Refine
Year of publication
Document Type
- Article (61)
- Other (9)
- Postprint (2)
- Monograph/Edited Volume (1)
Keywords
- Body waves (7)
- Seismologie (6)
- Seismology (6)
- Earthquake source observations (5)
- Erdbeben (5)
- Seismicity and tectonics (5)
- Theoretical seismology (4)
- Array Seismology (3)
- Arrayseismologie (3)
- Crustal structure (3)
We present an integrated approach for deriving the 1D shear wave velocity (Vs) information at few tens to hundreds of meters down to the first strong impedance contrast in typical sedimentary environments. We use multiple small aperture seismic arrays in 1D and 2D configuration to record active and passive seismic surface wave data at two selected geotechnical sites in Germany (Horstwalde & Lobnitz). Standard methods for data processing include the Multichannel Analysis of Surface Waves (MASW) method that exploits the high frequency content in the active data and the sliding window frequency-wavenumber (f-k) as well as the spatial autocorrelation (SPAC) methods that exploit the low frequency content in passive seismic data. Applied individually, each of the passive methods might be influenced by any source directivity in the noise wavefield. The advantages of active shot data (known source location) and passive microtremor (low frequency content) recording may be combined using a correlation based approach applied to the passive data in the so called Interferometric Multichannel Analysis of Surface Waves (IMASW). In this study, we apply those methods to jointly determine and interpret the dispersion characteristics of surface waves recorded at Horstwalde and Lobnitz. The reliability of the dispersion curves is controlled by applying strict limits on the interpretable range of wavelengths in the analysis and further avoiding potentially biased phase velocity estimates from the passive f-k method by comparing to those derived from the SPatial AutoCorrelation method (SPAC). From our investigation at these two sites, the joint analysis as proposed allows mode extraction in a wide frequency range (similar to 0.6-35 Hz at Horstwalde and similar to 1.5-25 Hz at Lobnitz) and consequently improves the Vs profile inversion. To obtain the shear wave velocity profiles, we make use of a global inversion approach based on the neighborhood algorithm to invert the interpreted branches of the dispersion curves. Within the uncertainty given by the apparent spread of forward models we find that besides a well defined sediment velocity range also a reasonable minimum estimate of bedrock depth and bedrock velocity can be achieved. The Vs estimate for the best model in Horstwalde ranges from similar to 190 m/s at the surface up to similar to 390 m/s in the bottom of the soft sediment column. The bedrock starts earliest around 200 m depth and bedrock velocities are higher than 1000 m/s. In Lobnitz, we observe slightly lower velocities for the sediments (similar to 165-375 m/s for the best model) and a minimum thickness of 75 m. (C) 2016 Elsevier B.V. All rights reserved.
The H/V spectral ratio has emerged as a single station method within the seismic ambient noise analysis field by its capability to quickly estimate the frequency of resonance at a site and through inversion the average profile information. Although it is easy to compute from experimental data, its counter theoretical part is not obvious when building a forward model which can help in reconstructing the derived H/V spectrum. This has led to the simplified assumption that the noise wavefield is mainly composed of Rayleigh waves and the derived H/V often used without further correction. Furthermore, only the right (and left) flank around the H/V peak frequency is considered in the inversion for the subsurface 1-D shear wave velocity profile. A new theoretical approach for the interpretation of the H/V spectral ratio has been presented by Sanchez-Sesmaet al. In this paper, the fundamental idea behind their theory is presented as it applies to receivers at depth. A smooth H/V(z, f) spectral curve on a broad frequency range is obtained by considering a fine integration step which is in turn time consuming. We show that for practical purposes and in the context of inversion, this can be considerably optimized by using a coarse integration step combined with the smoothing of the corresponding directional energy density (DED) spectrum. Further analysis shows that the obtained H/V(z, f) spectrum computed by the mean of the imaginary part of Green's function method could also be recovered using the reflectivity method for a medium well illuminated by seismic sources. Inversion of synthetic H/V(z, f) spectral curve is performed for a single layer over a half space. The striking results allow to potentially use the new theory as a forward computation of the H/V(z, f) to fully invert the experimental H/V spectral ratio at the corresponding depth for the shear velocity profile (Vs) and additionally the compressional velocity profile (Vp) using receivers both at the surface and in depth. We use seismic ambient noise data in the frequency range of 0.2-50 Hz recorded at two selected sites in Germany where borehole information is also available. The obtained 1-D Vs and Vp profiles are correlated with geological log information. Results from shallow geophysical experiment are also used for comparison.
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.
Traveltime residuals for worldwide seismic stations are calculated. We use P and S waves from earthquakes in SE-Asia at teleseismic and regional distances. The obtained station residuals help to enhance earthquake localisation. Furthermore we calculated regional source dependent station residuals. They show a systematic dependence of the locality of the source. These source dependent residuals reflect heterogenities along the path and can be used for a refinement of earthquake localisation.
Receiver functions are a good tool to investigate the seismotectonic structure beneath the a seismic station. In this study we apply the method to stations situated on or near Sumatra to find constraints on a more detailed velocity model which should improve earthquake localisation. We estimate shallow Moho-depths (~ 21 km) close to the trench and depths of ~30 km at greater distances. First evidences for the dip direction of the slab of ~60° are provided. Receiver functions were calculated for 20 stations for altogether 110 earthquakes in the distance range between 30° and 95° from the receiver. However the number of receiver functions per station is strongly variable as it depends on the installation date, the signal-to-noise-ratio of the station and the reliability of the acquisition.
We focus on the relation between seismic and total postseismic afterslip following the Maule M-w 8.8 earthquake on 2010 February 27 in central Chile. First, we calculate the cumulative slip released by aftershock seismicity. We do this by summing up the aftershock regions and slip estimated from scaling relations. Comparing the cumulative seismic slip with afterslip modelswe showthat seismic slip of individual aftershocks exceeds locally the inverted afterslip model from geodetic constraints. As the afterslip model implicitly contains the displacements from the aftershocks, this reflects the tendency of afterslip models to smear out the actual slip pattern. However, it also suggests that locally slip for a number of the larger aftershocks exceeds the aseismic slip in spite of the fact that the total equivalent moment of the afterslip exceeds the cumulative moment of aftershocks by a large factor. This effect, seen weakly for the Maule 2010 and also for the Tohoku 2011 earthquake, can be explained by taking into account the uncertainties of the seismicity and afterslip models. In spite of uncertainties, the hypocentral region of the Nias 2005 earthquake is suggested to release a large fraction of moment almost purely seismically. Therefore, these aftershocks are not driven solely by the afterslip but instead their slip areas have probably been stressed by interseismic loading and the mainshock rupture. In a second step, we divide the megathrust of the Maule 2010 rupture into discrete cells and count the number of aftershocks that occur within 50 km of the centre of each cell as a function of time. We then compare this number to a time-dependent afterslip model by defining the 'afterslip to aftershock ratio' (ASAR) for each cell as the slope of the best fitting line when the afterslip at time t is plotted against aftershock count. Although we find a linear relation between afterslip and aftershocks for most cells, there is significant variability in ASAR in both the downdip and along-strike directions of the megathrust. We compare the spatial distribution of ASAR with the spatial distribution of seismic coupling, coseismic slip and Bouguer gravity anomaly, and in each case we find no significant correlation.
The Ms ∼ 7.7 Sarez-Pamir earthquake of 1911 February 18 is the largest instrumentally recorded earthquake in the Pamir region. It triggered one of the largest landslides of the past century, building a giant natural dam and forming Lake Sarez. As for many strong earthquakes from that time, information about source parameters of the Sarez-Pamir earthquake is limited due to the sparse observations. Here, we present the analysis of analogue seismic records of the Sarez-Pamir earthquake. We have collected, scanned and digitized 26 seismic records from 13 stations worldwide to relocate the epicentre and determine the event's depth (∼26 km) and magnitude (mB7.3 and Ms7.7). The unusually good quality of the digitized waveforms allowed their modelling, revealing an NE-striking sinistral strike-slip focal mechanism in accordance with regional tectonics. The shallow depth and magnitude (Mw7.3) of the earthquake were confirmed. Additionally, we investigated the possible contribution of the landslide to the waveforms and present an alternative source model assuming the landslide and earthquake occurred in close sequence.
Several destructive earthquakes have occurred in Tien-Shan region at the beginning of 20th century. However, the detailed seismological characteristics, especially source parameters of those earthquakes are still poorly investigated. The Chon-Kemin earthquake is the strongest instrumentally recorded earthquake in the Tien-Shan region. This earthquake has produced an approximately 200 km long system of surface ruptures along Kemin-Chilik fault zone and killed about similar to 400 people. Several studies presented the different information on the earthquake epicentre location and magnitude, and two different focal mechanisms were also published. The reason for the limited knowledge of the source parameters for the Chon-Kemin earthquake is the complexity of old analogue records processing, digitization and analysis. In this study the data from 23 seismic stations worldwide were collected and digitized. The earthquake epicentre was relocated to 42.996NA degrees and 77.367EA degrees, the hypocentre depth is estimated between 10 and 20 km. The magnitude was recalculated to m(B) 8.05, M-s 7.94 and M-w 8.02. The focal mechanism, determined from amplitude ratios comparison of the observed and synthetic seismograms, was: str = 264A degrees, dip = 52A degrees, rake = 98A degrees. The apparent source time duration was between similar to 45 and similar to 70 s, the maximum slip occurred 25 s after the beginning of the rupture. Two subevents were clearly detected from the waveforms with the scalar moment ratio between them of about 1/3, the third subevent was also detected with less certainty. Taking into account surface rupture information, the fault geometry model with three patches was proposed. Based on scaling relations we conclude that the total rupture length was between similar to 260 and 300 km and a maximum rupture width could reach similar to 70 km.
The majority of original seismograms recorded at the very beginning of instrumental seismology (the early 1900s) did not survive till present. However, a number of books, bulletins, and catalogs were published including the seismogram reproductions of some, particularly interesting earthquakes. In case these reproductions contain the time and amplitude scales, they can be successfully analyzed the same way as the original records. Information about the Atushi (Kashgar) earthquake, which occurred on August 22, 1902, is very limited. We could not find any original seismograms for this earthquake, but 12 seismograms from 6 seismic stations were printed as example records in different books. These data in combination with macroseismic observations and different bulletins information published for this earthquake were used to determine the source parameters of the earthquake. The earthquake epicenter was relocated at 39.87A degrees N and 76.42A degrees E with the hypocenter depth of about 18 km. We could further determine magnitudes m (B) = 7.7 +/- 0.3, M (S) = 7.8 +/- 0.4, M (W) = 7.7 +/- 0.3 and the focal mechanism of the earthquake with strike/dip/rake - 260A degrees +/- 20/30A degrees +/- 10/90A degrees +/- 10. This study confirms that the earthquake likely had a smaller magnitude than previously reported (M8.3). The focal mechanism indicates dominant thrust faulting, which is in a good agreement with presumably responsible Tuotegongbaizi-Aerpaleike northward dipping thrust fault kinematic, described in previous studies.
The Ceres earthquake of 29 September 1969 is the largest known earthquake in southern Africa. Digitized analog recordings from Worldwide Standardized Seismographic Network stations (Powell and Fries, 1964) are used to retrieve the point source moment tensor and the most likely centroid depth of the event using full waveform modeling. A scalar seismic moment of 2.2-2.4 x 10(18) N center dot m corresponding to a moment magnitude of 6.2-6.3 is found. The analysis confirms the pure strike-slip mechanism previously determined from onset polarities by Green and Bloch (1971). Overall good agreement with the fault orientation previously estimated from local aftershock recordings is found. The centroid depth can be constrained to be less than 15 km. In a second analysis step, we use a higher order moment tensor based inversion scheme for simple extended rupture models to constrain the lateral fault dimensions. We find rupture propagated unilaterally for 4.7 s from east-southwest to west-northwest for about 17 km ( average rupture velocity of about 3: 1 km/s).