confirmed this association, even if the highest temperatures throughout our observation period do not correlate with the highest carbon values. We assume that rapid warming events contribute more to high accumulation, while sustained warming leads to carbon outgassing. Considering the current high concentration of carbon in the atmosphere and rising temperatures, ongoing climate change could cause northern lake systems to contribute to a further increase in atmospheric carbon (positive feedback loop). While our findings underscore the reliability of both our standardized data and the LANDO method, expanding our dataset might offer even greater assurance in our conclusions.
Today, near-surface investigations are frequently conducted using non-destructive or minimally invasive methods of applied geophysics, particularly in the fields of civil engineering, archaeology, geology, and hydrology. One field that plays an increasingly central role in research and engineering is the examination of sedimentary environments, for example, for characterizing near-surface groundwater systems. A commonly employed method in this context is ground-penetrating radar (GPR). In this technique, short electromagnetic pulses are emitted into the subsurface by an antenna, which are then reflected, refracted, or scattered at contrasts in electromagnetic properties (such as the water table). A receiving antenna records these signals in terms of their amplitudes and travel times. Analysis of the recorded signals allows for inferences about the subsurface, such as the depth of the groundwater table or the composition and characteristics of near-surface sediment layers. Due to the high resolution of the GPR method and continuous technological advancements, GPR data acquisition is increasingly performed in three-dimensional (3D) fashion today.
Despite the considerable temporal and technical efforts involved in data acquisition and processing, the resulting 3D data sets (providing high-resolution images of the subsurface) are typically interpreted manually. This is generally an extremely time-consuming analysis step. Therefore, representative 2D sections highlighting distinctive reflection structures are often selected from the 3D data set. Regions showing similar structures are then grouped into so-called radar facies. The results obtained from 2D sections are considered representative of the entire investigated area. Interpretations conducted in this manner are often incomplete and highly dependent on the expertise of the interpreters, making them generally non-reproducible.
A promising alternative or complement to manual interpretation is the use of GPR attributes. Instead of using the recorded data directly, derived quantities characterizing distinctive reflection structures in 3D are applied for interpretation. Using various field and synthetic data sets, this thesis investigates which attributes are particularly suitable for this purpose. Additionally, the study demonstrates how selected attributes can be utilized through specific processing and classification methods to create 3D facies models. The ability to generate attribute-based 3D GPR facies models allows for partially automated and more efficient interpretations in the future. Furthermore, the results obtained in this manner describe the subsurface in a reproducible and more comprehensive manner than what has typically been achievable through manual interpretation methods.
A comprehensive study on seismic hazard and earthquake triggering is crucial for effective mitigation of earthquake risks. The destructive nature of earthquakes motivates researchers to work on forecasting despite the apparent randomness of the earthquake occurrences. Understanding their underlying mechanisms and patterns is vital, given their potential for widespread devastation and loss of life. This thesis combines methodologies, including Coulomb stress calculations and aftershock analysis, to shed light on earthquake complexities, ultimately enhancing seismic hazard assessment.
The Coulomb failure stress (CFS) criterion is widely used to predict the spatial distributions of aftershocks following large earthquakes. However, uncertainties associated with CFS calculations arise from non-unique slip inversions and unknown fault networks, particularly due to the choice of the assumed aftershocks (receiver) mechanisms. Recent studies have proposed alternative stress quantities and deep neural network approaches as superior to CFS with predefined receiver mechanisms. To challenge these propositions, I utilized 289 slip inversions from the SRCMOD database to calculate more realistic CFS values for a layered-half space and variable receiver mechanisms. The analysis also investigates the impact of magnitude cutoff, grid size variation, and aftershock duration on the ranking of stress metrics using receiver operating characteristic (ROC) analysis. Results reveal the performance of stress metrics significantly improves after accounting for receiver variability and for larger aftershocks and shorter time periods, without altering the relative ranking of the different stress metrics.
To corroborate Coulomb stress calculations with the findings of earthquake source studies in more detail, I studied the source properties of the 2005 Kashmir earthquake and its aftershocks, aiming to unravel the seismotectonics of the NW Himalayan syntaxis. I simultaneously relocated the mainshock and its largest aftershocks using phase data, followed by a comprehensive analysis of Coulomb stress changes on the aftershock planes. By computing the Coulomb failure stress changes on the aftershock faults, I found that all large aftershocks lie in regions of positive stress change, indicating triggering by either co-seismic or post-seismic slip on the mainshock fault.
Finally, I investigated the relationship between mainshock-induced stress changes and associated seismicity parameters, in particular those of the frequency-magnitude (Gutenberg-Richter) distribution and the temporal aftershock decay (Omori-Utsu law). For that purpose, I used my global data set of 127 mainshock-aftershock sequences with the calculated Coulomb Stress (ΔCFS) and the alternative receiver-independent stress metrics in the vicinity of the mainshocks and analyzed the aftershocks properties depend on the stress values. Surprisingly, the results show a clear positive correlation between the Gutenberg-Richter b-value and induced stress, contrary to expectations from laboratory experiments. This observation highlights the significance of structural heterogeneity and strength variations in seismicity patterns. Furthermore, the study demonstrates that aftershock productivity increases nonlinearly with stress, while the Omori-Utsu parameters c and p systematically decrease with increasing stress changes. These partly unexpected findings have significant implications for future estimations of aftershock hazard.
The findings in this thesis provides valuable insights into earthquake triggering mechanisms by examining the relationship between stress changes and aftershock occurrence. The results contribute to improved understanding of earthquake behavior and can aid in the development of more accurate probabilistic-seismic hazard forecasts and risk reduction strategies.
Rapidly growing seismic and macroseismic databases and simplified access to advanced machine learning methods have in recent years opened up vast opportunities to address challenges in engineering and strong motion seismology from novel, datacentric perspectives. In this thesis, I explore the opportunities of such perspectives for the tasks of ground motion modeling and rapid earthquake impact assessment, tasks with major implications for long-term earthquake disaster mitigation.
In my first study, I utilize the rich strong motion database from the Kanto basin, Japan, and apply the U-Net artificial neural network architecture to develop a deep learning based ground motion model. The operational prototype provides statistical estimates of expected ground shaking, given descriptions of a specific earthquake source, wave propagation paths, and geophysical site conditions. The U-Net interprets ground motion data in its spatial context, potentially taking into account, for example, the geological properties in the vicinity of observation sites. Predictions of ground motion intensity are thereby calibrated to individual observation sites and earthquake locations.
The second study addresses the explicit incorporation of rupture forward directivity into ground motion modeling. Incorporation of this phenomenon, causing strong, pulse like ground shaking in the vicinity of earthquake sources, is usually associated with an intolerable increase in computational demand during probabilistic seismic hazard analysis (PSHA) calculations. I suggest an approach in which I utilize an artificial neural network to efficiently approximate the average, directivity-related adjustment to ground motion predictions for earthquake ruptures from the 2022 New Zealand National Seismic Hazard Model. The practical implementation in an actual PSHA calculation demonstrates the efficiency and operational readiness of my model. In a follow-up study, I present a proof of concept for an alternative strategy in which I target the generalizing applicability to ruptures other than those from the New Zealand National Seismic Hazard Model.
In the third study, I address the usability of pseudo-intensity reports obtained from macroseismic observations by non-expert citizens for rapid impact assessment. I demonstrate that the statistical properties of pseudo-intensity collections describing the intensity of shaking are correlated with the societal impact of earthquakes. In a second step, I develop a probabilistic model that, within minutes of an event, quantifies the probability of an earthquake to cause considerable societal impact. Under certain conditions, such a quick and preliminary method might be useful to support decision makers in their efforts to organize auxiliary measures for earthquake disaster response while results from more elaborate impact assessment frameworks are not yet available.
The application of machine learning methods to datasets that only partially reveal characteristics of Big Data, qualify the majority of results obtained in this thesis as explorative insights rather than ready-to-use solutions to real world problems. The practical usefulness of this work will be better assessed in the future by applying the approaches developed to growing and increasingly complex data sets.
The Central Andean region is characterized by diverse climate zones with sharp transitions between them. In this work, the area of interest is the South-Central Andes in northwestern Argentina that borders with Bolivia and Chile. The focus is the observation of soil moisture and water vapour with Global Navigation Satellite System (GNSS) remote-sensing methodologies. Because of the rapid temporal and spatial variations of water vapour and moisture circulations, monitoring this part of the hydrological cycle is crucial for understanding the mechanisms that control the local climate. Moreover, GNSS-based techniques have previously shown high potential and are appropriate for further investigation. This study includes both logistic-organization effort and data analysis. As for the prior, three GNSS ground stations were installed in remote locations in northwestern Argentina to acquire observations, where there was no availability of third-party data.
The methodological development for the observation of the climate variables of soil moisture and water vapour is independent and relies on different approaches. The soil-moisture estimation with GNSS reflectometry is an approximation that has demonstrated promising results, but it has yet to be operationally employed. Thus, a more advanced algorithm that exploits more observations from multiple satellite constellations was developed using data from two pilot stations in Germany. Additionally, this algorithm was slightly modified and used in a sea-level measurement campaign. Although the objective of this application is not related to monitoring hydrological parameters, its methodology is based on the same principles and helps to evaluate the core algorithm. On the other hand, water-vapour monitoring with GNSS observations is a well-established technique that is utilized operationally. Hence, the scope of this study is conducting a meteorological analysis by examining the along-the-zenith air-moisture levels and introducing indices related to the azimuthal gradient.
The results of the experiments indicate higher-quality soil moisture observations with the new algorithm. Furthermore, the analysis using the stations in northwestern Argentina illustrates the limits of this technology because of varying soil conditions and shows future research directions. The water-vapour analysis points out the strong influence of the topography on atmospheric moisture circulation and rainfall generation. Moreover, the GNSS time series allows for the identification of seasonal signatures, and the azimuthal-gradient indices permit the detection of main circulation pathways.
Watershed management requires an understanding of key hydrochemical processes. The Pra Basin is one of the five major river basins in Ghana with a population of over 4.2 million people. Currently, water resources management faces challenges due to surface water pollution caused by the unregulated release of untreated household and industrial waste into aquatic ecosystems and illegal mining activities. This has increased the need for groundwater as the most reliable water supply. Our understanding of groundwater recharge mechanisms and chemical evolution in the basin has been inadequate, making effective management difficult. Therefore, the main objective of this work is to gain insight into the processes that determine the hydrogeochemical evolution of groundwater quality in the Pra Basin. The combined use of stable isotope, hydrochemistry, and water level data provides the basis for conceptualizing the chemical evolution of groundwater in the Pra Basin. For this purpose, the origin and evaporation rates of water infiltrating into the unsaturated zone were evaluated. In addition, Chloride Mass Balance (CMB) and Water Table Fluctuations (WTF) were considered to quantify groundwater recharge for the basin. Indices such as water quality index (WQI), sodium adsorption ratio (SAR), Wilcox diagram, and salinity (USSL) were used in this study to determine the quality of the resource for use as drinking water and for irrigation purposes. Due to the heterogeneity of the hydrochemical data, the statistical techniques of hierarchical cluster and factor analysis were applied to subdivide the data according to their spatial correlation. A conceptual hydrogeochemical model was developed and subsequently validated by applying combinatorial inverse and reaction pathway-based geochemical models to determine plausible mineral assemblages that control the chemical composition of the groundwater. The interactions between water and rock determine the groundwater quality in the Pra Basin. The results underline that the groundwater is of good quality and can be used for drinking water and irrigation purposes. It was demonstrated that there is a large groundwater potential to meet the entire Pra Basin’s current and future water demands. The main recharge area was identified as the northern zone, while the southern zone is the discharge area. The predominant influence of weathering of silicate minerals plays a key role in the chemical evolution of the groundwater. The work presented here provides fundamental insights into the hydrochemistry of the Pra Basin and provides data important to water managers for informed decision-making in planning and allocating water resources for various purposes. A novel inverse modelling approach was used in this study to identify different mineral compositions that determine the chemical evolution of groundwater in the Pra Basin. This modelling technique has the potential to simulate the composition of groundwater at the basin scale with large hydrochemical heterogeneity, using average water composition to represent established spatial groupings of water chemistry.
Volcanic hydrothermal systems are an integral part of most volcanoes and typically involve a heat source, adequate fluid supply, and fracture or pore systems through which the fluids can circulate within the volcanic edifice. Associated with this are subtle but powerful processes that can significantly influence the evolution of volcanic activity or the stability of the near-surface volcanic system through mechanical weakening, permeability reduction, and sealing of the affected volcanic rock. These processes are well constrained for rock samples by laboratory analyses but are still difficult to extrapolate and evaluate at the scale of an entire volcano. Advances in unmanned aircraft systems (UAS), sensor technology, and photogrammetric processing routines now allow us to image volcanic surfaces at the centimeter scale and thus study volcanic hydrothermal systems in great detail. This thesis aims to explore the potential of UAS approaches for studying the structures, processes, and dynamics of volcanic hydrothermal systems but also to develop methodological approaches to uncover secondary information hidden in the data, capable of indicating spatiotemporal dynamics or potentially critical developments associated with hydrothermal alteration. To accomplish this, the thesis describes the investigation of two near-surface volcanic hydrothermal systems, the El Tatio geyser field in Chile and the fumarole field of La Fossa di Vulcano (Italy), both of which are among the best-studied sites of their kind. Through image analysis, statistical, and spatial analyses we have been able to provide the most detailed structural images of both study sites to date, with new insights into the driving forces of such systems but also revealing new potential controls, which are summarized in conceptual site-specific models. Furthermore, the thesis explores methodological remote sensing approaches to detect, classify and constrain hydrothermal alteration and surface degassing from UAS-derived data, evaluated them by mineralogical and chemical ground-truthing, and compares the alteration pattern with the present-day degassing activity. A significant contribution of the often neglected diffuse degassing activity to the total amount of degassing is revealed and constrains secondary processes and dynamics associated with hydrothermal alteration that lead to potentially critical developments like surface sealing. The results and methods used provide new approaches for alteration research, for the monitoring of degassing and alteration effects, and for thermal monitoring of fumarole fields, with the potential to be incorporated into volcano monitoring routines.
With Arctic ground as a huge and temperature-sensitive carbon reservoir, maintaining low ground temperatures and frozen conditions to prevent further carbon emissions that contrib-ute to global climate warming is a key element in humankind’s fight to maintain habitable con-ditions on earth. Former studies showed that during the late Pleistocene, Arctic ground condi-tions were generally colder and more stable as the result of an ecosystem dominated by large herbivorous mammals and vast extents of graminoid vegetation – the mammoth steppe. Characterised by high plant productivity (grassland) and low ground insulation due to animal-caused compression and removal of snow, this ecosystem enabled deep permafrost aggrad-ation. Now, with tundra and shrub vegetation common in the terrestrial Arctic, these effects are not in place anymore. However, it appears to be possible to recreate this ecosystem local-ly by artificially increasing animal numbers, and hence keep Arctic ground cold to reduce or-ganic matter decomposition and carbon release into the atmosphere.
By measuring thaw depth, total organic carbon and total nitrogen content, stable carbon iso-tope ratio, radiocarbon age, n-alkane and alcohol characteristics and assessing dominant vegetation types along grazing intensity transects in two contrasting Arctic areas, it was found that recreating conditions locally, similar to the mammoth steppe, seems to be possible. For permafrost-affected soil, it was shown that intensive grazing in direct comparison to non-grazed areas reduces active layer depth and leads to higher TOC contents in the active layer soil. For soil only frozen on top in winter, an increase of TOC with grazing intensity could not be found, most likely because of confounding factors such as vertical water and carbon movement, which is not possible with an impermeable layer in permafrost. In both areas, high animal activity led to a vegetation transformation towards species-poor graminoid-dominated landscapes with less shrubs. Lipid biomarker analysis revealed that, even though the available organic material is different between the study areas, in both permafrost-affected and sea-sonally frozen soils the organic material in sites affected by high animal activity was less de-composed than under less intensive grazing pressure. In conclusion, high animal activity af-fects decomposition processes in Arctic soils and the ground thermal regime, visible from reduced active layer depth in permafrost areas. Therefore, grazing management might be utilised to locally stabilise permafrost and reduce Arctic carbon emissions in the future, but is likely not scalable to the entire permafrost region.
Large parts of the Earth’s interior are inaccessible to direct observation, yet global geodynamic processes are governed by the physical material properties under extreme pressure and temperature conditions. It is therefore essential to investigate the deep Earth’s physical properties through in-situ laboratory experiments. With this goal in mind, the optical properties of mantle minerals at high pressure offer a unique way to determine a variety of physical properties, in a straight-forward, reproducible, and time-effective manner, thus providing valuable insights into the physical processes of the deep Earth. This thesis focusses on the system Mg-Fe-O, specifically on the optical properties of periclase (MgO) and its iron-bearing variant ferropericlase ((Mg,Fe)O), forming a major planetary building block. The primary objective is to establish links between physical material properties and optical properties. In particular the spin transition in ferropericlase, the second-most abundant phase of the lower mantle, is known to change the physical material properties. Although the spin transition region likely extends down to the core-mantle boundary, the ef-fects of the mixed-spin state, where both high- and low-spin state are present, remains poorly constrained.
In the studies presented herein, we show how optical properties are linked to physical properties such as electrical conductivity, radiative thermal conductivity and viscosity. We also show how the optical properties reveal changes in the chemical bonding. Furthermore, we unveil how the chemical bonding, the optical and other physical properties are affected by the iron spin transition. We find opposing trends in the pres-sure dependence of the refractive index of MgO and (Mg,Fe)O. From 1 atm to ~140 GPa, the refractive index of MgO decreases by ~2.4% from 1.737 to 1.696 (±0.017). In contrast, the refractive index of (Mg0.87Fe0.13)O (Fp13) and (Mg0.76Fe0.24)O (Fp24) ferropericlase increases with pressure, likely because Fe Fe interactions between adjacent iron sites hinder a strong decrease of polarizability, as it is observed with increasing density in the case of pure MgO. An analysis of the index dispersion in MgO (decreasing by ~23% from 1 atm to ~103 GPa) reflects a widening of the band gap from ~7.4 eV at 1 atm to ~8.5 (±0.6) eV at ~103 GPa. The index dispersion (between 550 and 870 nm) of Fp13 reveals a decrease by a factor of ~3 over the spin transition range (~44–100 GPa). We show that the electrical band gap of ferropericlase significantly widens up to ~4.7 eV in the mixed spin region, equivalent to an increase by a factor of ~1.7. We propose that this is due to a lower electron mobility between adjacent Fe2+ sites of opposite spin, explaining the previously observed low electrical conductivity in the mixed spin region. From the study of absorbance spectra in Fp13, we show an increasing covalency of the Fe-O bond with pressure for high-spin ferropericlase, whereas in the low-spin state a trend to a more ionic nature of the Fe-O bond is observed, indicating a bond weakening effect of the spin transition. We found that the spin transition is ultimately caused by both an increase of the ligand field-splitting energy and a decreasing spin-pairing energy of high-spin Fe2+.
Mountain ranges can fundamentally influence the physical and and chemical processes that shape Earths’ surface. With elevations of up to several kilometers they create climatic enclaves by interacting with atmospheric circulation and hydrologic systems, thus leading to a specific distribution of flora and fauna. As a result, the interiors of many Cenozoic mountain ranges are characterized by an arid climate, internally drained and sediment-filled basins, as well as unique ecosystems that are isolated from the adjacent humid, low-elevation regions along their flanks and forelands. These high-altitude interiors of orogens are often characterized by low relief and coalesced sedimentary basins, commonly referred to as plateaus, tectono-geomorphic entities that result from the complex interactions between mantle-driven geological and tectonic conditions and superposed atmospheric and hydrological processes. The efficiency of these processes and the fate of orogenic plateaus is therefore closely tied to the balance of constructive and destructive processes – tectonic uplift and erosion, respectively. In numerous geological studies it has been shown that mountain ranges are delicate systems that can be obliterated by an imbalance of these underlying forces. As such, Cenozoic mountain ranges might not persist on long geological timescales and will be destroyed by erosion or tectonic collapse. Advancing headward erosion of river systems that drain the flanks of the orogen may ultimately sever the internal drainage conditions and the maintenance of storage of sediments within the plateau, leading to destruction of plateau morphology and connectivity with the foreland. Orogenic collapse may be associated with the changeover from a compressional stress field with regional shortening and topographic growth, to a tensional stress field with regional extensional deformation and ensuing incision of the plateau. While the latter case is well-expressed by active extensional faults in the interior parts of the Tibetan Plateau and the Himalaya, for example, the former has been attributed to have breached the internally drained areas of the high-elevation sectors of the Iranian Plateau.
In the case of the Andes of South America and their internally drained Altiplano-Puna Plateau, signs of both processes have been previously described. However, in the orogenic collapse scenario the nature of the extensional structures had been primarily investigated in the northern and southern terminations of the plateau; in some cases, the extensional faults were even regarded to be inactive. After a shallow earthquake in 2020 within the Eastern Cordillera of Argentina that was associated with extensional deformation, the state of active deformation and the character of the stress field in the central parts of the plateau received renewed interest to explain a series of extensional structures in the northernmost sectors of the plateau in north-western Argentina. This study addresses (1) the issue of tectonic orogenic collapse of the Andes and the destruction of plateau morphology by studying the fill and erosion history of the central eastern Andean Plateau using sedimentological and geochronological data and (2) the kinematics, timing and magnitude of extensional structures that form well-expressed fault scarps in sediments of the regional San Juan del Oro surface, which is an integral part of the Andean Plateau and adjacent morphotectonic provinces to the east.
Importantly, sediment properties and depositional ages document that the San Juan del Oro Surface was not part of the internally-drained Andean Plateau, but rather associated with a foreland-directed drainage system, which was modified by the Andean orogeny and that became successively incorporated into the orogen by the eastward-migration of the Andean deformation front during late Miocene – Pliocene time. Structural and geomorphic observations within the plateau indicate that extensional processes must have been repeatedly active between the late Miocene and Holocene supporting the notion of plateau-wide extensional processes, potentially associated with Mw ~ 7 earthquakes. The close relationship between extensional joints and fault orientations underscores that 3 was oriented horizontally in NW-SE direction and 1 was vertical. This unambiguously documents that the observed deformation is related to gravitational forces that drive the orogenic collapse of the plateau. Applied geochronological analyses suggest that normal faulting in the northern Puna was active at about 3 Ma, based on paired cosmogenic nuclide dating of sediment fill units. Possibly due to regional normal faulting the drainage system within the plateau was modified, promoting fluvial incision.
Earthquake modeling is the key to a profound understanding of a rupture. Its kinematics or dynamics are derived from advanced rupture models that allow, for example, to reconstruct the direction and velocity of the rupture front or the evolving slip distribution behind the rupture front. Such models are often parameterized by a lattice of interacting sub-faults with many degrees of freedom, where, for example, the time history of the slip and rake on each sub-fault are inverted. To avoid overfitting or other numerical instabilities during a finite-fault estimation, most models are stabilized by geometric rather than physical constraints such as smoothing.
As a basis for the inversion approach of this study, we build on a new pseudo-dynamic rupture model (PDR) with only a few free parameters and a simple geometry as a physics-based solution of an earthquake rupture. The PDR derives the instantaneous slip from a given stress drop on the fault plane, with boundary conditions on the developing crack surface guaranteed at all times via a boundary element approach. As a side product, the source time function on each point on the rupture plane is not constraint and develops by itself without additional parametrization. The code was made publicly available as part of the Pyrocko and Grond Python packages. The approach was compared with conventional modeling for different earthquakes. For example, for the Mw 7.1 2016 Kumamoto, Japan, earthquake, the effects of geometric changes in the rupture surface on the slip and slip rate distributions could be reproduced by simply projecting stress vectors. For the Mw 7.5 2018 Palu, Indonesia, strike-slip earthquake, we also modelled rupture propagation using the 2D Eikonal equation and assuming a linear relationship between rupture and shear wave velocity. This allowed us to give a deeper and faster propagating rupture front and the resulting upward refraction as a new possible explanation for the apparent supershear observed at the Earth's surface.
The thesis investigates three aspects of earthquake inversion using PDR: (1) to test whether implementing a simplified rupture model with few parameters into a probabilistic Bayesian scheme without constraining geometric parameters is feasible, and whether this leads to fast and robust results that can be used for subsequent fast information systems (e.g., ground motion predictions). (2) To investigate whether combining broadband and strong-motion seismic records together with near-field ground deformation data improves the reliability of estimated rupture models in a Bayesian inversion. (3) To investigate whether a complex rupture can be represented by the inversion of multiple PDR sources and for what type of earthquakes this is recommended.
I developed the PDR inversion approach and applied the joint data inversions to two seismic sequences in different tectonic settings. Using multiple frequency bands and a multiple source inversion approach, I captured the multi-modal behaviour of the Mw 8.2 2021 South Sandwich subduction earthquake with a large, curved and slow rupturing shallow earthquake bounded by two faster and deeper smaller events. I could cross-validate the results with other methods, i.e., P-wave energy back-projection, a clustering analysis of aftershocks and a simple tsunami forward model.
The joint analysis of ground deformation and seismic data within a multiple source inversion also shed light on an earthquake triplet, which occurred in July 2022 in SE Iran. From the inversion and aftershock relocalization, I found indications for a vertical separation between the shallower mainshocks within the sedimentary cover and deeper aftershocks at the sediment-basement interface. The vertical offset could be caused by the ductile response of the evident salt layer to stress perturbations from the mainshocks.
The applications highlight the versatility of the simple PDR in probabilistic seismic source inversion capturing features of rather different, complex earthquakes. Limitations, as the evident focus on the major slip patches of the rupture are discussed as well as differences to other finite fault modeling methods.
The deformation style of mountain belts is greatly influenced by the upper plate architecture created during preceding deformation phases. The Mesozoic Salta Rift extensional phase has created a dominant structural and lithological framework that controls Cenozoic deformation and exhumation patterns in the Central Andes. Studying the nature of these pre-existing anisotropies is a key to understanding the spatiotemporal distribution of exhumation and its controlling factors. The Eastern Cordillera in particular, has a structural grain that is in part controlled by Salta Rift structures and their orientation relative to Andean shortening. As a result, there are areas in which Andean deformation prevails and areas where the influence of the Salta Rift is the main control on deformation patterns.
Between 23 and 24°S, lithological and structural heterogeneities imposed by the Lomas de Olmedo sub-basin (Salta Rift basin) affect the development of the Eastern Cordillera fold-and-thrust belt. The inverted northern margin of the sub-basin now forms the southern boundary of the intermontane Cianzo basin. The former western margin of the sub-basin is located at the confluence of the Subandean Zone, the Santa Barbara System and the Eastern Cordillera. Here, the Salta Rift basin architecture is responsible for the distribution of these morphotectonic provinces. In this study we use a multi-method approach consisting of low-temperature (U-Th-Sm)/He and apatite fission track thermochronology, detrital geochronology, structural and sedimentological analyses to investigate the Mesozoic structural inheritance of the Lomas de Olmedo sub-basin and Cenozoic exhumation patterns.
Characterization of the extension-related Tacurú Group as an intermediate succession between Paleozoic basement and the syn-rift infill of the Lomas de Olmedo sub-basin reveals a Jurassic maximum depositional age. Zircon (U-Th-Sm)/He cooling ages record a pre-Cretaceous onset of exhumation for the rift shoulders in the northern part of the sub-basin, whereas the western shoulder shows a more recent onset (140–115 Ma). Variations in the sedimentary thickness of syn- and post-rift strata document the evolution of accommodation space in the sub-basin. While the thickness of syn-rift strata increases rapidly toward the northern basin margin, the post-rift strata thickness decreases toward the margin and forms a condensed section on the rift shoulder.
Inversion of Salta Rift structures commenced between the late Oligocene and Miocene (24–15 Ma) in the ranges surrounding the Cianzo basin. The eastern and western limbs of the Cianzo syncline, located in the hanging wall of the basin-bounding Hornocal fault, show diachronous exhumation. At the same time, western fault blocks of Tilcara Range, south of the Cianzo basin, began exhuming in the late Oligocene to early Miocene (26–16 Ma). Eastward propagation to the frontal thrust and to the Paleozoic strata east of the Tilcara Range occurred in the middle Miocene (22–10 Ma) and the late Miocene–early Pliocene (10–4 Ma), respectively.
Volcanic hazard assessment relies on physics-based models of hazards, such as lava flows and pyroclastic density currents, whose outcomes are very sensitive to the location where future eruptions will occur. On the contrary, forecast of vent opening locations in volcanic areas typically relies on purely data-driven approaches, where the spatial density of past eruptive vents informs the probability maps of future vent opening. Such techniques may be suboptimal in volcanic systems with missing or scarce data, and where the controls on magma pathways may change over time. An alternative approach was recently proposed, relying on a model of stress-driven pathways of magmatic dikes. In that approach, the crustal stress was optimized so that dike trajectories linked consistently the location of the magma chamber to that of past vents. The retrieved information on the stress state was then used to forecast future dike trajectories. The validation of such an approach requires extensive application to nature. Before doing so, however, several important limitations need to be removed, most importantly the two-dimensional (2D) character of the models and theoretical concepts. In this thesis, I develop methods and tools so that a physics-based strategy of stress inversion and eruptive vent forecast in volcanoes can be applied to three dimensional (3D) problems. In the first part, I test the stress inversion and vent forecast strategy on analog models, still within a 2D framework, but improving on the efficiency of the stress optimization. In the second part, I discuss how to correctly account for gravitational loading/unloading due to complex 3D topography with a Boundary-Element numerical model. Then, I develop a new, simplified but fast model of dike pathways in 3D, designed for running large numbers of simulations at minimal computational cost, and able to backtrack dike trajectories from vents on the surface. Finally, I combine the stress and dike models to simulate dike pathways in synthetic calderas. In the third part, I describe a framework of stress inversion and vent forecast strategy in 3D for calderas. The stress inversion relies on, first, describing the magma storage below a caldera in terms of a probability density function. Next, dike trajectories are backtracked from the known locations of past vents down through the crust, and the optimization algorithm seeks for the stress models which lead trajectories through the regions of highest probability. I apply the new strategy to the synthetic scenarios presented in the second part, and I exploit the results from the stress inversions to produce probability maps of future vent locations for some of those scenarios. In the fourth part, I present the inversion of different deformation source models applied to the ongoing ground deformation observed across the Rhenish Massif in Central Europe. The region includes the Eifel Volcanic Fields in Germany, a potential application case for the vent forecast strategy. The results show how the observed deformation may be due to melt accumulation in sub-horizontal structures in the lower crust or upper mantle. The thesis concludes with a discussion of the stress inversion and vent forecast strategy, its limitations and applicability to real volcanoes. Potential developments of the modeling tools and concepts presented here are also discussed, as well as possible applications to other geophysical problems.
Magmatic-hydrothermal systems form a variety of ore deposits at different proximities to upper-crustal hydrous magma chambers, ranging from greisenization in the roof zone of the intrusion, porphyry mineralization at intermediate depths to epithermal vein deposits near the surface. The physical transport processes and chemical precipitation mechanisms vary between deposit types and are often still debated.
The majority of magmatic-hydrothermal ore deposits are located along the Pacific Ring of Fire, whose eastern part is characterized by the Mesozoic to Cenozoic orogenic belts of the western North and South Americas, namely the American Cordillera. Major magmatic-hydrothermal ore deposits along the American Cordillera include (i) porphyry Cu(-Mo-Au) deposits (along the western cordilleras of Mexico, the western U.S., Canada, Chile, Peru, and Argentina); (ii) Climax- (and sub−) type Mo deposits (Colorado Mineral Belt and northern New Mexico); and (iii) porphyry and IS-type epithermal Sn(-W-Ag) deposits of the Central Andean Tin Belt (Bolivia, Peru and northern Argentina).
The individual studies presented in this thesis primarily focus on the formation of different styles of mineralization located at different proximities to the intrusion in magmatic-hydrothermal systems along the American Cordillera. This includes (i) two individual geochemical studies on the Sweet Home Mine in the Colorado Mineral Belt (potential endmember of peripheral Climax-type mineralization); (ii) one numerical modeling study setup in a generic porphyry Cu-environment; and (iii) a numerical modeling study on the Central Andean Tin Belt-type Pirquitas Mine in NW Argentina.
Microthermometric data of fluid inclusions trapped in greisen quartz and fluorite from the Sweet Home Mine (Detroit City Portal) suggest that the early-stage mineralization precipitated from low- to medium-salinity (1.5-11.5 wt.% equiv. NaCl), CO2-bearing fluids at temperatures between 360 and 415°C and at depths of at least 3.5 km. Stable isotope and noble gas isotope data indicate that greisen formation and base metal mineralization at the Sweet Home Mine was related to fluids of different origins. Early magmatic fluids were the principal source for mantle-derived volatiles (CO2, H2S/SO2, noble gases), which subsequently mixed with significant amounts of heated meteoric water. Mixing of magmatic fluids with meteoric water is constrained by δ2Hw-δ18Ow relationships of fluid inclusions. The deep hydrothermal mineralization at the Sweet Home Mine shows features similar to deep hydrothermal vein mineralization at Climax-type Mo deposits or on their periphery. This suggests that fluid migration and the deposition of ore and gangue minerals in the Sweet Home Mine was triggered by a deep-seated magmatic intrusion.
The second study on the Sweet Home Mine presents Re-Os molybdenite ages of 65.86±0.30 Ma from a Mo-mineralized major normal fault, namely the Contact Structure, and multimineral Rb-Sr isochron ages of 26.26±0.38 Ma and 25.3±3.0 Ma from gangue minerals in greisen assemblages. The age data imply that mineralization at the Sweet Home Mine formed in two separate events: Late Cretaceous (Laramide-related) and Oligocene (Rio Grande Rift-related). Thus, the age of Mo mineralization at the Sweet Home Mine clearly predates that of the Oligocene Climax-type deposits elsewhere in the Colorado Mineral Belt. The Re-Os and Rb-Sr ages also constrain the age of the latest deformation along the Contact Structure to between 62.77±0.50 Ma and 26.26±0.38 Ma, which was employed and/or crosscut by Late Cretaceous and Oligocene fluids. Along the Contact Structure Late Cretaceous molybdenite is spatially associated with Oligocene minerals in the same vein system, a feature that precludes molybdenite recrystallization or reprecipitation by Oligocene ore fluids.
Ore precipitation in porphyry copper systems is generally characterized by metal zoning (Cu-Mo to Zn-Pb-Ag), which is suggested to be variably related to solubility decreases during fluid cooling, fluid-rock interactions, partitioning during fluid phase separation and mixing with external fluids. The numerical modeling study setup in a generic porphyry Cu-environment presents new advances of a numerical process model by considering published constraints on the temperature- and salinity-dependent solubility of Cu, Pb and Zn in the ore fluid. This study investigates the roles of vapor-brine separation, halite saturation, initial metal contents, fluid mixing, and remobilization as first-order controls of the physical hydrology on ore formation. The results show that the magmatic vapor and brine phases ascend with different residence times but as miscible fluid mixtures, with salinity increases generating metal-undersaturated bulk fluids. The release rates of magmatic fluids affect the location of the thermohaline fronts, leading to contrasting mechanisms for ore precipitation: higher rates result in halite saturation without significant metal zoning, lower rates produce zoned ore shells due to mixing with meteoric water. Varying metal contents can affect the order of the final metal precipitation sequence. Redissolution of precipitated metals results in zoned ore shell patterns in more peripheral locations and also decouples halite saturation from ore precipitation.
The epithermal Pirquitas Sn-Ag-Pb-Zn mine in NW Argentina is hosted in a domain of metamorphosed sediments without geological evidence for volcanic activity within a distance of about 10 km from the deposit. However, recent geochemical studies of ore-stage fluid inclusions indicate a significant contribution of magmatic volatiles. This study tested different formation models by applying an existing numerical process model for porphyry-epithermal systems with a magmatic intrusion located either at a distance of about 10 km underneath the nearest active volcano or hidden underneath the deposit. The results show that the migration of the ore fluid over a 10-km distance results in metal precipitation by cooling before the deposit site is reached. In contrast, simulations with a hidden magmatic intrusion beneath the Pirquitas deposit are in line with field observations, which include mineralized hydrothermal breccias in the deposit area.
Volcanoes are one of the Earth’s most dynamic zones and responsible for many changes in our planet. Volcano seismology aims to provide an understanding of the physical processes in volcanic systems and anticipate the style and timing of eruptions by analyzing the seismic records. Volcanic tremor signals are usually observed in the seismic records before or during volcanic eruptions. Their analysis contributes to evaluate the evolving volcanic activity and potentially predict eruptions. Years of continuous seismic monitoring now provide useful information for operational eruption forecasting. The continuously growing amount of seismic recordings, however, poses a challenge for analysis, information extraction, and interpretation, to support timely decision making during volcanic crises. Furthermore, the complexity of eruption processes and precursory activities makes the analysis challenging.
A challenge in studying seismic signals of volcanic origin is the coexistence of transient signal swarms and long-lasting volcanic tremor signals. Separating transient events from volcanic tremors can, therefore, contribute to improving our understanding of the underlying physical processes. Some similar issues (data reduction, source separation, extraction, and classification) are addressed in the context of music information retrieval (MIR). The signal characteristics of acoustic and seismic recordings comprise a number of similarities. This thesis is going beyond classical signal analysis techniques usually employed in seismology by exploiting similarities of seismic and acoustic signals and building the information retrieval strategy on the expertise developed in the field of MIR.
First, inspired by the idea of harmonic–percussive separation (HPS) in musical signal processing, I have developed a method to extract harmonic volcanic tremor signals and to detect transient events from seismic recordings. This provides a clean tremor signal suitable for tremor investigation along with a characteristic function suitable for earthquake detection. Second, using HPS algorithms, I have developed a noise reduction technique for seismic signals. This method is especially useful for denoising ocean bottom seismometers, which are highly contaminated by noise. The advantage of this method compared to other denoising techniques is that it doesn’t introduce distortion to the broadband earthquake waveforms, which makes it reliable for different applications in passive seismological analysis. Third, to address the challenge of extracting information from high-dimensional data and investigating the complex eruptive phases, I have developed an advanced machine learning model that results in a comprehensive signal processing scheme for volcanic tremors. Using this method seismic signatures of major eruptive phases can be automatically detected. This helps to provide a chronology of the volcanic system. Also, this model is capable to detect weak precursory volcanic tremors prior to the eruption, which could be used as an indicator of imminent eruptive activity. The extracted patterns of seismicity and their temporal variations finally provide an explanation for the transition mechanism between eruptive phases.
Continental rifts are key geodynamic regions where the complex interplay of magmatism and faulting activity can be studied to understand the driving forces of extension and the formation of new divergent plate boundaries. Well-preserved rift morphology can provide a wealth of information on the growth, interaction, and linkage of normal-fault systems through time. If rift basins are preserved over longer geologic time periods, sedimentary archives generated during extensional processes may mirror tectonic and climatic influences on erosional and sedimentary processes that have varied over time. Rift basins are furthermore strategic areas for hydrocarbon and geothermal energy exploration, and they play a central role in species dispersal and evolution as well as providing or inhibiting hydrologic connectivity along basins at emerging plate boundaries.
The Cenozoic East African rift system (EARS) is one of the most important continental extension zones, reflecting a range of evolutionary stages from an early rift stage with isolated basins in Malawi to an advanced stage of continental extension in southern Afar. Consequently, the EARS is an ideal natural laboratory that lends itself to the study of different stages in the breakup of a continent. The volcanically and seismically active eastern branch of the EARS is characterized by multiple, laterally offset tectonic and magmatic segments where adjacent extensional basins facilitate crustal extension either across a broad deformation zone or via major transfer faulting. The Broadly Rifted Zone (BRZ) in southern Ethiopia is an integral part of the eastern branch of the EARS; in this region, rift segments of the southern Ethiopian Rift (sMER) and northern Kenyan Rift (nKR) propagate in opposite directions in a region with one of the earliest manifestations of volcanism and extensional tectonism in East Africa. The basin margins of the Chew-Bahir Basin and the Gofa Province, characterized by a semi-arid climate and largely uniform lithology, provide ideal conditions for studying the tectonic and geomorphologic features of this complex kinematic transfer zone, but more importantly, this area is suitable for characterizing and quantifying the overlap between the propagating structures of the sMER and nKR and the resulting deformation patterns of the BRZ transfer zones.
In this study, I have combined data from thermochronology, thermal modeling, morphometry, paleomagnetic analysis, geochronology, and geomorphological field observations with information from published studies to reconstruct the spatiotemporal relationship between volcanism and fault activity in the BRZ and quantify the deformation patterns of the overlapping rift segments. I present the following results: (1) new thermochronological data from the en-échelon basin margins and footwall blocks of the rift flanks and morphometric results verified in the field to link different phases of magmatism and faulting during extension and infer geomorphological landscape features related to the current tectonic interaction between the nKR and the sMER; (2) temporally constrained paleomagnetic data from the BRZ overlap zone between the Ethiopian and Kenyan rifts to quantitatively determine block rotation between the two segments. Combining the collected data, time-temperature histories of thermal modeling results from representative samples show well-defined deformation phases between 25–20 Ma, 15–9Ma, and ~5 Ma to the present. Each deformation phase is characterized by the onset of rapid cooling (>2°C/Ma) of the crust associated with uplift or exhumation of the rift shoulder. After an initial, spatially very diffuse phase of extension, the rift has gradually evolved into a system of connected structures formed in an increasingly focused rift zone during the last 5 Ma. Regarding the morphometric analysis of the rift structures, it can be shown that normalized slope indices of the river courses, spatial arrangement of knickpoints in the river longitudinal profiles of the footwall blocks, local relief values, and the average maximum values of the slope of the river profiles indicate a gradual increase in the extension rate from north (Sawula basin: mature) to south (Chew Bahir: young). The complexity of the structural evolution of the BRZ overlap zone between nKR and sMER is further emphasized by the documentation of crustal blocks around a vertical axis. A comparison of the mean directions obtained for the Eo-Oligocene (Ds=352.6°, Is=-17.0°, N=18, α95=5.5°) and Miocene (Ds=2.9°, Is=0.9°, N=9, α95=12.4°) volcanics relative to the pole for stable South Africa and with respect to the corresponding ages of the analyzed units record a significant counterclockwise rotation of ~11.1°± 6.4° and insignificant CCW rotation of ~3.2° ± 11.5°, respectively.
The Andes reflect Cenozoic deformation and uplift along the South American margin in the context of regional shortening associated with the interaction between the subducting Nazca plate and the overriding continental South American plate. Simultaneously, multiple levels of uplifted marine terraces constitute laterally continuous geomorphic features related to the accumulation of permanent forearc deformation in the coastal realm. However, the mechanisms responsible for permanent coastal uplift and the persistency of current/decadal deformation patterns over millennial timescales are still not fully understood. This dissertation presents a continental-scale database of last interglacial terrace elevations and uplift rates along the South American coast that provides the basis for an analysis of a variety of mechanisms that are possibly responsible for the accumulation of permanent coastal uplift. Regional-scale mapping and analysis of multiple, late Pleistocene terrace levels in central Chile furthermore provide valuable insights regarding the persistency of current seismic asperities, the role of upper-plate faulting, and the impact of bathymetric ridges on permanent forearc deformation.
The database of last interglacial terrace elevations reveals an almost continuous signal of background-uplift rates along the South American coast at ~0.22 mm/yr that is modified by various short- to long-wavelength changes. Spatial correlations with crustal faults and subducted bathymetric ridges suggest long-term deformation to be affected by these features, while the latitudinal variability of climate forcing factors has a profound impact on the generation and preservation of marine terraces. Systematic wavelength analyses and comparisons of the terrace-uplift rate signal with different tectonic parameters reveal short-wavelength deformation to result from crustal faulting, while intermediate- to long-wavelength deformation might indicate various extents of long-term seismotectonic segments on the megathrust, which are at least partially controlled by the subduction of bathymetric anomalies. The observed signal of background-uplift rate is likely accumulated by moderate earthquakes near the Moho, suggesting multiple, spatiotemporally distinct phases of uplift that manifest as a continuous uplift signal over millennial timescales.
Various levels of late Pleistocene marine terraces in the 2015 M8.3 Illapel-earthquake area reveal a range of uplift rates between 0.1 and 0.6 mm/yr and indicate decreasing uplift rates since ~400 ka. These glacial-cycle uplift rates do not correlate with current or decadal estimates of coastal deformation suggesting seismic asperities not to be persistent features on the megathrust that control the accumulation of permanent forearc deformation over long timescales of 105 years. Trench-parallel, crustal normal faults modulate the characteristics of permanent forearc-deformation; upper-plate extension likely represents a second-order phenomenon resulting from subduction erosion and subsequent underplating that lead to regional tectonic uplift and local gravitational collapse of the forearc. In addition, variable activity with respect to the subduction of the Juan Fernández Ridge can be detected in the upper plate over the course of multiple interglacial periods, emphasizing the role of bathymetric anomalies in causing local increases in terrace-uplift rate. This thesis therefore provides new insights into the current understanding of subduction-zone processes and the dynamics of coastal forearc deformation, whose different interacting forcing factors impact the topographic and geomorphic evolution of the western South American coast.