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  • Articles  (6)
  • 04.04. Geology  (3)
  • 05.04. Instrumentation and techniques of general interest  (1)
  • Adaptation measures  (1)
  • Balaenoptera physalus  (1)
  • Elsevier  (6)
  • American Geophysical Union (AGU)
  • American Physical Society (APS)
  • Annual Reviews
  • Springer Nature
  • 2015-2019  (6)
  • 1990-1994
  • 1980-1984
  • 1935-1939
  • 2019  (6)
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  • Articles  (6)
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  • 2015-2019  (6)
  • 1990-1994
  • 1980-1984
  • 1935-1939
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  • 2019  (6)
  • 1
    Publication Date: 2021-06-15
    Description: Extreme and inaccessible environments are a new frontier that unmanned and remotely operated ve-hicles can today safely access and monitor. The Lusi mud eruption (NE Java Island, Indonesia) representsone of these harsh environments that are totally unreachable with traditional techniques. Here boilingmud is constantly spewed tens of meters in height and tall gas clouds surround the 100 m wide activecrater. The crater is surrounded by a ~600 m diameter circular zone of hot mud that prevents anyapproach to investigate and sample the eruption site. In order to access this active crater we designedand assembled a multipurpose drone.The Lusi drone is equipped with numerous airborne devices suitable for use on board of other mul-ticopters. During the missions, three cameras can complete 1) video survey, 2) high resolution photo-grammetry of desired and preselected polygons, and 3) thermal photogrammetry surveys with infra-redcamera to locate hotfluids seepage areas or faulted zones. Crater sampling and monitoring operationscan be pre-planned with aflight software, and the pilot is required only for take-off and landing. A winchallows the deployment of gas, mud and water samplers and contact thermometers to be operated withno risk for the aircraft. During the winch operations (that can be performed automatically), the aircrafthovers at a safety height until the tasks controlled by the winch-embedded processor are completed. Thedrone is also equipped with GPS-connected CO2and CH4sensors. Gridded surveys using these devicesallowed obtaining 2D maps of the concentration and distribution of various gasses over the area coveredby theflight path.The device is solid, stable even with significant wind, affordable, and easy to transport. The Lusi dronesuccessfully operated during several expeditions at the ongoing active Lusi eruption site and proved to bean excellent tool to study other harsh or unreachable sites, where operations with more conventionalmethods are too expensive, dangerous or simply impossible
    Description: LUSI LAB project, PI A. Mazzini; esearch Council of Norway through itsCenters of Excellence funding scheme, Project Number 223272; BPLS (Badan Penanggulangan Lumpur Sidoarjo, Sidoarjo Mudflow Management Agency)
    Description: Published
    Description: 26-37
    Description: 2IT. Laboratori sperimentali e analitici
    Description: JCR Journal
    Keywords: Lusi mud eruption ; Drone-UAV ; Multirotor ; Remote sampling ; Remote sensing ; Indonesia ; 05.04. Instrumentation and techniques of general interest
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
    Type: article
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  • 2
    Publication Date: 2021-06-15
    Description: An Mw 6.1, devastating earthquake, on April 6, 2009, struck the Middle Aterno Valley (Abruzzi Apennines, Italy) due to the activation of a poorly known normal fault system. Structural analysis of the fault population and investigation of the relationships with the Quaternary continental deposits through integrated field and laboratory techniques were conducted in order to reconstruct the long-term, tectono-sedimentary evolution of the basin and hypothesize the size of the fault segment. A polyphasic evolution of the Middle Aterno Valley is characterized by a conjugate, ∼E-W and ∼NS-striking fault system, during the early stage of basin development, and by a dip-slip, NW-striking fault system in a later phase. The old conjugate fault system controlled the generation of the largest sedimentary traps in the area and is responsible for the horst and graben structures within the basin. During the Early Pleistocene the E-W and NS system reactivated with dip-slip kinematics. This gave rise to intra-basin bedrock highs and a significant syn-tectonic deposition, causing variable thickness and hiatuses of the continental infill. Subsequently, since the end of the Early Pleistocene, with the inception of the NW-striking fault system, several NW-strands linked into longer splays and their activity migrated toward a leading segment affecting the Paganica-San Demetrio basin: the Paganica-San Demetrio fault alignment. The findings from this work constrain and are consistent with the subsurface basin geometry inferred from previous geophysical investigations. Notably, two major elements of the ∼E-W and ∼NS-striking faults likely act as transfer to the nearby stepping active fault systems or form the boundaries, as geometric complexities, that limit the Paganica-San Demetrio fault segment overall length to 19 ± 3 km. The resulting size of the leading fault segment is coherent with the extent of the 6 April 2009 L'Aquila earthquake causative fault. The positive match between the geologic long-term and coseismic images of the 2009 seismogenic fault highlights that the comprehensive reconstruction of the deformation history offers a unique contribution to the understanding faults seismic potential.
    Description: MIUR (Italian Ministry of Education, University and Research) project “FIRB Abruzzo - High-resolution analyses for assessing the seismic hazard and risk of the areas affected by the 6 April 2009 earthquake”, ref. RBAP10ZC8K_005 and RBAP10ZC8K_007, and by Agreement INGV-DPC 2012–2021
    Description: Published
    Description: 30-66
    Description: 2T. Deformazione crostale attiva
    Description: JCR Journal
    Keywords: Quaternary geology ; L'Aquila earthquake ; structural geology ; Middle Aterno Valley ; neotectonics ; active fault ; 04.04. Geology ; 04.07. Tectonophysics
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
    Type: article
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  • 3
    Publication Date: 2019-08-19
    Description: The term “Dimension Stone” refers to natural stone that has been quarried, selected and processed into specific sizes or shapes, with or without one or more mechanically dressed or finished surfaces, for use as building facing, curbing, paving stone, monuments and memorials, and various industrial products. The dimension stone industry is currently increasing the volume of its activities: based on a prudent medium-term development forecast, the net product could reach one hundred million tons in 2020. For this reason, geoscientists and stakeholders need to reason about methods and technologies in the dimension stone sector and how to operate responsibly and sustainably in accordance with the following geoethical values. After a definition of geoethics and an overview of the dimension stone industry, the paper focuses on fundamental values of geoethics as stated in the Cape Town Statement on Geoethics. More precisely, geoethical values have been referred to real and practical cases of dimension stone subsectors, by presenting some examples recorded in Sardinia (Italy). This region has a long history of production of ornamental stones. Finally, tips and suggestions on how geoscientists (in particular geologists and mining engineers) can help the dimension stone sector in a geoethical way, i.e., responsibly and sustainably are herein offered.
    Description: Published
    Description: 101468
    Description: 1TR. Georisorse
    Description: 7SR AMBIENTE – Servizi e ricerca per la società
    Description: 1TM. Formazione
    Description: 3TM. Comunicazione
    Description: JCR Journal
    Keywords: geoethics ; dimension stone ; quarrying ; natural resources ; sustainability ; geoheritage ; geo-education ; 04.04. Geology ; 05.03. Educational, History of Science, Public Issues ; 05.09. Miscellaneous
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 4
    Publication Date: 2019-03-29
    Description: At present, the urban population has to cope with the effects caused from Urban Heat Island (UHI), poor air quality and increased frequency and/or intensity of extreme weather and climate events. The expected increase of these extremes in areas of the planet and the way to adapt to them has emphasized the need to investigate in detail the climate of the cities. Local vulnerability and risk assessments, supported by using regional climate models at very high resolution, are key to support development and implementation of effective local adaptation measures to make well-adapted and climate-resilient cities, i.e. more sustainable ones. This study aims to provide some quantitative information on the effectiveness of main local adaptation measures to reduce the magnitude of UHI, in terms of temperature and energy fluxes. The investigation was conducted by adopting the TEB 1D model for the Toulouse city case-study. Different urban configurations and adaptation measures have been considered in the model set up. The results confirm that different adaptation measures may reduce the temperature on the town elements during the daylight hours; among the different measures, the green roof prevent the radiative cooling, increasing the roof night temperature and contributing to the night UHI.
    Description: Published
    Description: 662-673
    Description: 4A. Oceanografia e clima
    Description: JCR Journal
    Keywords: Urban Heat Island ; Adaptation measures
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
    Type: article
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  • 5
    Publication Date: 2019-12-12
    Description: The Great Burma earthquake (MsGR 8.0; Ms 7.6–7.7) occurred on May 23rd, 1912, and was one of the most remarkable early 1900's seismic events in Asia as described by Gutenberg and Richter (1954). The earthquake, focused near Maymyo, struck the Northern Shan State in eastern Myanmar. Contemporary evaluation of damage distribution and oral accounts led to a correlation between the earthquake and the topographically prominent Kyaukkyan Fault near the western margin of the Shan Plateau, although direct evidence has never been reported. This study aims to find evidence of paleoseismic activity, and to better understand the relationship between the 1912 earthquake and the Kyaukkyan Fault. Paleoseismic trenching along the Kyaukkyan Fault revealed evidence of several surface rupturing events. The northernmost trench exposes at least two visible rupture events since 4660 ± 30 BP: an older rupture stratigraphically constrained by AMS 14C dating to between 4660 ± 30 BP and 1270 ± 30 BP, and a younger rupture formed after 1270 ± 30 BP. The presence of pottery, bricks and cookingrelated charcoal in the younger faulted stratigraphy demonstrates Kyaukkyan Fault activity within human times, and a possible correlation between the younger rupture and the 1912 Maymyo earthquake is not excluded. The southern paleoseismic trench, within a broad transtensional basin far from bounding faults, exposes two (undated) surface ruptures. Further study is required to correlate those ruptures to the events dated in the north. These preliminary paleoseismological results constitute the first quantitative evidence of paleoseismic activity along the northern ~160 km of the Kyaukkyan Fault, and support existing evidence that the Kyaukkyan Fault is an active but slow-slipping structure with a long interseismic period.
    Description: Published
    Description: 75-86
    Description: 2T. Deformazione crostale attiva
    Description: JCR Journal
    Keywords: Paleoseismology ; active tectonics ; Myanmar ; 1912 earthquake ; strike-slip faulting ; 04.04. Geology ; 04.07. Tectonophysics
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 6
    Publication Date: 2019-03-12
    Description: © The Authors, 2019. This article is distributed under the terms of the Creative Commons Attribution-Noncommercial-Share Alike 4.0 International License. The definitive version was published in Molecular Phylogenetics and Evolution (2019), doi:10.1016/j.ympev.2019.02.003.
    Description: The advent of massive parallel sequencing technologies has resulted in an increase of studies based upon complete mitochondrial genome DNA sequences that revisit the taxonomic status within and among species. Spatially distinct monophyly in such mitogenomic genealogies, i.e., the sharing of a recent common ancestor among con-specific samples collected in the same region has been viewed as evidence for subspecies. Several recent studies in cetaceans have employed this criterion to suggest subsequent intraspecific taxonomic revisions. We reason that employing intra-specific, spatially distinct monophyly at non-recombining, clonally inherited genomes is an unsatisfactory criterion for defining subspecies based upon theoretical (genetic drift) and practical (sampling effort) arguments. This point was illustrated by a re-analysis of a global mitogenomic assessment of fin whales, Balaenoptera physalus spp., published by Archer et al. (2013), which proposed to further subdivide the Northern Hemisphere fin whale subspecies, B. p. physalus. The proposed revision was based upon the detection of spatially distinct monophyly among North Atlantic and North Pacific fin whales in a genealogy based upon complete mitochondrial genome DNA sequences. The extended analysis conducted in this study (1,676 mitochondrial control region, 162 complete mitochondrial genome DNA sequences and 20 microsatellite loci genotyped in 358 samples) revealed that the apparent monophyly among North Atlantic fin whales reported by Archer et al. (2013) to be due to low sample sizes. In conclusion, defining sub-species from monophyly (i.e., the absence of para- or polyphyly) can lead to erroneous conclusions due to relatively “trivial” aspects, such as sampling. Basic population genetic processes (i.e., genetic drift and migration) also affect the time to the most recent common ancestor and hence the probability that individuals in a sample are monophyletic.
    Description: We are grateful to Hanne Jørgensen, Anna Sellas, Mary Beth Rew and Christina Færch-Jensen for technical assistance. We thank Drs. P. E. Rosel and K. D. Mullin (U.S. National Marine Fisheries Service Southeast Fisheries Science Center) and members of the U.S. Northeast and Southeast Region Marine Mammal Stranding Network and its response teams, including the International Fund for Animal Welfare, the Marine Mammal Stranding Center, Mystic Aquarium, the Riverhead Foundation for Marine Research and Preservation (K. Durham) and the Marine Mammal Stranding Program of the University of North Carolina Wilmington for access to fin whale samples from the western North Atlantic. We thank Gisli Vikingsson for providing samples. We are indebted to Dr. Eduardo Secchi for facilitating data sharing. Data collection in the Southern Ocean was conducted under research projects Baleias (CNPq grants 557064/2009-0 and 408096/2013-6), INTERBIOTA (CNPq 407889/2013-2) and INCT-APA (CNPq 574018/2008-5), of the Brazilian Antarctic Program and a contribution by the research consortium ‘Ecology and Conservation of Marine Megafauna – EcoMega-CNPq’. MAS was supported through a FCT Investigator contract funded by POPH, QREN European Social Fund, and Portuguese Ministry for Science and Education. Data collection in the Azores was funded by TRACE-PTDC/MAR/74071/2006 and MAPCET-M2.1.2/F/012/2011 [FEDER, COMPETE, QREN European Social Fund, and Proconvergencia Açores/EU Program]. Fin whale illustration herein is used with the permission of Frédérique Lucas. We acknowledge the Center for Information Technology of the University of Groningen for IT support and access to the Peregrine high performance-computing cluster.
    Keywords: fin whale ; Balaenoptera physalus ; North Atlantic Ocean ; subspecies ; mitochondrial genome
    Repository Name: Woods Hole Open Access Server
    Type: Article
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