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Swedish long-term soil fertility experiments were used to investigate the effect of texture and fertilization regime on soil electrical conductivity. In one geophysical approach, fields were mapped to characterize the horizontal variability in apparent electrical conductivity down to 1.5 m soil depth using an electromagnetic induction meter (EM38 device). The data obtained were geo-referenced by dGPS. The other approach consisted of measuring the vertical variability in electrical conductivity along transects using a multi-electrode apparatus for electrical resistivity tomography (GeoTom RES/IP device) down to 2 m depth. Geophysical field work was complemented by soil analyses. The results showed that despite 40 years of different fertilization regimes, treatments had no significant effects on the apparent electrical conductivity. Instead, the comparison of sites revealed high and low conductivity soils, with gradual differences explained by soil texture. A significant, linear relationship found between apparent electrical conductivity and soil clay content explained 80% of the variability measured. In terms of soil depth, both low and high electrical conductivity values were measured. Abrupt changes in electrical conductivity within a field revealed the presence of 'deviating areas'. Higher values corresponded well with layers with a high clay content, while local inclusions of coarse-textured materials caused a high variability in conductivity in some fields. The geophysical methods tested provided useful information on the variability in soil texture at the experimental sites. The use of spatial EC variability as a co-variable in statistical analysis could be a complementary tool in the evaluation of experimental results.
The Western Alpine Sesia-Lanzo Zone (SLZ) is a sliver of eclogite-facies continental crust exhumed from mantle depths in the hanging wall of a subducted oceanic slab. Eclogite-facies felsic and basic rocks sampled across the internal SLZ show different degrees of retrograde metamorphic overprint associated with fluid influx. The weakly deformed samples preserve relict eclogite-facies mineral assemblages that show partial fluid-induced compositional re-equilibration along grain boundaries, brittle fractures and other fluid pathways. Multiple fluid influx stages are indicated by replacement of primary omphacite by phengite, albitic plagioclase and epidote as well as partial re-equilibration and/or overgrowths in phengite and sodic amphibole, producing characteristic step-like compositional zoning patterns. The observed textures, together with the map-scale distribution of the samples, suggest open-system, pervasive and reactive fluid flux across large rock volumes above the subducted slab. Thermodynamic modelling indicates a minimum amount of fluid of 0 center dot 1-0 center dot 5 wt % interacting with the wall-rocks. Phase relations and reaction textures indicate mobility of K, Ca, Fe and Mg, whereas Al is relatively immobile in these medium-temperature-high-pressure fluids. Furthermore, the thermodynamic models show that recycling of previously fractionated material, such as in the cores of garnet porphyroblasts, largely controls the compositional re-equilibration of the exhumed rock body.
The amount and composition of subduction zone fluids and the effect of fluid-rock interaction at a slab-mantle interface have been constrained by thermodynamic and trace element modelling of partially overprinted blueschist-facies rocks from the Sesia Zone (Western Alps). Deformation-induced differences in fluid flux led to a partial preservation of pristine mineral cores in weakly deformed samples that were used to quantify Li, B, Stand Pb distribution during mineral growth, -breakdown and modification induced by fluid-rock interaction. Our results show that Li and 13 budgets are fluid-controlled, thus acting as tracers for fluid-rock interaction processes, whereas Stand Pb budgets are mainly controlled by the fluid-induced formation of epidote. Our calculations show that fluid-rock interaction caused significant Li and B depletion in the affected rocks due to leaching effects, which in turn can lead to a drastic enrichment of these elements in the percolating fluid. Depending on available fluid-mineral trace element distribution coefficients modelled fluid rock ratios were up to 0.06 in weakly deformed samples and at least 0.5 to 4 in shear zone mylonites. These amounts lead to time integrated fluid fluxes of up to 1.4-10(2) m(3) m(-2) in the weakly deformed rocks and 1-8-10(3) m(3) m(-2) in the mylonites. Combined thermodynamic and trace element models can be used to quantify metamorphic fluid fluxes and the associated element transfer in complex, reacting rock systems and help to better understand commonly observed fluid-induced trace element trends in rocks and minerals from different geodynamic environments.
Eclogites from the main borehole of the Chinese Continental Scientific Drilling project yield highly precise Lu-Hf garnet-clinopyroxene ages of 216.9 +/- 1.2 Ma (four samples) and 220.5 +/- 2.7 Ma (one sample). The spatial distribution of the rare earth elements in garnet is consistent with the preservation of primary growth zoning, unmodified by diffusion, which supports the interpretation that the Lu-Hf ages date the time of formation of garnet, the major rock forming mineral in the eclogites. The preservation of primary REE-zoning, despite peak metamorphic temperatures around 800-850 degrees C. indicates that the Lu-Hf chronometer is perfectly suitable to date garnet-forming reactions in high grade rocks. The range of Lu-Hf ages for eclogites in the Dabie-Sulu UHP terrane point to episodic rather than continuous growth of garnets and thus punctuated metamorphism during the collision of the North China Block and the Yangtze Block. The U-Pb ages and Hf-isotope systematics of zircon grains from one eclogite sample imply a protracted geologic history of the eclogite precursors that started around 2 Ga and culminated in the UHP metamorphism around 220 Ma.
The pressures required for diamond and coesite formation far exceed conditions reached by even the deepest present-day orogenic crustal roots. Therefore the occurrence of metamorphosed continental crust containing these minerals requires processes other than crustal thickening to have operated in the past. Here we report the first in situ finding of diamond and coesite, characterized by micro-Raman spectroscopy, in high-pressure granulites otherwise indistinguishable from granulites found associated with garnet peridotite throughout the European Variscides. Our discovery confirms the provenance of Europe's first reliable diamond, the "Bohemian diamond," found in A.D. 1870, and also represents the first robust evidence for ultrahigh-pressure conditions in a major Variscan crustal rock type. A process of deep continental subduction is required to explain the metamorphic pressures and the granulite-garnet peridotite association, and thus tectonometamorphic models for these rocks involving a deep orogenic crustal root need to be significantly modified.
Die vorliegende Arbeit basiert auf Forschungen in den Jahren 2007-2009. Sie betrachtet die saisonale Arbeitsmigration aus der polnischen Region Konin, wo die Arbeitsmigration aus ökonomischen Gründen, wie auch in ähnlich strukturierten Gebieten Polens, eine lange Tradition hat, die bis ins 19. Jahrhundert zurückgeht. Sie wird die saisonale Migration ins Ausland mit den ökonomischen, sozialen und räumlichen Auswirkungen aus der Perspektive des Einzelnen und seiner unmittelbaren Umgebung, aber auch der Gesellschaft und Herkunftsgebiet der Migranten betrachtet.
Rainfall, snow-, and glacial melt throughout the Himalaya control river discharge, which is vital for maintaining agriculture, drinking water and hydropower generation. However, the spatiotemporal contribution of these discharge components to Himalayan rivers is not well understood, mainly because of the scarcity of ground-based observations. Consequently, there is also little known about the triggers and sources of peak sediment flux events, which account for extensive hydropower reservoir filling and turbine abrasion. We therefore lack basic information on the distribution of water resources and controls of erosion processes. In this thesis, I employ various methods to assess and quantify general characteristics of and links between precipitation, river discharge, and sediment flux in the Sutlej Valley. First, I analyze daily precipitation data (1998-2007) from 80 weather stations in the western Himalaya, to decipher the distribution of rain- and snowfall. Rainfall magnitude frequency analyses indicate that 40% of the summer rainfall budget is attributed to monsoonal rainstorms, which show higher variability in the orogenic interior than in frontal regions. Combined analysis of rainstorms and sediment flux data of a major Sutlej River tributary indicate that monsoonal rainfall has a first order control on erosion processes in the orogenic interior, despite the dominance of snowfall in this region. Second, I examine the contribution of rainfall, snow and glacial melt to river discharge in the Sutlej Valley (s55,000 km2), based on a distributed hydrological model, which covers the period 2000-2008. To achieve high spatial and daily resolution despite limited ground-based observations the hydrological model is forced by daily remote sensing data, which I adjusted and calibrated with ground station data. The calibration shows that the Tropical Rainfall Measuring Mission (TRMM) 3B42 rainfall product systematically overestimates rainfall in semi-arid and arid regions, increasing with aridity. The model results indicate that snowmelt-derived discharge (74%) is most important during the pre-monsoon season (April to June) whereas rainfall (56%) and glacial melt (17%) dominate the monsoon season (July-September). Therefore, climate change most likely causes a reduction in river discharge during the pre-monsoon season, which especially affects the orogenic interior. Third, I investigate the controls on suspended sediment flux in different parts of the Sutlej catchments, based on daily gauging data from the past decade. In conjunction with meteorological data, earthquake records, and rock strength measurements I find that rainstorms are the most frequent trigger of high-discharge events with peaks in suspended sediment concentrations (SSC) that account for the bulk of the suspended sediment flux. The suspended sediment flux increases downstream, mainly due to increases in runoff. Pronounced erosion along the Himalayan Front occurs throughout the monsoon season, whereas efficient erosion of the orogenic interior is confined to single extreme events. The results of this thesis highlight the importance of snow and glacially derived melt waters in the western Himalaya, where extensive regions receive only limited amounts of monsoonal rainfall. These regions are therefore particularly susceptible to global warming with major implications on the hydrological cycle. However, the sediment discharge data show that infrequent monsoonal rainstorms that pass the orographic barrier of the Higher Himalaya are still the primary trigger of the highest-impact erosion events, despite being subordinate to snow and glacially–derived discharge. These findings may help to predict peak sediment flux events and could underpin the strategic development of preventative measures for hydropower infrastructures.
The East African Plateau provides a spectacular example of geodynamic plateau uplift, active continental rifting, and associated climatic forcing. It is an integral part of the East African Rift System and has an average elevation of approximately 1,000 m. Its location coincides with a negative Bouguer gravity anomaly with a semi-circular shape, closely related to a mantle plume, which influences the Cenozoic crustal development since its impingement in Eocene-Oligocene time. The uplift of the East African Plateau, preceding volcanism, and rifting formed an important orographic barrier and tectonically controlled environment, which is profoundly influenced by climate driven processes. Its location within the equatorial realm supports recently proposed hypotheses, that topographic changes in this region must be considered as the dominant forcing factor influencing atmospheric circulation patterns and rainfall distribution. The uplift of this region has therefore often been associated with fundamental climatic and environmental changes in East Africa and adjacent regions. While the far-reaching influence of the plateau uplift is widely accepted, the timing and the magnitude of the uplift are ambiguous and are still subject to ongoing discussion. This dilemma stems from the lack of datable, geomorphically meaningful reference horizons that could record surface uplift. In order to quantify the amount of plateau uplift and to find evidence for the existence of significant relief along the East African Plateau prior to rifting, I analyzed and modeled one of the longest terrestrial lava flows; the 300-km-long Yatta phonolite flow in Kenya. This lava flow is 13.5 Ma old and originated in the region that now corresponds to the eastern rift shoulders. The phonolitic flow utilized an old riverbed that once drained the eastern flank of the plateau. Due to differential erosion this lava flow now forms a positive relief above the parallel-flowing Athi River, which is mimicking the course of the paleo-river. My approach is a lava-flow modeling, based on an improved composition and temperature dependent method to parameterize the flow of an arbitrary lava in a rectangular-shaped channel. The essential growth pattern is described by a one-dimensional model, in which Newtonian rheological flow advance is governed by the development of viscosity and/or velocity in the internal parts of the lava-flow front. Comparing assessments of different magma compositions reveal that length-dominated, channelized lava flows are characterized by high effusion rates, rapid emplacement under approximately isothermal conditions, and laminar flow. By integrating the Yatta lava flow dimensions and the covered paleo-topography (slope angle) into the model, I was able to determine the pre-rift topography of the East African Plateau. The modeling results yield a pre-rift slope of at least 0.2°, suggesting that the lava flow must have originated at a minimum elevation of 1,400 m. Hence, high topography in the region of the present-day Kenya Rift must have existed by at least 13.5 Ma. This inferred mid-Miocene uplift coincides with the two-step expansion of grasslands, as well as important radiation and speciation events in tropical Africa. Accordingly, the combination of my results regarding the Yatta lava flow emplacement history, its location, and its morphologic character, validates it as a suitable “paleo-tiltmeter” and has thus to be considered as an important topographic and volcanic feature for the topographic evolution in East Africa.
In dieser Arbeit wird das regionale Klimamodell HIRHAM mit einer horizontalen Auflösung von 50 km und 19 vertikalen Schichten erstmals auf den asiatischen Kontinent angewendet, um die indische Monsunzirkulation unter rezenten und paläoklimatischen Bedingungen zu simulieren. Das Integrationsgebiet des Modells erstreckt sich von etwa 0ºN - 50ºN und 42ºE - 110ºE und bedeckt dabei sowohl die hohe Topographie des Himalajas und Tibet Plateaus als auch den nördlichen Indischen Ozean. Das Ziel besteht in der Beschreibung der regionalen Kopplung zwischen der Monsunzirkulation und den orographischen sowie diabatischen Antriebsmechanismen. Eine 44-jährige Modellsimulation von 1958-2001, die am seitlichen und unteren Rand von ECMWF Reanalysen (ERA40) angetrieben wird, bildet die Grundlage für die Validierung der Modellergebnisse mit Beobachtungen auf der Basis von Stations- und Gitterdatensätzen. Der Fokus liegt dabei auf der atmosphärischen Zirkulation, der Temperatur und dem Niederschlag im Sommer- und Wintermonsun, wobei die Qualität des Modells sowohl in Bezug zur langfristigen und dekadischen Klimatologie als auch zur interannuellen Variabilität evaluiert wird. Im Zusammenhang mit einer realistischen Reproduktion der Modelltopographie kann für die Muster der Zirkulation und Temperatur eine gute Übereinstimmung zwischen Modell und Daten nachgewiesen werden. Der simulierte Niederschlag zeigt eine bessere Übereinstimmung mit einem hoch aufgelösten Gitterdatensatz über der Landoberfläche Zentralindiens und in den Hochgebirgsregionen, der den Vorteil des Regionalmodells gegenüber der antreibenden Reanalyse hervorhebt. In verschiedenen Fall- und Sensitivitätsstudien werden die wesentlichen Antriebsfaktoren des indischen Monsuns (Meeresoberflächentemperaturen, Stärke des winterlichen Sibirischen Hochs und Anomalien der Bodenfeuchte) untersucht. Die Ergebnisse machen deutlich, dass die Simulation dieser Mechanismen auch mit einem Regionalmodell sehr schwierig ist, da die Komplexität des Monsunsystems hochgradig nichtlinear ist und die vor allem subgridskalig wirkenden Prozesse im Modell noch nicht ausreichend parametrisiert und verstanden sind. Ein paläoklimatisches Experiment für eine 44-jährige Zeitscheibe im mittleren Holozän (etwa 6000 Jahre vor heute), die am Rand von einer globalen ECHAM5 Simulation angetrieben wird, zeigt markante Veränderungen in der Intensität des Monsuns durch die unterschiedliche solare Einstrahlung, die wiederum Einflüsse auf die SST, die Zirkulation und damit auf die Niederschlagsmuster hat.
Simulations of strong ground motion within the Santiago de Chile Metropolitan area were carried out by means of 3-D deterministic wave propagation tool based on the spectral element method. The simulated events take into account the pronounced interface between the low-velocity sedimentary basin and the bedrock as well as topography of the area. To verify our model we simulated a regional earthquake recorded by a dense network installed in the city of Santiago for recording aftershock activity after the 2010 February 27 Maule main shock. The results proof the alluvial basin amplification effects and show a strong dependence of spectral amplification in the basin on the local site conditions. Moreover, we studied the seismic response due to a hypothetical M(w) = 6.0 event occurring along the active San Ramon Fault, which is crossing the eastern edge of the city. The scenario earthquakes exhibit that an unfavourable interaction between fault rupture, radiation mechanism and complex geological and topographic conditions in the near-field region may give rise to large values of peak ground velocity in the basin. Finally, 3-D numerical predictions of ground motion are compared with the one computed according to ground motion prediction equations selected among the next generation attenuation relationships, in terms of ground motion peak values and spectral acceleration. The comparison underlines that the 3-D scenario simulations predict a significantly higher level of ground motion in the Santiago basin, especially over deep alluvial deposits. Moreover, also the location of the rupture nucleation largely influences the observed shaking pattern.
Characterizing the local site response in large cities is an important step towards seismic hazard assessment. To this regard, single station seismic noise measurements were carried out at 146 sites in the northern part of Santiago de Chile. This extensive survey allowed the fundamental resonance frequency of the sedimentary cover, derived from horizontal-to-vertical (H/V) spectral ratios, to be mapped. By inverting the spectral ratios under the constraint of the thickness of the sedimentary cover, known from previous gravimetric measurements, local S-wave velocity profiles have been retrieved. After interpolation between the individual profiles, the resulting high resolution 3D S-wave velocity model allows the entire area, as well as deeper parts of the basin, to be represented in great detail. Since one lithology shows a great scatter in the velocity values only a very general correlation between S-wave velocity in the uppermost 30 m (v(s)(30)) and local geology is found. Local S-wave velocity profiles can serve as a key factor in seismic hazard assessment, since they allow an estimate of the amplification potential of the sedimentary cover. Mapping the intensity distribution of the 27 February 2010 Maule, Chile, event (Mw = 8.8) the results indicate that local amplification of the ground motion might partially explain the damage distribution and encourage the use of the low cost seismic noise techniques for the study of seismic site effects.
Earthquake faults interact with each other in many different ways and hence earthquakes cannot be treated as individual independent events. Although earthquake interactions generally lead to a complex evolution of the crustal stress field, it does not necessarily mean that the earthquake occurrence becomes random and completely unpredictable. In particular, the interplay between earthquakes can rather explain the occurrence of pronounced characteristics such as periods of accelerated and depressed seismicity (seismic quiescence) as well as spatiotemporal earthquake clustering (swarms and aftershock sequences). Ignoring the time-dependence of the process by looking at time-averaged values – as largely done in standard procedures of seismic hazard assessment – can thus lead to erroneous estimations not only of the activity level of future earthquakes but also of their spatial distribution. Therefore, it exists an urgent need for applicable time-dependent models. In my work, I aimed at better understanding and characterization of the earthquake interactions in order to improve seismic hazard estimations. For this purpose, I studied seismicity patterns on spatial scales ranging from hydraulic fracture experiments (meter to kilometer) to fault system size (hundreds of kilometers), while the temporal scale of interest varied from the immediate aftershock activity (minutes to months) to seismic cycles (tens to thousands of years). My studies revealed a number of new characteristics of fluid-induced and stress-triggered earthquake clustering as well as precursory phenomena in earthquake cycles. Data analysis of earthquake and deformation data were accompanied by statistical and physics-based model simulations which allow a better understanding of the role of structural heterogeneities, stress changes, afterslip and fluid flow. Finally, new strategies and methods have been developed and tested which help to improve seismic hazard estimations by taking the time-dependence of the earthquake process appropriately into account.
Soil moisture is a key state variable that controls runoff formation, infiltration and partitioning of radiation into latent and sensible heat. However, the experimental characterisation of near surface soil moisture patterns and their controls on runoff formation remains a challenge. This subject was one aspect of the BMBF-funded OPAQUE project (operational discharge and flooding predictions in head catchments). As part of that project the focus of this dissertation is on: (1) testing the methodology and feasibility of the Spatial TDR technology in producing soil moisture profiles along TDR probes, including an inversion technique of the recorded signal in heterogeneous field soils, (2) the analysis of spatial variability and temporal dynamics of soil moisture at the field scale including field experiments and hydrological modelling, (3) the application of models of different complexity for understanding soil moisture dynamics and its importance for runoff generation as well as for improving the prediction of runoff volumes. To fulfil objective 1, several laboratory experiments were conducted to understand the influence of probe rod geometry and heterogeneities in the sampling volume under different wetness conditions. This includes a detailed analysis on how these error sources affect retrieval of soil moisture profiles in soils. Concerning objective 2 a sampling strategy of two TDR clusters installed in the head water of the Wilde Weißeritz catchment (Eastern Ore Mountains, Germany) was used to investigate how well “the catchment state” can be characterised by means of distributed soil moisture data observed at the field scale. A grassland site and a forested site both located on gentle slopes were instrumented with two Spatial TDR clusters that consist of up to 39 TDR probes. Process understanding was gained by modelling the interaction of evapotranspiration and soil moisture with the hydrological process model CATFLOW. A field scale irrigation experiment was carried out to investigate near subsurface processes at the hillslope scale. The interactions of soil moisture and runoff formation were analysed using discharge data from three nested catchments: the Becherbach with a size of 2 km², the Rehefeld catchment (17 km²) and the superordinate Ammelsdorf catchment (49 km²). Statistical analyses including observations of pre-event runoff, soil moisture and different rainfall characteristics were employed to predict stream flow volume. On the different scales a strong correlation between the average soil moisture and the runoff coefficients of rainfall-runoff events could be found, which almost explains equivalent variability as the pre-event runoff. Furthermore, there was a strong correlation between surface soil moisture and subsurface wetness with a hysteretic behaviour between runoff soil moisture. To fulfil objective 3 these findings were used in a generalised linear model (GLM) analysis which combines state variables describing the catchments antecedent wetness and variables describing the meteorological forcing in order to predict event runoff coefficients. GLM results were compared to simulations with the catchment model WaSiM ETH. Hereby were the model results of the GLMs always better than the simulations with WaSiM ETH. The GLM analysis indicated that the proposed sampling strategy of clustering TDR probes in typical functional units is a promising technique to explore soil moisture controls on runoff generation and can be an important link between the scales. Long term monitoring of such sites could yield valuable information for flood warning and forecasting by identifying critical soil moisture conditions for the former and providing a better representation of the initial moisture conditions for the latter.
From CDM to REDD+ - what do we know for setting up effective and legitimate carbon governance?
(2011)
This article compares two carbon governance instruments - the Clean Development Mechanism (CDM) and Reducing Emissions from Deforestation and Degradation (REDD+) - to assess lessons from the former for the latter regarding effectiveness and legitimacy of such instruments. The article argues that the CDM has a relatively high degree of output-oriented legitimacy resulting in effectiveness and some input-oriented legitimacy, with few discernible tradeoffs between them. In contrasting this to REDD+, the hypotheses are advanced that (i) output-oriented legitimacy/effectiveness can again be achieved but that (ii) a higher degree of input-oriented legitimacy is necessary for REDD+ and thus also a certain trade-off between the two forms of legitimacy can be expected. This is shown through comparing the technologies and methodologies, economic rationales, political support, regulatory structures, and environmental impacts of both instruments.
We present an alarm-based earthquake forecast model that uses the early aftershock statistics (EAST). This model is based on the hypothesis that the time delay before the onset of the power-law aftershock decay rate decreases as the level of stress and the seismogenic potential increase. Here, we estimate this time delay from < t(g)>, the time constant of the Omori-Utsu law. To isolate space-time regions with a relative high level of stress, the single local variable of our forecast model is the E-a value, the ratio between the long-term and short-term estimations of < t(g)>. When and where the E-a value exceeds a given threshold (i.e., the c value is abnormally small), an alarm is issued, and an earthquake is expected to occur during the next time step. Retrospective tests show that the EAST model has better predictive power than a stationary reference model based on smoothed extrapolation of past seismicity. The official prospective test for California started on 1 July 2009 in the testing center of the Collaboratory for the Study of Earthquake Predictability (CSEP). During the first nine months, 44 M >= 4 earthquakes occurred in the testing area. For this time period, the EAST model has better predictive power than the reference model at a 1% level of significance. Because the EAST model has also a better predictive power than several time-varying clustering models tested in CSEP at a 1% level of significance, we suggest that our successful prospective results are not due only to the space-time clustering of aftershocks.
Lithopheric rheology at the Dead Sea Transform Fault constrained by thermo-mechanical modeling
(2011)
We use Global Positioning System (GPS) velocities and kinematic Finite Element models (FE-models) to infer the state of locking between the converging Nazca and South America plates in South-Central Chile (36 degrees S -46 degrees S) and to evaluate its spatial and temporal variability. GPS velocities provide information on earthquake-cycle deformation over the last decade in areas affected by the megathrust events of 1960 (M-w = 9.5) and 2010 (M-w = 8.8). Our data confirm that a change in surface velocity patterns of these two seismotectonic segments can be related to their different stages in the seismic cycle: Accordingly, the northern (2010) segment was in a final stage of interseismic loading whereas the southern (1960) segment is still in a postseismic stage and undergoes a prolonged viscoelastic mantle relaxation. After correcting the signals for mantle relaxation, the residual GPS velocity pattern suggests that the plate interface accumulates slip deficit in a spatially and presumably temporally variable way towards the next great event. Though some similarity exist between locking and 1960 coseismic slip, extrapolating the current, decadal scale slip deficit accumulation towards the similar to 300-yr recurrence times of giant events here does neither yield the slip distribution nor the moment magnitude of the 1960 earthquake. This suggests that either the locking pattern is evolving in time (to reconcile a slip deficit distribution similar to the 1960 earthquake) or that some asperities are not persistent over multiple events. The accumulated moment deficit since 1960 suggests that highly locked patches in the 1960 segment are already capable of producing a M similar to 8 event if triggered to fail by stress transfer from the 2010 event.
Secondary forests are gaining increased importance in tropical landscapes and have recently been reported to act as potential belowground carbon sinks. While economic interest in the management of secondary forests to mitigate carbon emissions is rising, the dynamics of soil carbon stocks under these ecosystems remain poorly understood. Recent studies report conflicting results concerning soil carbon trends as well as multiple confounding factors (e.g. soil type, topography and land-use history) affecting these trends. In this study, organic carbon stocks were measured in the mineral soil up to 20 cm depth of at 24 active pastures, 5-8-year-old, and 12-15-year-old secondary forest sites on former pastures. Additionally, we estimated carbon stocks under a 100-year-old secondary forest and compared them to those of nearby mature forests. Abiotic conditions in the study area were homogenous, enabling us to isolate the effect of land-use change on soil organic carbon stocks. Contrary to our expectations, soil carbon stocks in the top 10 cm did not change with young secondary forest development. Pasture soils stored 24.8 +/- 2.9 Mg ha(-1) carbon (mean +/- standard error) in the top 10 cm, and no accumulation of soil carbon was apparent during the first 15 years of secondary succession. Soil carbon stocks under 100-year-old secondary forests, averaging 43.0 +/- 7.9 Mg ha(-1) (mean +/- standard error), were clearly higher than those recorded at younger sites and approached levels of soil carbon stocks under mature forests. These data indicate that soil carbon stocks in this region of Panama are not affected by the land-use transition from pasture to young secondary regrowth. However, an increase of soil carbon storage might be possible over a longer period of time. Our results support trends observed in other tropical areas and highlight the importance of environmental conditions such as soil properties rather than land-use transitions on soil carbon dynamics. While our understanding of organic carbon dynamics in tropical soils remains limited, these results underscore the challenges of undertaking short-term reforestation projects with the expectation of increasing soil carbon sequestration.
Analyses of radiogenic neodymium (Nd), strontium (Sr), and lead (Pb) isotope compositions of clay-sized detrital sediments allow detailed tracing of source areas of sediment supply and present and past transport of particles by water masses in the eastern Indian Ocean. Isotope signatures in surface sediments range from -21.5 (epsilon Nd), 0.8299 ((87)Sr/(86S)r), and 19.89 ((206)Pb/(204)Pb) off northwest Australia to + 0.7 (epsilon Nd), 0.7069 ((87)Sr/(86)Sr), and 17.44 ((206)Pb/(204)Pb) southwest of Java. The radiogenic isotope signatures primarily reflect petrographic characteristics of the surrounding continental bedrocks but are also influenced by weathering-induced grain size effects of Pb and Sr isotope systems with superimposed features that are caused by current transport of clay-sized particles, as evidenced off Australia where a peculiar isotopic signature characterizes sediments underlying the southward flowing Leeuwin Current and the northward flowing West Australian Current (WAC). Gravity core FR10/95-GC17 off west Australia recorded a major isotopic change from Last Glacial Maximum values of -10 (epsilon Nd), 0.745 ((87S)r/(86)Sr), and 18.8 ((206)Pb/(204)Pb) to Holocene values of -22 (epsilon Nd), 0.8 ((87)Sr/(86)Sr), and 19.3 ((206)Pb/(204)Pb), which documents major climatically driven changes of the WAC and in local riverine particle supply from Australia during the past 20 kyr. In contrast, gravity core FR10/95-GC5 located below the present-day pathway of the Indonesian throughflow (ITF) shows a much smaller isotopic variability, indicating a relatively stable ITF hydrography over most of the past 92 kyr. Only the surface sediments differ significantly in their isotopic composition, indicating substantial changes in erosional sources attributed to a change of the current regime during the past 5 kyr.
Hydrologic modelers often need to know which method of quantitative precipitation estimation (QPE) is best suited for a particular catchment. Traditionally, QPE methods are verified and benchmarked against independent rain gauge observations. However, the lack of spatial representativeness limits the value of such a procedure. Alternatively, one could drive a hydrological model with different QPE products and choose the one which best reproduces observed runoff. Unfortunately, the calibration of conceptual model parameters might conceal actual differences between the QPEs. To avoid such effects, we abandoned the idea of determining optimum parameter sets for all QPE being compared. Instead, we carry out a large number of runoff simulations, confronting each QPE with a common set of random parameters. By evaluating the goodness-of-fit of all simulations, we obtain information on whether the quality of competing QPE methods is significantly different. This knowledge is inferred exactly at the scale of interest-the catchment scale. We use synthetic data to investigate the ability of this procedure to distinguish a truly superior QPE from an inferior one. We find that the procedure is prone to failure in the case of linear systems. However, we show evidence that in realistic (nonlinear) settings, the method can provide useful results even in the presence of moderate errors in model structure and streamflow observations. In a real-world case study on a small mountainous catchment, we demonstrate the ability of the verification procedure to reveal additional insights as compared to a conventional cross validation approach.
Challenges in understanding the hydrologic controls on the mobility of slow-moving landslides
(2011)
Slow-moving landslides are a wide-spread type of active mass movement, can cause severe damages to infrastructure, and may be a precursor of sudden catastrophic slope failures. Pore-water pressure is commonly regarded as the most important among a number of possible factors controlling landslide velocity. We used high-resolution monitoring data to explore the relations of landslide mobility and hydrologic processes at the Heumoser landslide in Austria, which is characterized by continuous slow movement along a shear zone. Movement rates showed a seasonality that was associated with elevated pore-water pressures. Pore pressure monitoring revealed a system of confined and separated aquifers with differing dynamics. Analysis of a simple infinite slope mobility model showed that small variations in parameters, along with measured pore pressure dynamics, provided a perfect match to our observations. Modeling showed a stabilizing effect of snow cover due to the additional load. This finding was supported by a multiple regression model, which further suggested that effective pore pressures at the slip surface were partially differing from the borehole observations and were related to preferential infiltration and subsurface flow in adjacent areas. It appears that in a setting like the Heumoser landslide, hydrologic processes delicately influence slope mobility through their control on pore pressure dynamics and the weight of the landslide body, which challenges observation and modeling. Moreover, it appears that their simplicity, and especially their high sensitivity to parameter variations, limits the conclusions that can be drawn from infinite slope models.
Landscapes in the humid tropics are undergoing a continuous change in land use. Deforestation is still taking its toll on forested areas, but at the same time more and more secondary forests emerge where formerly agricultural lands and pastures are being abandoned. Regarding soil hydrology, the extent to which secondary succession can recover soil hydrological properties disturbed by antecedent deforestation and pasture use is yet poorly understood. We investigated the effect of secondary succession on saturated hydraulic conductivity (Ks) at two soil depths (0-6 and 6-12 cm) using a space-for-time approach in a landscape mosaic in central Panama. The following four land-use classes were studied: pasture (P), secondary forest of 5-8 years of age (SF5), secondary forest of 12-15 years of age (SF12) and secondary forest of more than 100 years of age (SF100), each replicated altogether four times in different micro-catchments across the study region. The hydrological implications of differences in Ks in response to land-use change with land use, especially regarding overland flow generation, were assessed via comparisons with rainfall intensities.
Recovery of Ks could be detected in the 0-6 cm depth after 12 years of secondary succession: P and SF5 held similar Ks values, but differed significantly (alpha = 0.05) from SF12 and SF100 which in turn were indistinguishable. Variability within the land cover classes was large but, due to sufficient replication in the study, Ks recovery could be detected nonetheless. Ks in the 6-12 cm depth did not show any differences between the land cover classes; only Ks of the uppermost soil layer was affected by land-use changes. Overland flow - as inferred from comparisons of Ks with rainfall intensities - is more likely on P and SF5 sites compared to SF12 and 5E100 for the upper sample depth; however, generally low values at the 6-12 cm depth are likely to impede vertical percolation during high rainfall intensities regardless of land use.
We conclude that Ks can recover from pasture use under secondary succession up to pre-pasture levels, but the process may take more than 8 years. In order to gain comprehensive understanding of Ks change with land use and its hydrological implications, more studies with detailed land-use histories and combined measurements of Ks, overland flow, precipitation and throughfall are essential.
Species distribution models are an important tool to predict the impact of global change on species distributional ranges and community assemblages. Although considerable progress has been made in the statistical modeling during the last decade, many approaches still ignore important features of species distributions, such as nonlinearity and interactions between predictors, spatial autocorrelation, and nonstationarity, or at most incorporate only some of these features. Ecologists, however, require a modeling framework that simultaneously addresses all these features flexibly and consistently. Here we describe such an approach that allows the estimation of the global effects of environmental variables in addition to local components dealing with spatiotemporal autocorrelation as well as nonstationary effects. The local components can be used to infer unknown spatiotemporal processes; the global component describes how the species is influenced by the environment and can be used for predictions, allowing the fitting of many well-known regression relationships, ranging from simple linear models to complex decision trees or from additive models to models inspired by machine learning procedures. The reliability of spatiotemporal predictions can be qualitatively predicted by separately evaluating the importance of local and global effects. We demonstrate the potential of the new approach by modeling the breeding distribution of the Red Kite (Milvus milvus), a bird of prey occurring predominantly in Western Europe, based on presence/absence data from two mapping campaigns using grids of 40 km 2 in Bavaria. The global component of the model selected seven environmental variables extracted from the CORINE and WorldClim databases to predict Red Kite breeding. The effect of altitude was found to be nonstationary in space, and in addition, the data were spatially autocorrelated, which suggests that a species distribution model that does not allow for spatially varying effects and spatial autocorrelation would have ignored important processes determining the distribution of Red Kite breeding across Bavaria. Thus, predictions from standard species distribution models that do not allow for real-world complexities may be considerably erroneous. Our analysis of Red Kite breeding exemplifies the potential of the innovative approach for species distribution models. The method is also applicable to modeling count data.
The Valais units in Savoy (Zone des BrSches de Tarentaise) have been re-mapped in great detail and are subject of combined stratigraphic, structural and petrological investigations summarized in this contribution. The sediments and rare relics of basement, together with Cretaceous age mafic and ultramafic rocks of the Valais palaeogeographical domain, represent the heavily deformed relics of the former distal European margin (External Valais units) and an ocean-continent transition (Internal Valais unit or Versoyen unit) that formed during rifting. This rifting led to the opening of the Valais ocean, a northern branch of the Alpine Tethys. Post-rift sediments referred to as "Valais trilogy" stratigraphically overlie both External and Internal Valais successions above an angular unconformity formed in Barremian to Aptian times, providing robust evidence for the timing of the opening of the Valais ocean. The Valais units in Savoy are part of a second and more external mid-Eocene high-pressure belt in the Alps that sutured the Brian double dagger onnais microcontinent to Europe. Top-N D1-deformation led to the formation of a nappe stack that emplaced the largely eclogite-facies Internal Valais unit (Versoyen) onto blueschist-facies External Valais units. The latter originally consisted of, from internal to external, the Petit St. Bernard unit, the Roc de l'Enfer unit, the MoA >> tiers unit and the Quermoz unit. Ongoing top-N D2-thrusting and folding substantially modified this nappe stack. Post 35 Ma D3 folding led to relatively minor modifications of the nappe stack within the Valais units but was associated with substantial top-WNW thrusting of the Valais units over the Dauphinois units along the Roselend thrust during W-directed indentation of the Adria block contributing to the formation of the arc of the Western Alps.
This study monitors regional changes in the crystallinity of carbonaceous matter (CM) by applying Micro-Raman spectroscopy to a total of 214 metasediment samples (largely so-called Bundnerschiefer) dominantly metamorphosed under blueschist- to amphibolite-facies conditions. They were collected within the northeastern margin of the Lepontine dome and easterly adjacent areas of the Swiss Central Alps. Three-dimensional mapping of isotemperature contours in map and profile views shows that the isotemperature contours associated with the Miocene Barrow-type Lepontine metamorphic event cut across refolded nappe contacts, both along and across strike within the northeastern margin of the Lepontine dome and adjacent areas. Further to the northeast, the isotemperature contours reflect temperatures reached during the Late Eocene subduction-related blueschist-facies event and/or during subsequent near-isothermal decompression; these contours appear folded by younger, large-scale post-nappe-stacking folds. A substantial jump in the recorded maximum temperatures across the tectonic contact between the frontal Adula nappe complex and surrounding metasediments indicates that this contact accommodated differential tectonic movement of the Adula nappe with respect to the enveloping Bundnerschiefer after maximum temperatures were reached within the northern Adula nappe, i.e. after Late Eocene time.
This study presents the first Si isotope data of the principle Si pools in soils determined by a UV femtosecond laser ablation system coupled to a multicollector inductively coupled plasma mass spectrometer (MC-ICP-MS). This method reveals accurate and precise Si isotope data on bulk materials, and at high spatial resolution, on the mineral scale. The following Si pools have been investigated: a) the Si source to soils on all major silicate minerals on thin sections from bedrock fragments in the soil profiles; b) bulk soils (particle size <2 mm) after fusion to glass beads with an iridium-strip heater or pressed into powder pellets: c) separated clay fractions as pressed powder pellets and e) separated phytoliths as pressed powder pellets. Multiple analyses of three rock standards, BHVO-2, AGV-1 and RGM-1 as fused glass beads and as pressed powder pellets, reveal delta(30)Si values within the expected range of igneous rocks. The MPI-DING reference glass KL2-G exhibits the same Si isotope composition after remelting by an iridium-strip heater showing that this technique does not alter the isotope composition of the glass.
We used this approach to investigated two immature Cambisols developed on sandstone and paragneiss in the Black Forest (Germany), respectively. Bulk soils show a largely uniform Si isotope signature for different horizons and locations, which is close to those of primary quartz and feldspar with delta(30)Si values around -0.4 parts per thousand. Soil clay formation is associated with limited Si mobility, which preserves initial Si isotope signatures of parental minerals. An exception is the organic horizon of the paragneiss catchment where intense weathering leads to a high mobility of Si and significant negative isotope signatures as low as to -1.00 parts per thousand in bulk soils. Biogenic opal in the form of phytoliths, exhibits negative Si isotope signatures of about -0.4 parts per thousand. These results demonstrate that UV femtosecond laser ablation MC-ICP-MS provides a tool to characterize the Si isotope signature of the principle Si pools left behind after weathering and Si transport have altered soils. These results can now serve as a fingerprint of the residual solids that can be used to explain the isotope composition of dissolved Si in soil solutions and river water, which is mostly enriched in the heavy isotopes.
We present the first winter (December to March) rainfall reconstruction based in a novel proxy, the thickness of annual calcite laminations preserved in Lake La Cruz (central-eastern Spain). A previous calibration analysis between laminae thickness and the instrumental data series (1950 to present) indicated a highly significant correlation with winter rainfall. Therefore this study attempts the winter rainfall reconstruction since the onset of laminations (1579 a.d.) by means of the calibration function previously developed. The verification analysis between inferred annual values and earlier instrumental data (1859-1949) confirms the suitability of this novel proxy and the reliability of the series reconstructed. The reconstructed series show the fluctuating character of winter rainfall in the western Mediterranean area; interdecadal dry periods alternated with wetter periods following, in a board sense, the pattern recorded by documentary sources in other regions of the Iberian Peninsula. At present times regional winter rainfall anomalies are highly correlated with the phase of the North Atlantic Oscillation (NAO). However the time series analysis showed the dominance of nonstationary components at high frequencies of the climate signal over the last four centuries suggesting that the connection between winter rainfall and the NAO has not been stable over time and also other modes of variability, not only NAO, may have conditioned winter rainfall variability.
Love wave contribution to the ambient vibration H/V amplitude peak observed with array measurements
(2011)
This study applies array methods to measure the relative proportions of Love and Rayleigh waves in the ambient vibration wavefield. Information on these properties is of special relevance for frequencies around the horizontal-to-vertical (H/V) spectral amplitude ratio peak. The analysis of H/V curves, a popular technique in site characterisation, commonly assumes that the curves represent the frequency-dependent Rayleigh wave ellipticity. For the detailed interpretation of amplitudes or the inversion of the curves, it is therefore necessary to estimate and correct for the contribution of other wave types to the ambient vibration wavefield. I use available ambient vibration array measurements to determine the relative amount of Love and Rayleigh waves on the horizontal components by frequency-dependent analysis of the main propagation and polarisation directions, with a special emphasis on the H/V peak frequency as determined from the same recordings. Tests with synthetic data demonstrate the feasibility of this approach, at least in the presence of dominant source regions. Analysis of the data from 12 measurements at nine European sites, which include shallow as well as deep locations that span a wide range of impedance contrasts at the sediment-bedrock interface, indicates that the relative contribution of Rayleigh waves varies widely with frequency, from close to 0% to more than 70%. While most data sets show relative Rayleigh wave contributions between 40% and 50% around the H/V peak, there are also examples where Love waves clearly dominate the wavefield at the H/V peak, even for a site with a low impedance contrast. Longer-term measurements at one site indicate temporal variations in the relative Rayleigh wave content between day- and nighttime. Results calculated with the method introduced herein generally compare well with results of modified spatial autocorrelation analysis. These two methods might be used in a complimentary fashion, as both rely on different properties of the ambient vibration wavefield. This study illustrates that it is possible to measure the relative Rayleigh wave content of the noise wavefield from array data. Furthermore, the examples presented herein indicate it is important to estimate this property, as the assumption that there are an equal proportion of Love and Rayleigh waves is not always correct.
The public promotion of renewable energies is expected to increase the number of biogas plants and stimulate energy crops cultivation (e. g. maize) in Germany. In order to assess the indirect effects of the resulting land-use changes on biodiversity, we developed six land-use scenarios and simulated the responses of six farmland wildlife species with the spatially explicit agent-based model system ALMaSS. The scenarios differed in composition and spatial configuration of arable crops. We implemented scenarios where maize for energy production replaced 15% and 30% of the area covered by other cash crops. Biogas maize farms were either randomly distributed or located within small or large aggregation clusters. The animal species investigated were skylark (Alauda arvensis), grey partridge (Perdix perdix), European brown hare (Lepus europaeus), field vole (Microtus agrestis), a linyphiid spider (Erigone atra) and a carabid beetle (Bembidion lampros). The changes in crop composition had a negative effect on the population sizes of skylark, partridge and hare and a positive effect on the population sizes of spider and beetle and no effect on the population size of vole. An aggregated cultivation of maize amplified these effects for skylark. Species responses to changes in the crop composition were consistent across three differently structured landscapes. Our work suggests that with the compliance to some recommendations, negative effects of biogas-related land-use change on the populations of the six representative farmland species can largely be avoided.
The Upper Cretaceous La Cova limestones (southern Pyrenees, Spain) host a rich and diverse larger foraminiferal fauna, which represents the first diversification of K-strategists after the mass extinction at the Cenomanian-Turonian boundary.
The stratigraphic distribution of the main taxa of larger foraminifera defines two assemblages. The first assemblage is characterised by the first appearance of lacazinids (Pseudolacazina loeblichi) and mean-dropsinids (Eofallotia simplex), by the large agglutinated Montsechiana montsechiensis, and by several species of complex rotalids (Rotorbinella campaniola, Iberorotalia reicheli, Orbitokhatina wondersmitti and Calcarinella schaubi). The second assemblage is defined by the appearance of Lacazina pyrenaica, Palandrosina taxyae and Martiguesia cyclamminiformis.
A late Coniacian-early Santonian age was so far accepted for the La Cova limestones, based on indirect correlation with deep-water fades bearing planktic foraminifers of the Dicarinella concavata zone. Strontium isotope stratigraphy, based on many samples of pristine biotic calcite of rudists and ostreids, indicates that the La Cova limestones span from the early Coniacian to the early-middle Santonian boundary. The first assemblage of larger foraminifera appears very close to the early-middle Coniacian boundary and reaches its full diversity by the middle Coniacian. The originations defining the second assemblage are dated as earliest Santonian: they represent important bioevents to define the Coniacian-Santonian boundary in the shallow-water facies of the South Pyrenean province.
By means of the calibration of strontium isotope stratigraphy to the Geological Time Scale, the larger foraminiferal assemblages of the La Cova limestones can be correlated to the standard biozonal scheme of ammonites, planktonic foraminifers and calcareous nannoplankton. This correlation is a first step toward a larger foraminifera standard biozonation for Upper Cretaceous carbonate platform facies.
This study investigates spatial patterns and temporal dynamics of aquifer-river exchange flow at a reach of the River Leith, UK. Observations of sub-channel vertical hydraulic gradients at the field site indicate the dominance of groundwater up-welling into the river and the absence of groundwater recharge from surface water. However, observed hydraulic heads do not provide information on potential surface water infiltration into the top 0-15 cm of the streambed as these depths are not covered by the existing experimental infrastructure. In order to evaluate whether surface water infiltration is likely to occur outside the 'window of detection', i.e. the shallow streambed, a numerical groundwater model is used to simulate hydrological exchanges between the aquifer and the river. Transient simulations of the successfully validated model (Nash and Sutcliff efficiency of 0.91) suggest that surface water infiltration is marginal and that the possibility of significant volumes of surface water infiltrating into non-monitored shallow streambed sediments can be excluded for the simulation period. Furthermore, the simulation results show that with increasing head differences between river and aquifer towards the end of the simulation period, the impact of streambed topography and hydraulic conductivity on spatial patterns of exchange flow rates decreases. A set of peak flow scenarios with altered groundwater-surface water head gradients is simulated in order to quantify the potential for surface water infiltration during characteristic winter flow conditions following the observation period. The results indicate that, particularly at the beginning of peak flow conditions, head gradients are likely to cause substantial increase in surface water infiltration into the streambed. The study highlights the potential for the improvement of process understanding of hyporheic exchange flow patterns at the stream reach scale by simulating aquifer-river exchange fluxes with a standard numerical groundwater model and a simple but robust model structure and parameterization. Copyright
Magnitude estimation for microseismicity induced during the KTB 2004/2005 injection experiment
(2011)
We determined the magnitudes of 2540 microseismic events measured at one single 3C borehole geophone at the German Deep Drilling Site (known by the German acronym, KTB) during the injection phase 2004/2005. For this task we developed a three-step approach. First, we estimated local magnitudes of 104 larger events with a standard method based on amplitude measurements at near-surface stations. Second, we investigated a series of parameters to characterize the size of these events using the seismograms of the borehole sensor, and we compared them statistically with the local magnitudes. Third, we extrapolated the regression curve to obtain the magnitudes of 2436 events that were only measured at the borehole geophone. This method improved the magnitude of completeness for the KTB data set by more than one order down to M = -2.75. The resulting b-value for all events was 0.78, which is similar to the b-value obtained from taking only the greater events with standard local magnitude estimation from near-surface stations, b = 0.86. The more complete magnitude catalog was required to study the magnitude distribution with time and to characterize the seismotectonic state of the KTB injection site. The event distribution with time was consistent with prediction from theory assuming pore pressure diffusion as the underlying mechanism to trigger the events. The value we obtained for the seismogenic index of -4 suggested that the seismic hazard potential at the KTB site is comparatively low.
Enhancing the resolution and accuracy of surface ground-penetrating radar (GPR) reflection data by inverse filtering to recover a zero-phased band-limited reflectivity image requires a deconvolution technique that takes the mixed-phase character of the embedded wavelet into account. In contrast, standard stochastic deconvolution techniques assume that the wavelet is minimum phase and, hence, often meet with limited success when applied to GPR data. We present a new general-purpose blind deconvolution algorithm for mixed-phase wavelet estimation and deconvolution that (1) uses the parametrization of a mixed-phase wavelet as the convolution of the wavelet's minimum-phase equivalent with a dispersive all-pass filter, (2) includes prior information about the wavelet to be estimated in a Bayesian framework, and (3) relies on the assumption of a sparse reflectivity. Solving the normal equations using the data autocorrelation function provides an inverse filter that optimally removes the minimum-phase equivalent of the wavelet from the data, which leaves traces with a balanced amplitude spectrum but distorted phase. To compensate for the remaining phase errors, we invert in the frequency domain for an all-pass filter thereby taking advantage of the fact that the action of the all-pass filter is exclusively contained in its phase spectrum. A key element of our algorithm and a novelty in blind deconvolution is the inclusion of prior information that allows resolving ambiguities in polarity and timing that cannot be resolved using the sparseness measure alone. We employ a global inversion approach for non-linear optimization to find the all-pass filter phase values for each signal frequency. We tested the robustness and reliability of our algorithm on synthetic data with different wavelets, 1-D reflectivity models of different complexity, varying levels of added noise, and different types of prior information. When applied to realistic synthetic 2-D data and 2-D field data, we obtain images with increased temporal resolution compared to the results of standard processing.
In the Aconcagua basin the modernization and intensification of land use have resulted both in an agricultural conversion, and the increase in area cultivated. This process has been very intense as far that have entered new areas beyond the limits of the valley and towards sloping ground. This signals changes in land use over the vegetation coverage models. The analysis of the geomorphology of the coastline in detail, accounts for the occurrence of transformations on the beach and dunes that are spatially less significant, but evolutionarily important, since they show a sediment feeding, which could be correlated with changes in vegetation cover in the basin
Mountain ecosystems are commonly regarded as being highly sensitive to global change. Due to the system complexity and multifaceted interacting drivers, however, understanding current responses and predicting future changes in these ecosystems is extremely difficult. We aim to discuss potential effects of global change on mountain ecosystems and give examples of the underlying response mechanisms as they are understood at present. Based on the development of scientific global change research in mountains and its recent structures, we identify future research needs, highlighting the major lack and the importance of integrated studies that implement multi-factor, multi-method, multi-scale, and interdisciplinary research.
Humidity is an important determinant of the mycotoxin production (DON, ZEA) by Fusarium species in the grain ears. From a landscape perspective humidity is not evenly distributed across fields. The topographically-controlled redistribution of water within a single field rather leads to spatially heterogeneous soil water content and air humidity. Therefore we hypothesized that the spatial distribution of mycotoxins is related to these topographically-controlled factors. To test this hypothesis we studied the mycotoxin concentrations at contrasting topographic relief positions, i.e. hilltops and depressions characterized by soils of different soil moisture regimes, on ten winter wheat fields in 2006 and 2007. Maize was the preceding crop and minimum tillage was practiced in the fields. The different topographic positions were associated with moderate differences in DON and ZEA concentrations in 2006, but with significant differences in 2007, with six times higher median ZEA and two times higher median DON detected at depression sites compared to the hilltops. The depression sites correspond to a higher topographic wetness index as well as redoximorphic properties in soil profiles, which empirically supports our hypothesis at least for years showing wetter conditions in sensitive time windows for Fusarium infections.
Large-scale soy agriculture in the southern Brazilian Amazon now rivals deforestation for pasture as the region's predominant form of land use change. Such landscape-level change can have substantial consequences for local and regional hydrology, but these effects remain relatively unstudied in this ecologically and economically important region. We examined how the conversion to soy agriculture influences water balances and stormflows using stream discharge (water yields) and the timing of discharge (stream hydrographs) in small (2.5-13.5 km2) forested and soy headwater watersheds in the Upper Xingu Watershed in the state of Mato Grosso, Brazil. We monitored water yield for 1 year in three forested and four soy watersheds. Mean daily water yields were approximately four times higher in soy than forested watersheds, and soy watersheds showed greater seasonal variability in discharge. The contribution of stormflows to annual streamflow in all streams was low (< 13% of annual streamflow), and the contribution of stormflow to streamflow did not differ between land uses. If the increases in water yield observed in this study are typical, landscape-scale conversion to soy substantially alters water-balance, potentially altering the regional hydrology over large areas of the southern Amazon.
Shell architectures of the larger foraminiferal genera cyclopseudedomia, and Rhapydionina were studied by comparing topotypes of previously described species with new specimens retrieved from Late Cretaceous shallow-water carbonates of Pylos (Peloponnese, Greece), where the three genera are found in association. The megalospheric generation of each genus exhibits a distinctive shell shape in adult specimens (i.e., fan-shaped in Cyclopseudedomia, conical in Rhapydionina, and cylindrical in Cuvillierinella). Although their microspheric adults are similarly thin, flat, and discoidal, they can be identified at the genus level by means of a detailed structural analysis. Cavillierinella shows the septula to be interrupted by a large preseptal space, while Cyclopseudedomia and Rhapydionina exhibit continuous, non-interrupted septula. In addition, Cyclopseudedomia presents only one row of medullar chamberlets, whereas Rhapydionina shows numerous medullar chamberlets distributed in a thick basal layer.
Two new species, Cuvillierinella pylosensis and Rhapydionina fleuryi, are described. The former is a more complex taxon than the type species, C salentina, while the latter corresponds to a more primitive species, R. liburnica. Strontium-isotope stratigraphy indicates an uppermost Campanian-lowermost Maastrichtian age for these new species.
Geophysical datasets sensitive to different physical parameters can be used to improve resolution of Earth's internal structure. Herein, we jointly invert long-period magnetotelluric (MT) data and surface-wave dispersion curves. Our approach is based on a joint inversion using a genetic algorithm for a one-dimensional (1-D) isotropic structure, which we extend to 1-D anisotropic media. We apply our new anisotropic joint inversion to datasets from Central Germany demonstrating the capacity of our joint inversion algorithm to establish a 1-D anisotropic model that fits MT and seismic datasets simultaneously and providing new information regarding the deep structure in Central Germany. The lithosphere/asthenosphere boundary is found at approx. 84 km depth and two main anisotropic layers with coincident most conductive/seismic fast-axis direction are resolved at lower crustal and asthenospheric depths. We also quantify the amount of seismic and electrical anisotropy in the asthenosphere showing an emerging agreement between the two anisotropic coefficients.