Refine
Year of publication
Document Type
- Doctoral Thesis (201) (remove)
Keywords
- climate change (16)
- Klimawandel (13)
- Modellierung (9)
- Hochwasser (7)
- Hydrologie (7)
- GIS (5)
- Unsicherheit (5)
- hydrology (5)
- modelling (5)
- uncertainty (5)
Institute
- Institut für Umweltwissenschaften und Geographie (201) (remove)
Species respond to environmental change by dynamically adjusting their geographical ranges. Robust predictions of these changes are prerequisites to inform dynamic and sustainable conservation strategies. Correlative species distribution models (SDMs) relate species’ occurrence records to prevailing environmental factors to describe the environmental niche. They have been widely applied in global change context as they have comparably low data requirements and allow for rapid assessments of potential future species’ distributions. However, due to their static nature, transient responses to environmental change are essentially ignored in SDMs. Furthermore, neither dispersal nor demographic processes and biotic interactions are explicitly incorporated. Therefore, it has often been suggested to link statistical and mechanistic modelling approaches in order to make more realistic predictions of species’ distributions for scenarios of environmental change. In this thesis, I present two different ways of such linkage. (i) Mechanistic modelling can act as virtual playground for testing statistical models and allows extensive exploration of specific questions. I promote this ‘virtual ecologist’ approach as a powerful evaluation framework for testing sampling protocols, analyses and modelling tools. Also, I employ such an approach to systematically assess the effects of transient dynamics and ecological properties and processes on the prediction accuracy of SDMs for climate change projections. That way, relevant mechanisms are identified that shape the species’ response to altered environmental conditions and which should hence be considered when trying to project species’ distribution through time. (ii) I supplement SDM projections of potential future habitat for black grouse in Switzerland with an individual-based population model. By explicitly considering complex interactions between habitat availability and demographic processes, this allows for a more direct assessment of expected population response to environmental change and associated extinction risks. However, predictions were highly variable across simulations emphasising the need for principal evaluation tools like sensitivity analysis to assess uncertainty and robustness in dynamic range predictions. Furthermore, I identify data coverage of the environmental niche as a likely cause for contrasted range predictions between SDM algorithms. SDMs may fail to make reliable predictions for truncated and edge niches, meaning that portions of the niche are not represented in the data or niche edges coincide with data limits. Overall, my thesis contributes to an improved understanding of uncertainty factors in predictions of range dynamics and presents ways how to deal with these. Finally I provide preliminary guidelines for predictive modelling of dynamic species’ response to environmental change, identify key challenges for future research and discuss emerging developments.
As land-cover conversion continues to expand into ever more remote areas in the humid tropics, montane rainforests are increasingly threatened. In the south Ecuadorian Andes, they are not only subject to man-made disturbances but also to naturally occurring landslides. I was interested in the impact of this ecosystem dynamics on a key parameter of the hydrologic cycle, the soil saturated hydraulic conductivity (synonym: permeability; Ks from here on), because it is a sensitive indicator for soil disturbances. My general objective was to quantify the effects of the regional natural and human disturbances on the saturated hydraulic conductivity and to describe the resulting spatial-temporal patterns. The main hypotheses were: 1) disturbances cause an apparent displacement of the less permeable soil layer towards the surface, either due to a loss of the permeable surface soil after land-sliding, or as a consequence of the surface soil compaction under cattle pastures; 2) ‘recovery’ from disturbance, either because of landslide re-vegetation or because of secondary succession after pasture abandonment, involves an apparent displacement of the less permeable layer back towards the original depth an 3) disturbances cause a simplification of the Ks spatial structure, i.e. the spatially dependent random variation diminishes; the subsequent recovery entails the re-establishment of the original structure. In my first study, I developed a synthesis of recent geostatistical research regarding its applicability to soil hydraulic data, including exploratory data analysis and variogram estimation techniques; I subsequently evaluated the results in terms of spatial prediction uncertainty. Concerning the exploratory data analysis, my main results were: 1) Gaussian uni- and bivariate distributions of the log-transformed data; 2) the existence of significant local trends; 3) no need for robust estimation; 4) no anisotropic variation. I found partly considerable differences in covariance parameters resulting from different variogram estimation techniques, which, in the framework of spatial prediction, were mainly reflected in the spatial connectivity of the Ks-field. Ignoring the trend component and an arbitrary use of robust estimators, however, would have the most severe consequences in this respect. Regarding variogram modeling, I encouraged restricted maximum likelihood estimation because of its accuracy and independence on the selected lags needed for experimental variograms. The second study dealt with the Ks spatial-temporal pattern in the sequences of natural and man-made disturbances characteristic for the montane rainforest study area. To investigate the disturbance effects both on global means and the spatial structure of Ks, a combined design-and model-based sampling approach was used for field-measurements at soil depths of 12.5, 20, and 50 cm (n=30-150/depth) under landslides of different ages (2 and 8 years), under actively grazed pasture, fallows following pasture abandonment (2 to 25 years of age), and under natural forest. Concerning global means, our main findings were 1) global means of the soil permeability generally decrease with increasing soil depth; 2) no significant Ks differences can be observed among landslides and compared to the natural forest; 3) a distinct permeability decrease of two orders of magnitude occurs after forest conversion to pasture at shallow soil depths, and 4) the slow regeneration process after pasture abandonment requires at least one decade. Regarding the Ks spatial structure, we found that 1) disturbances affect the Ks spatial structure in the topsoil, and 2) the largest differences in spatial patterns are associated with the subsoil permeability. In summary, the regional landslide activity seems to affect soil hydrology to a marginal extend only, which is in contrast to the pronounced drop of Ks after forest conversion. We used this spatial-temporal information combined with local rain intensities to assess the partitioning of rainfall into vertical and lateral flowpaths under undisturbed, disturbed, and regenerating land-cover types in the third study. It turned out that 1) the montane rainforest is characterized by prevailing vertical flowpaths in the topsoil, which can switch to lateral directions below 20 cm depth for a small number of rain events, which may, however, transport a high portion of the annual runoff; 2) similar hydrological flowpaths occur under the landslides except for a somewhat higher probability of impermeable layer formation in the topsoil of a young landslide, and 3) pronounced differences in runoff components can be observed for the human disturbance sequence involving the development of near-surface impeding layers for 24, 44, and 8 % of rain events for pasture, a two-year-old fallow, and a ten-year-old fallow, respectively.
Motivations and research objectives: During the passage of rain water through a forest canopy two main processes take place. First, water is redistributed; and second, its chemical properties change substantially. The rain water redistribution and the brief contact with plant surfaces results in a large variability of both throughfall and its chemical composition. Since throughfall and its chemistry influence a range of physical, chemical and biological processes at or below the forest floor the understanding of throughfall variability and the prediction of throughfall patterns potentially improves the understanding of near-surface processes in forest ecosystems. This thesis comprises three main research objectives. The first objective is to determine the variability of throughfall and its chemistry, and to investigate some of the controlling factors. Second, I explored throughfall spatial patterns. Finally, I attempted to assess the temporal persistence of throughfall and its chemical composition. Research sites and methods: The thesis is based on investigations in a tropical montane rain forest in Ecuador, and lowland rain forest ecosystems in Brazil and Panama. The first two studies investigate both throughfall and throughfall chemistry following a deterministic approach. The third study investigates throughfall patterns with geostatistical methods, and hence, relies on a stochastic approach. Results and Conclusions: Throughfall is highly variable. The variability of throughfall in tropical forests seems to exceed that of many temperate forests. These differences, however, do not solely reflect ecosystem-inherent characteristics, more likely they also mirror management practices. Apart from biotic factors that influence throughfall variability, rainfall magnitude is an important control. Throughfall solute concentrations and solute deposition are even more variable than throughfall. In contrast to throughfall volumes, the variability of solute deposition shows no clear differences between tropical and temperate forests, hence, biodiversity is not a strong predictor of solute deposition heterogeneity. Many other factors control solute deposition patterns, for instance, solute concentration in rainfall and antecedent dry period. The temporal variability of the latter factors partly accounts for the low temporal persistence of solute deposition. In contrast, measurements of throughfall volume are quite stable over time. Results from the Panamanian research site indicate that wet and dry areas outlast consecutive wet seasons. At this research site, throughfall exhibited only weak or pure nugget autocorrelation structures over the studies lag distances. A close look at the geostatistical tools at hand provided evidence that throughfall datasets, in particular those of large events, require robust variogram estimation if one wants to avoid outlier removal. This finding is important because all geostatistical throughfall studies that have been published so far analyzed their data using the classical, non-robust variogram estimator.
The European Water Framework Directive (WFD) has identified river morphological alteration and diffuse pollution as the two main pressures affecting water bodies in Europe at the catchment scale. Consequently, river restoration has become a priority to achieve the WFD's objective of good ecological status. However, little is known about the effects of stream morphological changes, such as re-meandering, on in-stream nitrate retention at the river network scale. Therefore, catchment nitrate modeling is necessary to guide the implementation of spatially targeted and cost-effective mitigation measures. Meanwhile, Germany, like many other regions in central Europe, has experienced consecutive summer droughts from 2015-2018, resulting in significant changes in river nitrate concentrations in various catchments. However, the mechanistic exploration of catchment nitrate responses to changing weather conditions is still lacking.
Firstly, a fully distributed, process-based catchment Nitrate model (mHM-Nitrate) was used, which was properly calibrated and comprehensively evaluated at numerous spatially distributed nitrate sampling locations. Three calibration schemes were designed, taking into account land use, stream order, and mean nitrate concentrations, and they varied in spatial coverage but used data from the same period (2011–2019). The model performance for discharge was similar among the three schemes, with Nash-Sutcliffe Efficiency (NSE) scores ranging from 0.88 to 0.92. However, for nitrate concentrations, scheme 2 outperformed schemes 1 and 3 when compared to observed data from eight gauging stations. This was likely because scheme 2 incorporated a diverse range of data, including low discharge values and nitrate concentrations, and thus provided a better representation of within-catchment heterogenous. Therefore, the study suggests that strategically selecting gauging stations that reflect the full range of within-catchment heterogeneity is more important for calibration than simply increasing the number of stations.
Secondly, the mHM-Nitrate model was used to reveal the causal relations between sequential droughts and nitrate concentration in the Bode catchment (3200 km2) in central Germany, where stream nitrate concentrations exhibited contrasting trends from upstream to downstream reaches. The model was evaluated using data from six gauging stations, reflecting different levels of runoff components and their associated nitrate-mixing from upstream to downstream. Results indicated that the mHM-Nitrate model reproduced dynamics of daily discharge and nitrate concentration well, with Nash-Sutcliffe Efficiency ≥ 0.73 for discharge and Kling-Gupta Efficiency ≥ 0.50 for nitrate concentration at most stations. Particularly, the spatially contrasting trends of nitrate concentration were successfully captured by the model. The decrease of nitrate concentration in the lowland area in drought years (2015-2018) was presumably due to (1) limited terrestrial export loading (ca. 40% lower than that of normal years 2004-2014), and (2) increased in-stream retention efficiency (20% higher in summer within the whole river network). From a mechanistic modelling perspective, this study provided insights into spatially heterogeneous flow and nitrate dynamics and effects of sequential droughts, which shed light on water-quality responses to future climate change, as droughts are projected to be more frequent.
Thirdly, this study investigated the effects of stream restoration via re-meandering on in-stream nitrate retention at network-scale in the well-monitored Bode catchment. The mHM-Nitrate model showed good performance in reproducing daily discharge and nitrate concentrations, with median Kling-Gupta values of 0.78 and 0.74, respectively. The mean and standard deviation of gross nitrate retention efficiency, which accounted for both denitrification and assimilatory uptake, were 5.1 ± 0.61% and 74.7 ± 23.2% in winter and summer, respectively, within the stream network. The study found that in the summer, denitrification rates were about two times higher in lowland sub-catchments dominated by agricultural lands than in mountainous sub-catchments dominated by forested areas, with median ± SD of 204 ± 22.6 and 102 ± 22.1 mg N m-2 d-1, respectively. Similarly, assimilatory uptake rates were approximately five times higher in streams surrounded by lowland agricultural areas than in those in higher-elevation, forested areas, with median ± SD of 200 ± 27.1 and 39.1 ± 8.7 mg N m-2 d-1, respectively. Therefore, restoration strategies targeting lowland agricultural areas may have greater potential for increasing nitrate retention. The study also found that restoring stream sinuosity could increase net nitrate retention efficiency by up to 25.4 ± 5.3%, with greater effects seen in small streams. These results suggest that restoration efforts should consider augmenting stream sinuosity to increase nitrate retention and decrease nitrate concentrations at the catchment scale.
Evaluation of nitrogen dynamics in high-order streams and rivers based on high-frequency monitoring
(2023)
Nutrient storage, transform and transport are important processes for achieving environmental and ecological health, as well as conducting water management plans. Nitrogen is one of the most noticeable elements due to its impacts on tremendous consequences of eutrophication in aquatic systems. Among all nitrogen components, researches on nitrate are blooming because of widespread deployments of in-situ high-frequency sensors. Monitoring and studying nitrate can become a paradigm for any other reactive substances that may damage environmental conditions and cause economic losses.
Identifying nitrate storage and its transport within a catchment are inspiring to the management of agricultural activities and municipal planning. Storm events are periods when hydrological dynamics activate the exchange between nitrate storage and flow pathways. In this dissertation, long-term high-frequency monitoring data at three gauging stations in the Selke river were used to quantify event-scale nitrate concentration-discharge (C-Q) hysteretic relationships. The Selke catchment is characterized into three nested subcatchments by heterogeneous physiographic conditions and land use. With quantified hysteresis indices, impacts of seasonality and landscape gradients on C-Q relationships are explored. For example, arable area has deep nitrate legacy and can be activated with high intensity precipitation during wetting/wet periods (i.e., the strong hydrological connectivity). Hence, specific shapes of C-Q relationships in river networks can identify targeted locations and periods for agricultural management actions within the catchment to decrease nitrate output into downstream aquatic systems like the ocean.
The capacity of streams for removing nitrate is of both scientific and social interest, which makes the quantification motivated. Although measurements of nitrate dynamics are advanced compared to other substances, the methodology to directly quantify nitrate uptake pathways is still limited spatiotemporally. The major problem is the complex convolution of hydrological and biogeochemical processes, which limits in-situ measurements (e.g., isotope addition) usually to small streams with steady flow conditions. This makes the extrapolation of nitrate dynamics to large streams highly uncertain. Hence, understanding of in-stream nitrate dynamic in large rivers is still necessary. High-frequency monitoring of nitrate mass balance between upstream and downstream measurement sites can quantitatively disentangle multi-path nitrate uptake dynamics at the reach scale (3-8 km). In this dissertation, we conducted this approach in large stream reaches with varying hydro-morphological and environmental conditions for several periods, confirming its success in disentangling nitrate uptake pathways and their temporal dynamics. Net nitrate uptake, autotrophic assimilation and heterotrophic uptake were disentangled, as well as their various diel and seasonal patterns. Natural streams generally can remove more nitrate under similar environmental conditions and heterotrophic uptake becomes dominant during post-wet seasons. Such two-station monitoring provided novel insights into reach-scale nitrate uptake processes in large streams.
Long-term in-stream nitrate dynamics can also be evaluated with the application of water quality model. This is among the first time to use a data-model fusion approach to upscale the two-station methodology in large-streams with complex flow dynamics under long-term high-frequency monitoring, assessing the in-stream nitrate retention and its responses to drought disturbances from seasonal to sub-daily scale. Nitrate retention (both net uptake and net release) exhibited substantial seasonality, which also differed in the investigated normal and drought years. In the normal years, winter and early spring seasons exhibited extensive net releases, then general net uptake occurred after the annual high-flow season at later spring and early summer with autotrophic processes dominating and during later summer-autumn low-flow periods with heterotrophy-characteristics predominating. Net nitrate release occurred since late autumn until the next early spring. In the drought years, the late-autumn net releases were not so consistently persisted as in the normal years and the predominance of autotrophic processes occurred across seasons. Aforementioned comprehensive results of nitrate dynamics on stream scale facilitate the understanding of instream processes, as well as raise the importance of scientific monitoring schemes for hydrology and water quality parameters.
The Greenland Ice Sheet is the second-largest mass of ice on Earth. Being almost 2000 km long, more than 700 km wide, and more than 3 km thick at the summit, it holds enough ice to raise global sea levels by 7m if melted completely. Despite its massive size, it is particularly vulnerable to anthropogenic climate change: temperatures over the Greenland Ice Sheet have increased by more than 2.7◦C in the past 30 years, twice as much as the global mean temperature. Consequently, the ice sheet has been significantly losing mass since the 1980s and the rate of loss has increased sixfold since then. Moreover, it is one of the potential tipping elements of the Earth System, which might undergo irreversible change once a warming threshold is exceeded. This thesis aims at extending the understanding of the resilience of the Greenland Ice Sheet against global warming by analyzing processes and feedbacks relevant to its centennial to multi-millennial stability using ice sheet modeling.
One of these feedbacks, the melt-elevation-feedback is driven by the temperature rise with decreasing altitudes: As the ice sheet melts, its thickness and surface elevation decrease, exposing the ice surface to warmer air and thus increasing the melt rates even further. The glacial isostatic adjustment (GIA) can partly mitigate this melt-elevation feedback as the bedrock lifts in response to an ice load decrease, forming the negative GIA feedback. In my thesis, I show that the interaction between these two competing feedbacks can lead to qualitatively different dynamical responses of the Greenland Ice Sheet to warming – from permanent loss to incomplete recovery, depending on the feedback parameters. My research shows that the interaction of those feedbacks can initiate self-sustained oscillations of the ice volume while the climate forcing remains constant.
Furthermore, the increased surface melt changes the optical properties of the snow or ice surface, e.g. by lowering their albedo, which in turn enhances melt rates – a process known as the melt-albedo feedback. Process-based ice sheet models often neglect this melt-albedo feedback. To close this gap, I implemented a simplified version of the diurnal Energy Balance Model, a computationally efficient approach that can capture the first-order effects of the melt-albedo feedback, into the Parallel Ice Sheet Model (PISM). Using the coupled model, I show in warming experiments that the melt-albedo feedback almost doubles the ice loss until the year 2300 under the low greenhouse gas emission scenario RCP2.6, compared to simulations where the melt-albedo feedback is neglected,
and adds up to 58% additional ice loss under the high emission scenario RCP8.5. Moreover, I find that the melt-albedo feedback dominates the ice loss until 2300, compared to the melt-elevation feedback.
Another process that could influence the resilience of the Greenland Ice Sheet is the warming induced softening of the ice and the resulting increase in flow. In my thesis, I show with PISM how the uncertainty in Glen’s flow law impacts the simulated response to warming. In a flow line setup at fixed climatic mass balance, the uncertainty in flow parameters leads to a range of ice loss comparable to the range caused by different warming levels.
While I focus on fundamental processes, feedbacks, and their interactions in the first three projects of my thesis, I also explore the impact of specific climate scenarios on the sea level rise contribution of the Greenland Ice Sheet. To increase the carbon budget flexibility, some warming scenarios – while still staying within the limits of the Paris Agreement – include a temporal overshoot of global warming. I show that an overshoot by 0.4◦C increases the short-term and long-term ice loss from Greenland by several centimeters. The long-term increase is driven by the warming at high latitudes, which persists even when global warming is reversed. This leads to a substantial long-term commitment of the sea level rise contribution from the Greenland Ice Sheet.
Overall, in my thesis I show that the melt-albedo feedback is most relevant for the ice loss of the Greenland Ice Sheet on centennial timescales. In contrast, the melt-elevation feedback and its interplay with the GIA feedback become increasingly relevant on millennial timescales. All of these influence the resilience of the Greenland Ice Sheet against global warming, in the near future and on the long term.
At present, carbon sequestration in terrestrial ecosystems slows the growth rate of atmospheric CO2 concentrations, and thereby reduces the impact of anthropogenic fossil fuel emissions on the climate system. Changes in climate and land use affect terrestrial biosphere structure and functioning at present, and will likely impact on the terrestrial carbon balance during the coming decades - potentially providing a positive feedback to the climate system due to soil carbon releases under a warmer climate. Quantifying changes, and the associated uncertainties, in regional terrestrial carbon budgets resulting from these effects is relevant for the scientific understanding of the Earth system and for long-term climate mitigation strategies. A model describing the relevant processes that govern the terrestrial carbon cycle is a necessary tool to project regional carbon budgets into the future. This study (1) provides an extensive evaluation of the parameter-based uncertainty in model results of a leading terrestrial biosphere model, the Lund-Potsdam-Jena Dynamic Global Vegetation Model (LPJ-DGVM), against a range of observations and under climate change, thereby complementing existing studies on other aspects of model uncertainty; (2) evaluates different hypotheses to explain the age-related decline in forest growth, both from theoretical and experimental evidence, and introduces the most promising hypothesis into the model; (3) demonstrates how forest statistics can be successfully integrated with process-based modelling to provide long-term constraints on regional-scale forest carbon budget estimates for a European forest case-study; and (4) elucidates the combined effects of land-use and climate changes on the present-day and future terrestrial carbon balance over Europe for four illustrative scenarios - implemented by four general circulation models - using a comprehensive description of different land-use types within the framework of LPJ-DGVM. This study presents a way to assess and reduce uncertainty in process-based terrestrial carbon estimates on a regional scale. The results of this study demonstrate that simulated present-day land-atmosphere carbon fluxes are relatively well constrained, despite considerable uncertainty in modelled net primary production. Process-based terrestrial modelling and forest statistics are successfully combined to improve model-based estimates of vegetation carbon stocks and their change over time. Application of the advanced model for 77 European provinces shows that model-based estimates of biomass development with stand age compare favourably with forest inventory-based estimates for different tree species. Driven by historic changes in climate, atmospheric CO2 concentration, forest area and wood demand between 1948 and 2000, the model predicts European-scale, present-day age structure of forests, ratio of biomass removals to increment, and vegetation carbon sequestration rates that are consistent with inventory-based estimates. Alternative scenarios of climate and land-use change in the 21<sup>st century suggest carbon sequestration in the European terrestrial biosphere during the coming decades will likely be on magnitudes relevant to climate mitigation strategies. However, the uptake rates are small in comparison to the European emissions from fossil fuel combustion, and will likely decline towards the end of the century. Uncertainty in climate change projections is a key driver for uncertainty in simulated land-atmosphere carbon fluxes and needs to be accounted for in mitigation studies of the terrestrial biosphere.
Water quality in river systems is of growing concern due to rising anthropogenic pressures and climate change. Mitigation efforts have been placed under the guidelines of different governance conventions during last decades (e.g., the Water Framework Directive in Europe). Despite significant improvement through relatively straightforward measures, the environmental status has likely reached a plateau. A higher spatiotemporal accuracy of catchment nitrate modeling is, therefore, needed to identify critical source areas of diffuse nutrient pollution (especially for nitrate) and to further guide implementation of spatially differentiated, cost-effective mitigation measures. On the other hand, the emerging high-frequency sensor monitoring upgrades the monitoring resolution to the time scales of biogeochemical processes and enables more flexible monitoring deployments under varying conditions. The newly available information offers new prospects in understanding nitrate spatiotemporal dynamics. Formulating such advanced process understanding into catchment models is critical for model further development and environmental status evaluation. This dissertation is targeting on a comprehensive analysis of catchment and in-stream nitrate dynamics and is aiming to derive new insights into their spatial and temporal variabilities through the new fully distributed model development and the new high-frequency data.
Firstly, a new fully distributed, process-based catchment nitrate model (the mHM-Nitrate model) is developed based on the mesoscale Hydrological Model (mHM) platform. Nitrate process descriptions are adopted from the Hydrological Predictions for the Environment (HYPE), with considerable improved implementations. With the multiscale grid-based discretization, mHM-Nitrate balances the spatial representation and the modeling complexity. The model has been thoughtfully evaluated in the Selke catchment (456 km2), central Germany, which is characterized by heterogeneous physiographic conditions. Results show that the model captures well the long-term discharge and nitrate dynamics at three nested gauging stations. Using daily nitrate-N observations, the model is also validated in capturing short-term fluctuations due to changes in runoff partitioning and spatial contribution during flooding events. By comparing the model simulations with the values reported in the literature, the model is capable of providing detailed and reliable spatial information of nitrate concentrations and fluxes. Therefore, the model can be taken as a promising tool for environmental scientists in advancing environmental modeling research, as well as for stakeholders in supporting their decision-making, especially for spatially differentiated mitigation measures.
Secondly, a parsimonious approach of regionalizing the in-stream autotrophic nitrate uptake is proposed using high-frequency data and further integrated into the new mHM-Nitrate model. The new regionalization approach considers the potential uptake rate (as a general parameter) and effects of above-canopy light and riparian shading (represented by global radiation and leaf area index data, respectively). Multi-parameter sensors have been continuously deployed in a forest upstream reach and an agricultural downstream reach of the Selke River. Using the continuous high-frequency data in both streams, daily autotrophic uptake rates (2011-2015) are calculated and used to validate the regionalization approach. The performance and spatial transferability of the approach is validated in terms of well-capturing the distinct seasonal patterns and value ranges in both forest and agricultural streams. Integrating the approach into the mHM-Nitrate model allows spatiotemporal variability of in-stream nitrate transport and uptake to be investigated throughout the river network.
Thirdly, to further assess the spatial variability of catchment nitrate dynamics, for the first time the fully distributed parameterization is investigated through sensitivity analysis. Sensitivity results show that parameters of soil denitrification, in-stream denitrification and in-stream uptake processes are the most sensitive parameters throughout the Selke catchment, while they all show high spatial variability, where hot-spots of parameter sensitivity can be explicitly identified. The Spearman rank correlation is further analyzed between sensitivity indices and multiple catchment factors. The correlation identifies that the controlling factors vary spatially, reflecting heterogeneous catchment responses in the Selke catchment. These insights are, therefore, informative in informing future parameter regionalization schemes for catchment water quality models. In addition, the spatial distributions of parameter sensitivity are also influenced by the gauging information that is being used for sensitivity evaluation. Therefore, an appropriate monitoring scheme is highly recommended to truly reflect the catchment responses.
Chemical transformations and hydraulic processes in soil and groundwater often lead to an apparent retention of nitrate in lowland catchments. Models are needed to evaluate the interaction of these processes in space and time. The objectives of this study are i) to develop a specific modelling approach by combining selected modelling tools simulating N-transport and turnover in soils and groundwater of lowland catchments, ii) to study interactions between catchment properties and nitrogen transport. Special attention was paid to potential N-loads to surface waters. The modelling approach combines various submodels for water flow and solute transport in soil and groundwater: The soil-water- and nitrogen-model mRISK-N, the groundwater flow model MODFLOW and the solute transport model RT3D. In order to investigate interactions of N-transport and catchment characteristics, the distribution and availability of reaction partners have to be taken into account. Therefore, a special reaction-module is developed, which simulates various chemical processes in groundwater, such as the degradation of organic matter by oxygen, nitrate, sulphate or pyrite oxidation by oxygen and nitrate. The model approach is applied to different simulation, focussing on specific submodels. All simulation studies are based on field data from the Schaugraben catchment, a pleistocene catchment of approximately 25 km², close to Osterburg(Altmark) in the North of Saxony-Anhalt. The following modelling studies have been carried out: i) evaluation of the soil-water- and nitrogen-model based on lysimeter data, ii) modelling of a field scale tracer experiment on nitrate transport and turnover in the groundwater as a first application of the reaction module, iii) evaluation of interactions between hydraulic and chemical aquifer properties in a two-dimensional groundwater transect, iv) modelling of distributed groundwater recharge and soil nitrogen leaching in the study area, to be used as input data for subsequent groundwater simulations, v) study of groundwater nitrate distribution and nitrate breakthrough to the surface water system in the Schaugraben catchment area and a subcatchment, using three-dimensional modelling of reactive groundwater transport. The various model applications prove the model to be capable of simulating interactions between transport, turnover and hydraulic and chemical catchment properties. The distribution of nitrate in the sediment and the resulting loads to surface waters are strongly affected by the amount of reactive substances and by the residence time within the aquifer. In the Schaugraben catchment simulations, it is found that a period of 70 years is needed to raise the average seepage concentrations of nitrate to a level corresponding to the given input situation, if no reactions are considered. Under reactive transport conditions, nitrate concentrations are reduced effectively. Simulation results show that groundwater exfiltration does not contribute considerably to the nitrate pollution of surface waters, as most nitrate entering soils and groundwater is lost by denitrification. Additional sources, such as direct inputs or tile drains have to be taken into account to explain surface water loads. The prognostic value of the models for the study site is limited by uncertainties of input data and estimation of model parameters. Nevertheless, the modelling approach is a useful aid for the identification of source and sink areas of nitrate pollution as well as the investigation of system response to management measures or landuse changes with scenario simulations. The modelling approach assists in the interpretation of observed data, as it allows to integrate local observations into a spatial and temporal framework.
This thesis presents methods, techniques and tools for developing three-dimensional representations of tactical intelligence assessments. Techniques from GIScience are combined with crime mapping methods. The range of methods applied in this study provides spatio-temporal GIS analysis as well as 3D geovisualisation and GIS programming. The work presents methods to enhance digital three-dimensional city models with application specific thematic information. This information facilitates further geovisual analysis, for instance, estimations of urban risks exposure. Specific methods and workflows are developed to facilitate the integration of spatio-temporal crime scene analysis results into 3D tactical intelligence assessments. Analysis comprises hotspot identification with kernel-density-estimation techniques (KDE), LISA-based verification of KDE hotspots as well as geospatial hotspot area characterisation and repeat victimisation analysis. To visualise the findings of such extensive geospatial analysis, three-dimensional geovirtual environments are created. Workflows are developed to integrate analysis results into these environments and to combine them with additional geospatial data. The resulting 3D visualisations allow for an efficient communication of complex findings of geospatial crime scene analysis.
In den letzten 20 Jahren sind Evaluationen Schritt für Schritt zu einem festen und gleichzeitig kontrovers diskutierten Bestandteil politischer Förderung geworden. Auf der Basis langjähriger Beobachtungen der Evaluationspraxis des Förderprogramms „Soziale Stadt“ zeigt dieses Buch zunächst, dass Evaluationstätigkeiten in Ministerien, Kommunalverwaltungen und Planungsbüros mit ganz unterschiedlichen Erwartungen, Herausforderungen, Widersprüchen und Irritationen verknüpft werden. Evaluationen werden dabei sowohl als Hoffnungsträger, als auch als Schreckgespenst gesehen. Der Autor nimmt diese Beobachtungen zum Anlass, den Umgang mit Evaluationen in politischen Organisationen kritisch zu hinterfragen und systematisch zu erklären. Reduziert auf die Frage „Wozu Evaluation?“ wird auf der Basis eines systemtheoretischen Zugangs erklärt, welche unterschiedlichen Funktionen Evaluationen in Organisationen erfüllen können. Vertiefend wird dabei auf organisationales Lernen, auf politische Steuerungslogik und auf die Notwendigkeit von Symbolisierungen eingegangen.
Ausprägungen räumlicher Identität in ehemaligen sudetendeutschen Gebieten der Tschechischen Republik
(2014)
Das tschechische Grenzgebiet ist eine der Regionen in Europa, die in der Folge des Zweiten Weltkrieges am gravierendsten von Umbrüchen in der zuvor bestehenden Bevölkerungsstruktur betroffen waren. Der erzwungenen Aussiedlung eines Großteils der ansässigen Bevölkerung folgten die Neubesiedlung durch verschiedenste Zuwanderergruppen sowie teilweise langanhaltende Fluktuationen der Einwohnerschaft. Die Stabilisierung der Bevölkerung stand sodann unter dem Zeichen der sozialistischen Gesellschafts- und Wirtschaftsordnung, die die Lebensweise und Raumwahrnehmung der neuen Einwohner nachhaltig prägte. Die Grenzöffnung von 1989, die politische Transformation sowie die Integration der Tschechischen Republik in die Europäische Union brachten neue demographische und sozioökonomische Entwicklungen mit sich. Sie schufen aber auch die Bedingungen dafür, sich neu und offen auch mit der spezifischen Geschichte des ehemaligen Sudetenlandes sowie mit dem Zustand der gegenwärtigen Gesellschaft in diesem Gebiet auseinanderzusetzen.
Im Rahmen der vorliegenden Arbeit wird anhand zweier Beispielregionen untersucht, welche Raumvorstellungen und Raumbindungen bei der heute in den ehemaligen sudetendeutschen Gebieten ansässigen Bevölkerung vorhanden sind und welche Einflüsse die unterschiedlichen raumstrukturellen Bedingungen darauf ausüben. Besonderes Augenmerk wird auf die soziale Komponente der Ausprägung räumlicher Identität gelegt, das heißt auf die Rolle von Bedeutungszuweisungen gegenüber Raumelementen im Rahmen sozialer Kommunikation und Interaktion. Dies erscheint von besonderer Relevanz in einem Raum, der sich durch eine gewisse Heterogenität seiner Einwohnerschaft hinsichtlich ihres ethnischen, kulturellen beziehungsweise biographischen Hintergrundes auszeichnet. Schließlich wird ermittelt, welche Impulse unter Umständen von einer ausgeprägten räumlichen Identität für die Entwicklung des Raumes ausgehen.
Das Schulfach Geographie war in der DDR eines der Fächer, das sehr stark mit politischen Themen im Sinne des Marxismus-Leninismus bestückt war. Ein anderer Aspekt sind die sozialistischen Erziehungsziele, die in der Schulbildung der DDR hoch im Kurs standen. Im Fokus stand diesbezüglich die Erziehung der Kinder zu sozialistischen Persönlichkeiten. Die Arbeit versucht einen klaren Blick auf diesen Umstand zu werfen, um zu erfahren, was da von den Lehrkräften gefordert wurde und wie es in der Schule umzusetzen war.
Durch den Fall der Mauer war natürlich auch eine Umstrukturierung des Bildungssystems im Osten unausweichlich. Hier will die Arbeit Einblicke geben, wie die Geographielehrkräfte diese Transformation mitgetragen und umgesetzt haben. Welche Wesenszüge aus der Sozialisierung in der DDR haben sich bei der Gestaltung des Unterrichtes und dessen Ausrichtung auf die neuen Erziehungsziele erhalten?
Hierzu wurden Geographielehrkräfte befragt, die sowohl in der DDR als auch im geeinten Deutschland unterrichtet haben. Die Fragen bezogen sich in erster Linie auf die Art und Weise des Unterrichtens vor, während und nach der Wende und der daraus entstandenen Systemtransformation.
Die Befragungen kommen zu dem Ergebnis, dass sich der Geographieunterricht in der DDR thematisch von dem in der BRD nicht sonderlich unterschied. Von daher bedurfte es keiner umfangreichen inhaltlichen Veränderung des Geographieunterrichts. Schon zu DDR-Zeiten wurden durch die Lehrkräfte offenbar eigenmächtig ideologiefreie physisch-geographische Themen oft ausgedehnt, um die Ideologie des Faches zu reduzieren. So fiel den meisten eine Anpassung ihres Unterrichts an das westdeutsche System relativ leicht. Die humanistisch geprägte Werteerziehung des DDR-Bildungssystems wurde unter Ausklammerung des sozialistischen Aspektes ebenso fortgeführt, da es auch hier viele Parallelen zum westdeutschen System gegeben hat. Deutlich wird eine Charakterisierung des Faches als Naturwissenschaft von Seiten der ostdeutschen Lehrkräfte, obwohl das Fach an den Schulen den Gesellschaftswissenschaften zugeordnet wird und auch in der DDR eine starke wirtschaftsgeographische Ausrichtung hatte.
Von der Verantwortung sozialistische Persönlichkeiten zu erziehen, wurden die Lehrkräfte mit dem Ende der DDR entbunden und die in dieser Arbeit aufgeführten Interviewauszüge lassen keinen Zweifel daran, dass es dem Großteil der Befragten darum nicht leidtat, sie sich aber bis heute an der Werteorientierung aus DDR-Zeiten orientieren.
Calibration of the global hydrological model WGHM with water mass variations from GRACE gravity data
(2010)
Since the start-up of the GRACE (Gravity Recovery And Climate Experiment) mission in 2002 time dependent global maps of the Earth's gravity field are available to study geophysical and climatologically-driven mass redistributions on the Earth's surface. In particular, GRACE observations of total water storage changes (TWSV) provide a comprehensive data set for analysing the water cycle on large scales. Therefore they are invaluable for validation and calibration of large-scale hydrological models as the WaterGAP Global Hydrology Model (WGHM) which simulates the continental water cycle including its most important components, such as soil, snow, canopy, surface- and groundwater. Hitherto, WGHM exhibits significant differences to GRACE, especially for the seasonal amplitude of TWSV. The need for a validation of hydrological models is further highlighted by large differences between several global models, e.g. WGHM, the Global Land Data Assimilation System (GLDAS) and the Land Dynamics model (LaD). For this purpose, GRACE links geodetic and hydrological research aspects. This link demands the development of adequate data integration methods on both sides, forming the main objectives of this work. They include the derivation of accurate GRACE-based water storage changes, the development of strategies to integrate GRACE data into a global hydrological model as well as a calibration method, followed by the re-calibration of WGHM in order to analyse process and model responses. To achieve these aims, GRACE filter tools for the derivation of regionally averaged TWSV were evaluated for specific river basins. Here, a decorrelation filter using GRACE orbits for its design is most efficient among the tested methods. Consistency in data and equal spatial resolution between observed and simulated TWSV were realised by the inclusion of all most important hydrological processes and an equal filtering of both data sets. Appropriate calibration parameters were derived by a WGHM sensitivity analysis against TWSV. Finally, a multi-objective calibration framework was developed to constrain model predictions by both river discharge and GRACE TWSV, realised with a respective evolutionary method, the ε-Non-dominated-Sorting-Genetic-Algorithm-II (ε-NSGAII). Model calibration was done for the 28 largest river basins worldwide and for most of them improved simulation results were achieved with regard to both objectives. From the multi-objective approach more reliable and consistent simulations of TWSV within the continental water cycle were gained and possible model structure errors or mis-modelled processes for specific river basins detected. For tropical regions as such, the seasonal amplitude of water mass variations has increased. The findings lead to an improved understanding of hydrological processes and their representation in the global model. Finally, the robustness of the results is analysed with respect to GRACE and runoff measurement errors. As a main conclusion obtained from the results, not only soil water and snow storage but also groundwater and surface water storage have to be included in the comparison of the modelled and GRACE-derived total water budged data. Regarding model calibration, the regional varying distribution of parameter sensitivity suggests to tune only parameter of important processes within each region. Furthermore, observations of single storage components beside runoff are necessary to improve signal amplitudes and timing of simulated TWSV as well as to evaluate them with higher accuracy. The results of this work highlight the valuable nature of GRACE data when merged into large-scale hydrological modelling and depict methods to improve large-scale hydrological models.
This paper introduces a novel measure to assess similarity between event hydrographs. It is based on Cross Recurrence Plots and Recurrence Quantification Analysis which have recently gained attention in a range of disciplines when dealing with complex systems. The method attempts to quantify the event runoff dynamics and is based on the time delay embedded phase space representation of discharge hydrographs. A phase space trajectory is reconstructed from the event hydrograph, and pairs of hydrographs are compared to each other based on the distance of their phase space trajectories. Time delay embedding allows considering the multi-dimensional relationships between different points in time within the event. Hence, the temporal succession of discharge values is taken into account, such as the impact of the initial conditions on the runoff event. We provide an introduction to Cross Recurrence Plots and discuss their parameterization. An application example based on flood time series demonstrates how the method can be used to measure the similarity or dissimilarity of events, and how it can be used to detect events with rare runoff dynamics. It is argued that this methods provides a more comprehensive approach to quantify hydrograph similarity compared to conventional hydrological signatures.
Largescale patterns of global land use change are very frequently accompanied by natural habitat loss. To assess the consequences of habitat loss for the remaining natural and semi-natural biotopes, inclusion of cumulative effects at the landscape level is required. The interdisciplinary concept of vulnerability constitutes an appropriate assessment framework at the landscape level, though with few examples of its application for ecological assessments. A comprehensive biotope vulnerability analysis allows identification of areas most affected by landscape change and at the same time with the lowest chances of regeneration.
To this end, a series of ecological indicators were reviewed and developed. They measured spatial attributes of individual biotopes as well as some ecological and conservation characteristics of the respective resident species community. The final vulnerability index combined seven largely independent indicators, which covered exposure, sensitivity and adaptive capacity of biotopes to landscape changes. Results for biotope vulnerability were provided at the regional level. This seems to be an appropriate extent with relevance for spatial planning and designing the distribution of nature reserves.
Using the vulnerability scores calculated for the German federal state of Brandenburg, hot spots and clusters within and across the distinguished types of biotopes were analysed. Biotope types with high dependence on water availability, as well as biotopes of the open landscape containing woody plants (e.g., orchard meadows) are particularly vulnerable to landscape changes. In contrast, the majority of forest biotopes appear to be less vulnerable. Despite the appeal of such generalised statements for some biotope types, the distribution of values suggests that conservation measures for the majority of biotopes should be designed specifically for individual sites. Taken together, size, shape and spatial context of individual biotopes often had a dominant influence on the vulnerability score.
The implementation of biotope vulnerability analysis at the regional level indicated that large biotope datasets can be evaluated with high level of detail using geoinformatics. Drawing on previous work in landscape spatial analysis, the reproducible approach relies on transparent calculations of quantitative and qualitative indicators. At the same time, it provides a synoptic overview and information on the individual biotopes. It is expected to be most useful for nature conservation in combination with an understanding of population, species, and community attributes known for specific sites. The biotope vulnerability analysis facilitates a foresighted assessment of different land uses, aiding in identifying options to slow habitat loss to sustainable levels. It can also be incorporated into planning of restoration measures, guiding efforts to remedy ecological damage. Restoration of any specific site could yield synergies with the conservation objectives of other sites, through enhancing the habitat network or buffering against future landscape change.
Biotope vulnerability analysis could be developed in line with other important ecological concepts, such as resilience and adaptability, further extending the broad thematic scope of the vulnerability concept. Vulnerability can increasingly serve as a common framework for the interdisciplinary research necessary to solve major societal challenges.
Energy is at the heart of the climate crisis—but also at the heart of any efforts for climate change mitigation. Energy consumption is namely responsible for approximately three quarters of global anthropogenic greenhouse gas (GHG) emissions. Therefore, central to any serious plans to stave off a climate catastrophe is a major transformation of the world's energy system, which would move society away from fossil fuels and towards a net-zero energy future. Considering that fossil fuels are also a major source of air pollutant emissions, the energy transition has important implications for air quality as well, and thus also for human and environmental health. Both Europe and Germany have set the goal of becoming GHG neutral by 2050, and moreover have demonstrated their deep commitment to a comprehensive energy transition. Two of the most significant developments in energy policy over the past decade have been the interest in expansion of shale gas and hydrogen, which accordingly have garnered great interest and debate among public, private and political actors.
In this context, sound scientific information can play an important role by informing stakeholder dialogue and future research investments, and by supporting evidence-based decision-making. This thesis examines anticipated environmental impacts from possible, relevant changes in the European energy system, in order to impart valuable insight and fill critical gaps in knowledge. Specifically, it investigates possible future shale gas development in Germany and the United Kingdom (UK), as well as a hypothetical, complete transition to hydrogen mobility in Germany. Moreover, it assesses the impacts on GHG and air pollutant emissions, and on tropospheric ozone (O3) air quality. The analysis is facilitated by constructing emission scenarios and performing air quality modeling via the Weather Research and Forecasting model coupled with chemistry (WRF-Chem). The work of this thesis is presented in three research papers.
The first paper finds that methane (CH4) leakage rates from upstream shale gas development in Germany and the UK would range between 0.35% and 1.36% in a realistic, business-as-usual case, while they would be significantly lower - between 0.08% and 0.15% - in an optimistic, strict regulation and high compliance case, thus demonstrating the value and potential of measures to substantially reduce emissions. Yet, while the optimistic case is technically feasible, it is unlikely that the practices and technologies assumed would be applied and accomplished on a systematic, regular basis, owing to economics and limited monitoring resources. The realistic CH4 leakage rates estimated in this study are comparable to values reported by studies carried out in the US and elsewhere. In contrast, the optimistic rates are similar to official CH4 leakage data from upstream gas production in Germany and in the UK. Considering that there is a lack of systematic, transparent and independent reports supporting the official values, this study further highlights the need for more research efforts in this direction. Compared with national energy sector emissions, this study suggests that shale gas emissions of volatile organic compounds (VOCs) could be significant, though relatively insignificant for other air pollutants. Similar to CH4, measures could be effective for reducing VOCs emissions.
The second paper shows that VOC and nitrogen oxides (NOx) emissions from a future shale gas industry in Germany and the UK have potentially harmful consequences for European O3 air quality on both the local and regional scale. The results indicate a peak increase in maximum daily 8-hour average O3 (MDA8) ranging from 3.7 µg m-3 to 28.3 µg m-3. Findings suggest that shale gas activities could result in additional exceedances of MDA8 at a substantial percentage of regulatory measurement stations both locally and in neighboring and distant countries, with up to circa one third of stations in the UK and one fifth of stations in Germany experiencing additional exceedances. Moreover, the results reveal that the shale gas impact on the cumulative health-related metric SOMO35 (annual Sum of Ozone Means Over 35 ppb) could be substantial, with a maximum increase of circa 28%. Overall, the findings suggest that shale gas VOC emissions could play a critical role in O3 enhancement, while NOx emissions would contribute to a lesser extent. Thus, the results indicate that stringent regulation of VOC emissions would be important in the event of future European shale gas development to minimize deleterious health outcomes.
The third paper demonstrates that a hypothetical, complete transition of the German vehicle fleet to hydrogen fuel cell technology could contribute substantially to Germany's climate and air quality goals. The results indicate that if the hydrogen were to be produced via renewable-powered water electrolysis (green hydrogen), German carbon dioxide equivalent (CO2eq) emissions would decrease by 179 MtCO2eq annually, though if electrolysis were powered by the current electricity mix, emissions would instead increase by 95 MtCO2eq annually. The findings generally reveal a notable anticipated decrease in German energy emissions of regulated air pollutants. The results suggest that vehicular hydrogen demand is 1000 PJ annually, which would require between 446 TWh and 525 TWh for electrolysis, hydrogen transport and storage. When only the heavy duty vehicle segment (HDVs) is shifted to green hydrogen, the results of this thesis show that vehicular hydrogen demand drops to 371 PJ, while a deep emissions cut is still realized (-57 MtCO2eq), suggesting that HDVs are a low-hanging fruit for contributing to decarbonization of the German road transport sector with hydrogen energy.
This thesis aims to quantify the human impact on the natural resource water at the landscape scale. The drivers in the federal state of Brandenburg (Germany), the area under investigation, are land-use changes induced by policy decisions at European and federal state level. The water resources of the federal state are particularly sensitive to changes in land-use due to low precipitation rates in the summer combined with sandy soils and high evapotranspiration rates. Key elements in landscape hydrology are forests because of their unique capacity to transport water from the soil to the atmosphere. Given these circumstances, decisions made at any level of administration that may have effects on the forest sector in the state are critical in relation to the water cycle. It is therefore essential to evaluate any decision that may change forest area and structure in such a sensitive region. Thus, as a first step, it was necessary to develop and implement a model able to simulate possible interactions and feedbacks between forested surfaces and the hydrological cycle at the landscape scale. The result is a model for simulating the hydrological properties of forest stands based on a robust computation of the temporal and spatial LAI (leaf area index) dynamics. The approach allows the simulation of all relevant hydrological processes with a low parameter demand. It includes the interception of precipitation and transpiration of forest stands with and without groundwater in the rooting zone. The model also considers phenology, biomass allocation, as well as mortality and simple management practices. It has been implemented as a module in the eco-hydrological model SWIM (Soil and Water Integrated Model). This model has been tested in two pre-studies to verify the applicability of its hydrological process description for the hydrological conditions typical for the state. The newly implemented forest module has been tested for Scots Pine (Pinus sylvestris) and in parts for Common Oak (Quercus robur and Q. petraea) in Brandenburg. For Scots Pine the results demonstrate a good simulation of annual biomass increase and LAI in addition to the satisfactory simulation of litter production. A comparison of the simulated and measured data of the May sprout for Scots pine and leaf unfolding for Oak, as well as the evaluation against daily transpiration measurements for Scots Pine, does support the applicability of the approach. The interception of precipitation has also been simulated and compared with weekly observed data for a Scots Pine stand which displays satisfactory results in both the vegetation periods and annual sums. After the development and testing phase, the model is used to analyse the effects of two scenarios. The first scenario is an increase in forest area on abandoned agricultural land that is triggered by a decrease in European agricultural production support. The second one is a shift in species composition from predominant Scots Pine to Common Oak that is based on decisions of the regional forestry authority to support a more natural species composition. The scenario effects are modelled for the federal state of Brandenburg on a 50m grid utilising spatially explicit land-use patterns. The results, for the first scenario, suggest a negative impact of an increase in forest area (9.4% total state area) on the regional water balance, causing an increase in mean long-term annual evapotranspiration of 3.7% at 100% afforestation when compared to no afforestation. The relatively small annual change conceals a much more pronounced seasonal effect of a mean long-term evapotranspiration increase by 25.1% in the spring causing a pronounced reduction in groundwater recharge and runoff. The reduction causes a lag effect that aggravates the scarcity of water resources in the summer. In contrast, in the second scenario, a change in species composition in existing forests (29.2% total state area) from predominantly Scots Pine to Common Oak decreases the long-term annual mean evapotranspiration by 3.4%, accompanied by a much weaker, but apparent, seasonal pattern. Both scenarios exhibit a high spatial heterogeneity because of the distinct natural conditions in the different regions of the state. Areas with groundwater levels near the surface are particularly sensitive to changes in forest area and regions with relatively high proportion of forest respond strongly to the change in species composition. In both cases this regional response is masked by a smaller linear mean effect for the total state area. Two critical sources of uncertainty in the model results have been investigated. The first one originates from the model calibration parameters estimated in the pre-study for lowland regions, such as the federal state. The combined effect of the parameters, when changed within their physical meaningful limits, unveils an overestimation of the mean water balance by 1.6%. However, the distribution has a wide spread with 14.7% for the 90th percentile and -9.9% for the 10th percentile. The second source of uncertainty emerges from the parameterisation of the forest module. The analysis exhibits a standard deviation of 0.6 % over a ten year period in the mean of the simulated evapotranspiration as a result of variance in the key forest parameters. The analysis suggests that the combined uncertainty in the model results is dominated by the uncertainties of calibration parameters. Therefore, the effect of the first scenario might be underestimated because the calculated increase in evapotranspiration is too small. This may lead to an overestimation of the water balance towards runoff and groundwater recharge. The opposite can be assumed for the second scenario in which the decrease in evapotranspiration might be overestimated.
Bank filtration is an effective water treatment technique and is widely adopted in Europe along major rivers. It is the process where surface water penetrates the riverbed, flows through the aquifer, and then is extracted by near-bank production wells. By flowing in the subsurface flow passage, the water quality can be improved by a series of beneficial processes. Long-term riverbank filtration also produces colmation layers on the riverbed. The colmation layer may act as a bioactive zone that is governed by biochemical and physical processes owing to its enrichment of microbes and organic matter. Low permeability may strongly limit the surface water infiltration and further lead to a decreasing recoverable ratio of production wells.The removal of the colmation layer is therefore a trade-off between the treatment capacity and treatment efficiency. The goal of this Ph.D. thesis is to focus on the temporal and spatial change of the water quality and quantity along the flow path of a hydrogeological heterogeneous riverbank filtration site adjacent to an artificial-reconstructed (bottom excavation and bank reconstruction) canal in Potsdam, Germany.
To quantify the change of the infiltration rate, travel time distribution, and the thermal field brought by the canal reconstruction, a three-dimensional flow and heat transport model was created. This model has two scenarios, 1) ‘with’ canal reconstruction, and 2) ‘without’ canal reconstruction. Overall, the model calibration results of both water heads and temperatures matched those observed in the field study. In comparison to the model without reconstruction, the reconstruction model led to more water being infiltrated into the aquifer on that section, on average 521 m3/d, which corresponded to around 9% of the total pumping rate. Subsurface travel-time distribution substantially shifted towards shorter travel times. Flow paths with travel times <200 days increased by ~10% and those with <300 days by 15%. Furthermore, the thermal distribution in the aquifer showed that the seasonal variation in the scenario with reconstruction reaches deeper and laterally propagates further.
By scatter plotting of δ18O versus δ 2H, the infiltrated river water could be differentiated from water flowing in the deep aquifer, which may contain remnant landside groundwater from further north. In contrast, the increase of river water contribution due to decolmation could be shown by piper plot. Geological heterogeneity caused a substantial spatial difference in redox zonation among different flow paths, both horizontally and vertically. Using the Wilcoxon rank test, the reconstruction changed the redox potential differently in observation wells. However, taking the small absolute concentration level, the change is also relatively minor. The treatment efficiency for both organic matter and inorganic matter is consistent after the reconstruction, except for ammonium. The inconsistent results for ammonium could be explained by changes in the Cation Exchange Capacity (CEC) in the newly paved riverbed. Because the bed is new, it was not yet capable of keeping the newly produced ammonium by sorption and further led to the breakthrough of the ammonium plume. By estimation, the peak of the ammonium plume would reach the most distant observation well before February 2024, while the peaking concentration could be further dampened by sorption and diluted by the afterward low ammonium flow. The consistent DOC and SUVA level suggests that there was no clear preference for the organic matter removal along the flow path.
Zwischen 1990 und 1994 wurden rund 1000 Liegenschaften, die in der ehemaligen DDR von der Sowjetarmee und der NVA für militärische Übungen genutzt wurden, an Bund und Länder übergeben. Die größten Truppenübungsplätze liegen in Brandenburg und sind heute teilweise in Großschutzgebiete integriert, andere Plätze werden von der Bundeswehr weiterhin aktiv genutzt. Aufgrund des militärischen Betriebs sind die Böden dieser Truppenübungsplätze oft durch Blindgänger, Munitionsreste, Treibstoff- und Schmierölreste bis hin zu chemischen Kampfstoffen belastet. Allerdings existieren auf fast allen Liegenschaften neben diesen durch Munition und militärische Übungen belasteten Bereichen auch naturschutzfachlich wertvolle Flächen; gerade in den Offenlandbereichen kann dies durchaus mit einer Belastung durch Kampfmittel einhergehen. Charakteristisch für diese offenen Flächen, zu denen u.a. Zwergstrauchheiden, Trockenrasen, wüstenähnliche Sandflächen und andere nährstoffarme baumlose Lebensräume gehören, sind Großflächigkeit, Abgeschiedenheit sowie ihre besondere Nutzung und Bewirtschaftung, d.h. die Abwesenheit von land- und forstwirtschaftlichem Betrieb sowie von Siedlungsflächen. Diese Charakteristik war die Grundlage für die Entwicklung einer speziell angepassten Flora und Fauna. Nach Beendigung des Militärbetriebs setzte dann in weiten Teilen eine großflächige Sukzession – die allmähliche Veränderung der Zusammensetzung von Pflanzen- und Tiergesellschaften – ein, die diese offenen Bereiche teilweise bereits in Wald verwandelte und somit verschwinden ließ. Dies wiederum führte zum Verlust der an diese Offenlandflächen gebundenen Tier- und Pflanzenarten. Zur Erhaltung, Gestaltung und Entwicklung dieser offenen Flächen wurden daher von einer interdisziplinären Gruppe von Naturwissenschaftlern verschiedene Methoden und Konzepte auf ihre jeweilige Wirksamkeit untersucht. So konnten schließlich die für die jeweiligen Standortbedingungen geeigneten Maßnahmen eingeleitet werden. Voraussetzung für die Einleitung der Maßnahmen sind zum einen Kenntnisse zu diesen jeweiligen Standortbedingungen, d.h. zum Ist-Zustand, sowie zur Entwicklung der Flächen, d.h. zur Dynamik. So kann eine Abschätzung über die zukünftige Flächenentwicklung getroffen werden, damit ein effizienter Maßnahmeneinsatz stattfinden kann. Geoinformationssysteme (GIS) spielen dabei eine entscheidende Rolle zur digitalen Dokumentation der Biotop- und Nutzungstypen, da sie die Möglichkeit bieten, raum- und zeitbezogene Geometrie- und Sachdaten in großen Mengen zu verarbeiten. Daher wurde ein fachspezifisches GIS für Truppenübungsplätze entwickelt und implementiert. Die Aufgaben umfassten die Konzeption der Datenbank und des Objektmodells sowie fachspezifischer Modellierungs-, Analyse- und Präsentationsfunktionen. Für die Integration von Fachdaten in die GIS-Datenbank wurde zudem ein Metadatenkatalog entwickelt, der in Form eines zusätzlichen GIS-Tools verfügbar ist. Die Basisdaten für das GIS wurden aus Fernerkundungsdaten, topographischen Karten sowie Geländekartierungen gewonnen. Als Instrument für die Abschätzung der zukünftigen Entwicklung wurde das Simulationstool AST4D entwickelt, in dem sowohl die Nutzung der (Raster-)Daten des GIS als Ausgangsdaten für die Simulationen als auch die Nutzung der Simulationsergebnisse im GIS möglich ist. Zudem können die Daten in AST4D raumbezogen visualisiert werden. Das mathematische Konstrukt für das Tool war ein so genannter Zellulärer Automat, mit dem die Flächenentwicklung unter verschiedenen Voraussetzungen simuliert werden kann. So war die Bildung verschiedener Szenarien möglich, d.h. die Simulation der Flächenentwicklung mit verschiedenen (bekannten) Eingangsparametern und den daraus resultierenden unterschiedlichen (unbekannten) Endzuständen. Vor der Durchführung einer der drei in AST4D möglichen Simulationsstufen können angepasst an das jeweilige Untersuchungsgebiet benutzerspezifische Festlegungen getroffen werden.
Durch die Stilllegung der Kali-Gewinnung und -Produktion zwischen 1990 und 1993 sowie die begonnene Rekultivierung der Kali-Rückstandshalden haben sich die Salzfrachteintragsbedingungen für die Fließgwewässer im "Südharz-Kalirevier" in Thüringen zum Teil deutlich verändert. Aufgrund erheblich geringerer Salzeinträge in die Vorfluter Wipper und Bode ist es möglich geworden, zu einer ökologisch verträglichen Salzfrachtsteuerung überzugehen. Die Komplexität der zugrunde liegenden Stofftransportprozesse im Einzugsgebiet der Wipper macht es jedoch unumgänglich, den Steuerungsvorgang nicht nur durch reine Bilanzierungsvorgänge auf der betrachteten Steuerstrecke zu erfassen (so wie bisher praktiziert), sondern auch die Abflussdynamik im Fließgewässer und den Wasserhaushalt im Gebiet mit einzubeziehen. Die Ergebnisse dieser Arbeit dienen zum einen einer Vertiefung der Prozessverständnisse und der Interaktion von Wasserhaushalt, Abflussbildung sowie Stofftransport in bergbaubeeinflussten Einzugsgebieten am Beispiel der Unstrut bzw. ihrer relevanten Nebenflüsse. Zum anderen sollen sie zur Analyse und Bewertung eines Bewirtschaftungsplanes für die genannten Fließgewässer herangezogen werden können. Ziel dieser Arbeit ist die Erstellung eines prognosetauglichen Steuerungsinstrumentes, das für die Bewirtschaftung von Flusseinzugsgebieten unterschiedlicher Größe genutzt und unter den Rahmenbedingungen der bergbaubedingten salinaren Einträge effektiv zur Steuerung der anthropogenen Frachten eingesetzt werden kann. Die Quellen der anthropogen eingeleiteten Salzfracht sind vor allem die Rückstandshalden der stillgelegten Kaliwerke. Durch Niederschläge entstehen salzhaltige Haldenabwässer, die zum Teil ungesteuert über oberflächennahe Ausbreitungsvorgänge direkt in die Vorfluter gelangen, ein anderer Teil wird über die Speichereinrichtungen gefasst und gezielt abgestoßen. Durch Undichtigkeiten des Laugenstapelbeckens in Wipperdorf gelangen ebenfalls ungesteuerte Frachteinträge in die Wipper. Ein weiterer Eintragspfad ist zudem die geogene Belastung. Mit Hilfe detaillierter Angaben zu den oben genannten Eintragspfaden konnten Modellrechnungen im Zeitraum von 1992 bis 2003 durchgeführt werden. Durch die Ausarbeitung eines neuartigen Steuerungskonzeptes für das Laugenstapelbecken Wipperdorf, war es nun möglich, die gefasste Haldenlauge entsprechend der aktuellen Abflusssituation gezielt abstoßen zu können. Neben der modelltechnischen Erfassung der aktuellen hydrologischen Situation und der Vorgabe eines Chlorid-Konzentrationssteuerzieles für den Pegel Hachelbich, mussten dabei weitere Randbedingungen (Beckenkapazität, Beckenfüllstand, Mindestfüllstand, Kapazität des Ableitungskanals, usw.) berücksichtigt werden. Es zeigte sich, dass unter Anwendung des Steuerungskonzeptes die Schwankungsbreite der Chloridkonzentration insgesamt gesehen deutlich verringert werden konnte. Die Überschreitungshäufigkeiten bezüglich eines Grenzwertes von 2 g Chlorid/l am Pegel Hachelbich fielen deutlich, und auch die maximale Dauer einer solchen Periode konnte stark verkürzt werden. Kritische Situationen bei der modelltechnischen Frachtzusteuerung traten nur dann auf, wenn Niedrigwasserverhältnisse durch die Simulationsberechnungen noch unterschätzt wurden. Dies hatte deutliche Überschreitungen der Zielvorgaben für den Pegel Hachelbich zur Folge. Mit Hilfe des Steuerungsalgorithmus konnten desweiteren auch Szenarienberechnungen durchgeführt werden, um die Auswirkungen zukünftig zu erwartender Salzfrachten näher spezifizieren zu können. Dabei konnte festgestellt werden, dass Abdichtungsmaßnahmen der Haldenkörper sich direkt positiv auf die Entwicklung der Konzentration in Hachelbich auswirkten. Durch zusätzlich durchgeführte Langzeitszenarien konnte darüber hinaus nachgewiesen werden, dass langfristig eine Grenzwertfestlegung auf 1,5 g Chlorid/l in Hachelbich möglich ist, und die Stapelkapazitäten dazu ausreichend bemessen sind.
Ziel dieser Arbeit war es, die Stickstoff- und Phosphorprozesse im nordostdeutschen Tiefland detailliert zu untersuchen und Handlungsoptionen hinsichtlich der Landnutzung zur nachhaltigen Steuerung der Stickstoff- und Phosphoreinträge in die Fließgewässer aufzuzeigen. Als Grundvoraussetzung für die Modellierung des Nährstoffhaushaltes mussten zunächst die hydrologischen Prozesse und die Abflüsse für die Einzugsgebiete validiert werden. Dafür wurde in dieser Arbeit das ökohydrologische Modell SWIM verwendet. Die Abflussmodellierung umfasste den Zeitraum 1991 - 2000. Die Ergebnisse dazu zeigen, dass SWIM in der Lage war, die hydrologischen Prozesse in den Untersuchungsgebieten adäquat wiederzugeben. Auf der Grundlage der Modellierung des Wasserhaushaltes wurden mit SWIM die Stoffumsatzprozesse für den Zeitraum 1996 - 2000 simuliert. Um dabei besonders das Prozessgeschehen im Tiefland zu berücksichtigen, war die Erweiterung von SWIM um einen Ammonium-Pool mit dessen Umsatzprozessen erforderlich. Außerdem wurde der Prozess der Nährstoffversickerung so ergänzt, dass neben Nitrat auch Ammonium und Phosphat durch das gesamte Bodenprofil verlagert und über die Abflusskomponenten zum Gebietsauslass transportiert werden können. Mit diesen Modellerweiterungen konnten die Stickstoff und Phosphorprozesse in den Untersuchungsgebieten gut abgebildet werden. Mit dem so validierten Modell wurden weitere Anwendungen ermöglicht. Nährstoffsimulationen für den Zeitraum 1981 bis 2000 dienten der Untersuchung des abnehmenden Trends in den Nährstoffkonzentrationen der Nuthe. Die Untersuchungsergebnisse lassen deutlich erkennen, dass sich die Konzentrationen nach 1990 hauptsächlich auf Grund der Reduzierung der Einträge aus punktförmigen Quellen und Rieselfeldern verringert haben. Weitere Modellrechnungen zur Herkunft der Nährstoffe haben ergeben, dass Nitrat überwiegend aus diffusen Quellen, Ammonium und Phosphat dagegen aus punktförmigen Quellen stammen. Als besonders sensitiv auf die Modellergebnisse haben sich die Parameter zu Landnutzung und -management und die Durchwurzelungstiefe der Pflanzen herausgestellt. Abschließend wurden verschiedene Landnutzungsszenarien angewendet. Die Ergebnisse zu den Szenariorechnungen zeigen, dass fast alle vorgegebenen Landnutzungsszenarien zu einer Verringerung der Stickstoff- bzw. Phosphoremissionen führten. Die Anwendung von Szenarien, die alle relevanten Zielvorgaben und Empfehlungen zum Ressourcenschutz berücksichtigen, zeigen die größten Veränderungen.
River reaches protected by dikes exhibit high damage potential due to strong value accumulation in the hinterland areas. While providing an efficient protection against low magnitude flood events, dikes may fail under the load of extreme water levels and long flood durations. Hazard and risk assessments for river reaches protected by dikes have not adequately considered the fluvial inundation processes up to now. Particularly, the processes of dike failures and their influence on the hinterland inundation and flood wave propagation lack comprehensive consideration. This study focuses on the development and application of a new modelling system which allows a comprehensive flood hazard assessment along diked river reaches under consideration of dike failures. The proposed Inundation Hazard Assessment Model (IHAM) represents a hybrid probabilistic-deterministic model. It comprises three models interactively coupled at runtime. These are: (1) 1D unsteady hydrodynamic model of river channel and floodplain flow between dikes, (2) probabilistic dike breach model which determines possible dike breach locations, breach widths and breach outflow discharges, and (3) 2D raster-based diffusion wave storage cell model of the hinterland areas behind the dikes. Due to the unsteady nature of the 1D and 2D coupled models, the dependence between hydraulic load at various locations along the reach is explicitly considered. The probabilistic dike breach model describes dike failures due to three failure mechanisms: overtopping, piping and slope instability caused by the seepage flow through the dike core (micro-instability). The 2D storage cell model driven by the breach outflow boundary conditions computes an extended spectrum of flood intensity indicators such as water depth, flow velocity, impulse, inundation duration and rate of water rise. IHAM is embedded in a Monte Carlo simulation in order to account for the natural variability of the flood generation processes reflected in the form of input hydrographs and for the randomness of dike failures given by breach locations, times and widths. The model was developed and tested on a ca. 91 km heavily diked river reach on the German part of the Elbe River between gauges Torgau and Vockerode. The reach is characterised by low slope and fairly flat extended hinterland areas. The scenario calculations for the developed synthetic input hydrographs for the main river and tributary were carried out for floods with return periods of T = 100, 200, 500, 1000 a. Based on the modelling results, probabilistic dike hazard maps could be generated that indicate the failure probability of each discretised dike section for every scenario magnitude. In the disaggregated display mode, the dike hazard maps indicate the failure probabilities for each considered breach mechanism. Besides the binary inundation patterns that indicate the probability of raster cells being inundated, IHAM generates probabilistic flood hazard maps. These maps display spatial patterns of the considered flood intensity indicators and their associated return periods. Finally, scenarios of polder deployment for the extreme floods with T = 200, 500, 1000 were simulated with IHAM. The developed IHAM simulation system represents a new scientific tool for studying fluvial inundation dynamics under extreme conditions incorporating effects of technical flood protection measures. With its major outputs in form of novel probabilistic inundation and dike hazard maps, the IHAM system has a high practical value for decision support in flood management.
The Himalayas are a region that is most dependent, but also frequently prone to hazards from changing meltwater resources. This mountain belt hosts the highest mountain peaks on earth, has the largest reserve of ice outside the polar regions, and is home to a rapidly growing population in recent decades. One source of hazard has attracted scientific research in particular in the past two decades: glacial lake outburst floods (GLOFs) occurred rarely, but mostly with fatal and catastrophic consequences for downstream communities and infrastructure. Such GLOFs can suddenly release several million cubic meters of water from naturally impounded meltwater lakes. Glacial lakes have grown in number and size by ongoing glacial mass losses in the Himalayas. Theory holds that enhanced meltwater production may increase GLOF frequency, but has never been tested so far. The key challenge to test this notion are the high altitudes of >4000 m, at which lakes occur, making field work impractical. Moreover, flood waves can attenuate rapidly in mountain channels downstream, so that many GLOFs have likely gone unnoticed in past decades. Our knowledge on GLOFs is hence likely biased towards larger, destructive cases, which challenges a detailed quantification of their frequency and their response to atmospheric warming. Robustly quantifying the magnitude and frequency of GLOFs is essential for risk assessment and management along mountain rivers, not least to implement their return periods in building design codes.
Motivated by this limited knowledge of GLOF frequency and hazard, I developed an algorithm that efficiently detects GLOFs from satellite images. In essence, this algorithm classifies land cover in 30 years (~1988–2017) of continuously recorded Landsat images over the Himalayas, and calculates likelihoods for rapidly shrinking water bodies in the stack of land cover images. I visually assessed such detected tell-tale sites for sediment fans in the river channel downstream, a second key diagnostic of GLOFs. Rigorous tests and validation with known cases from roughly 10% of the Himalayas suggested that this algorithm is robust against frequent image noise, and hence capable to identify previously unknown GLOFs. Extending the search radius to the entire Himalayan mountain range revealed some 22 newly detected GLOFs. I thus more than doubled the existing GLOF count from 16 previously known cases since 1988, and found a dominant cluster of GLOFs in the Central and Eastern Himalayas (Bhutan and Eastern Nepal), compared to the rarer affected ranges in the North. Yet, the total of 38 GLOFs showed no change in the annual frequency, so that the activity of GLOFs per unit glacial lake area has decreased in the past 30 years. I discussed possible drivers for this finding, but left a further attribution to distinct GLOF-triggering mechanisms open to future research.
This updated GLOF frequency was the key input for assessing GLOF hazard for the entire Himalayan mountain belt and several subregions. I used standard definitions in flood hydrology, describing hazard as the annual exceedance probability of a given flood peak discharge [m3 s-1] or larger at the breach location. I coupled the empirical frequency of GLOFs per region to simulations of physically plausible peak discharges from all existing ~5,000 lakes in the Himalayas. Using an extreme-value model, I could hence calculate flood return periods. I found that the contemporary 100-year GLOF discharge (the flood level that is reached or exceeded on average once in 100 years) is 20,600+2,200/–2,300 m3 s-1 for the entire Himalayas. Given the spatial and temporal distribution of historic GLOFs, contemporary GLOF hazard is highest in the Eastern Himalayas, and lower for regions with rarer GLOF abundance. I also calculated GLOF hazard for some 9,500 overdeepenings, which could expose and fill with water, if all Himalayan glaciers have melted eventually. Assuming that the current GLOF rate remains unchanged, the 100-year GLOF discharge could double (41,700+5,500/–4,700 m3 s-1), while the regional GLOF hazard may increase largest in the Karakoram.
To conclude, these three stages–from GLOF detection, to analysing their frequency and estimating regional GLOF hazard–provide a framework for modern GLOF hazard assessment. Given the rapidly growing population, infrastructure, and hydropower projects in the Himalayas, this thesis assists in quantifying the purely climate-driven contribution to hazard and risk from GLOFs.
Large Central European flood events of the past have demonstrated that flooding can affect several river basins at the same time leading to catastrophic economic and humanitarian losses that can stretch emergency resources beyond planned levels of service. For Germany, the spatial coherence of flooding, the contributing processes and the role of trans-basin floods for a national risk assessment is largely unknown and analysis is limited by a lack of systematic data, information and knowledge on past events. This study investigates the frequency and intensity of trans-basin flood events in Germany. It evaluates the data and information basis on which knowledge about trans-basin floods can be generated in order to improve any future flood risk assessment. In particu-lar, the study assesses whether flood documentations and related reports can provide a valuable data source for understanding trans-basin floods. An adaptive algorithm was developed that systematically captures trans-basin floods using series of mean daily discharge at a large number of sites of even time series length (1952-2002). It identifies the simultaneous occurrence of flood peaks based on the exceedance of an initial threshold of a 10 year flood at one location and consecutively pools all causally related, spatially and temporally lagged peak recordings at the other locations. A weighted cumulative index was developed that accounts for the spatial extent and the individual flood magnitudes within an event and allows quantifying the overall event severity. The parameters of the method were tested in a sensitivity analysis. An intensive study on sources and ways of information dissemination of flood-relevant publications in Germany was conducted. Based on the method of systematic reviews a strategic search approach was developed to identify relevant documentations for each of the 40 strongest trans-basin flood events. A novel framework for assessing the quality of event specific flood reports from a user’s perspective was developed and validated by independent peers. The framework was designed to be generally applicable for any natural hazard type and assesses the quality of a document addressing accessibility as well as representational, contextual, and intrinsic dimensions of quality. The analysis of time-series of mean daily discharge resulted in the identification of 80 trans-basin flood events within the period 1952-2002 in Germany. The set is dominated by events that were recorded in the hydrological winter (64%); 36% occurred during the summer months. The occurrence of floods is characterised by a distinct clustering in time. Dividing the study period into two sub-periods, we find an increase in the percentage of winter events from 58% in the first to 70.5% in the second sub-period. Accordingly, we find a significant increase in the number of extreme trans-basin floods in the second sub-period. A large body of 186 flood relevant documentations was identified. For 87.5% of the 40 strongest trans-basin floods in Germany at least one report has been found and for the most severe floods a substantial amount of documentation could be obtained. 80% of the material can be considered grey literature (i.e. literature not controlled by commercial publishers). The results of the quality assessment show that the majority of flood event specific reports are of a good quality, i.e. they are well enough drafted, largely accurate and objective, and contain a substantial amount of information on the sources, pathways and receptors/consequences of the floods. The inclusion of this information in the process of knowledge building for flood risk assessment is recommended. Both the results as well as the data produced in this study are openly accessible and can be used for further research. The results of this study contribute to an improved spatial risk assessment in Germany. The identified set of trans-basin floods provides the basis for an assessment of the chance that flooding occurs simultaneously at a number of sites. The information obtained from flood event documentation can usefully supplement the analysis of the processes that govern flood risk.
Die automatisierte Objektidentifikation stellt ein modernes Werkzeug in den Geoinformationswissenschaften dar (BLASCHKE et al., 2012). Um bei thematischen Kartierungen untereinander vergleichbare Ergebnisse zu erzielen, sollen aus Sicht der Geoinformatik Mittel für die Objektidentifikation eingesetzt werden. Anstelle von Feldarbeit werden deshalb in der vorliegenden Arbeit multispektrale Fernerkundungsdaten als Primärdaten verwendet. Konkrete natürliche Objekte werden GIS-gestützt und automatisiert über große Flächen und Objektdichten aus Primärdaten identifiziert und charakterisiert. Im Rahmen der vorliegenden Arbeit wird eine automatisierte Prozesskette zur Objektidentifikation konzipiert. Es werden neue Ansätze und Konzepte der objektbasierten Identifikation von natürlichen isolierten terrestrischen Oberflächenformen entwickelt und implementiert. Die Prozesskette basiert auf einem Konzept, das auf einem generischen Ansatz für automatisierte Objektidentifikation aufgebaut ist. Die Prozesskette kann anhand charakteristischer quantitativer Parameter angepasst und so umgesetzt werden, womit das Konzept der Objektidentifikation modular und skalierbar wird. Die modulbasierte Architektur ermöglicht den Einsatz sowohl einzelner Module als auch ihrer Kombination und möglicher Erweiterungen. Die eingesetzte Methodik der Objektidentifikation und die daran anschließende Charakteristik der (geo)morphometrischen und morphologischen Parameter wird durch statistische Verfahren gestützt. Diese ermöglichen die Vergleichbarkeit von Objektparametern aus unterschiedlichen Stichproben. Mit Hilfe der Regressionsund Varianzanalyse werden Verhältnisse zwischen Objektparametern untersucht. Es werden funktionale Abhängigkeiten der Parameter analysiert, um die Objekte qualitativ zu beschreiben. Damit ist es möglich, automatisiert berechnete Maße und Indizes der Objekte als quantitative Daten und Informationen zu erfassen und unterschiedliche Stichproben anzuwenden. Im Rahmen dieser Arbeit bilden Thermokarstseen die Grundlage für die Entwicklungen und als Beispiel sowie Datengrundlage für den Aufbau des Algorithmus und die Analyse. Die Geovisualisierung der multivariaten natürlichen Objekte wird für die Entwicklung eines besseren Verständnisses der räumlichen Relationen der Objekte eingesetzt. Kern der Geovisualisierung ist das Verknüpfen von Visualisierungsmethoden mit kartenähnlichen Darstellungen.
Climate change is one of the greatest challenges to humanity in this century, and most noticeable consequences are expected to be impacts on the water cycle – in particular the distribution and availability of water, which is fundamental for all life on Earth. In this context, it is essential to better understand where and when water is available and what processes influence variations in water storages. While estimates of the overall terrestrial water storage (TWS) variations are available from the GRACE satellites, these represent the vertically integrated signal over all water stored in ice, snow, soil moisture, groundwater and surface water bodies. Therefore, complementary observational data and hydrological models are still required to determine the partitioning of the measured signal among different water storages and to understand the underlying processes. However, the application of large-scale observational data is limited by their specific uncertainties and the incapacity to measure certain water fluxes and storages. Hydrological models, on the other hand, vary widely in their structure and process-representation, and rarely incorporate additional observational data to minimize uncertainties that arise from their simplified representation of the complex hydrologic cycle.
In this context, this thesis aims to contribute to improving the understanding of global water storage variability by combining simple hydrological models with a variety of complementary Earth observation-based data. To this end, a model-data integration approach is developed, in which the parameters of a parsimonious hydrological model are calibrated against several observational constraints, inducing GRACE TWS, simultaneously, while taking into account each data’s specific strengths and uncertainties. This approach is used to investigate 3 specific aspects that are relevant for modelling and understanding the composition of large-scale TWS variations.
The first study focusses on Northern latitudes, where snow and cold-region processes define the hydrological cycle. While the study confirms previous findings that seasonal dynamics of TWS are dominated by the cyclic accumulation and melt of snow, it reveals that inter-annual TWS variations on the contrary, are determined by variations in liquid water storages. Additionally, it is found to be important to consider the impact of compensatory effects of spatially heterogeneous hydrological variables when aggregating the contribution of different storage components over large areas. Hence, the determinants of TWS variations are scale-dependent and underlying driving mechanism cannot be simply transferred between spatial and temporal scales. These findings are supported by the second study for the global land areas beyond the Northern latitudes as well.
This second study further identifies the considerable impact of how vegetation is represented in hydrological models on the partitioning of TWS variations. Using spatio-temporal varying fields of Earth observation-based data to parameterize vegetation activity not only significantly improves model performance, but also reduces parameter equifinality and process uncertainties. Moreover, the representation of vegetation drastically changes the contribution of different water storages to overall TWS variability, emphasizing the key role of vegetation for water allocation, especially between sub-surface and delayed water storages. However, the study also identifies parameter equifinality regarding the decay of sub-surface and delayed water storages by either evapotranspiration or runoff, and thus emphasizes the need for further constraints hereof.
The third study focuses on the role of river water storage, in particular whether it is necessary to include computationally expensive river routing for model calibration and validation against the integrated GRACE TWS. The results suggest that river routing is not required for model calibration in such a global model-data integration approach, due to the larger influence other observational constraints, and the determinability of certain model parameters and associated processes are identified as issues of greater relevance. In contrast to model calibration, considering river water storage derived from routing schemes can already significantly improve modelled TWS compared to GRACE observations, and thus should be considered for model evaluation against GRACE data.
Beyond these specific findings that contribute to improved understanding and modelling of large-scale TWS variations, this thesis demonstrates the potential of combining simple modeling approaches with diverse Earth observational data to improve model simulations, overcome inconsistencies of different observational data sets, and identify areas that require further research. These findings encourage future efforts to take advantage of the increasing number of diverse global observational data.
Studies of the role of disturbance in vegetation or ecosystems showed that disturbances are an essential and intrinsic element of ecosystems that contribute substantially to ecosystem health, to structural diversity of ecosystems and to nutrient cycling at the local as well as global level. Fire as a grassland, bush or forest fire is a special disturbance agent, since it is caused by biotic as well abiotic environmental factors. Fire affects biogeochemical cycles and plays an important role in atmospheric chemistry by releasing climate-sensitive trace gases and aerosols, and thus in the global carbon cycle by releasing approximately 3.9 Gt C p.a. through biomass burning. A combined model to describe effects and feedbacks between fire and vegetation became relevant as changes in fire regimes due to land use and land management were observed and the global dimension of biomass burnt as an important carbon flux to the atmosphere, its influence on atmospheric chemistry and climate as well as vegetation dynamics were emphasized. The existing modelling approaches would not allow these investigations. As a consequence, an optimal set of variables that best describes fire occurrence, fire spread and its effects in ecosystems had to be defined, which can simulate observed fire regimes and help to analyse interactions between fire and vegetation dynamics as well as to allude to the reasons behind changing fire regimes. Especially, dynamic links between vegetation, climate and fire processes are required to analyse dynamic feedbacks and effects of changes of single environmental factors. This led us to the point, where new fire models had to be developed that would allow the investigations, mentioned above, and could help to improve our understanding of the role of fire in global ecology. In conclusion of the thesis, one can state that moisture conditions, its persistence over time and fuel load are the important components that describe global fire pattern. If time series of a particular region are to be reproduced, specific ignition sources, fire-critical climate conditions and vegetation composition become additional determinants. Vegetation composition changes the level of fire occurrence and spread, but has limited impact on the inter-annual variability of fire. The importance to consider the full range of major fire processes and links to vegetation dynamics become apparent under climate change conditions. Increases in climate-dependent length of fire season does not automatically imply increases in biomass burnt, it can be buffered or accelerated by changes in vegetation productivity. Changes in vegetation composition as well as enhanced vegetation productivity can intensify changes in fire and lead to even more fire-related emissions. --- Anmerkung: Die Autorin ist Trägerin des von der Mathematisch-Naturwissenschaftlichen Fakultät der Universität Potsdam vergebenen Michelson-Preises für die beste Promotion des Jahres 2002/2003.
Landschaftsbewertung im Oberspreewald auf geoökologischer Grundlage - eine methodische Studie
(1993)
Permafrost, defined as ground that is frozen for at least two consecutive years, is a distinct feature of the terrestrial unglaciated Arctic. It covers approximately one quarter of the land area of the Northern Hemisphere (23,000,000 km²). Arctic landscapes, especially those underlain by permafrost, are threatened by climate warming and may degrade in different ways, including active layer deepening, thermal erosion, and development of rapid thaw features. In Siberian and Alaskan late Pleistocene ice-rich Yedoma permafrost, rapid and deep thaw processes (called thermokarst) can mobilize deep organic carbon (below 3 m depth) by surface subsidence due to loss of ground ice. Increased permafrost thaw could cause a feedback loop of global significance if its stored frozen organic carbon is reintroduced into the active carbon cycle as greenhouse gases, which accelerate warming and inducing more permafrost thaw and carbon release. To assess this concern, the major objective of the thesis was to enhance the understanding of the origin of Yedoma as well as to assess the associated organic carbon pool size and carbon quality (concerning degradability). The key research questions were:
- How did Yedoma deposits accumulate?
- How much organic carbon is stored in the Yedoma region?
- What is the susceptibility of the Yedoma region's carbon for future decomposition?
To address these three research questions, an interdisciplinary approach, including detailed field studies and sampling in Siberia and Alaska as well as methods of sedimentology, organic biogeochemistry, remote sensing, statistical analyses, and computational modeling were applied. To provide a panarctic context, this thesis additionally includes results both from a newly compiled northern circumpolar carbon database and from a model assessment of carbon fluxes in a warming Arctic.
The Yedoma samples show a homogeneous grain-size composition. All samples were poorly sorted with a multi-modal grain-size distribution, indicating various (re-) transport processes. This contradicts the popular pure loess deposition hypothesis for the origin of Yedoma permafrost. The absence of large-scale grinding processes via glaciers and ice sheets in northeast Siberian lowlands, processes which are necessary to create loess as material source, suggests the polygenetic origin of Yedoma deposits.
Based on the largest available data set of the key parameters, including organic carbon content, bulk density, ground ice content, and deposit volume (thickness and coverage) from Siberian and Alaskan study sites, this thesis further shows that deep frozen organic carbon in the Yedoma region consists of two distinct major reservoirs, Yedoma deposits and thermokarst deposits (formed in thaw-lake basins). Yedoma deposits contain ~80 Gt and thermokarst deposits ~130 Gt organic carbon, or a total of ~210 Gt. Depending on the approach used for calculating uncertainty, the range for the total Yedoma region carbon store is ±75 % and ±20 % for conservative single and multiple bootstrapping calculations, respectively. Despite the fact that these findings reduce the Yedoma region carbon pool by nearly a factor of two compared to previous estimates, this frozen organic carbon is still capable of inducing a permafrost carbon feedback to climate warming. The complete northern circumpolar permafrost region contains between 1100 and 1500 Gt organic carbon, of which ~60 % is perennially frozen and decoupled from the short-term carbon cycle.
When thawed and reintroduced into the active carbon cycle, the organic matter qualities become relevant. Furthermore, results from investigations into Yedoma and thermokarst organic matter quality studies showed that Yedoma and thermokarst organic matter exhibit no depth-dependent quality trend. This is evidence that after freezing, the ancient organic matter is preserved in a state of constant quality. The applied alkane and fatty-acid-based biomarker proxies including the carbon-preference and the higher-land-plant-fatty-acid indices show a broad range of organic matter quality and thus no significantly different qualities of the organic matter stored in thermokarst deposits compared to Yedoma deposits. This lack of quality differences shows that the organic matter biodegradability depends on different decomposition trajectories and the previous decomposition/incorporation history. Finally, the fate of the organic matter has been assessed by implementing deep carbon pools and thermokarst processes in a permafrost carbon model. Under various warming scenarios for the northern circumpolar permafrost region, model results show a carbon release from permafrost regions of up to ~140 Gt and ~310 Gt by the years 2100 and 2300, respectively. The additional warming caused by the carbon release from newly-thawed permafrost contributes 0.03 to 0.14°C by the year 2100. The model simulations predict that a further increase by the 23rd century will add 0.4°C to global mean surface air temperatures.
In conclusion, Yedoma deposit formation during the late Pleistocene was dominated by water-related (alluvial/fluvial/lacustrine) as well as aeolian processes under periglacial conditions. The circumarctic permafrost region, including the Yedoma region, contains a substantial amount of currently frozen organic carbon. The carbon of the Yedoma region is well-preserved and therefore available for decomposition after thaw. A missing quality-depth trend shows that permafrost preserves the quality of ancient organic matter. When the organic matter is mobilized by deep degradation processes, the northern permafrost region may add up to 0.4°C to the global warming by the year 2300.
On a planetary scale human populations need to adapt to both socio-economic and environmental problems amidst rapid global change. This holds true for coupled human-environment (socio-ecological) systems in rural and urban settings alike. Two examples are drylands and urban coasts. Such socio-ecological systems have a global distribution. Therefore, advancing the knowledge base for identifying socio-ecological adaptation needs with local vulnerability assessments alone is infeasible: The systems cover vast areas, while funding, time, and human resources for local assessments are limited. They are lacking in low an middle-income countries (LICs and MICs) in particular.
But places in a specific socio-ecological system are not only unique and complex – they also exhibit similarities. A global patchwork of local rural drylands vulnerability assessments of human populations to socio-ecological and environmental problems has already been reduced to a limited number of problem structures, which typically cause vulnerability. However, the question arises whether this is also possible in urban socio-ecological systems. The question also arises whether these typologies provide added value in research beyond global change. Finally, the methodology employed for drylands needs refining and standardizing to increase its uptake in the scientific community. In this dissertation, I set out to fill these three gaps in research.
The geographical focus in my dissertation is on LICs and MICs, which generally have lower capacities to adapt, and greater adaptation needs, regarding rapid global change. Using a spatially explicit indicator-based methodology, I combine geospatial and clustering methods to identify typical configurations of key factors in case studies causing vulnerability to human populations in two specific socio-ecological systems. Then I use statistical and analytical methods to interpret and appraise both the typical configurations and the global typologies they constitute.
First, I improve the indicator-based methodology and then reanalyze typical global problem structures of socio-ecological drylands vulnerability with seven indicator datasets. The reanalysis confirms the key tenets and produces a more realistic and nuanced typology of eight spatially explicit problem structures, or vulnerability profiles: Two new profiles with typically high natural resource endowment emerge, in which overpopulation has led to medium or high soil erosion. Second, I determine whether the new drylands typology and its socio-ecological vulnerability concept advance a thematically linked scientific debate in human security studies: what drives violent conflict in drylands? The typology is a much better predictor for conflict distribution and incidence in drylands than regression models typically used in peace research. Third, I analyze global problem structures typically causing vulnerability in an urban socio-ecological system - the rapidly urbanizing coastal fringe (RUCF) – with eleven indicator datasets. The RUCF also shows a robust typology, and its seven profiles show huge asymmetries in vulnerability and adaptive capacity. The fastest population increase, lowest income, most ineffective governments, most prevalent poverty, and lowest adaptive capacity are all typically stacked in two profiles in LICs. This shows that beyond local case studies tropical cyclones and/or coastal flooding are neither stalling rapid population growth, nor urban expansion, in the RUCF. I propose entry points for scaling up successful vulnerability reduction strategies in coastal cities within the same vulnerability profile.
This dissertation shows that patchworks of local vulnerability assessments can be generalized to structure global socio-ecological vulnerabilities in both rural and urban socio-ecological systems according to typical problems. In terms of climate-related extreme events in the RUCF, conflicting problem structures and means to deal with them are threatening to widen the development gap between LICs and high-income countries unless successful vulnerability reduction measures are comprehensively scaled up. The explanatory power for human security in drylands warrants further applications of the methodology beyond global environmental change research in the future. Thus, analyzing spatially explicit global typologies of socio-ecological vulnerability is a useful complement to local assessments: The typologies provide entry points for where to consider which generic measures to reduce typical problem structures – including the countless places without local assessments. This can save limited time and financial resources for adaptation under rapid global change.
The terrestrial biosphere impacts considerably on the global carbon cycle. In particular, ecosystems contribute to set off anthropogenic induced fossil fuel emissions and hence decelerate the rise of the atmospheric CO₂ concentration. However, the future net sink strength of an ecosystem will heavily depend on the response of the individual processes to a changing climate. Understanding the makeup of these processes and their interaction with the environment is, therefore, of major importance to develop long-term climate mitigation strategies. Mathematical models are used to predict the fate of carbon in the soil-plant-atmosphere system under changing environmental conditions. However, the underlying processes giving rise to the net carbon balance of an ecosystem are complex and not entirely understood at the canopy level. Therefore, carbon exchange models are characterised by considerable uncertainty rendering the model-based prediction into the future prone to error. Observations of the carbon exchange at the canopy scale can help learning about the dominant processes and hence contribute to reduce the uncertainty associated with model-based predictions. For this reason, a global network of measurement sites has been established that provides long-term observations of the CO₂ exchange between a canopy and the atmosphere along with micrometeorological conditions. These time series, however, suffer from observation uncertainty that, if not characterised, limits their use in ecosystem studies. The general objective of this work is to develop a modelling methodology that synthesises physical process understanding with the information content in canopy scale data as an attempt to overcome the limitations in both carbon exchange models and observations. Similar hybrid modelling approaches have been successfully applied for signal extraction out of noisy time series in environmental engineering. Here, simple process descriptions are used to identify relationships between the carbon exchange and environmental drivers from noisy data. The functional form of these relationships are not prescribed a priori but rather determined directly from the data, ensuring the model complexity to be commensurate with the observations. Therefore, this data-led analysis results in the identification of the processes dominating carbon exchange at the ecosystem scale as reflected in the data. The description of these processes may then lead to robust carbon exchange models that contribute to a faithful prediction of the ecosystem carbon balance. This work presents a number of studies that make use of the developed data-led modelling approach for the analysis and interpretation of net canopy CO₂ flux observations. Given the limited knowledge about the underlying real system, the evaluation of the derived models with synthetic canopy exchange data is introduced as a standard procedure prior to any real data employment. The derived data-led models prove successful in several different applications. First, the data-based nature of the presented methods makes them particularly useful for replacing missing data in the observed time series. The resulting interpolated CO₂ flux observation series can then be analysed with dynamic modelling techniques, or integrated to coarser temporal resolution series for further use e.g., in model evaluation exercises. However, the noise component in these observations interferes with deterministic flux integration in particular when long time periods are considered. Therefore, a method to characterise the uncertainties in the flux observations that uses a semi-parametric stochastic model is introduced in a second study. As a result, an (uncertain) estimate of the annual net carbon exchange of the observed ecosystem can be inferred directly from a statistically consistent integration of the noisy data. For the forest measurement sites analysed, the relative uncertainty for the annual sum did not exceed 11 percent highlighting the value of the data. Based on the same models, a disaggregation of the net CO₂ flux into carbon assimilation and respiration is presented in a third study that allows for the estimation of annual ecosystem carbon uptake and release. These two components can then be further analysed for their separate response to environmental conditions. Finally, a fourth study demonstrates how the results from data-led analyses can be turned into a simple parametric model that is able to predict the carbon exchange of forest ecosystems. Given the global network of measurements available the derived model can now be tested for generality and transferability to other biomes. In summary, this work particularly highlights the potential of the presented data-led methodologies to identify and describe dominant carbon exchange processes at the canopy level contributing to a better understanding of ecosystem functioning.
Die Hochwasserereignisse der letzten Jahre haben Mängel bei der schnellen Verfügbarkeit des klassischen Darstellungs-, Entscheidungs- und Analyseinstruments Karte offenbart. Die Erfahrungen von 1997 und 2002 verdeutlichen, dass eine homogene digitale Datengrundlage, die neben rein topographischen zusätzlich auch fachspezifische Informationen des Hochwasserschutzes enthält, für eine effektive Bekämpfung solcher Ereignisse notwendig ist. Mit den Daten des ,Amtlichen Topographisch-Kartographischen Informationssystems’ (ATKIS) liegen topographische Basisdaten in graphikfreier Form als digitales Landschaftsmodell (DLM) flächendeckend für die Bundesrepublik vor. Anhand der exemplarischen Ableitung von nutzerorientierten Kartenmodellen aus diesen graphikfreien Daten wurde deren Eignung für den besonderen Verwendungszweck im Rahmen eines Hochwasserschutz-Informationssystems überprüft. Als Anwendungsbeispiel wurde das Gebiet der Ziltendorfer Niederung, die während des Oder-Hochwassers 1997 überflutet wurde, gewählt. In Expertengesprächen wurden zunächst Inhalte identifiziert, die für einen wirksamen Hochwasserschutz Relevanz besitzen; diese Inhalte wurden anschließend analog zum ATKIS-Systemdesign strukturiert und als Objekte eines separaten Objektbereichs im digitalen Fachmodell (DFM) erfasst. Bei der Ableitung von (Bildschirm-) Karten aus den graphikfreien Daten wurden jeweils unterschiedliche Kriterien für die Basiskarte und die Fachinhalte berücksichtigt. Dabei wurden verschiedene kartographische Regeln und Gesetze mit dem Ziel der prägnanten Visualisierung und damit der eindeutigen Lesbarkeit der Karten angewendet. Beispielhaft sei hier die Schaffung einer visuellen Hierarchie zwischen Basiskarte und Fachinhalten genannt. Die besonderen Nutzungsbedingungen von Karten im Einsatzfall erfordern u.a., dass die Karten auch von Personen, die nur über geringe oder keine Erfahrung im Umgang mit Karten verfügen, schnell und einfach zu lesen sind, um so eine sichere Informationsvermittlung zu gewährleisten. Voraussetzung dafür ist einerseits die Beschränkung auf die Darstellung der wesentlichen Inhalte, andererseits die Verwendung leicht lesbarer Kartenzeichen. Aus diesem Grund wurden einheitliche Kartenzeichen zur Darstellung der Fachinhalte entwickelt, die entweder aus allgemein bekannten Symbolen, aus den im Katastrophenschutz üblicherweise verwendeten sog. taktischen Zeichen oder aus Fachzeichen des Hochwasserschutzes abgeleitet wurden. Die entwickelten Kartenmodelle wurden abschließend in qualitativen Experteninterviews in Bezug auf ihre Qualität und Verwendbarkeit im Hochwasserschutz geprüft. Die Auswertung der Interviews ergab eine insgesamt positive Beurteilung der Karten für den Einsatz in Hochwasserschutz-Informationssystemen. Damit leistet die vorliegende Arbeit einen Beitrag zur Entwicklung von (Bildschirm-) Karten zur Unterstützung bei der Entscheidungsfindung im Katastrophenmanagement.
Bilingualer Unterricht gilt als das Erfolgsmodell für den schulischen Fremdsprachenerwerb in Deutschland und die Beherrschung einer Fremdsprache in Wort und Schrift ist eine entscheidende berufsqualifizierende Kompetenz in unserer globalisierten Welt. Insbesondere die Verzahnung fachlicher und sprachlicher Inhalte im Kontext Bilingualen Unterrichts scheint gewinnbringend für den Fremdspracherwerb zu sein. Dabei ist die Diskrepanz zwischen den zumeist noch geringen fremdsprachlichen Fähigkeiten der Lernenden und den fachlichen Ansprüchen des Geographieunterrichts eine große Herausforderung für fachliches Lernen im bilingualen Sachfachunterricht. Es stellt sich die Frage, wie der Bilinguale Unterricht gestaltet sein muss, um einerseits geographische Themen fachlich komplex behandeln zu können und andererseits die Lernenden fremdsprachlich nicht zu überfordern.
Im Rahmen einer Design-Based-Research-Studie im bilingualen Geographieunterricht wurde untersucht, wie fachliches Lernen im bilingualen Geographieunterricht durch den Einsatz beider beteiligter Sprachen (Englisch/Deutsch) gefördert werden kann.
Auf Grundlage eines theoretisch fundierten Kenntnisstands zum Bilingualen Unterricht und zum Lernen mit Fachkonzepten im Geographieunterricht wurde eine Lernumgebung konzipiert, im Unterricht erprobt und weiterentwickelt, in der Strategien des Sprachwechsels zum Einsatz kommen.
Die Ergebnisse der Studie sind kontextbezogene Theorien einer zweisprachigen Didaktik für den bilingualen Geographieunterricht und Erkenntnisse zum Lernen mit Fachkonzepten im Geographieunterricht am Beispiel des geographischen Konzepts Wandel. Produkt der Studie ist eine unterrichtstaugliche Lernumgebung zum Thema Wandlungsprozesse an ausgewählten Orten für den bilingualen Geographieunterricht mit didaktischem Konzept, Unterrichtsmaterialien und -medien.
Casualties and damages from urban pluvial flooding are increasing. Triggered by short, localized, and intensive rainfall events, urban pluvial floods can occur anywhere, even in areas without a history of flooding. Urban pluvial floods have relatively small temporal and spatial scales. Although cumulative losses from urban pluvial floods are comparable, most flood risk management and mitigation strategies focus on fluvial and coastal flooding. Numerical-physical-hydrodynamic models are considered the best tool to represent the complex nature of urban pluvial floods; however, they are computationally expensive and time-consuming. These sophisticated models make large-scale analysis and operational forecasting prohibitive. Therefore, it is crucial to evaluate and benchmark the performance of other alternative methods.
The findings of this cumulative thesis are represented in three research articles. The first study evaluates two topographic-based methods to map urban pluvial flooding, fill–spill–merge (FSM) and topographic wetness index (TWI), by comparing them against a sophisticated hydrodynamic model. The FSM method identifies flood-prone areas within topographic depressions while the TWI method employs maximum likelihood estimation to calibrate a TWI threshold (τ) based on inundation maps from the 2D hydrodynamic model. The results point out that the FSM method outperforms the TWI method. The study highlights then the advantage and limitations of both methods.
Data-driven models provide a promising alternative to computationally expensive hydrodynamic models. However, the literature lacks benchmarking studies to evaluate the different models' performance, advantages and limitations. Model transferability in space is a crucial problem. Most studies focus on river flooding, likely due to the relative availability of flow and rain gauge records for training and validation. Furthermore, they consider these models as black boxes. The second study uses a flood inventory for the city of Berlin and 11 predictive features which potentially indicate an increased pluvial flooding hazard to map urban pluvial flood susceptibility using a convolutional neural network (CNN), an artificial neural network (ANN) and the benchmarking machine learning models random forest (RF) and support vector machine (SVM). I investigate the influence of spatial resolution on the implemented models, the models' transferability in space and the importance of the predictive features. The results show that all models perform well and the RF models are superior to the other models within and outside the training domain. The models developed using fine spatial resolution (2 and 5 m) could better identify flood-prone areas. Finally, the results point out that aspect is the most important predictive feature for the CNN models, and altitude is for the other models.
While flood susceptibility maps identify flood-prone areas, they do not represent flood variables such as velocity and depth which are necessary for effective flood risk management. To address this, the third study investigates data-driven models' transferability to predict urban pluvial floodwater depth and the models' ability to enhance their predictions using transfer learning techniques. It compares the performance of RF (the best-performing model in the previous study) and CNN models using 12 predictive features and output from a hydrodynamic model. The findings in the third study suggest that while CNN models tend to generalise and smooth the target function on the training dataset, RF models suffer from overfitting. Hence, RF models are superior for predictions inside the training domains but fail outside them while CNN models could control the relative loss in performance outside the training domains. Finally, the CNN models benefit more from transfer learning techniques than RF models, boosting their performance outside training domains.
In conclusion, this thesis has evaluated both topographic-based methods and data-driven models to map urban pluvial flooding. However, further studies are crucial to have methods that completely overcome the limitation of 2D hydrodynamic models.