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  • Elsevier  (136,775)
  • International Union of Crystallography (IUCr)
  • Wiley-Blackwell
  • 2015-2019  (136,919)
  • 1980-1984
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  • 2015  (136,919)
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  • 1
    Publication Date: 2021-06-16
    Description: In this study, Mg/Ca, Sr/Ca and Ba/Ca ratios in a Lateglacial to Holocene stalagmite (CC26) from Corchia Cave (central Italy) are compared with stable isotope data to define palaeohydrological changes. For most of the record, the trace element ratios show small absolute variability but similar patterns, which are also consistent with stable isotope variations. Higher trace element-to-calcium values are interpreted as responses to decreasing moisture, inducing changes in the residence time of percolation, producing prior calcite precipitation and/or variations in the hydrological routing. Statistically meaningful levels of covariability were determined using anomalies of Mg/Ca, d18O and d13C. Combining these three time series into a single ‘palaeomoisture-trend’ parameter, we highlight several events of reduced moisture (ca. 8.9–8.4, 6.2, 4.2, 3.1 and 2.0 ka), a humid period between ca. 7.9 and 8.3 ka and other shorter-term wet events at ca. 5.8, 5.3 and 3.7 ka. Most of these events can be correlated with climate changes inferred from other regional studies. For both extremities of the record (i.e. before ca. 12.4 ka and after ca. 0.5 ka) Mg/Ca and Sr/Ca are anti-correlated and show the greatest amplitude of values, a likely explanation for which involves aragonite and/or gypsum precipitation (the latter derived from pyrite oxidation) above the CC26 drip point.
    Description: Published
    Description: 381–392
    Description: 4A. Clima e Oceani
    Description: JCR Journal
    Description: restricted
    Keywords: central Italy; Corchia Cave; Holocene; speleothems; trace elements ; 01. Atmosphere::01.01. Atmosphere::01.01.02. Climate
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
    Type: article
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  • 2
    Publication Date: 2021-03-18
    Description: This article presents an integrated approach for the probabilistic systemic risk analysis of a road network considering spatial seismic hazard with correlation of ground motion intensities, vulnerability of the network components, and the effect of interactions within the network, as well as, between roadway components and built environment to the network functionality. The system performance is evaluated at the system level through a global connectivity performance indicator, which depends on both physical damages to its components and induced functionality losses due to interactions with other systems. An object-oriented modeling paradigm is used, where the complex problem of several interacting systems is decomposed in a number of interacting objects, accounting for intra- and interdependencies between and within systems. Each system is specified with its components, solving algorithms, performance indicators and interactions with other systems. The proposed approach is implemented for the analysis of the road network in the city of Thessaloniki (Greece) to demonstrate its applicability. In particular, the risk for the road network in the area is calculated, specifically focusing on the short-term impact of seismic events (just after the earthquake). The potential of road blockages due to collapses of adjacent buildings and overpass bridges is analyzed, trying to individuate possible criticalities related to specific components/subsystems. The application can be extended based on the proposed approach, to account for other interactions such as failure of pipelines beneath the road segments, collapse of adjacent electric poles, or malfunction of lighting and signaling systems due to damage in the electric power network.
    Description: Published
    Description: 524–540
    Description: 3T. Pericolosità sismica e contributo alla definizione del rischio
    Description: JCR Journal
    Description: restricted
    Keywords: Systemic vulnerability ; 04. Solid Earth::04.06. Seismology::04.06.11. Seismic risk
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 3
    Publication Date: 2021-07-14
    Description: We report the preliminary results from a project (GAPSS-Geothermal Area Passive Seismic Sources), aimed at testing the resolving capabilities of passive exploration methods on a well-known geothermal area, namely the Larderello-Travale Geothermal Field (LTGF). Located in the western part of Tuscany (Italy), LTGF is the most ancient geothermal power field of the world. GAPSS consisted of up to 20 seismic stations deployed over an area of about 50 x 50 Km. During the first 12 months of measurements, we located more than 2000 earthquakes, with a peak rate of up to 40 shocks/day. Preliminary results from analysis of these signals include: (i) analysis of Shear-Wave-Splitting from local earthquake data, from which we determined the areal distribution of the most anisotropic regions; (ii) local-earthquake travel-time tomography for both P- and S-wave velocities; (iii) telesismic receiver function aimed at determining the high-resolution (〈0.5km) S-velocity structure over the 0-20km depth range, and seismic anisotropy using the decomposition of the angular harmonics of the RF data-set; (iv) S-wave velocity profiling through inversion of the dispersive characteristics of Rayleigh waves from earthquakes recorded at regional distances. After presenting results from these different analyses, we eventually discuss their potential application to the characterisation and exploration of the investigated area.
    Description: Published
    Description: 227-234
    Description: 6T. Sismicità indotta e caratterizzazione sismica dei sistemi naturali
    Description: N/A or not JCR
    Description: restricted
    Keywords: Geothermal field; Local Earthquake Tomography; Shear Wave Splitting; Surface Wave Dispersion; Receiver Functions; Larderello- Travale geothermal field (Italy) ; 04. Solid Earth::04.06. Seismology::04.06.07. Tomography and anisotropy
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 4
    Publication Date: 2020-12-14
    Description: The knowledge of the local soil structure is important for the assessment of seismic hazards. A widespread, but time-consuming technique to retrieve the parameters of the local underground is the drilling of boreholes. Another way to obtain the shear wave velocity profile at a given location is the inversion of surface wave dispersion curves. To ensure a good resolution for both superficial and deeper layers, the used dispersion curves need to cover a wide frequency range. This wide frequency range can be obtained using several arrays of seismic sensors or a single array comprising a large number of sensors. Consequently, these measurements are time-consuming. A simpler alternative is provided by the use of the ellipticity of Rayleigh waves. The frequency dependence of the ellipticity is tightly linked to the shear wave velocity profile. Furthermore, it can be measured using a single seismic sensor. As soil structures obtained by scaling of a given model exhibit the same ellipticity curve, any inversion of the ellipticity curve alone will be ambiguous. Therefore, additional measurements which fix the absolute value of the shear wave velocity profile at some points have to be included in the inversion process. Small-scale spatial autocorrelation measurements or MASW measurements can provide the needed data. Using a theoretical soil structure, we show which parts of the ellipticity curve have to be included in the inversion process to get a reliable result and which parts can be omitted. Furthermore, the use of autocorrelation or high-frequency dispersion curves will be highlighted. The resulting guidelines for inversions including ellipticity data are then applied to real data measurements collected at 14 different sites during the European NERIES project. It is found that the results are in good agreement with dispersion curve measurements. Furthermore, the method can help in identifying the mode of Rayleigh waves in dispersion curve measurements.
    Description: Published
    Description: 207-229
    Description: 3T. Pericolosità sismica e contributo alla definizione del rischio
    Description: JCR Journal
    Description: restricted
    Keywords: Inverse theory Surface waves and free oscillations Site effects Computational seismology Wave propagation ; 04. Solid Earth::04.02. Exploration geophysics::04.02.06. Seismic methods
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 5
    Publication Date: 2021-01-14
    Description: The Marsili Seamount (MS) is an about 3200 m high volcanic complex measuring 70 × 30 km with the top at ~500 m b.s.l. MS is interpreted as the ridge of the 2 Ma old Marsili back-arc basin belonging to the Calabrian Arc–Ionian Sea subduction system(Southern Tyrrhenian Sea, Italy). Previous studies indicate that theMS activity developed between 1 and 0.1 Ma through effusions of lava flows. Here, new stratigraphic, textural, geochemical, and 14C geochronological data from a 95 cm long gravity core (COR02) recovered at 839 m bsl in theMS central sector are presented. COR02 contains mud and two tephras consisting of 98 to 100 area% of volcanic ash. The thickness of the upper tephra (TEPH01) is 15 cm, and that of the lower tephra (TEPH02) is 60 cm. The tephras have poor to moderate sorting, loose to partly welded levels, and erosive contacts, which imply a short distance source of the pyroclastics. 14C dating on fossils above and below TEPH01 gives an age of 3 ka BP. Calculations of the sedimentation rates from the mud sediments above and between the tephras suggest that a formation of TEPH02 at 5 ka BP MS ashes has a high-K calcalkaline affinity with 53 wt.% b SiO2 b 68 wt.%, and their composition overlaps that of the MS lava flows. The trace element pattern is consistent with fractional crystallization from a common, OIB-like basalt. The source area of ashes is the central sector of MS and not a subaerial volcano of the Campanian and/or Aeolian Quaternary volcanic districts. Submarine, explosive eruptions occurred atMS in historical times: this is the first evidence of explosive volcanic activity at a significant (500–800 m bsl) water depth in the Mediterranean Sea.MS is still active, the monitoring and an evaluation of the different types of hazards are highly recommended.
    Description: Published
    Description: 764-774
    Description: 2IT. Laboratori sperimentali e analitici
    Description: JCR Journal
    Description: restricted
    Keywords: Submarine active volcanism ; 04. Solid Earth::04.04. Geology::04.04.05. Mineralogy and petrology
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 6
    Publication Date: 2021-05-12
    Description: An accelerating process of ground deformation that began 10 years ago is currently affecting the Campi Flegrei caldera. The deformation pattern is here explained with the overlapping of two processes: short time pulses that are caused by injection of magmatic fluids into the hydrothermal system; and a long time process of heating of the rock. The short pulses are highlighted by comparison of the residuals of ground deformation (fitted with an accelerating polynomial function) with the fumarolic CO2/CH4 and He/CH4 ratios (which are good geochemical indicators of the arrival of magmatic gases). The two independent datasets show the same sequence of five peaks, with a delay of ∼200 days of the geochemical signal with respect to the geodetic signal. The heating of the hydrothermal system, which parallels the long-period accelerating curve, is inferred by temperature–pressure gas geoindicators. Referring to a recent interpretation that relates variations in the fumarolic inert gas species to open system magma degassing, we infer that the heating is caused by enrichment in water of the magmatic fluids and by an increment in their flux. Heating of the rock caused by magmatic fluids can be a central factor in triggering unrest at calderas.
    Description: Published
    Description: 58-67
    Description: 2V. Dinamiche di unrest e scenari pre-eruttivi
    Description: JCR Journal
    Description: restricted
    Keywords: Campi Flegrei Caldera ; hydrothermal system ; ground deformation ; magmatic fluids ; 04. Solid Earth::04.08. Volcanology::04.08.99. General or miscellaneous
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 7
    Publication Date: 2021-06-22
    Description: Operative seismic aftershock risk forecasting can be particularly useful for rapid decision-making in the presence of an ongoing sequence. In such a context, limit state first-excursion probabilities (risk) for the forecasting interval (a day) can represent the potential for progressive state of damage in a structure. This work lays out a performance-based framework for adaptive aftershock risk assessment in the immediate post-mainshock environment. A time-dependent structural performance variable is adopted in order to measure the cumulative damage in a structure. A set of event-dependent fragility curves as a function of the first-mode spectral acceleration for a prescribed limit state is calculated by employing back-to-back non- linear dynamic analyses. An epidemic-type aftershock sequence model is employed for estimating the spatio-temporal evolution of aftershocks. The event-dependent fragility curves for a given limit state are then integrated together with the probability distribution of aftershock spectral acceleration based on the epidemic-type aftershock sequence aftershock hazard. The daily probability of limit state first-excursion is finally calculated as a weighted combination of the sequence of limit state probabilities conditioned on the num- ber of aftershocks. As a numerical example, daily aftershock risk is calculated for the L’Aquila 2009 aftershock sequence (central Italy). A representative three-story reinforced concrete frame with infill panels, which has cyclic strength and stiffness degradation, is used in order to evaluate the progressive damage. It is observed that the proposed framework leads to a sound forecasting of limit state first-excursion in the structure for two limit states of significant damage and near collapse. Copyright © 2014 John Wiley & Sons, Ltd.
    Description: Published
    Description: 2179–2197
    Description: 3T. Pericolosità sismica e contributo alla definizione del rischio
    Description: JCR Journal
    Description: reserved
    Keywords: aftershock ; time-dependent reliability ; seismic risk ; etas modeling ; 04. Solid Earth::04.06. Seismology::04.06.11. Seismic risk
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 8
    Publication Date: 2018-02-16
    Description: Global and regional change clearly affects the structure and functioning of ecosystems in shelf seas. However, complex interactions within the shelf seas hinder the identification and unambiguous attribution of observed changes to drivers. These include variability in the climate system, in ocean dynamics, in biogeochemistry, and in shelf sea resource exploitation in the widest sense by societies. Observational time series are commonly too short, and resolution, integration time, and complexity of models are often insufficient to unravel natural variability from anthropogenic perturbation. The North Sea is a shelf sea of the North Atlantic and is impacted by virtually all global and regional developments. Natural variability (from interannual to multidecadal time scales) as response to forcing in the North Atlantic is overlain by global trends (sea level, temperature, acidification) and alternating phases of direct human impacts and attempts to remedy those. Human intervention started some 1000 years ago (diking and associated loss of wetlands), expanded to near-coastal parts in the industrial revolution of the mid-19th century (river management, waste disposal in rivers), and greatly accelerated in the mid-1950s (eutrophication, pollution, fisheries). The North Sea is now a heavily regulated shelf sea, yet societal goals (good environmental status versus increased uses), demands for benefits and policies diverge increasingly. Likely, the southern North Sea will be re-zoned as riparian countries dedicate increasing sea space for offshore wind energy generation with uncertain consequences for the system's environmental status. We review available observational and model data (predominantly from the southeastern North Sea region) to identify and describe effects of natural variability, of secular changes, and of human impacts on the North Sea ecosystem, and outline developments in the next decades in response to environmental legislation, and in response to increased use of shelf sea space.
    Repository Name: EPIC Alfred Wegener Institut
    Type: Article , isiRev
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  • 9
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    Elsevier
    In:  EPIC3Earth and Planetary Science Letters, Elsevier, 409, pp. 15-22, ISSN: 0012-821X
    Publication Date: 2017-02-08
    Description: Knowledge of the magnitude of the Last Glacial Maximum (LGM) cooling is a useful constraint for estimating the climate sensitivity used in projecting future climate change. Proxy comparison, especially that between the alkenone-based UK′37 and the archaeal tetraether-based TEX86, has been increasingly applied in paleoceanographic studies as a measure to better constrain proxy-derived temperature estimates. In this study, we compile and compare published multiproxy (UK′37 and TEXH86) records of glacial cooling measured on the same sediment cores. In spite of the diversity in oceanographic and sedimentation settings spanned by the study sites, we find that the TEXH86-derived mean tropical LGM cooling is approximately twice as strong as that suggested by the UK′37 and MARGO estimates. The extent of proxy discrepancy varies with the application of various regional calibrations, but the mean TEXH86-inferred cooling remains stronger than that inferred from UK′37. To understand the discrepancy between proxies, we examine the seasonal and water column structure of LGM cooling simulated by state-of-the-art climate models. We find that the dissimilar magnitudes of proxy-derived glacial cooling cannot be fully explained by proxies reflecting temperature of different seasons or different water depths, if the recording season and depth are assumed to stay constant through time. A hypothetical shift in recording season and/or depth between the Holocene and the LGM could in theory cause the proxy discrepancy, but this hypothesis cannot be constrained due to a lack of information on lipid production and export in the water column during the LGM. Alternatively, the systematic proxy discrepancy, which persists across diverse oceanographic settings, may imply that the commonly applied proxy calibrations for reconstructing past temperatures are fundamentally biased. As evidenced by the improved consistency between UK′37 and TEXH86-based estimates of LGM cooling after we applied a global subsurface (0–200 m) temperature calibration for TEXH86, it is plausible that the TEXH86 signal originates from deeper in the water column than typically assumed for the proxy calibration.
    Repository Name: EPIC Alfred Wegener Institut
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  • 10
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    Elsevier
    In:  EPIC3Graphical Models, Elsevier, 82, pp. 123-136, ISSN: 15240703
    Publication Date: 2017-06-14
    Description: Local curvature characterizes every point of a surface and measures its deviation from a plane, locally. One application of local curvature measures within the field of image and geometry processing is object segmentation. Here, we present and evaluate a novel algorithm based on the fundamental forms to calculate the curvature on surfaces of objects discretized with respect to a regular three-dimensional grid. Thus, our new algorithm is applicable to voxel data, which are created e.g. from computed tomography (CT). Existing algorithms for binary data used the Gauss map, rather than fundamental forms. For the calculation of the fundamental forms, derivatives of a surface in tangent directions in every point of the surface have to be computed. Since the surfaces exist on grids with restricted resolution, these derivatives have to be discretized. In the presented method, this is realized by projecting the tangent plane onto the discrete object surface. The most important parameter of the proposed algorithm is the size of the chosen window for the calculation of the gradient. The size of this window has to be selected according to object size as well as with respect to distances between objects. In our experiments, an algorithm based on the Gauss map provided inconsistent values for simple test objects, whereas our method provides consistent values. We report quantitative results on various test geometries, compare our method to two algorithms working on gray value data and demonstrate the practical applicability of our novel algorithm to CT-reconstructions of Greenlandic firn.
    Repository Name: EPIC Alfred Wegener Institut
    Type: Article , isiRev
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  • 11
    Publication Date: 2017-04-04
    Description: A potential CO2 storage site located offshore the west coast of Italy, has been modelled using PFLOTRAN assuming an injection rate of 1.5 Mtons/year for 20 years. The model predicts a CO2 footprint characterised by a diameter of about 3.5 km and a maximum pressure build up of 38 bars. The solubility trapping has been quantified, predicting a dissolution in brine of 69% and 79% of the total amount of CO2 injected after 1000 and 2000 years respectively. The residual trapping has also been found to play an important role, with 9% and 6% of the injected CO2 being locked into the hosting matrix pores after 1000 and 2000 years respectively. Considering a worst-case scenario for leakages, where zero critical capillarity pressure has been assumed, minor CO2 leakages through the caprock have been identified, caused by the combined effects of the long-term structural trapping and the large and lasting overpressure caused by the CO2 injection in an ideally closed system. Finally, some preliminary work undertaken as part of an ongoing effort to couple a geochemical model to the multi-phase flow simulations reveals i) small changes in mineral volume fraction and porosity during and after the injection (~5% after 1000 years), and ii) a not negligible self-sealing effect due to precipitation of calcite in the lower layer of the caprock. Further investigations and longer physical time runs are needed to confirm this assumption, but also to gain more confidence on the geochemical model built so far and to estimate the mineral trapping potential for this site.
    Description: Published
    Description: 334-343
    Description: 5A. Energia e georisorse
    Description: N/A or not JCR
    Description: restricted
    Keywords: CO2 geological storage modelling ; geochemistry ; PFLOTRAN ; PFLOTRAN case study ; 03. Hydrosphere::03.02. Hydrology::03.02.03. Groundwater processes
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 12
    Publication Date: 2017-04-04
    Description: The Pernicana Fault (PF) is the main structural element of Mt Etna and the northern boundary of a section sliding to the southeast. Observed ground motion records in the damage zone of the PF show strong variations of directional resonance in the horizontal plane. The observed resonance directions exhibit an abrupt rotation of azimuth by about 30◦ across the fault, varying from N166◦ on the north side to N139◦ on the south. We interpret the directional resonance observations in terms of changes in the kinematics and deformation fields on the opposite sides of the fault. The northern side is affected primarily by the left-lateral strike-slip movement, whereas the southern side, that is subjected also to sliding, is under a dominant extensional stress regime. Brittle deformation models based on the observed kinematic field predict different sets of fractures on the opposite sides of the fault: synthetic cleavages and extensional fractures are expected to dominate in the northern and southern sides, respectively. These two fracture fields have different orientations (N74◦ and N42◦, respectively) and both show a near-orthogonal relation (∼88◦ in the northern sector and ∼83◦ to the south) with the azimuth of the observed directional resonance. We conclude that the direction of the largest resonance motions is sensitive to and has transversal relationship with the dominant fracture orientation. The directional amplification is inferred to be produced by stiffness anisotropy of the fault damage zone, with larger seismic motions normal to the fractures.
    Description: Published
    Description: 986–996
    Description: 3T. Pericolosità sismica e contributo alla definizione del rischio
    Description: JCR Journal
    Description: restricted
    Keywords: Earthquake ground motions; Site effects; Wave propagation ; 04. Solid Earth::04.06. Seismology::04.06.09. Waves and wave analysis
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 13
    Publication Date: 2017-04-04
    Description: We present a method to minimize the error of temperature estimate when multiple discrete populations of glass and clinopyroxene occur in a single heterogeneous eruptive unit. As test data we have used ~1100 clinopyroxene–melt pairs from isothermal and thermal gradient experiments. These latter are characterized by the crystallization of multiple modes of clinopyroxene as frequently documented for chemically and thermally zoned magma chambers. Equilibrium clinopyroxene–melt pairs are identified through the difference between predicted and measured components in clinopyroxene. The use of these equilibrium compositions as input data for one of the most recent clinopyroxene-based thermometers demonstrates that the error of temperature estimate is minimized and approaches to the calibration error of the thermometric model. To emphasize the paramount importance of this method for predicting the crystallization temperature of heterogeneousmagmas, we have tested for equilibrium~480 and ~150 clinopyroxene–melt pairs fromthe explosive eruptions of the Sabatini Volcanic District (Latium Region, Central Italy) and the Campi Flegrei Volcanic Field (Campanian Region, Southern Italy), respectively. These eruptions were fed by zoned magma chambers, as indicated by the occurrence ofmultiple modes of clinopyroxene in the eruptive units. Results fromcalculations demonstrate that clinopyroxene–melt pairs in equilibrium at the time of eruption are effectively captured by our method and, consequently, the error of temperature estimate is significantly reduced.
    Description: Published
    Description: 97-103
    Description: 2IT. Laboratori sperimentali e analitici
    Description: JCR Journal
    Description: open
    Keywords: Equilibrium model ; 04. Solid Earth::04.04. Geology::04.04.05. Mineralogy and petrology
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 14
    Publication Date: 2017-04-04
    Description: There have been limited studies to date targeting gaseous elemental mercury (GEM) flux from soil emission in enriched volcanic substrates and its relation with CO2 release and tectonic structures. In order to evaluate and understand the processes of soil–air exchanges involved at Solfatara of Pozzuoli volcano, the most active zone of Campi Flegrei caldera (Italy), an intensive field measurement survey has been achieved in September 2013 by using high-time resolution techniques. Soil–air exchange fluxes of GEM and CO2 have been measured simultaneously at 116 points, widely distributed within the crater. Quantification of gas flux has been assessed by using field accumulation chamber method in conjunction with a Lumex®-RA 915 + portable mercury vapor analyzer and a LICOR for CO2 determination, respectively. The spatial distribution of GEM and CO2 emissions correlated quite closely with the hydrothermal and geological features of the studied area. The highest GEM fluxes (from 4.04 to 5.9 × 10− 5 g m− 2 d− 1) were encountered close to the southern part of the crater interested by an intense fumarolic activity and along the SE–SW tectonic fracture (1.26 × 10− 6–6.91 × 10− 5 g GEM m− 2 d− 1). Conversely, the lowest values have been detected all along the western rim of the crater, characterized by a weak gas flux and a lush vegetation on a very sealed clay soil, which likely inhibited mercury emission (range: 1.5 × 10− 7–7.18 × 10− 6 g GEM m− 2 d− 1). Results indicate that the GEM exchange between soil and air inside the Solfatara crater is about 2–3 orders of magnitude stronger than that in the background areas (10− 8–10− 7 g m− 2 d− 1). CO2 soil diffuse degassing exhibited an analogous spatial pattern to the GEM fluxes, with emission rates ranging from about 15 to ~ 20,000 g CO2 m− 2 d− 1, from the outermost western zones to the south-eastern sector of the crater. The observed significant correlation between GEM and CO2 suggested that in volcanic system GEM volatilizes from substrate in a similar manner to the release of CO2. The quantitative estimation of the total amount of CO2 and GEM released from the Solfatara crater gave values of about 304 ± 13 and 3.7 ± 0.2 × 10− 6 t d− 1, respectively. Finally, based on our dataset and previous work, we propose that an average GEM/CO2 molar ratio of ~ 2 × 10− 8 (n = 9) is best representative of hydrothermal degassing. Taking into account the uncertainty in global hydrothermal CO2 emissions from sub-aerial environments (~ 1012 Mol yr− 1), we infer a global volcanic GEM flux from hydrothermal environments of ~ about 8.5 t yr− 1. Although this value has to be considered as a lower limit for the global emission of GEM from these sources, we suggest that on a local scale hydrothermal activity can be regarded as a significant source of GEM than previously recognized to the atmospheric pool.
    Description: Published
    Description: 26-40
    Description: 4V. Vulcani e ambiente
    Description: JCR Journal
    Description: restricted
    Keywords: Flux Chamber Survey ; Mercury ; CO2 emissions ; Solfatara ; 04. Solid Earth::04.08. Volcanology::04.08.99. General or miscellaneous
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 15
    Publication Date: 2017-04-04
    Description: We consider a seismicity forecast experiment conducted during the last 4 yr. At the beginning of each year, three models make a 1-yr forecast of the distribution of large earthquakes everywhere on the Earth. The forecasts are generated and the observations are collected in the Collaboratory for the Study of Earthquake Predictability (CSEP). We apply CSEP likelihood measures of consistency and comparison to see how well the forecasts match the observations, and we compare results from some intuitive reference models. These results illustrate some undesirable properties of the consistency tests: the tests can be extremely sensitive to only a few earthquakes, and yet insensitive to seemingly obvious flaws—a na ̈ıve hypothesis that large earthquakes are equally likely everywhere is not always rejected. The results also suggest that one should check the assumptions of the so-called T and W comparison tests, and we illustrate some methods to do so. As an extension of model assessment, we explore strategies to combine forecasts, and we discuss the implications for operational earthquake forecasting. Finally, we make suggestions for the next generation of global seismicity forecast experiments.
    Description: Published
    Description: 422-431
    Description: 3T. Pericolosità sismica e contributo alla definizione del rischio
    Description: JCR Journal
    Description: restricted
    Keywords: probabilistic forecasting ; statistical seismology ; 04. Solid Earth::04.06. Seismology::04.06.02. Earthquake interactions and probability
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 16
    Publication Date: 2017-04-04
    Description: The M ∼ 7 1915 Fucino (Central Italy) earthquake represents one of the most destructive seismic events ever occurred in the Italian Peninsula. Several seismogenic faults have been proposed in the past decades as the source of the earthquake by means of different approaches and techniques that lead to a variety of speculations about the source mechanism and the fault location, often contrasting with one another. The 1915 earthquake produced a remarkable data set of 73 coseismic hydrological changes in the near and intermediate field that consist in variation of the flow of streams and springs, liquefaction, rise of water temperature and turbidity. In this paper, we study the coseismic water level changes induced by the 1915 earthquake in the near field to provide convincing clues on the geometry of the earthquake causative fault. We model the coseismic strain field induced by seventeen individual faults proposed through different approaches, and compare its pattern with the distribution of streamflow changes. We find: (i) clues on the most probable geometry of the earthquake causative fault. Best fits between modelled deformation and observed data are displayed by sources (derived by geological or seismological data) that share several distinctive features, as they are ∼135◦-striking, SW-dipping, 25–30-km-long normal faults located along the eastern side of the Fucino basin. These data point to the Serrone Fault and the Parasano Fault as the most likely causative structures and support the hypothesis that the coseismic ruptures observed in the field represented primary surface faulting. On the contrary, our calculations show that the Pescina Fault and the Ventrino Fault are secondary faults from the perspective of the hydrological response. Finally, one of the best scoring potential sources (from geological data) is a multifaulting system that considers the presence, in the central-western part of the basin, of fault splays synthetic and antithetic to the main seismogenic structures; therefore, we infer for these splays a possible active involvement in a 1915-like seismogenic process; (ii) evidence against a number of seismogenic structures that were previously associated with the earthquake. In particular, the plots of coseismic strain induced by sources uniquely derived by macroseismic or geodetic data prove to be inconsistent with the polarities of the hydrological signatures. Also, sources mainly characterized by reverse faulting and/or by right-lateral strike-slip component are discarded and (iii) as a final remark, we maintain that the study of the hydrological signatures of earthquake strain can offer an alternative tool in the investigation of the historical seismicity, to estimate the focal mechanism of major earthquakes capable of giving rise to a consistent data set of hydrological data.
    Description: Published
    Description: 1374-1388
    Description: 2T. Tettonica attiva
    Description: JCR Journal
    Description: restricted
    Keywords: 1915 Fucino earthquake ; 04. Solid Earth::04.06. Seismology::04.06.99. General or miscellaneous
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 17
    Publication Date: 2017-04-04
    Description: Macroseismic intensities are the only available data for most historical earthquakes and often represent the unique source of information for crucial events in the definition of seismic hazard. In this paper, we attempt at getting insight into source characteristics by reproducing the observed intensity field. As a test case, we study the source of 1908 Messina Straits earthquake ( M W = 7.1), by testing three distinct fault models deduced from the analysis of geodeticdata.Startingfromthestaticslipdistribution,wedevelop kinematicsourcemodelsfor the investigated fault and compute full waveform synthetic seismograms in a 1-D structural model, also accounting for anelastic attenuation. Then, we convert both computed peak- ground acceleration (PGA) and peak-ground velocity (PGV) to macroseismic intensity at 100 selected sites, by means of specific empirical relations for the Italian region. By comparing the original data separately with PGA- and PGV-based intensity fields, we discriminate among the tested faults and determine the best values for the investigated kinematic parameters of the source. We also perform a misfit analysis for the best source model, in order to investigate the dependence of the results on the selected parametrization. The results of the analysis indicate that among the tested models, the one characterized by an east-dipping fault, with strike- oriented NS slightly rotated clockwise, better explains the observed macroseismic field of the 1908 Messina Straits earthquake. Besides, the fracture nucleated at the southern end of the fault and ruptured northward, producing considerable directivity effects. This is in agreement with the published results obtained from the investigation of the historical seismograms. We alsodeterminerealisticvalues fortherupturevelocityand therise-time.Ourstudyconfirms the greatpotentialofthemacroseismicdata,demonstratingthattheycontainenoughinformationto constrain important characteristics of the fault, which can be retrieved by using complex source models and computing complete wavefield. Moreover, we also show that the simultaneous comparison of both PGA- and PGV-based synthetic macroseismic fields with the original intensities provides tighter constraints for discriminating among different source models, with respect to what attainable from each of them
    Description: Published
    Description: 164-173
    Description: 4T. Fisica dei terremoti e scenari cosismici
    Description: JCR Journal
    Description: restricted
    Keywords: Earthquake ground motions; Earthquake source observations. ; 04. Solid Earth::04.06. Seismology::04.06.03. Earthquake source and dynamics
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 18
    Publication Date: 2017-04-04
    Description: Gravity and height changes, reflecting magma accumulation in subsurface chambers, are evaluated using Finite Element models in order to resolve controversial relationships observed in some volcanic areas. When significant gravity changes occur without any significant deformation, or vice versa, it is often difficult, if not impossible, to jointly explain the observations using the popular Mogi model. Here we explore whether these discrepancies can be explained by magma compressibility and source geometry effects. Compression of resident magma and expansion of the chamber wall act concurrently to accommodate newly added magma. Gravity-height ratios are found to mainly depend on: (i) geometry of the sources, which control the volume expansion of the chamber, (ii) magma compressibility, which affects the contraction of the magma resident in the chamber, and (iii) depth of the sources. Our numerical results show that, when magma compressibility and non-spherical sources are taken into account, significant gravity variations can, indeed, be successfully reconciled with negligible height changes. This may be the case at Etna volcano, where gravity changes (about 40 miuGal) without any significant deformation (below 5 cm) were observed during the 1994-1995 inflation period. The numerical results point to the accumulation of a 1.4x10^10 kg mass into an elongated source simulating a shallow storage region supplying the summit craters.
    Description: Published
    Description: 164-173
    Description: 4V. Vulcani e ambiente
    Description: JCR Journal
    Description: restricted
    Keywords: numerical modeling, gravity and height changes ; 04. Solid Earth::04.03. Geodesy::04.03.05. Gravity variations
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 19
    Publication Date: 2017-04-04
    Description: Geological, geodetic and seismological data have been analyzed in order to frame the Lipari–Vulcano complex (Aeolian archipelago, southern Italy) into the geodynamic context of the southeastern Tyrrhenian Sea. It is located at the northern end of a major NNW–SSE trending right-lateral strike-slip fault system named “Aeolian–Tindari–Letojanni” which has been interpreted as a lithospheric discontinuity extending from the Aeolian Islands to the Ionian coast of Sicily and separating two different tectonic domains: a contractional one to the west and an extensional one to the north-east. Structural field data consist of structural measurements performed on well-exposed fault planes and fractures. The mesostructures are mostly represented by NW–SE striking normal faults with a dextral-oblique component of motion. Minor structures are represented by N–S oriented joints and tension gashes widespread over the whole analyzed area and particularly along fumarolized sectors. The analyzed seismological dataset (from 1994 to 2013) is based on earthquakes with magnitude ranging between 1.0 and 4.8. The hypocenter distribution depicts two major alignments corresponding to the NNW–SSE trending Aeolian–Tindari–Letojanni fault system and to the WNW–ESE oriented Sisifo–Alicudi fault system. GPS data analysis displays ∼3.0 mm/yr of active shortening between the two islands, with a maximum shortening rate of about 1.0 × 10−13 s−1, between La Fossa Caldera and south of Vulcanello. This region is bounded to the north by an area where the maximum values of shear strain rates, of about 0.7 × 10−13 s−1 are observed. This major change occurs in the area south of Vulcanello that is also characterized by a transition in the way of the vertical axis rotation. Moreover, both the islands show a clear subsidence process, as suggested by negative vertical velocities of all GPS stations which exhibit a decrease from about −15 to −7 mm/yr from north to south. New data suggest that the current kinematics of the Lipari–Vulcano complex can be framed in the tectonic context of the eastward migrating Sisifo–Alicudi fault system. This is dominated by transpressive tectonics in which contractional and minor extensional structures can coexist with strike-slip motion.
    Description: Published
    Description: 150-167
    Description: 1T. Geodinamica e interno della Terra
    Description: 2T. Tettonica attiva
    Description: JCR Journal
    Description: restricted
    Keywords: Southern Tyrrhenian sea ; Aeolian Archipelago ; Lipari–Vulcano complex ; Structural analysis ; GPS ; Seismological data ; 04. Solid Earth::04.03. Geodesy::04.03.01. Crustal deformations ; 04. Solid Earth::04.04. Geology::04.04.09. Structural geology ; 04. Solid Earth::04.07. Tectonophysics::04.07.02. Geodynamics
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 20
    Publication Date: 2017-04-04
    Description: We present an up-to-date high resolution picture of the ongoing crustal deformation field of Italy, based on an extensive combination of permanent and non-permanent GPS observations carried out since 1994. In addition, we present an updated map of contemporary SHmax orientations computed by a multidisciplinary data set of well-constrained stress indicators, including both published results and novel analyses. The comparison of stress and geodetic strain-rates directions reveals that both patterns are near-parallel over a large part of the investigated area, highlighting that crustal stress and surface deformation are driven by the same mechanism. The comparison of the azimuthal patterns of surface strain and mantle deformation shows a modest correlation on the Alps and a low correlation along the Apennines chain and the Calabro-Peloritan Arc. Along the Apennines chain, this feature suggests the occurrence of significant strain partitioning and crust–mantle mechanical decoupling. Along the Calabro-Peloritan Arc, the apparent low correlation reflects a different mantle–crust mechanism of deformation to the ongoing subduction and rollback of the Ionian slab. In addition, the superposition of regional/local effects related to second-order sources (crustal lateral density changes, strength contrasts), which at regional/local scale modulate the crustal stress/strain-rate pattern, cannot be ruled out.
    Description: Published
    Description: 969-985
    Description: 1T. Geodinamica e interno della Terra
    Description: JCR Journal
    Description: restricted
    Keywords: Plate motions ; Seismic anisotropy ; Kinematics of crustal and mantle deformation ; 04. Solid Earth::04.03. Geodesy::04.03.01. Crustal deformations
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 21
    Publication Date: 2017-04-04
    Description: In the Umbria Marche (Central Italy) region an important earthquake sequence occurred in 1997, characterized by nine earthquakes with magnitudes in the range between 5 and 6, that caused important damages and causalities. In the present paper we separately estimate intrinsic- and scattering- Q −1 parameters, using the classical MLTWA approach in the assumption of a half space model. The results clearly show that the attenuation parameters Qi −1 and Qs −1 are frequency dependent. This estimate is compared with other attenuation studies carried out in the same area, and with all the other MLTWA estimates obtained till now in other tectonic environments in the Earth. The bias introduced by the half space assumption is investigated through numerical solutions of the Energy Transport equation in the more realistic assumption of a heterogeneous crust overlying a transparent mantle, with a Moho located at a depth ranging between 35 and 45 km below the surface. The bias introduced by the half space assumption is significant only at high frequency. We finally show how the attenuation estimates, calculated with different techniques, lead to different PGA decay with distance relationships, using the well known and well proven Boore’s method. This last result indicates that care must be used in selecting the correct estimate of the attenuation parameters for seismic risk purposes. We also discuss the reason why MLTWA may be chosen among all the other available techniques, due to its intrinsic stability, to obtain the right attenuation parameters.
    Description: Published
    Description: 1370-1382
    Description: 4T. Fisica dei terremoti e scenari cosismici
    Description: JCR Journal
    Description: open
    Keywords: Seismic attenuation ; scattering ; 04. Solid Earth::04.06. Seismology::04.06.09. Waves and wave analysis
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 22
    Publication Date: 2017-04-04
    Description: Seismological, geological and geodetic data have been integrated to characterize the seismogenic structure of the late 2013-early 2014 moderate energy (maximum local magnitude MLmax = 4.9) seismic sequence that struck the interior of the Matese Massif, part of the Southern Apennines active extensional belt. The sequence, heralded by a ML = 2.7 foreshock, was characterized by two main shocks with ML = 4.9 and ML = 4.2, respectively, which occurred at a depth of ∼17–18 km. The sequence was confined in the 10–20 km depth range, significantly deeper than the 1997–1998 sequence which occurred few km away on the northeastern side of the massif above ∼15 km depth. The depth distribution of the 2013–14 sequence is almost continuous, albeit a deeper (16–19 km) and a shallower (11–15 km) group of events can be distinguished, the former including the main shocks and the foreshock. The epicentral distribution formed a ∼10 km long NNW–SSE trending alignment, which almost parallels the surface trace of late Pliocene–Quaternary southwest-dipping normal faults with a poor evidence of current geological and geodetic deformation. We built an upper crustal model profile for the eastern Matese massif through integration of geological data, oil exploration well logs and seismic tomographic images. Projection of hypocentres on the profile suggests that the seismogenic volume falls mostly within the crystalline crust and subordinately within the Mesozoic sedimentary cover of Apulia, the underthrust foreland of the Southern Apennines fold and thrust belt. Geological data and the regional macroseismic field of the sequence suggest that the southwest-dipping nodal plane of the main shocks represents the rupture surface that we refer to here as the Matese fault. The major lithological discontinuity between crystalline and sedimentary rocks of Apulia likely confined upward the rupture extent of the Matese fault. Repeated coseismic failure represented by the deeper group of events in the sequence, activated in a passive fashion the overlying ∼11–15 km deep section of the upper crustal normal faults. We consider the southwest-dipping Matese fault representative of a poorly known type of seismogenic structures in the Southern Apennines, where extensional seismogenesis and geodetic strain accumulation occur more frequently on NE-dipping, shallower-rooted faults. This is the case of the Boiano Basin fault located on the northern side of the massif, to which the 1997–1998 sequence is related. The close proximity of the two types of seismogenic faults at the Matese Massif is related to the complex crustal architecture generated by the Pliocene–early Pleistocene contractional and transpressional tectonics.
    Description: Published
    Description: 823-837
    Description: 2T. Tettonica attiva
    Description: JCR Journal
    Description: partially_open
    Keywords: Seismicity and tectonics ; Continental tectonics: extensional ; Crustal structure ; 04. Solid Earth::04.04. Geology::04.04.01. Earthquake geology and paleoseismology ; 04. Solid Earth::04.04. Geology::04.04.09. Structural geology ; 04. Solid Earth::04.06. Seismology::04.06.06. Surveys, measurements, and monitoring
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 23
    Publication Date: 2017-04-04
    Description: We analysed the conversion problem between teleseismic magnitudes (Ms and mb) provided by the Seismological Bulletin of the International Seismological Centre and moment magni- tudes (Mw) provided by online moment tensor (MT) catalogues using the chi-square general orthogonal regression method (CSQ) that, differently from the ordinary least-square regres- sion method (OLS), accounts for the measurement errors of both the predictor and response variables. To account for the non-linearity of the relationships, we used two types of curvilin- ear models: (i) the exponential model (EXP), recently proposed by the authors of the Global Catalogue sponsored by the Global Earthquake Model (GEM) Foundation and (ii) a connected bilinear (CBL) model, similar to that proposed by Ekstro ̈m & Dziewonski, where two different linear trends at low and high magnitudes are connected by an arc of circle that preserves the continuity of the function and of its first derivative at the connecting points. For Ms, we found that the regression curves computed for a global data set (GBL) are likely to be biased by the incompleteness of global MT catalogues for Mw 〈5.0–5.5. In fact, the GBL curves deviate significantly from a similar regression curve computed for a Euro-Mediterranean data set (MED) integrated with the data provided by two regional MT catalogues including many more events with Mw 〈 5.0–5.5. The GLB regression curves overestimate the Mw proxies computed from Ms up to 0.5 magnitude units. Hence for computing Mw proxies at the global scale of Ms ≤ 5.5, we suggest to adopt the coefficients obtained from the MED regression. The analysis of the frequency–magnitude relationship of the resulting Mw proxy catalogues confirms the validity of this choice as the behaviour of b-value as a function of cut-off magnitude of the GBL data set is much more stable using such approach. The incompleteness of Mw’s provided from MT global catalogues also affects the mb GBL data set but in this case the use of the CSQ regression method, in place of the OLS, mitigates the bias and then, at low magnitudes, the EXP regression curve computed from the more complete MED data set almost coincides with that computed from the GBL data set. Our results also indicate that the slope at low magnitudes of the Mw–Ms relationship is substantially consistent with the hypothesized theoretical value of 2/3 for Ms 〈 5.0 while the slope of the Mw–mb relationship at high magnitudes probably reaches the theoretically expected value of 2 only in the proximity of the upper limit of mb determinations in our data set (mb = 7.2).
    Description: Published
    Description: 805–828
    Description: 3T. Pericolosità sismica e contributo alla definizione del rischio
    Description: JCR Journal
    Description: restricted
    Keywords: Earthquake source observations ; Statistical seismology ; 05. General::05.02. Data dissemination::05.02.02. Seismological data
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 24
    Publication Date: 2017-04-04
    Description: In a recent paper, important issues were raised about the identification of the fault responsible for the 1908 Messina Straits earthquake. Starting with a reanalysis of the available original geodetic data, the authors aimed to demonstrate that both of the fault–plane orientations derived by the focal mechanism are compatible with the measurements. On these grounds, and based on geological considerations, they argued in favour of the Armo fault—a high-angled structure on the Calabrian side of the Messina Straits—as responsible for the 1908 earthquake. We indicate here that their analysis has some pitfalls that produce questionable results, and that render their conclusions unreliable. Moreover, especially when dealing with such old events and data, we consider that it is more prudent not to derive conclusions on the basis of a single data set, as all of the available information should be included in any interpretation. Indeed, when the joint results of the seismological and geodetic analyses are taken into account, a consistent and robust source model can be derived that indicates that a low-angle, east-dipping fault is the most likely source of this 1908 Messina Straits earthquake
    Description: Published
    Description: 1399-1402
    Description: 4T. Fisica dei terremoti e scenari cosismici
    Description: JCR Journal
    Description: restricted
    Keywords: Earthquake source observations; Seismicity and tectonics; Europe ; 04. Solid Earth::04.06. Seismology::04.06.03. Earthquake source and dynamics
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 25
    Publication Date: 2017-04-04
    Description: In this study,we use Differential Synthetic Aperture Radar Interferometry (DInSAR) and multiaperture interferometry (MAI) to constrain the sources of the three largest events of the 2008 Baluchistan (western Pakistan) seismic sequence, namely two Mw 6.4 events only 12 hr apart and an Mw 5.7 event that occurred 40 d later. The sequence took place in the Quetta Syntaxis, the most seismically active region of Baluchistan, tectonically located between the colliding Indian Plate and the Afghan Block of the Eurasian Plate. Surface displacements estimated from ascending and descending ENVISAT ASAR acquisitions were used to derive elastic dislocation models for the sources of the two main events. The estimated slip distributions have peak values of 120 and 130 cm on a pair of almost parallel and near-vertical faults striking NW–SE, and of 50 cm and 60 cm on two high-angle faults striking NE–SW. Values up to 50 cm were found for the largest aftershock on an NE–SW fault located between the sources of the main shocks. The MAI measurements, with their high sensitivity to the north–south motion component, are crucial in this area to accurately describe the coseismic displacement field. Our results provide insight into the deformation style of the Quetta Syntaxis, suggesting that right-lateral slip released at shallow depths on large NW fault planes is compatible with left-lateral activation on smaller NE–SW faults.
    Description: Published
    Description: 25-39
    Description: 2T. Tettonica attiva
    Description: JCR Journal
    Description: restricted
    Keywords: Radar interferometry ; Satellite geodesy ; Seismicity and Tectonics ; Continental margins: convergent ; Earthquake interaction, forecasting and prediction ; Earthquake source observation ; 04. Solid Earth::04.07. Tectonophysics::04.07.07. Tectonics
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 26
    Publication Date: 2017-04-04
    Description: The relative seismic velocity variations possibly associated to large earthquakes can be readily monitored via cross-correlation of seismic noise. In a recently published study, more than 2 yr of continuous seismic records have been analysed from three stations surrounding the epicentre of the 2009 April 6, Mw 6.1 L’Aquila earthquake, observing a clear decrease of seismic velocities likely corresponding to the co-seismic shaking. Here, we extend the analysis in space, including seismic stations within a radius of 60 km from the main shock epicentre, and in time, collecting 5 yr of data for the six stations within 40 km of it. Our aim is to investigate how far the crustal damage is visible through this technique, and to detect a potential post-seismic recovery of velocity variations. We find that the co-seismic drop in velocity variations extends up to 40 km from the epicentre, with spatial distribution (maximum around the fault and in the north– east direction from it) in agreement with the horizontal co-seismic displacement detected by global positioning system (GPS). In the first few months after L’Aquila earthquake, the crust’s perturbation in terms of velocity variations displays a very unstable behaviour, followed by a slow linear recovery towards pre-earthquake conditions; by almost 4 yr after the event, the co-seismic drop of seismic velocity is not yet fully recovered. The strong oscillations of the velocity changes in the first months after the earthquake prevent to detect the fast exponential recovery seen by GPS data. A test of differently parametrized fitting curves demonstrate that the post-seismic recovery is best explained by a sum of a logarithmic and a linear term, suggesting that processes like viscoelastic relaxation, frictional afterlip and poroelastic rebound may be acting concurrently.
    Description: Published
    Description: 604-6011
    Description: 4T. Fisica dei terremoti e scenari cosismici
    Description: JCR Journal
    Description: restricted
    Keywords: Time-series analysis; Interferometry; Computational seismology; Europe ; 04. Solid Earth::04.06. Seismology::04.06.03. Earthquake source and dynamics
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 27
    Publication Date: 2019-12-13
    Description: Downtown L'Aquila suffered severe damage (VIII-IX EMS98 intensity) during the 2009 April 6 Mw 6.3 earthquake. The city is settled on a top flat hill, with a shear-wave velocity profile characterized by a reversal of velocity at a depth of the order of 50–100 m, corresponding to the contact between calcareous breccia and lacustrine deposits. In the southern sector of downtown, a thin unit of superficial red soils causes a further shallow impedance contrast that may have influenced the damage distribution during the 2009 earthquake. In this paper, the main features of ambient seismic vibrations have been studied in the entire city centre by using array measurements. We deployed six 2-D arrays of seismic stations and 1-D array of vertical geophones. The 2-D arrays recorded ambient noise, whereas the 1-D array recorded signals produced by active sources. Surface-wave dispersion curves have been measured by array methods and have been inverted through a neighbourhood algorithm, jointly with the H/V ambient noise spectral ratios related to Rayleigh waves ellipticity. We obtained shear-wave velocity (Vs) profiles representative of the southern and northern sectors of downtown L'Aquila. The theoretical 1-D transfer functions for the estimated Vs profiles have been compared to the available empirical transfer functions computed from aftershock data analysis, revealing a general good agreement. Then, the Vs profiles have been used as input for a deconvolution analysis aimed at deriving the ground motion at bedrock level. The deconvolution has been performed by means of EERA and STRATA codes, two tools commonly employed in the geotechnical engineering community to perform equivalent-linear site response studies. The waveform at the bedrock level has been obtained deconvolving the 2009 main shock recorded at a strong motion station installed in downtown. Finally, this deconvolved waveform has been used as seismic input for evaluating synthetic time-histories in a strong-motion target site located in the middle Aterno river valley. As a target site, we selected the strong-motion station of AQV 5 km away from downtown L'Aquila. For this site, the record of the 2009 L'Aquila main shock is available and its surface stratigraphy is adequately known making possible to propagate the deconvolved bedrock motion back to the surface, and to compare recorded and synthetic waveforms.
    Description: Published
    Description: 848–866
    Description: 3T. Pericolosità sismica e contributo alla definizione del rischio
    Description: JCR Journal
    Description: restricted
    Keywords: Fourier analysis, Earthquake ground motions , Site effects ; 04. Solid Earth::04.06. Seismology::04.06.04. Ground motion
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  • 28
    Publication Date: 2020-02-24
    Description: In June–July 2001 a series of 16 discrete lava fountain paroxysms occurred at the Southeast summit crater (SEC) of Mount Etna, preceding a 28-day long violent flank eruption. Each paroxysm was preceded by lava effusion, growing seismic tremor and a crescendo of Strombolian explosive activity culminating into powerful lava fountaining up to 500m in height. During 8 of these 16 events we could measure the chemical composition of the magmatic gas phase (H2O, CO2, SO2, HCl, HF and CO), using open-path Fourier transform infrared (OP-FTIR) spectrometry at ∼1–2km distance from SEC and absorption spectra of the radiation emitted by hot lava fragments. We show that each fountaining episode was characterized by increasingly CO2-rich gas release, with CO2/SO2and CO2/HCl ratios peaking in coincidence with maxima in seismic tremor and fountain height, whilst the SO2/HCl ratio showed a weak inverse relationship with respect to eruption intensity. Moreover, peak values in both CO2/SO2ratio and seismic tremor amplitude for each paroxysm were found to increase linearly in proportion with the repose interval (2–6 days) between lava fountains. These observations, together with a model of volatile degassing at Etna, support the following driving process. Prior to and during the June–July 2001 lava fountain sequence, the shallow (∼2km) magma reservoir feeding SEC received an increasing influx of deeply derived carbon dioxide, likely promoted by the deep ascent of volatile-rich primitive basalt that produced the subsequent flank eruption. This CO2-rich gas supply led to gas accumulation and overpressure in SEC reservoir, generating a bubble foam layer whose periodical collapse powered the successive fountaining events. The anti-correlation between SO2/HCl and eruption intensity is best explained by enhanced syn-eruptive degassing of chlorine from finer particles produced during more intense magma fragmentation.
    Description: Published
    Description: 123-134
    Description: 3V. Dinamiche e scenari eruttivi
    Description: JCR Journal
    Description: restricted
    Keywords: FTIR remote sensing ; lava fountains ; gas composition ; magma degassing ; separate CO2transfer ; 05. General::05.02. Data dissemination::05.02.03. Volcanic eruptions
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 29
    Publication Date: 2020-02-24
    Description: The time for a first book on Geoethics has come. The faster, greedier pace of society and globalization demands it. The comfortable life of scholars in the ivory tower is coming to a rude awakening. People demand understandable information on geohazards, judges condemn scientist and engineers for lack of communication, indigenous people rise in anger accusing experts of misleading them, attempts to avoid transparency in developments still exist, the helplessness of technology to deal with nuclear waste becomes more evident everyday and nature exposes shortcuts in constructing critical facilities with her own awesome force.....
    Description: Published
    Description: XXI-XXII
    Description: 3T. Pericolosità sismica e contributo alla definizione del rischio
    Description: 4V. Vulcani e ambiente
    Description: 4A. Clima e Oceani
    Description: 5A. Energia e georisorse
    Description: 6A. Monitoraggio ambientale, sicurezza e territorio
    Description: reserved
    Keywords: Geoethics ; Philosophy ; Geosciences ; Geoscientists ; Ethics ; Earth Sciences ; Sustainability ; Research Integrity ; Professional Ethics ; Geoscience communication ; Responsibility ; Stewardship ; Planet ; Earth ; 05. General::05.03. Educational, History of Science, Public Issues::05.03.99. General or miscellaneous ; 05. General::05.08. Risk::05.08.99. General or miscellaneous ; 05. General::05.09. Miscellaneous::05.09.99. General or miscellaneous
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
    Type: book chapter
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  • 30
    Publication Date: 2020-05-27
    Description: We propose an innovative approach to mapping CMB topography from seismic P-wave trav- eltime inversions: instead of treating mantle velocity and CMB topography as independent parameters, as has been done so far, we account for their coupling by mantle flow, as formulated by Forte & Peltier. This approach rests on the assumption that P data are sufficiently sensitive to thermal heterogeneity, and that compositional heterogeneity, albeit important in localized regions of the mantle (e.g. within the D′′ region), is not sufficiently strong to govern the pattern of mantle-wide convection and hence the CMB topography. The resulting tomographic maps of CMB topography are physically sound, and they resolve the known discrepancy between images obtained from classic tomography on the basis of core-reflected and core-refracted seismic phases. Since the coefficients of mantle velocity structure are the only free parameters of the inversion, this joint tomography–geodynamics approach reduces the number of param- eters; nevertheless the corresponding mantle models fit the seismic data as well as the purely seismic ones.
    Description: Published
    Description: 730-746
    Description: 1T. Geodinamica e interno della Terra
    Description: JCR Journal
    Description: restricted
    Keywords: Seismic tomography ; 04. Solid Earth::04.01. Earth Interior::04.01.03. Mantle and Core dynamics
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 31
    Publication Date: 2017-04-04
    Description: We present the results of palaeomagnetic analysis on Late Bronge Age pottery from Santorini carried out in order to estimate the thermal effect of the Minoan eruption on the pre-Minoan habitation level. A total of 170 specimens from 108 ceramic fragments have been studied. The ceramics were collected from the surface of the pre-Minoan palaeosol at six different sites, including also samples from the Akrotiri archaeological site. The deposition temperatures of the first pyroclastic products have been estimated by the maximum overlap of the re-heating temperature intervals given by the individual fragments at site level. A new statistical elaboration of the temperature data has also been proposed, calculating at 95 per cent of probability the re-heating temperatures at each site. The obtained results show that the precursor tephra layer and the first pumice fall of the eruption were hot enough to re-heat the underlying ceramics at temperatures 160–230 ◦C in the non-inhabited sites while the temperatures recorded inside the Akrotiri village are slightly lower, varying from 130 to 200 ◦C. The decrease of the temperatures registered in the human settlements suggests that there was some interaction between the buildings and the pumice fallout deposits while probably the buildings debris layer caused by the preceding and syn-eruption earthquakes has also contributed to the decrease of the recorded re-heating temperatures.
    Description: Published
    Description: 33-47
    Description: 1A. Geomagnetismo e Paleomagnetismo
    Description: JCR Journal
    Description: restricted
    Keywords: Archaeomagnetism ; Rock and mineral magnetism ; Volcaniclastic deposits ; 04. Solid Earth::04.05. Geomagnetism::04.05.06. Paleomagnetism ; 04. Solid Earth::04.05. Geomagnetism::04.05.07. Rock magnetism ; 04. Solid Earth::04.08. Volcanology::04.08.08. Volcanic risk ; 05. General::05.02. Data dissemination::05.02.03. Volcanic eruptions
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 32
    Publication Date: 2017-04-04
    Description: Probabilistic tsunami hazard analysis (PTHA) relies on computationally demanding numerical simulations of tsunami generation, propagation, and non-linear inundation on high-resolution topo-bathymetric models. Here we focus on tsunamis generated by co-seismic sea floor dis- placement, that is, on Seismic PTHA (SPTHA). A very large number of tsunami simulations are typically needed to incorporate in SPTHA the full expected variability of seismic sources (the aleatory uncertainty). We propose an approach for reducing their number. To this end, we (i) introduce a simplified event tree to achieve an effective and consistent exploration of the seismic source parameter space; (ii) use the computationally inexpensive linear approximation for tsunami propagation to construct a preliminary SPTHA that calculates the probability of maximum offshore tsunami wave height (H Max) at a given target site; (iii) apply a two-stage filtering procedure to these ‘linear’ SPTHA results, for selecting a reduced set of sources and (iv) calculate ‘non-linear’ probabilistic inundation maps at the target site, using only the selected sources. We find that the selection of the important sources needed for approximating probabilistic inundation maps can be obtained based on the offshore HMax values only. The filtering procedure is semi-automatic and can be easily repeated for any target sites. We describe and test the performances of our approach with a case study in the Mediterranean that considers potential subduction earthquakes on a section of the Hellenic Arc, three target sites on the coast of eastern Sicily and one site on the coast of southern Crete. The comparison between the filtered SPTHA results and those obtained for the full set of sources indicates that our approach allows for a 75–80 per cent reduction of the number of the numerical simulations needed, while preserving the accuracy of probabilistic inundation maps to a reasonable degree.
    Description: Published
    Description: 574-588
    Description: 3T. Pericolosità sismica e contributo alla definizione del rischio
    Description: JCR Journal
    Description: restricted
    Keywords: Tsunami ; Hazard ; Probabilistic ; Subduction ; Mediterranean ; SPTHA ; 04. Solid Earth::04.06. Seismology::04.06.02. Earthquake interactions and probability ; 04. Solid Earth::04.07. Tectonophysics::04.07.04. Plate boundaries, motion, and tectonics ; 04. Solid Earth::04.07. Tectonophysics::04.07.06. Subduction related processes
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  • 33
    Publication Date: 2017-04-04
    Description: Temporal variations in the elastic behaviour of the Earth’s crust can be monitored through the analysis of the Earth’s seismic response and its evolution with time. This kind of analysis is particularly interesting when combined with the reconstruction of seismic Green’s functions from the cross-correlation of ambient seismic noise, which circumvents the limitations imposed by a dependence on the occurrence of seismic events. In fact, because seismic noise is recorded continuously and does not depend on earthquake sources, these cross-correlation functions can be considered analogously to records from continuously repeating doublet sources placed at each station, and can be used to extract observations of variations in seismic velocities. These variations, however, are typically very small: of the order of 0.1 per cent. Such accuracy can be only achieved through the analysis of the full reconstructed waveforms, including later scattered arrivals. We focus on the method known as Moving-Window Cross-Spectral Analysis that has the advantage of operating in the frequency domain, where the bandwidth of coherent signal in the correlation function can be clearly defined. We investigate the sensitivity of this method by applying it to microseismic noise cross-correlations which have been perturbed by small synthetic velocity variations and which have been randomly contaminated. We propose threshold signal-to-noise ratios above which these perturbations can be reliably observed. Such values are a proxy for cross-correlation convergence, and so can be used as a guideline when determining the length of microseismic noise records that are required before they can be used for monitoring with the moving-window cross-spectral technique.
    Description: Published
    Description: 867-882
    Description: 4T. Fisica dei terremoti e scenari cosismici
    Description: JCR Journal
    Description: restricted
    Keywords: Interferometry; Volcano monitoring ; 04. Solid Earth::04.02. Exploration geophysics::04.02.06. Seismic methods
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  • 34
    Publication Date: 2017-04-04
    Description: In this study we have investigated the forward directivity associated with the initial up-dip rupture propagation during the April 6th 2009 (MW 6.1) L’Aquila normal-faulting earthquake. The objective is the understanding of how the peculiar initial behavior of rupture history during the main shock has affected the near-source recorded ground motions in the L’Aquila town and surrounding areas. We have modeled the observed ground velocities at the closest near-source recording sites by computing synthetic seismograms using a discrete wavenumbers and finite difference approach in the low frequency bandwidth (0.02-0.4 Hz) to avoid site effects contaminations. We use both the rupture model retrieved by inverting ground motion waveforms and continuous high sampling-rate GPS time series as well as uniform-slip constant-rupture speed models. Our results demonstrate that the initial up-dip rupture propagation, characterizing the first three seconds of the rupture history during the L’Aquila main shock and releasing only ∼25% of total seismic moment, controls the observed ground motions in the near-source. This initial stage of the rupture is characterized by the generation of clear ground velocity pulses, which we interpret as a forward directivity effect. Our modeling results confirm a heterogeneous distribution of rupture velocity during the initial up-dip rupture propagation, since uniform rupture speed models overestimate up-dip directivity effects in the footwall of the causative fault. The up-dip directivity observed in the near field during the 2009 L’Aquila main shock is that predicted for a normal faulting earthquake by Somerville’s directivity model, but it differs from that inferred from far-field observations that conversely provide evidence of along-strike directivity. This calls for a careful analysis as well as for the realistic inclusion of rupture directivity to predict ground motions in the near source.
    Description: Published
    Description: 1618-1631
    Description: 4T. Fisica dei terremoti e scenari cosismici
    Description: JCR Journal
    Description: restricted
    Keywords: earthquake ground motion, earthquake source observations, computational seismology ; 04. Solid Earth::04.06. Seismology::04.06.99. General or miscellaneous
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  • 35
    facet.materialart.
    Unknown
    Wiley-Blackwell
    In:  Magnitude conversion problem using general orthogonal regression’ by H. R. Wason, Ranjit Das and M. L. Sharma, (Geophys. J. Int., 190, 1091–1096)
    Publication Date: 2017-04-04
    Description: The argument proposed by Wason et al. that the conversion of magnitudes from a scale (e.g. Ms or mb) to another (e.g. Mw), using the coefficients computed by the general orthogonal regression method (Fuller) is biased if the observed values of the predictor (independent) variable are used in the equation as well as the methodology they suggest to estimate the supposedly true values of the predictor variable are wrong for a number of theoretical and empirical reasons. Hence, we advise against the use of such methodology for magnitude conversions.
    Description: Published
    Description: 626-627
    Description: 3T. Pericolosità sismica e contributo alla definizione del rischio
    Description: JCR Journal
    Description: restricted
    Keywords: Earthquake source observations ; Statistical seismology ; Computational seismology ; 05. General::05.01. Computational geophysics::05.01.04. Statistical analysis
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 36
    Publication Date: 2017-04-04
    Description: Key Features. Written by a global group of contributors with backgrounds ranging from philosopher to geo-practitioner, providing a balance of voices. Includes case studies, showing where experts have gone wrong and where key organizations have ignored facts, wanting assessments favorable to their agendas. Provides a much needed basis for discussion to guide scientists to consider their responsibilities and to improve communication with the public. Description. Edited by two experts in the area, Geoethics: Ethical Challenges and Case Studies in Earth Sciences addresses a range of topics surrounding the concept of ethics in geoscience, making it an important reference for any Earth scientist with a growing concern for sustainable development and social responsibility. This book will provide the reader with some obvious and some hidden information you need for understanding where experts have not served the public, what more could have been done to reach and serve the public and the ethical issues surrounding the Earth Sciences, from a global perspective. Table of contents. Section 1: Introduction Section 2: Philosophical reflections Section 3: The ethics of practice Section 4: Man made hazards Section 5: Natural hazards Section 6: Exploitation of resources Section 7: Low income and indigenous communities Section 8: Geoscience community
    Description: Published
    Description: 3T. Pericolosità sismica e contributo alla definizione del rischio
    Description: 5T. Sorveglianza sismica e operatività post-terremoto
    Description: 4V. Vulcani e ambiente
    Description: 5V. Sorveglianza vulcanica ed emergenze
    Description: 4A. Clima e Oceani
    Description: 6A. Monitoraggio ambientale, sicurezza e territorio
    Description: open
    Keywords: Geoethics ; Philosophy ; Natural hazards ; Man made hazards ; Georesources ; Low income countries ; Geoscience community ; Communication ; Geoeducation ; Natural risks ; 04. Solid Earth::04.06. Seismology::04.06.11. Seismic risk ; 04. Solid Earth::04.08. Volcanology::04.08.08. Volcanic risk ; 05. General::05.03. Educational, History of Science, Public Issues::05.03.99. General or miscellaneous ; 05. General::05.08. Risk::05.08.99. General or miscellaneous ; 05. General::05.09. Miscellaneous::05.09.99. General or miscellaneous
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 37
    facet.materialart.
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    Elsevier
    Publication Date: 2017-04-04
    Description: This chapter outlines a framework of the issues addressed by geoethics. Starting from an etymological analysis of the word “geoethics,” we identify the cultural basis on which to expand the debate on geoethics, while also proposing for consideration by the scientific community some questions that may guide the development of future research and practice in geosciences. We attempt to define some fundamental points that, in our opinion, will strengthen geoethics and help its development. The goal of geoethics is to suggest practical solutions and provide useful techniques, and also to promote cultural renewal in how humans perceive and relate to the planet, through greater attention to the protection of life and the richness of the Earth, in all its forms. As each science does, geoethics should also be able to present an image of the world, pointing out the manner in which it can be understood, investigated, designed, and experienced.
    Description: Published
    Description: 3-14
    Description: 3T. Pericolosità sismica e contributo alla definizione del rischio
    Description: 4V. Vulcani e ambiente
    Description: 4A. Clima e Oceani
    Description: 5A. Energia e georisorse
    Description: 6A. Monitoraggio ambientale, sicurezza e territorio
    Description: reserved
    Keywords: Etymological analysis ; Geoethics ; Geoscientists oath ; Responsibility ; Society ; 05. General::05.03. Educational, History of Science, Public Issues::05.03.99. General or miscellaneous ; 05. General::05.09. Miscellaneous::05.09.99. General or miscellaneous
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 38
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    Elsevier | Elsevier Science Limited
    Publication Date: 2017-04-04
    Description: Campi Flegrei caldera, within the Neapolitan area of Italy, is potentially one of the most dangerous volcanoes in the world, and during the last decade it has shown clear signs of reactivation, marked by the onset of uplift and changes in the geochemistry of gas emissions. We describe a 30-year-long data set of the CO2–He–Ar–N2 compositions of fumarolic emissions from La Solfatara crater, which is located in the center of the caldera. The data display continuous decreases in both the N2/He and N2/CO2 ratios since 1985, paralleled by an increase in He/CO2. These variations cannot be explained by either processes of boiling/condensation in the local hydrothermal system or with changes in the mixing proportions between a magmatic vapor and hydrothermal fluids. We applied the magma degassing model of Nuccio and Paonita (2001, Earth Planet. Sci. Lett. 193, 467–481) using the most recent inert-gas solubilities in order to interpret these peculiar features in accordance with petrologic constraints derived from the ranges of the melt compositions and reservoir pressures at Campi Flegrei. The model simulations for mafic melts (trachybasalt and shoshonite) show a remarkably good agreement with the measured data. Both decompressive degassing of an ascending magma and mixing between magmatic fluids exsolved at various levels along the ascent path can explain the long-term geochemical changes. Recalling that (i) a sill-like reservoir of gases at a depth of 3–4 km seems to be the main source of ground inflation and (ii) there is petrologic and geophysical evidence for a reservoir of magma at about 8 km below Campi Flegrei, we suggest that the most-intense episodes of inflation occur when the gas supply to the sill-like reservoir comes from the 8 km-deep magma, although fluids exsolved by magma bodies at shallower depths also contribute to the gas budget. Our work highlights that, in caldera systems where the presence of hydrothermal aquifers commonly masks the magmatic signature of reactive volatiles, inert gases are the preferred species to use when seeking information on the melt composition, dynamics, and structure of the plumbing systems.
    Description: Published
    Description: 1-15
    Description: 2V. Dinamiche di unrest e scenari pre-eruttivi
    Description: JCR Journal
    Description: restricted
    Keywords: Geochemical Evidences ; Magmas ; Campi Flegrei caldera ; 04. Solid Earth::04.08. Volcanology::04.08.03. Magmas
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  • 39
    Publication Date: 2017-04-04
    Description: The present study is focused on the emergence of dynamical complexity in the Earth's magnetospheric dynamics during magnetic storms as monitored by SYM-H index. A long time series of SYM-H index covering the period from January 2000 to December 2004 is analyzed using a quite novel technique, the permutation entropy analysis. We show that the normalized permutation entropy values of the SYM-H time series decrease during geomagnetic disturbed periods revealing a gradual increase in the temporal correlation of the fluctuations which generates a gradual increase in the complexity degree of the magnetosphere response to the solar wind magnetic field and plasma parameter changes. These large changes in the normalized permutation entropy values and complexity degree observed during the disturbed periods can be interpreted as the signature of dynamical phase transitions happening in proximity to the occurrence of geomagnetic storms and substorms confirming results previously found using different methods. The dependence of the degree of complexity on both the magnitude of the geomagnetic disturbance and the IMF ByGSM and BzGSM components is investigated and discussed.
    Description: Published
    Description: 25-31
    Description: 1A. Geomagnetismo e Paleomagnetismo
    Description: JCR Journal
    Description: restricted
    Keywords: Geomagnetic storms ; Permutation entropy ; Complexity ; 05. General::05.07. Space and Planetary sciences::05.07.01. Solar-terrestrial interaction
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  • 40
    facet.materialart.
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    Wiley-Blackwell
    Publication Date: 2017-04-04
    Description: Fluids—essentially meteoric water—are present everywhere in the Earth’s crust, occasionally also with pressures higher than hydrostatic due to the tectonic strain imposed on impermeable undrained layers, to the impoundment of artificial lakes or to the forced injections required by oil and gas exploration and production. Experimental evidence suggests that such fluids flow along preferred paths of high diffusivity, provided by rock joints and faults. Studying the coupled poroelastic problem, we find that such flow is ruled by a nonlinear partial differential equation amenable to a Barenblatt-type solution, implying that it takes place in formof solitary pressure waves propagating at a velocity which decreases with time as v ∝t [1/(n − 1) − 1] with n 7. According to Tresca-Von Mises criterion, these waves appear to play a major role in earthquake triggering, being also capable to account for aftershock delay without any further assumption. The measure of stress and fluid pressure inside active faults may therefore provide direct information about fault potential instability.
    Description: Published
    Description: 1281–1285
    Description: 6T. Sismicità indotta e caratterizzazione sismica dei sistemi naturali
    Description: N/A or not JCR
    Description: restricted
    Keywords: forecasting and prediction ; 04. Solid Earth::04.06. Seismology::04.06.03. Earthquake source and dynamics
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  • 41
    Publication Date: 2017-04-04
    Description: Detailed surveys of diffuse CO2 flux, soil temperature, thermal gradients, and sampling of high-T fumaroles were carried out in the Favare area and Lake Specchio di Venere on Pantelleria Island. Spatial patterns of diffuse CO2 emissions in the Favare area reflect structural discontinuities (faults, fractures or cracks in the soil) associated with the volcano-tectonic structures of the young Monastero Caldera (NNE–SSW to NE–SW trending). The estimated diffuse CO2 output from two adjacent sites in the Favare area (~ 93,000 m2) is 7.8 t d− 1 (equivalent to 2.62 kt a− 1), whereas that from the west shore of the lake (450 m2) is 0.041 t d− 1 (or 0.015 kt a− 1). The extrapolation of diffuse CO2 fluxes across the entire altered area of Favare suggests that CO2 emissions are ~ 19.3 t d− 1. The diffuse CO2 flux correlates with shallow soil temperatures, indicating a similar source for both the heat and volatiles from the underlying geothermal reservoir. Gas equilibria applied to fumarolic effluents define P–T conditions for this reservoir at 2–6 bar and 120–160 °C, in good agreement with measurements from exploratory wells in these areas (e.g., 135 °C at a depth of 290 m). Using the CO2 flux as a tracer for steam output, and consequently for heat flow, the calculated thermal energy for the shallow reservoir is 10–12 MW; this represents the minimum geothermal potential of the reservoir on Pantelleria island.
    Description: Published
    Description: 22-33
    Description: 4V. Vulcani e ambiente
    Description: JCR Journal
    Description: restricted
    Keywords: CO2 soil degassing; ; Geothermal potential; ; Geothermal aquifers; ; Pantelleria Island ; 04. Solid Earth::04.08. Volcanology::04.08.04. Thermodynamics
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  • 42
    Publication Date: 2017-04-04
    Description: Our improved capability to adapt to future changes in discharge is linked to our capability to predict the magnitude or at least the direction of these changes. For the agricultural U.S. Midwest, too much or too little water has severe socio-economic impacts. Here we focus on the Raccoon River at Van Meter, Iowa, and use a statistical approach to examine projected changes in discharge. We build on statistical models using rainfall and harvested corn and soybean acreage to explain the observed discharge variability. We then use projections of these two predictors to examine the projected discharge response. Results are based on seven global climate models part of the Coupled Model Intercomparison Project Phase 5 and two representative concentration pathways (RCPs 4.5 and 8.5). There is not a strong signal of change in the discharge projections under the RCP 4.5. However the results for the RCP 8.5 point to a stronger changing signal related to larger projected increases in rainfall, resulting in increasing trends in particular in the upper part of the discharge distribution (i.e., 60th percentile and above). Examination of two hypothetical agricultural scenarios indicates that these increasing trends could be alleviated by decreasing the extent of the agricultural production. We also discuss how the methodology presented in this study represents a viable approach to move forward with the concept of return period for engineering design and management in a non-stationary world.
    Description: Published
    Description: 1361–1371
    Description: 4A. Clima e Oceani
    Description: JCR Journal
    Description: restricted
    Keywords: river discharge ; rainfall ; statistical model ; 01. Atmosphere::01.01. Atmosphere::01.01.02. Climate
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  • 43
    Publication Date: 2020-02-24
    Description: We formulate a mathematical model for a geothermal basin with an idealized geometry characterized by: (1) radial symmetry around an extracting well (or a cluster of wells), (2) a relatively thin horizontal fractured layer lying underneath a low permeability, low porosity rock layer, saturated with water. Vaporization is allowed only at the boundary of the extracting well (or well cluster). The model is based on the assumption that the flow from the reservoir to the well is fed by a gravity driven flow through the overstanding rocks. Despite the various simplifying assumptions, the resulting mathematical problem is considerably difficult also because we consider the effect of thermal expansion and thermal variation of viscosity. Though there is no evidence that the assumed configuration of the basin approaches the structure of a known geothermal field, the results obtained match with surprising accuracy the data of a specific field in the Mt. Amiata area (data kindly provided by ENEL Green Power through Tuscany Region).
    Description: Published
    Description: 37-54
    Description: 5A. Energia e georisorse
    Description: 6A. Monitoraggio ambientale, sicurezza e territorio
    Description: 7A. Geofisica di esplorazione
    Description: 3IT. Calcolo scientifico e sistemi informatici
    Description: JCR Journal
    Description: restricted
    Keywords: Geothermal reservoirs ; Porous media ; Permeability estimation ; Fractured media ; 01. Atmosphere::01.02. Ionosphere::01.02.01. Ion chemistry and composition ; 03. Hydrosphere::03.02. Hydrology::03.02.02. Hydrological processes: interaction, transport, dynamics ; 03. Hydrosphere::03.02. Hydrology::03.02.05. Models and Forecasts ; 05. General::05.01. Computational geophysics::05.01.03. Inverse methods ; 05. General::05.01. Computational geophysics::05.01.04. Statistical analysis ; 05. General::05.05. Mathematical geophysics::05.05.99. General or miscellaneous
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  • 44
    Publication Date: 2020-02-24
    Description: Serpentinization of ultramafic rocks is considered a major process of production of abiotic methane (CH4) and hydrogen (H2) on Earth, and it may be responsible for CH4 occurrence on other planets. While serpentinization and CH4 synthesis have been widely studied and modeled in high temperature hydrothermal conditions, such as on submarine mid-ocean ridges, the increasing number of discoveries of abiotic CH4 in ophiolites on continents shows the importance of present-day (meteoric water driven) serpentinization in low temperature (〈100 °C) gas synthesis. As a new case, we report compositional, isotopic, and flux data of gas dissolved in hyperalkaline Ca-OH waters issuing from serpentinized peridotites at Genova (Italy). CH4 is dominantly abiotic (δ13C: -9 ‰ VPDB; δ2H: -168 to - 225 ‰ VSMOW), similar to that released by ophiolites in Oman, Turkey, the Philippines, and by the submarine Lost City serpentinization system. While the absence of CO2 was expected in this kind of fluids, the absence of H2 is unusual. This could be due to hydration of olivine and pyroxene by CO2-rich fluids, eventually associated with high silica activity, which inhibits H2 formation and produces CH4 directly. Thermodynamic modeling and H2O-CH4 isotope equilibrium confirm the low temperatures (〈60°C) of the serpentinization system, and thus the abiotic methane synthesis.
    Description: Published
    Description: 248-251
    Description: 7A. Geofisica di esplorazione
    Description: N/A or not JCR
    Description: restricted
    Keywords: methane, ophiolites, serpentinization ; 03. Hydrosphere::03.04. Chemical and biological::03.04.05. Gases
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  • 45
    Publication Date: 2020-02-24
    Description: Metal-catalysed CO2 hydrogenation is considered a source of methane in serpentinized (hydrated) igneous rocks and a fundamental abiotic process germane to the origin of life. Iron, nickel, chromium and cobalt are the catalysts typically employed in hydrothermal simulation experiments to obtain methane at temperatures 〉200°C. However, land-based present-day serpentinization and abiotic gas apparently develop below 100°C, down to approximately 40–50°C. Here, we document considerable methane production in thirteen CO2 hydrogenation experiments performed in a closed dry system, from 20 to 90°C and atmospheric pressure, over 0.9–122 days, using concentrations of non-pretreated ruthenium equivalent to those occurring in chromitites in ophiolites or igneous complexes (from 0.4 to 76 mg of Ru, equivalent to the amount occurring approximately in 0.4–760 kg of chromitite). Methane production increased with time and temperature, reaching approximately 87 mg CH4 per gram of Ru after 30 days (2.9 mgCH4/gru/day) at 90°C. At room temperature, CH4 production rate was approximately three orders of magnitude lower (0.003 mgCH4/gru/day). We report the first stable carbon and hydrogen isotope ratios of abiotic CH4 generated below 100°C. Using initial d13CCO2 of -40&, we obtained room temperature d13CCH4 values as 13C depleted as 142&. With time and temperature, the C-isotope separation between CO2 and CH4 decreased significantly and the final d13CCH4 values approached that of initial d13CCO2. The presence of minor amounts of C2-C6 hydrocarbons is consistent with observations in natural settings. Comparative experiments at the same temperatures with iron and nichel catalysts did not generate CH4. Ru-enriched chromitites could potentially generate methane at low temperatures on Earth and on other planets.
    Description: Published
    Description: 438–452
    Description: 7A. Geofisica di esplorazione
    Description: JCR Journal
    Description: restricted
    Keywords: abiotic methane, Sabatier reaction ; 04. Solid Earth::04.04. Geology::04.04.12. Fluid Geochemistry
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  • 46
    Publication Date: 2020-05-29
    Description: The structural integrity of pipelines undergone seismic waves is crucial for industrial installation and for the distributed transportation networks of gaseous and liquid fluids. However, it is nowadays proved that the definition of seismic vulnerability based on purely, structural-derived limit states or on return-to-service or even on the purely economic repair rate indications, is not sufficient for the holistic analysis of risks. On the other hand, detailed numerical studies based on full analyses (including fluid/soil/structure interaction) are too expensive for the aims of risk assessment and simplified methodologies are still needed.In this paper, a large database of earthquake-induced damage for steel and non-steel pipelines is presented. Each case was analyzed and collected from post-earthquake reconnaissance, seismic engineering reports and technical papers. The database may be adopted for the definition of specific vulnerability function (fragility curves), which are commonly implemented in multi-hazard analyses, and more in general for the assessment of Na-Tech risks (Natural events triggering Technological disasters). Seismic damage to pipelines in the framework of Na-Tech risk assessment. Available from: https://www.researchgate.net/publication/271673585_Seismic_damage_to_pipelines_in_the_framework_of_Na-Tech_risk_assessment [accessed Jun 12, 2015].
    Description: Published
    Description: 159-162
    Description: 3T. Pericolosità sismica e contributo alla definizione del rischio
    Description: JCR Journal
    Description: restricted
    Keywords: Earthquake ; Na-Tech ; Ground failure ; Lifeline ; Fragility curve ; Pipelines ; 04. Solid Earth::04.06. Seismology::04.06.11. Seismic risk
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 47
    Publication Date: 2017-02-02
    Repository Name: EPIC Alfred Wegener Institut
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  • 48
    Publication Date: 2015-12-01
    Repository Name: EPIC Alfred Wegener Institut
    Type: Article , isiRev , info:eu-repo/semantics/article
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  • 49
    Publication Date: 2018-02-16
    Description: We analyze inter-annual changes of marine observations at Helgoland Roads (nitrate, phosphate, salinity, Secchi depth) in relation to hydro-climatic conditions and Elbe River discharge as potential drivers. Focusing on mean spring conditions we explore graphical covariance selection modeling as a means to both identify and represent the structure of parameter interactions. While river discharge is able to modify spatial distributions and related gradients in the station's vicinity, atmospherically forced regional transport patterns govern the time dependent local conditions the station is actually exposed to. A model consistent with the data confirms the interplay of the two forcing factors for observations at station Helgoland Roads. Introducing water temperature as a third predictor of inter-annual variability does not much improve the model. Comparing a Helgoland Roads dependence graph with corresponding graphs for other stations or related model simulations, for instance, could help identify differences in underlying mechanisms without referring to specific realizations of external forcing. With regard to prediction, supplementary numerical experiments reveal that imposing constraints on parameter interactions can reduce the chance of fitting regression models to noise.
    Repository Name: EPIC Alfred Wegener Institut
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  • 50
    Publication Date: 2017-10-17
    Description: A new airborne remote sensing approach to estimate an upper limit of the direct sea-air methane emission flux was applied over the 22/4b blowout site located at N57.92°, E1.63° in the North Sea. Passive remote sensing data using sunglint/sunglitter geometry were collected during instrumental tests with the Methane Airborne MAPper \u2013 MAMAP \u2013 instrument installed aboard the Alfred Wegener Institute (AWI) Polar-5 aircraft on 3. June 2011. MAMAP is a passive short wave infrared (SWIR) remote sensing spectrometer for airborne measurements and retrieval of the atmospheric column-averaged dry air mole fractions of methane (XCH4) and carbon dioxide (XCO2). In addition to MAMAP a fast CH4 in-situ analyzer (Los-Gatos Research Inc. RMT-200), two 5-hole turbulence probes and the Polar-5 basic sensor suite comprising different temperature, pressure, humidity and camera sensors were installed aboard the aircraft. The collected MAMAP remote sensing data acquired in the vicinity of the 22/4b blowout site showed no detectable increase in the derived XCH4 (with respect to the atmospheric background). Based on the absence of a detectable XCH4 column increase, an approximate top-down upper-limit for the direct atmospheric 22/4b blowout CH4 emissions from the main bubble plume of less than 10 ktCH4/yr has been derived. The constraint has been determined by comparing XCH4 information derived by the remote sensing measurements with results obtained from a Gaussian plume forward model simulation taking into account the actual flight track, the instrument sensitivity and measurement geometry, as well as the prevailing atmospheric conditions.
    Repository Name: EPIC Alfred Wegener Institut
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  • 51
    Publication Date: 2016-04-15
    Description: In this study, we describe a de novo sequencing and assembly of the spleen transcriptome of Lepidonotothen nudifrons, a notothenioid fish widely distributed around the Antarctic Peninsula and the Scotia Arc. Sequences were generated on an Illumina MiSeq system and assembled to a total of 112,477 transcripts. Putative functional annotation was possible for more than 34% of the transcripts. This data will be relevant for future studies targeting the erythrocyte turnover, oxygen transport mechanism and immune system, which are key functional traits to investigate cold adaptation and thermal sensitivity of Antarctic notothenioids.
    Repository Name: EPIC Alfred Wegener Institut
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  • 52
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    Unknown
    Elsevier
    In:  EPIC3Chemical Geology, Elsevier, 392, pp. 32-42, ISSN: 0009-2541
    Publication Date: 2014-12-03
    Description: In this study we introduce a new in situ technique which allows the determination of the boron isotopic composition and B/Ca ratios simultaneously at the nanogram level using a combination of optical emission spectroscopy and multiple ion counting MC ICP-MS with laser ablation. This technique offers a new application in the paleo-field of oceanography and climatology since small samples like e.g. single foraminiferal shells can be analyzed. The simultaneous determination of the boron isotopic composition and B/Ca ratios provides two independent proxies which allow the reconstruction of the full carbonate system. To test the new technique we performed measurements on the cultured, benthic foraminifer Amphistegina lessonii. Our results yielded an average boron isotopic composition δ11B = 18.0 ± 0.83‰ (SD) with an average internal precision of 0.52‰ (RSE). The boron concentration was 53 ± 7 μg/g (SD). These results agree with the range reported in the literature. The reconstructed mean pH value is in excellent agreement with the measured pH of the seawater in which the foraminifers grew. The analysis of a foraminifer consumed approximately 1200 ng calcium carbonate containing ca. 0.06 ng boron. Compared to bulk analytical methods, this new technique requires less material and reduces the time for sample preparation.
    Repository Name: EPIC Alfred Wegener Institut
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  • 53
    Publication Date: 2015-01-30
    Description: Particles determine the residence time of many dissolved elements in seawater. Although a substantial number of field studies were conducted in the framework of major oceanographic programs as GEOSECS and JGOFS, knowledge about particle dynamics is still scarce. Moreover, the particulate trace metal behavior remains largely unknown. The GEOSECS sampling strategy during the 1970s focused on large sections across oceanic basins, where particles were collected by membrane filtration after Niskin bottle sampling, biasing the sampling toward the small particle pool. Late in this period, the first in situ pumps allowing large volume sampling were also developed. During the 1990s, JGOFS focused on the quantifi- cation of the ‘‘exported carbon flux’’ and its seasonal variability in representative biogeochemical prov- inces of the ocean, mostly using sediment trap deployments. Although scarce and discrete in time and space, these pioneering studies allowed an understanding of the basic fate of marine particles. This understanding improved considerably, especially when the analysis of oceanic tracers such as natural radionuclides allowed the first quantification of processes such as dissolved-particle exchange and par- ticle settling velocities. Because the GEOTRACES program emphasizes the importance of collecting, char- acterizing and analyzing marine particles, this paper reflects our present understanding of the sources, fate and sinks of oceanic particles at the early stages of the program.
    Repository Name: EPIC Alfred Wegener Institut
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  • 54
    Publication Date: 2015-10-12
    Description: The comparative analysis of marine litter in different marine compartments has rarely been attempted. In this study, long-term time series of marine litter abundance on the seafloor and on the coast, both from the southeastern North Sea, were analyzed for temporal trends and correlations. On four beach sections of 100 m length, mean abundances of total beach litter collected four times a year from 2002 to 2008 varied between 105 and 435 items. Mean densities of total inorganic litter on the seafloor amounted to 10.6 ± 9.7 kg km−2 in the offshore region (2001–2010) and 13.7 ± 12.6 kg km−2 in the Wadden Sea (1998–2007), respectively. In the offshore region, there was no significant long-term trend, while in the Wadden Sea, densities of marine litter declined significantly. Correlations between time series were weak, indicating different sources and transport processes responsible for compositions of beach litter and litter on the seafloor. Decreases in inputs from fisheries and substantial export due to resuspension are discussed as reasons for the decrease in litter on the seafloor in the Wadden Sea.
    Repository Name: EPIC Alfred Wegener Institut
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  • 55
    Publication Date: 2015-04-21
    Repository Name: EPIC Alfred Wegener Institut
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  • 56
    Publication Date: 2017-06-02
    Description: Ecological systems depend on both constraints and historical contingencies, both of which shape their present observable system state. In contrast to ahistorical systems, which are governed solely by constraints (i.e. laws), historical systems and their dynamics can be understood only if properly described, in the course of time. Describing these dynamics and understanding long-term variability can be seen as the mission of long time series measuring not only simple abiotic features but also complex biological variables, such as species diversity and abundances, allowing deep insights in the functioning of food webs and ecosystems in general. Long time-series are irreplaceable for understanding change, and cruicially inherent system variability and thus envisaging future scenarios. This nonewithstanding, current policies in funding and evaluating scientific research discourage the maintenance of long termseries, despite a clear need for long-term strategies to cope with climate change. Timeseries are cruicial for a pursuit of the much invoked Ecosystem Approach and to the passage from simple monitoring programmes large-scale and long-term Earth observatories – thus promoting a better understanding of the causes and effects of change in ecosystems. The few ongoing long timeseries in European waters must be integrated and networked so as to facilitate the formation of nodes of a series of observatories which, together, should allow the long-term management of the features and characteristics of European waters. Human capacity building in this region of expertise and a stronger societal involvement are also urgently needed, since the expertise in recognizing and describing species and therefore recording them reliably in the context of timeseries is rapidly vanishing from the European Scientific community.
    Repository Name: EPIC Alfred Wegener Institut
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  • 57
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    Elsevier
    In:  EPIC3Journal of Plant Physiology, Elsevier, 173, pp. 41-50, ISSN: 01761617
    Publication Date: 2017-06-05
    Description: The combined effects of ocean acidification and ultraviolet radiation (UVR) have been studied in the kelps Alaria esculenta and Saccharina latissima from Kongsfjorden (Svalbard), two major components of the Arctic macroalgal community, in order to assess their potential to thrive in a changing environment. Overall results revealed synergistic effects, however with a different amplitude in the respective species. Changes in growth, internal N, C:N ratio, pigments, optimum quantum yield (Fv/Fm) and electron transport rates (ETR) following CO2 enrichment and/or UVR were generally more pronounced in S. latissima than in A. esculenta. The highest growth rates were recorded under simultaneous CO2 enrichment and UVR in both species. UVR-mediated changes in pigment content were partially prevented under elevated CO2 in both species. Similarly, UVR led to increased photosynthetic efficiency (α) and ETR only if CO2 was not elevated in A. esculenta and even under high CO2 in S. latissima. Increased CO2 did not inhibit external carbonic anhydrase (eCA) activity in the short-term but in the mid-term, indicating a control through acclimation of photosynthesis rather than a direct inhibition of eCA by CO2. The higher benefit of simultaneous CO2 enrichment and UVR for S. latissima respect to A. esculenta seems to involve higher C and N assimilation efficiency, as well as higher ETR, despite a more sensitive Fv/Fm. The differential responses shown by these two species indicate that ongoing ocean acidification and UVR could potentially change the dominance at lower depths (4–6 m), which will eventually drive changes at the community level in the Arctic coastal ecosystem. These results support an existing consideration of S. latissima as a winner species in the global change scenario.
    Repository Name: EPIC Alfred Wegener Institut
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  • 58
    Publication Date: 2014-12-09
    Description: Steinthorsdottir et al. (2014) used a previously published stomata-based CO2 record (Steinthorsdottir et al., 2013) to argue for a large, abrupt change in atmospheric carbon dioxide at the onset of the Younger Dryas (YD) cold interval. Their record implies a 50 ppm CO2 rise followed by a decline by 100 ppm. They compare their results to a hypothetical and highly unlikely simulation sce- nario in which vertical mixing in the ocean is increased by a factor of 100 and wind strength by a factor of 7. They furthermore compare their stomata-based CO2 record with the ice core CO2 re- cord derived from EPICA Dome C (EDC). We here question their interpretation.
    Repository Name: EPIC Alfred Wegener Institut
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  • 59
    Publication Date: 2015-09-28
    Description: Abstract The northern Antarctic Peninsula is one of the fastest changing regions on Earth. The disintegration of the Larsen-A Ice Shelf in 1995 caused tributary glaciers to adjust by speeding up, surface lowering, and overall increased ice-mass discharge. In this study, we investigate the temporal variation of these changes at the Dinsmoor–Bombardier–Edgeworth glacier system by analyzing dense time series from various spaceborne and airborne Earth observation missions. Precollapse ice shelf conditions and subsequent adjustments through 2014 were covered. Our results show a response of the glacier system some months after the breakup, reaching maximum surface velocities at the glacier front of up to 8.8 m/d in 1999 and a subsequent decrease to ∼1.5 m/d in 2014. Using a dense time series of interferometrically derived TanDEM-X digital elevation models and photogrammetric data, an exponential function was fitted for the decrease in surface elevation. Elevation changes in areas below 1000 m a.s.l. amounted to at least 130 ± 15 m between 1995 and 2014, with change rates of ∼3.15 m/a between 2003 and 2008. Current change rates (2010–2014) are in the range of 1.7 m/a. Mass imbalances were computed with different scenarios of boundary conditions. The most plausible results amount to − 40.7 ± 3.9 Gt . The contribution to sea level rise was estimated to be 18.8 ± 1.8 Gt , corresponding to a 0.052 ± 0.005 mm sea level equivalent, for the period 1995–2014. Our analysis and scenario considerations revealed that major uncertainties still exist due to insufficiently accurate ice-thickness information. The second largest uncertainty in the computations was the glacier surface mass balance, which is still poorly known. Our time series analysis facilitates an improved comparison with {GRACE} data and as input to modeling of glacio-isostatic uplift in this region. The study contributed to a better understanding of how glacier systems adjust to ice shelf disintegration.
    Repository Name: EPIC Alfred Wegener Institut
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  • 60
    Publication Date: 2020-02-17
    Description: The accelerated warming of the Arctic climate may alter the local and regional surface energy balances, for which changing land surface temperatures (LSTs) are a key indicator. Modeling current and anticipated changes in the surface energy balance requires an understanding of the spatio-temporal interactions between LSTs and land cover, both of which can be monitored globally by measurements from space. This paper investigates the accuracy of the MODIS LST/Emissivity Daily L3 Global 1 km V005 product and its spatio-temporal sensitivity to land surface properties in a Canadian High Arctic permafrost landscape. The land cover ranged from fully vegetated wet sedge tundra to barren rock. MODIS LSTs were compared with in situ radiometer measurements from wet tundra areas collected over a 2-year period from July 2008 to July 2010 including both summer and winter conditions. The accuracy of the MODIS LSTs was − 1.1 °C with a root mean square error of 3.9 °C over the entire observation period. Agreement was lowest during the freeze-back periods where MODIS LST showed a cold bias likely due to the overrepresentation of clear-sky conditions. A multi-year analysis of LST spatial anomalies, i.e., the difference between MODIS LSTs and the MODIS LST regional mean, revealed a robust spatio-temporal pattern. Highest variability in LST anomalies was found during freeze-up and thaw periods as well as for open water surface in early summer due to the presence or absence of snow or ice. The summer anomaly pattern was similar for all three years despite strong differences in precipitation, air temperature and net radiation. Summer periods with regional mean LSTs above 5.0 °C showed the greatest spatial diversity with four distinct 2.0 °C classes. Summer anomalies ranged from − 4.5 °C to 2.6 °C with an average standard deviation of 1.8 °C. Dry ridge areas heated up the most, while wetland areas and dry areas of sparsely vegetated bedrock with a high albedo remained coolest. The observed summer LST anomalies can be used as a baseline against which to evaluate both past and future changes in land surface properties that relate to the surface energy balance. Summer anomaly classes mainly reflected a combination of albedo and surface wetness. The potential to use this tool to monitor surface drying and wetting in the Arctic should therefore be further explored. A multi-sensor approach combining thermal satellite measurements with optical and radar imagery promises to be an effective tool for a dynamic, process-based ecosystem monitoring scheme.
    Repository Name: EPIC Alfred Wegener Institut
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  • 61
    Publication Date: 2022-05-25
    Description: © The Author(s), 2014. This article is distributed under the terms of the Creative Commons Attribution License. The definitive version was published in Methods in Oceanography 10 (2015): 21–43, doi:10.1016/j.mio.2014.05.001.
    Description: We present an integrated framework for joint estimation and pursuit of dynamic features in the ocean, over large spatial scales and with multiple collaborating vehicles relying on limited communications. Our approach uses ocean model predictions to design closed-loop networked control at short time scales, and the primary innovation is to represent model uncertainty via a projection of ensemble forecasts into local linearized vehicle coordinates. Based on this projection, we identify a stochastic linear time-invariant model for estimation and control design. The methodology accurately decomposes spatial and temporal variations, exploits coupling between sites along the feature, and allows for advanced methods in communication-constrained control. Simulations with three example datasets successfully demonstrate the proof-of-concept.
    Description: The work is supported by the Office of Naval Research, Grant N00014-09-1-0700 and the National Science Foundation, Contract CNS-1212597.
    Keywords: Autonomous underwater vehicles ; Collaborative control ; Feature tracking ; Ensemble forecasts ; Linearization ; System identification
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  • 62
    Publication Date: 2022-05-25
    Description: © The Author(s), 2014. This article is distributed under the terms of the Creative Commons Attribution License. The definitive version was published in Ecological Modelling 276 (2014): 38–50, doi:10.1016/j.ecolmodel.2014.01.005.
    Description: Sea-level rise and human development pose significant threats to shorebirds, particularly for species that utilize barrier island habitat. The piping plover (Charadrius melodus) is a federally-listed shorebird that nests on barrier islands and rapidly responds to changes in its physical environment, making it an excellent species with which to model how shorebird species may respond to habitat change related to sea-level rise and human development. The uncertainty and complexity in predicting sea-level rise, the responses of barrier island habitats to sea-level rise, and the responses of species to sea-level rise and human development necessitate a modeling approach that can link species to the physical habitat features that will be altered by changes in sea level and human development. We used a Bayesian network framework to develop a model that links piping plover nest presence to the physical features of their nesting habitat on a barrier island that is impacted by sea-level rise and human development, using three years of data (1999, 2002, and 2008) from Assateague Island National Seashore in Maryland. Our model performance results showed that we were able to successfully predict nest presence given a wide range of physical conditions within the model's dataset. We found that model predictions were more successful when the ranges of physical conditions included in model development were varied rather than when those physical conditions were narrow. We also found that all model predictions had fewer false negatives (nests predicted to be absent when they were actually present in the dataset) than false positives (nests predicted to be present when they were actually absent in the dataset), indicating that our model correctly predicted nest presence better than nest absence. These results indicated that our approach of using a Bayesian network to link specific physical features to nest presence will be useful for modeling impacts of sea-level rise or human-related habitat change on barrier islands. We recommend that potential users of this method utilize multiple years of data that represent a wide range of physical conditions in model development, because the model performed less well when constructed using a narrow range of physical conditions. Further, given that there will always be some uncertainty in predictions of future physical habitat conditions related to sea-level rise and/or human development, predictive models will perform best when developed using multiple, varied years of data input.
    Description: Funding for the research presented in this paper was provided by the North Atlantic Landscape Conservation Cooperative and the U.S. Geological Survey.
    Keywords: Bayesian network ; Development ; Habitat ; Piping plover ; Sea-level rise ; Shorebird
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  • 63
    Publication Date: 2022-05-25
    Description: © The Author(s), 2015. This article is distributed under the terms of the Creative Commons Attribution License. The definitive version was published in Deep Sea Research Part I: Oceanographic Research Papers 100 (2015): 21-33, doi:10.1016/j.dsr.2015.01.010.
    Description: Most of our knowledge about deep-sea habitats is limited to bathyal (200–3000 m) and abyssal depths (3000–6000 m), while relatively little is known about the hadal zone (6000–11,000 m). The basic paradigm for the distribution of deep seafloor biomass suggests that the reduction in biomass and average body size of benthic animals along depth gradients is mainly related to surface productivity and remineralisation of sinking particulate organic carbon with depth. However, there is evidence that this pattern is somewhat reversed in hadal trenches by the funnelling of organic sediments, which would result in increased food availability along the axis of the trenches and towards their deeper regions. Therefore, despite the extreme hydrostatic pressure and remoteness from the pelagic food supply, it is hypothesized that biomass can increase with depth in hadal trenches. We developed a numerical model of gravitational lateral sediment transport along the seafloor as a function of slope, using the Kermadec Trench, near New Zealand, as a test environment. We propose that local topography (at a scale of tens of kilometres) and trench shape can be used to provide useful estimates of local accumulation of food and, therefore, patterns of benthic biomass. Orientation and steepness of local slopes are the drivers of organic sediment accumulation in the model, which result in higher biomass along the axis of the trench, especially in the deepest spots, and lower biomass on the slopes, from which most sediment is removed. The model outputs for the Kermadec Trench are in agreement with observations suggesting the occurrence of a funnelling effect and substantial spatial variability in biomass inside a trench. Further trench surveys will be needed to determine the degree to which seafloor currents are important compared with the gravity-driven transport modelled here. These outputs can also benefit future hadal investigations by highlighting areas of potential biological interest, on which to focus sampling effort. Comprehensive exploration of hadal trenches will, in turn, provide datasets for improving the model parameters and increasing predictive power.
    Description: MCI would also like to thank the University of Southampton, the Natural Environment Research Council (NERC, grant number NEW332003) and the Institute of Marine Engineering, Science & Technology (IMarEST), for supporting his research towards a PhD. We are grateful for the support provided by the National Science Foundation (OCE-1131620 to TMS, JCD, and PHY) to the Hadal Ecosystem Studies (HADES) project to which this paper forms a contribution. Support also came from the Natural Environment Research Council (NERC) and its Marine Environmental Mapping Programme (MAREMAP).
    Keywords: Hadal ecology ; Sediment ; Gravitational transport ; Topography ; Benthic biomass ; Kermadec Trench
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  • 64
    Publication Date: 2022-05-25
    Description: © The Author(s), 2013. This article is distributed under the terms of the Creative Commons Attribution License. The definitive version was published in Journal of King Saud University - Science 25 (2013): 217–228, doi:10.1016/j.jksus.2013.02.006.
    Description: The degradation of natural fish habitat in the ocean implies lost economic benefits. These value losses often are not measured or anticipated fully, and therefore they are mainly ignored in decisions to develop the coast for industrial or residential purposes. In such circumstances, the ocean habitat and its associated ecosystem are treated as if they are worthless. Measures of actual or potential economic values generated by fisheries in commercial markets can be used to assess a conservative (lower-bound) value of ocean habitat. With this information, one can begin to compare the values of coastal developments to the values of foregone ocean habitat in order to help understand whether development would be justified economically. In this paper, we focus on the economic value associated with the harvesting of commercial fish stocks as a relevant case for the Saudi Arabian portion of the Red Sea. We describe first the conceptual basis behind supply-side approaches to economic valuation. Next we review the literature on the use of these methods for valuing ocean habitat. We provide an example based on recent research assessing the bioeconomic status of the traditional fisheries of the Red Sea in the Kingdom of Saudi Arabia (KSA). We estimate the economic value of ecosystem services provided by the KSA Red Sea coral reefs, finding that annual per-unit values supporting the traditional fisheries only are on the order of $7000/km2. Finally, we develop some recommendations for refining future applications of these methods to the Red Sea environment and for further research.
    Description: This research is based on work supported by Award Nos. USA 00002 and KSA 00011 made by the King Abdullah University of Science and Technology (KAUST).
    Keywords: Ecosystem service ; Supply-side valuation ; Traditional fishery ; Red Sea ; Coral reef ; Bio-economics
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  • 65
    Publication Date: 2022-05-25
    Description: © The Author(s), 2013. This article is distributed under the terms of the Creative Commons Attribution License. The definitive version was published in Ecological Modelling 261-262 (2013): 43–57, doi:10.1016/j.ecolmodel.2013.04.006.
    Description: Dynamic Green Ocean Models (DGOMs) include different sets of Plankton Functional Types (PFTs) and equations, thus different interactions and food webs. Using four DGOMs (CCSM-BEC, PISCES, NEMURO and PlankTOM5) we explore how predator–prey interactions influence food web dynamics. Using each model's equations and biomass output, interaction strengths (direct and specific) were calculated and the role of zooplankton in modeled food webs examined. In CCSM-BEC the single size-class adaptive zooplankton preys on different phytoplankton groups according to prey availability and food preferences, resulting in a strong top-down control. In PISCES the micro- and meso-zooplankton groups compete for food resources, grazing phytoplankton depending on their availability in a mixture of bottom-up and top-down control. In NEMURO macrozooplankton controls the biomass of other zooplankton PFTs and defines the structure of the food web with a strong top-down control within the zooplankton. In PlankTOM5, competition and predation between micro- and meso-zooplankton along with strong preferences for nanophytoplankton and diatoms, respectively, leads to their mutual exclusion with a mixture of bottom-up and top-down control of the plankton community composition. In each model, the grazing pressure of the zooplankton PFTs and the way it is exerted on their preys may result in the food web dynamics and structure of the model to diverge from the one that was intended when designing the model. Our approach shows that the food web dynamics, in particular the strength of the predator–prey interactions, are driven by the choice of parameters and more specifically the food preferences. Consequently, our findings stress the importance of equation and parameter choice as they define interactions between PFTs and overall food web dynamics (competition, bottom-up or top-down effects). Also, the differences in the simulated food-webs between different models highlight the gap of knowledge for zooplankton rates and predator–prey interactions. In particular, concerted effort is needed to identify the key growth and loss parameters and interactions and quantify them with targeted laboratory experiments in order to bring our understanding of zooplankton at a similar level to phytoplankton.
    Description: This work was supported with funding from Palmer LTER (NSF OPP-0823101) and C-MORE (NSF EF-0424599).
    Keywords: Dynamic Green Ocean Model ; Plankton Functional Types ; Zooplankton ; Food web dynamic ; Predator–prey interactions
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  • 66
    Publication Date: 2022-05-25
    Description: © The Author(s), 2013. This article is distributed under the terms of the Creative Commons Attribution License. The definitive version was published in Remote Sensing of Environment 135 (2013): 77-91, doi:10.1016/j.rse.2013.03.025.
    Description: Photosynthetic production of organic matter by microscopic oceanic phytoplankton fuels ocean ecosystems and contributes roughly half of the Earth's net primary production. For 13 years, the Sea-viewing Wide Field-of-view Sensor (SeaWiFS) mission provided the first consistent, synoptic observations of global ocean ecosystems. Changes in the surface chlorophyll concentration, the primary biological property retrieved from SeaWiFS, have traditionally been used as a metric for phytoplankton abundance and its distribution largely reflects patterns in vertical nutrient transport. On regional to global scales, chlorophyll concentrations covary with sea surface temperature (SST) because SST changes reflect light and nutrient conditions. However, the ocean may be too complex to be well characterized using a single index such as the chlorophyll concentration. A semi-analytical bio-optical algorithm is used to help interpret regional to global SeaWiFS chlorophyll observations from using three independent, well-validated ocean color data products; the chlorophyll a concentration, absorption by CDM and particulate backscattering. First, we show that observed long-term, global-scale trends in standard chlorophyll retrievals are likely compromised by coincident changes in CDM. Second, we partition the chlorophyll signal into a component due to phytoplankton biomass changes and a component caused by physiological adjustments in intracellular chlorophyll concentrations to changes in mixed layer light levels. We show that biomass changes dominate chlorophyll signals for the high latitude seas and where persistent vertical upwelling is known to occur, while physiological processes dominate chlorophyll variability over much of the tropical and subtropical oceans. The SeaWiFS data set demonstrates complexity in the interpretation of changes in regional to global phytoplankton distributions and illustrates limitations for the assessment of phytoplankton dynamics using chlorophyll retrievals alone.
    Description: The authors would like to acknowledge the NASA Ocean Biology and Biogeochemistry program for its long-term support of satellite ocean color research and the Orbital Sciences Corporation and GeoEye who were responsible for the launch, satellite integration and on-orbit management the SeaWiFS mission.
    Keywords: Ocean color ; SeaWiFS ; Phytoplankton ; Colored dissolved organic matter ; Decadal trends
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  • 67
    Publication Date: 2022-05-25
    Description: © The Author(s), 2015. This article is distributed under the terms of the Creative Commons Attribution License. The definitive version was published in Agriculture, Ecosystems & Environment 212 (2015): 127-133, doi:10.1016/j.agee.2015.07.005.
    Description: Climate change is causing the intensification of both rainfall and droughts in temperate climatic zones, which will affect soil drying and rewetting cycles and associated processes such as soil greenhouse gas (GHG) fluxes. We investigated the effect of soil rewetting following a prolonged natural drought on soil emissions of nitrous oxide (N2O) and carbon dioxide (CO2) in an agricultural field recently converted from 22 years in the USDA Conservation Reserve Program (CRP). We compared responses to those in a similarly managed field with no CRP history and to a CRP reference field. We additionally compared soil GHG emissions measured by static flux chambers with off-site laboratory analysis versus in situ analysis using a portable quantum cascade laser and infrared gas analyzer. Under growing season drought conditions, average soil N2O fluxes ranged between 0.2 and 0.8 μg N m−2 min−1 and were higher in former CRP soils and unaffected by nitrogen (N) fertilization. After 18 days of drought, a 50 mm rewetting event increased N2O fluxes by 34 and 24 fold respectively in the former CRP and non-CRP soils. Average soil CO2 emissions during drought ranged from 1.1 to 3.1 mg C m−2 min−1 for the three systems. CO2 emissions increased ∼2 fold after the rewetting and were higher from soils with higher C contents. Observations are consistent with the hypothesis that during drought soil N2O emissions are controlled by available C and following rewetting additionally influenced by N availability, whereas soil CO2 emissions are independent of short-term N availability. Finally, soil GHG emissions estimated by off-site and in situ methods were statistically identical.
    Description: Financial support for this work was provided by the DOE Office of Science (DE-FC02-07ER64494) and Office of Energy Efficiency and Renewable Energy (DE-AC05-76RL01830), the US National Science Foundation LTER program (DEB 1027253), and MSU AgBioResearch. J. Tang and M. Cui were supported additionally by NSF/DBI-959333, Brown University seed funding, and the Brown University–Marine Biological Laboratory graduate program in Biological and Environmental Sciences.
    Keywords: Soil carbon ; Conservation reserve program ; N2O methodology ; Corn ; No-till
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  • 68
    Publication Date: 2022-05-25
    Description: © The Author(s), 2015. This article is distributed under the terms of the Creative Commons Attribution License. The definitive version was published in Deep Sea Research Part II: Topical Studies in Oceanography 118 (2015): 122-135, doi:10.1016/j.dsr2.2015.02.008.
    Description: A coupled biophysical model is used to examine the impact of changes in sea ice and snow cover and nutrient availability on the formation of massive under-ice phytoplankton blooms (MUPBs) in the Chukchi Sea of the Arctic Ocean over the period 1988–2013. The model is able to reproduce the basic features of the ICESCAPE (Impacts of Climate on EcoSystems and Chemistry of the Arctic Pacific Environment) observed MUPB during July 2011. The simulated MUPBs occur every year during 1988–2013, mainly in between mid-June and mid-July. While the simulated under-ice blooms of moderate magnitude are widespread in the Chukchi Sea, MUPBs are less so. On average, the area fraction of MUPBs in the ice-covered areas of the Chukchi Sea during June and July is about 8%, which has been increasing at a rate of 2% yr–1 over 1988–2013. The simulated increase in the area fraction as well as primary productivity and chlorophyll a biomass is linked to an increase in light availability, in response to a decrease in sea ice and snow cover, and an increase in nutrient availability in the upper 100 m of the ocean, in conjunction with an intensification of ocean circulation. Simulated MUPBs are temporally sporadic and spatially patchy because of strong spatiotemporal variations of light and nutrient availability. However, as observed during ICESCAPE, there is a high likelihood that MUPBs may form at the shelf break, where the model simulates enhanced nutrient concentration that is seldom depleted between mid-June and mid-July because of generally robust shelf-break upwelling and other dynamic ocean processes. The occurrence of MUPBs at the shelf break is more frequent in the past decade than in the earlier period because of elevated light availability there. It may be even more frequent in the future if the sea ice and snow cover continues to decline such that light is more available at the shelf break to further boost the formation of MUPBs there.
    Description: This work is supported by the NASA Cryosphere Program and Climate and Biological Response Program and the NSF Office of Polar Programs (Grant Nos. NNX12AB31G; NNX11AO91G; ARC-0901987).
    Keywords: Arctic Ocean ; Chukchi Sea ; Phytoplankton ; Blooms ; Sea ice ; Snow depth ; Light availability ; Nutrient availability
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  • 69
    Publication Date: 2022-05-25
    Description: © The Author(s), 2015. This article is distributed under the terms of the Creative Commons Attribution License. The definitive version was published in Deep Sea Research Part I: Oceanographic Research Papers 104 (2015): 72-91, doi:10.1016/j.dsr.2015.06.012.
    Description: Nitrogen fixation is an important yet still incompletely constrained component of the marine nitrogen cycle, particularly in the subsurface. A Video Plankton Recorder (VPR) survey in the subtropical North Atlantic found higher than expected Trichodesmium colony abundances at depth, leading to the hypothesis that deep nitrogen fixation in the North Atlantic may have been previously underestimated. Here, Trichodesmium colony abundances and modeled nitrogen fixation from VPR transects completed on two cruises in the tropical and subtropical North Atlantic in fall 2010 and spring 2011 were used to evaluate that hypothesis. A bio-optical model was developed based on carbon-normalized nitrogen fixation rates measured on those cruises. Estimates of colony abundance and nitrogen fixation were similar in magnitude and vertical and geographical distribution to conventional estimates in a recently compiled climatology. Thus, in the mean, VPR-based estimates of volume-specific nitrogen fixation rates at depth in the tropical North Atlantic were not inconsistent with estimates derived from conventional sampling methods. Based on this analysis, if Trichodesmium nitrogen fixation by colonies is underestimated, it is unlikely that it is due to underestimation of deep abundances by conventional sampling methods.
    Description: We gratefully acknowledge support of this research by NSF and NASA. A NASA Earth and Space Science Fellowship supported E. Olson's graduate studies.
    Keywords: Nitrogen fixation ; Trichodesmium spp. ; North Atlantic ; Video Plankton Recorder
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  • 70
    Publication Date: 2022-05-25
    Description: This paper is not subject to U.S. copyright. The definitive version was published in Marine and Petroleum Geology 66 (2015): 434-450, doi:10.1016/j.marpetgeo.2015.02.033.
    Description: Natural hydrate-bearing sediments from the Nankai Trough, offshore Japan, were studied using the Pressure Core Characterization Tools (PCCTs) to obtain geomechanical, hydrological, electrical, and biological properties under in situ pressure, temperature, and restored effective stress conditions. Measurement results, combined with index-property data and analytical physics-based models, provide unique insight into hydrate-bearing sediments in situ. Tested cores contain some silty-sands, but are predominantly sandy- and clayey-silts. Hydrate saturations Sh range from 0.15 to 0.74, with significant concentrations in the silty-sands. Wave velocity and flexible-wall permeameter measurements on never-depressurized pressure-core sediments suggest hydrates in the coarser-grained zones, the silty-sands where Sh exceeds 0.4, contribute to soil-skeletal stability and are load-bearing. In the sandy- and clayey-silts, where Sh 〈 0.4, the state of effective stress and stress history are significant factors determining sediment stiffness. Controlled depressurization tests show that hydrate dissociation occurs too quickly to maintain thermodynamic equilibrium, and pressure–temperature conditions track the hydrate stability boundary in pure-water, rather than that in seawater, in spite of both the in situ pore water and the water used to maintain specimen pore pressure prior to dissociation being saline. Hydrate dissociation accompanied with fines migration caused up to 2.4% vertical strain contraction. The first-ever direct shear measurements on never-depressurized pressure-core specimens show hydrate-bearing sediments have higher sediment strength and peak friction angle than post-dissociation sediments, but the residual friction angle remains the same in both cases. Permeability measurements made before and after hydrate dissociation demonstrate that water permeability increases after dissociation, but the gain is limited by the transition from hydrate saturation before dissociation to gas saturation after dissociation. In a proof-of-concept study, sediment microbial communities were successfully extracted and stored under high-pressure, anoxic conditions. Depressurized samples of these extractions were incubated in air, where microbes exhibited temperature-dependent growth rates.
    Description: PCCTs were developed with funding to Georgia Tech from the DOE/Chevron Joint Industry Project (JIP), with additional funds from the Joint Oceanographic Institutions, Inc. The JIP also funded the Georgia Tech participation in Sapporo. USGS participation in Sapporo was funded through a technical assistance agreement with Chevron (TAA-12-2135/CW928359). Some USGS developments on the IPTC were funded under Interagency Agreement DE-FE0002911 with the U.S. Department of Energy, with additional support from the U.S. Geological Survey. Core acquisition and Japanese participation in this study was supported by the Research Consortium for Methane Hydrate Resources in Japan (MH21 Research Consortium) to carry out Japan's Methane Hydrate R&D Program conducted by the Ministry of Economy, Trade and Industry (METI).
    Keywords: Methane hydrate ; Hydrate-bearing sediment ; Nankai Trough ; Physical properties ; Pressure core
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  • 71
    Publication Date: 2022-05-25
    Description: This paper is not subject to U.S. copyright. The definitive version was published in Marine and Petroleum Geology 58A (2014): 99-116, doi:10.1016/j.marpetgeo.2014.04.009.
    Description: In addition to well established properties that control the presence or absence of the hydrate stability zone, such as pressure, temperature, and salinity, additional parameters appear to influence the concentration of gas hydrate in host sediments. The stratigraphic record at Site 17A in the Andaman Sea, eastern Indian Ocean, illustrates the need to better understand the role pore-scale phenomena play in the distribution and presence of marine gas hydrates in a variety of subsurface settings. In this paper we integrate field-generated datasets with newly acquired sedimentology, physical property, imaging and geochemical data with mineral saturation and ion activity products of key mineral phases such as amorphous silica and calcite, to document the presence and nature of secondary precipitates that contributed to anomalous porosity preservation at Site 17A in the Andaman Sea. This study demonstrates the importance of grain-scale subsurface heterogeneities in controlling the occurrence and distribution of concentrated gas hydrate accumulations in marine sediments, and document the importance that increased permeability and enhanced porosity play in supporting gas concentrations sufficient to support gas hydrate formation. The grain scale relationships between porosity, permeability, and gas hydrate saturation documented at Site 17A likely offer insights into what may control the occurrence and distribution of gas hydrate in other sedimentary settings.
    Description: The financial support for the NGHP01, from the Oil Industry Development Board, Oil and Natural Gas Corporation Ltd., GAIL (India) Ltd. and Oil India Ltd. is gratefully acknowledged. We also acknowledge the support extended by all the participating organizations of the NGHP: MoP&NG, DGH, ONGC, GAIL, OIL, NIO, NIOT, and RIL.
    Keywords: Porosity ; Permeability ; Grain size ; Indian Ocean ; Gas hydrate ; Saturation ; Volcanic ash ; Carbonate
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  • 72
    Publication Date: 2022-05-25
    Description: © The Author(s), 2015. This article is distributed under the terms of the Creative Commons Attribution License. The definitive version was published in Remote Sensing of Environment 160 (2015): 222-234, doi:10.1016/j.rse.2015.01.019.
    Description: Phytoplankton, at the base of the marine food web, represent a fundamental food source in coral reef ecosystems. The timing (phenology) and magnitude of the phytoplankton biomass are major determinants of trophic interactions. The Red Sea is one of the warmest and most saline basins in the world, characterized by an arid tropical climate regulated by the monsoon. These extreme conditions are particularly challenging for marine life. Phytoplankton phenological indices provide objective and quantitative metrics to characterize phytoplankton seasonality. The indices i.e. timings of initiation, peak, termination and duration are estimated here using 15 years (1997–2012) of remote sensing ocean-color data from the European Space Agency (ESA) Climate Change Initiative project (OC-CCI) in the entire Red Sea basin. The OC-CCI product, comprising merged and bias-corrected observations from three independent ocean-color sensors (SeaWiFS, MODIS and MERIS), and processed using the POLYMER algorithm (MERIS period), shows a significant increase in chlorophyll data coverage, especially in the southern Red Sea during the months of summer NW monsoon. In open and reef-bound coastal waters, the performance of OC-CCI chlorophyll data is shown to be comparable with the performance of other standard chlorophyll products for the global oceans. These features have permitted us to investigate phytoplankton phenology in the entire Red Sea basin, and during both winter SE monsoon and summer NW monsoon periods. The phenological indices are estimated in the four open water provinces of the basin, and further examined at six coral reef complexes of particular socio-economic importance in the Red Sea, including Siyal Islands, Sharm El Sheikh, Al Wajh bank, Thuwal reefs, Al Lith reefs and Farasan Islands. Most of the open and deeper waters of the basin show an apparent higher chlorophyll concentration and longer duration of phytoplankton growth during the winter period (relative to the summer phytoplankton growth period). In contrast, most of the reef-bound coastal waters display equal or higher peak chlorophyll concentrations and equal or longer duration of phytoplankton growth during the summer period (relative to the winter phytoplankton growth period). The ecological and biological significance of the phytoplankton seasonal characteristics are discussed in context of ecosystem state assessment, and particularly to support further understanding of the structure and functioning of coral reef ecosystems in the Red Sea.
    Keywords: Phytoplankton phenology ; Ocean-color remote sensing ; ESA OC-CCI ; Coral reef ecosystems ; Monsoon ; Ecological indicators ; Red Sea
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  • 73
    Publication Date: 2022-05-25
    Description: © The Author(s), 2014. This article is distributed under the terms of the Creative Commons Attribution License. The definitive version was published in Cold Regions Science and Technology 109 (2015): 9-17, doi:10.1016/j.coldregions.2014.08.004.
    Description: Traditional measures for detecting oil spills in the open-ocean are both difficult to apply and less effective in ice-covered seas. In view of the increasing levels of commercial activity in the Arctic, there is a growing gap between the potential need to respond to an oil spill in Arctic ice-covered waters and the capability to do so. In particular, there is no robust operational capability to remotely locate oil spilt under or encapsulated within sea ice. To date, most research approaches the problem from on or above the sea ice, and thus they suffer from the need to ‘see’ through the ice and overlying snow. Here we present results from a large-scale tank experiment which demonstrate the detection of oil beneath sea ice, and the quantification of the oil layer thickness is achievable through the combined use of an upward-looking camera and sonar deployed in the water column below a covering of sea ice. This approach using acoustic and visible measurements from below is simple and effective, and potentially transformative with respect to the operational response to oil spills in the Arctic marine environment. These results open up a new direction of research into oil detection in ice-covered seas, as well as describing a new and important role for underwater vehicles as platforms for oil-detecting sensors under Arctic sea ice.
    Description: This work was funded through a competitive grant for the detection of oil under ice obtained from Prince William Sound Oil Spill Recovery Institute (OSRI) (11-10-09). Additional funding/resources was obtained through the EU FP7 funded ACCESS programme (Grant Agreement n°. 265863).
    Keywords: Arctic ; Oil spill ; Sea ice ; Oil detection ; Sonar ; Camera
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  • 74
    Publication Date: 2022-05-25
    Description: This paper is not subject to U.S. copyright. The definitive version was published in Continental Shelf Research 102 (2015): 47-61, doi:10.1016/j.csr.2015.04.005.
    Description: The spring phytoplankton bloom on the US Northeast Continental Shelf is a feature of the ecosystem production cycle that varies annually in timing, spatial extent, and magnitude. To quantify this variability, we analyzed remotely-sensed ocean color data at two spatial scales, one based on ecologically defined sub-units of the ecosystem (production units) and the other on a regular grid (0.5°). Five units were defined: Gulf of Maine East and West, Georges Bank, and Middle Atlantic Bight North and South. The units averaged 47×103 km2 in size. The initiation and termination of the spring bloom were determined using change-point analysis with constraints on what was identified as a bloom based on climatological bloom patterns. A discrete spring bloom was detected in most years over much of the western Gulf of Maine production unit. However, bloom frequency declined in the eastern Gulf of Maine and transitioned to frequencies as low as 50% along the southern flank of the Georges Bank production unit. Detectable spring blooms were episodic in the Middle Atlantic Bight production units. In the western Gulf of Maine, bloom duration was inversely related to bloom start day; thus, early blooms tended to be longer lasting and larger magnitude blooms. We view this as a phenological mismatch between bloom timing and the “top-down” grazing pressure that terminates a bloom. Estimates of secondary production were available from plankton surveys that provided spring indices of zooplankton biovolume. Winter chlorophyll biomass had little effect on spring zooplankton biovolume, whereas spring chlorophyll biomass had mixed effects on biovolume. There was evidence of a “bottom up” response seen on Georges Bank where spring zooplankton biovolume was positively correlated with the concentration of chlorophyll. However, in the western Gulf of Maine, biovolume was uncorrelated with chlorophyll concentration, but was positively correlated with bloom start and negatively correlated with magnitude. This observation is consistent with both a “top-down” mechanism of control of the bloom and a “bottom-up” effect of bloom timing on zooplankton grazing. Our inability to form a consistent model of these relationships across adjacent systems underscores the need for further research.
    Keywords: Spring bloom ; US Northeast Shelf ; Zooplankton biomass ; Bloom timing ; Climate
    Repository Name: Woods Hole Open Access Server
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  • 75
    Publication Date: 2022-05-25
    Description: © The Author(s), 2015. This article is distributed under the terms of the Creative Commons Attribution License. The definitive version was published in Journal of Hydrology: Regional Studies 4B (2015): 108-122, doi:10.1016/j.ejrh.2015.05.010.
    Description: This study assessed the influence of land cover changes on evapotranspiration and streamflow in small catchments in the Upper Xingu River Basin (Mato Grosso state, Brazil). Streamflow was measured in catchments with uniform land use for September 1, 2008 to August 31, 2010. We used models to simulate evapotranspiration and streamflow for the four most common land cover types found in the Upper Xingu: tropical forest, cerrado (savanna), pasture, and soybean croplands. We used INLAND to perform single point simulations considering tropical rainforest, cerrado and pasturelands, and AgroIBIS for croplands. Converting natural vegetation to agriculture substantially modifies evapotranspiration and streamflow in small catchments. Measured mean streamflow in soy catchments was about three times greater than that of forest catchments, while the mean annual amplitude of flow in soy catchments was more than twice that of forest catchments. Simulated mean annual evapotranspiration was 39% lower in agricultural ecosystems (pasture and soybean cropland) than in natural ecosystems (tropical rainforest and cerrado). Observed and simulated mean annual streamflows in agricultural ecosystems were more than 100% higher than in natural ecosystems. The accuracy of the simulations was improved by using field-measured soil hydraulic properties. The inclusion of local measurements of key soil parameters is likely to improve hydrological simulations in other tropical regions.
    Description: This study was supported by the US National Science Foundation (DEB-0949996, DEB-0743703), the Gordon and Betty Moore Foundation, and the Conselho Nacional de Desenvolvimento Científico e Tecnológico (CNPq, process 135648/2011-4).
    Keywords: Evapotranspiration ; Streamflow ; Modeling ; Xingu Basin ; Amazon ; Cerrado
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  • 76
    Publication Date: 2022-05-25
    Description: © The Author(s), 2015. This article is distributed under the terms of the Creative Commons Attribution License. The definitive version was published in Deep Sea Research Part II: Topical Studies in Oceanography 116 (2015): 303-320, doi:10.1016/j.dsr2.2014.11.020.
    Description: The concentration and the major phase composition (particulate organic matter, CaCO3, opal, lithogenic matter, and iron and manganese oxyhydroxides) of marine particles is thought to determine the scavenging removal of particle-reactive TEIs. Particles are also the vector for transferring carbon from the atmosphere to the deep ocean via the biological carbon pump, and their composition may determine the efficiency and strength of this transfer. Here, we present the first full ocean depth section of size-fractionated (1–51 µm, 〉51 µm) suspended particulate matter (SPM) concentration and major phase composition from the US GEOTRACES North Atlantic Zonal Transect between Woods Hole, MA and Lisbon, Portugal conducted in 2010 and 2011. Several major particle features are notable in the section: intense benthic nepheloid layers were observed in the western North American margin with concentrations of SPM of up to 1648 µg/L, two to three orders of magnitude higher than surrounding waters, that were dominated by lithogenic material. A more moderate benthic nepheloid layer was also observed in the eastern Mauritanian margin (44 µg/L) that had a lower lithogenic content and, notably, significant concentrations of iron and manganese oxyhydroxides (2.5% each). An intermediate nepheloid layer reaching 102 µg/L, an order of magnitude above surrounding waters, was observed associated with the Mediterranean Outflow. Finally, there was a factor of two enhancement in SPM at the TAG hydrothermal plume due almost entirely to the addition of iron oxyhydroxides from the hydrothermal vent. We observe correlations between POC and CaCO3 in large (〉51 µm) particles in the upper 2000 m, but not deeper than 2000 m, and no correlations between POC and CaCO3 at any depth in small (〈51 µm) particles. There were also no correlations between POC and lithogenic material in large particles. Overall, there were very large uncertainties associated with all regression coefficients for mineral ballast (“carrying coefficients”), suggesting that mineral ballast was not a strong predictor for POC in this section.
    Description: US and International GEOTRACES Offices (NSF OCE-0850963 and OCE-1129603)
    Keywords: Particles ; SPM ; CaCO3 ; Opal ; Biogenic silica ; POC ; Ballast ; Dust ; Lithogenic material
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  • 77
    Publication Date: 2022-05-25
    Description: © The Author(s), 2014]. This article is distributed under the terms of the Creative Commons Attribution License. The definitive version was published in Progress in Oceanography 136 (2015): 201-222, doi:10.1016/j.pocean.2014.08.012.
    Description: The Bering–Chukchi–Beaufort (BCB) population of bowhead whales (Balaena mysticetus) ranges across the seasonally ice-covered waters of the Bering, Chukchi, and Beaufort seas. We used locations from 54 bowhead whales, obtained by satellite telemetry between 2006 and 2012, to define areas of concentrated use, termed “core-use areas”. We identified six primary core-use areas and describe the timing of use and physical characteristics (oceanography, sea ice, and winds) associated with these areas. In spring, most whales migrated from wintering grounds in the Bering Sea to the Cape Bathurst polynya, Canada (Area 1), and spent the most time in the vicinity of the halocline at depths 〈75 m, which are within the euphotic zone, where calanoid copepods ascend following winter diapause. Peak use of the polynya occurred between 7 May and 5 July; whales generally left in July, when copepods are expected to descend to deeper depths. Between 12 July and 25 September, most tagged whales were located in shallow shelf waters adjacent to the Tuktoyaktuk Peninsula, Canada (Area 2), where wind-driven upwelling promotes the concentration of calanoid copepods. Between 22 August and 2 November, whales also congregated near Point Barrow, Alaska (Area 3), where east winds promote upwelling that moves zooplankton onto the Beaufort shelf, and subsequent relaxation of these winds promoted zooplankton aggregations. Between 27 October and 8 January, whales congregated along the northern shore of Chukotka, Russia (Area 4), where zooplankton likely concentrated along a coastal front between the southeastward-flowing Siberian Coastal Current and northward-flowing Bering Sea waters. The two remaining core-use areas occurred in the Bering Sea: Anadyr Strait (Area 5), where peak use occurred between 29 November and 20 April, and the Gulf of Anadyr (Area 6), where peak use occurred between 4 December and 1 April; both areas exhibited highly fractured sea ice. Whales near the Gulf of Anadyr spent almost half of their time at depths between 75 and 100 m, usually near the seafloor, where a subsurface front between cold Anadyr Water and warmer Bering Shelf Water presumably aggregates zooplankton. The amount of time whales spent near the seafloor in the Gulf of Anadyr, where copepods (in diapause) and, possibly, euphausiids are expected to aggregate provides strong evidence that bowhead whales are feeding in winter. The timing of bowhead spring migration corresponds with when zooplankton are expected to begin their spring ascent in April. The core-use areas we identified are also generally known from other studies to have high densities of whales and we are confident these areas represent the majority of important feeding areas during the study (2006–2012). Other feeding areas, that we did not detect, likely existed during the study and we expect core-use area boundaries to shift in response to changing hydrographic conditions.
    Description: This study is part of the Synthesis of Arctic Research (SOAR) and was funded in part by the U.S. Department of the Interior, Bureau of Ocean Energy Management, Environmental Studies Program through Interagency Agreement No. M11PG00034 with the U.S. Department of Commerce, National Oceanic and Atmospheric Administration (NOAA), Office of Oceanic and Atmospheric Research (OAR), Pacific Marine Environmental Laboratory (PMEL). Funding for this research was mainly provided by U.S. Minerals Management Service (now Bureau of Ocean Energy Management) under contracts M12PC00005, M10PS00192, and 01-05-CT39268, with the support and assistance from Charles Monnett and Jeffery Denton, and under Interagency Agreement No. M08PG20021 with NOAA-NMFS and Contract No. M10PC00085 with ADF&G. Work in Canada was also funded by the Fisheries Joint Management Committee, Ecosystem Research Initiative (DFO), and Panel for Energy Research and Development.
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  • 78
    Publication Date: 2022-05-25
    Description: © The Author(s), 2015. This article is distributed under the terms of the Creative Commons Attribution License. The definitive version was published in Marine Chemistry 175 (2015): 72-81, doi:10.1016/j.marchem.2015.02.011.
    Description: Carbon and nutrients are transported out of the surface ocean and sequestered at depth by sinking particles. Sinking particle sizes span many orders of magnitude and the relative influence of small particles on carbon export compared to large particles has not been resolved. To determine the influence of particle size on carbon export, the flux of both small (11–64 μm) and large (〉 64 μm) particles in the upper mesopelagic was examined during 5 cruises of the Bermuda Atlantic Time Series (BATS) in the Sargasso Sea using neutrally buoyant sediment traps mounted with tubes containing polyacrylamide gel layers and tubes containing a poisoned brine layer. Particles were also collected in surface-tethered, free-floating traps at higher carbon flux locations in the tropical and subtropical South Atlantic Ocean. Particle sizes spanning three orders of magnitude were resolved in gel samples, included sinking particles as small as 11 μm. At BATS, the number flux of small particles tended to increase with depth, whereas the number flux of large particles tended to decrease with depth. The carbon content of different sized particles could not be modeled by a single set of parameters because the particle composition varied across locations and over time. The modeled carbon flux by small particles at BATS, including all samples and depths, was 39 ± 20% of the modeled total carbon flux, and the percentage increased with depth in 4 out of the 5 months sampled. These results indicate that small particles (〈 64 μm) are actively settling in the water column and are an important contributor to carbon flux throughout the mesopelagic. Observations and models that overlook these particles will underestimate the vertical flux of organic matter in the ocean.
    Description: Funding for this study was provided by the National Science Foundation Chemical Oceanography Program (OCE-1260001 and 1406552 to M. L. Estapa) and the Woods Hole Oceanographic Institution Devonshire Postdoctoral Scholarship awarded to C. A. Durkin. Funding for the DeepDOM cruise was provided by the National Science Foundation Chemical Oceanography Program (OCE-1154320 to E. B. Kujawinski and K. Longnecker, WHOI).
    Keywords: Particle size ; Particle settling ; Carbon cycle ; Sediment traps ; Mesopelagic zone
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  • 79
    Publication Date: 2022-05-25
    Description: © The Author(s), 2015. This article is distributed under the terms of the Creative Commons Attribution License. The definitive version was published in Continental Shelf Research 108 (2015): 55-64, doi:10.1016/j.csr.2015.08.005.
    Description: Fronts influence the structure and function of coastal marine ecosystems. Due to the complexity and dynamic nature of coastal environments and the small scales of frontal gradient zones, frontal research is difficult. To advance this challenging research we developed a method enabling an autonomous underwater vehicle (AUV) to detect and track fronts, thereby providing high-resolution observations in the moving reference frame of the front itself. This novel method was applied to studying the evolution of a frontal zone in the coastal upwelling environment of Monterey Bay, California, through a period of variability in upwelling intensity. Through 23 frontal crossings in four days, the AUV detected the front using real-time analysis of vertical thermal stratification to identify water types and the front between them, and the vehicle tracked the front as it moved more than 10 km offshore. The physical front coincided with a biological front between strongly stratified phytoplankton-enriched water inshore of the front, and weakly stratified phytoplankton-poor water offshore of the front. While stratification remained a consistent identifier, conditions on both sides of the front changed rapidly as regional circulation responded to relaxation of upwelling winds. The offshore water type transitioned from relatively cold and saline upwelled water to relatively warm and fresh coastal transition zone water. The inshore water type exhibited an order of magnitude increase in chlorophyll concentrations and an associated increase in oxygen and decrease in nitrate. It also warmed and freshened near the front, consistent with the cross-frontal exchange that was detected in the high-resolution AUV data. AUV-observed cross-frontal exchanges beneath the surface manifestation of the front emphasize the importance of AUV synoptic water column surveys in the frontal zone.
    Description: This work was supported by the David and Lucile Packard Foundation.
    Keywords: Fronts ; Upwelling ; Relaxation ; Autonomous underwater vehicle
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  • 80
    Publication Date: 2022-05-25
    Description: This paper is not subject to U.S. copyright. The definitive version was published in Estuarine, Coastal and Shelf Science 150, Pt.B (2014): 325-331, doi:10.1016/j.ecss.2014.03.025.
    Description: Amplitudes of semi-diurnal tidal fluctuations measured at an ocean inlet system decay nearly linearly by 87% between the ocean edge of the offshore ebb-tidal delta and the backbay. A monochromatic, dynamical model for a tidally choked inlet separately reproduces the evolution of the amplitudes and phases of the semi-diurnal and diurnal tidal constituents observed between the ocean and inland locations. However, the monochromatic model over-predicts the amplitude and under-predicts the lag of the lower-frequency subtidal and fortnightly motions observed in the backbay. A dimensional model that considers all tidal constituents simultaneously, balances the along-channel pressure gradient with quadratic bottom friction, and that includes a time-varying channel water depth, is used to show that that these model-data differences are associated with nonlinear interactions between the tidal constituents that are not included in non-dimensional, monochromatic models. In particular, numerical simulations suggest that the nonlinear interactions induced by quadratic bottom friction modify the amplitude and phase of the subtidal and fortnightly backbay response. This nonlinear effect on the low-frequency (subtidal and fortnightly) motions increases with increasing high-frequency (semi-diurnal) amplitude. The subtidal and fortnightly motions influence water exchange processes, and thus backbay temperature and salinity.
    Description: We thank the Office of Naval Research (N0001411WX20962; N0001412WX20498) for funding.
    Keywords: Tidal choking ; Tide ; Nonlinear response ; Fortnightly response ; Subtidal signal ; Tidal wave propagation ; Inlet
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  • 81
    Publication Date: 2022-05-25
    Description: © The Author(s), 2015. This article is distributed under the terms of the Creative Commons Attribution License. The definitive version was published in Deep Sea Research Part I: Oceanographic Research Papers 102 (2015): 43-54, doi:10.1016/j.dsr.2015.04.004.
    Description: Over the past few decades, sea ice retreat during summer has been enhanced in the Pacific sector of the Arctic basin, likely due in part to increasing summertime heat flux of Pacific-origin water from the Bering Strait. Barrow Canyon, in the northeast Chukchi Sea, is a major conduit through which the Pacific-origin water enters the Arctic basin. This paper presents results from 6 repeat high-resolution shipboard hydrographic/velocity sections occupied across Barrow Canyon in summer 2010. The different Pacific water masses feeding the canyon – Alaskan coastal water (ACW), summer Bering Sea water (BSW), and Pacific winter water (PWW) – all displayed significant intra-seasonal variability. Net volume transports through the canyon were between 0.96 and 1.70 Sv poleward, consisting of 0.41–0.98 Sv of warm Pacific water (ACW and BSW) and 0.28–0.65 Sv of PWW. The poleward heat flux also varied strongly, ranging from 8.56 TW to 24.56 TW, mainly due to the change in temperature of the warm Pacific water. Using supplemental mooring data from the core of the warm water, along with wind data from the Pt. Barrow weather station, we derive and assess a proxy for estimating heat flux in the canyon for the summer time period, which is when most of the heat passes northward towards the basin. The average heat flux for 2010 was estimated to be 3.34 TW, which is as large as the previous record maximum in 2007. This amount of heat could melt 315,000 km2 of 1-meter thick ice, which likely contributed to significant summer sea ice retreat in the Pacific sector of the Arctic Ocean.
    Description: MI, TK, YF, KO and DS were supported by Green Network of Excellence Program (GRENE Program), Arctic Climate Change Research Project ‘Rapid Change of the Arctic Climate System and its Global Influences’ by Ministry of Education, Culture, Sports, Science and Technology Japan. RP was supported by grant ARC-1203906 from the US National Science Foundation. CA was supported by grant ARC-1023331 from the US National Science Foundation and by the Cooperative Institute for the North Atlantic Region (NOAA Cooperative AgreementNA09OAR4320129) with funds provided by the US National Oceanographic and Atmospheric Administration through an Interagency Agreement between the US Bureau of Ocean and Energy Management and the National Marine Mammal Laboratory. SV was supported by the Department of Fisheries and Oceans Canada. MI and TK were supported by the Japan Agency for Marine-Earth Science and Technology. MI, TK, YF and KO were supported by Grant no. 2014-23 from Joint Research Program of the Institute of Low Temperature Science, Hokkaido University. YF and KO were supported by grants-in-aid 20221001 for scientific research from the Ministry of Education, Culture, Sports, Science and Technology of Japan. JTM was supported by grant PLR-1041102 from the US National Science Foundation.
    Keywords: Polar oceanography ; Arctic Ocean ; Chukchi Sea ; Heat fluxes ; Volume transports ; Water properties
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  • 82
    Publication Date: 2022-05-25
    Description: © The Author(s), 2015. This article is distributed under the terms of the Creative Commons Attribution License. The definitive version was published in GeoResJ 6 (2015): 195-201, doi:10.1016/j.grj.2015.03.001.
    Description: Data generated as a result of publicly funded research in the USA and other countries are now required to be available in public data repositories. However, many scientific data over the past 50+ years were collected at a time when the technology for curation, storage, and dissemination were primitive or non-existent and consequently many of these datasets are not available publicly. These so-called “dark data” sets are essential to the understanding of how the ocean has changed chemically and biologically in response to the documented shifts in temperature and salinity (aka climate change). An effort is underway to bring into the light, dark data about zooplankton collected in the 1970s and 1980s as part of the cold-core and warm-core rings multidisciplinary programs and other related projects. Zooplankton biomass and euphausiid species abundance from 306 tows and related environmental data including many depth specific tows taken on 34 research cruises in the Northwest Atlantic are online and accessible from the Biological and Chemical Oceanography Data Management Office (BCO-DMO).
    Description: This is a contribution from the Biological and Chemical Oceanography Data Management office (BCO-DMO) that is funded by the United States National Science Foundation Grants OCE-1031253 and OCE-1435578.
    Keywords: Data rescue ; Zooplankton biomass ; Zooplankton species abundance ; Dark data ; North Atlantic Gulf Stream Rings
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  • 83
    Publication Date: 2022-05-25
    Description: © The Author(s), 2014. This article is distributed under the terms of the Creative Commons Attribution License. The definitive version was published in Journal of Marine Systems 147 (2015): 29-44, doi:10.1016/j.jmarsys.2014.04.006.
    Description: The Arctic Ocean is changing rapidly as the global climate warms but it is not well known how these changes are affecting biological productivity and the carbon cycle. Here we study the Beaufort Gyre region of the Canada Basin in August and use the large reduction in summertime sea ice extent from 2011 to 2012 to investigate potential impacts of climate warming on biological productivity. We use the gas tracers O2/Ar and triple oxygen isotopes to quantify rates of net community production (NCP) and gross oxygen production (GOP) in the gyre. Comparison of the summer of 2011 with the summer of 2012, the latter of which had record low sea ice coverage, is relevant to how biological productivity might change in a seasonally ice-free Arctic Ocean. We find that, in the surface waters measured here, GOP in 2012 is significantly greater than in 2011, with the mean basin-wide 2012 GOP = 38 ± 3 mmol O2 m− 2 d− 1 whereas in 2011, mean basin GOP = 16 ± 5 mmol O2 m− 2 d− 1. We hypothesize that this is because the lack of sea ice and consequent increase in light penetration allows photosynthesis to increase in 2012. However, despite the increase in GOP, NCP is the same in the two years; mean NCP in 2012 is 3.0 ± 0.2 mmol O2 m− 2 y− 1 and in 2011 is 3.1 ± 0.2 mmol O2 m− 2 y− 1. This suggests that the heterotrophic community (zooplankton and/or bacteria) increased its activity as well and thus respired the additional carbon produced by the increased photosynthetic production. In both years, stations on the shelf had GOP 3 to 5 times and NCP 2 to 10 times larger than the basin stations. Additionally, we show that in 2011, the NCP/GOP ratio is smallest in regions with highest ice cover, suggesting that the microbial loop was more efficient at recycling carbon in regions where the ice was just starting to melt. These results highlight that although satellite chlorophyll records show, and many models predict, an increase in summertime primary production in the Arctic Basin as it warms, the net amount of carbon processed by the biological pump during summer may not change as a function of ice cover. Thus, a rapid reduction in summertime ice extent may not change the net community productivity or carbon balance in the Beaufort Gyre.
    Description: We thank our funding sources: the National Science Foundation (PLR 1304406, PLR-0856531) and the support of Fisheries and Oceans Canada.
    Keywords: Arctic Ocean ; Canada Basin ; Beaufort Gyre ; Gross production ; Net community production
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  • 84
    Publication Date: 2022-05-25
    Description: © The Author(s), 2015. This article is distributed under the terms of the Creative Commons Attribution License. The definitive version was published in International Journal for Parasitology: Parasites and Wildlife 4 (2015): 414–420, doi:10.1016/j.ijppaw.2015.11.002.
    Description: Baleen and sperm whales, belonging to the Order Cetartiodactyla, are the largest and heaviest existent mammals in the world, collectively known as large whales. Large whales have been subjected to a variety of conservation means, which could be better monitored and managed if physiological and pathophysiological information, such as pathogen infections, could already be gathered from free-swimming animals instead of carcasses. Parasitic diseases are increasingly recognized for their profound influences on individual, population, and even ecosystem health. Furthermore, a number of parasite species have gained importance as opportunistic neozoan infections in the marine environment. Nonetheless, traditional approaches to study parasitic diseases have been impractical for large whales, since there is no current routine method for the capture and handling of these large animals and there is presently no practical method to obtain blood samples remotely from free-ranging whales. Therefore, we here not only intend to review the endo- and ectoparasite fauna of large whales but also to provide new insights in current available methods for gathering parasitological data by using non- or minimally invasive sampling techniques. We focus on methods, which will allow detailed parasitological studies to gain a broader knowledge on parasitoses affecting wild, free-swimming large whale populations.
    Description: We acknowledge funds and support from the Portuguese Fundação para a Ciência e a Tecnologia (FCT), Fundo Regional da Ciência, Tecnologia (FRCT), through research projects TRACE-PTDC/MAR/74071/2006 and MAPCET-M2.1.2/F/012/2011 [FEDER, the Competitiveness Factors Operational (COMPETE), QREN European Social Fund, and Proconvergencia Açores/EU Program]. We acknowledge funds provided by FCT to MARE and by the FRCT – Government of the Azores pluriannual funding. RP is supported by a research grant from the Azores Regional Fund for Science and Technology (M3.1.5/F/115/2012). MAS is supported by FCT through a Program Investigator FCT fellowship (IF/00943/2013).
    Keywords: Cetaceans ; Whales ; Neozoan parasites ; Entamoeba ; Balantidium ; Giardia
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  • 85
    Publication Date: 2022-05-25
    Description: © The Author(s), 2014. This article is distributed under the terms of the Creative Commons Attribution License. The definitive version was published in Estuarine, Coastal and Shelf Science 151 (2014): 54-68, doi:10.1016/j.ecss.2014.09.018.
    Description: We describe the long-term response of benthic metabolism in depositional sediments of Boston Harbor, MA, to large reductions in organic matter and nutrient loading. Although Boston Harbor received very high loadings of nutrients and solids it differs from many eutrophic estuaries in that severe hypoxia was prevented by strong tidal flushing. Our study was conducted for 9 years during which a series of improvements to sewage treatment were implemented, followed by 10 years after the culminating step in the clean-up, which was to divert all wastewater effluent offshore. Counter to expectations, sediment oxygen demand and nutrient effluxes initially increased at some stations, reaching some of the highest rates recorded in the literature, and were spatially and temporally quite variable. Early increases were attributed to macrofaunal effects, as sediments at some sites were rapidly colonized by tube-building amphipods, Ampelisca spp., which dominated a dense macrofaunal mat community. As reductions in loading progressed, however, mean rates in oxygen uptake and release of ammonium, nitrate, and phosphate all decreased. At the point of outfall diversion, rates and variability had already decreased substantially. By the end of the study, average oxygen uptake had decreased from 74 to 41 mmol m−2 d−1 and spatial and temporal variability had decreased. Similarly, nutrient fluxes were less than half the rates measured at the start of the project and also less variable. Other evidence of improved conditions included a decrease in the carbon content of sediments at most stations and higher Eh values at all stations, illustrating less reducing conditions. Denitrification also showed an overall decrease from the beginning to the end of the 19-year study, but was highest during the intermediate phases of the cleanup, reaching 9 mmol N m−2 d−1. At the end of the study denitrification averaged for all sites was 2.2 mmol N m−2 d−1, but when compared to current loadings, had become a more important overall sink for N within the harbor. Few long-term examinations of the responses of sediment biogeochemistry to reductions in nutrient and organic matter loading have been reported. Our findings demonstrate that benthic fluxes may respond to reductions in loading in complex ways, and sediments need not represent a long-term legacy that would impede ecosystems recovery.
    Description: We gratefully acknowledge support for this work from the Massachusetts Water Resources Authority, which was provided through seven contracts for the Harbor and Outfall Monitoring Program to Battelle (Duxbury, MA) or ENSR (Westford, MA), and subcontracts to us.
    Keywords: Sediment metabolism ; Coastal marine sediments ; Nutrient reductions ; Denitrification ; Sewage treatment ; Bioirrigation
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  • 86
    Publication Date: 2022-05-25
    Description: © The Author(s), 2015. This article is distributed under the terms of the Creative Commons Attribution License. The definitive version was published in Toxicology and Applied Pharmacology 284 (2015): 54-64, doi:10.1016/j.taap.2015.02.001.
    Description: Many persistent organic pollutants (POPs) accumulate readily in polar bears because of their position as apex predators in Arctic food webs. The pregnane X receptor (PXR, formally NR1I2, here proposed to be named promiscuous xenobiotic receptor) is a xenobiotic sensor that is directly involved in metabolizing pathways of a wide range of environmental contaminants. In the present study, we comparably assess the ability of 51 selected pharmaceuticals, pesticides and emerging contaminants to activate PXRs from polar bears and humans using an in vitro luciferase reporter gene assay. We found that polar bear PXR is activated by a wide range of our test compounds (68%) but has a slightly more narrow ligand specificity than human PXR that was activated by 86% of the 51 test compounds. The majority of the agonists identified (70%) produces a stronger induction of the reporter gene via human PXR than via polar bear PXR, however with some notable and environmentally relevant exceptions. Due to the observed differences in activation of polar bear and human PXRs, exposure of each species to environmental agents is likely to induce biotransformation differently in the two species. Bioinformatics analyses and structural modeling studies suggest that amino acids that are not part of the ligand-binding domain and do not interact with the ligand can modulate receptor activation.
    Description: This study has been funded by the Research Council of Norway, Program for Norwegian Environmental Research towards 2015 (MILJØ2015, 181888), Superfund Research Program5P42ES007381 to JJS, and NIH grant R21HD073805 to JVG.
    Keywords: In vitro ligand activation ; Pregnane X receptor ; Polar bear ; Human ; Environmental pollutants
    Repository Name: Woods Hole Open Access Server
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  • 87
    Publication Date: 2022-05-25
    Description: © The Author(s), 2015. This article is distributed under the terms of the Creative Commons Attribution License. The definitive version was published in GeoResJ 6 (2015): 108-114, doi:10.1016/j.grj.2015.02.012.
    Description: Over the course of a scientific career, a large fraction of the data collected by scientific investigators turns into data at risk of becoming inaccessible to future science. Although a part of the investigators’ data is made available in manuscripts and databases, other data may remain unpublished, non-digital, on degrading or near obsolete digital media, or inadequately documented for reuse. In 2013, Integrated Earth Data Applications (IEDA) provided data rescue mini-awards to three Earth science investigators. IEDA’s user communities in geochemistry, petrology, geochronology, and marine geophysics collect long-tail data, defined as data produced by individuals and small teams for specific projects, tending to be of small volume and initially for use only by these teams, thus being less likely to be easily transferred or reused. Long-tail data are at greater risk of omission from the scientific record. The awarded projects topics were (1) Geochemical and Geochronological data on volcanic rocks from the Fiji, Izu-Bonin-Mariana arc, and Endeavor segments of the global mid-ocean ridge, (2) High-Resolution, Near-bottom Magnetic Field Data, and (3) Geochemistry of Lunar Glasses. IEDA worked closely with the awardees to create a plan for the data rescue, resulting in the registration of hundreds of samples and the entry of dozens of data and documentation files into IEDA data systems. The data were made openly accessible and citable by assigning persistent identifiers for samples and files. The mini-award program proved that a relatively small incentive combined with data facility guidance can motivate investigators to accomplish significant data rescue.
    Description: This work was funded by the IEDA cooperative agreement, U.S. NSF Award0950477.
    Keywords: Data rescue ; Persistent identifiers ; Long-tail data ; Lunar samples ; Analytical geochemistry ; Ocean-bottom magnetics
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  • 88
    Publication Date: 2022-05-25
    Description: © The Author(s), 2014. This article is distributed under the terms of the Creative Commons Attribution License. The definitive version was published in Deep Sea Research Part II: Topical Studies in Oceanography 116 (2015): 283-302, doi:10.1016/j.dsr2.2014.11.019.
    Description: In this paper, we present, describe, and model the first size-fractionated (0.8–51 µm; 〉51 µm) water-column particulate trace metal results from the US GEOTRACES North Atlantic Zonal Transect in situ pumping survey, with a focus on the lithogenic tracer elements Al, Fe and Ti. This examination of basin-wide, full-depth distributions of particulate elements elucidates many inputs and processes—some for bulk lithogenic material, others element-specific—which are presented via concentration distributions, elemental ratios, size-fractionation dynamics, and steady-state inventories. Key lithogenic inputs from African dust, North American boundary interactions, the Mediterranean outflow, hydrothermal systems, and benthic nepheloid layers are described. Using the refractory lithogenic tracer Ti, we develop a 1-D model for lithogenic particle distributions and test the sensitivities of size-fractionated open-ocean particulate Ti profiles to biotically driven aggregation, disaggregation rates, vertical sinking speeds, and dust input rates. We discuss applications of this lithogenic model to particle cycling in general, and to POC cycling specifically.
    Description: International and US GEOTRACES Offices (OCE-0850963 and OCE-1129603), and fellowship assistance from the Williams College Tyng Fellowship and MIT/WHOI Academic Programs Office to DCO.
    Keywords: Marine particles ; Lithogenic ; Particulate trace metals ; Aluminum ; Iron ; Titanium ; GEOTRACES ; Aeolian dust ; Aggregation ; Disaggregation ; Sinking speed ; Scavenging
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  • 89
    Publication Date: 2022-05-25
    Description: © The Author(s), 2014. This article is distributed under the terms of the Creative Commons Attribution License. The definitive version was published in Progress in Oceanography 136 (2015): 71-91, doi:10.1016/j.pocean.2014.07.001.
    Description: The highly productive fisheries of Alaska are located in seas projected to experience strong global change, including rapid transitions in temperature and ocean acidification-driven changes in pH and other chemical parameters. Many of the marine organisms that are most intensely affected by ocean acidification (OA) contribute substantially to the state’s commercial fisheries and traditional subsistence way of life. Prior studies of OA’s potential impacts on human communities have focused only on possible direct economic losses from specific scenarios of human dependence on commercial harvests and damages to marine species. However, other economic and social impacts, such as changes in food security or livelihoods, are also likely to result from climate change. This study evaluates patterns of dependence on marine resources within Alaska that could be negatively impacted by OA and current community characteristics to assess the potential risk to the fishery sector from OA. Here, we used a risk assessment framework based on one developed by the Intergovernmental Panel on Climate Change to analyze earth-system global ocean model hindcasts and projections of ocean chemistry, fisheries harvest data, and demographic information. The fisheries examined were: shellfish, salmon and other finfish. The final index incorporates all of these data to compare overall risk among Alaska’s federally designated census areas. The analysis showed that regions in southeast and southwest Alaska that are highly reliant on fishery harvests and have relatively lower incomes and employment alternatives likely face the highest risk from OA. Although this study is an intermediate step toward our full understanding, the results presented here show that OA merits consideration in policy planning, as it may represent another challenge to Alaskan communities, some of which are already under acute socio-economic strains.
    Description: This study is part of the Synthesis of Arctic Research (SOAR) and was funded in part by the U.S. Department of the Interior, Bureau of Ocean Energy Management, Environmental Studies Program through Interagency Agreement No. M11PG00034 with the U.S. Department of Commerce, National Oceanic and Atmospheric Administration (NOAA), Office of Oceanic and Atmospheric Research (OAR), Pacific Marine Environmental Laboratory (PMEL).
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  • 90
    Publication Date: 2022-05-25
    Description: This paper is not subject to U.S. copyright. The definitive version was published in Continental Shelf Research 104 (2015): 1-14, doi:10.1016/j.csr.2015.05.003.
    Description: This study investigates the relationship between spatial and temporal patterns of wave-driven sediment mobility events on the U.S. East Coast continental shelf and the characteristics of the storms responsible for them. Mobility events, defined as seafloor wave stress exceedance of the critical stress of 0.35 mm diameter sand (0.2160 Pa) for 12 or more hours, were identified from surface wave observations at National Data Buoy Center buoys in the Middle Atlantic Bight (MAB) and South Atlantic Bight (SAB) over the period of 1997–2007. In water depths ranging from 36–48 m, there were 4–9 mobility events/year of 1–2 days duration. Integrated wave stress during events (IWAVES) was used as a combined metric of wave-driven mobility intensity and duration. In the MAB, over 67% of IWAVES was caused by extratropical storms, while in the SAB, greater than 66% of IWAVES was caused by tropical storms. On average, mobility events were caused by waves generated by storms located 800+ km away. Far-field hurricanes generated swell 2–4 days before the waves caused mobility on the shelf. Throughout most of the SAB, mobility events were driven by storms to the south, east, and west. In the MAB and near Cape Hatteras, winds from more northerly storms and low-pressure extratropical systems in the mid-western U.S. also drove mobility events. Waves generated by storms off the SAB generated mobility events along the entire U.S. East Coast shelf north to Cape Cod, while Cape Hatteras shielded the SAB area from swell originating to the north offshore of the MAB.
    Description: This work was funded by the U.S. Geological Survey.
    Keywords: Bottom wave stress ; Seafloor mobility ; Extratropical storms ; Tropical storms ; U.S. East Coast continental shelf
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  • 91
    Publication Date: 2017-04-04
    Description: The elevation of the Capo Vaticano coastal terraces (Tyrrhenian coast, central Calabria) is the result of a combination of regional uplift and repeated coseismic displacement. We subtract the regional uplift from the total uplift (maximum average uplift rates: 0.81–0.97 mm a)1 since c. 0.7 Ma) and obtain the residual fault-related displacement. Then, we model the residual displacement to provide constraints on the location and geometry of the seismogenic source of the 1905 M7 earthquake, the strongest – and still poorly understood – earthquake of the instrumental era in this area. We try four different potential sources for the dislocation modelling and find that (1) three sources are not compatible with the displacement observed along the terraces and (2) the only source consistent with the local deformation is the 100 - striking Coccorino Fault. We calculate average long-term vertical slip rates of 0.2–0.3 mm a)1 on the Coccorino Fault and estimate an average recurrence time of one millennium for a 1905-type earthquake.
    Description: Published
    Description: 378-389
    Description: 2T. Tettonica attiva
    Description: JCR Journal
    Description: restricted
    Keywords: 1905 earthquake ; marine terraces ; coseismic displacement ; 04. Solid Earth::04.04. Geology::04.04.01. Earthquake geology and paleoseismology
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 92
    Publication Date: 2017-04-04
    Description: Real-time seismology has made significant improvements in recent years, with source parameters now available within a few tens of minutes after an earthquake. It is likely that this time will be further reduced, in the near future, by means of increased efficiency in real-time transmission,increasingdatacoverageandimprovementofthemethodologies.Inthiscontext, together with the development of new ground motion predictive equations (GMPEs) that are abletoaccountforsourcecomplexity,thegenerationofstronggroundmotionshakingmapsin quasi-real time has become ever more feasible after the occurrence of a damaging earthquake. However, GMPEs may not reproduce reliably the ground motion in the near-source region where the finite fault parameters have a strong influence on the shaking. Inthispaperwetestwhetheraccountingforsource-relatedeffectsiseffectiveinbettercharacterizingthegroundmotion.WeintroduceamodificationoftheGMPEswithintheShakeMap softwarepackage,andsubsequentlytesttheaccuracyofthenewlygeneratedshakemapsinpredictingthegroundmotion.ThetestisconductedbycontrollingtheperformanceofShakeMap as we decrease the amount of the available information. We then update ShakeMap with the GMPE modified with a corrective factor accounting for source effects, in order to better constrain these effects that likely influence the level of (near-source) ground shaking. Weinvestigatetwowell-recordedearthquakesfromJapan(the2000Tottori, Mw 6.6,andthe 2008 Iwate-Miyagi, Mw7.0, events) where the instrumental coverage is as dense as needed to ensure an objective appraisal of the results. The results demonstrate that the corrected GMPE can capture only some aspects of the ground shaking in the near-source area, neglecting other multidimensional effects, such as propagation effects and local site amplification.
    Description: Italian Presidenza del Consiglio dei Ministri, Dipartimento della Protezione Civile(DPC)under the contract 2007–2009 DPC-INGVS3project
    Description: Published
    Description: 1836-1848
    Description: 3T. Pericolosità sismica e contributo alla definizione del rischio
    Description: 4T. Fisica dei terremoti e scenari cosismici
    Description: JCR Journal
    Description: restricted
    Keywords: Earthquake ground motions ; Earthquake source observation ; Computational seismology ; 04. Solid Earth::04.06. Seismology::04.06.03. Earthquake source and dynamics ; 04. Solid Earth::04.06. Seismology::04.06.04. Ground motion ; 04. Solid Earth::04.06. Seismology::04.06.10. Instruments and techniques ; 04. Solid Earth::04.06. Seismology::04.06.11. Seismic risk
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 93
    Publication Date: 2017-04-04
    Description: A recent study of the Matuyama–Brunhes (M-B) geomagnetic field reversal recorded in exposed lacustrine sediments from the Sulmona Basin (Italy) provided a continuous, highresolution record indicating that the reversal of the field direction at the terminus of the M-B boundary (MBB) occurred in less than a century, about 786 ka ago. In the sediment, thin (4–6 cm) remagnetized horizons were recognized above two distinct tephra layers—SUL2- 19 and SUL2-20—that occur ∼25 and ∼35 cm below the MBB, respectively. Also, a faint, millimetre-thick tephra (SUL2-18) occurs 2–3 cm above the MBB.With the aim of improving the temporal resolution of the previous Sulmona MBB record and understanding the possible influence of cryptotephra on the M-B record in the Sulmona Basin,we performed more detailed sampling and analyses of overlapping standard and smaller samples from a 50 cm-long block that spans the MBB. The new data indicate that (i) the MBB is even sharper than previously reported and occurs ∼2.5 cm below tephra SUL2-18, in agreement with the previous study; (ii) the MBB coincides with the rise of an intensity peak of the natural remanent magnetization (NRM) intensity, which extends across SUL2-18; (iii) except for a 2-cm-thick interval just above tephra SUL2-18, the rock magnetic parameters (k, ARM, Mr, Ms, Bc, Bcr) indicate exactly the same magnetic mineralogy throughout the sampled sequence. We conclude that either SUL2-18 resulted in the remagnetization of an interval of about 6 cm (i.e. during the NRM intensity peak spanning ∼260 ± 110 yr, according to the estimated local sedimentation rate), and thus the detailed MBB record is lost because it is overprinted, or the MBB is well recorded, occurred abruptly about 2.5 cm below SUL2-18 and lasted less than 13 ± 6 yr. Both hypotheses challenge our understanding of the geomagnetic field behaviour during a polarity transition and/or of the NRM acquisition process in the Sulmona lacustrine sediment.
    Description: Published
    Description: 798-812
    Description: 1A. Geomagnetismo e Paleomagnetismo
    Description: JCR Journal
    Description: restricted
    Keywords: Palaeomagnetic secular variation; Rapid time variations; Reversals: process, time scale, magnetostratigraphy; Rock and mineral magnetism ; 04. Solid Earth::04.05. Geomagnetism::04.05.06. Paleomagnetism
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
    Type: article
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  • 94
    Publication Date: 2017-04-04
    Description: In areas of active but dormant volcanoes, people need to know some basic facts: What volcano is going to erupt? What kind of eruption will occur? When and where will it take place? Why will it occur? And, also, what should citizens do to save themselves and their families? Communications travel in a complex network of connections among individuals and groups. If the main stakeholders involved do not work together to deliver coherent and complementary messages, the transmitted message may be contradictory, or inconsistent. Misunderstanding and confusion will take over, increasing rather than mitigating the risk. For this reason, citizens need to turn to scientists and research institutes working in hazardous areas as key interlocutors for matters concerning basic information concerning volcanic hazard. At the same time, scientists in charge of volcano surveillance, together with emergency managers, media, and public officials, have the duty to answer citizens’ need for information, exploring multiple channels and languages to communicate effectively. The present chapter analyzes some systematic studies and multidisciplinary research projects on this topic that have been carried out in recent years. It also points out an analysis of the public use of the Vesuvius Observatory museum, which is a reference information point for people living in the Naples (Italy) area and exposed to volcano hazard.
    Description: Published
    Description: 335 - 349
    Description: 1V. Storia e struttura dei sistemi vulcanici
    Description: reserved
    Keywords: Vesuvius ; Volcano observatory ; Volcanic hazard communication ; Outreach ; Visitor survey ; museum ; 05. General::05.03. Educational, History of Science, Public Issues::05.03.99. General or miscellaneous
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
    Type: book chapter
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  • 95
    Publication Date: 2015-03-16
    Repository Name: EPIC Alfred Wegener Institut
    Type: Article , isiRev
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  • 96
    Publication Date: 2017-06-07
    Description: We present implementations of vibroseis system configurations with a snowstreamer for over-ice long-distance seismic traverses (〉100 km). The configurations have been evaluated in Antarctica on ice sheet and ice shelf areas in the period 2010–2014. We discuss results of two different vibroseis sources: Failing Y-1100 on skis with a peak force of 120 kN in the frequency range 10–110 Hz; IVI EnviroVibe with a nominal peak force of 66 kN in the nominal frequency range 10–300 Hz. All measurements used a well-established 60 channel 1.5 km snowstreamer for the recording. Employed forces during sweeps were limited to less than 80% of the peak force. Maximum sweep frequencies, with a typical duration of 10 s, were 100 and 250 Hz for the Failing and EnviroVibe, respectively. Three different concepts for source movement were employed: the Failing vibrator was mounted with wheels on skis and pulled by a Pistenbully snow tractor. The EnviroVibe was operated self-propelled on Mattracks on the Antarctic plateau. This lead to difficulties in soft snow. For later implementations the EnviroVibe with tracks was put on a polyethylene (PE) sled. The sled had a hole in the center to lower the vibrator baseplate directly onto the snow surface. With the latter setup, data production varied between 20 km/day for 6-fold and 40 km/day for single fold for 9 h/day of measurements. The combination of tracks with the PE-sled was especially advantageous on hard and rough surfaces because of the flexibility of each component and the relatively lose mounting. The systems presented here are suitable to obtain data of subglacial and sub-seabed sediment layers and englacial layering in comparable quality as obtained from marine geophysics and land-based explosive surveys. The large offset aperture of the streamer overcomes limitations of radar systems for imaging of steep along-track subglacial topography. With joint international scientific and logistic efforts, large-scale mapping of Antarctica's and Greenland's subglacial geology, ice-shelf cavity geometries and sea-bed strata, as well as englacial structures can be achieved.
    Repository Name: EPIC Alfred Wegener Institut
    Type: Article , isiRev
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  • 97
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    Elsevier
    In:  EPIC3Deep Sea Research Part I: Oceanographic Research Papers, Elsevier, 99, pp. 1-9, ISSN: 09670637
    Publication Date: 2015-06-05
    Description: The dense water flowing out from the Weddell Sea significantly contributes to Antarctic Bottom Water (AABW) and plays an important role in the Meridional Overturning Circulation. The relative importance of the two major source regions, the continental shelves in front of Filchner-Ronne Ice Shelf and Larsen Ice Shelf, however, remains unclear. Several studies focused on the contribution of the Filchner-Ronne Ice Shelf region for the deep and bottom water production within the Weddell Gyre, but the role of the Larsen Ice Shelf region for this process, especially the formation of deep water, remains speculative. Measurements made during the Polarstern cruise ANT XXIX-3 (2013) add evidence to the importance of the source in the western Weddell Sea. Using Optimum Multiparameter analysis we show that the dense water found on the continental shelf in front of the former Larsen A and B together with a very dense water originating from Larsen C increases the thickness and changes the θ/S characteristics of the layer that leaves the Weddell Sea to contribute to AABW.
    Repository Name: EPIC Alfred Wegener Institut
    Type: Article , isiRev
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  • 98
    Publication Date: 2021-11-25
    Description: On 2012 May 20 and 29, two damaging earthquakes with magnitudes Mw 6.1 and 5.9, respectively, struck the Emilia-Romagna region in the sedimentary Po Plain, Northern Italy, causing 26 fatalities, significant damage to historical buildings and substantial impact to the economy of the region. The earthquake sequence included four more aftershocks with Mw ? 5.0, all at shallow depths (about 7–9 km), with similar WNW–ESE striking reverse mechanism. The timeline of the sequence suggests significant static stress interaction between the largest events. We perform here a detailed source inversion, first adopting a point source approximation and considering pure double couple and full moment tensor source models. We compare different extended source inversion approaches for the two largest events, and find that the rupture occurred in both cases along a subhorizontal plane, dipping towards SSW. Directivity is well detected for the May 20 main shock, indicating that the rupture propagated unilaterally towards SE. Based on the focal mechanism solution, we further estimate the co-seismic static stress change induced by the May 20 event. By using the rate-and-state model and a Poissonian earthquake occurrence, we infer that the second largest event of May 29 was induced with a probability in the range 0.2–0.4. This suggests that the segment of fault was already prone to rupture. Finally, we estimate peak ground accelerations for the two main events as occurred separately or simultaneously. For the scenario involving hypothetical rupture areas of both main events, we estimate Mw = 6.3 and an increase of ground acceleration by 50 per cent. The approach we propose may help to quantify rapidly which regions are invested by a significant increase of the hazard, bearing the potential for large aftershocks or even a second main shock.
    Description: Published
    Description: 1658-1672
    Description: 4T. Fisica dei terremoti e scenari cosismici
    Description: JCR Journal
    Description: restricted
    Keywords: Earthquake dynamics ; Earthquake source observations ; 04. Solid Earth::04.06. Seismology::04.06.03. Earthquake source and dynamics
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
    Type: article
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  • 99
    Publication Date: 2022-05-26
    Description: © The Author(s), 2012. This article is distributed under the terms of the Creative Commons Attribution License. The definitive version was published in Geochimica et Cosmochimica Acta 96 (2012): 174-192, doi:10.1016/j.gca.2012.08.002.
    Description: Despite a growing body of work that uses diatom δ30Si to reconstruct past changes in silicic acid utilisation, few studies have focused on calibrating core top data with modern oceanographic conditions. In this study, a microfiltration technique is used to divide Southern Ocean core top silica into narrow size ranges, separating components such as radiolaria, sponge spicules and clay minerals from diatoms. Silicon isotope analysis of these components demonstrates that inclusion of small amounts of non-diatom material can significantly offset the measured from the true diatom δ30Si. Once the correct size fraction is selected (generally 2–20 μm), diatom δ30Si shows a strong negative correlation with surface water silicic acid concentration (R2 = 0.92), highly supportive of the qualitative use of diatom δ30Si as a proxy for silicic acid utilisation. The core top diatom δ30Si matches well with mixed layer filtered diatom δ30Si from published in situ studies, suggesting little to no effect of either dissolution on export through the water column, or early diagenesis, on diatom δ30Si in sediments from the Southern Ocean. However, the core top diatom δ30Si shows a poor fit to simple Rayleigh or steady state models of the Southern Ocean when a single source term is used. The data can instead be described by these models only when variations in the initial conditions of upwelled silicic acid concentration and δ30Si are taken into account, a caveat which may introduce some error into quantitative reconstructions of past silicic acid utilisation from diatom δ30Si.
    Description: The Oxford isotope geochemistry lab is supported by an ERC grant to Halliday. This work was carried out as part of Natural Environmental Research Council (NERC) Grant NE/F005296/1, and Antarctic Peninsula core tops collected thanks to the Antarctic Funding Initiative Grant AFI4-02.
    Repository Name: Woods Hole Open Access Server
    Type: Article
    Format: application/pdf
    Format: application/msword
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  • 100
    Publication Date: 2022-05-24
    Description: Close relationships between deformation and volcanism are well documented in relatively late evolutionary stages of con- tinental rifting, whereas these are poorly constrained in less mature rifting stages. To investigate the control of inherited structures on faulting and volcanism, we present a statistical analysis of volcanic features, faults and pre-rift fabric in the Tanzania Divergence, where volcanic features occur exten- sively in in-rift and off-rift areas. Our results show that in mature rift sectors (Natron), magma uprising is mostly con- trolled by fractures/faults responding to the far-field stress, whereas the distribution of volcanism during initial rifting (Eyasi) is controlled by inherited structures oblique to the regional extension direction. Off-rift sectors show a marked control of pre-rift structures on magma emplacement, which may not respond to the regional stress field. Thus, the use of off-rift magmatic features as stress indicators should take into account the role of pre-existing structures.
    Description: Published
    Description: 461-468
    Description: 1T. Geodinamica e interno della Terra
    Description: JCR Journal
    Description: restricted
    Keywords: East Africa Rift System, Tanzania-Kenia, structures and volcanism ; 04. Solid Earth::04.07. Tectonophysics::04.07.02. Geodynamics
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
    Type: article
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