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  • 2020-2024  (7,989)
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  • 1
    Publication Date: 2024-05-27
    Description: Extreme rainfall generated by storms and atmospheric instability causes innumerable damage to coastal areas and their marine ecosystems. This chapter describes some of the processes that generate critical precipitation events in coastal areas. Among these, the typical synoptic conditions combine with the increase in sea surface temperature and air temperature, coastal geomorphology, and sea breeze. Coastal and regional rainfall events should be studied to understand the meteorological, oceanographic, and geomorphological conditions that cause the extreme events, to later relate them with the consequences on coasts. The effects of the interaction of storms with tides originating storm surges and the effect of sea-level rise are described as well as the main consequences of extreme rainfall events such as beach erosion, decrease in water quality, changes in plankton and fish species that inhabit coastal waters, among others.
    Type: Book chapter , PeerReviewed
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  • 2
    Publication Date: 2024-05-27
    Description: The crises of climate change and biodiversity loss are interlinked and must be addressed jointly. A proposed solution for reducing reliance on fossil fuels, and thus mitigating climate change, is the transition from conventional combustion-engine to electric vehicles. This transition currently requires additional mineral resources, such as nickel and cobalt used in car batteries, presently obtained from land-based mines. Most options to meet this demand are associated with some biodiversity loss. One proposal is to mine the deep seabed, a vast, relatively pristine and mostly unexplored region of our planet. Few comparisons of environmental impacts of solely expanding land-based mining versus extending mining to the deep seabed for the additional resources exist and for biodiversity only qualitative. Here, we present a framework that facilitates a holistic comparison of relative ecosystem impacts by mining, using empirical data from relevant environmental metrics. This framework (Environmental Impact Wheel) includes a suite of physicochemical and biological components, rather than a few selected metrics, surrogates, or proxies. It is modified from the “recovery wheel” presented in the International Standards for the Practice of Ecological Restoration to address impacts rather than recovery. The wheel includes six attributes (physical condition, community composition, structural diversity, ecosystem function, external exchanges and absence of threats). Each has 3–5 sub attributes, in turn measured with several indicators. The framework includes five steps: (1) identifying geographic scope; (2) identifying relevant spatiotemporal scales; (3) selecting relevant indicators for each sub-attribute; (4) aggregating changes in indicators to scores; and (5) generating Environmental Impact Wheels for targeted comparisons. To move forward comparisons of land-based with deep seabed mining, thresholds of the indicators that reflect the range in severity of environmental impacts are needed. Indicators should be based on clearly articulated environmental goals, with objectives and targets that are specific, measurable, achievable, relevant, and time bound.
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  • 3
    Publication Date: 2024-05-27
    Description: August 14 – August 17, 2023, Kiel (Germany) – Kiel (Germany) CAU pherPraO
    Type: Report , NonPeerReviewed
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  • 4
    Publication Date: 2024-05-27
    Description: Phytoplankton form the base of the marine food web by transforming CO2 into organic carbon via photosynthesis. Despite the importance of phytoplankton for marine ecosystems and global carbon cycling, projections of phytoplankton biomass in response to climate change differ strongly across Earth system models, illustrating uncertainty in our understanding of the underlying processes. Differences are especially large in the Southern Ocean, a region that is notoriously difficult to represent in models. Here, we argue that total (depth-integrated) phytoplankton biomass in the Southern Ocean is projected to largely remain unchanged under climate change by the Coupled Model Intercomparison Project Phase 6 (CMIP6) multi-model ensemble because of a shifting balance of bottom-up and top-down processes driven by a shoaling mixed-layer depth. A shallower mixed layer is projected on average to improve growth conditions, consequently weaken bottom-up control, and confine phytoplankton closer to the surface. An increase in the phytoplankton concentration promotes zooplankton grazing efficiency, thus intensifying top-down control. However, large differences across the model ensemble exist, with some models simulating a decrease in surface phytoplankton concentrations. To reduce uncertainties in projections of surface phytoplankton concentrations, we employ an emergent constraint approach using the observed sensitivity of surface chlorophyll concentration, taken as an observable proxy for phytoplankton, to seasonal changes in the mixed-layer depth as an indicator for future changes in surface phytoplankton concentrations. The emergent constraint reduces uncertainties in surface phytoplankton concentration projections by around one-third and increases confidence that surface phytoplankton concentrations will indeed rise due to shoaling mixed layers under global warming, thus favouring intensified top-down control. Overall, our results suggest that while changes in bottom-up conditions stimulate enhanced growth, intensified top-down control opposes an increase in phytoplankton and becomes increasingly important for the phytoplankton response to climate change in the Southern Ocean.
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  • 5
    Publication Date: 2024-05-27
    Description: Bericht zum Fachworkshop des Forschungsverbundes GEOSTOR der Forschungsmission CDRmare am 11. Oktober 2023 im Geozentrum Hannover
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  • 6
    Publication Date: 2024-05-24
    Description: Social-ecological transformation has become an important concept in the face of profound planetary crises (loss of biodiversity, climate crisis). Recently, the needs for social scientific transformation research have become more clearly defined. We reflect on the role of the social sciences and the humanities in democratically shaping social transformation in interaction with other sectors of society. Finally, we sketch three examples that illustrate the kind of new methodological and institutional approaches to be pursued.
    Language: English
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  • 7
    Publication Date: 2024-05-24
    Description: Some forty years ago, the UN Convention on the Law of the Sea 1982 (UNCLOS) created an unusual regime for states to collectively manage common natural resources on the international seabed beyond national jurisdiction (known as the Area) through the International Seabed Authority (ISA). In the intervening years, scientists have increasingly been warning about the serious environmental risks of mining seabed minerals. At this pivotal point in time, when states are negotiating whether or not to allow seabed mining, this essay explores the risk of undermining by mining, that is, contravening international marine environmental law and the obligations and responsibilities of states thereunder by allowing commercial mining activities to commence. We argue that allowing seabed mining in the Area at this juncture, when so much about the deep ocean remains unknown, would risk frustrating a host of measures, achievements, and progress to enhance marine environmental protection, particularly in areas beyond national jurisdiction. We begin with an overview of the ISA and its work to date, before discussing potential interactions between seabed mining and marine environmental law and policies, with a particular focus on the new ocean biodiversity agreement. We conclude by urging states to take cognizance of their overarching duty to protect and preserve the marine environment and ensure that all decisions taken with respect to seabed mining are consistent with their obligations and responsibilities under international law.
    Language: English
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  • 8
    Publication Date: 2024-05-24
    Description: Real-world laboratories have become a recognised research format for addressing sustainability challenges. In these transdisciplinary settings, actors from civil society, local government, and academia work together using a transdisciplinary research approach to jointly experiment and learn about sustainability transformations. While these labs are considered to have potential, their impact has not yet been fully measured. Therefore, in our paper we explore the case of the Zukunftsstadt Lüneburg 2030+ process to uncover the impacts that this long-term effort has generated over the past eight years. By examining the process and its design features from three analytical perspectives, we identify emergent impacts in three dimensions: education, governance, and the lab as an actor for sustainability. Based on our case study, we suggest that real-world labs contribute to sustainability on a local level, beyond the intentional experiments, through impacts that emerge over the course of the joint operation of the lab.
    Language: English
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  • 9
    Publication Date: 2024-05-24
    Description: Numerous scientific reports have evidenced the transformation of the earth system due to human activities. These changes – captured under the term ‘Anthropocene’ – require a new perspective on global law and policy. The concept of ‘earth system law’ situates law in an earth system context and offers a new perspective to interrogate the role of law in governing planetary challenges such as climate change. The discourse on earth system law has not yet fully recognised courts as actors that could shape climate governance, while climate litigation discourse has insufficiently considered aspects of earth system law. We posit that courts play an increasingly influential climate governance role and that they need to be recognised as Anthropocene institutions within the earth system law paradigm. Drawing on a set of prominent climate cases, we discuss five inter-related domains that are relevant for earth system law and where the potential influence of courts can be discerned: establishing accountability, redefining power relations, remedying vulnerabilities and injustices, increasing the reach and impact of international climate law and applying climate science to adjudicate legal disputes. We suggest that their innovative work in these domains could provide a basis for positioning courts as planetary climate governance actors.
    Language: English
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  • 10
    Publication Date: 2024-05-24
    Description: Germany, the European Union member state with the largest fiscal space and its leading manufacturer of industrial goods, is pursuing an ambitious hydrogen strategy aiming at establishing itself as a major technology provider and importer of green hydrogen. The success of its hydrogen strategy represents not only a key element in realizing the European vision of climate neutrality but also a central driver of an emerging global hydrogen economy. This article provides a detailed review of German policy, highlighting its prominent international dimension and its implications for the development of a global renewable hydrogen economy. It provides an overview of the strategy's central goals and how these have evolved since the launch of the strategy in 2020. Next, it moves on to provide an overview of the strategy's main areas of intervention and highlights corresponding policy instruments. For this, we draw on a comprehensive assessment of hydrogen policy instruments, which have been systematically analyzed and coded. This was complemented by a detailed analysis of policy documents and information gathered in six interviews with government officials and staff of key implementing agencies. The article places particular emphasis on the strategy's international dimension. While less significant in financial terms than domestic hydrogen-related spending, it represents a defining feature of the German hydrogen strategy, setting it apart from strategies in other major economies. The article closes with a reflection on the key features of the strategy compared to other important countries, identifies gaps of the strategy and discusses important avenues for future research.
    Language: English
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  • 11
    Publication Date: 2024-05-24
    Description: Increasing interconnectedness, along with the effects of climate change and other global risk drivers, has led to mounting systemic risks in the complex systems that characterize our world. Systemic risks, with their cascading impacts and long-term sustainability concerns, necessitate transformative approaches to manage their effects across system scales and dimensions. To date, however, an “operationalization gap” impedes translating between propositions for transformative change and policy options for addressing systemic risk. Here, we propose combining systemic risk analyses with local approaches, prominently including knowledge co-production, to achieve a more comprehensive understanding of complex systems. This combined approach can support stakeholders in designing transformative risk management and adaptation interventions that balance individual and higher-order interactions, incorporate diverse viewpoints, and thus manage systemic risks and leverage transformation potential more effectively. Furthermore, we suggest that a risk-layering approach can help differentiate, prioritize, and orchestrate these options for incremental and transformative changes.
    Language: English
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  • 12
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    In:  Review of European, Comparative & International Environmental Law
    Publication Date: 2024-05-24
    Description: In two recent South African cases, Indigenous communities successfully challenged proposed fossil fuel exploration activities by the Shell petroleum company off South Africa's pristine West Coast. In contrast to earlier climate litigation cases in South Africa, the litigants relied specifically on their Indigenous rights and knowledge. In this case note, we highlight the ways in which the two courts engaged with the communities' cultural beliefs and practices as well as their knowledge related to sustainability and how this relates to protecting their livelihoods, cultural practices and identities that are threatened by the proposed activities. We highlight the important role played by Indigenous communities in the climate movement and argue that, in the future, Indigenous and related considerations could provide a strong basis for climate litigation in South Africa and potentially contribute to efforts to protect Indigenous communities against the activities of carbon majors.
    Language: English
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  • 13
    Publication Date: 2024-05-24
    Description: This article presents an enhanced emission module for the PALM model system, which collects discrete emission sources from different emission sectors and assigns them dynamically to the prognostic equations for specific pollutant species as volumetric source terms. Bidirectional lookup between each source location and cell index are maintained through using a hash key approach, while allowing all emission source modules to be conceived, developed and operated in a homogeneous and mutually independent manner. An additional generic emission mode has also been implemented to allow the use of external emission data in simulation runs. Results from benchmark runs indicate a high level of performance and scalability. Subsequently, a module for modelling parametrized emissions from domestic heating is implemented under this framework, using the approach of building energy usage and temperature deficit as a generalized form of heating degree days. An model run has been executed under idealized conditions by considering solely dispersion of PM10 from domestic heating sources. The results demonstrate a strong overall dependence on the strength and clustering of individual sources, diurnal variation in domestic heat usage, as well as the temperature deficit between the ambient and the user-defined target temperature. Vertical transport contributes additionally to a rapid attenuation of daytime PM10. Although urban topology plays a minor role on the pollutant concentrations at ground level, it has a relevant contribution to the vertical pollutant distribution.
    Language: English
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  • 14
    Publication Date: 2024-05-24
    Description: Key message: A decolonial approach is needed to fulfil IASC’s commitment to recognizing that Traditional Knowledge, Indigenous Knowledge and academic scientific knowledge are co-equal and complementary knowledge systems that all can and should inform its work (website ICARP IV, retrieved October 2023). This document summarizes key recommendations for actions regarding five themes: 1. Indigenous Peoples’ right to self-determination as a prerequisite for high-quality Arctic research 2. Ethics, methods and methodology as key for decolonial research 3. Indigenous-led research in design and practice 4. Indigenous Peoples’ co-equal participation in Arctic research funding structures and decision-making for securing decolonial Arctic research in practice 5. Funding for Co-Creative and Indigenous-Led Arctic Research
    Language: English
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  • 15
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    GEOMAR Helmholtz Centre for Ocean Research
    Publication Date: 2024-05-24
    Description: This julia package implements various tools for working with simple, non-marked, one dimensional point processes. In special it implements a bootstrap-based goodness-of-fit test for parametric models.
    Type: Software , NonPeerReviewed
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  • 16
    Publication Date: 2024-05-24
    Description: Europe’s recent summer droughts have had devastating ecological and economic consequences, but the severity and cause of these extremes remain unclear. Here we present 27,080 annually resolved and absolutely dated measurements of tree-ring stable carbon and oxygen (δ13C and δ18O) isotopes from 21 living and 126 relict oaks (Quercus spp.) used to reconstruct central European summer hydroclimate from 75 BCE to 2018 CE. We find that the combined inverse δ13C and δ18O values correlate with the June–August Palmer Drought Severity Index from 1901–2018 at 0.73 (P 〈 0.001). Pluvials around 200, 720 and 1100 CE, and droughts around 40, 590, 950 and 1510 CE and in the twenty-first century, are superimposed on a multi-millennial drying trend. Our reconstruction demonstrates that the sequence of recent European summer droughts since 2015 CE is unprecedented in the past 2,110 years. This hydroclimatic anomaly is probably caused by anthropogenic warming and associated changes in the position of the summer jet stream.
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  • 17
    Publication Date: 2024-05-24
    Description: Observations of spatio-temporal variability of the deep ocean are rare and little is known about occurrence of deep ocean mesoscale dynamics. Here, we make use of 2.5 years of time series data from three distributed sensor arrays, which acquired high-resolution temperature, pressure and sound speed data of the bottom layer offshore northern Chile. Estimating salinity and density from the direct observations enable access to the full spectrum of hydrographic variability from a multi-hourly to annual time scale and with average inter-station distances of less than 1 km. Analyses revealed interannual warming over the continental slope of 0.002 °C yr−1–0.003 °C yr−1, and could trace periodic hydrographic anomalies, likely related to coastal-trapped waves, as far as to the lower continental slope. A concurrent change in the shape of the warm anomalies and the rate of deep-sea warming that occurs with the crossing of the deep-sea trench suggests that the abyssal part of the eastern boundary current system off Chile does not extend past the deep sea trench. Furthermore, the comparison of anomaly timing and shape in between stations implies southwards flow over the mid to lower continental slope, centred closer to the trench.
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  • 18
    Publication Date: 2024-05-24
    Description: We evaluated how ranges of four endemic and non-endemic aquatic ostracode species changed in response to long-term (glacial–interglacial cycles) and abrupt climate fluctuations during the last 155 kyr in the northern Neotropical region. We employed two complementary approaches, fossil records and species distribution models (SDMs). Fossil assemblages were obtained from sediment cores PI-1, PI-2, PI-6 and Petén-Itzá 22-VIII-99 from the Petén Itzá Scientific Drilling Project, Lake Petén Itzá, Guatemala. To obtain a spatially resolved pattern of (past) species distribution, a downscaling cascade is employed. SDMs were reconstructed for the last interglacial (∼120 ka), the last glacial maximum (∼22 ka) and the middle Holocene (∼6 ka). During glacial and interglacial cycles and marine isotope stages (MISs), modelled paleo-distributions and paleo-records show the nearly continuous presence of endemic and non-endemic species in the region, suggesting negligible effects of long-term climate variations on aquatic niche stability. During periods of abrupt ecological disruption such as Heinrich Stadial 1 (HS1), endemic species were resilient, remaining within their current areas of distribution. Non-endemic species, however, proved to be more sensitive. Modelled paleo-distributions suggest that the geographic range of non-endemic species changed, moving southward into Central America. Due to the uncertainties involved in the downscaling from the global numerical to the highly resolved regional geospatial statistical modelling, results can be seen as a benchmark for future studies using similar approaches. Given relatively moderate temperature decreases in Lake Petén Itzá waters (∼5 ∘C) and the persistence of some aquatic ecosystems even during periods of severe drying in HS1, our data suggest (1) the existence of micro-refugia and/or (2) continuous interaction between central metapopulations and surrounding populations, enabling aquatic taxa to survive climate fluctuations in the northern Neotropical region.
    Type: Article , PeerReviewed
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  • 19
    Publication Date: 2024-05-24
    Description: Highlights • Investigation into the potential of Porites microatolls for SST reconstruction. • Comparison between recent and more conventional coral paleoclimatology methods. • Application of Srsingle bondU and Li/Mg paleothermometer. • Accuracy and reproducibility of Sr/Ca proved to be the most suitable proxy for SST reconstruction. Abstract Massive dome-shaped coral Porites are the predominant choice for paleoclimate studies due to their consistent and reliable growth. When growing close to sea level, they become limited in their vertical growth and form so-called ‘microatolls’. Microatolls have not yet been extensively explored for paleoclimate reconstruction. Here, we investigate how reliable modern Porites microatolls are against empirical sea-surface temperature using Sr/Ca, δ18O, Li/Mg and Srsingle bondU paleothermometry methods on samples from the Society Islands, French Polynesia. Our results show Sr/Ca ratios have the lowest Standard Error of the Inverse Prediction (SEIP) at 0.415 °C (N = 41) with a calibration of Sr/Ca (mmol mol−1) = −0.082 ± 0.006 SST (°C) + 11.256 ± 0.170 and with high reproducibility across multiple corals. The reproducibility of δ18O was less good, with SEIP increasing to 0.829 °C (N = 41). Considering methods directly from the literature, Li/Mg ratio empirically corrected for Sr/Ca had the best balance between bias and precision where no local calibration could be available. This study independently evaluates and confirms the suitability of Porites microatolls from well-flushed environments for paleoclimate studies. Fossil dome-shaped Porites grow anywhere between near-surface and roughly 20 m depths which inherently incorporates uncertainty into any sea surface temperature reconstruction. This uncertainty is significantly reduced for microatolls due to their well-constrained bathymetry. The study represents a fundamental step in paleoclimate research targeting consistently near the water-air interface bringing reliability and, especially when combined with their ability to reconstruct past sea-level changes, microatolls have the potential to be central for future paleoenvironmental studies.
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  • 20
    Publication Date: 2024-05-24
    Description: After a successful conquest of large parts of Syria in 1258 and 1259 CE, the Mongol army lost the battle of 'Ayn Jālūt against Mamluks on September 3, 1260 CE. Recognized as a turning point in world history, their sudden defeat triggered the reconfiguration of strategic alliances and geopolitical power not only in the Middle East, but also across much of Eurasia. Despite decades of research, scholars have not yet reached consensus over the causes of the Mongol reverse. Here, we revisit previous arguments in light of climate and environmental changes in the aftermath of one the largest volcanic forcings in the past 2500 years, the Samalas eruption ~1257 CE. Regional tree ring-based climate reconstructions and state-of-the-art Earth System Model simulations reveal cooler and wetter conditions from spring 1258 to autumn 1259 CE for the eastern Mediterranean/Arabian region. We therefore hypothesize that the post-Samalas climate anomaly and associated environmental variability affected an estimated 120,000 Mongol soldiers and up to half a million of their horses during the conquest. More specifically, we argue that colder and wetter climates in 1258 and 1259 CE, while complicating and slowing the campaign in certain areas, such as the mountainous regions in the Caucasus and Anatolia, also facilitated the assault on Syria between January and March 1260. A return to warmer and dryer conditions in the summer of 1260 CE, however, likely reduced the regional carrying capacity and may therefore have forced a mass withdrawal of the Mongols from the region that contributed to the Mamluks’ victory. In pointing to a distinct environmental dependency of the Mongols, we offer a new explanation of their defeat at 'Ayn Jālūt, which effectively halted the further expansion of the largest ever land-based empire.
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  • 21
    Publication Date: 2024-05-24
    Description: Global projections of macroeconomic climate-change damages typically consider impacts from average annual and national temperatures over long time horizons. Here we use recent empirical findings from more than 1,600 regions worldwide over the past 40 years to project sub-national damages from temperature and precipitation, including daily variability and extremes. Using an empirical approach that provides a robust lower bound on the persistence of impacts on economic growth, we find that the world economy is committed to an income reduction of 19% within the next 26 years independent of future emission choices (relative to a baseline without climate impacts, likely range of 11–29% accounting for physical climate and empirical uncertainty). These damages already outweigh the mitigation costs required to limit global warming to 2 °C by sixfold over this near-term time frame and thereafter diverge strongly dependent on emission choices. Committed damages arise predominantly through changes in average temperature, but accounting for further climatic components raises estimates by approximately 50% and leads to stronger regional heterogeneity. Committed losses are projected for all regions except those at very high latitudes, at which reductions in temperature variability bring benefits. The largest losses are committed at lower latitudes in regions with lower cumulative historical emissions and lower present-day income.
    Language: English
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  • 22
    Publication Date: 2024-05-24
    Description: Are there group decision methods which (i) give everyone, including minorities, an equal share of effective decision power even when voters act strategically, (ii) promote consensus and equality, rather than polarization and inequality, and (iii) do not favour the status quo or rely too much on chance? We describe two non-deterministic group decision methods that meet these criteria, one based on automatic bargaining over lotteries, the other on conditional commitments to approve compromise options. Using theoretical analysis, agent-based simulations and a behavioral experiment, we show that these methods prevent majorities from consistently suppressing minorities, which can happen in deterministic methods, and keeps proponents of the status quo from blocking decisions, as in other consensus-based approaches. Our simulations show that these methods achieve aggregate welfare comparable to common voting methods, while employing chance judiciously, and that the welfare costs of fairness and consensus are small compared to the inequality costs of majoritarianism. In an incentivized experiment with naive participants, we find that a sizable fraction of participants prefers to use a non-deterministic voting method over Plurality Voting to allocate monetary resources. However, this depends critically on their position within the group. Those in the majority show a strong preference for majoritarian voting methods.
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  • 23
    Publication Date: 2024-05-23
    Description: 〈title xmlns:mml="http://www.w3.org/1998/Math/MathML"〉Abstract〈/title〉〈p xmlns:mml="http://www.w3.org/1998/Math/MathML" xml:lang="en"〉NASA's Juno mission delivered gravity data of exceptional quality. They indicate that the zonal winds, which rule the dynamics of Jupiter's cloud deck, must slow down significantly beyond a depth of about 3,000 km. Since the underlying inversion is highly non‐unique additional constraints on the flow properties at depth are required. These could potentially be provided by the magnetic field and its Secular Variation (SV) over time. However, the role of these zonal winds in Jupiter's magnetic field dynamics is little understood. Here we use numerical simulations to explore the impact of the zonal winds on the dynamo field produced at depth. We find that the main effect is an attenuation of the non‐axisymmetric field, which can be quantified by a modified magnetic Reynolds number Rm that combines flow amplitude and electrical conductivity profile. Values below Rm = 3 are required to retain a pronounced non‐axisymmetric feature like the Great Blue Spot (GBS), which seems characteristic for Jupiter's magnetic field. This allows for winds reaching as deep as 3,400 km. A SV pattern similar to the observation can only be found in some of our models. Its amplitude reflects the degree of cancellation between advection and diffusion rather than the zonal wind velocity at any depth. It is therefore not straightforward to make inferences on the deep structure of cloud‐level winds based on Jupiter's SV.〈/p〉
    Description: Plain Language Summary: The dynamics in Jupiter's cloud layer is dominated by eastward and westward directed wind jets that circumvent the planet and reach velocities of up to 150 m per second. For the first time, NASA's Juno mission could measure the tiny gravity changes caused by these winds. The data show that the winds reach down to a depth of about 3,000 km, roughly 4% of Jupiter's radius. However, the interpretation is difficult and several alternative wind profiles have been suggested. In this paper we use numerical simulations to explore how these winds would affect Jupiter's magnetic field, which has also been measured with high precision by Juno. The field shows a strong inward‐directed local patch just south of the equator, called the GBS. The impact of the winds on the magnetic field rapidly increases with depth because of the increase in the electrical conductivity. Our simulations show that winds reaching deeper than about 3,400 km would practically wipe out the GBS. This confirms that they have to remain shallower. Juno also observed an east‐ward drift of the GBS. While some of our simulations also show an east‐ward drift it is typically much too slow.〈/p〉
    Description: Key Points: 〈list list-type="bullet"〉 〈list-item〉 〈p xml:lang="en"〉We study the magnetic field variations caused by Jupiter's deep‐reaching surface winds for various flow and electrical conductivity models〈/p〉〈/list-item〉 〈list-item〉 〈p xml:lang="en"〉Zonal winds reaching deeper than 3,400 km would yield a very axisymmetric surface field and are thus unrealistic〈/p〉〈/list-item〉 〈list-item〉 〈p xml:lang="en"〉It seems questionable that Jupiter's secular variation carries any useful information on the zonal winds〈/p〉〈/list-item〉 〈/list〉 〈/p〉
    Description: Engineering and Physical Sciences Research Council http://dx.doi.org/10.13039/501100000266
    Description: https://doi.org/10.17617/3.CNVRWD
    Keywords: ddc:523 ; Jupiter ; magnetic field ; atmospheric dynamics ; zonal winds
    Language: English
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  • 24
    Publication Date: 2024-05-23
    Description: 〈title xmlns:mml="http://www.w3.org/1998/Math/MathML"〉Abstract〈/title〉〈p xmlns:mml="http://www.w3.org/1998/Math/MathML" xml:lang="en"〉The microphysical structure of the lunar regolith provides information on the geologic history of the Moon. We used remote sensing measurements of thermal emission and a thermophysical model to determine the microphysical properties of the lunar regolith. We expand upon previous investigations by developing a microphysical thermal model, which more directly simulates regolith properties, such as grain size and volume filling factor. The modeled temperatures are matched with surface temperatures measured by the Diviner Lunar Radiometer Experiment on board the Lunar Reconnaissance Orbiter. The maria and highlands are investigated separately and characterized in the model by a difference in albedo and grain density. We find similar regolith temperatures for both terrains, which can be well described by similar volume filling factor profiles and mean grain sizes obtained from returned Apollo samples. We also investigate a significantly lower thermal conductivity for highlands, which formally also gives a very good solution, but in a parameter range that is well outside the Apollo data. We then study the latitudinal dependence of regolith properties up to ±80° latitude. When assuming constant regolith properties, we find that a variation of the solar incidence‐dependent albedo can reduce the initially observed latitudinal gradient between model and Diviner measurements significantly. A better match between measurements and model can be achieved by a variation in intrinsic regolith properties with a decrease in bulk density with increasing latitude. We find that a variation in grain size alone cannot explain the Diviner measurements at higher latitudes.〈/p〉
    Description: Plain Language Summary: The Moon is covered by a layer of fine grained material called regolith. To extract information about the regolith, such as grain size or stratification, we used data from the Diviner instrument on board the Lunar Reconnaissance Orbiter. Diviner measures the surface temperature of the regolith for each location on the Moon and all times during day and night. To derive regolith properties, we developed a model and varied its model parameters until the simulated surface temperatures matched the measured ones. We applied the model up to a latitude of 80° and find as the best solution a decrease in regolith packing density with increasing latitude. We also find that a variation of regolith grain size alone cannot explain the measurements. These predictions are valuable for planning future missions targeting higher latitudes and can be compared with future in situ measurements and returned samples. However, the fraction of sunlight that actually heats the regolith is quite unknown, especially at high latitudes. A variation of this fraction can explain the measured surface temperatures reasonably well even without a variation of the regolith properties with latitude.〈/p〉
    Description: Key Points: 〈list list-type="bullet"〉 〈list-item〉 〈p xml:lang="en"〉We developed a microphysical thermal model accounting for regolith grain size and volume filling factor〈/p〉〈/list-item〉 〈list-item〉 〈p xml:lang="en"〉The best match between model and Lunar Reconnaissance Orbiter/Diviner data was achieved with a decrease in bulk density between 30° and 80° latitude〈/p〉〈/list-item〉 〈list-item〉 〈p xml:lang="en"〉We also found a reasonable agreement between observed and modeled surface temperatures when varying the solar incidence dependent albedo〈/p〉〈/list-item〉 〈/list〉 〈/p〉
    Description: LRO project
    Description: https://doi.org/10.17189/WJ0S-W188
    Description: https://doi.org/10.5281/zenodo.8433837
    Description: https://doi.org/10.5281/zenodo.10781188
    Keywords: ddc:523 ; Moon ; regolith ; Diviner ; thermal modeling ; lunar
    Language: English
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  • 25
    Publication Date: 2024-05-23
    Description: 〈title xmlns:mml="http://www.w3.org/1998/Math/MathML"〉Abstract〈/title〉〈p xmlns:mml="http://www.w3.org/1998/Math/MathML" xml:lang="en"〉The Ries impact structure (Germany) contains well‐preserved ejecta deposits consisting of melt‐free lithic breccia (Bunte Breccia) overlain by suevite. To test their emplacement conditions, we investigated the magnetic properties and microstructures of 26 polymict breccia clasts and a stratigraphic profile from the clasts into the suevite at the Aumühle quarry. Remanent magnetization directions of the Bunte Breccia clasts fall into two groups: those whose directions mostly lie parallel to the reversed field during impact carried mostly by magnetite, and those whose directions vary widely among each clast carried by titanohematite. Basement clasts containing titanohematite acquired a chemical remanent magnetization (CRM) during the ejection process and then rotated during turbulent deposition. Clasts of sedimentary rocks grew magnetite after turbulent deposition, with CRM directions lying parallel to the paleofield. Suevite holds a thermal remanent magnetization carried by magnetite, except for ∼12 cm from the contact with the Bunte Breccia, where hematite concentrations increase due to hydrothermal alteration. These observations lead us to propose a three‐stage model of (a) turbulent deposition of the melt‐free breccia with clast rotation 〈580°C, (b) deposition of the overlying suevite, which acted as a semi‐permeable barrier that confined hot (〈300°C) oxidizing fluids to the permeable breccia zone, and (c) prolonged hydrothermal activity producing further alteration which ended before the next geomagnetic reversal. Basement outcrops have significantly different magnetic properties than the Bunte Breccia basement clasts with similar lithology. Two basement blocks situated near the inner ring may have been thermally overprinted up to 550°C.〈/p〉
    Description: Plain Language Summary: The 26‐km‐diameter, ∼15‐million‐year‐old Ries meteorite impact structure in southern Germany is characterized by well‐preserved ejecta deposits expelled from the crater within seconds after the impact. These deposits consist of two main layers: melt‐free, lithic breccia (Bunte Breccia), overlain by melt‐bearing breccia (suevite). To understand the formation conditions of the ejecta deposits, we performed paleomagnetic and rock magnetic measurements and microstructural experiments on clasts within Bunte Breccia and on the overlying suevite at the Aumühle quarry. We found that clasts derived from crystalline basement materials experienced high pressures during the impact. These clasts had randomly oriented magnetization directions carried by titanohematite. In contrast, clasts derived from sedimentary rocks experienced only low pressures and had coherent magnetization directions oriented parallel to the reversed field during the impact that are carried by magnetite. Our findings can be interpreted by a three‐stage model that explains the thermal and structural formation of impact ejecta at the Ries impact structure.〈/p〉
    Description: Key Points: 〈list list-type="bullet"〉 〈list-item〉 〈p xml:lang="en"〉Randomly oriented paleomagnetic directions in basement clasts in ejecta deposits suggest turbulent emplacement〈/p〉〈/list-item〉 〈list-item〉 〈p xml:lang="en"〉Bunte Breccia was chemically altered and locally heated by the overlying suevite, resulting in hydrothermal activity up to 300°C〈/p〉〈/list-item〉 〈list-item〉 〈p xml:lang="en"〉Basement rocks near the inner ring may have experienced temperatures up to 550°C from cratering〈/p〉〈/list-item〉 〈/list〉 〈/p〉
    Description: Deutsche Forschungsgemeinschaft http://dx.doi.org/10.13039/501100001659
    Description: https://earthref.org/MagIC/19984
    Keywords: ddc:622.153 ; Paleomagnetism ; remanent magnetization ; chemical remanence ; impact crater ; impact ejecta ; hydrothermal activity
    Language: English
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  • 26
    Publication Date: 2024-05-23
    Description: 〈title xmlns:mml="http://www.w3.org/1998/Math/MathML"〉Abstract〈/title〉〈p xmlns:mml="http://www.w3.org/1998/Math/MathML" xml:lang="en"〉Hydrochemical data of karst springs provide valuable insights into the internal hydrodynamical functioning of karst systems and support model structure identification. However, the collection of high‐frequency time series of major solute species is limited by analysis costs. In this study, we develop a method to retrieve the individual solute concentration time series and their uncertainty at high temporal resolution for karst springs by using continuous observations of electrical conductivity (EC) and low‐frequency ionic measurements. Due to the large ion content and non‐negligible concentrations of aqueous complexes in karst systems, the concentration of each solute species occurring as free ion and as part of aqueous complexes are computed separately. The concentration of species occurring as free ions are computed considering their contributions to the total EC, whereas the concentration of the species as part of complexes are obtained from speciation calculations. The pivotal role of the complexation processes for the reconstruction of solute concentration time series starting from the EC signal is investigated in two karstic catchments with different geologies and temporal resolution of the available hydrochemical datasets, that is the Kerschbaum dolostone system in Austria and the Baget limestone system in France. The results show that complexation processes are significant and should be considered for the estimation of the total solute concentration in case of SO〈sub〉4〈/sub〉, Ca, Mg and HCO〈sub〉3〈/sub〉. The EC signal of a karst spring can be used to interpolate and quantify the dynamics of those solutes characterized by large contribution (approximately >6%) to the total EC and low relative variability, that is HCO〈sub〉3〈/sub〉, Ca and Mg. Moreover, the presented method can be used to estimate concentrations of solutes when applied to karst systems with stationary and hydrogeochemical homogeneous contributing area. On the contrary, the method is affected by large uncertainty in case of dynamic systems characterized by varying contributions of water from different geological areas. This study aims to contribute to the problem of hydrogeochemical data availability and to support future works on karst systems conceptualization.〈/p〉
    Description: Deutsche Forschungsgemeinschaft http://dx.doi.org/10.13039/501100001659
    Description: École Polytechnique Fédérale de Lausanne http://dx.doi.org/10.13039/501100001703
    Description: European Regional Development Fund http://dx.doi.org/10.13039/501100008530
    Description: http://www.hydroshare.org/resource/fb92daaffced415fb7a991747e73adfa
    Keywords: ddc:551.9 ; electrical conductivity decomposition ; high‐resolution hydrochemical data ; hydrochemical modelling ; karst
    Language: English
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  • 27
    Publication Date: 2024-05-23
    Description: 〈title xmlns:mml="http://www.w3.org/1998/Math/MathML"〉Abstract〈/title〉〈p xmlns:mml="http://www.w3.org/1998/Math/MathML" xml:lang="en"〉The Bakreswar geothermal province represents a medium enthalpy geothermal system with its Bakreswar and Tantloie hot springs. It lies within the Chotanagpur Granite Gneissic Complex in the eastern part of the Indian Peninsula. The province has a high heat flow and a high geothermal gradient of 90°C/km. Magnetotelluric data from 95 sites in a frequency range of 10 kHz–10 Hz were acquired over the Bakreswar geothermal province to obtain an electrical conductivity model and map the geothermal reservoir with its fluid pathways and related geological structures. Subsurface conductivity models obtained from three‐dimensional inversions of the Magnetotelluric data exhibit several prominent anomalies, which are supplemented by gravity results. The conductivity model maps three features which act as a conduit (a) a northwest–southeast trending feature, (b) an east–west trending feature to the south of the northwest–southeast trending feature (which lies 1 km north of the Oil and Natural Gas Corporation fault marked by previous studies) and (c) shallow conducting features close to Bakreswar hot spring. The northwest–southeast trending feature coincides with the boundary of the high‐density intrusive block. This northwest–southeast trending feature provides the pathway for the meteoric water to reach a maximum depth of 2.7 km, where it gets heated by interacting with deep‐seated structures and then it rises towards the surface. The radiogenic process occurring within the granites of Chotanagpur Granite Gneissic Complex provides the heat responsible for heating the meteoric water. The northwest–southeast and east–west trending features are responsible for the transport of meteoric water to deeper depths and then towards the shallow regions of the Earth. The near surface features close to the Bakreswar hot spring are responsible for carrying the water further towards the hot spring. The resistivity of these structures plotted as a function of salinity and temperatures for saline crustal fluids suggests the involvement of meteoric water. Further, applying Archie's law to this resistivity suggests that the conduit path has a porosity greater than 10%. This study successfully maps the anomalous structures which might foster the migration of geothermal fluid in Bakreswar geothermal province.〈/p〉
    Description: Deutscher Akademischer Austauschdienst (DAAD)
    Keywords: ddc:622.15 ; electromagnetics ; geothermal ; gravity ; inversion ; magnetotellurics ; modelling
    Language: English
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  • 28
    Publication Date: 2024-05-23
    Description: 〈title xmlns:mml="http://www.w3.org/1998/Math/MathML"〉Abstract〈/title〉〈p xmlns:mml="http://www.w3.org/1998/Math/MathML" xml:lang="en"〉Despite extensive investigation, the tectono‐thermal evolution of the Archean crust in the Lewisian Gneiss Complex in NW Scotland (LGC) is debated. Most U–Pb zircon geochronological and metamorphic studies have focused on rocks from the central region of the mainland LGC, where granulite facies assemblages associated with the oldest (Badcallian) tectono‐metamorphic event at c. 2.75 Ga are overprinted by younger amphibolite facies assemblages related to the Inverian (c. 2.5 Ga) and subsequent Laxfordian (c. 1.9–1.65 Ga) tectono‐thermal events. In the southern and northern regions of the mainland LGC, deformation and metamorphism associated with the Laxfordian event are pervasive, although the timing and conditions are poorly constrained. Here, we present new field, petrographic and structural data, U–Pb zircon and titanite geochronology and phase equilibrium modelling of amphibolite samples from the northern and southern regions. Our field observations show that in both regions, pre‐Laxfordian structures are significantly reworked by steep NW‐striking fabrics that are themselves pervasively overprinted by co‐axial deformation and amphibolite facies metamorphism related to the Laxfordian event. In situ U–Pb titanite geochronology yields Laxfordian ages of 1853 ± 20 Ma in the southern region (P = 6–8 kbar and T = 640–690°C) and 1750 ± 20 Ma and 1776 ± 10 Ma in the northern region (P = 6–7.5 kbar and T = 740–760°C). While U–Pb dating of zircon rims from felsic gneisses in the central region shows a dominant Inverian metamorphic overprint at c. 2500 Ma, zircon rims in felsic gneisses from the northern and southern regions commonly yield Laxfordian dates as young as c. 1800 Ma. Combined, the results support the idea that, during the Palaeoproterozoic, the central region of the LGC acted as low‐strain domain, in which intense deformation and metamorphism were restricted to crustal‐scale shear zones. By contrast, in the southern and northern regions, early (c. 1.85 Ga) and late (c. 1.75 Ga) Laxfordian deformation and fluid‐mediated metamorphism were much more pervasive and at higher P–T conditions than previously proposed. The diachronous Laxfordian evolution of the southern and northern regions indicate that they reflect early and late snapshots of collisional to transpressional tectonics in the mainland LGC. The long‐lasting Laxfordian evolution documents the collision of the Rae and North Atlantic cratons during the Palaeoproterozoic amalgamation of the supercontinent Nuna, with implications for the palaeogeographic configuration of NW Scotland during Palaeoproterozoic Nuna.〈/p〉
    Description: Australian Research Council http://dx.doi.org/10.13039/501100000923
    Description: Deutsche Forschungsgemeinschaft http://dx.doi.org/10.13039/501100001659
    Keywords: ddc:552.4 ; in situ titanite petrochronology ; Laxfordian metamorphism ; North Atlantic Craton ; strain partitioning ; supercontinent assembly
    Language: English
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  • 29
    Publication Date: 2024-05-23
    Description: 〈title xmlns:mml="http://www.w3.org/1998/Math/MathML"〉Abstract〈/title〉〈p xmlns:mml="http://www.w3.org/1998/Math/MathML" xml:lang="en"〉The 6 February 2023, 〈italic〉M〈/italic〉〈sub〉〈italic〉w〈/italic〉〈/sub〉 7.8 Pazarcık earthquake in the Turkey‐Syria border region raises the question of whether such a large earthquake could have been foreseen, as well as what is the maximum possible magnitude (〈italic〉M〈/italic〉〈sub〉max〈/sub〉) of earthquakes on the East Anatolian Fault (EAF) system and on continental transform faults in general. To answer such questions, knowledge of past earthquakes and of their causative faults is necessary. Here, we integrate data from historical seismology, paleoseismology, archeoseismology, and remote sensing to identify the likely source faults of fourteen 〈italic〉M〈/italic〉〈sub〉〈italic〉w〈/italic〉〈/sub〉 ≥ 7 earthquakes between 1000 CE and the present in the region. We find that the 2023 Pazarcık earthquake could have been foreseen in terms of location (the EAF) and timing (an earthquake along this fault was if anything overdue), but not magnitude. We hypothesize that the maximum earthquake magnitude for the EAF is in fact 8.2, that is, a single end‐to‐end rupture of the entire fault, and that the 2023 Pazarcık earthquake did not reach 〈italic〉M〈/italic〉〈sub〉max〈/sub〉 by a fortuitous combination of circumstances. We conclude that such unusually large events are hard to model in terms of recurrence intervals, and that seismic hazard assessment along continental transforms cannot be done on individual fault systems but must include neighboring systems as well, because they are not kinematically independent at any time scale.〈/p〉
    Description: Plain Language Summary: On 6 February 2023, there was a magnitude 7.8 earthquake in the Turkey‐Syria border region. It surprised many people, including many Earth scientists, because of where it happened (on the East Anatolian fault [EAF]) and because of how large it was. People wondered whether it could have been foreseen, and how large an earthquake on this fault can really be. To figure this out, we looked at the history of earthquakes in the region in the last 1,000 years. We used information from historical seismology, paleoseismology, archeoseismology, and remote sensing to identify the faults that caused 14 earthquakes with magnitude 7 or greater in this region. We found that the location (EAF) and timing (it was due any time) of the 2023 earthquake were foreseeable, but not the magnitude. In fact, we believe that the maximum magnitude for the EAF is 8.2, and that the 2023 earthquake was below this maximum just by accident. It is hard to say how often such large events can happen, because many different things need to align. We also believe that it is necessary to look at neighboring fault systems when estimating seismic hazards, because they interact.〈/p〉
    Description: Key Points: 〈list list-type="bullet"〉 〈list-item〉 〈p xml:lang="en"〉We identified the source faults of 14 large earthquakes along the East Anatolian and northern Dead Sea fault systems〈/p〉〈/list-item〉 〈list-item〉 〈p xml:lang="en"〉Maximum magnitude for the East Anatolian Fault (EAF) zone is approximately 8.2〈/p〉〈/list-item〉 〈list-item〉 〈p xml:lang="en"〉Continental transforms may be described as having a collective memory〈/p〉〈/list-item〉 〈/list〉 〈/p〉
    Description: https://doi.org/10.5270/ESA-c5d3d65
    Description: https://doi.org/10.1029/2019EA000658
    Description: https://doi.org/10.5194/essd-14-4489-2022
    Description: https://doi.org/10.25577/EWT8-KY06
    Description: https://dx.doi.org/10.5285/df93e92a3adc46b9a5c4bd3a547cd242
    Description: https://doi.org/10.5066/P985I7U2
    Description: https://app.box.com/v/textureshading
    Keywords: ddc:551.22 ; East Anatolian fault ; Dead Sea fault ; seismic gap ; seismic hazards ; source fault ; maximum earthquake magnitude
    Language: English
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  • 30
    Publication Date: 2024-05-23
    Description: 〈title xmlns:mml="http://www.w3.org/1998/Math/MathML"〉Abstract〈/title〉〈p xmlns:mml="http://www.w3.org/1998/Math/MathML" xml:lang="en"〉Teleseismic back‐projection imaging has emerged as a powerful tool for understanding the rupture propagation of large earthquakes. However, its application often suffers from artifacts related to the receiver array geometry. We developed a teleseismic back‐projection technique that can accommodate data from multiple arrays. Combined processing of P and pP waveforms may further improve the resolution. The method is suitable for defining arrays ad‐hoc to achieve a good azimuthal distribution for most earthquakes. We present a catalog of short‐period rupture histories (0.5–2.0 Hz) for all earthquakes from 2010 to 2022 with 〈italic〉M〈/italic〉〈sub〉〈italic〉W〈/italic〉〈/sub〉 ≥ 7.5 and depth less than 200 km (56 events). The method provides automatic estimates of rupture length, directivity, speed, and aspect ratio, a proxy for rupture complexity. We obtained short‐period rupture length scaling relations that are in good agreement with previously published relations based on estimates of total slip. Rupture speeds were consistently in the sub‐Rayleigh regime for thrust and normal earthquakes, whereas a tenth of strike‐slip events propagated at supershear speeds. Many rupture histories exhibited complex behaviors, for example, rupture on conjugate faults, bilateral propagation, and dynamic triggering by a P wave. For megathrust earthquakes, ruptures encircling asperities were frequently observed, with downdip, updip, and balanced patterns. Although there is a preference for short‐period emissions to emanate from central and downdip parts of the megathrust, emissions updip of the main asperity are more frequent than suggested by earlier results.〈/p〉
    Description: Plain Language Summary: Back‐projection is an earthquake imaging method based on seismic waveforms recorded remotely at a group of seismometers (seismic array). Here, we develop a new approach to combine backprojections from multiple arrays and seismic waveforms and use it to derive a catalog of large earthquake rupture histories from 2010 to 2022, providing a map view of the high‐frequency radiation emitted along the fault. The method automatically estimates the earthquake rupture length, speed, directivity, and aspect ratio. Based on these estimates, we obtained scaling relations between the earthquake magnitude and rupture length that agree with classical relationships. We identified strike‐slip earthquakes propagating at supershear, that is, faster than the shear wave speed, the usual limit for self‐sustaining rupture propagation. We observed complex rupture behaviors, for example, multiple faults activated, bilateral ruptures, and triggering of the main phase of a rupture by a primary (P) wave from the earliest part of the rupture. For subduction earthquakes, high‐frequency emissions were often observed, forming a ring around the fault interface patches (asperities) where the main slip occurs. There was a preference for high‐frequency radiation to emanate from central and deeper parts of the subducting plate interface, but shallower emissions were more frequent than expected from previous literature.〈/p〉
    Description: Key Points: 〈list list-type="bullet"〉 〈list-item〉 〈p xml:lang="en"〉We provide a complete catalog of high‐frequency rupture histories for 〈italic〉M〈/italic〉 ≥ 7.5 events 2010–2022〈/p〉〈/list-item〉 〈list-item〉 〈p xml:lang="en"〉We develop a semi‐automatic method for estimating rupture length, speed, directivity, and aspect ratio〈/p〉〈/list-item〉 〈list-item〉 〈p xml:lang="en"〉Both encircling ruptures and emissions updip of slip asperities common in megathrust earthquakes〈/p〉〈/list-item〉 〈/list〉 〈/p〉
    Description: National Agency for Research and Development (ANID)
    Description: https://doi.org/10.5880/GFZ.2.4.2024.001
    Keywords: ddc:551.22 ; back‐projection ; megathrust earthquakes ; complex ruptures ; supershear ruptures ; scaling relations ; earthquake rupture catalog
    Language: English
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  • 31
    Publication Date: 2024-05-23
    Description: 〈title xmlns:mml="http://www.w3.org/1998/Math/MathML"〉Abstract〈/title〉〈p xmlns:mml="http://www.w3.org/1998/Math/MathML" xml:lang="en"〉Craters on the lunar surface can provide valuable information about the timing and sequence of surface‐forming processes on the Moon. A commonly used method for age determination is the analysis of the crater size‐frequency distribution (CSFD) to which a production function (PF) is fitted that represents the size‐frequency distribution of the impactors. However, the commonly used PF of Neukum (1983) is valid for crater diameters between 10 m and 300 km. Neukum et al. (2001, 〈ext-link ext-link-type="uri" xlink:href="https://doi.org/10.1007/978-94-017-1035-0_3"〉https://doi.org/10.1007/978-94-017-1035-0_3〈/ext-link〉) revised the PF for crater diameters of 100 m–200 km. However, it is suggested to also be valid for the diameter range of 10 m–300 km as well. To assess whether we can extend a PF to craters ≤10 m in diameter, we investigated the slopes of the CSFDs of small craters formed on ejecta of young Copernican‐aged craters Giordano Bruno, Moore F, North Ray, and South Ray. A PF for smaller diameters would allow dating of young geological units, which are typically small, and would reduce the statistical error in age determinations, since smaller craters are more abundant. However, small craters are strongly influenced by geological factors, such as target properties, crater degradation, and secondary craters. For craters between 10 and 20 m we obtain a steeper CSFD slope than Neukum's proposed −3 slope (cumulative), whereas for craters ≤10 m the slope is about −3. We conclude that the PF of Neukum (1983) provides a reasonable CSFD slope for smaller craters, although it was not developed for this crater diameter range.〈/p〉
    Description: Plain Language Summary: Since the formation of the Moon, impactors have randomly hit the lunar surface. Older areas have larger and more abundant craters compared to younger areas. This relationship allows the determination of relative ages for different surfaces. A mathematical function can be fitted to the number and size of craters. This function has a specific shape and can be used to date a surface. Frequently used functions are valid between crater diameters of 10 m and 300 km. Dating young geological units is only possible if the observed craters are 〈bold〉≥〈/bold〉10 m in diameter. Therefore, an extension of these functions to crater diameters ≤10 m would be beneficial. However, small craters are strongly influenced by geological factors, such as target properties, crater degradation, and secondary craters. We consider these influences in our investigation. To compare our results with previous findings, we look more closely at the slope of the function that results from the number and size of the craters. Generally, we find that one function fits well for craters ≤10 m, even though it was not designed for this diameter range. This allows a more robust age determination because small craters are more abundant, reducing the statistical error.〈/p〉
    Description: Key Points: 〈list list-type="bullet"〉 〈list-item〉 〈p xml:lang="en"〉We studied small craters on young ejecta blankets to evaluate if the lunar production function (PF) is viable for craters ≤10 m〈/p〉〈/list-item〉 〈list-item〉 〈p xml:lang="en"〉The crater size‐frequency distributions (CSFDs) indicate that the PF can indeed be extended to crater diameters ≤10 m〈/p〉〈/list-item〉 〈list-item〉 〈p xml:lang="en"〉Our observed slopes of CSFDs at the studied Copernican‐aged craters are consistent with previous findings〈/p〉〈/list-item〉 〈/list〉 〈/p〉
    Description: Deutsche Forschungsgemeinschaft http://dx.doi.org/10.13039/501100001659
    Description: Deutsches Zentrum für Luft‐ und Raumfahrt http://dx.doi.org/10.13039/501100002946
    Description: https://doi.org/10.35003/V9AFAZ
    Description: https://doi.org/10.17189/1520341
    Description: https://ode.rsl.wustl.edu/moon/
    Description: https://wms.lroc.asu.edu/lroc/rdr_product_select
    Description: https://astrogeology.usgs.gov/search/map/Moon/Clementine/UVVIS/Lunar_Clementine_UVVIS_Warp_ClrRatio_Global_200m
    Description: https://aaronclauset.github.io/powerlaws/
    Keywords: ddc:523 ; crater size‐frequency distribution ; production function ; slope ; small craters ; Moon
    Language: English
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  • 32
    Publication Date: 2024-05-23
    Description: 〈title xmlns:mml="http://www.w3.org/1998/Math/MathML"〉Abstract〈/title〉〈p xmlns:mml="http://www.w3.org/1998/Math/MathML" xml:lang="en"〉To understand the global response of thermospheric‐ionospheric (TI) parameters to variations in solar irradiance measurements from the Global‐Scale Observations of the Limb and Disk (GOLD) ultraviolet imaging spectrograph, solar radio flux F10.7, predictions from the Coupled Thermosphere Ionosphere Plasmasphere electrodynamics (CTIPe) model, and International Global Navigation Satellite System Service total electron content maps (TEC) have been used. Various parameters such as GOLD 〈italic〉O〈/italic〉/〈italic〉N〈/italic〉〈sub〉2〈/sub〉, 〈italic〉O〈/italic〉〈sub〉2〈/sub〉, and the nighttime peak electron density (Nmax) have been compared with the CTIPe model simulations. The GOLD observed Nmax shows a number of significant features including a winter anomaly and an equatorial ionization anomaly. The comparison with solar proxies showed that the GOLD 〈italic〉Q〈/italic〉〈sub〉〈italic〉EUV〈/italic〉〈/sub〉 correlates very well with the EUV observations compared to the F10.7 index. The study also examined the relationship between the solar proxies and Nmax on different time scales and found that Nmax responded significantly to 〈italic〉Q〈/italic〉〈sub〉〈italic〉EUV〈/italic〉〈/sub〉 at both medium‐ and long‐term timescales. Furthermore, a low correlation between Nmax in the equatorial region and solar proxies was found. A delayed ionospheric TEC response against solar flux variations within the 27‐day solar rotation was investigated. This ionospheric delay of TEC with respect to solar flux was observed to be less than 1 day, which was reproduced in model simulations. The current study has shown that the GOLD observations can be used to investigate the delayed ionospheric response and to gain a better understanding of the influence of solar activity on the TI system.〈/p〉
    Description: Key Points: 〈list list-type="bullet"〉 〈list-item〉 〈p xml:lang="en"〉Ionospheric‐thermospheric parameters observed by Global‐Scale Observations of the Limb and Disk (GOLD) ultraviolet imaging spectrograph are compared with Coupled Thermosphere Ionosphere Plasmasphere electrodynamics model simulations〈/p〉〈/list-item〉 〈list-item〉 〈p xml:lang="en"〉The delayed ionospheric response against the solar flux is less than 1 day at the time scale of the 27 days solar rotation period〈/p〉〈/list-item〉 〈list-item〉 〈p xml:lang="en"〉The integrated 1–45 nm solar energy flux values observed by GOLD correlate well with the F10.7 and EUV〈/p〉〈/list-item〉 〈/list〉 〈/p〉
    Description: Deutsche Forschungsgemeinschaft http://dx.doi.org/10.13039/501100001659
    Description: http://cddis.nasa.gov/Data_and_Derived_Products/GNSS/atmospheric_products.html
    Description: http://gold.cs.ucf.edu/search/
    Description: https://omniweb.gsfc.nasa.gov/form/dx1.html
    Description: https://lasp.colorado.edu/lisird/
    Description: http://guvitimed.jhuapl.edu/data/products
    Description: https://doi.org/10.5281/zenodo.8145356
    Keywords: ddc:538.7 ; CTIPe model ; O/N2 ratio ; ionospheric delay ; solar activity ; thermosphere‐ionosphere ; GOLD
    Language: English
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  • 33
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    Taylor & Francis
    Publication Date: 2024-05-23
    Description: The extent of our duties to mitigate climate change is commonly conceptualized in terms of temperature goals like the 1.5°C and the 2°C target and corresponding emissions budgets. While I do acknowledge the political advantages of any framework that is relatively easy to understand, I argue that this particular framework does not capture the true extent of our mitigation duties. Instead I argue for a more differentiated approach that is based on the well-known distinction between subsistence and luxury emissions. At the heart of this approach lies the argument that we have no budget of substantial, net-positive luxury emissions left. In a world in which dangerous climate change has begun, we must expect all further substantial, net-positive luxury emissions to cause harm. Since they lack the kind of justification needed for them to be nevertheless permissible, I conclude that we must stop emitting them with immediate effect. I also briefly discuss the difficult case of subsistence emissions and offer some first thoughts on the morality of a third category of emissions, what I call ‘transition emissions’.
    Type: Article , PeerReviewed
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  • 34
    Publication Date: 2024-05-23
    Description: Die Vereinten Nationen haben einen Vertrag zum Schutz der Hohen See verabschiedet. Um sein Potenzial für die globale Meerespolitik zu nutzen, sollten die EU und Deutschland ihr strategisches Engagement in diesem Forum jetzt planen, meinen Miranda Böttcher und Gerrit Hansen.
    Type: Report , NonPeerReviewed
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  • 35
    Publication Date: 2024-05-23
    Type: Book chapter , NonPeerReviewed
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  • 36
    Publication Date: 2024-05-23
    Description: Since net zero targets have become a keystone of climate policy, more thought is being given to actively removing carbon dioxide from the atmosphere while continuing to drastically reduce emissions. The ocean plays a major role in regulating the global climate by absorbing a large proportion of anthropogenic carbon dioxide emissions. As the challenges of land-based carbon dioxide removal (CDR) approaches are increasingly recognised, the ocean may become the new “blue” frontier for carbon removal and storage strategies in the EU and beyond. However, the ocean is not an “open frontier”; rather, it is a domain of overlapping and sometimes conflicting rights and obligations. There is a tension between the sovereign right of states to use ocean resources within their exclusive economic zones and the international obligation to protect the ocean as a global commons. The EU and its Member States need to clarify the balance between the protection and use paradigms in ocean governance when considering treating the ocean as an enhanced carbon sink or storage site. Facilitating linkages between the ongoing review of the Marine Strategy Framework Directive and the establishment of the Carbon Removal Certification Framework could help pave the way for debate about trade-offs and synergies in marine ecosystem protection and use.
    Type: Article , NonPeerReviewed
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  • 37
    Publication Date: 2024-05-23
    Description: Climate policy in the European Union (EU) and Germany changed significantly with the adoption of net-zero emissions targets. A key new development is the growing importance of carbon management. The umbrella term includes not only the capture and storage of CO2 (carbon capture and storage, CCS), but also CO2 capture and utilisation (carbon capture and utilisation, CCU) as well as the removal of CO2 from the atmosphere (carbon dioxide removal, CDR). It is important to provide clarity when differentiating between these approaches and identifying their relation to so- called residual emissions and hard-to-abate emissions. This is particularly important because it will determine the overall ambition of climate policy as well as shape future policy designs and their distributional impacts. Current policy and legislative processes should ensure that carbon management does not delay the phase-out of fossil fuels. New policy initiatives present an opportunity to actively shape the interface between ambitious climate and industrial policy.
    Type: Report , NonPeerReviewed
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  • 38
    Publication Date: 2024-05-23
    Description: The implementation of the new net emission targets for 2030 and 2050 as part of the European Green Deal is moving the deliberate removal of CO 2 from the atmosphere up the agendas of political decision-makers. In its latest report, the Intergovernmen- tal Panel on Climate Change (IPCC) also recently reiterated that net-zero targets can- not be achieved without the deployment of carbon dioxide removal (CDR) methods. The political debate in the European Union (EU) about CDR has changed rapidly in recent years, with almost all political actors now calling for a new regulatory frame- work for CDR to become an integral building block of EU climate policy. However, fundamental conflicts are brewing over the question as to which removal methods and policy instruments should be implemented and which priorities should be set. There are signs of emerging political alliances on the EU level that will shape the Fit- for-55 legislation in the short term and pre-structure the debate on the design of climate policy between 2030 and 2040.
    Type: Report , NonPeerReviewed
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  • 39
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    Wissenschaftliche Auswertungen in Kooperation mit GEO Magazin
    Publication Date: 2024-05-23
    Description: Sollen wir Climate Engineering (CE) betreiben? Was spricht dafür und was dagegen? Antworten auf diese Fragen müssen empirisch informiert sein. Um mehr zu tun als das Machbare zu benennen, müssen sie sich aber auch mit Fragen der Moral auseinandersetzen, solchen nach Pflichten, Normen und Werten. In diesem Beitrag stellen wir 9 Thesen zur Ethik von CE auf. Wir diskutieren, welche ethischen Aspekte besonders wichtig, welche Chancen und Risiken von CE moralisch besonders bedeutsam sind, und was die Debatte um CE über uns aussagt. Summary Nine theses on the morality of climate engineering: Should we engineer the climate? What speaks in favour of doing it and what against? Answers to these questions must be based in empirical science. But they must also engage with moral questions – those about duties, norms and values – if they want to do more than simply name what is feasible. In this contribution we defend 9 theses on the ethics of climate engineering (CE). We discuss which ethical aspects are of particular importance, what opportunities and risk matter most from a moral point of view, and how the debate on CE reflects upon us. Resumen Nueve tesis sobre la moralidad de la ingeniería climática: ¿Deberíamos aplicar la ingeniería climática (EC)? ¿Qué está a favor y qué en contra? Las respuestas a estas preguntas deben basarse en datos empíricos. Pero para hacer algo más que afirmar lo que es factible, también deben abordar cuestiones de moralidad, de obligaciones, normas y valores. En este documento presentamos 9 tesis sobre la ética de la EC. Debatimos qué aspectos éticos son especialmente importantes, qué oportunidades y riesgos de la EC son moralmente significativos y qué dice de nosotros el debate sobre la EC.
    Type: Book chapter , NonPeerReviewed
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  • 40
    Publication Date: 2024-05-23
    Description: Es werden mögliche Beiträge geologischer und mariner Kohlenstoffspeicher für die Vermeidung von CO2-Emissionen in die Atmosphäre oder für die Entnahme von bereits emittiertem CO2 aus der Atmosphäre vorgestellt. Neben der Einlagerung von CO2 in geologischen Speichern unter Land und unter dem Meeresboden werden eine forcierte CO2-Entnahme aus der Atmosphäre und Abgabe in den Ozean durch Erhöhung der Alkalinität, durch Ozeandüngung und durch das Management vegetationsreicher Küstenökosysteme untersucht. Alle Optionen können sowohl global als auch aus deutscher Perspektive eine Rolle für das Erreichen der Klimaziele spielen. Umweltverträglichkeit, Permanenz der Speicherung sowie infrastrukturelle und rechtliche Voraussetzungen, gesellschaftliche Akzeptanz und wirtschaftliche Realisierbarkeit bedürfen für alle Ansätze weiterer Klärung, bevor hieraus realisierbare Optionen werden können.
    Type: Book chapter , NonPeerReviewed
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  • 41
    Publication Date: 2024-05-23
    Description: To limit global warming to 1.5°C, vast amounts of CO2 will have to be removed from the atmos‐ phere via Carbon Dioxide Removal (CDR). Enhancing the CO2 sequestration of ecosystems will require not just one approach but a portfolio of CDR options, including so‐called nature‐based approaches alongside CDR options that are perceived as more technical. Creating a CDR “supply curve” would however imply that all carbon removals are considered to be perfect substitutes. The various co‐benefits of nature‐based CDR approaches militate against this. We discuss this aspect of nature‐based solutions in connection with the enhancement of blue carbon ecosys‐ tems (BCE) such as mangrove or seagrass habitats. Enhancing BCEs can indeed contribute to CO 2 sequestration, but the value of their carbon storage is low compared to the overall contri‐ bution of their ecosystem services to wealth. Furthermore, their property rights are often un‐ clear, i.e. not comprehensively defined or not enforced. Hence, payment schemes that only compensate BCE carbon sequestration could create tradeoffs at the expense of other im‐ portant, often local, ecosystem services and might not result in socially optimal outcomes. Ac‐ cordingly, one chance for preserving and restoring BCEs lies in the consideration of all services in potential compensation schemes for local communities. Also, local contexts, management structures, and benefit‐sharing rules are crucial factors to be considered when setting up inter‐ national payment schemes to support the use of BCEs and other nature‐ or ecosystem‐based CDR. However, regarding these options as the only hope of achieving more CDR will very prob‐ ably not bring about the desired outcome, either for climate mitigation or for ecosystem preser‐ vation. Unhalted degradation, in turn, will make matters worse due to the large amounts of stored carbon that would be released. Hence, countries committed to climate mitigation in line with the Paris targets should not hide behind vague pledges to enhance natural sinks for re‐ moving atmospheric CO2 but commit to scaling up engineered CDR.
    Type: Report , NonPeerReviewed
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  • 42
    Publication Date: 2024-05-23
    Type: Report , NonPeerReviewed
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  • 43
    Publication Date: 2024-05-23
    Description: Since net-zero greenhouse gas emissions targets have become a keystone of European and German climate policy, a debate about the need to actively remove carbon dioxide from the atmosphere in addition to drastically reducing emissions has emerged. Although still relatively scarce, empirical studies on the emergence of carbon dioxide removal (CDR) on the political agenda have shown that variations in the constellations and positions of policy-relevant actors play a key role in shaping patterns of CDR policymaking. The German and wider European Union (EU) CDR policy space is emergent, and political actors are just beginning to position themselves. Building on our previous work which established a typology of CDR policy integration patterns and developed a discourse analytical framework for mapping CDR-policy-relevant speaker positions, we present the first fine-grained empirical reconstruction of CDR-policy-relevant actors and their positions in the German context. Our analytical approach aims to improve understanding of patterns in CDR policymaking by showing that on the EU, national, and subnational levels, a multitude of institutional actors may adopt differing positions as the CDR policy space evolves. In addition to identifying fine-grained ‘ideal types’ of positions that policy actors may adopt in the formative phase of German CDR policy, our analysis provides an empirical ‘map’ of CDR policy-relevant actors and explores hypotheses about emerging discourse coalitions and potential conflict cleavages.
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  • 44
    Publication Date: 2024-05-23
    Description: Highlights • Climate engineering presents a novel challenge for global environmental governance • Institutional and discursive structures co-shape global environmental governance • A lack of joint analyses of both structures impedes understanding of governance emergence • A joint neo-institutionalist and post-structuralist analysis addresses this gap • Varying structures shape differing climate engineering governance decisions in several forums Abstract The Anthropocene is giving rise to novel challenges for global environmental governance. The barriers and opportunities shaping the ways in which some of these complex environmental challenges become governable on the global level are of increasing academic and practical relevance. In this article, we bring neo-institutionalist and post-structuralist perspectives together in an innovative framework to analyse how both institutional and discursive structures together bound and shape the global governance opportunities which become thinkable and practicable in the face of new global environmental challenges. We apply this framework to explore how governance of climate engineering – large scale, deliberate invention into the global climate system – is being shaped by discursive and institutional structures in three international forums: The London Convention and its Protocol, the Convention on Biological Diversity, and the United Nations Environment Assembly. We illustrate that the ‘degree of fit’ between discursive and institutional structures made climate engineering (un)governable in each of these forums. Furthermore, we find that the ‘type of fit’ set the discursive and institutional conditions of possibility for what type of governance emerged in each of these cases. Based on our findings, we critically discuss the implications for the future governance of climate engineering at the global level.
    Type: Article , PeerReviewed
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  • 45
    Publication Date: 2024-05-23
    Description: Ocean alkalinity enhancement (OAE) seeks to increase the alkalinity of seawater for carbon dioxide removal (CDR). Following numerous propositions to trial, test, or upscale OAE for CDR, multiple social considerations have begun to be identified. To ensure that OAE research is responsible (is attentive to societal priorities) and successful (does not prematurely engender widespread social rejection), it will be critical to understand how OAE might be perceived as risky or controversial and under what conditions it might be regarded by relevant social groups as most worthy of exploration. To facilitate the answering of these questions, this chapter does the following: (1) characterizes what is known to date about public perceptions of OAE, (2) provides methodological suggestions on how to conduct social science research and public engagement to accompany OAE field research, and (3) addresses how knowledge gained from social research and public engagement on OAE can be integrated into ongoing scientific, siting, and communications work.
    Type: Article , PeerReviewed
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  • 46
    Publication Date: 2024-05-23
    Description: Given the clear need to inform societal decision-making on the role marine Carbon Dioxide Removal (mCDR) can play in solving the climate crisis, it is imperative that researchers begin to answer questions about its effectiveness and impacts. Yet overly hasty deployment of new ocean-based climate interventions risks harm to communities and ecosystems and could jeopardize public perception of the field as a whole. In addition, the harms, risks and benefits of mCDR efforts are unlikely to be evenly distributed. Unabated, climate change could have a devastating impact on global ecosystems and human populations, and the impacts of mCDR should be contemplated in this context. This Code of Conduct exclusively applies to mCDR research and does not attempt to put any affiliated risk in the context of the risk of delaying climate action. Its purpose is to ensure that the impacts of mCDR research activities themselves are adequately understood and accounted for as they progress. It provides a roadmap of processes, procedures, and activities that project leads should follow to ensure that decisions regarding whether, when, where, and how to conduct mCDR research are informed by relevant ethical, scientific, economic, environmental, and regulatory considerations.
    Type: Report , NonPeerReviewed
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  • 47
    Publication Date: 2024-05-23
    Description: A global, independent scientific assessment of Carbon Dioxide Removal
    Type: Report , NonPeerReviewed
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  • 48
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    Stiftung Wissenschaft und Politik
    Publication Date: 2024-05-23
    Type: Book , NonPeerReviewed
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  • 49
    Publication Date: 2024-05-22
    Description: 〈title xmlns:mml="http://www.w3.org/1998/Math/MathML"〉Abstract〈/title〉〈p xmlns:mml="http://www.w3.org/1998/Math/MathML" xml:lang="en"〉Mineral dust is one of the most abundant atmospheric aerosol species and has various far‐reaching effects on the climate system and adverse impacts on air quality. Satellite observations can provide spatio‐temporal information on dust emission and transport pathways. However, satellite observations of dust plumes are frequently obscured by clouds. We use a method based on established, machine‐learning‐based image in‐painting techniques to restore the spatial extent of dust plumes for the first time. We train an artificial neural net (ANN) on modern reanalysis data paired with satellite‐derived cloud masks. The trained ANN is applied to cloud‐masked, gray‐scaled images, which were derived from false color images indicating elevated dust plumes in bright magenta. The images were obtained from the Spinning Enhanced Visible and Infrared Imager instrument onboard the Meteosat Second Generation satellite. We find up to 15% of summertime observations in West Africa and 10% of summertime observations in Nubia by satellite images miss dust plumes due to cloud cover. We use the new dust‐plume data to demonstrate a novel approach for validating spatial patterns of the operational forecasts provided by the World Meteorological Organization Dust Regional Center in Barcelona. The comparison elucidates often similar dust plume patterns in the forecasts and the satellite‐based reconstruction, but once trained, the reconstruction is computationally inexpensive. Our proposed reconstruction provides a new opportunity for validating dust aerosol transport in numerical weather models and Earth system models. It can be adapted to other aerosol species and trace gases.〈/p〉
    Description: Plain Language Summary: Most dust and sand particles in the atmosphere originate from North Africa. Since ground‐based observations of dust plumes in North Africa are sparse, investigations often rely on satellite observations. Dust plumes are frequently obscured by clouds, making it difficult to study the full extent. We use machine‐learning methods to restore information about the extent of dust plumes beneath clouds in 2021 and 2022 at 9, 12, and 15 UTC. We use the reconstructed dust patterns to demonstrate a new way to validate the dust forecast ensemble provided by the World Meteorological Organization Dust Regional Center in Barcelona, Spain. Our proposed method is computationally inexpensive and provides new opportunities for assessing the quality of dust transport simulations. The method can be transferred to reconstruct other aerosol and trace gas plumes.〈/p〉
    Description: Key Points: 〈list list-type="bullet"〉 〈list-item〉 〈p xml:lang="en"〉We present the first fast reconstruction of cloud‐obscured Saharan dust plumes through novel machine learning applied to satellite images〈/p〉〈/list-item〉 〈list-item〉 〈p xml:lang="en"〉The reconstruction algorithm utilizes partial convolutions to restore cloud‐induced gaps in gray‐scaled Meteosat Second Generation‐Spinning Enhanced Visible and Infrared Imager Dust RGB images〈/p〉〈/list-item〉 〈list-item〉 〈p xml:lang="en"〉World Meteorological Organization dust forecasts for North Africa mostly agree with the satellite‐based reconstruction of the dust plume extent〈/p〉〈/list-item〉 〈/list〉 〈/p〉
    Description: GEOMAR Helmholtz Centre for Ocean Research Kiel
    Description: University of Cologne
    Description: https://doi.org/10.5281/zenodo.6475858
    Description: https://github.com/tobihose/Masterarbeit
    Description: https://dust.aemet.es/
    Description: https://ads.atmosphere.copernicus.eu/cdsapp#!/dataset/cams-global-reanalysis-eac4?tab=overview
    Description: https://navigator.eumetsat.int/product/EO:EUM:DAT:MSG:DUST
    Description: https://navigator.eumetsat.int/product/EO:EUM:DAT:MSG:CLM
    Description: https://doi.org/10.5067/KLICLTZ8EM9D
    Description: https://disc.gsfc.nasa.gov/datasets?project=MERRA-2
    Description: https://doi.org/10.5067/MODIS/MOD08_D3.061
    Description: https://doi.org/10.5067/MODIS/MYD08_D3.061
    Description: https://doi.org/10.5281/ZENODO.8278518
    Keywords: ddc:551.5 ; mineral dust ; North Africa ; MSG SEVIRI ; machine learning ; cloud removal ; satellite remote sensing
    Language: English
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  • 50
    Publication Date: 2024-05-22
    Description: 〈title xmlns:mml="http://www.w3.org/1998/Math/MathML"〉ABSTRACT〈/title〉〈p xmlns:mml="http://www.w3.org/1998/Math/MathML" xml:lang="en"〉During the Middle Devonian, reef growth reached an acme, and corals and stromatoporoids colonized depositional niches commonly considered unfavourable for reefal organisms. This paper documents the detailed facies architecture and palaeoecology of a stratigraphically thin (〈italic toggle="no"〉ca〈/italic〉 12 m, ‘carpet reef’), lower Givetian reefal body exposed along the walls and ceilings of the labyrinthine passages in the Klutert Cave in western Germany. The cave exposures (〈italic toggle="no"〉ca〈/italic〉 26 000 m〈sup〉2〈/sup〉 of rock surface) and data from short cores, neighbouring caves and outcrops document the growth and demise of an autoparabiostrome. The reef forms part of a parasequence with a lower carbonate and an upper clastic unit, bounded by flooding surfaces. Despite the comparatively small study area (〈italic toggle="no"〉ca〈/italic〉 1 km〈sup〉2〈/sup〉), the exceptional exposure quality reveals facies changes over relatively short distances both vertical and lateral. The sedimentary matrix of the reefal build‐up contains between 20 to 95 wt.‐% of clay and quartz of silt to sand fraction. Based on this observation, the corals and stromatoporoids thrived in murky waters and under sediment‐stressed conditions. Stromatoporoids, for example, display irregular ragged flanks, a feature that is in agreement with a sediment‐stressed environment. No evidence of reduced growth rates, decreased calcification rates, or lower numbers of species is found. In fact, coral diversity and density are highest within one of the two biostromal units that show peak clastic matrix values, indicating a remarkable adaptation of reef builders to sediment‐stressed conditions. The initial settlement of rugose phaceloid corals took place on a mixed clastic–carbonate substrate (the basal flooding surface). Up‐section, a succession of coral–stromatoporoids is present that is here described in great detail. Reef collapse occurred when much of the accommodation space was filled, and argillaceous sediments suffocated stromatoporoids and corals in a protected, low‐energy environment.〈/p〉
    Description: Deutsche Forschungsgemeinschaft http://dx.doi.org/10.13039/501100001659
    Keywords: ddc:560 ; Biostrome ; corals ; Givetian ; mixed clastic–carbonate system ; reef model ; stromatoporoids
    Language: English
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