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The Sentinel Application Platform (SNAP) architecture facilitates Earth Observation data processing. In this work, we present results from a new Snow Processor for SNAP. We also describe physical principles behind the developed snow property retrieval technique based on the analysis of Ocean and Land Colour Instrument (OLCI) onboard Sentinel-3A/B measurements over clean and polluted snow fields. Using OLCI spectral reflectance measurements in the range 400-1020 nm, we derived important snow properties such as spectral and broadband albedo, snow specific surface area, snow extent and grain size on a spatial grid of 300 m. The algorithm also incorporated cloud screening and atmospheric correction procedures over snow surfaces. We present validation results using ground measurements from Antarctica, the Greenland ice sheet and the French Alps. We find the spectral albedo retrieved with accuracy of better than 3% on average, making our retrievals sufficient for a variety of applications. Broadband albedo is retrieved with the average accuracy of about 5% over snow. Therefore, the uncertainties of satellite retrievals are close to experimental errors of ground measurements. The retrieved surface grain size shows good agreement with ground observations. Snow specific surface area observations are also consistent with our OLCI retrievals. We present snow albedo and grain size mapping over the inland ice sheet of Greenland for areas including dry snow, melted/melting snow and impurity rich bare ice. The algorithm can be applied to OLCI Sentinel-3 measurements providing an opportunity for creation of long-term snow property records essential for climate monitoring and data assimilation studies-especially in the Arctic region, where we face rapid environmental changes including reduction of snow/ice extent and, therefore, planetary albedo.
With the onset of the global food crisis, the discussion about the use and misuse of agricultural market interventions regained academic attention. As a result of economies of scale, centralized policy implementation at the regional level has the potential to reduce the budgetary costs of policies. Borrowing from the literature on international unions and international policy coordination, we develop a conceptual framework to analyze when regional policy implementation makes sense. This is the case whenever spill-overs from centralization are large and policy preferences, driven by country-specific characteristics, are homogeneous. Subsequently, we examine the advantageousness of centralized policy implementation for the West African region regarding the most common food security policies. We show that centralization of trade policies and emergency food reserves is beneficial, while buffer stocks, safety net policies, and producer support policies should be implemented at the national level.
Increased landslide activity on forested hillslopes following two recent volcanic eruptions in Chile
(2019)
Large explosive eruptions can bury landscapes beneath thick layers of tephra. Rivers subsequently overloaded with excess pyroclastic sediments have some of the highest reported specific sediment yields. Much less is known about how hillslopes respond to tephra loads. Here, we report a pulsed and distinctly delayed increase in landslide activity following the eruptions of the Chaiten (2008) and Puyehue-Cordon Caulle (2011) volcanoes in southern Chile. Remote-sensing data reveal that land-slides clustered in densely forested hillslopes mostly two to six years after being covered by tephra. This lagged instability is consistent with a gradual loss of shear strength of decaying tree roots in areas of high tephra loads. Surrounding areas with comparable topography, forest cover, rainfall and lithology maintained landslide rates roughly ten times lower. The landslides eroded the landscape by up to 4.8 mm on average within 30 km of both volcanoes, mobilizing up to 1.6 MtC at rates of about 265 tC km(-2) yr(-1). We suggest that these yields may reinforce the elevated river loads of sediment and organic carbon in the decade after the eruptions. We recommend that studies of post-eruptive mass fluxes and hazards include lagged landslide responses of tephra-covered forested hillslopes, to avoid substantial underestimates.
Shear-waves are the most energetic body-waves radiated from an earthquake, and are responsible for the destruction of engineered structures. In both short-term emergency response and long-term risk forecasting of disaster-resilient built environment, it is critical to predict spatially accurate distribution of shear-wave amplitudes. Although decades’ old theory proposes a deterministic, highly anisotropic, four-lobed shear-wave radiation pattern, from lack of convincing evidence, most empirical ground-shaking prediction models settled for an oversimplified stochastic radiation pattern that is isotropic on average. Today, using the large datasets of uniformly processed seismograms from several strike, normal, reverse, and oblique-slip earthquakes across the globe, compiled specifically for engineering applications, we could reveal, quantify, and calibrate the frequency-, distance-, and style-of-faulting dependent transition of shear-wave radiation between a stochastic-isotropic and a deterministic-anisotropic phenomenon. Consequent recalibration of empirical ground-shaking models dramatically improved their predictions: with isodistant anisotropic variations of ±40%, and 8% reduction in uncertainty. The outcomes presented here can potentially trigger a reappraisal of several practical issues in engineering seismology, particularly in seismic ground-shaking studies and seismic hazard and risk assessment.
Hungry cities: how local food self-sufficiency relates to climate change, diets, and urbanisation
(2019)
Using a newly developed model approach and combining it with remote sensing, population, and climate data, first insights are provided into how local diets, urbanisation, and climate change relates to local urban food self-sufficiency. In plain terms, by utilizing the global peri-urban (PU) food production potential approximately lbn urban residents (30% of global urban population) can be locally nourished, whereby further urbanisation is by far the largest pressure factor on PU agriculture, followed by a change of diets, and climate change. A simple global food transport model which optimizes transport and neglects differences in local emission intensities indicates that CO2 emissions related to food transport can be reduced by a factor of 10.
Human mortality shows a pronounced temperature dependence. The minimum mortality temperature (MMT) as a characteristic point of the temperature-mortality relationship is influenced by many factors. As MMT estimates are based on case studies, they are sporadic, limited to data-rich regions, and their drivers have not yet been clearly identified across case studies. This impedes the elaboration of spatially comprehensive impact studies on heat-related mortality and hampers the temporal transfer required to assess climate change impacts. Using 400 MMTs from cities, we systematically establish a generalised model that is able to estimate MMTs (in daily apparent temperature) for cities, based on a set of climatic, topographic and socio-economic drivers. A sigmoid model prevailed against alternative model setups due to having the lowest Akaike Information Criterion (AICc) and the smallest RMSE. We find the long-term climate, the elevation, and the socio-economy to be relevant drivers of our MMT sample within the non-linear parametric regression model. A first model application estimated MMTs for 599 European cities ( >100 000 inhabitants) and reveals a pronounced decrease in MMTs (27.8-16 degrees C) from southern to northern cities. Disruptions of this pattern across regions of similar mean temperatures can be explained by socio-economic standards as noted for central eastern Europe. Our alternative method allows to approximate MMTs independently from the availability of daily mortality records. For the first time, a quantification of climatic and non-climatic MMT drivers has been achieved, which allows to consider changes in socio-economic conditions and climate. This work contributes to the comparability among MMTs beyond location-specific and regional limits and, hence, towards a spatially comprehensive impact assessment for heat-related mortality.
We show that near-real-time seismic monitoring of fluid injection allowed control of induced earthquakes during the stimulation of a 6.1-km-deep geothermal well near Helsinki, Finland. A total of 18,160 m(3) of fresh water was pumped into crystalline rocks over 49 days in June to July 2018. Seismic monitoring was performed with a 24-station borehole seismometer network. Using near-real-time information on induced-earthquake rates, locations, magnitudes, and evolution of seismic and hydraulic energy, pumping was either stopped or varied-in the latter case, between well-head pressures of 60 and 90 MPa and flow rates of 400 and 800 liters/min. This procedure avoided the nucleation of a project-stopping magnitude M-W 2.0 induced earthquake, a limit set by local authorities. Our results suggest a possible physics-based approach to controlling stimulation-induced seismicity in geothermal projects.
Lake sediments are increasingly explored as reliable paleoflood archives. In addition to established flood proxies including detrital layer thickness, chemical composition, and grain size, we explore stable oxygen and carbon isotope data as paleoflood proxies for lakes in catchments with carbonate bedrock geology. In a case study from Lake Mondsee (Austria), we integrate high-resolution sediment trapping at a proximal and a distal location and stable isotope analyses of varved lake sediments to investigate flood-triggered detrital sediment flux. First, we demonstrate a relation between runoff, detrital sediment flux, and isotope values in the sediment trap record covering the period 2011-2013 CE including 22 events with daily (hourly) peak runoff ranging from 10 (24) m(3) s(-1) to 79 (110) m(3) s(-1). The three- to ten-fold lower flood-triggered detrital sediment deposition in the distal trap is well reflected by attenuated peaks in the stable isotope values of trapped sediments. Next, we show that all nine flood-triggered detrital layers deposited in a sediment record from 1988 to 2013 have elevated isotope values compared with endogenic calcite. In addition, even two runoff events that did not cause the deposition of visible detrital layers are distinguished by higher isotope values. Empirical thresholds in the isotope data allow estimation of magnitudes of the majority of floods, although in some cases flood magnitudes are overestimated because local effects can result in too-high isotope values. Hence we present a proof of concept for stable isotopes as reliable tool for reconstructing flood frequency and, although with some limitations, even for flood magnitudes.
Niche-based species distribution models (SDMs) have become an essential tool in conservation and restoration planning. Given the current threats to freshwater biodiversity, it is of fundamental importance to address scale effects on the performance of niche-based SDMs of freshwater species’ distributions. The scale effects are addressed here in the context of hierarchical catchment ordering, considered as counterpart to coarsening grain-size by increasing grid-cell size. We combine fish occurrence data from the Danube River Basin, the hierarchical catchment ordering and multiple environmental factors representing topographic, climatic and anthropogenic effects to model fish occurrence probability across multiple scales. We focus on 1st to 5th order catchments. The spatial scale (hierarchical catchment order) only marginally influences the mean performance of SDMs, however the uncertainty of the estimates increases with scale. Key predictors and their relative importance are scale and species dependent. Our findings have useful implications for choosing proper species dependent spatial scales for river rehabilitation measures, and for conservation planning in areas where fine grain species data are unavailable.
Ongoing development of dynamical atmosphere-ocean general circulation models keep expectations high regarding seasonal predictions of Indian monsoon rainfall. This study compares past and present skill of four currently operating forecasting systems, CFSv2 from NCEP, ENSEMBLES, System 4 and the newest SEAS5 from ECMWF, by analysing correlations of respective hindcasts with observed all-India summer rainfall. For the common time period 1982-2005, only ENSEMBLES and CFSv2 give significantly skilful forecasts. It is shown that skill is highly dependent on the chosen time period. Especially the intense El Nino of 1997 seems to degrade the predictions, most notably for SEAS4 and SEAS5 which seem to be linked to El Nino too strongly. We show that by discarding that year, a regime shift in the 1990s is no longer visible. Overall, we observe a convergence of skill towards the present with correlations of about 0.4 for CFSv2 and of 0.6 for System 4 and SEAS5.
Metamorphic geology
(2019)
Colombia's agriculture, forestry and other land use sector accounts for nearly half of its total greenhouse gas (GHG) emissions. The importance of smallholder deforestation is comparatively high in relation to its regional counterparts, and livestock agriculture represents the largest driver of primary forest depletion. Silvopastoral systems (SPSs) are presented as agroecological solutions that synergistically enhance livestock productivity, improve local farmers' livelihoods and hold the potential to reduce pressure on forest conversion. The department of Caquetá represents Colombia's most important deforestation hotspot. Targeting smallholder livestock farms through survey data, in this work we investigate the GHG mitigation potential of implementing SPSs for smallholder farms in this region. Specifically, we assess whether the carbon sequestration taking place in the soil and biomass of SPSs is sufficient to offset the per-hectare increase in livestock GHG emissions resulting from higher stocking rates. To address these questions we use data on livestock population characteristics and historic land cover changes reported from a survey covering 158 farms and model the carbon sequestration occurring in three different scenarios of progressively-increased SPS complexity using the CO2 fix model. We find that, even with moderate tree planting densities, the implementation of SPSs can reduce GHG emissions by 2.6 Mg CO2e ha−1 yr−1 in relation to current practices, while increasing agriculture productivity and contributing to the restoration of severely degraded landscapes.
Rapid local adaptation frequently occurs during the spread of invading species. It remains unclear, however, how consistent, and therefore potentially predictable, such patterns of local adaptation are. One approach to this question is to measure patterns of local differentiation in functional traits and plasticity levels in invasive species in multiple regions. Finding consistent patterns of local differentiation in replicate regions suggests that these patterns are adaptive. Further, this outcome indicates that the invading species likely responds predictably to selection along environmental gradients, even though standing genetic variation is likely to have been reduced during introduction. We studied local differentiation in the invasive annual plant Erodium cicutarium in two invaded regions, California and Chile. We collected seeds from across strong gradients in precipitation and temperature in Mediterranean-climate parts of the two regions (10 populations per region). We grew seeds from maternal families from these populations through two generations and exposed the second generation to contrasting levels of water and nutrient availability. We measured growth, flowering time and leaf functional traits across these treatments to obtain trait means and plasticity measures. We found strong differentiation among populations in all traits. Plants from drier environments flowered earlier, were less plastic in flowering time and reached greater size in all treatments. Correlations among traits within regions suggested a coordinated evolutionary response along environmental gradients associated with growing season length. There was little divergence in traits and trait intercorrelations between regions, but strongly parallel divergence in traits within regions. Similar, statistically consistent patterns of local trait differentiation across two regions suggest that local adaptation to environmental gradients has aided the spread of this invasive species, and that the formation of ecotypes in newly invaded environments has been relatively consistent and predictable.
We investigate the thermal and structural evolution of asymmetric rifted margin using numerical modeling and geological observations derived from the Western Pyrenees. Our numerical model provides a self-consistent physical evolution of the top basement heat flow during asymmetric rifting. The model shows a pronounced thermal asymmetry that is caused by migration of the rift center toward the upper plate. The same process creates a diachronism for the record of maximum heat flow and maximum temperatures (T-max) in basal rift sequences. The Mauleon-Arzacq basin (W-Pyrenees) corresponds to a former mid-Cretaceous asymmetric hyperextended rift basin. New vitrinite reflectance data in addition to existing data sets from this basin reveal an asymmetry in the distribution of peak heat (T-max) with respect to the rift shoulders, where highest values are located at the former upper- to lower-plate transition. This data set from the Arzacq-Mauleon field study confirms for the first time the thermal asymmetry predicted by numerical models. Numerical modeling results also suggest that complexities in synrift thermal architecture could arise when hanging-wall-derived extensional allochthons and related T-max become part of the lower plate and are transported away from the upper- to lower-plate transition. This study emphasizes the limitations of the common approach to integrate punctual thermal data from pre-rift to synrift sedimentary sequences in order to describe the rift-related thermal evolution and paleothermal gradients at the scale of a rift basin or a rifted margin.
Identifying the provenance signature and geodynamic setting on which sedimentary basins at convergent margins grow is challenging since they result from coupled erosional and tectonic processes, which shape the evolution of source areas and the stress regime. The Early Cretaceous evolution of the northern Andes of Colombia is characterized by extensional tectonics and the subsequent formation of a marginal basin. The Abejorral Formation and coeval volcano-sedimentary rocks are exposed along the western flank and axis of the Central Cordillera. They comprise an Early Cretaceous transgressive sequence initially accumulated in fluvial deltaic environments, which switched towards a deep-marine setting, and are interpreted as the infilling record of a marginal back-arc basin. Available provenance data suggest that Permian-Triassic metamorphic and less abundant Jurassic magmatic rocks forming the basement of the Central Cordillera sourced the Abejorral Formation. New detailed volcanic and metamorphic lithics analyses, conventional and varietal study of heavy minerals, detrital rutile mineral chemistry, allowed us to document changes in the source areas defined by the progressive appearance of both higher-grade and more distal low-grade metamorphic sources, which switched from pelitic to dominantly mafic in composition. Crystallochemical indexes of clay minerals of fine-grained rocks of the Abejorral Formation suggest that samples located close to the Romeral Fault System show characteristics of low-medium P-T low-grade metamorphism, whereas rocks located farther to the northeast preserve primary diagenetic features, which suggest a high heat-flow accumulation setting. We interpret that the Abejorral Formation records the progressive unroofing of the Central Cordillera basement that was being rapidly exhumed, as well as the incorporation of distal subduction-related metamorphic complexes to the west in response either to the widening of extensional front or the reactivation of fault structures on the oceanward margin of the basin. Although the deformational record of the Abejorral Formation would have resulted from over-imposed episodes, our new geochronological constraints suggest that this sedimentary sequence must have been deformed before the Paleocene due to the presence of arc-related intrusive non-deformed magmatic rocks with a crystallization age of ca. 60 Ma.
Caldera unrest can lead to major volcanic eruptions. Analysis of subtle subsidence or inflation at calderas helps understanding of their subsurface volcanic processes and related hazards. Several subsiding calderas have shown similar patterns of ground deformation composed of broad subsidence affecting the entire volcanic edifice and stronger localized subsidence focused inside the caldera. Physical models of internal deformation sources used to explain these observations typically consist of two magma reservoirs at different depths in an elastic half-space. However, such models ignore important subsurface structures, such as ring faults, that may influence the deformation pattern. Here we use both analog subsidence experiments and boundary element modeling to study the three-dimensional geometry and kinematics of caldera subsidence processes, evolving from an initial downsag to a later collapse stage. We propose that broad subsidence is mainly caused by volume decrease within a single magma reservoir, whereas buried ring-fault activity localizes the deformation within the caldera. Omitting ring faulting in physical models of subsiding calderas and using multiple point/sill-like sources instead can result in erroneous estimates of magma reservoir depths and volume changes. (C) 2019 Elsevier B.V. All rights reserved.
With the advent of the two Sentinel-1 (S1) satellites, Synthetic Aperture Radar (SAR) data with high temporal and spatial resolution are freely available. This provides a promising framework to facilitate detailed investigations of surface instabilities and movements on large scales with high temporal resolution, but also poses substantial processing challenges because of storage and computation requirements. Methods are needed to efficiently detect short term changes in dynamic environments. Approaches considering pair-wise processing of a series of consecutive scenes to retain maximum temporal resolution in conjunction with time series analyses are required. Here we present OSARIS, the “Open Source SAR Investigation System,” as a framework to process large stacks of S1 data on high-performance computing clusters. Based on Generic Mapping Tools SAR, shell scripts, and the workload manager Slurm, OSARIS provides an open and modular framework combining parallelization of high-performance C programs, flexible processing schemes, convenient configuration, and generation of geocoded stacks of analysis-ready base data, including amplitude, phase, coherence, and unwrapped interferograms. Time series analyses can be conducted by applying automated modules to the data stacks. The capabilities of OSARIS are demonstrated in a case study from the northwestern Tien Shan, Central Asia. After merging of slices, a total of 80 scene pairs were processed from 174 total input scenes. The coherence time series exhibits pronounced seasonal variability, with relatively high coherence values prevailing during the summer months in the nival zone. As an example of a time series analysis module, we present OSARIS' “Unstable Coherence Metric” which identifies pixels affected by significant drops from high to low coherence values. Measurements of motion provided by LOSD measurements require careful evaluation because interferometric phase unwrapping is prone to errors. Here, OSARIS provides a series of modules to detect and mask unwrapping errors, correct for atmospheric disturbances, and remove large-scale trends. Wall clock processing time for the case study (area ~9,000 km2) was ~12 h 4 min on a machine with 400 cores and 2 TB RAM. In total, ~12 d 10 h 44 min (~96%) were saved through parallelization. A comparison of selected OSARIS datasets to results from two state-of-the-art SAR processing suites, ISCE and SNAP, shows that OSARIS provides products of competitive quality despite its high level of automatization. OSARIS thus facilitates efficient S1-based region-wide investigations of surface movement events over multiple years.
Advances in the field of seismic interferometry have provided a basic theoretical interpretation to the full spectrum of the microtremor horizontal-to-vertical spectral ratio [H/V(f)]. The interpretation has been applied to ambient seismic noise data recorded both at the surface and at depth. The new algorithm, based on the diffuse wavefield assumption, has been used in inversion schemes to estimate seismic wave velocity profiles that are useful input information for engineering and exploration seismology both for earthquake hazard estimation and to characterize surficial sediments. However, until now, the developed algorithms are only suitable for on land environments with no offshore consideration. Here, the microtremor H/V(z, f) modelling is extended for applications to marine sedimentary environments for a 1-D layered medium. The layer propagator matrix formulation is used for the computation of the required Green’s functions. Therefore, in the presence of a water layer on top, the propagator matrix for the uppermost layer is defined to account for the properties of the water column. As an application example we analyse eight simple canonical layered earth models. Frequencies ranging from 0.2 to 50 Hz are considered as they cover a broad wavelength interval and aid in practice to investigate subsurface structures in the depth range from a few meters to a few hundreds of meters. Results show a marginal variation of 8 per cent at most for the fundamental frequency when a water layer is present. The water layer leads to variations in H/V peak amplitude of up to 50 per cent atop the solid layers.
The Cumbres Calchaquies Range forms part of the Famatinian metamorphic basement of the Eastern Sierras Pampeanas. The sedimentary protoliths of the metamorphic sequence were deposited in a marine basin alongside the western margin of Gondwana during the Neoproterozoic. New petrologic, geochemical and thermobarometric data give insight into the evolution of the sedimentary basin, its sediment source area, its later metamorphic overprint and its regional relationship to other parts of the Famatinian basement. The metamorphic series studied here consists of banded schists and gneisses and rare calcsilcate-rocks and migmatites that have been reworked by mid-to deep-crustal metamorphic and tectonic processes. The bulk rock compositions indicate shale, wacke, marl and litharenitic protoliths. The metamorphosed elastic sediments have major and trace element compositions indicating a continental granitoid-dominated source area with low sediment recycling. Low SiO2/Al2O3 ratios suggest a relatively low maturity of the sedimentary protoliths. Therefore, the Cumbres Calchaquies section represents a sequence of turbidity currents with progressive shallowing of the depositional environment, as indicated by quartz- and carbonate-rich sediments. The overall data are consistent with the geodynamic environment of a basin adjacent to a continental magmatic arc as the most probable scenario. Whereas the sedimentary protoliths of the metamorphic basement in the Sierra de Ancasti and Sierra de Aconquija, located ca 100-300 km south of the study area are interpreted as originating in an evolving back-arc basin, our results from the Cumbres Calchaquies region indicate a sedimentary source in a felsic continental arc with no significant influx of basic rocks. The Famatinian metamorphic evolution of the Cumbres Calchaquies rocks is of typical Barrow-type, culminating in partial melting of the metasediments. Conventional thermobarometry combined with thermodynamic models (pseudosections) reveal a prograde evolution reaching peak conditions of ca 665 degrees C/6.1 Kbar. This implies a geothermal gradient of ca 35 degrees C/km, which is slightly higher than the average for continental crust and suggests a period of crustal thinning, as known from back-arc basins, or additional heat supply by voluminous intrusions.
Britholite group minerals (REE,Ca)(5)[(Si,P)O-4](3)(OH,F) are widespread rare-earth minerals in alkaline rocks and their associated metasomatic zones, where they usually are minor accessory phases. An exception is the REE deposit Rodeo de los Molles, Central Argentina, where fluorbritholite-(Ce) (FBri) is the main carrier of REE and is closely intergrown with fluorapatite (FAp). These minerals reach an abundance of locally up to 75 modal% (FBri) and 20 modal% (FAp) in the vein mineralizations. The Rodeo de los Molles deposit is hosted by a fenitized monzogranite of the Middle Devonian Las Chacras-Potrerillos batholith. The REE mineralization consists of fluorbritholite-(Ce), britholite-(Ce), fluorapatite, allanite-(Ce), and REE fluorcarbonates, and is associated with hydrothermal fluorite, quartz, albite, zircon, and titanite. The REE assemblage takes two forms: irregular patchy shaped REE-rich composites and discrete cross-cutting veins. The irregular composites are more common, but here fluorbritholite-(Ce) is mostly replaced by REE carbonates. The vein mineralization has more abundant and better-preserved britholite phases. The majority of britholite grains at Rodeo de los Molles are hydrothermally altered, and alteration is strongly enhanced by metamictization, which is indicated by darkening of the mineral, loss of birefringence, porosity, and volume changes leading to polygonal cracks in and around altered grains. A detailed electron microprobe study of apatite-britholite minerals from Rodeo de los Molles revealed compositional variations in fluorapatite and fluorbritholite-(Ce) consistent with the coupled substitution of REE3+ + Si4+ = Ca2+ + P5+ and a compositional gap of similar to 4 apfu between the two phases, which we interpret as a miscibility gap. Micrometer-scale intergrowths of fluorapatite in fluorbritholite-(Ce) minerals and vice versa are chemically characterized here for the first time and interpreted as exsolution textures that formed during cooling below the proposed solvus.
The near-polar orbit satellites of Swarm mission provide a good opportunity to investigate the conjugacy of equatorial plasma irregularities (EPIs) since their trajectories at low latitudes are basically aligned with fixed geographical longitude. However, the Swarm in situ electron density occasionally shows EPIs at only one hemisphere at this longitude. In this study, we provide detailed analysis of such EPI events from the in situ electron densities and onboard global positioning system (GPS) measurements of Swarm low pair satellites, and simultaneous GPS data from two geomagnetically conjugate ground stations at the Africa longitudes. The result indicates that when Swam in situ electron density sometime shows EPIs at only one hemisphere, the GPS scintillations are still observed from the Swarm onboard receiver and by the two conjugate ground stations. It implies that the EPIs should generally elongate along the geomagnetic flux tube. More than two-year statistic results show that the onset time of scintillation in the northern station is on average 16 and 18 min earlier than that in the southern station for September equinox and December solstice in 2015, while for March equinox in 2016 the onset time of scintillation of northern station is about 11 min later than that of southern station, which indicates the asymmetry features of EPIs along the flux tube. Further analysis of nearly three-year GPS data from two conjugate stations at the Asia longitudes, we find that during solar maximum years the local sunset time plays an important role for causing the difference of onset time of scintillation between two conjugate stations.
Power-to-gas (PtG) stores chemical energy by converting excess electrical energy from renewable sources into an energy-dense gas. Due to its higher available capacity compared to surface-based storage technologies, subsurface storage in geological systems is the most promising approach for efficient and economic realization of the PtG system’s storage component. For this purpose, methane (CH4) produced by methanation by means of hydrogen (H2) and carbon dioxide (CO2) is stored in a geological reservoir until required for further use. In this context, CO2 is used as the cushion gas to maintain reservoir pressure and limiting working gas, i.e., (CH4) losses during withdrawal periods. Consequently, mixing of both gases in the reservoir is inevitable. Therefore, it is necessary to minimize the gas mixing region to optimize the efficiency of the PtG system’s storage component. In the present study, the physical properties of CH4, CO2 and their mixtures are reviewed. Then, a multicomponent flow model is implemented and validated against published data. Next, a hydromechanically coupled model is established, considering fluid flow through porous media and effective stresses to investigate the mixing behavior of both gases and the mechanical reservoir stability. The simulation results show that, with increasing reservoir thickness and dip angle, the mixing region is reduced during gas injection if CO2 is employed as the cushion gas. In addition, the degree of mixing is lower at higher temperatures. Feasible injection rates and injection schedules can be derived from the integrated reservoir stability analysis. The methodology developed in the present study allows the determination of optimum strategies for storage reservoir selection and gas injection scheduling by minimizing the gas mixing region.
In active mountain belts with steep terrain, bedrock landsliding is a major erosional agent. In the Himalayas, landsliding is driven by annual hydro-meteorological forcing due to the summer monsoon and by rarer, exceptional events, such as earthquakes. Independent methods yield erosion rate estimates that appear to increase with sampling time, suggesting that rare, high-magnitude erosion events dominate the erosional budget. Nevertheless, until now, neither the contribution of monsoon and earthquakes to landslide erosion nor the proportion of erosion due to rare, giant landslides have been quantified in the Himalayas. We address these challenges by combining and analysing earthquake- and monsoon-induced landslide inventories across different timescales. With time series of 5 m satellite images over four main valleys in central Nepal, we comprehensively mapped landslides caused by the monsoon from 2010 to 2018. We found no clear correlation between monsoon properties and landsliding and a similar mean landsliding rate for all valleys, except in 2015, where the valleys affected by the earthquake featured similar to 5-8 times more landsliding than the pre-earthquake mean rate. The longterm size-frequency distribution of monsoon-induced landsliding (MIL) was derived from these inventories and from an inventory of landslides larger than similar to 0.1 km(2) that occurred between 1972 and 2014. Using a published landslide inventory for the Gorkha 2015 earthquake, we derive the size-frequency distribution for earthquakeinduced landsliding (EQIL). These two distributions are dominated by infrequent, large and giant landslides but under-predict an estimated Holocene frequency of giant landslides (> 1 km(3)) which we derived from a literature compilation. This discrepancy can be resolved when modelling the effect of a full distribution of earthquakes of variable magnitude and when considering that a shallower earthquake may cause larger landslides. In this case, EQIL and MIL contribute about equally to a total long-term erosion of similar to 2 +/- 0.75 mm yr(-1) in agreement with most thermo-chronological data. Independently of the specific total and relative erosion rates, the heavy-tailed size-frequency distribution from MIL and EQIL and the very large maximal landslide size in the Himalayas indicate that mean landslide erosion rates increase with sampling time, as has been observed for independent erosion estimates. Further, we find that the sampling timescale required to adequately capture the frequency of the largest landslides, which is necessary for deriving long-term mean erosion rates, is often much longer than the averaging time of cosmogenic Be-10 methods. This observation presents a strong caveat when interpreting spatial or temporal variability in erosion rates from this method. Thus, in areas where a very large, rare landslide contributes heavily to long-term erosion (as the Himalayas), we recommend Be-10 sample in catchments with source areas > 10 000 km(2) to reduce the method mean bias to below similar to 20 % of the long-term erosion.
The processes that control long term landscape evolution in continental interiors and, in particular, along passive margins such as in southern Africa, are still the subject of much debate (e.g. Braun, 2018). Although today the Namibian margin is characterized by an arid climate, it has experienced climatic fluctuations during the Cenozoic and, yet, to date no study has documented the potential role of climate on its erosion history. In western Namibia, the Brandberg Massif, an erosional remnant or inselberg, provides a good opportunity to document the Cenozoic denudation history of the margin using the relationship between rock cooling or exhumation ages and their elevation. Here we provide new apatite (UThSm)/He dates on the Brandberg Inselberg that range from 151 +/- 12 to 30 +/- 2 Ma. Combined with existing apatite fission track data, they yield new constraints on the denudation history of the margin. These data document two main cooling phases since continental break-up 130 Myr ago, a rapid one (similar to 10 degrees C/Myr) following break-up and a slower one (similar to 12 degrees C/Myr) between 65 and 35 Ma. We interpret them respectively to be related to escarpment erosion following rifting and continental break-up and as a phase of enhanced denudation during the Early Eocene Climatic Optimum. We propose that during the Early Eocene Climatic Optimum chemical weathering was important and contributed significantly to the denudation of the Namibian margin and the formation of a pediplain around the Brandberg and enhanced valley incision within the massif. Additionally, aridification of the region since 35 Ma has resulted in negligible denudation rates since that time. (C) 2019 Elsevier B.V. All rights reserved.
The ‘bomb-pulse’ method is a chronological approach to further constrain the age of speleothems that grew between 1950 CE – present. Establishing dependable chronological constraints is crucial for modern calibration studies of speleothems to instrumental climate records, which provides the basis for paleoclimate interpretations. However, a large unknown is how 14C is transferred from the atmosphere to any individual speleothem owing to the site-specific residence times of organic matter above cave systems. Here, we employ the bomb-pulse method to build chronologies from 14C measurements in combination with a new unsaturated zone C model which considers C decomposition as a continuum, to better understand unsaturated zone 14C dynamics. The bomb-pulse curves of eight speleothems from southern Australia in three contrasting climatic regions; the semi-arid Wellington Caves site, the mediterranean Golgotha Cave site and the montane Yarrangobilly Caves site, are investigated. Overall, the modelled 14C bomb-pulse curves produce excellent fits with measured 14C speleothem data (r2 = 0.82–0.99). The C modelling reveals that unsaturated zone C is predominately young at the semi-arid site, with a weighted-mean residence time of 32 years and that tree root respiration is likely an important source of vadose CO2. At the montane site, ∼39% of C is young (<1 years), but the weighted-mean C ages are older (145–220 years). The mediterranean site has very little contribution from young C (<12%: 0–1 years), with weighted-mean ages between 157 and 245 years, likely due to greater adsorption of organic matter in the upper vadose zone during matrix flow, and remobilisation of C from young syngenetic karst. New end members for low speleothem Dead Carbon Proportion (DCP) are identified (2.19% and 1.65%, respectively) for Australian montane and semi-arid zone speleothems, where oversupply of modern CO2 in the vadose zone leads to lower DCP. It is also demonstrated that DCP can be quite variable over small time scales, that processes may be difficult to untangle and a constant DCP assumption is likely invalid. DCP variability over time is mainly controlled by the changes vadose zone CO2, where vegetation regeneration, wild-fires and karst hydrology play an important role.
Millennial-scale Dansgaard Oeschger (DO) variability at northern high latitudes has influenced climatic and environmental conditions in the Mediterranean during the last glacial period. There is evidence that the hemispheric transmission of the DO variability occurred at the end of DO event 25; however, the exact timing and the trigger that activated the environmental response in the Mediterranean remains incompletely understood. Here, we provide evidence that the clear millennial-scale teleconnection between Greenland and the Mediterranean started at similar to 111.4 ka BP and was initiated by a sub-millennial scale cooling in Greenland (GI-25b). High-resolution sediment proxies and the pollen record of Lago Grande di Monticchio (MON), Italy, reflect climatic instability during the last millennium of the last interglacial, which was characterised by a first and short cooling episode (MON 1) at 111.44 +/- 0.69 ka BP, coinciding with the Greenland cold sub-event GI-25b in duration and timing (within dating uncertainties). MON and Greenland (NorthGRIP ice core) also agree in recording a subsequent warm rebound phase that abruptly culminated in the stadial MON 2/GS-25, marking the transition into the last glacial period. Our results show that the GI-25b triggered an early environmental response at MON to centennial-scale climate change in Greenland as a prelude to the millennial-scale teleconnection that was maintained during the glacial period.
We analyze a large transient strainmeter signal recorded at 62.5 m depth along the southern shore of the eastern Sea of Marmara region in northwestern Turkey. This region represents a passage of stress transfer from the Izmit rupture to the Marmara seismic gap. The strain signal was recorded at the Esenkoy site by one of the ICDP-GONAF (International Continental Drilling Programme - Geophysical Observatory at the North Anatolian Fault) strainmeters on the Armutlu peninsula with a maximum amplitude of 5 microstrain and lasting about 50 days. The onset of the strain signal coincided with the origin time of a M-w 4.4 earthquake offshore Yalova, which occurred as part of a seismic sequence including eight M-w >= 3.5 earthquakes. The Mw 4.4 event occurred at a distance of about 30 km from Esenkoy on June 25th 2016 representing the largest earthquake in this region since 2008. Before the event, the maximum horizontal strain was subparallel to the regional maximum horizontal stress derived from stress inversion of local seismicity. During the strain transient, we observe a clockwise rotation in the local horizontal strain field of about 20 degrees. The strain signal does not correlate with known environmental parameters such as annual changes of sea level, rainfall or temperature. The strain signal could indicate local slow slip on the Cinarcik fault and thus a transfer of stress to the eastern Marmara seismic gap.
Empirical evidence of the relationship between social support and post-disaster mental health provides support for a general beneficial effect of social support (main-effect model; Wheaton, 1985). From a theoretical perspective, a buffering effect of social support on the negative relationship between disaster-related stress and mental health also seems plausible (stress-buffering model; Wheaton, 1985). Previous studies, however, (a) have paid less attention to the buffering effect of social support and (b) have mainly relied on interpersonal support (but not collective-level support such as community resilience) when investigating this issue. This previous work might have underestimated the effect of support on post-disaster mental health. Building on a sample of residents in Germany recently affected by flooding (N = 118), we show that community resilience to flooding (but not general interpersonal social support) buffered against the negative effects of flooding on post-disaster mental health. The results support the stress-buffering model and call for a more detailed look at the relationship between support and resilience and post-disaster adjustment, including collective-level variables.
Main group pallasite meteorites are samples of a single early magmatic planetesimal, dominated by metal and olivine but containing accessory chromite, sulfide, phosphide, phosphates, and rare phosphoran olivine. They represent mixtures of core and mantle materials, but the environment of formation is poorly understood, with a quiescent core-mantle boundary, violent core-mantle mixture, or surface mixture all recently suggested. Here, we review main group pallasite data sets and petrologic characteristics, and present new observations on the low-MnO pallasite Brahin that contains abundant fragmental olivine, but also rounded and angular olivine and potential evidence of sulfide-phosphide liquid immiscibility. A reassessment of the literature shows that low-MnO and high-FeO subgroups preferentially host rounded olivine and low-temperature P2O5-rich phases such as the Mg-phosphate farringtonite and phosphoran olivine. These phases form after metal and silicate reservoirs back-react during decreasing temperature after initial separation, resulting in oxidation of phosphorus and chromium. Farringtonite and phosphoran olivine have not been found in the common subgroup PMG, which are mechanical mixtures of olivine, chromite with moderate Al2O3 contents, primitive solid metal, and evolved liquid metal. Lower concentrations of Mn in olivine of the low-MnO PMG subgroup, and high concentrations of Mn in low-Al2O3 chromites, trace the development and escape of sulfide-rich melt in pallasites and the partially chalcophile behavior for Mn in this environment. Pallasites with rounded olivine indicate that the core-mantle boundary of their planetesimal may not be a simple interface but rather a volume in which interactions between metal, silicate, and other components occur.
James Ross Island (JRI) offers the exceptional opportunity to study microbial-driven pedogenesis without the influence of vascular plants or faunal activities (e.g., penguin rookeries). In this study, two soil profiles from JRI (one at Santa Martha Cove - SMC, and another at Brandy Bay BB) were investigated, in order to gain information about the initial state of soil formation and its interplay with prokaryotic activity, by combining pedological, geochemical and microbiological methods. The soil profiles are similar with respect to topographic position and parent material but are spatially separated by an orographic barrier and therefore represent windward and leeward locations towards the mainly southwesterly winds. These different positions result in differences in electric conductivity of the soils caused by additional input of bases by sea spray at the windward site and opposing trends in the depth functions of soil pH and electric conductivity. Both soils are classified as Cryosols, dominated by bacterial taxa such as Actinobacteria, Proteobacteria, Acidobacteria, Gemmatimonadetes and Chloroflexi. A shift in the dominant taxa was observed below 20 cm in both soils as well as an increased abundance of multiple operational taxonomic units (OTUs) related to potential chemolithoautotrophic Acidiferrobacteraceae. This shift is coupled by a change in microstructure. While single/pellicular grain microstructure (SMC) and platy microstructure (BB) are dominant above 20 cm, lenticular microstructure is dominant below 20 cm in both soils. The change in microstructure is caused by frequent freeze-thaw cycles and a relative high water content, and it goes along with a development of the pore spacing and is accompanied by a change in nutrient content. Multivariate statistics revealed the influence of soil parameters such as chloride, sulfate, calcium and organic carbon contents, grain size distribution and pedogenic oxide ratios on the overall microbial community structure and explained 49.9% of its variation. The correlation of the pedogenic oxide ratios with the compositional distribution of microorganisms as well as the relative abundance certain microorganisms such as potentially chemolithotrophic Acidiferrobacteraceae-related OTUs could hint at an interplay between soil-forming processes and microorganisms.
The establishment and evolution of the Asian monsoons and arid interior have been linked to uplift of the Tibetan Plateau, retreat of the inland proto-Paratethys Sea and global cooling during the Cenozoic. However, the respective role of these driving mechanisms remains poorly constrained. This is partly due to a lack of continental records covering the key Eocene epoch marked by the onset of Tibetan Plateau uplift, proto-Paratethys Sea incursions and long-term global cooling. In this study, we reconstruct paleoenvironments in the Xining Basin, NE Tibet, to show a long-term drying of the Asian continental interior from the early Eocene to the Oligocene. Superimposed on this trend are three alternations between arid mudflat and wetter saline lake intervals, which are interpreted to reflect atmospheric moisture fluctuations in the basin. We date these fluctuations using magnetostratigraphy and the radiometric age of an intercalated tuff layer. The first saline lake interval is tentatively constrained to the late Paleocene-early Eocene. The other two are firmly dated between similar to 46 Ma (top magnetochron C21n) and similar to 41 Ma (base C18r) and between similar to 40 Ma (base C18n) and similar to 37 Ma (top C17n). Remarkably, these phases correlate in time with highstands of the proto-Paratethys Sea. This strongly suggests that these sea incursions enhanced westerly moisture supply as far inland as the Xining Basin. We conclude that the proto-Paratethys Sea constituted a key driver of Asian climate and should be considered in model and proxy interpretations. (C) 2019 Elsevier B.V. All rights reserved.
Megathrust earthquakes are commonly accompanied by increased upper-plate seismicity and occasionally triggered fault slip. In Chile, crustal faults slipped during and after the 2010 Maule (M8.8) earthquake. We studied the El Yolki fault (EYOF), a transtensional structure midways the Maule rupture not triggered in 2010. We mapped a Holocene coastal plain using light detection and ranging, which did not reveal surface ruptures. However, the inner-edge and shoreline angles along the coastal plain as well as 4.3- to 4.0-ka intertidal sediments are back-tilted on the EYOF footwall block, documenting 10 m of vertical displacement. These deformed markers imply similar to 2-mm/year throw rate, and dislocation models a slip rate of 5.6 mm/year for the EYOF. In a 5-m-deep trench, the Holocene intertidal sediments onlap to five erosive steps, interpreted as staircase wave-cut landforms formed by discrete events of relative sea level drop. We tentatively associated these steps with coseismic uplift during EYOF earthquakes between 4.3 and 4.0 ka. The Maule earthquake rupture may be subdivided into three subsegments based on coseismic slip and gravity anomalies. Coulomb stress transfer models predict neutral stress changes at the EYOF during the Maule earthquake but positive changes for a synthetic slip distribution at the central subsegment. If EYOF earthquakes were triggered by megathrust events, their slip distribution was probably focused in the central subsegment. Our study highlights the millennial variability of crustal faulting and the megathrust earthquake cycle in Chile, with global implications for assessing the hazards posed by hidden but potentially seismogenic coastal faults along subduction zones.
Soil degradation is a severe and growing threat to ecosystem services globally. Soil loss is often nonlinear, involving a rapid deterioration from a stable eco-geomorphic state once a tipping point is reached. Soil loss thresholds have been studied at plot scale, but for landscapes, quantitative constraints on the necessary and sufficient conditions for tipping points are rare. Here, we document a landscape-wide eco-geomorphic tipping point at the edge of the Tibetan Plateau and quantify its drivers and erosional consequences. We show that in the upper Kali Gandaki valley, Nepal, soil formation prevailed under wetter conditions during much of the Holocene. Our data suggest that after a period of human pressure and declining vegetation cover, a 20% reduction of relative humidity and precipitation below 200 mm/year halted soil formation after 1.6 ka and promoted widespread gullying and rapid soil loss, with irreversible consequences for ecosystem services.
Due to increasing demands for irrigation using groundwater as a source there is an urgent need for efficient methods that shed light on the resulting anthropogenic impacts on the connected aquifers. Thus an innovative approach is introduced, that aims to identify predominant geochemical changes in the groundwater system. The approach involves a principal component analysis as a promising tool to disentangle the effects of different impacts and even to give a quantitative assessment of the respective effect strength at each site. The study was applied in an irrigation region of the Nuthe River Basin, State Brandenburg, Northeast Germany. The results identify the negative impacts on the groundwater quality in the aquifer used for irrigation. A decrease of shallow groundwater quality under irrigation due to contamination with fertilizers (NO3, Cl, K, Na) and a slight shift in the redox system is indicated. Beside this direct impact on the shallow groundwater a long-term impact on a deeper groundwater resource could be identified. There is clear evidence, that the contamination is not restricted to the shallow groundwater but that extraction from deeper wells increasingly includes deeper, uncontaminated groundwater resources into the local irrigation cycle. The approach can be used as a basic tool for the adaptation of sustainable agricultural irrigation management strategies.
The Argentine-German Geodetic Observatory (AGGO) is one of the very few sites in the Southern Hemisphere equipped with comprehensive cutting-edge geodetic instrumentation. The employed observation techniques are used for a wide range of geophysical applications. The data set provides gravity time series and selected gravity models together with the hydrometeorological monitoring data of the observatory. These parameters are of great interest to the scientific community, e.g. for achieving accurate realization of terrestrial and celestial reference frames. Moreover, the availability of the hydrometeorological products is beneficial to inhabitants of the region as they allow for monitoring of environmental changes and natural hazards including extreme events. The hydrological data set is composed of time series of groundwater level, modelled and observed soil moisture content, soil temperature, and physical soil properties and aquifer properties. The meteorological time series include air temperature, humidity, pressure, wind speed, solar radiation, precipitation, and derived reference evapotranspiration. These data products are extended by gravity models of hydrological, oceanic, La Plata estuary, and atmospheric effects. The quality of the provided meteorological time series is tested via comparison to the two closest WMO (World Meteorological Organization) sites where data are available only in an inferior temporal resolution. The hydrological series are validated by comparing the respective forward-modelled gravity effects to independent gravity observations reduced up to a signal corresponding to local water storage variation. Most of the time series cover the time span between April 2016 and November 2018 with either no or only few missing data points. The data set is available at https://doi.org/10.588/GFZ.5.4.2018.001 (Mikolaj et al., 2018).
Terrestrial gravimetry is increasingly used to monitor mass transport processes in geophysics boosted by the ongoing technological development of instruments. Resolving a particular phenomenon of interest, however, requires a set of gravity corrections of which the uncertainties have not been addressed up to now. In this study, we quantify the time domain uncertainty of tide, global atmospheric, large-scale hydrological, and nontidal ocean loading corrections. The uncertainty is assessed by comparing the majority of available global models for a suite of sites worldwide. The average uncertainty expressed as root-mean-square error equals 5.1nm/s(2), discounting local hydrology or air pressure. The correction-induced uncertainty of gravity changes over various time periods of interest ranges from 0.6nm/s(2) for hours up to a maximum of 6.7nm/s(2) for 6months. The corrections are shown to be significant and should be applied for most geophysical applications of terrestrial gravimetry. From a statistical point of view, however, resolving subtle gravity effects in the order of few nanometers per square second is challenged by the uncertainty of the corrections. Plain Language Summary Many scientists are exploring ways to benefit from gravity measurements in fields of high societal relevance such as monitoring of volcanoes or measuring the amount of water in underground. Any application of such new methods, however, requires careful preparation of the gravity measurements. The intention of the preparation process is to ensure that the measurements do not contain information about processes that are not of interest. For that reason, the influence of atmosphere, ocean, tides, and hydrology needs to be reduced from the gravity. In this study, we investigate how this reduction process influences the quality of the measurement. We found that the precision degrades especially owing to the hydrology. The ocean plays an important role at sites close to the coast and the atmosphere at sites located in mountains. The overall errors of the reductions may complicate a reliable use of gravity measurements in certain studies focusing on very small signals. Nevertheless, the precision of gravity reductions alone does not obstruct a meaningful use of gravity measurements in most research fields. Details specifying the reduction precision are provided in this study allowing scientist dealing with gravity measurements to decide if their signal of interest can be reliably resolved.
High spectral resolution (hyperspectral) remote sensing has already demonstrated its capabilities for soil constituent mapping based on absorption feature parameters. This paper tests different parametrizations of the 1.75 μm gypsum feature for the determination of gypsum abundances, from the laboratory to remote sensing applications of recent as well as upcoming hyperspectral sensors. In particular, this study focuses on remote sensing imagery over the large body of the Omongwa pan located in the Namibian Kalahari. Four common absorption feature parameters are compared: band ratio through the introduction of the Normalized Differenced Gypsum Index (NDGI), the shape-based parameters Slope, and Half-Area, and the Continuum Removed Absorption Depth (CRAD). On laboratory soil samples from the pan, CRAD and NDGI approaches perform best to determine gypsum content tested in cross validated regression models with XRD mineralogical data (R² = 0.84 for NDGI and R² = 0.86 for CRAD). Subsequently the laboratory prediction functions are transferred to remote sensing imagery of spaceborne Hyperion, airborne HySpex and simulated spaceborne EnMAP sensor. Variable results were obtained depending on sensor characteristics, data quality, preprocessing and spectral parameters. Overall, the CRAD parameter in this wavelength region proved not to be robust for remote sensing applications, and the simple band ratio based parameter, the NDGI, proved robust and is recommended for future use for the determination of gypsum content in bare soils based on remote sensing hyperspectral imagery.
Microbial community composition and abundance after millennia of submarine permafrost warming
(2019)
Warming of the Arctic led to an increase in permafrost temperatures by about 0.3 degrees C during the last decade. Permafrost warming is associated with increasing sediment water content, permeability, and diffusivity and could in the long term alter microbial community composition and abundance even before permafrost thaws. We studied the long-term effect (up to 2500 years) of submarine permafrost warming on microbial communities along an onshore-offshore transect on the Siberian Arctic Shelf displaying a natural temperature gradient of more than 10 degrees C. We analysed the in situ development of bacterial abundance and community composition through total cell counts (TCCs), quantitative PCR of bacterial gene abundance, and amplicon sequencing and correlated the microbial community data with temperature, pore water chemistry, and sediment physicochemical parameters. On timescales of centuries, permafrost warming coincided with an overall decreasing microbial abundance, whereas millennia after warming microbial abundance was similar to cold onshore permafrost. In addition, the dissolved organic carbon content of all cores was lowest in submarine permafrost after millennial-scale warming. Based on correlation analysis, TCC, unlike bacterial gene abundance, showed a significant rank-based negative correlation with increasing temperature, while bacterial gene copy numbers showed a strong negative correlation with salinity. Bacterial community composition correlated only weakly with temperature but strongly with the pore water stable isotopes delta O-18 and delta D, as well as with depth. The bacterial community showed substantial spatial variation and an overall dominance of Actinobacteria, Chloroflexi, Firmicutes, Gemmatimonadetes, and Proteobacteria, which are amongst the microbial taxa that were also found to be active in other frozen permafrost environments. We suggest that, millennia after permafrost warming by over 10 degrees C, microbial community composition and abundance show some indications for proliferation but mainly reflect the sedimentation history and paleoenvironment and not a direct effect through warming.
Debate persists concerning the timing and geodynamics of intercontinental collision, style of syncollisional deformation, and development of topography and fold-and-thrust belts along the >1,700-km-long Izmir-Ankara-Erzincan suture zone (IAESZ) in Turkey. Resolving this debate is a necessary precursor to evaluating the integrity of convergent margin models and kinematic, topographic, and biogeographic reconstructions of the Mediterranean domain. Geodynamic models argue either for a synchronous or diachronous collision during either the Late Cretaceous and/or Eocene, followed by Eocene slab breakoff and postcollisional magmatism. We investigate the collision chronology in western Anatolia as recorded in the sedimentary archives of the 90-km-long Saricakaya Basin perched at shallow structural levels along the IAESZ. Based on new zircon U-Pb geochronology and depositional environment and sedimentary provenance results, we demonstrate that the Saricakaya Basin is an Eocene sedimentary basin with sediment sourced from both the IAESZ and Sogut Thrust fault to the south and north, respectively, and formed primarily by flexural loading from north-south shortening along the syncollisional Sogut Thrust. Our results refine the timing of collision between the Anatolides and Pontide terranes in western Anatolia to Maastrichtian-Middle Paleocene and Early Eocene crustal shortening and basin formation. Furthermore, we demonstrate contemporaneous collision, deformation, and magmatism across the IAESZ, supporting synchronous collision models. We show that regional postcollisional magmatism can be explained by renewed underthrusting instead of slab breakoff. This new IAESZ chronology provides additional constraints for kinematic, geodynamic, and biogeographic reconstructions of the Mediterranean domain.
River bank filtration (RBF) is considered to efficiently remove nitrate and trace organic micropollutants (OMP) from polluted surface waters. This is essential for maintaining good groundwater quality and providing high quality drinking water. Predicting the fate of OMP during RBF is difficult as the biogeochemical factors controlling the removal efficiency are not fully understood. To determine in-situ removal efficiency and degradation rates of nitrate and OMP indicator substances we conducted a field study in a RBF system during a period of one and a half years incorporating temporally and spatially varying redox conditions and temperature changes typically occurring in temperate climates. RBF was analyzed by means of mixing ratios between infiltrated river water and groundwater as well as average residence times of surface water towards the individual groundwater observation wells. These results were used to calculate temperature dependent first order degradation rates of redox sensitive species and several OMP. Five out of ten investigated OMP were completely removed along RBF pathways. We demonstrate that degradation rates of several OMP during bank filtration were controlled by redox conditions and temperature whereby temperature itself also had a significant influence on the extent of the most reactive oxic zone. The seasonal variations in temperature alone could explain a considerable percentage of the variance in dissolved oxygen (34%), nitrate (81%) as well as the OMPs diclofenac (44%) and sulfamethoxazole (76%). Estimated in-situ degradation rates roughly varied within one order of magnitude for temperature changes between 5 degrees C and 20 degrees C. This study highlights that temporal variability in temperature and redox zonation is a significant factor for migration and degradation of nitrate and several OMPs. (C) 2019 Elsevier Ltd. All rights reserved.
Underground coal gasification (UCG) enables utilization of coal reserves, currently not economically exploitable due to complex geological boundary conditions. Hereby, UCG produces a high-calorific synthesis gas that can be used for generation of electricity, fuels, and chemical feedstock. The present study aims to identify economically-competitive, site-specific end-use options for onshore- and offshore-produced UCG synthesis gas, taking into account the capture and storage (CCS) and/or utilization (CCU) of produced CO2. Modeling results show that boundary conditions favoring electricity, methanol, and ammonia production expose low costs for air separation, low compression power requirements, and appropriate shares of H-2/N-2. Hereby, a gasification agent ratio of more than 30% oxygen by volume is not favorable from the economic and CO2 mitigation viewpoints. Compared to the costs of an offshore platform with its technical equipment, offshore drilling costs are marginal. Thus, uncertainties related to parameters influenced by drilling costs are negligible. In summary, techno-economic process modeling results reveal that air-blown gasification scenarios are the most cost-effective ones, while offshore UCG-CCS/CCU scenarios are up to 1.7 times more expensive than the related onshore processes. Hereby, all investigated onshore scenarios except from ammonia production under the assumed worst-case conditions are competitive on the European market.
Results of a paleolimnological investigation of a well-dated lake sediment section from Shikotan Island (Southern Kurils) showed that from ca 8.0 to 5.8 cal ka BP a warm and humid period corresponding to middle Holocene optimum took place. Cooling thereafter corresponds to Neoglacial. A reconstructed from ca 0.9 to ca 0.58 cal ka BP warm period can correspond to a Medieval Warm Period. Cooling after 0.58cal ka BP can be correlated with the LIA. Marine regression stages were identified at ca 6.2-5.9, 5.5-5.1 and 1.07-0.36 cal ka BP. The general chronology of major climatic events of Holocene in the island is in accordance with the climate records from the North Pacific region. Revealed spatial differences in timing and magnitude of the Late Holocene climatic episodes (LIA, MWP) in the region needs further investigations.
Groundwater transit time is an essential hydrologic metric for groundwater resources management. However, especially in tropical environments, studies on the transit time distribution (TTD) of groundwater infiltration and its corresponding mean transit time (mTT) have been extremely limited due to data sparsity. In this study, we primarily use stable isotopes to examine the TTDs and their mTTs of both vertical and horizontal infiltration at a riverbank infiltration area in the Vietnamese Mekong Delta (VMD), representative of the tropical climate in Asian monsoon regions. Precipitation, river water, groundwater, and local ponding surface water were sampled for 3 to 9 years and analysed for stable isotopes (delta O-18 and delta H-2), providing a unique data set of stable isotope records for a tropical region. We quantified the contribution that the two sources contributed to the local shallow groundwater by a novel concept of two-component lumped parameter models (LPMs) that are solved using delta O-18 records. The study illustrates that two-component LPMs, in conjunction with hydrological and isotopic measurements, are able to identify subsurface flow conditions and water mixing at riverbank infiltration systems. However, the predictive skill and the reliability of the models decrease for locations farther from the river, where recharge by precipitation dominates, and a low-permeable aquitard layer above the highly permeable aquifer is present. This specific setting impairs the identifiability of model parameters. For river infiltration, short mTTs (<40 weeks) were determined for sites closer to the river (<200 m), whereas for the precipitation infiltration, the mTTs were longer (>80 weeks) and independent of the distance to the river. The results not only enhance the understanding of the groundwater recharge dynamics in the VMD but also suggest that the highly complex mechanisms of surface-groundwater interaction can be conceptualized by exploiting two-component LPMs in general. The model concept could thus be a powerful tool for better understanding both the hydrological functioning of mixing processes and the movement of different water components in riverbank infiltration systems.
Ferns are among the most popular groups of plants in the tropics and subtropics, and their role as carbon sequestrators has been widely recognized. However, there is little understanding of the silicaceous structures (phytoliths) of ferns, rate of phytolith turnover, the consequences for organic matter sequestered in phytoliths and consequences for other soil properties. In the study reported here, high-resolution X-ray tomographic microscopy and chemical characterization were applied to examine the traits of phytoliths of the fern Dicranopteris linearis (Burm.f.) Underw. (D. linearis), with a focus on their dissolution properties and accumulation in northern Vietnamese soils in relation to soil properties. Tomographic images revealed an inter-embedding structure of silica and organic matter, especially in leaf-derived material. We propose that organic matter and silica can preserve each other against decomposition. In batch experiments, there was a relatively small rate of dissolution of phytoliths with dry ashing and subsequent H2O2 treatment. Silicon (Si) dissolution for D. linearis phytolith samples was much less than that for rice phytoliths. Despite the fact that the aluminum (Al) content was large in D. linearis leaves, batch dissolution data did not confirm a relation between Al and the slow rate of phytolith dissolution. The soil phytolith content varied from 0.9 to 7.5 g kg(-1) in the topsoil across the mountainous areas in northern Vietnam, whereas it tended to be smaller in the subsoil. The data indicate a relation between phytolith and soil organic matter, clay content, oxalate-soluble Al and electrical conductivity, suggesting that these soil properties are among the important factors affecting the size of the soil phytolith Si pool. Highlights
Past climate and continentality inferred from ice wedges at Batagay Highlands, interior Yakutia
(2019)
Ice wedges in the Yana Highlands of interior Yakutia - the most continental region of the Northern Hemisphere - were investigated to elucidate changes in winter climate and continentality that have taken place since the Middle Pleistocene. The Batagay megaslump exposes ice wedges and composite wedges that were sampled from three cryostratigraphic units: the lower ice complex of likely pre-Marine Isotope Stage (MIS) 6 age, the upper ice complex (Yedoma) and the upper sand unit (both MIS 3 to 2). A terrace of the nearby Adycha River provides a Late Holocene (MIS 1) ice wedge that serves as a modern reference for interpretation. The stable-isotope composition of ice wedges in the MIS 3 upper ice complex at Batagay is more depleted (mean delta O-18 about -35 parts per thousand) than those from 17 other ice-wedge study sites across coastal and central Yakutia. This observation points to lower winter temperatures and therefore higher continentality in the Yana Highlands during MIS 3. Likewise, more depleted isotope values are found in Holocene wedge ice (mean delta O-18 about -29 parts per thousand) compared to other sites in Yakutia. Ice-wedge isotopic signatures of the lower ice complex mean delta O-18 about -33 parts per thousand) and of the MIS 3-2 upper sand unit (mean delta O-18 from about -33 parts per thousand to -30 parts per thousand) are less distinctive regionally. The latter unit preserves traces of fast formation in rapidly accumulating sand sheets and of post-depositional isotopic fractionation.
Frequent and intense rainfall events demand innovative techniques to better predict the extreme rainfall dynamics. This task requires essentially the assessment of the basic types of atmospheric processes that trigger extreme rainfall, and then to examine the differences between those processes, which may help to identify key patterns to improve predictive algorithms. We employ tools from network theory to compare the spatial features of extreme rainfall over the Japanese archipelago and surrounding areas caused by two atmospheric processes: the Baiu front, which occurs mainly in June and July (JJ), and the tropical storms from August to November (ASON). We infer from complex networks of satellite-derived rainfall data, which are based on the nonlinear correlation measure of event synchronization. We compare the spatial scales involved in both systems and identify different regions which receive rainfall due to the large spatial scale of the Baiu and tropical storm systems. We observed that the spatial scales involved in the Baiu driven rainfall extremes, including the synoptic processes behind the frontal development, are larger than tropical storms, which even have long tracks during extratropical transitions. We further delineate regions of coherent rainfall during the two seasons based on network communities, identifying the horizontal (east-west) rainfall bands during JJ over the Japanese archipelago, while during ASON these bands align with the island arc of Japan.
The fall into the Oligocene icehouse is marked by a steady decline in global temperature with punctuated cooling at the Eocene-Oligocene transition, both of which are well documented in the marine realm. However, the chronology and mechanisms of cooling on land remain unclear. Here, we use clumped isotope thermometry on northeastern Tibetan continental carbonates to reconstruct a detailed Paleogene surface temperature record for the Asian continental interior, and correlate this to an enhanced pollen data set. Our results show two successive dramatic (>9 degrees C) temperature drops, at 37 Ma and at 33.5 Ma. These large-magnitude decreases in continental temperatures can only be explained by a combination of both regional cooling and shifts of the rainy season to cooler months, which we interpret to reflect a decline of monsoonal intensity. Our results suggest that the response of Asian surface temperatures and monsoonal rainfall to the steady decline of atmospheric CO2 and global temperature through the late Eocene was nonlinear and occurred in two steps separated by a period of climatic instability. Our results support the onset of the Antarctic Circumpolar Current coeval to the Oligocene isotope event 1 (Oi-1) glaciation at 33.5 Ma, reshaping the distribution of surface heat worldwide; however, the origin of the 37 Ma cooling event remains less clear.
The surface deformation associated with the 2010 M-w 8.8 Maule earthquake in Chile was recorded in great detail before, during and after the event. The high data quality of the continuous GPS (cGPS) observations has facilitated a number of studies that model the postseismic deformation signal with a combination of relocking, afterslip and viscoelastic relaxation using linear rheology for the upper mantle. Here, we investigate the impact of using linear Maxwell or power-law rheology with a 2D geomechanical-numerical model to better understand the relative importance of the different processes that control the postseismic deformation signal. Our model results reveal that, in particular, the modeled cumulative vertical postseismic deformation pattern in the near field (< 300 km from the trench) is very sensitive to the location of maximum afterslip and choice of rheology. In the model with power-law rheology, the afterslip maximum is located at 20-35 km rather than > 50 km depth as suggested in previous studies. The explanation for this difference is that in the model with power-law rheology the relaxation of coseismically imposed differential stresses occurs mainly in the lower crust. However, even though the model with power-law rheology probably has more potential to explain the vertical postseismic signal in the near field, the uncertainty of the applied temperature field is substantial, and this needs further investigations and improvements.
Water fluxes in highly impounded regions are heavily dependent on reservoir properties. However, for large and remote areas, this information is often unavailable. In this study, the geometry and volume of small surface reservoirs in the semi-arid region of Brazil were estimated using terrain and shape attributes extracted by remote sensing. Regression models and data classification were used to predict the volumes, at different water stages, of 312 reservoirs for which topographic information is available. The power function used to describe the reservoir shapes tends to overestimate the volumes; therefore, a modified shape equation was proposed. Among the methods tested, four were recommended based on performance and simplicity, for which the mean absolute percentage errors varied from 24 to 39%, in contrast to the 94% error achieved with the traditional method. Despite the challenge of precisely deriving the flooded areas of reservoirs, water management in highly reservoir-dense environments should benefit from volume prediction based on remote sensing.
As a consequence of the rapid growing worldwide seismic data set, a huge variety of automatized data-processing methods have been developed. To perform automatized waveform-based seismological studies aiming for magnitudes or source process inversion, it is crucial to identify network stations with erroneous transfer functions, gain factors, or component orientations. We developed a new tool dedicated to automated station quality control of dense seismic networks and arrays. The python-based AutoStatsQ toolbox uses the pyrocko seismic data-processing environment. The toolbox automatically downloads data and metadata for selected teleseismic events and performs different tests. As a result, relative gain factors, sensor orientation corrections, and reliable frequency bands are computed for all stations in a chosen time period. Relative gain factors are calculated for all stations and events in a time domain based on maximum P-phase amplitudes. A Rayleigh-wave polarization analysis is used to identify deviating sensor orientations. The power spectra of all stations in a given frequency range are compared with synthetic ones, accessing Global Centroid Moment Tensor (CMT) solutions. Frequency ranges of coinciding synthetic and recorded power spectral densities (PSDs) may serve as guidelines for choosing band-pass filters for moment tensor (MT) inversion and help confirm the corner frequency of the instrument. The toolbox was applied to the permanent and temporary AlpArray networks as well as to the denser SWATH-D network, a total of over 750 stations. Stations with significantly deviating gain factors were identified, as well as stations with inverse polarity and misorientations of the horizontal components. The tool can be used to quickly access network quality and to omit or correct stations before MT inversion. Electronic Supplement: List of teleseismic events and tables of median, mean, and standard deviation of relative gain factors, and figures of relative gain factors of all event-station pairs, waveform example showing inverse polarity of horizontal components on ZS.D125, histograms of median, mean, and standard deviation of the correction angles, examples of synthetic and recorded frequency spectra of ZS.D046 and NI.VINO.
SiO(2 )is the main component of silicate melts and thus controls their network structure and physical properties. The compressibility and viscosities of melts at depth are governed by their short range atomic and electronic structure. We measured the O K-edge and the Si L-2,L-3-edge in silica up to 110 GPa using X-ray Raman scattering spectroscopy, and found a striking match to calculated spectra based on structures from molecular dynamic simulations. Between 20 and 27 GPa, Si-[4] species are converted into a mixture of Si-[5] and Si-[6] species and between 60 and 70 GPa, Si-[6] becomes dominant at the expense of Si-[5] with no further increase up to at least 110 GPa. Coordination higher than 6 is only reached beyond 140 GPa, corroborating results from Brillouin scattering. Network modifying elements in silicate melts may shift this change in coordination to lower pressures and thus magmas could be denser than residual solids at the depth of the core-mantle boundary.
Solar wind observations show that geomagnetic storms are mainly driven by interplanetary coronal mass ejections (ICMEs) and corotating or stream interaction regions (C/SIRs). We present a binary classifier that assigns one of these drivers to 7,546 storms between 1930 and 2015 using ground‐based geomagnetic field observations only. The input data consists of the long‐term stable Hourly Magnetospheric Currents index alongside the corresponding midlatitude geomagnetic observatory time series. This data set provides comprehensive information on the global storm time magnetic disturbance field, particularly its spatial variability, over eight solar cycles. For the first time, we use this information statistically with regard to an automated storm driver identification. Our supervised classification model significantly outperforms unskilled baseline models (78% accuracy with 26[19]% misidentified interplanetary coronal mass ejections [corotating or stream interaction regions]) and delivers plausible driver occurrences with regard to storm intensity and solar cycle phase. Our results can readily be used to advance related studies fundamental to space weather research, for example, studies connecting galactic cosmic ray modulation and geomagnetic disturbances. They are fully reproducible by means of the underlying open‐source software (Pick, 2019, http://doi.org/10.5880/GFZ.2.3.2019.003)
Evolution of Large-Scale Magnetic Fields From Near-Earth Space During the Last 11 Solar Cycles
(2019)
We use hourly mean magnetic field measurements from 34 midlatitude geomagnetic observatories between 1900 and 2015 to investigate the long-term evolution and driving mechanism of the large-scale external magnetic field at ground. The Hourly Magnetospheric Currents index (HMC) is derived as a refinement of the Annual Magnetospheric Currents index (HMC, Pick & Korte, 2017, https://doi.org/10.1093/gji/ggx367). HMC requires an extensive revision of the observatory hourly means. It depends on three third party geomagnetic field models used to eliminate the core, the crustal, and the ionospheric solar-quiet field contributions. We mitigate the dependency of HMC on the core field model by subtracting only nondipolar components of the model from the data. The separation of the residual (dipolar) signal into internal and external (HMC) parts is the main methodological challenge. Observatory crustal biases are updated with respect to AMC, and the solar-quiet field estimation is extended to the past based on a reconstruction of solar radio flux (F10.7). We find that HMC has more power at low frequencies (periods = 1 year) than the Dcx index, especially at periods relevant to the solar cycle. Most of the slow variations in HMC can be explained by the open solar magnetic flux. There is a weakly decreasing linear trend in absolute HMC from 1900 to present, which depends sensitively on the data rejection criteria at early years. HMC is well suited for studying long-term variations of the geomagnetic field.
The one-dimensional (1-D) approach is still the dominant method to incorporate site effects in engineering applications. To bridge the 1-D to multidimensional site response analysis, we develop quantitative criteria and a reproducible method to identify KiK-net sites with significant deviations from 1-D behavior. We found that 158 out of 354 show two-dimensional (2-D) and three-dimensional (3-D) effects, extending the resonance toward shorter periods at which 2-D or 3-D site effects exceed those of the classic 1-D configurations and imposing an additional amplification to that caused by the impedance contrast alone. Such 2-D and 3-D effects go along with a large within-station ground motion variability. Remarkably, these effects are found to be more pronounced for small impedance contrasts. While it is hardly possible to identify common features in ground motion behavior for stations with similar topography typologies, it is not over-conservative to apply a safety factor to account for 2-D and 3-D site effects in ground motion modeling.
A proper assessment of seismic reference site conditions has important applications as they represent the basis on which ground motions and amplifications are generally computed. Besides accounting for the average S-wave velocity over the uppermost 30 m (V-S30), the parameterization of high-frequency ground motions beyond source-corner frequency received significant attention. kappa, an empirical parameter introduced by Anderson and Hough (1984), is often used to represent the spectral decay of the acceleration spectrum at high frequencies. The lack of hard-rock records and the poor understanding of the physics of kappa introduced significant epistemic uncertainty in the final seismic hazard of recent projects. Thus, determining precise and accurate regional hard-rock kappa(0) values is critical. We propose an alternative procedure for capturing the reference kappa(0) on regional scales by linking thewell-known high-frequency attenuation parameter kappa and the properties of multiple-scattered coda waves. Using geological and geophysical data around more than 1300 stations for separating reference and soft soil sites and based on more than 10,000 crustal earthquake recordings, we observe that kappa(0) from multiple-scattered coda waves seems to be independent of the soil type but correlated with the hard-rock kappa(0), showing significant regional variations across Europe. The values range between 0.004 s for northern Europe and 0.020 s for the southern and southeastern parts. On the other hand, measuring kappa (and correspondingly kappa(0)) on the S-wave window (as classically proposed), the results are strongly affected by transmitted (reflected, refracted, and scattered) waves included in the analyzed window biasing the proper assessment of kappa(0). This effect is more pronounced for soft soil sites. In this way, kappa(coda)(0) can serve as a proxy for the regional hard-rock kappa(0) at the reference sites.
The semiarid northeast of Brazil is one of the most densely populated dryland regions in the world and recurrently affected by severe droughts. Thus, reliable seasonal forecasts of streamflow and reservoir storage are of high value for water managers. Such forecasts can be generated by applying either hydrological models representing underlying processes or statistical relationships exploiting correlations among meteorological and hydrological variables. This work evaluates and compares the performances of seasonal reservoir storage forecasts derived by a process-based hydrological model and a statistical approach.
Driven by observations, both models achieve similar simulation accuracies. In a hindcast experiment, however, the accuracy of estimating regional reservoir storages was considerably lower using the process-based hydrological model, whereas the resolution and reliability of drought event predictions were similar by both approaches. Further investigations regarding the deficiencies of the process-based model revealed a significant influence of antecedent wetness conditions and a higher sensitivity of model prediction performance to rainfall forecast quality.
Within the scope of this study, the statistical model proved to be the more straightforward approach for predictions of reservoir level and drought events at regionally and monthly aggregated scales. However, for forecasts at finer scales of space and time or for the investigation of underlying processes, the costly initialisation and application of a process-based model can be worthwhile. Furthermore, the application of innovative data products, such as remote sensing data, and operational model correction methods, like data assimilation, may allow for an enhanced exploitation of the advanced capabilities of process-based hydrological models.
The Andean Plateau of NW Argentina is a prominent example of a high-elevation orogenic plateau characterized by internal drainage, arid to hyper-arid climatic conditions and a compressional basin-and-range morphology comprising thick sedimentary basins. However, the development of the plateau as a geomorphic entity is not well understood. Enhanced orographic rainout along the eastern, windward plateau flank causes reduced fluvial run-off and thus subdued surface-process rates in the arid hinterland. Despite this, many Puna basins document a complex history of fluvial processes that have transformed the landscape from aggrading basins with coalescing alluvial fans to the formation of multiple fluvial terraces that are now abandoned. Here, we present data from the San Antonio de los Cobres (SAC) area, a sub-catchment of the Salinas Grandes Basin located on the eastern Puna Plateau bordering the externally drained Eastern Cordillera. Our data include: (a) new radiometric U-Pb zircon data from intercalated volcanic ash layers and detrital zircons from sedimentary key horizons; (b) sedimentary and geochemical provenance indicators; (c) river profile analysis; and (d) palaeo-landscape reconstruction to assess aggradation, incision and basin connectivity. Our results suggest that the eastern Puna margin evolved from a structurally controlled intermontane basin during the Middle Miocene, similar to intermontane basins in the Mio-Pliocene Eastern Cordillera and the broken Andean foreland. Our refined basin stratigraphy implies that sedimentation continued during the Late Mio-Pliocene and the Quaternary, after which the SAC area was subjected to basin incision and excavation of the sedimentary fill. Because this incision is unrelated to baselevel changes and tectonic processes, and is similar in timing to the onset of basin fill and excavation cycles of intermontane basins in the adjacent Eastern Cordillera, we suspect a regional climatic driver, triggered by the Mid-Pleistocene Climate Transition, caused the present-day morphology. Our observations suggest that lateral orogenic growth, aridification of orogenic interiors, and protracted plateau sedimentation are all part of a complex process chain necessary to establish and maintain geomorphic characteristics of orogenic plateaus in tectonically active mountain belts.
The intermontane Humahuaca Basin in the Eastern Cordillera of the northwest Argentine Andes lies leeward of an orographic barrier to easterly derived moisture. An average of >2000 mm/yr of rainfall along the eastern flanks of the barrier contrasts with <200 mm/yr in the orogen interior. Paleoenvironmental reconstructions suggest that the basin became disconnected from the foreland during the Miocene-Pliocene by the growth of fault-bounded mountain ranges. Fossil records, sedimentology, and stable isotope data imply that rerouting of the fluvial network by 4.2 Ma and reduced rainfall by ca. 3 Ma were consequences of that range uplift. Here, we present cosmogenic nuclide-derived (Be-10) paleodenudation rates from 6 to 2 Ma fluvial deposits collected from the Humahuaca Basin. Despite increased tectonic activity, our Be-10 data show a tenfold decrease in denudation rates at ca. 3 Ma, documenting a link between uplift-induced semiarid conditions and decreasing hillslope denudation rates. This new data set thus demonstrates the influence of hydrological change on spatiotemporal denudation patterns in tectonically active mountain areas.
In Magnetotellurics (MT) natural electromagnetic field variations are recorded to study the electrical conductivity structure of the subsurface. Thereby long time-series of electromagnetic data are subdivided into smaller segments, which are Fourier transformed and typically averaged in a statistically robust manner to obtain MT transfer functions. Unfortunately, nowadays the presence of man-made electromagnetic noise sources often deteriorates a significant fraction of the recorded time-series by overprinting the desired natural field variations. Available approaches to obtain undisturbed and high quality MT results include, for example robust statistics, remote reference or multi-station analyses which aim at the removal of outliers or uncorrelated noise. However, we have observed that intermittent noise often affects a certain time span resulting in a second cluster of transfer functions in addition to the expected true MT distribution. In this paper, we present a novel criterion for the detection and pre-selection of EM noise in form of outliers or additional clusters based on a distance measure of each data segment with regard to the centre of the data distribution. For this purpose, we utilize the Mahalanobis distance (MD) which computes the distance between two multivariate points considering the covariance matrix of the data that quantifies the shape and the size of multivariate data distributions. As the MD considers the covariance matrix, it corrects not only for different variances but also for any correlation between the data. The computation of both, the mean value and covariance matrix, is susceptible to ouliers (e.g. noise) and requires a statistically robust estimation. We tested several robust estimators, for example median absolute deviation or minimum covariance determinant algorithm and finally implemented an automatic criterion using a deterministic minimum covariance determinant algorithm. We will present results using MT data from various field experiments all over the world, which illustrate successfull data improvement. This approach is able to remove scattered data points as well as to reject complete data cluster originating from noise sources. However, like all purely statistical algorithms the criterion is limited to cases where the majority of the recorded data is well-behaved, that is noise content is below 50 per cent. If the majority of data points originates from noise sources, the new criterion will fail if used in an automatic way. In these cases, additional input by the user either manually or in an automated fashion can be utilized. We therefore suggest to use an add-on criterion to back the MD selection and subsequent robust stacking in form of a physically motivated constraint based on the magnetic incidence direction. This property indicates whether the magnetic field originates from various sources in the far field or from a strong and well defined source in the near field.
The Last Interglacial (Eemian, MIS 5e) can be considered a test-bed for climate dynamics under a warmer-than-present climate. In this study we present a chironomid record from the high latitude Sokli site (N Finland), where a long continuous sediment sequence from the last interglacial has been preserved from glacial erosion. The chironomid-analysis shows a diverse fauna, with dominance of warm-water indicators and shifts in assemblage composition that can be attributed to temperature, lake depth, productivity and habitat availability. Quantitative mean July paleotemperature estimates based on the chironomid data indicate overall mean July air temperatures up to 1 degrees C warmer than present. Two cooling events can be discerned, the Tunturi event, dated to about 127.5kaBP, in the lower part of the sequence, and the Varrio event, dated to about 119kaBP, associated with the beginning of a cooling trend in the upper part of the record. Warm conditions already at the onset of the interglacial contrast with a recent chironomid-based last interglacial temperature reconstruction from Denmark, which suggests a late onset of Eemian warming. The relatively small increase in inferred temperatures compared to present day temperatures at Sokli differs from other high latitude Eemian sites, and likely reflects the influence of the Atlantic Meridional Overturning Circulation in maintaining already elevated temperatures in Fennoscandia during interglacials.
The thermal structure of subduction zones exerts a major influence on deep-seated mechanical and chemical processes controlling arc magmatism, seismicity, and global element cycles. Accretionary complexes exposed inland may comprise tectonic blocks with contrasting pressure-temperature (P-T) histories, making it possible to investigate the dynamics and thermal evolution of former subduction interfaces. With this aim, we present new Lu-Hf geochronological results for mafic rocks of the Halilbagi Complex (Anatolia) that evolved along different thermal gradients. Samples include a lawsonite-epidote blueschist, a lawsonite-epidote eclogite, and an epidote eclogite (all with counter-clockwise P-T paths), a prograde lawsonite blueschist with a "hairpin"-type P-T path, and a garnet amphibolite from the overlying sub-ophiolitic metamorphic sole. Equilibrium phase diagrams suggest that the garnet amphibolite formed at similar to 0.6-0.7 GPa and 800-850 degrees C, whereas the prograde lawsonite blueschist records burial from 2.1 GPa and 420 degrees C to 2.6 GPa and 520 degrees C. Well-defined Lu-Hf isochrons were obtained for the epidote eclogite (92.38 +/- 0.22 Ma) and the lawsonite-epidote blueschist (90.19 +/- 0.54 Ma), suggesting rapid garnet growth. The lawsonite-epidote eclogite (87.30 +/- 0.39 Ma) and the prograde lawsonite blueschist (ca. 86 Ma) are younger, whereas the garnet amphibolite (104.5 +/- 3.5 Ma) is older. Our data reveal a consistent trend of progressively decreasing geothermal gradient from granulite-facies conditions at similar to 104 Ma to the epidote-eclogite facies around 92 Ma, and the lawsonite blueschist-facies between 90 Ma and 86 Ma. Three Lu-Hf garnet dates (between 92 Ma and 87 Ma) weighted toward the growth of post-peak rims (as indicated by Lu distribution in garnet) suggest that the HP/LT rocks were exhumed continuously and not episodically. We infer that HP/LT metamorphic rocks within the Halilbagi Complex were subjected to continuous return flow, with "warm" rocks being exhumed during the tectonic burial of "cold" ones. Our results, combined with regional geological constraints, allow us to speculate that subduction started at a transform fault near a mid-oceanic spreading centre. Following its formation, this ancient subduction interface evolved thermally over more than 15 Myr, most likely as a result of heat dissipation rather than crustal underplating. (C) 2018, China University of Geosciences (Beijing) and Peking University. Production and hosting by Elsevier B.V.
Introducing PebbleCounts
(2019)
Grain-size distributions are a key geomorphic metric of gravel-bed rivers. Traditional measurement methods include manual counting or photo sieving, but these are achievable only at the 1–10 ㎡ scale. With the advent of drones and increasingly high-resolution cameras, we can now generate orthoimagery over hectares at millimeter to centimeter resolution. These scales, along with the complexity of high-mountain rivers, necessitate different approaches for photo sieving. As opposed to other image segmentation methods that use a watershed approach, our open-source algorithm, PebbleCounts, relies on k-means clustering in the spatial and spectral domain and rapid manual selection of well-delineated grains. This improves grain-size estimates for complex riverbed imagery, without post-processing. We also develop a fully automated method, PebbleCountsAuto, that relies on edge detection and filtering suspect grains, without the k-means clustering or manual selection steps. The algorithms are tested in controlled indoor conditions on three arrays of pebbles and then applied to 12 × 1 ㎡ orthomosaic clips of high-energy mountain rivers collected with a camera-on-mast setup (akin to a low-flying drone). A 20-pixel b-axis length lower truncation is necessary for attaining accurate grain-size distributions. For the k-means PebbleCounts approach, average percentile bias and precision are 0.03 and 0.09 ψ, respectively, for ∼1.16 mm pixel⁻¹ images, and 0.07 and 0.05 ψ for one 0.32 mm pixel⁻¹ image. The automatic approach has higher bias and precision of 0.13 and 0.15 ψ, respectively, for ∼1.16 mm pixel⁻¹ images, but similar values of −0.06 and 0.05 ψ for one 0.32 mm pixel⁻¹ image. For the automatic approach, only at best 70 % of the grains are correct identifications, and typically around 50 %. PebbleCounts operates most effectively at the 1 ㎡ patch scale, where it can be applied in ∼5–10 min on many patches to acquire accurate grain-size data over 10–100 ㎡ areas. These data can be used to validate PebbleCountsAuto, which may be applied at the scale of entire survey sites (102–104 ㎡ ). We synthesize results and recommend best practices for image collection, orthomosaic generation, and grain-size measurement using both algorithms.
Thermokarst results from the thawing of ice-rich permafrost and alters the biogeochemical cycling in the Arctic by reworking soil material and redistributing soil organic carbon (SOC) and total nitrogen (TN) along uplands, hillslopes, and lowlands. Understanding the impact of this redistribution is key to better estimating the storage of SOC in permafrost terrains. However, there are insufficient studies quantifying long-term impacts of thaw processes on the distribution of SOC and TN along hillslopes. We address this issue by providing estimates of SOC and TN stocks along the hillslopes of three valleys located on Herschel Island (Yukon, Canada), and by discussing the impact of hillslope thermokarst on the variability of SOC and TN stocks. We found that the average SOC and TN 0-100 cm stocks in the valleys were 26.4 +/- 8.9 kg C m(-2) and 2.1 +/- 0.6 kg N m(-2). We highlight the strong variability in the soils physical and geochemical properties within hillslope positions. High SOC stocks were found at the summits, essentially due to burial of organic matter by cryoturbation, and at the toeslopes due to impeded drainage which favored peat formation and SOC accumulation. The average carbon-to-nitrogen ratio in the valleys was 12.9, ranging from 9.7 to 18.9, and was significantly higher at the summits compared to the backslopes and footslopes (p < 0.05), suggesting a degradation of SOC downhill. Carbon and nitrogen contents and stocks were significantly lower on 16% of the sites that were previously affected by hillslope thermokarst (p < 0.05). Our results showed that lateral redistribution of SOC and TN due to hillslope thermokarst has a strong impact on the SOC storage in ice-rich permafrost terrains.
The interactions between atmosphere and steep topography in the eastern south–central Andes result in complex relations with inhomogenous rainfall distributions. The atmospheric conditions leading to deep convection and extreme rainfall and their spatial patterns—both at the valley and mountain-belt scales—are not well understood. In this study, we aim to identify the dominant atmospheric conditions and their spatial variability by analyzing the convective available potential energy (CAPE) and dew-point temperature (Td). We explain the crucial effect of temperature on extreme rainfall generation along the steep climatic and topographic gradients in the NW Argentine Andes stretching from the low-elevation eastern foreland to the high-elevation central Andean Plateau in the west. Our analysis relies on version 2.0 of the ECMWF’s (European Centre for Medium-RangeWeather Forecasts) Re-Analysis (ERA-interim) data and TRMM (Tropical Rainfall Measuring Mission) data. We make the following key observations: First, we observe distinctive gradients along and across strike of the Andes in dew-point temperature and CAPE that both control rainfall distributions. Second, we identify a nonlinear correlation between rainfall and a combination of dew-point temperature and CAPE through a multivariable regression analysis. The correlation changes in space along the climatic and topographic gradients and helps to explain controlling factors for extreme-rainfall generation. Third, we observe more contribution (or higher importance) of Td in the tropical low-elevation foreland and intermediate-elevation areas as compared to the high-elevation central Andean Plateau for 90th percentile rainfall. In contrast, we observe a higher contribution of CAPE in the intermediate-elevation area between low and high elevation, especially in the transition zone between the tropical and subtropical areas for the 90th percentile rainfall. Fourth, we find that the parameters of the multivariable regression using CAPE and Td can explain rainfall with higher statistical significance for the 90th percentile compared to lower rainfall percentiles. Based on our results, the spatial pattern of rainfall-extreme events during the past ∼16 years can be described by a combination of dew-point temperature and CAPE in the south–central Andes.
The large, shallow earthquakes at Northridge, California (1994), Chi-Chi, Taiwan (1999), and Wenchuan, China (2008), each triggered thousands of landslides. We have determined the position of these landslides along hillslopes, normalizing for statistical bias. The landslide patterns have a co-seismic signature, with clustering at ridge crests and slope toes. A cross-check against rainfall-induced landslide inventories seems to confirm that crest clustering is specific to seismic triggering as observed in previous studies. In our three study areas, the seismic ground motion parameters and lithologic and topographic features used do not seem to exert a primary control on the observed patterns of landslide clustering. However, we show that at the scale of the epicentral area, crest and toe clustering occur in areas with specific geological features. Toe clustering of seismically induced landslides tends to occur along regional major faults. Crest clustering is concentrated at sites where the lithology along hillslopes is approximately uniform, or made of alternating soft and hard strata, and without strong overprint of geological structures. Although earthquake-induced landslides locate higher on hillslopes in a statistically significant way, geological features strongly modulate the landslide position along the hillslopes. As a result the observation of landslide clustering on topographic ridges cannot be used as a definite indicator of the topographic amplification of ground shaking.
Proxy records from climate archives provide evidence about past climate changes, but the recorded signal is affected by non-climate-related effects as well as time uncertainty. As proxy-based climate reconstructions are frequently used to test climate models and to quantitatively infer past climate, we need to improve our understanding of the proxy record signal content as well as the uncertainties involved. In this study, we empirically estimate signal-to-noise ratios (SNRs) of temperature proxy records used in global compilations of the middle to late Holocene (last 6000 years). This is achieved through a comparison of the correlation of proxy time series from nearby sites of three compilations and model time series extracted at the proxy sites from two transient climate model simulations: a Holocene simulation of the ECHAM5/MPI-OM model and the Holocene part of the TraCE-21ka simulation. In all comparisons, we found the mean correlations of the proxy time series on centennial to millennial timescales to be low (R < 0.2), even for nearby sites, which resulted in low SNR estimates. The estimated SNRs depend on the assumed time uncertainty of the proxy records, the timescale analysed, and the model simulation used. Using the spatial correlation structure of the ECHAM5/MPI-OM simulation, the estimated SNRs on centennial timescales ranged from 0.05 - assuming no time uncertainty - to 0.5 for a time uncertainty of 400 years. On millennial timescales, the estimated SNRs were generally higher. Use of the TraCE-21ka correlation structure generally resulted in lower SNR estimates than for ECHAM5/MPI-OM. As the number of available high-resolution proxy records continues to grow, a more detailed analysis of the signal content of specific proxy types should become feasible in the near future. The estimated low signal content of Holocene temperature compilations should caution against over-interpretation of these multi-proxy and multisite syntheses until further studies are able to facilitate a better characterisation of the signal content in paleoclimate records.
Flow accumulation algorithms estimate the steady state of flow on real or modeled topographic surfaces and are crucial for hydrological and geomorphological assessments, including delineation of river networks, drainage basins, and sediment transport processes. Existing flow accumulation algorithms are typically designed to compute flows on regular grids and are not directly applicable to arbitrarily sampled topographic data such as lidar point clouds. In this study we present a random sampling scheme that generates homogeneous point densities, in combination with a novel flow path tracing approach-the Facet-Flow Network (FFN)-that estimates flow accumulation in terms of specific catchment area (SCA) on triangulated surfaces. The random sampling minimizes biases due to spatial sampling and the FFN allows for direct flow estimation from point clouds. We validate our approach on a Gaussian hill surface and study the convergence of its SCA compared to the analytical solution. Here, our algorithm outperforms the multiple flow direction algorithm, which is optimized for divergent surfaces. We also compute the SCA of a 6-km(2)-steep, vegetated catchment on Santa Cruz Island, California, based on airborne lidar point-cloud data. Point-cloud-based SCA values estimated by our method compare well with those estimated by the D-infinity or multiple flow direction algorithm on gridded data. The advantage of computing SCA from point clouds becomes relevant especially for divergent topography and for small drainage areas: These are depicted with much more detail due to the higher sampling density of point clouds.
The question of whether urbanization contributes to increasing carbon dioxide emissions has been mainly investigated via scaling relationships with population or population density. However, these approaches overlook the correlations between population and area, and ignore possible interactions between these quantities. Here, we propose a generalized framework that simultaneously considers the effects of population and area along with possible interactions between these urban metrics. Our results significantly improve the description of emissions and reveal the coupled role between population and density on emissions. These models show that variations in emissions associated with proportionate changes in population or density may not only depend on the magnitude of these changes but also on the initial values of these quantities. For US areas, the larger the city, the higher is the impact of changing its population or density on its emissions; but population changes always have a greater effect on emissions than population density.
Three small stalagmites from Zoolithencave (southern Germany) show visible laminae, which consist of a clear and a brownish, pigmented layer pair. This potentially provides the opportunity to construct precise chronologies by counting annual laminae. The growth period of the three stalagmites was constrained by the C-14 bomb peak in the youngest part of all three stalagmites and C-14-dating of a piece of charcoal in the consolidated base part of stalagmite Zoo-rez-2. These data suggest an age of AD 1970 for the top laminae and a lower age limit of AD 1973-1682 or AD 1735-1778. Laminae were counted and their thickness determined on scanned thin sections of all stalagmites. On stalagmites Zoo-rez-1 and -2, three tracks were measured near the growth axes, each separated into three sections at prominent anchor laminae (I, II, III). Each section was replicated three times (a, b, c). For Zoo-rez-3, only one track was measured. The total number of laminae counted for Zoo-rez-1 ranges from 138 to 177, for Zoo-rez-2 from 119 to 145, and for Zoo-rez-3 from 159 to 166. The numbers agree well with the range constrained by the bomb peak and the age of the charcoal, which supports the annual origin of the laminae. The replicated measurements of the different tracks as well as the three different tracks on the stalagmites Zoo-rez-1 and-2 were cross-dated using the TSAP-Win (R) tree-ring software. This software is very useful for cross-dating because it enables to insert or delete missing or false laminae as well as identifying common pattern by shifting the series back and forth in time. However, visual inspection of the thin sections was necessary to confirm detection of missing or false laminae by TSAP-Win (R). For all three Zoo-rez speleothems, crossdating of the mean lamina thickness series was not possible due to a missing common pattern. The cross-dating procedure results in three refined chronologies for the three Zoo-rez stalagmites of ranging from AD 1821-1970 (Zoo-rez-1), AD 1835-1970 (Zoo-rez-2), and AD 1808-1970 (Zoo-rez-3).
The heavy rainfall events in recent years have caused great damage, which has increased the public awareness of the topic of heavy rainfall. For this reason, this article discusses how a systematic integration of heavy rainfall within the framework of the European Floods Directive would be possible and reasonable. For this purpose, a matrix covering possible synergies and barriers was created for all steps of the directive, which were then examined in 15 semi-structured interviews with representatives from specialized administration, the private sector and academia. Although there are some synergies, the additional effort required, especially regarding the identification of the risk areas and the higher level of detail required for risk modeling, would be so high that the European Floods Directive cannot be deemed to be an appropriate framework for heavy rainfall risk management. Nevertheless, there is a need for action, e.g. in the field of self-protection, improved risk communication to the population, combined with increased public and interagency cooperation.
The evolution of the radiation belts in L-shell (L), energy (E), and equatorial pitch angle (alpha(0)) is analyzed during the calm 11-day interval (4-15 March) following the 1 March 2013 storm. Magnetic Electron and Ion Spectrometer (MagEIS) observations from Van Allen Probes are interpreted alongside 1D and 3D Fokker-Planck simulations combined with consistent event-driven scattering modeling from whistler mode hiss waves. Three (L, E, alpha(0)) regions persist through 11 days of hiss wave scattering; the pitch angle-dependent inner belt core (L similar to <2.2 and E < 700 keV), pitch angle homogeneous outer belt low-energy core (L > similar to 5 and E similar to < 100 keV), and a distinct pocket of electrons (L similar to [4.5, 5.5] and E similar to [0.7, 2] MeV). The pitch angle homogeneous outer belt is explained by the diffusion coefficients that are roughly constant for alpha(0) similar to <60 degrees, E > 100 keV, 3.5 < L < L-pp similar to 6. Thus, observed unidirectional flux decays can be used to estimate local pitch angle diffusion rates in that region. Top-hat distributions are computed and observed at L similar to 3-3.5 and E = 100-300 keV.
Quantifying erosion rates, and how they compare to rock uplift rates, is fundamental for understanding landscape response to tectonics and associated sediment fluxes from upland areas. The erosional response to uplift is well-represented by river incision and the associated landslide activity. However, characterising the relationship between these processes remains a major challenge in tectonically active areas, in some cases because landslides can preclude obtaining reliable erosion rates from cosmogenic radionuclide (CRN) concentrations. Here, we quantify the control of tectonics and its coupled geomorphic response on the erosion rates of catchments in southern Italy that are experiencing a transient response to normal faulting. We analyse in-situ Be-10 concentrations for detrital sediment samples, collected along the strike of faults with excellent tectonic constraints and landslide inventories. We demonstrate that Be-10-derived erosion rates are controlled by fault throw rates and the extent of transient incision and associated landsliding in the catchments. We show that the low-relief sub-catchments above knickpoints erode at uniform background rates of similar to 0.10 mm/yr, while downstream of knickpoints, erosion removes similar to 50% of the rock uplifted by the faults, at rates of 0.10-0.64 mm/yr. Despite widespread landsliding, CRN samples provide relatively consistent and accurate erosion rates, most likely because landslides are frequent, small, and shallow, and represent the integrated record of landsliding over several seismic cycles. Consequently, we combine these validated Be-10 erosion rates and data from a geomorphological landslide inventory in a published numerical model, to gain further insight into the long-term landslide rates and sediment mixing, highlighting the potential of CRN data to study landslide dynamics. (C) 2018 Elsevier B.V. All rights reserved.
Flood risk perceptions and the willingness to pay for flood insurance in the Veneto region of Italy
(2019)
The floodplain of the Veneto region (north-east Italy) is one of the most inhabited and economically competitive urban landscapes in Europe. Moreover, recent flood events have caused millions of Euros in damage across the region. Due to the combined influence of climate change and socio-economic development, flood impacts are expected to grow. Therefore, it is important for all flood-prone individuals to actively manage and limit flood risk through property-level flood risk management as part of an integrated flood risk management strategy. This is in line with the calls for wider community engagement in risk management in the Sendai Framework for Disaster Risk Reduction and the Sustainable Development Goals. Therefore, an online-survey of Veneto region residents was conducted asking questions regarding flood risk perceptions, preparedness, and preferences towards flood insurance via self-stated willingness to pay (WTP). Our analysis provides an initial indication that while flood risk knowledge is high, it may not be sufficient to encourage proactive risk management. From the WTP values provided people seem reluctant to buy insurance. However, many respondents expressed that a compulsory insurance system may be acceptable. In such a scheme the estimated insurance premium could fall to between (sic)26 and (sic)42 per year, as compared to, potentially, (sic)800 under risk-based premiums, which falls within the majority of WTP estimates provided ((sic)0-(sic)250). Overall, we identify areas of future research that are critical for the better design of risk management policies, supporting the insurance companies in risk management and for recommendations regarding property-level risk management.
A comprehensive description of electromagnetic processes related to equatorial plasma depletions (EPDs) is essential for understanding their evolution and day-to-day variability. Recently, field-aligned currents (FACs) flowing at both western and eastern edges of EPDs were observed to be interhemispheric rather than anti-parallel about the dip equator, as suggested by previous theoretical studies. In this paper, we investigate the spatial and temporal variability of the FACs orientation using simultaneous measurements of electron density and magnetic field gathered by ESA’s Swarm constellation mission. By using empirical models, we assess the role of the Pedersen conductance in the preference of the FACs to close either in the northern or southern magnetic hemisphere. Here we show that the closure of the FACs agrees with an electrostatic regime determined by a hemispherical asymmetry of the Pedersen conductance. That is, the EPD-related FACs close at lower altitudes in the hemisphere with the highest conductivity. The evidence of this conclusion stands on the general agreement between the longitudinal and seasonal variability of both the conductivity and the FACs orientation.
The Arctic-Boreal regions experience strong changes of air temperature and precipitation regimes, which affect the thermal state of the permafrost. This results in widespread permafrost-thaw disturbances, some unfolding slowly and over long periods, others occurring rapidly and abruptly. Despite optical remote sensing offering a variety of techniques to assess and monitor landscape changes, a persistent cloud cover decreases the amount of usable images considerably. However, combining data from multiple platforms promises to increase the number of images drastically. We therefore assess the comparability of Landsat-8 and Sentinel-2 imagery and the possibility to use both Landsat and Sentinel-2 images together in time series analyses, achieving a temporally-dense data coverage in Arctic-Boreal regions. We determined overlapping same-day acquisitions of Landsat-8 and Sentinel-2 images for three representative study sites in Eastern Siberia. We then compared the Landsat-8 and Sentinel-2 pixel-pairs, downscaled to 60 m, of corresponding bands and derived the ordinary least squares regression for every band combination. The acquired coefficients were used for spectral bandpass adjustment between the two sensors. The spectral band comparisons showed an overall good fit between Landsat-8 and Sentinel-2 images already. The ordinary least squares regression analyses underline the generally good spectral fit with intercept values between 0.0031 and 0.056 and slope values between 0.531 and 0.877. A spectral comparison after spectral bandpass adjustment of Sentinel-2 values to Landsat-8 shows a nearly perfect alignment between the same-day images. The spectral band adjustment succeeds in adjusting Sentinel-2 spectral values to Landsat-8 very well in Eastern Siberian Arctic-Boreal landscapes. After spectral adjustment, Landsat and Sentinel-2 data can be used to create temporally-dense time series and be applied to assess permafrost landscape changes in Eastern Siberia. Remaining differences between the sensors can be attributed to several factors including heterogeneous terrain, poor cloud and cloud shadow masking, and mixed pixels.
Hierarchical Bayesian Approach for Modeling Spatiotemporal Variability in Flood Damage Processes
(2019)
Flood damage processes are complex and vary between events and regions. State-of-the-art flood loss models are often developed on the basis of empirical damage data from specific case studies and do not perform well when spatially and temporally transferred. This is due to the fact that such localized models often cover only a small set of possible damage processes from one event and a region. On the other hand, a single generalized model covering multiple events and different regions ignores the variability in damage processes across regions and events due to variables that are not explicitly accounted for individual households. We implement a hierarchical Bayesian approach to parameterize widely used depth-damage functions resulting in a hierarchical (multilevel) Bayesian model (HBM) for flood loss estimation that accounts for spatiotemporal heterogeneity in damage processes. We test and prove the hypothesis that, in transfer scenarios, HBMs are superior compared to generalized and localized regression models. In order to improve loss predictions for regions and events for which no empirical damage data are available, we use variables pertaining to specific region- and event-characteristics representing commonly available expert knowledge as group-level predictors within the HBM.
An Overview of Using Weather Radar for Climatological Studies: Successes, Challenges, and Potential
(2019)
Weather radars have been widely used to detect and quantify precipitation and nowcast severe weather for more than 50 years. Operational weather radars generate huge three-dimensional datasets that can accumulate to terabytes per day. So it is essential to review what can be done with existing vast amounts of data, and how we should manage the present datasets for the future climatologists. All weather radars provide the reflectivity factor, and this is the main parameter to be archived. Saving reflectivity as volumetric data in the original spherical coordinates allows for studies of the three-dimensional structure of precipitation, which can be applied to understand a number of processes, for example, analyzing hail or thunderstorm modes. Doppler velocity and polarimetric moments also have numerous applications for climate studies, for example, quality improvement of reflectivity and rain rate retrievals, and for interrogating microphysical and dynamical processes. However, observational data alone are not useful if they are not accompanied by sufficient metadata. Since the lifetime of a radar ranges between 10 and 20 years, instruments are typically replaced or upgraded during climatologically relevant time periods. As a result, present metadata often do not apply to past data. This paper outlines the work of the Radar Task Team set by the Atmospheric Observation Panel for Climate (AOPC) and summarizes results from a recent survey on the existence and availability of long time series. We also provide recommendations for archiving current and future data and examples of climatological studies in which radar data have already been used.
Cosmic-ray neutron sensing (CRNS) is a promising non-invasive technique to estimate snow water equivalent (SWE) over large areas. In contrast to preliminary studies focusing on shallow snow conditions (SWE <130 mm), more recently the method was shown experimentally to be sensitive also to deeper snowpacks providing the basis for its use at mountain experimental sites. However, hysteretic neutron response has been observed for complex snow cover including patchy snow-free areas. In the present study we aimed to understand and support the experimental findings using a comprehensive neutron modeling approach. Several simulations have been set up in order to disentangle the effect on the signal of different land surface characteristics and to reproduce multiple observations during periods of snow melt and accumulation. To represent the actual land surface heterogeneity and the complex snow cover, the model used data from terrestrial laser scanning. The results show that the model was able to accurately reproduce the CRNS signal and particularly the hysteresis effect during accumulation and melting periods. Moreover, the sensor footprint was found to be anisotropic and affected by the spatial distribution of liquid water and snow as well as by the topography of the nearby mountains. Under fully snow-covered conditions the CRNS is able to accurately estimate SWE without prior knowledge about snow density profiles or other spatial anomalies. These results provide new insights into the characteristics of the detected neutron signal in complex terrain and support the use of CRNS for long-term snow monitoring in high elevated mountain environments.
Selenite pseudomorphs
(2019)
Ancient evaporite deposits are geological archives of depositional environments characterized by a long‐term negative precipitation balance and bear evidence for global ocean element mass balance calculations. Here, Cretaceous selenite pseudomorphs from western Anatolia (‘Rosetta Marble’) — characterized by their exceptional morphological preservation — and their ‘marine’ geochemical signatures are described and interpreted in a process‐oriented context. These rocks recorded Late Cretaceous high‐pressure/low‐temperature, subduction‐related metamorphism with peak conditions of 1·0 to 1·2 GPa and 300 to 400°C. Metre‐scale, rock‐forming radiating rods, now present as fibrous calcite marble, clearly point to selenitic gypsum as the precursor mineral. Stratigraphic successions are recorded along a reconstructed proximal to distal transect. The cyclical alternation of selenite beds and radiolarian ribbon‐bedded cherts in the distal portions are interpreted as a two type of seawater system. During arid intervals, shallow marine brines cascaded downward into basinal settings and induced precipitation. During more humid times, upwelling‐induced radiolarian blooms caused the deposition of radiolarite facies. Interestingly, there is no comparable depositional setting known from the Cenozoic world. Meta‐selenite geochemical data (δ13C, δ18O and 87Sr/86Sr) plot within the range of reconstructed middle Cretaceous seawater signatures. Possible sources for the 13C‐enriched (mean 2·2‰) values include methanogenesis, gas hydrates and cold seep fluid exhalation. Spatially resolved component‐specific analysis of a rock slab displays isotopic variances between meta‐selenite crystals (mean δ13C 2·2‰) and host matrix (mean δ13C 1·3‰). The Cretaceous evaporite‐pseudomorphs of Anatolia represent a basin wide event coeval with the Aptian evaporites of the Proto‐Atlantic and the pseudomorphs share many attributes, including lateral distribution of 600 km and stratigraphic thickness of 1·5 to 2·0 km, with the evaporites formed during the younger Messinian salinity crisis. The Rosetta Marble of Anatolia may represent the best‐preserved selenite pseudomorphs worldwide and have a clear potential to act as a template for the study of meta‐selenite in deep time.
Oxidation of particulate organic carbon (POC) during fluvial transit releases CO2 to the atmosphere and can influence global climate. Field data show large POC oxidation fluxes in lowland rivers; however, it is unclear if POC losses occur predominantly during in-river transport, where POC is in continual motion within an aerated environment, or during transient storage in floodplains, which may be anoxic. Determination of the locus of POC oxidation in lowland rivers is needed to develop process-based models to predict POC losses, constrain carbon budgets, and unravel links between climate and erosion. However, sediment exchange between rivers and floodplains makes differentiating POC oxidation during in-river transport from oxidation during floodplain storage difficult. Here, we isolated inriver POC oxidation using flume experiments transporting petrogenic and biospheric POC without floodplain storage. Our experiments showed solid phase POC losses of 0%-10% over similar to 10(3) km of fluvial transport, compared to similar to 7% to >50% losses observed in rivers over similar distances. The production of dissolved organic carbon (DOC) and dissolved rhenium (a proxy for petrogenic POC oxidation) was consistent with small POC lasses, and replicate experiments in static water tanks gave similar results. Our results show that fluvial sediment transport, particle abrasion, and turbulent mixing have a minimal role on POC oxidation, and they suggest that POC losses may accrue primarily in floodplain storage.
The habilitation thesis presented here includes results from several studies dealing with fluid-rock interactions and rock deformation processes in active fault zones. The focus in all of these studies is on the influence of clay minerals on the geochemical and the hydro-mechanical behavior of the fault rocks. The research was conducted on rock cores and cuttings from four scientific drilling projects at the San Andreas Fault (USA), the Nankai Trough subduction zone and the Japan Trench subduction zone (Japan), as well as the Alpine Fault in New Zealand. These ICDP (International Continental Scientific Drilling Program) and IODP (International Ocean Discovery Program) funded projects were all conducted with the aim to monitor and better understand earthquakes.
Chapter 1 contains a short introduction to the topic with basic principles and objectives regarding the research approach. Chapter 2 describes the state of the art in clay mineral and fault zone science, gives a short description of the individual drilling projects and their locations on which the research was based, and summarizes the most important analytical methods used. Chapter 3 comprises ten peer-reviewed publications that are connected thematically and methodologically. The papers were published in the years 2006-2015, and additional related publications including myself as co-author are given in the literature list. The ten publications address different questions concerning the formation of clay minerals and processes of fluid-rock interaction in active fault zones. Six papers contain results from the SAFOD drilling project, USA (San Andreas Fault Observatory at Depth), with the main focus on fluid-rock interaction processes in fault rocks and the formation and location of clay minerals. Three publications report on research from the NanTroSEIZE drilling project (Nankai Trough Seismogenic Zone Experiment) and the JFAST drilling project (Japan Trench Fast Drilling Project). Both projects are situated in Japan. Here, the swelling behavior of smectite clay minerals in relation to changing environmental conditions (e.g. temperature and/or humidity) was investigated. The last publication included here concerns a study from the DFDP project (Deep Fault Drilling Project) in New Zealand, where I investigated the deformation of clay minerals on the context of the hydro-mechanical behavior of the fault zone rocks. I was first author in nine of the publications and in charge of the project preparation, measurements and data analyses, and the completion of the manuscript. As co-author on the other publication I was responsible for electronmicroscopy analyses (SEM and TEM) and their interpretation.
The key results from the publications in Chapter 3 are discussed in Chapter 4 with additional considerations from more recent papers. Following the major theses in Chapter 5, Chapter 6 highlights a future research project in clay mineralogy research at the GFZ. An appendix includes more detailed descriptions of the laboratory equipment and lists of all publications, conference contributions and teaching courses and modules.
A well-preserved sequence, by Archean standards, of mantle-derived metabasalts and metakomatiites forms large parts of the lower Onverwacht Group of the Barberton Greenstone Belt (South Africa). To elucidate the origin of mafic and ultramafic rocks from this 3.55 to 3.45 Ga sequence, we present a comprehensive geochemical dataset including major and trace elements as well as Lu-Hf and Sm-Nd isotope compositions for a variety of metavolcanic rocks. These include metabasalts of the amphibolite-facies Sandspruit and Theespruit Formations as well as metabasalts and metakomatiites of the lower greenschist-facies Komati Formation. Based on their incompatible trace element patterns, the basalts of the Sandspruit and Theespruit Formations can be subdivided into a light rare earth element (LREE) depleted group, a LREE-undepleted group, and a LREE-enriched group. Positive epsilon Hf-(t) and epsilon Nd-(t) values of ca. +3 to +4 and 0 to +2, respectively, together with depletions in Th and La-CN/Yb-CN indicate derivation of the LREE-depleted basalts from a depleted mantle source. However, chondritic epsilon Hf-(t) and epsilon Nd-(t) values combined with positive Th and La-CN/Yb-CN of the LREE-enriched samples indicate a contribution from older granitoid crust in the petrogenesis of these samples. Trace element patterns of komatiites and basalts of the Komati Formation are generally flat relative to primitive mantle with slight depletions in heavy rare earth elements and Th and overall positive epsilon Hf-(t) of + 2.5 +/- 3.5 (2 s.d.) and epsilon Nd-(t) of + 0.5 +/- 2.2 (2 s. d.). The coherence in trace element characteristics suggests a common magmatic origin for basalts and komatiites. This study reveals that the two lavas were derived from the same mantle plume, i. e. komatiites were formed by high degrees of melting of a depleted mantle source containing residual garnet and the basalts were formed by moderate degrees of partial melting in shallower regions of the mantle. Based on the current dataset, combined with published data, we propose a geodynamic model for the oldest units of the Barberton Greenstone Belt that describes the development from a submerged continental setting (for the Sandspruit and Theespruit Formations) to a submarine plateau setting (for the Komati Formation) as a consequence of continental rifting.
When dealing with issues that are of high societal relevance, Earth sciences still face a lack of acceptance, which is partly rooted in insufficient communication strategies on the individual and local community level. To increase the efficiency of communication routines, science has to transform its outreach concepts to become more aware of individual needs and demands. The “encoding/decoding” concept as well as critical intercultural communication studies can offer pivotal approaches for this transformation.
Numerous preflight investigations were necessary prior to the exposure experiment BIOMEX on the International Space Station to test the basic potential of selected microorganisms to resist or even to be active under Mars-like conditions. In this study, methanogenic archaea, which are anaerobic chemolithotrophic microorganisms whose lifestyle would allow metabolism under the conditions on early and recent Mars, were analyzed. Some strains from Siberian permafrost environments have shown a particular resistance. In this investigation, we analyzed the response of three permafrost strains (Methanosarcina soligelidi SMA-21, Candidatus Methanosarcina SMA-17, Candidatus Methanobacterium SMA-27) and two related strains from non-permafrost environments (Methanosarcina mazei, Methanosarcina barkeri) to desiccation conditions (-80 degrees C for 315 days, martian regolith analog simulants S-MRS and P-MRS, a 128-day period of simulated Mars-like atmosphere). Exposure of the different methanogenic strains to increasing concentrations of magnesium perchlorate allowed for the study of their metabolic shutdown in a Mars-relevant perchlorate environment. Survival and metabolic recovery were analyzed by quantitative PCR, gas chromatography, and a new DNA-extraction method from viable cells embedded in S-MRS and P-MRS. All strains survived the two Mars-like desiccating scenarios and recovered to different extents. The permafrost strain SMA-27 showed an increased methanogenic activity by at least 10-fold after deep-freezing conditions. The methanogenic rates of all strains did not decrease significantly after 128 days S-MRS exposure, except for SMA-27, which decreased 10-fold. The activity of strains SMA-17 and SMA-27 decreased after 16 and 60 days P-MRS exposure. Non-permafrost strains showed constant survival and methane production when exposed to both desiccating scenarios. All strains showed unaltered methane production when exposed to the perchlorate concentration reported at the Phoenix landing site (2.4 mM) or even higher concentrations. We conclude that methanogens from (non-)permafrost environments are suitable candidates for potential life in the martian subsurface and therefore are worthy of study after space exposure experiments that approach Mars-like surface conditions.
Different tectonic episodes from Late Triassic to recent times in the eastern Binalud Mountains have resulted from convergence and transpression between the Turan and Central Iran plates. Heterogeneous deformation and variable portions of pure and simple shear, demonstrated by finite strain and vorticity analysis in the Mashhad metamorphic rocks, indicate strain partitioning during the first tectonic episode. Modern strain partitioning is characterized by reverse and strike-slip faulting along the Neyshabur fault system and Shandiz fault zone in the southern and northern flanks of the eastern Binalud, respectively. Time-transgressive regional deformation migrated from the hinterland of the belt into the foreland basin, from northeast to the southwest of the mountains. Different generations of deformation resulted in obliteration of the subduction-related accretionary wedge, and growth of an orogenic wedge resulted from collision between the Central Iran and Turan plates.
Hydrometeorological hazards caused losses of approximately 110 billion U.S. Dollars in 2016 worldwide. Current damage estimations do not consider the uncertainties in a comprehensive way, and they are not consistent between spatial scales. Aggregated land use data are used at larger spatial scales, although detailed exposure data at the object level, such as openstreetmap.org, is becoming increasingly available across the globe.We present a probabilistic approach for object-based damage estimation which represents uncertainties and is fully scalable in space. The approach is applied and validated to company damage from the flood of 2013 in Germany. Damage estimates are more accurate compared to damage models using land use data, and the estimation works reliably at all spatial scales. Therefore, it can as well be used for pre-event analysis and risk assessments. This method takes hydrometeorological damage estimation and risk assessments to the next level, making damage estimates and their uncertainties fully scalable in space, from object to country level, and enabling the exploitation of new exposure data.
Determining the optimal grid resolution for topographic analysis on an airborne lidar dataset
(2019)
Digital elevation models (DEMs) are a gridded representation of the surface of the Earth and typically contain uncertainties due to data collection and processing. Slope and aspect estimates on a DEM contain errors and uncertainties inherited from the representation of a continuous surface as a grid (referred to as truncation error; TE) and from any DEM uncertainty. We analyze in detail the impacts of TE and propagated elevation uncertainty (PEU) on slope and aspect.
Using synthetic data as a control, we define functions to quantify both TE and PEU for arbitrary grids. We then develop a quality metric which captures the combined impact of both TE and PEU on the calculation of topographic metrics. Our quality metric allows us to examine the spatial patterns of error and uncertainty in topographic metrics and to compare calculations on DEMs of different sizes and accuracies.
Using lidar data with point density of ∼10 pts m−2 covering Santa Cruz Island in southern California, we are able to generate DEMs and uncertainty estimates at several grid resolutions. Slope (aspect) errors on the 1 m dataset are on average 0.3∘ (0.9∘) from TE and 5.5∘ (14.5∘) from PEU. We calculate an optimal DEM resolution for our SCI lidar dataset of 4 m that minimizes the error bounds on topographic metric calculations due to the combined influence of TE and PEU for both slope and aspect calculations over the entire SCI. Average slope (aspect) errors from the 4 m DEM are 0.25∘ (0.75∘) from TE and 5∘ (12.5∘) from PEU. While the smallest grid resolution possible from the high-density SCI lidar is not necessarily optimal for calculating topographic metrics, high point-density data are essential for measuring DEM uncertainty across a range of resolutions.
Ground and space-based geomagnetic data were used in the investigation of the longitudinal, seasonal and lunar phase dependence of the equatorial counter electrojet (CEJ) occurrence in the Peruvian, Brazilian, African, Indian and Philippine sectors during geomagnetically quiet days from the solar cycle 24 (2008 to 2018). We found that CEJ events occur more frequently during the morning (MCEJ) than in the afternoon (ACEJ). The highest MCEJ and ACEJ occurrence rates were observed for the Brazilian sector. Distinct seasonal dependence was found for each longitudinal sector under investigation. The lunar phase dependence was determined for the first time for the Philippine sector (longitude 125 degrees E), and it was shown to be less pronounced than in the Peruvian, Brazilian and African sectors. We demonstrate that differences in CEJ rates derived from ground-based and satellite data can arise from the longitudinal separation between low-latitude and equatorial stations that are used to determine the signal and its consequent time delay in their sunrise/sunset times at ionospheric heights.
There is a shortage of sediment-routing monitoring worldwide, despite its relevance to environmental processes. In drylands, where water resources are more vulnerable to the sediment dynamics, this flaw is even more harmful. In the semi-arid Caatinga biome in the North-east of Brazil, rivers are almost all intermittent and hydro-sedimentological monitoring is scarce. In the biome, water supply derives from thousands of surface reservoirs, whose water availability is liable to be reduced by siltation and sediment-related pollution. The goal of this research was to evaluate the potential of multi-temporal high-resolution satellite imagery (RapidEye) to assess the suspended sediment concentration (SSC) in the medium-sized intermittent Jaguaribe River, Brazil, during a 5-year period. We validated 15 one-, two- and three-band indices for SSC estimation based on RapidEye spectral bands deduced in the context of the present investigation and nine indices proposed in the literature for other optical sensors, by comparing them with in-situ concentration data. The in-situ SSC data ranged from 67 mg.L-1 to 230 mg.L-1. We concluded that RapidEye images can assess moderate SSC of intermittent rivers, even when their discharge is low. The RapidEye indices performed better than those from literature. The spectral band that best represented SSC was the near infrared, whose performance improved when associated with the green band. This conclusion agrees with literature findings for diverse sedimentological contexts. The three-band spectral indices performed worse than those with only one or two spectral bands, showing that the use of a third band did not enhance the model ability. Besides, we show that the hydrological characteristics of semi-arid intermittent rivers generate difficulties to monitor SSC using optical satellite remote sensing, such as time-concentrated sediment yield; and its association with recent rainfall events and, therefore, with cloudy sky.
This study presents the first suite of apatite fission-track (AFT) ages from the SE part of the Western Sudetes. AFT cooling ages from the Orlica-snie(z) over dotnik Dome and the Upper Nysa Klodzka Graben range from Late Cretaceous (84 Ma) to Early Palaeocene-Middle Eocene (64-45 Ma). The first stage of basin evolution (similar to 100-90 Ma) was marked by the formation of a local extensional depocentre and disruption of the Mesozoic planation surface. Subsequent far-field convergence of European microplates resulted in Coniacian-Santonian (similar to 89-83 Ma) thrust faulting. AFT data from both metamorphic basement and Mesozoic sedimentary cover indicate homogenous Late Cretaceous burial of the entire Western Sudetes. Thermal history modeling suggests that the onset of cooling could be constrained between 89 and 63 Ma with a climax during the Palaeocene-Middle Eocene basin inversion phase.
Plate tectonics is among the most important geological processes on Earth, but its emergence and evolution remain unclear. Here we extrapolate models of present-day plate tectonics to the past and propose that since about three billion years ago the rise of continents and the accumulation of sediments at continental edges and in trenches has provided lubrication for the stabilization of subduction and has been crucial in the development of plate tectonics on Earth. We conclude that the two largest surface erosion and subduction lubrication events occurred after the Palaeoproterozoic Huronian global glaciations (2.45 to 2.2 billion years ago), leading to the formation of the Columbia supercontinent, and after the Neoproterozoic ‘snowball’ Earth glaciations (0.75 to 0.63 billion years ago). The snowball Earth event followed the ‘boring billion’—a period of reduced plate tectonic activity about 1.75 to 0.75 billion years ago that was probably caused by a shortfall of sediments in trenches—and it kick-started the modern episode of active plate tectonics.
We measure valence-to-core x-ray emission spectra of compressed crystalline GeO₂ up to 56 GPa and of amorphous GeO₂ up to 100 GPa. In a novel approach, we extract the Ge coordination number and mean Ge-O distances from the emission energy and the intensity of the Kβ'' emission line. The spectra of high-pressure polymorphs are calculated using the Bethe-Salpeter equation. Trends observed in the experimental and calculated spectra are found to match only when utilizing an octahedral model. The results reveal persistent octahedral Ge coordination with increasing distortion, similar to the compaction mechanism in the sequence of octahedrally coordinated crystalline GeO₂ high-pressure polymorphs.
The Alpine orogen formed as a result of the collision between the Adriatic and European plates. Significant crustal heterogeneity exists within the region due to the long history of interplay between these plates, other continental and oceanic blocks in the region, and inherited crustal features from earlier orogenies. Deformation relating to the collision continues to the present day. Here, a seismically constrained, 3-D structural and density model of the lithosphere of the Alps and their respective forelands, derived from integrating numerous geoscientific datasets, was adjusted to match the observed gravity field. It is shown that the distribution of seismicity and deformation within the region correlates well to thickness and density changes within the crust, and that the present-day Adriatic crust is both thinner and denser (22.5 km, 2800 kg m(-3) ) than the European crust (27.5 km, 2750 kg m(-3)). Alpine crust derived from each respective plate is found to show the same trend, with zones of Adriatic provenance (Austro-Alpine unit and Southern Alps) found to be denser and those of European provenance (Helvetic zone and Tauern Window) to be less dense. This suggests that the respective plates and related terranes had similar crustal properties to the present-day ones prior to orogenesis. The model generated here is available for open-access use to further discussions about the crust in the region.
The Schwarzenberg mining district in the western Erzgebirge hosts numerous skarn-hosted tin-polymetallic deposits, such as Breitenbrunn. The St. Christoph mine is located in the Breitenbrunn deposit and is the locus typicus of christophite, an iron-rich sphalerite variety, which can be associated with indium enrichment. This study presents a revision of the paragenetic scheme, a contribution to the indium behavior and potential, and discussion on the origin of the sulfur. This was achieved through reflected light microscopy, SEM-based MLA, EPMA, and bulk mineral sulfur isotope analysis on 37 sulfide-rich skarn samples from a mineral collection. The paragenetic scheme includes: a pre-mineralization stage of anhydrous calc-silicates and hydrous minerals; an oxide stage, dominated by magnetite; a sulfide stage of predominantly sphalerite, minor pyrite, chalcopyrite, arsenopyrite, and galena. Some sphalerite samples present elevated indium contents of up to 0.44 wt%. Elevated iron contents (4-10 wt%) in sphalerite can be tentatively linked to increased indium incorporation, but further analyses are required. Analyzed sulfides exhibit homogeneous delta S-34 values (-1 to +2 parts per thousand VCDT), assumed to be post-magmatic. They correlate with other Fe-Sn-Zn-Cu-In skarn deposits in the western Erzgebirge, and Permian vein-hosted associations throughout the Erzgebirge region.
The geochemical composition of oceanic basalts provides us with a window into the distribution of geochemical elements within the Earth’s mantle in space and time. In conjunction with a throughout knowledge on how the different elements behave e.g. during melt formation and evolution or on their partition behaviour between e.g. minerals and melts this information has been transformed into various models on how oceanic crust is formed along plume influenced or normal mid-ocean ridge segments, how oceanic crust evolves in response to seawater, on subduction recycling of oceanic crust and so forth. The work presented in this habilitation was aimed at refining existing models, putting further constraints on some of the major open questions in this field of research while at the same time trying to increase our knowledge on the behaviour of noble gases as a tracer for melt formation and evolution processes. In the line of this work the author and her co-workers were able to answer one of the major questions concerning the formation of oceanic crust along plume-influenced ridges – in which physical state does the plume material enter the ridge? Based on submarine volcanic glass He, Ne and Ar data, the author and her co-workers have shown that the interaction of mantle plumes with mid-ocean ridges occurs in the physical form of melts. In addition, the author and her co-workers have also put further constraints on one of the major questions concerning the formation of oceanic crust along normal mid-ocean ridges – namely how is the mid-ocean ridge system effectively cooled to form the lower oceanic crust? Based on Ne and Ar data in combination with Cl/K ratios of basaltic glass from the Mid-Atlantic ridge and estimates of crystallisation pressures they have shown, that seawater penetration reaches lower crustal levels close to the Moho, indicating that hydrothermal circulation might be an effective cooling mechanism even for the deep parts of the oceanic crust. Considering subduction recycling, the heterogeneity of the Earth’s mantle and mantle dynamic processes the key question is on which temporal and spatial scales is the Earth’s mantle geochemically heterogeneous? In the line of this work the author along with her co-workers have shown based on Cl/K ratios in conjunction with the Sr, Nd, and Pb isotopes of the OIBs representing the type localities for the different mantle endmembers that the quantity of Cl recycled into the mantle via subduction is not uniform and that neither the HIMU nor the EM1 and EM2 mantle components can be considered as distinct mantle endmembers. In addition, we have shown, based on He, Ne and Ar isotope and trace-element data from the Foundation hotspot that the near ridge seamounts of the Foundation seamount chain formed by the Foundation hotspot erupt lavas with a trace-element signature clearly characteristic of oceanic gabbro which indicates the existence of recycled, virtually unchanged lower oceanic crust in the plume source. This is a clear sign of the inefficiency of the stirring mechanism existing at mantle depth. Similar features are seen in other near-axis hotspot magmas around the world. Based on He, Sr, Nd, Pb and O isotopes and trace elements in primitive mafic dykes from the Etendeka flood basalts, NW Namibia the author along with her co-workers have shown that deep, less degassed mantle material carried up by a mantle plume contributed significantly to the flood basalt magmatism. The Etendeka flood basalts are part of the South Atlantic LIP, which is associated with the breakup of Gondwana, the formation of the Paraná-Etendeka flood basalts and the Walvis Ridge - Tristan da Cunha hotspot track. Thus reinforcing the lately often-challenged concept of mantle plumes and the role of mantle plumes in the formation of large igneous provinces. Studying the behaviour of noble gases during melt formation and evolution the author along with her co-workers has shown that He can be considerable more susceptible to changes during melt formation and evolution resulting not only in a complete decoupling of He isotopes from e.g. Ne or Pb isotopes but also in a complete loss of the primary mantle isotope signal. They have also shown that this decoupling occurs mainly during the melt formation processes requiring He to be more compatible during mantle melting than Ne. In addition, the author along with her co workers were able to show that incorporation of atmospheric noble gases into igneous rocks is in general a two-step process: (1) magma contamination by assimilation of altered oceanic crust results in the entrainment of air-equilibrated seawater noble gases; (2) atmospheric noble gases are adsorbed onto grain surfaces during sample preparation. This implies, considering the ubiquitous presence of the contamination signal, that magma contamination by assimilation of a seawater-sourced component is an integral part of mid-ocean ridge basalt evolution.
The Raman spectra of pure N-2, CO2, and CH4 were analyzed over the range 10 to 500 bars and from -160 degrees C to 200 degrees C (N-2), 22 degrees C to 350 degrees C (CO2), and -100 degrees C to 450 degrees C (CH4). At constant temperature, Raman peak position, including the more intense CO2 peak (nu+), decreases (shifts to lower wave number) with increasing pressure for all three gases over the entire pressure and temperature (PT) range studied. At constant pressure, the peak position for CO2 and CH4 increases (shifts to higher wave number) with increasing temperature over the entire PT range studied. In contrast, N-2 first shows an increase in peak position with increasing temperature at constant pressure, followed by a decrease in peak position with increasing temperature. The inflection temperature at which the trend reverses for N-2 is located between 0 degrees C and 50 degrees C at pressures above similar to 50 bars and is pressure dependent. Below similar to 50 bars, the inflection temperature was observed as low as -120 degrees C. The shifts in Raman peak positions with PT are related to relative density changes, which reflect changes in intermolecular attraction and repulsion. A conceptual model relating the Raman spectral properties of N-2, CO2, and CH4 to relative density (volume) changes and attractive and repulsive forces is presented here. Additionally, reduced temperature-dependent densimeters and barometers are presented for each pure component over the respective PT ranges. The Raman spectral behavior of the pure gases as a function of temperature and pressure is assessed to provide a framework for understanding the behavior of each component in multicomponent N-2-CO2-CH4 gas systems in a future study.