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1.
Fragility curves for risk-targeted seismic design maps   总被引:1,自引:0,他引:1  
Seismic design using maps based on “risk-targeting” would lead to an annual probability of attaining or exceeding a certain damage state that is uniform over an entire territory. These maps are based on convolving seismic hazard curves from a standard probabilistic analysis with the derivative of fragility curves expressing the chance for a code-designed structure to attain or exceed a certain damage state given a level of input motion, e.g. peak ground acceleration (PGA). There are few published fragility curves for structures respecting the Eurocodes (ECs, principally EC8 for seismic design) that can be used for the development of risk-targeted design maps for Europe. In this article a set of fragility curves for a regular three-storey reinforced-concrete building designed using EC2 and EC8 for medium ductility and increasing levels of design acceleration \((\hbox {a}_\mathrm{g})\) is developed. These curves show that structures designed using EC8 against PGAs up to about 1 m/s \(^{2}\) have similar fragilities to those that respect only EC2 (although this conclusion may not hold for irregular buildings, other geometries or materials). From these curves, the probability of yielding for a structure subjected to a PGA equal to \(\hbox {a}_\mathrm{g}\) varies between 0.14 ( \(\hbox {a}_\mathrm{g}=0.7\) m/s \(^{2})\) and 0.85 ( \(\hbox {a}_\mathrm{g}=3\) m/s \(^{2})\) whereas the probability of collapse for a structure subjected to a PGA equal to \(\hbox {a}_\mathrm{g}\) varies between 1.7 \(\times 10^{-7}\) ( \(\hbox {a}_\mathrm{g}=0.7\) m/s \(^{2})\) and 1.0 \(\times 10^{-5}\) ( \(\hbox {a}_\mathrm{g}=3\) m/s \(^{2})\) .  相似文献   

2.
The city of Lorca (Spain) was hit on May 11th, 2011, by two consecutive earthquakes of magnitudes 4.6 and 5.2 M \(_\mathrm{w}\) , causing casualties and important damage in buildings. Many of the damaged structures were reinforced concrete frames with wide beams. This study quantifies the expected level of damage on this structural type in the case of the Lorca earthquake by means of a seismic index \(I_{v}\) that compares the energy input by the earthquake with the energy absorption/dissipation capacity of the structure. The prototype frames investigated represent structures designed in two time periods (1994–2002 and 2003–2008), in which the applicable codes were different. The influence of the masonry infill walls and the proneness of the frames to concentrate damage in a given story were further investigated through nonlinear dynamic response analyses. It is found that (1) the seismic index method predicts levels of damage that range from moderate/severe to complete collapse; this prediction is consistent with the observed damage; (2) the presence of masonry infill walls makes the structure very prone to damage concentration and reduces the overall seismic capacity of the building; and (3) a proper hierarchy of strength between beams and columns that guarantees the formation of a strong column-weak beam mechanism (as prescribed by seismic codes), as well as the adoption of counter-measures to avoid the negative interaction between non-structural infill walls and the main frame, would have reduced the level of damage from \(I_{v}\) \(\,=\,\) 1 (collapse) to about \(I_{v}\) \(\,=\,\) 0.5 (moderate/severe damage).  相似文献   

3.
A damaging seismic sequence hit a wide area mainly located in the Emilia-Romagna region (Northern Italy) during 2012 with several events of local magnitude \(\hbox {M}_\mathrm{l} \ge 5\) , among which the \(\hbox {M}_\mathrm{l}\) 5.9 May 20 and the \(\hbox {M}_\mathrm{l}\) 5.8 May 29 were the main events. Thanks to the presence of a permanent accelerometric station very close to the epicentre and to the temporary installations performed in the aftermath of the first shock, a large number of strong motion recordings are available, on the basis of which, we compared the recorded signals with the values provided by the current Italian seismic regulations, and we observed several differences with respect to horizontal components when the simplified approach for site conditions (based on Vs30 classes) is used. On the contrary, when using the more accurate approach based on the local seismic response, we generally obtain a much better agreement, at least in the frequency range corresponding to a quarter wavelength comparable with the depth of the available subsoil data. Some unresolved questions still remain, such as the low frequency behaviour ( \(<\) 1 Hz) that could be due either to complex propagation at depth larger than the one presently investigated or to near source effects, and the behaviour of vertical spectra whose recorded/code difference is too large to be explained with the information currently available.  相似文献   

4.
The seismic behaviour of caisson foundations supporting typical bridge piers is analysed with 3D finite elements, with due consideration to soil and interface nonlinearities. Single-degree-of freedom oscillators of varying mass and height, simulating heavily and lightly loaded bridge piers, founded on similar caissons are studied. Four different combinations of the static ( $\text{ FS }_\mathrm{V}$ FS V ) and seismic ( $\text{ FS }_\mathrm{E}$ FS E ) factors of safety are examined: (1) a lightly loaded ( $\text{ FS }_\mathrm{V}= 5$ FS V = 5 ) seismically under-designed ( $\text{ FS }_\mathrm{E} < 1$ FS E < 1 ) caisson, (2) a lightly loaded seismically over-designed ( $\text{ FS }_\mathrm{E} >1$ FS E > 1 ) caisson, (3) a heavily loaded ( $\text{ FS }_\mathrm{V} = 2.5$ FS V = 2.5 ) seismically under-designed ( $\text{ FS }_\mathrm{E} < 1$ FS E < 1 ) caisson and (4) a heavily loaded seismically over-designed caisson. The analysis is performed with use of seismic records appropriately modified so that the effective response periods (due to soil-structure-interaction effects) of the studied systems correspond to the same spectral acceleration, thus allowing their inelastic seismic performance to be compared on a fair basis. Key performance measures of the systems are then contrasted, such as: accelerations, displacements, rotations and settlements. It is shown that the performance of the lightly loaded seismically under-designed caisson is advantageous: not only does it reduce significantly the seismic load to the superstructure, but it also produces minimal residual displacements of the foundation. For heavily loaded foundations, however ( $\text{ FS }_{V} = 2.5$ FS V = 2.5 ), the performance of the two systems (over and under designed) is similar.  相似文献   

5.
We tested attenuation relations obtained for different regions of the world to verify their suitability to predict strong-motion data recorded by Medellín and Aburrá Valley Accelerographic Networks. We used as comparison criteria, the average of the difference between the observed and the predicted data as a function of epicenter distance and its standard deviation. We also used the approach developed by Sherbaum et al. (Bull Seism Soc Am 94:2164–2185, 2004) that provides a method to evaluate the overall goodness-of-fit of ground-motion prediction equations. The predictive models selected use a generic focal depth. We found that this parameter has an important influence in the ground-motion predictions and must be taken into account as an independent variable. We also found important to characterize the local soil amplification to improve the attenuation relations. We found empirical relations for peak horizontal acceleration PGA and velocity PGV based on the Kamiyama and Yanagisawa (Soils Found 26:16–32, 1986) approach. $$\begin{aligned} \log _{10} (PGA)=0.5886M_L -1.0902\log _{10}(R)-0.0035H+C_{st}\pm 0.\text{29} \end{aligned}$$ $$\begin{aligned} \log _{10} (PGV)=0.7255M_L -1.8812\log _{10}(R)-0.0016H+C_{st}\pm 0.36 \end{aligned}$$ where PGA is measured in cm/s $^{2}$ and PGV in cm/s, $M_{L}$ is local magnitude in the range 2.8–6.5, $R$ is epicentral distance up to 290 km, $H$ is focal depth in km and $C_{st}$ is a coefficient that accounts for the site response due to soil conditions of each recording station. The introduction of focal depth and local site conditions as independent variables, minimize the residuals and the dispersion of the predicted data. We conclude that $H$ and $C_{st}$ are sensitive parameters, having a strong influence on the strong-motion predictions. Using the same functional form, we also propose an empirical relation for the root mean square acceleration a $_\mathrm{rms}$ : $$\begin{aligned} \log _{10} \left( {a_{rms} } \right)=0.4797M_L -1.1665\log _{10} (R)-0.00201H+C_{st}\pm 0.40 \end{aligned}$$ where a $_\mathrm{rms}$ is measured in cm/s $^{2}$ , from the S-wave arrival and using a window length equal to the rupture duration. The other variables are the same as those for PGA and PGV. The site correction coefficients $C_{st}$ found for PGA, PGV and a $_\mathrm{rms}$ show a similar trend indicating a good correlation with the soil conditions of the recording sites.  相似文献   

6.
In this numerical study the effects of the stratification and change in material type on the dynamic behavior of the clayey basins are investigated. For this purpose two kinds of single and double layer basin models with the total depth of 100 m and width of 2 km have been selected. The single layer basins consist of soft, medium and stiff clayey materials, while double layer basins consist of a stiff sandy sub-layer overlaid by one of the soft, medium and stiff clayey soil layer. A range of bedrock inclinations at the valley sides from slighter \(10^{\circ }\) and \(20^{\circ }\) to steeper \(30^{\circ }\) and \(40^{\circ }\) are selected. A numerical study using finite difference based nonlinear code which utilizes appropriate static and dynamic boundary conditions, and includes hysteresis damping formulation based on user defined degradation curves is conducted using real earthquake motions of different strength and frequency content. The results of the 2D analyses show the differences in dynamic behavior of single and double layer basins from the aspect of amount and position of the maximum amplification and resonance period. It was seen that the shallower lateral parts of the basins are sensitive to lower periods while inner parts are sensitive to higher periods. Among other differences, the most important difference between the behavior of single and double layer basins was seen at the resonance period of the inner parts of the basins.  相似文献   

7.
A complex seismic sequence characterised by two thrust earthquakes of magnitudes M \(_\mathrm{L}\) 5.9 and M \(_\mathrm{L}\) 5.8 occurred on May 20 and 29, 2012, respectively, and activated the central portion of the Ferrara Arc structure beneath the Po Plain in northern Italy. The sequence, referred to as Emilia 2012, was recorded by the Italian Strong Motion Network, the Irpinia Network, the Friuli Venezia Giulia Network and 15 temporary stations installed by the Civil Protection Department. In this study, we compile and analyse a large dataset that contains 3,273 waveforms from 37 \(M_\mathrm{L} \ge 4.0\) seismic events. The main aim of this paper is to characterise the ground motion induced by the Emilia 2012 seismic sequence and compare it with other data in the Italian strong motion database and to the recent Ground Motion Prediction Equations (GMPEs) developed for northern Italy, all of Italy and Europe. This is achieved by (1) the computation and analysis of the strong motion parameters of the entire Emilia Strong Motion Dataset (ESMD) and (2) a comprehensive investigation of the May 29 event recordings in terms of time–frequency analysis, the ground motion parameters and the response spectra. This detailed analysis was made possible by the temporary Civil Protection Department stations that were installed soon after the May 20 event at several municipalities in the epicentral area. Most of the recordings are characterised by low-frequency content and long durations, which is a result of the thick sedimentary cover that is typical of the Po Plain. The distributions of the observed horizontal peak ground accelerations and velocities (PGAs and PGVs) with distance are generally consistent with the GMPEs. This is particularly true for the data from M \(_\mathrm{L} \ge \) 5.0 (M \(_\mathrm{W}\ge \) 5.0) events, though the data are scattered at distances beyond approximately 60–70 km and show faster attenuation than the European GMPEs. The horizontal components for the May 29 event at two near-fault stations (Mirandola and San Felice sul Panaro) are overestimated by all of the analysed GMPEs. In contrast, the vertical components, which played an important role in the shaking near the source, are underestimated. The May 29 event produced intense velocity pulses on the horizontal components and the highest peak ground acceleration ever recorded in Italy on the vertical component of the Mirandola near-fault station. The ground motion recordings contained in the ESMD significantly enrich the Italian strong motion database. They contribute new information about (1) the possibility of exceeding the largest recorded PGA in Italy, (2) the development of a spectral design that takes into account the role of the vertical component and the extreme variability of the near-fault ground shaking, and (3) the characterisation of the ground motions in deep sedimentary basins.  相似文献   

8.
This paper describes a new method for the evaluation of the static eccentricity $e_{s}$ and the ratio $\Omega _{\uptheta } $ of uncoupled torsional to lateral frequencies in real multi-storey buildings. The above-mentioned parameters greatly affect the lateral-to-torsional coupling of the response of asymmetric systems and thus are of paramount importance in the assessment of the in-plan irregularity of buildings. The proposed method, which is a generalization of that suggested by Calderoni et al. (Earthq Spectra 18(2):219–231, 2002), allows the calculation of the static eccentricity $e_{s}$ and the ratio $\Omega _{\uptheta } $ from the structural response to arbitrary distributions of forces and torsional couples. The effectiveness of the method is validated on some regularly and non-regularly asymmetric buildings characterised by different in-plan irregularity. The analyses demonstrate that the results of the method are rigorous in the case of regularly asymmetric systems and only slightly depend upon the heightwise distribution of the forces in the case of non-regularly asymmetric systems. Finally, the values of the static eccentricity $e_{s}$ and the ratio $\Omega _{\uptheta } $ resulting from the proposed method are compared to those obtained by means of the procedure suggested by Makarios and Anastassiadis in (Struct Des Tall Spec Build 7(1):33–55, 1998a; Struct Des Tall Spec Build 7(1):57–71, 1998b) .  相似文献   

9.
The Lorca Basin has been the object of recent research aimed at studying the phenomena of earthquake-induced landslides and its assessment in the frame of different seismic scenarios. However, it has not been until the 11th May 2011 Lorca earthquakes when it has been possible to conduct a systematic approach to the problem. In this paper we present an inventory of slope instabilities triggered by the Lorca earthquakes which comprises more than 100 cases, mainly rock and soil falls of small size (1–100  \(\hbox {m}^{3}\) ). The distribution of these instabilities is here compared to two different earthquake-triggered landslide hazard maps: one considering the occurrence of the most probable earthquake for a 475-years return period in the Lorca Basin \((\hbox {M}_{\mathrm{w}}=5.0)\) based on both low- and high-resolution digital elevation model (DEM); and a second one matching the occurrence of the \(\hbox {M}_{\mathrm{w}}=5.2\) 2011 Lorca earthquake, which was performed using the higher resolution DEM. The most frequent Newmark displacements related to the slope failures triggered by the 2011 Lorca earthquakes are lower than 2 cm in both the hazard scenarios considered. Additionally, the predicted Newmark displacements were correlated to the inventory of slope instabilities to develop a probability of failure equation. The fit seems to be very good since most of the mapped slope failures are located on the higher probability areas. The probability of slope failure in the Lorca Basin for a seismic event similar to the \(\hbox {M}_{\mathrm{w}}\) 5.2 2011 Lorca earthquake can be considered as very low (0–4 %).  相似文献   

10.
The TKE dissipation rate in the northern South China Sea   总被引:1,自引:0,他引:1  
The microstructure measurements taken during the summer seasons of 2009 and 2010 in the northern South China Sea (between 18°N and 22.5°N, and from the Luzon Strait to the eastern shelf of China) were used to estimate the averaged dissipation rate in the upper pycnocline 〈ε p〉 of the deep basin and on the shelf. Linear correlation between 〈ε p〉 and the estimates of available potential energy of internal waves, which was found for this data set, indicates an impact of energetic internal waves on spatial structure and temporal variability of 〈ε p〉. On the shelf stations, the bottom boundary layer depth-integrated dissipation $ {\widehat{\varepsilon}}_{\mathrm{BBL}} $ reaches 17–19 mW/m2, dominating the dissipation in the water column below the surface layer. In the pycnocline, the integrated dissipation $ {\widehat{\varepsilon}}_{\mathrm{p}} $ was mostly ~10–30 % of $ {\widehat{\varepsilon}}_{\mathrm{BBL}} $ . A weak dependence of bin-averaged dissipation $ \overline{\varepsilon} $ on the Richardson number was noted, according to $ \overline{\varepsilon}={\varepsilon}_0+\frac{\varepsilon_{\mathrm{m}}}{{\left(1+ Ri/R{i}_{\mathrm{cr}}\right)}^{1/2}} $ , where ε 0 + ε m is the background value of $ \overline{\varepsilon} $ for weak stratification and Ri cr?=?0.25, pointing to the combined effects of shear instability of small-scale motions and the influence of larger-scale low frequency internal waves. The latter broadly agrees with the MacKinnon–Gregg scaling for internal-wave-induced turbulence dissipation.  相似文献   

11.
At present, the seismic vulnerability assessment of reinforced concrete (RC) buildings is made considering fixed base conditions; moreover, the mechanical properties of the building remain intact in time. In this study we investigate whether these two fundamental hypotheses are sound as aging and soil-structure interaction (SSI) effects might play a crucial role in the seismic fragility analysis of RC structures. Among the various aging processes, we consider the chloride-induced corrosion based on probabilistic modeling of corrosion initiation time and corrosion rate. Different corrosion aspects are considered in the analysis including the loss of reinforcement cross-sectional area, the degradation of concrete cover and the reduction of steel ultimate deformation. SSI is modeled by applying the direct one-step approach, which accounts simultaneously for inertial and kinematic interactions. Two-dimensional incremental dynamic analysis is performed to assess the seismic performance of the initial uncorroded ( \(\hbox {t}=0\) years) and corroded ( \(\hbox {t}=50\) years) RC moment resisting frame structures, having been designed with different seismic code levels. The time-dependent fragility functions are derived in terms of the spectral acceleration at the fundamental mode of the structure \(\hbox {S}_{\mathrm{a}}(\hbox {T}_{1}\) , 5 %) and the outcropping peak ground acceleration for the immediate occupancy and collapse prevention limit states. Results show an overall increase in seismic vulnerability over time due to corrosion highlighting the important influence of deterioration due to aging effects on the structural behavior. Moreover, the consideration of SSI and site effects may significantly alter the expected structural performance leading to higher vulnerability values.  相似文献   

12.
The full moment tensor is a mathematical expression of six independent variables; however, on a routine basis, it is a common practice to reduce them to five assuming that the isotropic component is zero. This constraint is valid in most tectonic regimes where slip occurs entirely at the fault surface (e.g. subduction zones); however, we found that full moment tensors are best represented in transform fault systems. Here we present a method to analyze source complexity of earthquakes of different sizes using a simple formulation that relates the elastic constants obtained from independent studies with the angle between the slip and the fault normal vector, referred to as angle \( \theta \) ; this angle is obtained from the full moment tensors. The angle \( \theta \) , the proportion of volume change \( \left( k \right) \) and the constant volume (shear) component \( \left( T \right) \) are numerical indicators of complexity of the source; earthquakes are more complex as \( \theta \) deviates from \( \pi /2 \) or as T and k deviate from zero as well. These parameters are obtained from the eigensolution of the full moment tensor. We analyzed earthquakes in the Gulf of California that exhibit a clear isotropic component and we observed that the constant volume parameter T is independent of scalar moments, suggesting that big and small earthquakes are equally complex. In addition, simple models of one single fault are not sufficient to describe physically all the combinations of \( \theta \) in a source type plot. We also found that the principal direction of the strike of the Transform Fault System in the Gulf of California is following the first order approximation of the normal surface of the full moment tensor solution, whereas for deviatoric moment tensors the principal direction does not coincide with the strike of the Transform Fault System. Our observations that small and large earthquakes are equally complex are in agreement with recent studies of strike-slip earthquakes.  相似文献   

13.
In this paper we describe a stable automatic method to estimate in real time the seismic moment, moment magnitude and corner frequency of events recorded by a network comprising broad-band and accelerometer sensors. The procedure produces reliable results even for small-magnitude events $\hbox {M}_{\mathrm{W}}\approx 3$ . The real-time data arise from both the Transfrontier network at the Alps-Dinarides junction and from the Italian National Accelerometric Network (RAN). The data is pre-processed and the S-wave train identified through the application of an automatic method, which estimates the arrival times based on the hypocenter location, recording site and regional velocity model. The transverse component of motion is used to minimize conversion effects. The source spectrum is obtained by correcting the signals for geometrical spreading and intrinsic attenuation. Source spectra for both velocity and displacement are computed and, following Andrews (1986), the seismic moment and the first estimate of the corner frequency, $f_{0}$ , derived. The procedure is validated using the recordings of some recent moderate earthquakes (Carnia 2002; Bovec 2004; Parma 2008; Aquila 2009; Macerata 2009; Emilia 2012) and the recordings of some minor events in the SE Alps area for which independent seismic moment and moment magnitude estimates are available. The results obtained with a dataset of 843 events recorded by the Transfrontier and RAN networks show that the procedure is reliable and robust for events with $\hbox {M}_{\mathrm{W}}\ge 3$ . The estimates of $f_{0}$ are less reliable. The results show a scatter, principally for small events with $\hbox {M}_{\mathrm{W}}\le 3$ , probably due to site effects and inaccurate locations.  相似文献   

14.
Complexity–entropy causality plane (CECP) is a diagnostic diagram plotting normalized Shannon entropy \({\cal H}_S\) versus Jensen–Shannon complexity \({\cal C}_{JS}\) that has been introduced in nonlinear dynamics analysis to classify signals according to their degrees of randomness and complexity. In this study, we explore the applicability of CECP in hydrological studies by analyzing 80 daily stream flow time series recorded in the continental United States during a period of 75 years, surrogate sequences simulated by autoregressive models (with independent or long-range memory innovations), Theiler amplitude adjusted Fourier transform and Theiler phase randomization, and a set of signals drawn from nonlinear dynamic systems. The effect of seasonality, and the relationships between the CECP quantifiers and several physical and statistical properties of the observed time series are also studied. The results point out that: (1) the CECP can discriminate chaotic and stochastic signals in presence of moderate observational noise; (2) the signal classification depends on the sampling frequency and aggregation time scales; (3) both chaotic and stochastic systems can be compatible with the daily stream flow dynamics, when the focus is on the information content, thus setting these results in the context of the debate on observational equivalence; (4) the empirical relationships between \({\mathcal H}_S\) and \({\mathcal C}_{JS}\) and Hurst parameter H, base flow index, basin drainage area and stream flow quantiles highlight that the CECP quantifiers can be considered as proxies of the long-term low-frequency groundwater processes rather than proxies of the short-term high-frequency surface processes; (6) the joint application of linear and nonlinear diagnostics allows for a more comprehensive characterization of the stream flow time series.  相似文献   

15.
16.
This article presents the latest generation of ground-motion models for the prediction of elastic response (pseudo-) spectral accelerations, as well as peak ground acceleration and velocity, derived using pan-European databases. The models present a number of novelties with respect to previous generations of models (Ambraseys et al. in Earthq Eng Struct Dyn 25:371–400, 1996, Bull Earthq Eng 3:1–53, 2005; Bommer et al. in Bull Earthq Eng 1:171–203, 2003; Akkar and Bommer in Seismol Res Lett 81:195–206, 2010), namely: inclusion of a nonlinear site amplification function that is a function of $\text{ V }_\mathrm{S30}$ and reference peak ground acceleration on rock; extension of the magnitude range of applicability of the model down to $\text{ M }_\mathrm{w}$ 4; extension of the distance range of applicability out to 200 km; extension to shorter and longer periods (down to 0.01 s and up to 4 s); and consistent models for both point-source (epicentral, $\text{ R }_\mathrm{epi}$ , and hypocentral distance, $\text{ R }_\mathrm{hyp}$ ) and finite-fault (distance to the surface projection of the rupture, $\text{ R }_\mathrm{JB}$ ) distance metrics. In addition, data from more than 1.5 times as many earthquakes, compared to previous pan-European models, have been used, leading to regressions based on approximately twice as many records in total. The metadata of these records have been carefully compiled and reappraised in recent European projects. These improvements lead to more robust ground-motion prediction equations than have previously been published for shallow (focal depths less than 30 km) crustal earthquakes in Europe and the Middle East. We conclude with suggestions for the application of the equations to seismic hazard assessments in Europe and the Middle East within a logic-tree framework to capture epistemic uncertainty.  相似文献   

17.
A simple biogeochemical model coupled to an offline ocean tracer transport model driven by reanalysis ocean data is used to simulate the seasonal and interannual CO $_2$ flux variability in the northern Indian Ocean. The maximum of seasonal and interannual CO $_2$ emission variances in the northern Indian Ocean are located in the coastal Arabian Sea (AS) and Southern Peninsular India (SP) with a basin-wide seasonal amplitude and standard deviation of 0.044 $\pm $ 0.04 Pg C year $^{-1}$ . The area integrated CO $_2$ emissions from these two regions in the model are significantly correlated (above a 95 % level) with the observations of Takahashi et al. (Deep-Sea Res-II, 56:554–577, 2009). The interannual anomalies of CO $_2$ emission from the AS and SP are found as 40 and 30 % of their respective seasonal amplitudes. Both the Arabian Sea (AS) and Southern Peninsular India (SP) interannual CO $_2$ emission anomalies show a 3–4-year variability. The correlations of AS and SP CO $_2$ emission anomalies with the Indian Ocean Dipole/Zonal Mode (IODZM) and Southern Oscillation (SO) indices from 1980 to 1999 are 0.35, 0.21 and 0.32, 0.01 respectively. A 5-year window moving correlation analysis shows that the relationship of AS and SP CO $_2$ emission to the SO and IODZM are complementary to each other. During the years when the correlation of air–sea CO $_2$ emission with the IODZM is stronger, the corresponding correlation with the SO is weaker or opposite. The total change in pCO $_2$ is broken down into changes induced by the individual components such as dissolved inorganic carbon (DIC), sea surface temperature (SST), alkalinity, and salinity and found that (1) the effect of SST in the AS CO $_2$ emission increases (decreases) when the correlation of CO $_2$ emission with the IODZM is positive (negative), and (2) the SP CO $_2$ emission is strongly controlled by the circulation-driven DIC changes; however, this relation is found to be weaker when the SO correlates negatively with the SP CO $_2$ emission.  相似文献   

18.
This paper estimates fundamental translational period and damping ratio parameters and examines the changes in dynamic characteristics of a set of low-to-medium rise buildings in Lorca town (SE of Spain) affected by the May 11th, 2011 earthquake. These building parameters have been calculated analysing structural dynamic response from ambient vibration measurements recorded at top RC buildings pre- and post earthquake, using the Fast Fourier Transform and the Randomdec technique. The empirical expression relating period \((T)\) and number of floor \((N)\) here obtained analysing ambient noise recorded on 59 healthy buildings before the earthquake is \(T= (0.054\pm 0.002)\, N\) , very similar to others empirical period–height relationships obtained for RC structures in the European built environment but quite different from code provisions. Measurements performed in 34 damaged buildings show a period elongation after the quake according to \(T^{*} =(0.075\pm 0.002)\,N\) expression. Moreover, we found a rise of the fundamental period with the EMS’s grade of damage of buildings. In contrast to natural frequency, damping ratio \((\xi )\) do not shows a significant variation with earthquake damage degree and the product \(\xi \, T\) remains near constant.  相似文献   

19.
20.
This paper introduces a portfolio approach for quantifying pollution risk in the presence of PM\(_{2.5}\) concentration in cities. The model used is based on a copula dependence structure. For assessing model parameters, we analyze a limited data set of PM\(_{2.5}\) levels of Beijing, Tianjin, Chengde, Hengshui, and Xingtai. This process reveals a better fit for the t-copula dependence structure with generalized hyperbolic marginal distributions for the PM\(_{2.5}\) log-ratios of the cities. Furthermore, we show how to efficiently simulate risk measures clean-air-at-risk and conditional clean-air-at-risk using importance sampling and stratified importance sampling. Our numerical results show that clean-air-at-risk at 0.01 probability level reaches up to \(352\,{\mu \hbox {gm}^{-3}}\) (initial PM\(_{2.5}\) concentrations of cities are assumed to be \(100\,{\mu \hbox {gm}^{-3}}\)) for the constructed sample portfolio, and that the proposed methods are much more efficient than a naive simulation for computing the exceeding probabilities and conditional excesses.  相似文献   

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