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1.
The third-generation wave model, WAVEWATCH III, was employed to simulate bulk wave parameters in the Persian Gulf using three different wind sources: ERA-Interim, CCMP, and GFS-Analysis. Different formulations for whitecapping term and the energy transfer from wind to wave were used, namely the Tolman and Chalikov (J Phys Oceanogr 26:497–518, 1996), WAM cycle 4 (BJA and WAM4), and Ardhuin et al. (J Phys Oceanogr 40(9):1917–1941, 2010) (TEST405 and TEST451 parameterizations) source term packages. The obtained results from numerical simulations were compared to altimeter-derived significant wave heights and measured wave parameters at two stations in the northern part of the Persian Gulf through statistical indicators and the Taylor diagram. Comparison of the bulk wave parameters with measured values showed underestimation of wave height using all wind sources. However, the performance of the model was best when GFS-Analysis wind data were used. In general, when wind veering from southeast to northwest occurred, and wind speed was high during the rotation, the model underestimation of wave height was severe. Except for the Tolman and Chalikov (J Phys Oceanogr 26:497–518, 1996) source term package, which severely underestimated the bulk wave parameters during stormy condition, the performances of other formulations were practically similar. However, in terms of statistics, the Ardhuin et al. (J Phys Oceanogr 40(9):1917–1941, 2010) source terms with TEST405 parameterization were the most successful formulation in the Persian Gulf when compared to in situ and altimeter-derived observations.  相似文献   

2.
An alternative model for the nonlinear interaction term Snl in spectral wave models, the so called generalized kinetic equation (Janssen J Phys Oceanogr 33(4):863–884, 2003; Annenkov and Shrira J Fluid Mech 561:181–207, 2006b; Gramstad and Stiassnie J Fluid Mech 718:280–303, 2013), is discussed and implemented in the third generation wave model WAVEWATCH-III. The generalized kinetic equation includes the effects of near-resonant nonlinear interactions, and is therefore able, in theory, to describe faster nonlinear evolution than the existing forms of Snl which are based on the standard Hasselmann kinetic equation (Hasselmann J Fluid Mech 12:481–500, 1962). Numerical simulations with WAVEWATCH have been carried out to thoroughly test the performance of the new form of Snl, and to compare it to the existing models for Snl in WAVEWATCH; the DIA and WRT. Some differences between the different models for Snl are observed. As expected, the DIA is shown to perform less well compared to the exact terms in certain situations, in particular for narrow wave spectra. Also for the case of turning wind significant differences between the different models are observed. Nevertheless, different from the case of unidirectional waves where the generalized kinetic equation represents a obvious improvement to the standard forms of Snl (Gramstad and Stiassnie 2013), the differences seems to be less pronounced for the more realistic cases considered in this paper.  相似文献   

3.
In the framework of the SIGMA project, a study was launched to develop a parametric earthquake catalog for the historical period, covering the metropolitan territory and calibrated in Mw. A set of candidate calibration events was selected corresponding to earthquakes felt over a part of the French metropolitan territory, which are fairly well documented both in terms of macroseismic intensity distributions (SisFrance BRGM-EDF-IRSN) and magnitude estimates. The detailed analysis of the macroseismic data led us to retain only 30 events out of 65 with Mw ranging from 3.6 to 5.8. In order to supplement the dataset with data from larger magnitude events, Italian earthquakes were also considered (11 events posterior to 1900 with Mw?≥?6.0 out of 15 in total), using both the DBMI11 macroseismic database (Locati et al. in Seismol Resour Lett 85(3):727–734, 2014) and the parametric information from the CPTI11 (Rovida et al. in CPTI11, la versione 2011 del Catalogo Parametrico dei Terremoti Italiani Istituto Nazionale di Geofisica et Vulcanologia, Milano, Bologna, 2011.  https://doi.org/10.6092/ingv.it-cpti11). To avoid introducing bias related to the differences in terms of intensity scales (MSK vs. MCS), only intensities smaller than or equal to VII were considered (Traversa et al. in On the use of cross-border macroseismic data to improve the estimation of past earthquakes seismological parameters, 2014). Mw and depth metadata were defined according to the Si-Hex catalogue (Cara et al. in Bull Soc Géol Fr 186:3–19, 2015.  https://doi.org/10.2113/qssqfbull.186.1.3), published information, and to the specific worked conducted within SIGMA related to early instrumental recordings (Benjumea et al. in Study of instrumented earthquakes that occurred during the first part of the 20th century (1905–1962), 2015). For the depth estimates, we also performed a macroseismic analysis to evaluate the range of plausible estimates and check the consistency of the solutions. Uncertainties on the metadata related to the calibration earthquakes were evaluated using the range of available alternative estimates. The intensity attenuation models were developed using a one-step maximum likelihood scheme. Several mathematical formulations and sub-datasets were considered to evaluate the robustness of the results (similarly to Baumont and Scotti in Accounting for data and modeling uncertainties in empirical macroseismic predictive equations (EMPEs). Towards “European” EMPEs based on SISFRANCE, DBMI, ECOS macroseismic database, 2008). In particular, as the region of interest may be characterized by significant laterally varying attenuation properties (Bakun and Scotti in Geophys J Int 164:596–610, 2006; Gasperini in Bull Seismol Soc Am 91:826–841, 2001), we introduced regional attenuation terms to account for this variability. Two zonation schemes were tested, one at the national scale (France/Italy), another at the regional scale based on the studies of Mayor et al. (Bull Earthq Eng, 2017.  https://doi.org/10.1007/s10518-017-0124-8) for France and Gasperini (2001) for Italy. Between and within event residuals were analyzed in detail to identify the best models, that is, the ones associated with the best misfit and most limited residual trends with intensity and distance. This analysis led us to select four sets of models for which no significant trend in the between- and within-event residuals is detected. These models are considered to be valid over a wide range of Mw covering?~?3.5–7.0.  相似文献   

4.
We examine the implementation of a wave-breaking mechanism into a nonlinear potential flow solver. The success of the mechanism will be studied by implementing it into the numerical model HOS-NWT, which is a computationally efficient, open source code that solves for the free surface in a numerical wave tank using the high-order spectral (HOS) method. Once the breaking mechanism is validated, it can be implemented into other nonlinear potential flow models. To solve for wave-breaking, first a wave-breaking onset parameter is identified, and then a method for computing wave-breaking associated energy loss is determined. Wave-breaking onset is calculated using a breaking criteria introduced by Barthelemy et al. (J Fluid Mech https://arxiv.org/pdf/1508.06002.pdf, submitted) and validated with the experiments of Saket et al. (J Fluid Mech 811:642–658, 2017). Wave-breaking energy dissipation is calculated by adding a viscous diffusion term computed using an eddy viscosity parameter introduced by Tian et al. (Phys Fluids 20(6): 066,604, 2008, Phys Fluids 24(3), 2012), which is estimated based on the pre-breaking wave geometry. A set of two-dimensional experiments is conducted to validate the implemented wave breaking mechanism at a large scale. Breaking waves are generated by using traditional methods of evolution of focused waves and modulational instability, as well as irregular breaking waves with a range of primary frequencies, providing a wide range of breaking conditions to validate the solver. Furthermore, adjustments are made to the method of application and coefficient of the viscous diffusion term with negligible difference, supporting the robustness of the eddy viscosity parameter. The model is able to accurately predict surface elevation and corresponding frequency/amplitude spectrum, as well as energy dissipation when compared with the experimental measurements. This suggests the model is capable of calculating wave-breaking onset and energy dissipation successfully for a wide range of breaking conditions. The model is also able to successfully calculate the transfer of energy between frequencies due to wave focusing and wave breaking. This study is limited to unidirectional waves but provides a valuable basis for future application of the wave-breaking model to a multidirectional wave field. By including parameters for removing energy due to wave-breaking into a nonlinear potential flow solver, the risk of developing numerical instabilities due to an overturning wave is decreased, thereby increasing the application range of the model, including calculating more extreme sea states. A computationally efficient and accurate model for the generation of a nonlinear random wave field is useful for predicting the dynamic response of offshore vessels and marine renewable energy devices, predicting loads on marine structures, and in the study of open ocean wave generation and propagation in a realistic environment.  相似文献   

5.
We reviewed joint inversion studies of the rupture processes of significant earthquakes, using the definition of a joint inversion in earthquake source imaging as a source inversion of multiple kinds of datasets (waveform, geodetic, or tsunami). Yoshida and Koketsu (Geophys J Int 103:355–362, 1990), and Wald and Heaton (Bull Seismol Soc Am 84:668–691, 1994) independently initiated joint inversion methods, finding that joint inversion provides more reliable rupture process models than single-dataset inversion, leading to an increase of joint inversion studies. A list of these studies was made using the finite-source rupture model database (Mai and Thingbaijam in Seismol Res Lett 85:1348–1357, 2014). Outstanding issues regarding joint inversion were also discussed.  相似文献   

6.
Point measurement-based estimation of bedload transport in the coastal zone is very difficult. The only way to assess the magnitude and direction of bedload transport in larger areas, particularly those characterized by complex bottom topography and hydrodynamics, is to use a holistic approach. This requires modeling of waves, currents, and the critical bed shear stress and bedload transport magnitude, with a due consideration to the realistic bathymetry and distribution of surface sediment types. Such a holistic approach is presented in this paper which describes modeling of bedload transport in the Gulf of Gdańsk. Extreme storm conditions defined based on 138-year NOAA data were assumed. The SWAN model (Booij et al. 1999) was used to define wind–wave fields, whereas wave-induced currents were calculated using the Ko?odko and Gic-Grusza (2015) model, and the magnitude of bedload transport was estimated using the modified Meyer-Peter and Müller (1948) formula. The calculations were performed using a GIS model. The results obtained are innovative. The approach presented appears to be a valuable source of information on bedload transport in the coastal zone.  相似文献   

7.
Nowadays, most of the site classifications schemes are based on the predominant period of the site as determined from the average horizontal to vertical spectral ratios of seismic motion or microtremor. However, the difficulty lies in the identification of the predominant period in particular if the observed average response spectral ratio does not present a clear peak but rather a broadband amplification or multiple peaks. In this work, based on the Eurocode-8 (2004) site classification, and assuming bounded random fields for both shear and compression waves-velocities, damping coefficient, natural period and depth of soil profile, one propose a new site-classification approach, based on “target” simulated average \( H/V \) spectral ratios, defined for each soil class. Taking advantage of the relationship of Kawase et al. (Bull Seismol Soc Am 101:2001–2014, 2011), which link the \( H/V \) spectral ratio to the horizontal (\( HTF \)) over the vertical (\( VTF \)) transfer functions, statistics of \( H/V \) spectral ratio via deterministic visco-elastic seismic analysis using the wave propagation theory are computed for the 4 soil classes. The obtained results show that \( H/V \) and \( HTF \) have amplitudes and shapes remarkably different among the four soil classes and exhibit fundamental peaks in the period ranges remarkably similar. Moreover, the “target” simulated average \( H/V \) spectral ratios for the 4 soil classes are in good agreement with the experimental ones obtained by Zhao et al. (Bull Seismol Soc Am 96:914–925, 2006) from the abundant and reliable Japanese strong motions database Kik-net, Ghasemi et al. (Soil Dyn Earthq Eng 29:121–132, 2009) from the Iranian strong motion data, and Di Alessandro et al. (Bull Sesismol Soc Am 106:2, 2011.  https://doi.org/10.1785/0120110084) from the Italian strong motion data. In addition to the 4 EC-8 standard soil classes (A, B, C and D), the superposition of the 4 target \( H/V \) reveals 3 new boundary site classes; AB, BC and CD, for overlapping \( V_{s,30} \) ranges when the predominant peak is not clearly consistent with any of the 4 proposed classes. Finally, one proposes a site classification index based on the ratio between the cross-correlation and the mean quadratic error between the in situ \( H/V \) spectral ratio and the “target” one. In order to test the reliability of the proposed approach, data from 139 sites were used, 132 collected from the Kik-net network database from Japan and 7 from Algeria. The site classification success rate per site class are around 93, 82, 89 and 100% for rock, hard soil, medium soil and soft soil, respectively. Zhao et al. (2006) found an average success for the 4 classes of soil close to 60%, similar to what one found in the present study (63%) without considering the new soil classes, but much smaller if one considers them (86%). In the absence of \( V_{s,30} \) data, the proposed approach can be an alternative to site classification.  相似文献   

8.
Current computational resources and physical knowledge of the seismic wave generation and propagation processes allow for reliable numerical and analytical models of waveform generation and propagation. From the simulation of ground motion, it is easy to extract the desired earthquake hazard parameters. Accordingly, a scenario-based approach to seismic hazard assessment has been developed, namely the neo-deterministic seismic hazard assessment (NDSHA), which allows for a wide range of possible seismic sources to be used in the definition of reliable scenarios by means of realistic waveforms modelling. Such reliable and comprehensive characterization of expected earthquake ground motion is essential to improve building codes, particularly for the protection of critical infrastructures and for land use planning. Parvez et al. (Geophys J Int 155:489–508, 2003) published the first ever neo-deterministic seismic hazard map of India by computing synthetic seismograms with input data set consisting of structural models, seismogenic zones, focal mechanisms and earthquake catalogues. As described in Panza et al. (Adv Geophys 53:93–165, 2012), the NDSHA methodology evolved with respect to the original formulation used by Parvez et al. (Geophys J Int 155:489–508, 2003): the computer codes were improved to better fit the need of producing realistic ground shaking maps and ground shaking scenarios, at different scale levels, exploiting the most significant pertinent progresses in data acquisition and modelling. Accordingly, the present study supplies a revised NDSHA map for India. The seismic hazard, expressed in terms of maximum displacement (Dmax), maximum velocity (Vmax) and design ground acceleration (DGA), has been extracted from the synthetic signals and mapped on a regular grid over the studied territory.  相似文献   

9.
The transition from symmetric to baroclinic instability in the Eady model   总被引:1,自引:1,他引:0  
Here, we explore the transition from symmetric instability to ageostrophic baroclinic instability in the Eady model; an idealised representation of a submesoscale mixed layer front. We revisit the linear stability problem considered by Stone (J Atmos Sci, 23, 390–400, (Stone 1966)), Stone (J Atmos Sci, 27, 721–726, (Stone 1970)), Stone (J Atmos Sci, 29, 419–426, (Stone 1972)) with a particular focus on three-dimensional ‘mixed modes’ (which are neither purely symmetric or baroclinic) and find that these modes can have growth rates within just a few percent of the corresponding two-dimensional growth rate maximum. In addition, we perform very high resolution numerical simulations allowing an exploration of the transition from symmetric to baroclinic instability. Three-dimensional mixed modes represent the largest contribution to the turbulent kinetic energy during the transition period between symmetric and baroclinic instability. In each simulation, we see the development of sharp fronts with associated high rms vertical velocities of up to 30 mm s?1. Furthermore, we see significant transfer of energy to small scales, demonstrated by time-integrated mixing and energy dissipation by small-scale three-dimensional turbulence totalling about 30 % of the initial kinetic energy in all cases.  相似文献   

10.
We summarize the main elements of a ground-motion model, as built in three-year effort within the Earthquake Model of the Middle East (EMME) project. Together with the earthquake source, the ground-motion models are used for a probabilistic seismic hazard assessment (PSHA) of a region covering eleven countries: Afghanistan, Armenia, Azerbaijan, Cyprus, Georgia, Iran, Jordan, Lebanon, Pakistan, Syria and Turkey. Given the wide variety of ground-motion predictive models, selecting the appropriate ones for modeling the intrinsic epistemic uncertainty can be challenging. In this respect, we provide a strategy for ground-motion model selection based on data-driven testing and sensitivity analysis. Our testing procedure highlights the models of good performance in terms of both data-driven and non-data-driven testing criteria. The former aims at measuring the match between the ground-motion data and the prediction of each model, whereas the latter aims at identification of discrepancies between the models. The selected set of ground models were directly used in the sensitivity analyses that eventually led to decisions on the final logic tree structure. The strategy described in great details hereafter was successfully applied to shallow active crustal regions, and the final logic tree consists of four models (Akkar and Ça?nan in Bull Seismol Soc Am 100:2978–2995, 2010; Akkar et al. in Bull Earthquake Eng 12(1):359–387, 2014; Chiou and Youngs in Earthq Spectra 24:173–215, 2008; Zhao et al. in Bull Seismol Soc Am 96:898–913, 2006). For other tectonic provinces in the considered region (i.e., subduction), we adopted the predictive models selected within the 2013 Euro-Mediterranean Seismic Hazard Model (Woessner et al. in Bull Earthq Eng 13(12):3553–3596, 2015). Finally, we believe that the framework of selecting and building a regional ground-motion model represents a step forward in ground-motion modeling, particularly for large-scale PSHA models.  相似文献   

11.
Ground-motion prediction equations (GMPEs) are essential tools in seismic hazard studies to estimate ground motions generated by potential seismic sources. Global GMPEs which are based on well-compiled global strong-motion databanks, have certain advantages over local GMPEs, including more sophisticated parameters in terms of distance, faulting style, and site classification but cannot guarantee the local/region-specific propagation characteristics of shear wave (e.g., geometric spreading behavior, quality factor) for different seismic regions at larger distances (beyond about 80 km). Here, strong-motion records of northern Iran have been used to estimate the propagation characteristics of shear wave and determine the region-specific adjustment parameters for three of the NGA-West2 GMPEs to be applicable in northern Iran. The dataset consists of 260 three-component records from 28 earthquakes, recorded at 139 stations, with moment magnitudes between 4.9 and 7.4, horizontal distance to the surface projection of the rupture (R JB) less than 200 km, and average shear-wave velocity over the top 30 m of the subsurface (V S30) between 155 and 1500 m/s. The paper also presents the ranking results for three of the NGA-West2 GMPEs against strong motions recorded in northern Iran, before and after adjustment for region-dependent attenuation characteristics. The ranking is based on the likelihood and log-likelihood methods (LH and LLH) proposed by Scherbaum et al. (Bull Seismol Soc Am 94: 2164–2185, 2004, Bull Seismol Soc Am 99, 3234–3247, 2009, respectively), the Nash–Sutcliffe model efficiency coefficient (Nash and Sutcliffe, J Hydrol 10:282–290, 1970), and the EDR method of Kale and Akkar (Bull Seismol Soc Am 103:1069–1084, 2012). The best-fitting models over the whole frequency range are the ASK14 and BSSA14 models. Taking into account that the models’ performances were boosted after applying the adjustment factors, at least moderate regional variation of ground motions is highlighted. The regional adjustment based on the Iranian database reveals an upward trend (indicated as high Q factor) for the selected database. Further investigation to determine adjustment factors based on a much richer database of the Iranian strong-motion records is of utmost important for seismic hazard and risk analysis studies in northern Iran, containing major cities including the capital city of Tehran.  相似文献   

12.
When the stability of a sharply stratified shear flow is studied, the density profile is usually taken stepwise and a weak stratification between pycnoclines is neglected. As a consequence, in the instability domain of the flow two-sided neutral curves appear such that the waves corresponding to them are neutrally stable, whereas the neighboring waves on either side of the curve are unstable, in contrast with the classical result of Miles (J Fluid Mech 16:209–227, 1963) who proved that in stratified flows unstable oscillations can be only on one side of the neutral curve. In the paper, the contradiction is resolved and changes in the flow stability pattern under transition from a model stepwise to a continuous density profile are analyzed. On this basis, a simple self-consistent algorithm is proposed for studying the stability of sharply stratified shear flows with a continuous density variation and an arbitrary monotonic velocity profile without inflection points. Because our calculations and the algorithm are both based on the method of stability analysis (Churilov J Fluid Mech 539:25–55, 2005; ibid, 617, 301–326, 2008), which differs essentially from usually used, the paper starts with a brief review of the method and results obtained with it.  相似文献   

13.
According to the idea now widespread that macroseismic intensity should be expressed in probabilistic terms, a beta-binomial model has been proposed in the literature to estimate the probability of the intensity at site in the Bayesian framework and a clustering procedure has been adopted to define learning sets of macroseismic fields required to assign prior distributions of the model parameters. This article presents the results concerning the learning sets obtained by exploiting the large Italian macroseismic database DBM1I11 (Locati et al. in DBMI11, the 2011 version of the Italian Macroseismic Database, 2011. http://emidius.mi.ingv.it/DBMI11/) and discusses the problems related to their use in probabilistic modelling of the attenuation in seismic regions of the European countries partners of the UPStrat-MAFA project (2012), namely South Iceland, Portugal, SE Spain and Mt Etna volcano area (Italy). Anisotropy and the presence of offshore earthquakes are some of the problems faced. All the work has been carried out in the framework of the Task B of the project.  相似文献   

14.
Theory of wave boundary layers (WBLs) developed by Reznik (J Mar Res 71: 253–288, 2013, J Fluid Mech 747: 605–634, 2014, J Fluid Mech 833: 512–537, 2017) is extended to a rotating stratified fluid. In this case, the WBLs arise in the field of near-inertial oscillations (NIOs) driven by a tangential wind stress of finite duration. Near-surface Ekman layer is specified in the most general form; tangential stresses are zero at the lower boundary of Ekman layer and viscosity is neglected below the boundary. After the wind ceases, the Ekman pumping at the boundary becomes a linear superposition of inertial oscillations with coefficients dependent on the horizontal coordinates. The solution under the Ekman layer is obtained in the form of expansions in the vertical wave modes. We separate from the solution a part representing NIO and demonstrate development of a WBL near the Ekman layer boundary. With increasing time t, the WBL width decays inversely proportional to \( \sqrt{t} \) and gradients of fields in the WBL grow proportionally to \( \sqrt{t} \); the most part of NIO is concentrated in the WBL. Structure of the WBL depends strongly on its horizontal scale L determined by scale of the wind stress. The shorter the NIO is, the thinner and sharper the WBL is; the short-wave NIO with L smaller than the baroclinic Rossby scale LR does not penetrate deep into the ocean. On the contrary, for L?≥?LR, the WBL has a smoother vertical structure; a significant long-wave NIO signal is able to reach the oceanic bottom. An asymptotic theory of the WBL in rotating stratified fluid is suggested.  相似文献   

15.
A vulnerability analysis of c.300 unreinforced Masonry churches in New Zealand is presented. The analysis uses a recently developed vulnerability index method (Cattari et al. in Proceedings of the New Zealand Society for Earthquake Engineering NZSEE 2015 conference, Rotorua, New Zealand, 2015a; b; SECED 2015 conference: earthquake risk and engineering towards a Resilient World, Cambridge; Goded et al. in Vulnerability analysis of unreinforced masonry churches (EQC 14/660)—final report, 2016; Lagomarsino et al. in Bull Earthq Eng, 2018), specifically designed for New Zealand churches, based on a widely tested approach for European historical buildings. It consists of a macroseismic approach where the seismic hazard is defined by the intensity and correlated to post seismic damage. The many differences in typologies of New Zealand and European churches, with very simple architectural designs and a majority of one nave churches in New Zealand, justified the need to develop a method specifically created for this country. A statistical analysis of the churches damaged during the 2010–2011 Canterbury earthquake sequence was previously carried out to develop the vulnerability index modifiers for New Zealand churches. This new method has been applied to generate seismic scenarios for each church, based on the most likely seismic event for 500 years return period, using the latest version of New Zealand’s National Seismic Hazard Model. Results show that highly vulnerable churches (e.g. stone churches and/or with a weak structural design) tend to produce higher expected damage even if the intensity level is lower than for less vulnerable churches in areas with slightly higher seismicity. The results of this paper provide a preliminary tool to identify buildings requiring in depth structural analyses. This paper is considered as a first step towards a vulnerability analysis of all the historical buildings in the country, in order to preserve New Zealand’s cultural and historical heritage.  相似文献   

16.
In this short note, I comment on the research of Pisarenko et al. (Pure Appl. Geophys 171:1599–1624, 2014) regarding the extreme value theory and statistics in the case of earthquake magnitudes. The link between the generalized extreme value distribution (GEVD) as an asymptotic model for the block maxima of a random variable and the generalized Pareto distribution (GPD) as a model for the peaks over threshold (POT) of the same random variable is presented more clearly. Inappropriately, Pisarenkoet al. (Pure Appl. Geophys 171:1599–1624, 2014) have neglected to note that the approximations by GEVD and GPD work only asymptotically in most cases. This is particularly the case with truncated exponential distribution (TED), a popular distribution model for earthquake magnitudes. I explain why the classical models and methods of the extreme value theory and statistics do not work well for truncated exponential distributions. Consequently, these classical methods should be used for the estimation of the upper bound magnitude and corresponding parameters. Furthermore, I comment on various issues of statistical inference in Pisarenkoet al. and propose alternatives. I argue why GPD and GEVD would work for various types of stochastic earthquake processes in time, and not only for the homogeneous (stationary) Poisson process as assumed by Pisarenko et al. (Pure Appl. Geophys 171:1599–1624, 2014). The crucial point of earthquake magnitudes is the poor convergence of their tail distribution to the GPD, and not the earthquake process over time.  相似文献   

17.
The main goal of this article is to decluster Iranian plateau seismic catalog by the epidemic-type aftershock sequence (ETAS) model and compare the results with some older methods. For this purpose, Iranian plateau bounded in 24°–42°N and 43°–66°E is subdivided into three major tectonic zones: (1) North of Iran (2) Zagros (3) East of Iran. The extracted earthquake catalog had a total of 6034 earthquakes (Mw?>?4) in the time span 1983–2017. The ETAS model is an accepted stochastic approach for seismic evaluation and declustering earthquake catalogs. However, this model has not yet been used to decluster the seismic catalog of Iran. Until now, traditional methods like the Gardner and Knopoff space–time window method and the Reasenberg link-based method have been used in most studies for declustering Iran earthquake catalog. Finally, the results of declustering by the ETAS model are compared with result of Gardner and Knopoff (Bull Seismol Soc Am 64(5):1363–1367, 1974), Uhrhammer (Earthq Notes 57(1):21, 1986), Gruenthal (pers. comm.) and Reasenberg (Geophys Res 90:5479–5495, 1985) declustering methods. The overall conclusion is difficult, but the results confirm the high ability of the ETAS model for declustering Iranian earthquake catalog. Use of the ETAS model is still in its early steps in Iranian seismological researches, and more parametric studies are needed.  相似文献   

18.
A dense cohesive sediment suspension, sometimes referred to as fluid mud, is a thixotropic fluid with a true yield stress. Current rheological formulations struggle to reconcile the structural dynamics of cohesive sediment suspensions with the equilibrium behaviour of these suspensions across the range of concentrations and shear. This paper is concerned with establishing a rheological framework for the range of sediment concentrations from the yield point to Newtonian flow. The shear stress equation is based on floc fractal theory, put forward by Mills and Snabre (1988). This results in a Casson-like rheology equation. Additional structural dynamics is then added, using a theory on the self-similarity of clay suspensions proposed by Coussot (1995), giving an equation which has the ability to match the equilibrium and time-dependent viscous rheology of a wide range of suspensions of different concentration and mineralogy.  相似文献   

19.
Source term balance in a severe storm in the Southern North Sea   总被引:1,自引:1,他引:0  
This paper presents the results of a wave hindcast of a severe storm in the Southern North Sea to verify recently developed deep and shallow water source terms. The work was carried out in the framework of the ONR funded NOPP project (Tolman et al. 2013) in which deep and shallow water source terms were developed for use in third-generation wave prediction models. These deep water source terms for whitecapping, wind input and nonlinear interactions were developed, implemented and tested primarily in the WAVEWATCH III model, whereas shallow water source terms for depth-limited wave breaking and triad interactions were developed, implemented and tested primarily in the SWAN wave model. So far, the new deep-water source terms for whitecapping were not fully tested in shallow environments. Similarly, the shallow water source terms were not yet tested in large inter-mediate depth areas like the North Sea. As a first step in assessing the performance of these newly developed source terms, the source term balance and the effect of different physical settings on the prediction of wave heights and wave periods in the relatively shallow North Sea was analysed. The December 2013 storm was hindcast with a SWAN model implementation for the North Sea. Spectral wave boundary conditions were obtained from an Atlantic Ocean WAVEWATCH III model implementation and the model was driven by hourly CFSR wind fields. In the southern part of the North Sea, current and water level effects were included. The hindcast was performed with five different settings for whitecapping, viz. three Komen type whitecapping formulations, the saturation-based whitecapping by Van der Westhuysen et al. (2007) and the recently developed ST6 whitecapping as described by Zieger et al. (2015). Results of the wave hindcast were compared with buoy measurements at location K13 collected by the Dutch Ministry of Transport and Public Works. An analysis was made of the source term balance at three locations, the deep water location North Cormorant, the inter-mediate depth location K13 and at location Wielingen, a shallow water location close to the Dutch coast. The results indicate that at deep water the source terms for wind input, whitecapping and nonlinear four-wave interactions are of the same magnitude. At the inter-mediate depth location K13, bottom friction plays a significant role, whereas at the shallow water location Wielingen also depth-limited wave breaking becomes important.  相似文献   

20.
To define the seismic input in non-liquefiable soils, current seismic standards give the possibility to treat local site effects using a simplified approach. This method is generally based on the introduction of an appropriate number of soil categories with associated soil factors that allow modifying the shape of the elastic acceleration response spectrum computed at rocky (i.e. stiff) sites. Although this approach is highly debated among researchers, it is extensively used in practice due to its easiness. As a matter of fact, for standard projects, this method represents the driving approach for the definition of the seismic input. Nevertheless, recent empirical and numerical studies have risen doubts about the reliability and safety of the simplified approach in view of the tendency of the current soil factors of Italian and European building codes to underestimate the acceleration at the free surface of the soil deposit. On the other hand, for certain soil classes, the current soil factors seem to overestimate ground amplification. Furthermore, the occurrence of soil nonlinearity, whose magnitude is linked to both soil type and level of seismic intensity, highlights the fallacy of using constant soil factors for sites with a different seismic hazard. The objective of this article is to propose a methodology for the definition of hazard-dependent soil factors and simultaneously quantify the reliability of the coefficients specified in the current versions of Eurocode 8 (CEN 2005) and Italian Building Code (NTC8 2008 and revision NTC18 2018). One of the most important outcome of this study is the quantification of the relevance of soil nonlinearity through the definition of empirical relationships between soil factors and peak ground acceleration at outcropping rock sites with flat topological surface (reference condition).  相似文献   

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