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The first step in the estimation of probabilistic seismic hazard in a region commonly consists of the definition and characterization of the relevant seismic sources. Because in low-seismicity regions seismicity is often rather diffuse and faults are difficult to identify, large areal source zones are mostly used. The corresponding hypothesis is that seismicity is uniformly distributed inside each areal seismic source zone. In this study, the impact of this hypothesis on the probabilistic hazard estimation is quantified through the generation of synthetic spatial seismicity distributions. Fractal seismicity distributions are generated inside a given source zone and probabilistic hazard is computed for a set of sites located inside this zone. In our study, the impact of the spatial seismicity distribution is defined as the deviation from the hazard value obtained for a spatially uniform seismicity distribution. From the generation of a large number of synthetic distributions, the correlation between the fractal dimension D and the impact is derived. The results show that the assumption of spatially uniform seismicity tends to bias the hazard to higher values. The correlation can be used to determine the systematic biases and uncertainties for hazard estimations in real cases, where the fractal dimension has been determined. We apply the technique in Germany (Cologne area) and in France (Alps).
In low-seismicity regions, such as France or Germany, the estimation of probabilistic seismic hazard must cope with the difficult identification of active faults and with the low amount of seismic data available. Since the probabilistic hazard method was initiated, most studies assume a Poissonian occurrence of earthquakes. Here we propose a method that enables the inclusion of time and space dependences between earthquakes into the probabilistic estimation of hazard. Combining the seismicity model Epidemic Type Aftershocks-Sequence (ETAS) with a Monte Carlo technique, aftershocks are naturally accounted for in the hazard determination. The method is applied to the Pyrenees region in Southern France. The impact on hazard of declustering and of the usual assumption that earthquakes occur according to a Poisson process is quantified, showing that aftershocks contribute on average less than 5 per cent to the probabilistic hazard, with an upper bound around 18 per cent
Earthquake rupture length and width estimates are in demand in many seismological applications. Earthquake magnitude estimates are often available, whereas the geometrical extensions of the rupture fault mostly are lacking. Therefore, scaling relations are needed to derive length and width from magnitude. Most frequently used are the relationships of Wells and Coppersmith (1994) derived on the basis of a large dataset including all slip types with the exception of thrust faulting events in subduction environments. However, there are many applications dealing with earthquakes in subduction zones because of their high seismic and tsunamigenic potential. There are no well-established scaling relations for moment magnitude and length/width for subduction events. Within this study, we compiled a large database of source parameter estimates of 283 earthquakes. All focal mechanisms are represented, but special focus is set on (large) subduction zone events, in particular. Scaling relations were fitted with linear least-square as well as orthogonal regression and analyzed regarding the difference between continental and subduction zone/oceanic relationships. Additionally, the effect of technical progress in earthquake parameter estimation on scaling relations was tested as well as the influence of different fault mechanisms. For a given moment magnitude we found shorter but wider rupture areas of thrust events compared to Wells and Coppersmith (1994). The thrust event relationships for pure continental and pure subduction zone rupture areas were found to be almost identical. The scaling relations differ significantly for slip types. The exclusion of events prior to 1964 when the worldwide standard seismic network was established resulted in a remarkable effect on strike-slip scaling relations: the data do not show any saturation of rupture width of strike- slip earthquakes. Generally, rupture area seems to scale with mean slip independent of magnitude. The aspect ratio L/W, however, depends on moment and differs for each slip type.
Tsunami early warning (TEW) is a challenging task as a decision has to be made within few minutes on the basis of incomplete and error-prone data. Deterministic warning systems have difficulties in integrating and quantifying the intrinsic uncertainties. In contrast, probabilistic approaches provide a framework that handles uncertainties in a natural way. Recently, we have proposed a method using Bayesian networks (BNs) that takes into account the uncertainties of seismic source parameter estimates in TEW. In this follow-up study, the method is applied to 10 recent large earthquakes offshore Sumatra and tested for its performance. We have evaluated both the general model performance given the best knowledge we have today about the source parameters of the 10 events and the corresponding response on seismic source information evaluated in real-time. We find that the resulting site-specific warning level probabilities represent well the available tsunami wave measurements and observations. Difficulties occur in the real-time tsunami assessment if the moment magnitude estimate is severely over- or underestimated. In general, the probabilistic analysis reveals a considerably large range of uncertainties in the near-field TEW. By quantifying the uncertainties the BN analysis provides important additional information to a decision maker in a warning centre to deal with the complexity in TEW and to reason under uncertainty.
A SSHAC Level 3 Probabilistic Seismic Hazard Analysis for a New-Build Nuclear Site in South Africa
(2015)
A probabilistic seismic hazard analysis has been conducted for a potential nuclear power plant site on the coast of South Africa, a country of low-to-moderate seismicity. The hazard study was conducted as a SSHAC Level 3 process, the first application of this approach outside North America. Extensive geological investigations identified five fault sources with a non-zero probability of being seismogenic. Five area sources were defined for distributed seismicity, the least active being the host zone for which the low recurrence rates for earthquakes were substantiated through investigations of historical seismicity. Empirical ground-motion prediction equations were adjusted to a horizon within the bedrock at the site using kappa values inferred from weak-motion analyses. These adjusted models were then scaled to create new equations capturing the range of epistemic uncertainty in this region with no strong motion recordings. Surface motions were obtained by convolving the bedrock motions with site amplification functions calculated using measured shear-wave velocity profiles.
Logic trees are widely used in probabilistic seismic hazard analysis as a tool to capture the epistemic uncertainty associated with the seismogenic sources and the ground-motion prediction models used in estimating the hazard. Combining two or more ground-motion relations within a logic tree will generally require several conversions to be made, because there are several definitions available for both the predicted ground-motion parameters and the explanatory parameters within the predictive ground-motion relations. Procedures for making conversions for each of these factors are presented, using a suite of predictive equations in current use for illustration. The sensitivity of the resulting ground-motion models to these conversions is shown to be pronounced for some of the parameters, especially the measure of source-to-site distance, highlighting the need to take into account any incompatibilities among the selected equations. Procedures are also presented for assigning weights to the branches in the ground-motion section of the logic tree in a transparent fashion, considering both intrinsic merits of the individual equations and their degree of applicability to the particular application
Adjustment of median ground motion prediction equations (GMPEs) from one region to another region is one of the major challenges within the current practice of seismic hazard analysis. In our approach of generating response spectra, we derive two separate empirical models for a) Fourier amplitude spectrum (FAS) and b) duration of ground motion. To calculate response spectra, the two models are combined within the random vibration theory (RVT) framework. The models are calibrated on recordings obtained from shallow crustal earthquakes in active tectonic regions. We use a subset of NGA-West2 database with M3.2-7.9 earthquakes at distances 0-300 km. The NGA-West2 database expanded over a wide magnitude and distance range facilitates a better constraint over derived models. A frequency-dependent duration model is derived to obtain adjustable response spectral ordinates. Excellent comparison of our approach with other NGA-West2 models implies that it can also be used as a stand-alone model.
We have analyzed the recently developed pan-European strong motion database, RESORCE-2012: spectral parameters, such as stress drop (stress parameter, Delta sigma), anelastic attenuation (Q), near surface attenuation (kappa(0)) and site amplification have been estimated from observed strong motion recordings. The selected dataset exhibits a bilinear distance-dependent Q model with average kappa(0) value 0.0308 s. Strong regional variations in inelastic attenuation were also observed: frequency-independent Q(0) of 1462 and 601 were estimated for Turkish and Italian data respectively. Due to the strong coupling between Q and kappa(0), the regional variations in Q have strong impact on the estimation of near surface attenuation kappa(0). kappa(0) was estimated as 0.0457 and 0.0261 s for Turkey and Italy respectively. Furthermore, a detailed analysis of the variability in estimated kappa(0) revealed significant within-station variability. The linear site amplification factors were constrained from residual analysis at each station and site-class type. Using the regional Q(0) model and a site-class specific kappa(0), seismic moments (M-0) and source corner frequencies f (c) were estimated from the site corrected empirical Fourier spectra. Delta sigma did not exhibit magnitude dependence. The median Delta sigma value was obtained as 5.75 and 5.65 MPa from inverted and database magnitudes respectively. A comparison of response spectra from the stochastic model (derived herein) with that from (regional) ground motion prediction equations (GMPEs) suggests that the presented seismological parameters can be used to represent the corresponding seismological attributes of the regional GMPEs in a host-to-target adjustment framework. The analysis presented herein can be considered as an update of that undertaken for the previous Euro-Mediterranean strong motion database presented by Edwards and Fah (Geophys J Int 194(2):1190-1202, 2013a).
The functional form of empirical response spectral ground-motion prediction equations (GMPEs) is often derived using concepts borrowed from Fourier spectral modeling of ground motion. As these GMPEs are subsequently calibrated with empirical observations, this may not appear to pose any major problems in the prediction of ground motion for a particular earthquake scenario. However, the assumption that Fourier spectral concepts persist for response spectra can lead to undesirable consequences when it comes to the adjustment of response spectral GMPEs to represent conditions not covered in the original empirical data set. In this context, a couple of important questions arise, for example, what are the distinctions and/or similarities between Fourier and response spectra of ground motions? And, if they are different, then what is the mechanism responsible for such differences and how do adjustments that are made to Fourier amplitude spectrum (FAS) manifest in response spectra? The present article explores the relationship between the Fourier and response spectrum of ground motion by using random vibration theory (RVT). With a simple Brune (1970, 1971) source model, RVT-generated acceleration spectra for a fixed magnitude and distance scenario are used. The RVT analyses reveal that the scaling of low oscillator-frequency response spectral ordinates can be treated as being equivalent to the scaling of the corresponding Fourier spectral ordinates. However, the high oscillator-frequency response spectral ordinates are controlled by a rather wide band of Fourier spectral ordinates. In fact, the peak ground acceleration, counter to the popular perception that it is a reflection of the high-frequency characteristics of ground motion, is controlled by the entire Fourier spectrum of ground motion. Additionally, this article demonstrates how an adjustment made to FAS is similar or different to the same adjustment made to response spectral ordinates. For this purpose, two cases: adjustments to the stress parameter (Delta sigma) (source term), and adjustments to the attributes reflecting site response (V-S - kappa(0)) are considered.
One of the major challenges related with the current practice in seismic hazard studies is the adjustment of empirical ground motion prediction equations (GMPEs) to different seismological environments. We believe that the key to accommodating differences in regional seismological attributes of a ground motion model lies in the Fourier spectrum. In the present study, we attempt to explore a new approach for the development of response spectral GMPEs, which is fully consistent with linear system theory when it comes to adjustment issues. This approach consists of developing empirical prediction equations for Fourier spectra and for a particular duration estimate of ground motion which is tuned to optimize the fit between response spectra obtained through the random vibration theory framework and the classical way. The presented analysis for the development of GMPEs is performed on the recently compiled reference database for seismic ground motion in Europe (RESORCE-2012). Although, the main motivation for the presented approach is the adjustability and the use of the corresponding model to generate data driven host-to-target conversions, even as a standalone response spectral model it compares reasonably well with the GMPEs of Ambraseys et al. (Bull Earthq Eng 3:1-53, 2005), Akkar and Bommer (Seismol Res Lett 81(2):195-206, 2010) and Akkar and Cagnan (Bull Seismol Soc Am 100(6):2978-2995, 2010).
Empirical ground-motion prediction equations (GMPEs) require adjustment to make them appropriate for site-specific scenarios. However, the process of making such adjustments remains a challenge. This article presents a holistic framework for the development of a response spectral GMPE that is easily adjustable to different seismological conditions and does not suffer from the practical problems associated with adjustments in the response spectral domain. The approach for developing a response spectral GMPE is unique, because it combines the predictions of empirical models for the two model components that characterize the spectral and temporal behavior of the ground motion. Essentially, as described in its initial form by Bora et al. (2014), the approach consists of an empirical model for the Fourier amplitude spectrum (FAS) and a model for the ground-motion duration. These two components are combined within the random vibration theory framework to obtain predictions of response spectral ordinates. In addition, FAS corresponding to individual acceleration records are extrapolated beyond the useable frequencies using the stochastic FAS model, obtained by inversion as described in Edwards and Fah (2013a). To that end, a (oscillator) frequency-dependent duration model, consistent with the empirical FAS model, is also derived. This makes it possible to generate a response spectral model that is easily adjustable to different sets of seismological parameters, such as the stress parameter Delta sigma, quality factor Q, and kappa kappa(0). The dataset used in Bora et al. (2014), a subset of the RESORCE-2012 database, is considered for the present analysis. Based upon the range of the predictor variables in the selected dataset, the present response spectral GMPE should be considered applicable over the magnitude range of 4 <= M-w <= 7.6 at distances <= 200 km.
Shallowly situated evaporites in built-up areas are of relevance for urban and cultural development and hydrological regulation. The hazard of sinkholes, subrosion depressions and gypsum karst is often difficult to evaluate and may quickly change with anthropogenic influence. The geophysical exploration of evaporites in metropolitan areas is often not feasible with active industrial techniques. We collect and combine different passive geophysical data as microgravity, ambient vibrations, deformation and hydrological information to study the roof morphology of shallow evaporites beneath Hamburg, Northern Germany. The application of a novel gravity inversion technique leads to a 3-D depth model of the salt diapir under study. We compare the gravity-based depth model to pseudo-depths from H/V measurements and depth estimates from small-scale seismological array data. While the general range and trend of the diapir roof is consistent, a few anomalous regions are identified where H/V pseudo-depths indicate shallower structures not observed in gravity or array data. These are interpreted by shallow residual caprock floaters and zones of increased porosity. The shallow salt structure clearly correlates with a relative subsidence in the order of 2 mm yr(-1). The combined interpretation of roof morphology, yearly subsidence rates, chemical analyses of groundwater and of hydraulic head in aquifers indicates that the salt diapir beneath Hamburg is subject to significant ongoing dissolution that may possibly affect subrosion depressions, sinkhole distribution and land usage. The combined analysis of passive geophysical data may be exemplary for the study of shallow evaporites beneath other urban areas.
The Seismic Hazard Harmonization in Europe (SHARE) project, which began in June 2009, aims at establishing new standards for probabilistic seismic hazard assessment in the Euro-Mediterranean region. In this context, a logic tree for ground-motion prediction in Europe has been constructed. Ground-motion prediction equations (GMPEs) and weights have been determined so that the logic tree captures epistemic uncertainty in ground-motion prediction for six different tectonic regimes in Europe. Here we present the strategy that we adopted to build such a logic tree. This strategy has the particularity of combining two complementary and independent approaches: expert judgment and data testing. A set of six experts was asked to weight pre-selected GMPEs while the ability of these GMPEs to predict available data was evaluated with the method of Scherbaum et al. (Bull Seismol Soc Am 99:3234-3247, 2009). Results of both approaches were taken into account to commonly select the smallest set of GMPEs to capture the uncertainty in ground-motion prediction in Europe. For stable continental regions, two models, both from eastern North America, have been selected for shields, and three GMPEs from active shallow crustal regions have been added for continental crust. For subduction zones, four models, all non-European, have been chosen. Finally, for active shallow crustal regions, we selected four models, each of them from a different host region but only two of them were kept for long periods. In most cases, a common agreement has been also reached for the weights. In case of divergence, a sensitivity analysis of the weights on the seismic hazard has been conducted, showing that once the GMPEs have been selected, the associated set of weights has a smaller influence on the hazard.
Considering the increasing number and complexity of ground-motion prediction equations available for seismic hazard assessment, there is a definite need for an efficient, quantitative, and robust method to select and rank these models for a particular region of interest. In a recent article, Scherbaum et al. (2009) have suggested an information- theoretic approach for this purpose that overcomes several shortcomings of earlier attempts at using data-driven ground- motion prediction equation selection procedures. The results of their theoretical study provides evidence that in addition to observed response spectra, macroseismic intensity data might be useful for model selection and ranking. We present here an applicability study for this approach using response spectra and macroseismic intensities from eight Californian earthquakes. A total of 17 ground-motion prediction equations, from different regions, for response spectra, combined with the equation of Atkinson and Kaka (2007) for macroseismic intensities are tested for their relative performance. The resulting data-driven rankings show that the models that best estimate ground motion in California are, as one would expect, Californian and western U. S. models, while some European models also perform fairly well. Moreover, the model performance appears to be strongly dependent on both distance and frequency. The relative information of intensity versus response spectral data is also explored. The strong correlation we obtain between intensity-based rankings and spectral-based ones demonstrates the great potential of macroseismic intensities data for model selection in the context of seismic hazard assessment.
Large research initiatives such as the Global Earthquake Model (GEM) or the Seismic HAzard haRmonization in Europe (SHARE) projects concentrate a great collaborative effort on defining a global standard for seismic hazard estimations. In this context, there is an increasing need for identifying ground-motion prediction equations (GMPEs) that can be applied at both global and regional scale. With increasing amounts of strong-motion records that are now available worldwide, observational data can provide a valuable resource to tackle this question. Using the global dataset of Allen and Wald (2009), we evaluate the ability of 11 GMPEs to predict ground-motion in different active shallow crustal regions worldwide. Adopting the approach of Scherbaum et al. (2009), we rank these GMPEs according to their likelihood of having generated the data. In particular, we estimate how strongly data support or reject the models with respect to the state of noninformativeness defined by a uniform weighting. Such rankings derived from this particular global dataset enable us to explore the potential of GMPEs to predict ground motions in their host region and also in other regions depending on the magnitude and distance considered. In the ranking process, we particularly focus on the influence of the distribution of the testing dataset compared with the GMPE's native dataset. One of the results of this study is that some nonindigenous models present a high degree of consistency with the data from a target region. Two models in particular demonstrated a strong power of geographically wide applicability in different geographic regions with respect to the testing dataset: the models of Akkar and Bommer (2010) and Chiou et al. (2010).
We introduce a method for computing instantaneous-polarization attributes from multicomponent signals. This is an improvement on the standard covariance method (SCM) because it does not depend on the window size used to compute the standard covariance matrix. We overcome the window-size problem by deriving an approximate analytical formula for the cross-energy matrix in which we automatically and adaptively determine the time window. The proposed method uses polarization analysis as applied to multicomponent seismic by waveform separation and filtering.
We introduce a method of wavefield separation from multicomponent data sets based on the use of the continuous wavelet transform. Our method is a further generalization of the approach proposed by Morozov and Smithson, in that by using the continuous wavelet transform, we can achieve a better separation of wave types by designing the filter in the time-frequency domain. Furthermore, using the instantaneous polarization attributes defined in the wavelet domain, we show how to construct filters tailored to separate different wave types (elliptically or linearly polarized), followed by an inverse wavelet transform to obtain the desired wave type in the time domain. Using synthetic and experimental data, we show how the present method can be used for wavefield separation
Characterization of polarization attributes of seismic waves using continuous wavelet transforms
(2006)
Complex-trace analysis is the method of choice for analyzing polarized data. Because particle motion can be represented by instantaneous attributes that show distinct features for waves of different polarization characteristics, it can be used to separate and characterize these waves. Traditional methods of complex-trace analysis only give the instantaneous attributes as a function of time or frequency. However. for transient wave types or seismic events that overlap in time, an estimate of the polarization parameters requires analysis of the time-frequency dependence of these attributes. We propose a method to map instantaneous polarization attributes of seismic signals in the wavelet domain and explicitly relate these attributes with the wavelet-transform coefficients of the analyzed signal. We compare our method with traditional complex-trace analysis using numerical examples. An advantage of our method is its possibility of performing the complete wave-mode separation/ filtering process in the wavelet domain and its ability to provide the frequency dependence of ellipticity, which contains important information on the subsurface structure. Furthermore, using 2-C synthetic and real seismic shot gathers, we show how to use the method to separate different wave types and identify zones of interfering wave modes
This article presents comparisons among the five ground-motion models described in other articles within this special issue, in terms of data selection criteria, characteristics of the models and predicted peak ground and response spectral accelerations. Comparisons are also made with predictions from the Next Generation Attenuation (NGA) models to which the models presented here have similarities (e.g. a common master database has been used) but also differences (e.g. some models in this issue are nonparametric). As a result of the differing data selection criteria and derivation techniques the predicted median ground motions show considerable differences (up to a factor of two for certain scenarios), particularly for magnitudes and distances close to or beyond the range of the available observations. The predicted influence of style-of-faulting shows much variation among models whereas site amplification factors are more similar, with peak amplification at around 1s. These differences are greater than those among predictions from the NGA models. The models for aleatory variability (sigma), however, are similar and suggest that ground-motion variability from this region is slightly higher than that predicted by the NGA models, based primarily on data from California and Taiwan.
In this paper, two sets of earthquake ground-motion relations to estimate peak ground and response spectral acceleration are developed for sites in southern Spain and in southern Norway using a recently published composite approach. For this purpose seven empirical ground-motion relations developed from recorded strong-motion data from different parts of the world were employed. The different relations were first adjusted based on a number of transformations to convert the differing choices of independent parameters to a single one. After these transformations, which include the scatter introduced, were performed, the equations were modified to account for differences between the host and the target regions using the stochastic method to compute the host-to-target conversion factors. Finally functions were fitted to the derived ground-motion estimates to obtain sets of seven individual equations for use in probabilistic seismic hazard assessment for southern Spain and southern Norway. The relations are compared with local ones published for the two regions. The composite methodology calls for the setting up of independent logic trees for the median values and for the sigma values, in order to properly separate epistemic and aleatory uncertainties after the corrections and the conversions
In this article, we address the question of how observed ground-motion data can most effectively be modeled for engineering seismological purposes. Toward this goal, we use a data-driven method, based on a deep-learning autoencoder with a variable number of nodes in the bottleneck layer, to determine how many parameters are needed to reconstruct synthetic and observed ground-motion data in terms of their median values and scatter. The reconstruction error as a function of the number of nodes in the bottleneck is used as an indicator of the underlying dimensionality of ground-motion data, that is, the minimum number of predictor variables needed in a ground-motion model. Two synthetic and one observed datasets are studied to prove the performance of the proposed method. We find that mapping ground-motion data to a 2D manifold primarily captures magnitude and distance information and is suited for an approximate data reconstruction. The data reconstruction improves with an increasing number of bottleneck nodes of up to three and four, but it saturates if more nodes are added to the bottleneck.
The deterministic calculation of earthquake scenarios using complete waveform modelling plays an increasingly important role in estimating shaking hazard in seismically active regions. Here we apply 3-D numerical modelling of seismic wave propagation to M 6+ earthquake scenarios in the area of the Lower Rhine Embayment, one of the seismically most active regions in central Europe. Using a 3-D basin model derived from geology, borehole information and seismic experiments, we aim at demonstrating the strong dependence of ground shaking on hypocentre location and basin structure. The simulations are carried out up to frequencies of ca. 1 Hz. As expected, the basin structure leads to strong lateral variations in peak ground motion, amplification and shaking duration. Depending on source-basin-receiver geometry, the effects correlate with basin depth and the slope of the basin flanks; yet, the basin also affects peak ground motion and estimated shaking hazard thereof outside the basin. Comparison with measured seismograms for one of the earthquakes shows that some of the main characteristics of the wave motion are reproduced. Cumulating the derived seismic intensities from the three modelled earthquake scenarios leads to a predominantly basin correlated intensity distribution for our study area
The aim of this paper is to characterize the spatio-temporal distribution of Central-Europe seismicity. Specifically, by using a non-parametric statistical approach, the proportional hazard model, leading to an empirical estimation of the hazard function, we provide some constrains on the time behavior of earthquake generation mechanisms. The results indicate that the most conspicuous characteristics of M-w 4.0+ earthquakes is a temporal clustering lasting a couple of years. This suggests that the probability of occurrence increases immediately after a previous event. After a few years, the process becomes almost time independent. Furthermore, we investigate the cluster properties of the seismicity of Central-Europe, by comparing the obtained result with the one of synthetic catalogs generated by the epidemic type aftershock sequences (ETAS) model, which previously have been successfully applied for short term clustering. Our results indicate that the ETAS is not well suited to describe the seismicity as a whole, while it is able to capture the features of the short- term behaviour. Remarkably, similar results have been previously found for Italy using a higher magnitude threshold.
Inferring a ground-motion prediction equation (GMPE) for a region in which only a small number of seismic events has been observed is a challenging task. A response to this data scarcity is to utilise data from other regions in the hope that there exist common patterns in the generation of ground motion that can contribute to the development of a GMPE for the region in question. This is not an unreasonable course of action since we expect regional GMPEs to be related to each other. In this work we model this relatedness by assuming that the regional GMPEs occupy a common low-dimensional manifold in the space of all possible GMPEs. As a consequence, the GMPEs are fitted in a joint manner and not independent of each other, borrowing predictive strength from each other's regional datasets. Experimentation on a real dataset shows that the manifold assumption displays better predictive performance over fitting regional GMPEs independent of each other. (C) 2014 Elsevier Ltd. All rights reserved.
The statistics of time delays between successive earthquakes has recently been claimed to be universal and to show the existence of clustering beyond the duration of aftershock bursts. We demonstrate that these claims are unjustified. Stochastic simulations with Poissonian background activity and triggered Omori-type aftershock sequences are shown to reproduce the interevent-time distributions observed on different spatial and magnitude scales in California. Thus the empirical distribution can be explained without any additional long-term clustering. Furthermore, we find that the shape of the interevent-time distribution, which can be approximated by the gamma distribution, is determined by the percentage of main-shocks in the catalog. This percentage can be calculated by the mean and variance of the interevent times and varies between 5% and 90% for different regions in California. Our investigation of stochastic simulations indicates that the interevent-time distribution provides a nonparametric reconstruction of the mainshock magnitude-frequency distribution that is superior to standard declustering algorithm
Interdisziplinäres Zentrum für Musterdynamik und Angewandte Fernerkundung Workshop vom 9. - 10. Februar 2006
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.
The most recent intense earthquake swarm in West Bohemia lasted from 6 October 2008 to January 2009. Starting 12 days after the onset, the University of Potsdam monitored the swarm by a temporary small-aperture seismic array at 10 km epicentral distance. The purpose of the installation was a complete monitoring of the swarm including micro-earthquakes (M (L) < 0). We identify earthquakes using a conventional short-term average/long-term average trigger combined with sliding-window frequency-wavenumber and polarisation analyses. The resulting earthquake catalogue consists of 14,530 earthquakes between 19 October 2008 and 18 March 2009 with magnitudes in the range of -aEuro parts per thousand 1.2 a parts per thousand currency signaEuro parts per thousand M (L) a parts per thousand currency signaEuro parts per thousand 2.7. The small-aperture seismic array substantially lowers the detection threshold to about M (c) = -aEuro parts per thousand 0.4, when compared to the regional networks operating in West Bohemia (M (c) > 0.0). In the course of this work, the main temporal features (frequency-magnitude distribution, propagation of back azimuth and horizontal slowness, occurrence rate of aftershock sequences and interevent-time distribution) of the recent 2008/2009 earthquake swarm are presented and discussed. Temporal changes of the coefficient of variation (based on interevent times) suggest that the swarm earthquake activity of the 2008/2009 swarm terminates by 12 January 2009. During the main phase in our studied swarm period after 19 October, the b value of the Gutenberg-Richter relation decreases from 1.2 to 0.8. This trend is also reflected in the power-law behavior of the seismic moment release. The corresponding total seismic moment release of 1.02x10(17) Nm is equivalent to M (L,max) = 5.4.
In recent years, H/V measurements have been increasingly used to map the thickness of sediment fill in sedimentary basins in the context of seismic hazard assessment. This parameter is believed to be an important proxy for the site effects in sedimentary basins (e.g. in the Los Angeles basin). Here we present the results of a test using this approach across an active normal fault in a structurally well known situation. Measurements on a 50 km long profile with 1 km station spacing clearly show a change in the frequency of the fundamental peak of H/V ratios with increasing thickness of the sediment layer in the eastern part of the Lower Rhine Embayment. Subsequently, a section of 10 km length across the Erft-Sprung system, a normal fault with ca. 750 m vertical offset, was measured with a station distance of 100 m. Frequencies of the first and second peaks and the first trough in the H/V spectra are used in a simple resonance model to estimate depths of the bedrock. While the frequency of the first peak shows a large scatter for sediment depths larger than ca. 500 m, the frequency of the first trough follows the changing thickness of the sediments across the fault. The lateral resolution is in the range of the station distance of 100 m. A power law for the depth dependence of the S-wave velocity derived from down hole measurements in an earlier study [Budny, 1984] and power laws inverted from dispersion analysis of micro array measurements [Scherbaum et al., 2002] agree with the results from the H/V ratios of this study
Slow fourier transform
(2013)
In this paper, we propose a method of surface waves characterization based on the deformation of the wavelet transform of the analysed signal. An estimate of the phase velocity (the group velocity) and the attenuation coefficient is carried out using a model-based approach to determine the propagation operator in the wavelet domain, which depends nonlinearly on a set of unknown parameters. These parameters explicitly define the phase velocity, the group velocity and the attenuation. Under the assumption that the difference between waveforms observed at a couple of stations is solely due to the dispersion characteristics and the intrinsic attenuation of the medium, we then seek to find the set of unknown parameters of this model. Finding the model parameters turns out to be that of an optimization problem, which is solved through the minimization of an appropriately defined cost function. We show that, unlike time-frequency methods that exploit only the square modulus of the transform, we can achieve a complete characterization of surface waves in a dispersive and attenuating medium. Using both synthetic examples and experimental data, we also show that it is in principle possible to separate different modes in both the time domain and the frequency domain
In probabilistic seismic hazard analysis, different ground-motion prediction equations (GMPEs) are commonly combined within a logic tree framework. The selection of appropriate GMPEs, however, is a non-trivial task, especially for regions where strong motion data are sparse and where no indigenous GMPE exists because the set of models needs to capture the whole range of ground-motion uncertainty. In this study we investigate the aggregation of GMPEs into a mixture model with the aim to infer a backbone model that is able to represent the center of the ground-motion distribution in a logic tree analysis. This central model can be scaled up and down to obtain the full range of ground-motion uncertainty. The combination of models into a mixture is inferred from observed ground-motion data. We tested the new approach for Northern Chile, a region for which no indigenous GMPE exists. Mixture models were calculated for interface and intraslab type events individually. For each source type we aggregated eight subduction zone GMPEs using mainly new strong-motion data that were recorded within the Plate Boundary Observatory Chile project and that were processed within this study. We can show that the mixture performs better than any of its component GMPEs, and that it performs comparable to a regression model that was derived for the same dataset. The mixture model seems to represent the median ground motions in that region fairly well. It is thus able to serve as a backbone model for the logic tree.
This study presents an unsupervised feature selection and learning approach for the discovery and intuitive imaging of significant temporal patterns in seismic single-station or network recordings. For this purpose, the data are parametrized by real-valued feature vectors for short time windows using standard analysis tools for seismic data, such as frequency-wavenumber, polarization, and spectral analysis. We use Self-Organizing Maps (SOMs) for a data-driven feature selection, visualization and clustering procedure, which is in particular suitable for high-dimensional data sets. Our feature selection method is based on significance testing using the Wald-Wolfowitz runs test for-individual features and on correlation hunting with SOMs in feature subsets. Using synthetics composed of Rayleigh and Love waves and real-world data, we show the robustness and the improved discriminative power of that approach compared to feature subsets manually selected from individual wavefield parametrization methods. Furthermore, the capability of the clustering and visualization techniques to investigate the discrimination of wave phases is shown by means of synthetic waveforms and regional earthquake recordings.
This study presents results of ambient noise measurements from temporary single station and small-scale array deployments in the northeast of Basle. H/V spectral ratios were determined along various profiles crossing the eastern masterfault of the Rhine Rift Valley and the adjacent sedimentary rift fills. The fundamental H/V peak frequencies are decreasing along the profile towards the eastern direction being consistent with the dip of the tertiary sediments within the rift. Using existing empirical relationships between H/V frequency peaks and the depth of the dominant seismic contrast, derived on basis of the lambda/4-resonance hypothesis and a power law depth dependence of the S-wave velocity, we obtain thicknesses of the rift fill from about 155 m in the west to 280 in in the east. This is in agreement with previous studies. The array analysis of the ambient noise wavefield yielded a stable dispersion relation consistent with Rayleigh wave propagation velocities. We conclude that a significant amount of surface waves is contained in the observed wavefield. The computed ellipticity for fundamental mode Rayleigh waves for the velocity depth models used for the estimation of the sediment thicknesses is in agreement with the observed H/V spectra over a large frequency band
The Ceres earthquake of 29 September 1969 is the largest known earthquake in southern Africa. Digitized analog recordings from Worldwide Standardized Seismographic Network stations (Powell and Fries, 1964) are used to retrieve the point source moment tensor and the most likely centroid depth of the event using full waveform modeling. A scalar seismic moment of 2.2-2.4 x 10(18) N center dot m corresponding to a moment magnitude of 6.2-6.3 is found. The analysis confirms the pure strike-slip mechanism previously determined from onset polarities by Green and Bloch (1971). Overall good agreement with the fault orientation previously estimated from local aftershock recordings is found. The centroid depth can be constrained to be less than 15 km. In a second analysis step, we use a higher order moment tensor based inversion scheme for simple extended rupture models to constrain the lateral fault dimensions. We find rupture propagated unilaterally for 4.7 s from east-southwest to west-northwest for about 17 km ( average rupture velocity of about 3: 1 km/s).
A partially non-ergodic ground-motion prediction equation is estimated for Europe and the Middle East. Therefore, a hierarchical model is presented that accounts for regional differences. For this purpose, the scaling of ground-motion intensity measures is assumed to be similar, but not identical in different regions. This is achieved by assuming a hierarchical model, where some coefficients are treated as random variables which are sampled from an underlying global distribution. The coefficients are estimated by Bayesian inference. This allows one to estimate the epistemic uncertainty in the coefficients, and consequently in model predictions, in a rigorous way. The model is estimated based on peak ground acceleration data from nine different European/Middle Eastern regions. There are large differences in the amount of earthquakes and records in the different regions. However, due to the hierarchical nature of the model, regions with only few data points borrow strength from other regions with more data. This makes it possible to estimate a separate set of coefficients for all regions. Different regionalized models are compared, for which different coefficients are assumed to be regionally dependent. Results show that regionalizing the coefficients for magnitude and distance scaling leads to better performance of the models. The models for all regions are physically sound, even if only very few earthquakes comprise one region.
In the estimate of dispersion with the help of wavelet analysis considerable emphasis has been put on the extraction of the group velocity using the modulus of the wavelet transform. In this paper we give an asymptotic expression of the full propagator in wavelet space that comprises the phase velocity as well. This operator establishes a relationship between the observed signals at two different stations during wave propagation in a dispersive and attenuating medium. Numerical and experimental examples are presented to show that the method accurately models seismic wave dispersion and attenuation
The combined passive and active seismic TRANSALP experiment produced an unprecedented high-resolution crustal image of the Eastern Alps between Munich and Venice. The European and Adriatic Mohos (EM and AM, respectively) are clearly imaged with different seismic techniques: near-vertical incidence reflections and receiver functions (RFs). The European Moho dips gently southward from 35 km beneath the northern foreland to a maximum depth of 55 km beneath the central part of the Eastern Alps, whereas the Adriatic Moho is imaged primarily by receiver functions at a relatively constant depth of about 40 km. In both data sets, we have also detected first-order Alpine shear zones, such as the Helvetic detachment, Inntal fault and SubTauern ramp in the north. Apart from the Valsugana thrust, receiver functions in the southern part of the Eastern Alps have also observed a north dipping interface, which may penetrate the entire Adriatic crust [Adriatic Crust Interface (ACI)]. Deep crustal seismicity may be related to the ACI. We interpret the ACI as the currently active retroshear zone in the doubly vergent Alpine collisional belt. (C) 2004 Elsevier B.V. All rights reserved
A Bayesian ground-motion model is presented that directly estimates the coefficients of the model and the correlation between different ground-motion parameters of interest. The model is developed as a multi-level model with levels for earthquake, station and record terms. This separation allows to estimate residuals for each level and thus the estimation of the associated aleatory variability. In particular, the usually estimated within-event variability is split into a between-station and between-record variability. In addition, the covariance structure between different ground-motion parameters of interest is estimated for each level, i.e. directly the between-event, between-station and between-record correlation coefficients are available. All parameters of the model are estimated via Bayesian inference, which allows to assess their epistemic uncertainty in a principled way. The model is developed using a recently compiled European strong-motion database. The target variables are peak ground velocity, peak ground acceleration and spectral acceleration at eight oscillator periods. The model performs well with respect to its residuals, and is similar to other ground-motion models using the same underlying database. The correlation coefficients are similar to those estimated for other parts of the world, with nearby periods having a high correlation. The between-station, between-event and between-record correlations follow generally a similar trend.
Bayesian networks are a powerful and increasingly popular tool for reasoning under uncertainty, offering intuitive insight into (probabilistic) data-generating processes. They have been successfully applied to many different fields, including bioinformatics. In this paper, Bayesian networks are used to model the joint-probability distribution of selected earthquake, site, and ground-motion parameters. This provides a probabilistic representation of the independencies and dependencies between these variables. In particular, contrary to classical regression, Bayesian networks do not distinguish between target and predictors, treating each variable as random variable. The capability of Bayesian networks to model the ground-motion domain in probabilistic seismic hazard analysis is shown for a generic situation. A Bayesian network is learned based on a subset of the Next Generation Attenuation (NGA) dataset, using 3342 records from 154 earthquakes. Because no prior assumptions about dependencies between particular parameters are made, the learned network displays the most probable model given the data. The learned network shows that the ground-motion parameter (horizontal peak ground acceleration, PGA) is directly connected only to the moment magnitude, Joyner-Boore distance, fault mechanism, source-to-site azimuth, and depth to a shear-wave horizon of 2: 5 km/s (Z2.5). In particular, the effect of V-S30 is mediated by Z2.5. Comparisons of the PGA distributions based on the Bayesian networks with the NGA model of Boore and Atkinson (2008) show a reasonable agreement in ranges of good data coverage.
Empirical ground-motion models used in seismic hazard analysis are commonly derived by regression of observed ground motions against a chosen set of predictor variables. Commonly, the model building process is based on residual analysis and/or expert knowledge and/or opinion, while the quality of the model is assessed by the goodness-of-fit to the data. Such an approach, however, bears no immediate relation to the predictive power of the model and with increasing complexity of the models is increasingly susceptible to the danger of overfitting. Here, a different, primarily data-driven method for the development of ground-motion models is proposed that makes use of the notion of generalization error to counteract the problem of overfitting. Generalization error directly estimates the average prediction error on data not used for the model generation and, thus, is a good criterion to assess the predictive capabilities of a model. The approach taken here makes only few a priori assumptions. At first, peak ground acceleration and response spectrum values are modeled by flexible, nonphysical functions (polynomials) of the predictor variables. The inclusion of a particular predictor and the order of the polynomials are based on minimizing generalization error. The approach is illustrated for the next generation of ground-motion attenuation dataset. The resulting model is rather complex, comprising 48 parameters, but has considerably lower generalization error than functional forms commonly used in ground-motion models. The model parameters have no physical meaning, but a visual interpretation is possible and can reveal relevant characteristics of the data, for example, the Moho bounce in the distance scaling. In a second step, the regression model is approximated by an equivalent stochastic model, making it physically interpretable. The resulting resolvable stochastic model parameters are comparable to published models for western North America. In general, for large datasets generalization error minimization provides a viable method for the development of empirical ground-motion models.