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  • Oxford University Press  (126,150)
  • Canadian Science Publishing
  • Springer Science + Business Media
  • 2020-2022  (16,696)
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  • 1
    Publication Date: 2021-03-15
    Description: In a recent work we computed the relative frequencies with which strong shocks (4.0≤Mw〈5.0), widely felt by the population were followed in the same area by potentially destructive main shocks (Mw≥5.0) in Italy. Assuming the stationarity of the seismic release properties, such frequencies can be tentatively used to estimate the probabilities of potentially destructive shocks after the occurrence of future strong shocks. This allows us to set up an alarm-based forecasting hypothesis related to strong foreshocks occurrence. Such hypothesis is tested retrospectively on the data of a homogenized seismic catalogue of the Italian area against a purely random hypothesis that simply forecasts the target main shocks proportionally to the space-time fraction occupied by the alarms. We compute the latter fraction in two ways a) as the ratio between the average time covered by the alarms in each area and the total duration of the forecasting experiment (60 years) and b) as the same ratio but weighted by the past frequency of occurrence of earthquakes in each area. In both cases the overall retrospective performance of our forecasting algorithm is definitely better than the random case. Considering an alarm duration of three months, the algorithm retrospectively forecasts more than 70% of all shocks with Mw5.5 occurred in Italy from 1960 to 2019 with a total space-time fraction covered by the alarms of the order of 2%. Considering the same space-time coverage, the algorithm is also able to retrospectively forecasts more than 40% of the first main shocks with Mw5.5 of the seismic sequences occurred in the same time interval. Given the good reliability of our results, the forecasting algorithm is set and ready to be tested also prospectively, in parallel to other ongoing procedures operating on the Italian territory.
    Description: This paper benefitted from funding provided by the European Union within the ambit of the H2020 project RISE (No. 821115), which in particular fully financed the PhD grant of one of the authors (E.B.).
    Description: Published
    Description: 1192–1206
    Description: 6T. Studi di pericolosità sismica e da maremoto
    Description: JCR Journal
    Keywords: Earthquake interaction ; Statistical seismology ; forecasting, ; prediction ; 04.06. Seismology
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 2
    Publication Date: 2020-10-16
    Description: This article has been accepted for publication in Geophysical Journal International ©: The Authors 2019. Published by Oxford University Press on behalf of the Royal Astronomical Society. All rights reserved. Uploaded in accordance with the publisher's self-archiving policy.
    Description: The active tectonic processes in convergent margins confer a high degree of complexity to the crust. Determining the thermal structure is, therefore, key to better elucidate the nature of those processes. In order to reconstruct the thermal structure of the crust beneath the Italian peninsula, we combine the most recent and accurate shear-wave velocity model that is currently available with thermodynamic modelling, assuming a global average crustal composition with no lateral variations. Our model, presented in terms of Moho temperature and crustal thermal gradients, shows a very good agreement with the known thermal anomalies associated with the backarc spreading related to the Apennine subduction. Importantly, we envisage a new anomalous region of high Moho temperatures in NW Italy (T 〉 800 degrees C at 30 km), at the transition between the Alps and Apennine orogens. The lowest temperatures of our model, corresponding to geothermal gradients 〈 19 degrees C km(-1), are obtained in the still active but slow-convergent portion of the northern Apennine. Moho temperatures increase moving southwards along the Apennine chain, an observation that is coherent with the evidence of ceasing subduction and consequent rebalancing of the depressed isotherms along the slab. Our results suggest that a thermal structure in different tectonic settings can be inferred with acceptable uncertainties based on absolute seismic velocity models. In this sense, our approach can be extended to any other region.
    Description: Published
    Description: 239–247
    Description: 1T. Struttura della Terra
    Description: JCR Journal
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 3
    Publication Date: 2020-11-20
    Description: Siwi caldera, in the Vanuatu arc (Tanna island), is a rare volcanic complex where both persistent eruptive activity (Yasur volcano)and rapid block resurgence (Yenkahe horst) can be investigated simultaneously during a post-caldera stage. Here we provide new constraints on the feeding system of this volcanic complex, based on a detailed study of the petrology, geochemistry and volatile content of Yasur^Siwi bulk-rocks and melt inclusions, combined with measurements of the chemical composition and mass fluxes of Yasur volcanic gases. Major and trace element analyses of Yasur^ Siwi volcanic rocks, together with literature data for other volcanic centers, point to a single magmatic series and possibly long-lived feeding of Tanna volcanism by a homogeneous arc basalt. Olivine-hosted melt inclusions show that the parental basaltic magma, which produces basaltic-trachyandesites to trachyandesites by 50^70% crystal fractionation, is moderately enriched in volatiles ( 1wt % H2O, 0·1wt % S and 0·055 wt % Cl). The basaltic-trachyandesite magma, emplaced at between 4^5 km depth and the surface, preserves a high temperature (1107 158C) and constant H2O content ( 1wt %) until very shallow depths, where it degasses extensively and crystallizes. These conditions, maintained over the past 1400 years of Yasur activity, require early water loss during basalt differentiation, prevalent open-system degassing, and a relatively high heat flow ( 109W). Yasur volcano releases on average 13·4 103 tons d 1 of H2O and 680 tons d 1 of SO2, but moderate amounts of CO2 (840 tons d 1), HCl (165 tons d 1), and HF (23 tons d 1). Combined with melt inclusion data, these gas outputs constrain a bulk magma degassing rate of 5 107 m3 a 1, about a half of which is due to degassing of the basaltic-trachyandesite. We compute that 25 km3 of this magma have degassed without erupting and have accumulated beneath Siwi caldera over the past 1000 years, which is one order of magnitude larger than the accumulated volume uplift of the Yenkahe resurgent block. Hence, basalt supply and gradual storage of unerupted degassed basaltictrachyandesite could easily account for (or contribute to) the Yenkahe block resurgence.
    Description: Published
    Description: 1077-1105
    Description: 2.3. TTC - Laboratori di chimica e fisica delle rocce
    Description: 2.4. TTC - Laboratori di geochimica dei fluidi
    Description: JCR Journal
    Description: restricted
    Keywords: Vanuatu arc ; Yasur ; gas fluxes ; volatiles ; melt inclusions ; resurgent block ; volcano thermal budget ; 04. Solid Earth::04.04. Geology::04.04.12. Fluid Geochemistry ; 04. Solid Earth::04.08. Volcanology::04.08.01. Gases ; 04. Solid Earth::04.08. Volcanology::04.08.03. Magmas
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 4
    Publication Date: 2020-12-15
    Description: This article has been accepted for publication in Geophysical Journal International ©: The Authors 2015. Published by Oxford University Press on behalf of the Royal Astronomical Society. All rights reserved. Uploaded in accordance with the publisher's self-archiving policy.
    Description: ectonic earthquake swarms challenge our understanding of earthquake processes since it is difficult to link observations to the underlying physical mechanisms and to assess the hazard they pose. Transient forcing is thought to initiate and drive the spatio-temporal release of energy during swarms. The nature of the transient forcing may vary across sequences and range from aseismic creeping or transient slip to diffusion of pore pressure pulses to fluid redistribution and migration within the seismogenic crust. Distinguishing between such forcing mechanisms may be critical to reduce epistemic uncertainties in the assessment of hazard due to seismic swarms, because it can provide information on the frequency–magnitude distribution of the earthquakes (often deviating from the assumed Gutenberg–Richter relation) and on the expected source parameters influencing the ground motion (for example the stress drop). Here we study the ongoing Pollino range (Southern Italy) seismic swarm, a long-lasting seismic sequence with more than five thousand events recorded and located since October 2010. The two largest shocks (magnitude M w = 4.2 and M w = 5.1) are among the largest earthquakes ever recorded in an area which represents a seismic gap in the Italian historical earthquake catalogue. We investigate the geometrical, mechanical and statistical characteristics of the largest earthquakes and of the entire swarm. We calculate the focal mechanisms of the M l 〉 3 events in the sequence and the transfer of Coulomb stress on nearby known faults and analyse the statistics of the earthquake catalogue. We find that only 25 per cent of the earthquakes in the sequence can be explained as aftershocks, and the remaining 75 per cent may be attributed to a transient forcing. The b-values change in time throughout the sequence, with low b-values correlated with the period of highest rate of activity and with the occurrence of the largest shock. In the light of recent studies on the palaeoseismic and historical activity in the Pollino area, we identify two scenarios consistent with the observations and our analysis: This and past seismic swarms may have been ‘passive’ features, with small fault patches failing on largely locked faults, or may have been accompanied by an ‘active’, largely aseismic, release of a large portion of the accumulated tectonic strain. Those scenarios have very different implications for the seismic hazard of the area.
    Description: Published
    Description: 1553–1567
    Description: 4T. Sismicità dell'Italia
    Description: JCR Journal
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  • 5
    Publication Date: 2021-01-18
    Description: The horizontal to vertical spectral ratio (HVSR) of seismic noise is often used to investigate site effects, and it is usually assumed to be a stable feature of the site considered. Here we show that such an assumption is not always justified, and may lead to incorrect conclusions. The HVSR analysis was performed on ambient seismic noise recordings lasting from weeks to months at many sites in Calabria, Italy. Results show a variety of site effects, from the resonance of a shallow sedimentary layer to the polarized amplification of horizontal ground motion associated with topographic effects. We describe the results of seven sites whose HVSR is characterized by dual content: one that is persistent, and another appearing only occasionally. Two sites very near the coast of the Tyrrhenian sea and five sites in the Calabrian Arc mountains show the most remarkable results. The shape of the HVSR changes significantly at these sites when the amplitude of background noise increases in a broad frequency band during periods of bad weather. The occasional contribution to the HVSR consists of one or more peaks, depending on the site, that appear only when the amplitude of ambient noise is higher than usual. The seven sites where we observe the HVSR variability are all located in complex geological environments, on mountains, ridges or foothills. A variation of the HVSR correlated with the day–night cycle is also observed at some of these sites.
    Description: Published
    Description: 2162–2171
    Description: 1T. Struttura della Terra
    Description: JCR Journal
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  • 6
    Publication Date: 2021-02-10
    Description: The 2007 caldera-forming eruption of Piton de la Fournaise (PdF) erupted the largest volume of magma (210 Mm3)recorded at this volcano in at least three centuries. Major and trace element and Sr^Nd isotope data for bulk-rocks, groundmasses and olivine phenocrysts have been combined with melt inclusion data (major, trace and volatile elements) to track magma evolution over the whole eruptive sequence. We show that each eruptive phase had a distinctive geochemical and petrological signature and that caldera collapse on 5 April was preceded by a marked shift in bulk magma composition and crystal content and size. Aphyric basalt erupted at the beginning of the sequence (February 2007) had relatively high Sr isotope ratio (87Sr/86Sr ¼ 0·70420^0·704180) and low Nd isotopic ratio(143Nd/144Nd ¼ 0·51285^0·51286). Olivine-basalts extruded on2^5 April just before caldera collapse are less enriched in radiogenic Sr (87Sr/86Sr ¼ 0·70412^0·70416), but characterized by the same Nd isotopic composition. This magma is interpreted as a new deep input, which pressurized the shallow PdF plumbing system and triggered the 2007 activity. Post-collapse oceanite lavas represent the main volume of magma extruded in 2007. Their bulk-rocks and groundmasses have 87Sr/86Sr (0·70418) intermediate between those of February and 5 April, and similar to those of the March 2007 and 2001^2006 lavas.We show that the Steady State Basalts (SSB) commonly erupted at PdF are hybrid melts, which result from multistep mixing between ‘alkaline’and ‘transitional’end-members. Our results lead us to propose a new model of the PdF plumbing system to reconcile the petrological, geochemical and geophysical observations: (1) the shallow portion (above sea level) of the PdF plumbing system hosts several small sills, in which magma experiences variable degrees of degassing, cooling and crystallization; (2) oceanite lavas result from the withdrawal of shallow harrisitic mushes stored at low pressures (548 MPa; 51800^2400 m depth) below both the volcano summit and its eastern flank; (3) water degassing plays a major role in fast magma crystallization at shallow depths. Multistep ascent and periodic extrusion of the shallow magmas is promoted by injections of deeper and hotter basaltic magma, containing up to 1·3 wt % H2O and 1630 ppm S. In 2007, the new deep input was the ultimate source of the large excess in sulfur degassing detected by satellites. Lateral draining and intrusion of magma below the eastern flank of the volcano are the cause of major volcano deformation, flank sliding and summit caldera collapse.
    Description: Published
    Description: 1287-1315
    Description: 2V. Struttura e sistema di alimentazione dei vulcani
    Description: 3V. Proprietà chimico-fisiche dei magmi e dei prodotti vulcanici
    Description: 4V. Processi pre-eruttivi
    Description: 6A. Geochimica per l'ambiente e geologia medica
    Description: JCR Journal
    Keywords: Piton de la Fournaise ; plumbing system ; magma reservoir ; caldera collapse ; melt inclusions ; volatile budget ; isotope geochemistry ; basalt
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 7
    Publication Date: 2021-02-23
    Description: The preparation, initiation, and occurrence dynamics of earthquakes in Italy are governed by several frequently unknown physical mechanisms and parameters. Understanding these mechanisms is crucial for developing new techniques and approaches for earthquake monitoring and hazard assessments. Here, we develop a first-order numerical model simulating quasi-static crustal interseismic loading, coseismic brittle episodic dislocations, and postseismic relaxation for extensional and compressional earthquakes in Italy based on a common framework of lithostatic and tectonic forces. Our model includes an upper crust, where the fault is locked, and a deep crust, where the fault experiences steady shear.
    Description: Published
    Description: 627–645
    Description: 2T. Deformazione crostale attiva
    Description: JCR Journal
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 8
    Publication Date: 2021-03-24
    Description: The 2016–17 central Italy earthquake sequence began with the first mainshock near the town of Amatrice on August 24 (MW 6.0), and was followed by two subsequent large events near Visso on October 26 (MW 5.9) and Norcia on October 30 (MW 6.5), plus a cluster of 4 events with MW 〉 5.0 within few hours on January 18, 2017. The affected area had been monitored before the sequence started by the permanent Italian National Seismic Network (RSNC), and was enhanced during the sequence by temporary stations deployed by the National Institute of Geophysics and Volcanology and the British Geological Survey. By the middle of September, there was a dense network of 155 stations, with a mean separation in the epicentral area of 6–10 km, comparable to the most likely earthquake depth range in the region. This network configuration was kept stable for an entire year, producing 2.5 TB of continuous waveform recordings. Here we describe how this data was used to develop a large and comprehensive earthquake catalogue using the Complete Automatic Seismic Processor (CASP) procedure. This procedure detected more than 450,000 events in the year following the first mainshock, and determined their phase arrival times through an advanced picker engine (RSNI-Picker2), producing a set of about 7 million P- and 10 million S-wave arrival times. These were then used to locate the events using a non-linear location (NLL) algorithm, a 1D velocity model calibrated for the area, and station corrections and then to compute their local magnitudes (ML). The procedure was validated by comparison of the derived data for phase picks and earthquake parameters with a handpicked reference catalogue (hereinafter referred to as ‘RefCat’). The automated procedure takes less than 12 hours on an Intel Core-i7 workstation to analyse the primary waveform data and to detect and locate 3000 events on the most seismically active day of the sequence. This proves the concept that the CASP algorithm can provide effectively real-time data for input into daily operational earthquake forecasts, The results show that there have been significant improvements compared to RefCat obtained in the same period using manual phase picks. The number of detected and located events is higher (from 84,401 to 450,000), the magnitude of completeness is lower (from ML 1.4 to 0.6), and also the number of phase picks is greater with an average number of 72 picked arrival for a ML = 1.4 compared with 30 phases for RefCat using manual phase picking. These propagate into formal uncertainties of ± 0.9km in epicentral location and ± 1.5km in depth for the enhanced catalogue for the vast majority of the events. Together, these provide a significant improvement in the resolution of fine structures such as local planar structures and clusters, in particular the identification of shallow events occurring in parts of the crust previously thought to be inactive. The lower completeness magnitude provides a rich data set for development and testing of analysis techniques of seismic sequences evolution, including real-time, operational monitoring of b-value, time-dependent hazard evaluation and aftershock forecasting.
    Description: Published
    Description: 555–571
    Description: 3T. Fisica dei terremoti e Sorgente Sismica
    Description: JCR Journal
    Keywords: 04.06. Seismology
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 9
    Publication Date: 2021-05-12
    Description: erratum paper
    Description: Published
    Description: 1090-1092
    Description: 1T. Struttura della Terra
    Description: JCR Journal
    Keywords: Theoretical seismology ; Seismic attenuation ; Seismic noise ; Surface waves ; Free oscillations ; Seismic interferometry ; 04.06. Seismology ; 04.01. Earth Interior
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  • 10
    Publication Date: 2021-05-12
    Description: This article has been accepted for publication inGeophysical Journal International ©The Author(s) 2020. Published by Oxford University Press on behalf of the Royal Astronomical Society. All rights reserved.
    Description: Determining the crustal structure of ocean island volcanoes is important to understand the formation and tectonic evolution of the oceanic lithosphere and tectonic swells in marine settings, and to assess seismic hazard in the islands. The Azores Archipelago is located near a triple junction system and is possibly under the influence of a mantle plume, being at the locus of a wide range of geodynamic processes. However, its crustal structure is still poorly constrained and debated due to the limited seismic coverage of the region and the peculiar linear geometry of the islands. To address these limitations, in this study we invert teleseismic Rayleigh wave ellipticity measurements for 1-D shear wave speed (VS) crustal models of the Azores Archipelago. Moreover, we test the reliability of these new models by using them in independent moment tensor inversions of local seismic data and demonstrate that our models improve the waveform fit compared to previous models. We find that data from the westernmost seismic stations used in this study require a shallower Moho depth (∼10 km) than data from stations in the eastern part of the archipelago (∼13–16 km). This apparent increase in the Moho depth with increasing distance from the mid-Atlantic ridge (MAR) is expected. However, the rate at which Moho deepens away from the MAR is greater than that predicted from a half-space cooling model, suggesting that local tectonic perturbations have modified crustal structure. The 1-D VS models obtained beneath the westernmost seismic stations also show higher wave speeds than for the easternmost stations, which correlates well with the ages of the islands except Santa Maria Island. We interpret the relatively low VS profile found beneath Santa Maria Island as resulting from underplating, which agrees with previous geological studies of the island. Compared to a recent receiver function study of the region, the shallow structure (top ∼2 km) in our models shows lower shear wave speed, which may have important implications for future hazard studies of the region. More generally, the new seismic crustal models we present in this study will be useful to better understand the tectonics, seismicity, moment tensors and strong ground motions in the region.
    Description: Published
    Description: 1232–1247
    Description: 5T. Sismologia, geofisica e geologia per l'ingegneria sismica
    Description: JCR Journal
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  • 11
    Publication Date: 2021-05-12
    Description: The island of Pantelleria, located in the Sicily Channel Rift Zone (Italy), has been the site of violent peralkaline silicic magmatism alternating with minor effusive to low-intensity Strombolian erup- tions of basaltic composition. The basaltic rock suites exposed on the island were sampled to in- vestigate the plumbing system dynamics through the study of chemical stratigraphy and temporal records of olivine crystals. Our petrographic and geochemical observations, together with the com- positional variability of olivine, suggest different evolutionary histories for basaltic magmas erupted over two major periods divided by the 􏰃45 ka Green Tuff (GT) eruption. Core-to-rim com- positional traverses across olivine crystals document different types of zoning. We recognized oliv- ine zones affected by Fo oscillations at very fine scales in the inner cores, rims and/or in intermedi- ate portions of crystals and used them to reconstruct the residence and passage of crystals through different magmatic environments, with P–T–ƒO2 and compositional characteristics con- strained by thermodynamic modeling. The sequence of magmatic environments evidenced by oliv- ine zoning indicate that the pre-GT volcanic period was dominated by injection at shallow crustal levels (􏰃300–200 MPa) of primitive melts, initially moving from a deep storage zone at the crust- mantle boundary. Supply of this magma significantly decreased after the GT eruption, while the dy- namics of magma transfer within the upper portion of the plumbing system were greatly enhanced. The diffusive relaxation of olivine zoning provided the timing of storage and migration of a crystal through different environments. For magmas feeding the ancient (〉45 ka) basaltic activ- ity we retrieved transfer histories that are much longer (up to 􏰃3 years) if compared with those cal- culated for the post-GT basalts (1–9 months). The compositional and temporal dataset presented in this study supports the idea that the GT eruption and the subsequent collapse of the volcanic edi- fice could have caused major changes to the internal structural setting of Pantelleria, creating more favorable conditions for the migration of magmas in the upper portions of the plumbing system.
    Description: Published
    Description: egaa05
    Description: 2V. Struttura e sistema di alimentazione dei vulcani
    Description: JCR Journal
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 12
    Publication Date: 2021-05-12
    Description: Ischia, a volcanic island located 18 miles SW of Naples (Southern Italy), is a densely populated active caldera that last erupted in AD 1302. Melt inclusions in phenocrysts of the Vateliero and Cava Nocelle shoshonite^latite eruptive products (6th to 4th centuries BC) constrain the structure and nature of the Ischia deep magmatic feeding system.Their geochemical characteristics make Ischia a natural borehole for probing the physico-chemical conditions of magma generation in mantle contaminated by slab-derived fluids or melts, largely dominated by CO2.Volatile concentrations in olivine-hosted melt inclusions require gas^melt equilibria at between 3 and 18 km depth. In agreement with what has already been demonstrated at the other neighboring Neapolitan volcanoes (Procida, Campi Flegrei caldera and Somma^Vesuvius volcanic complex), a major crystallization depth at 8^10 km has been identified.The analyzed melt inclusions provide clear evidence for CO2-dominated gas fluxing and consequent dehydration of magma batches stagnating at crustal discontinuities. Gas fluxing is further supported by selective enrichment in K owing to fluid-transfer during magma differentiation.This takes place under oxidized conditions (Fe3þ /Fe 0·3) that can be fixed by an equimolar proportion of divalent and trivalent iron in the melt if post-entrapment crystallization of the host olivine is discarded.The melt inclusion data, together with data from the literature for other Neapolitan volcanoes, show that magmatism and volcanism in the Neapolitan area, despite differences in composition and eruption dynamics, are closely linked to supercritical CO2-rich fluids. These fluids are produced by devolatilization of subducting terrigenous^pelagic metasediments and infiltrate the overlying mantle wedge, generate magmas and control their ascent up to eruption. Geochemical characteristics of Ischia and the other Neapolitan volcanoes reveal that the extent of fluid or melt contamination of the pre-subduction asthenospheric mantle wedge was similar among these volcanoes. However, differences in the isotopic compositions of the erupted magmas (more enriched in radiogenic Sr at Ischia, Campi Flegrei and Somma^Vesuvius with respect to Procida) and the amount of H2O in the plumbing system of these volcanoes (almost double at Ischia, Campi Flegrei and Somma^Vesuvius than at Procida) reflect the different flow-rates of deep slab-derived fluids or melts through the mantle wedge, which, in turn, control the amount of generated magma.The high bulk permeability of the lithosphere below Ischia, Campi Flegrei and Somma^Vesuvius, determined by the occurrence of intersecting NW^SE and NE^SW regional fault systems, favours fluid ascent and accumulation at crustal levels, with consequent larger magma production and storage than at Procida, located along the NE^SW system.
    Description: Published
    Description: 951-984
    Description: 2V. Struttura e sistema di alimentazione dei vulcani
    Description: 3V. Proprietà chimico-fisiche dei magmi e dei prodotti vulcanici
    Description: 4V. Processi pre-eruttivi
    Description: 6A. Geochimica per l'ambiente e geologia medica
    Description: JCR Journal
    Keywords: CO2-fluxing ; melt inclusions ; redox state ; trachybasalts
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  • 13
    Publication Date: 2021-06-21
    Description: Sulphur behaviour and variations in redox conditions during magma differentiation and degassing in the Mt Etna (Italy) volcanic system have been explored by integrating the study of olivine-hosted melt inclusions (MIs) with an experimental survey of sulphur solubility in hydrous basaltic magmas. Sulphur solubility experiments were performed at conditions relevant to the Etnean plumbing system (1200 C, 200MPa and oxygen fugacity between NNOþ0 2 and NNOþ1 7, with NNO being the nickel–nickel oxide buffer), and their results confirm the important control of oxygen fugacity (fO2) on S abundance in mafic magmas and on S partitioning between fluid and melt phases (DSfluid/melt). The observed DSfluid/melt value increases from 5164 to 14666 when fO2 decreases from NNOþ1 760 5 to NNOþ0 3. Based on the calculated DSfluid/melt and a careful selection of previously published data, an empirical model is proposed for basaltic magmas to predict the variation of DSfluid/melt values with variations in P (25–300 MPa), T (1030–1200 C) and fO2 (between NNO– 0 8 and NNOþ2 4). Olivine-hosted melt inclusions (Fo89-91) from tephra of the prehistoric (4 ka BP) sub-plinian picritic eruption, named FS (‘Fall Stratified’), have been investigated for their major element compositions, volatile contents and iron speciation (expressed as Fe3þ/PFe ratio). These primitive MIs present S content from 235677 to 34456168 ppm, and oxygen fugacity values, estimated from Fe3þ/PFe ratios, range from NNOþ0 760 2 to NNOþ1 660 2. Iron speciation has also been investigated in more evolved and volatile-poorer Etnean MIs. The only primitive melt inclusion from the Mt Spagnolo eruption (4–15 ka BP) presents a S content of 1515649ppm and an estimated fO2 of NNOþ1 460 1. The more evolved MIs (from 2002–2003, 2006, 2008–2009 and 2013 eruptions) have S content lower than 500 ppm, and their Fe3þ/RFe ratios result in fO2 between NNO– 0 960 1 and NNOþ0 460 1. Redox conditions and S behaviour in Etnean magmas during degassing and fractional crystallization were modelled coupling MELTS code with our empirical DSfluid/melt model. Starting from an FS-type magma composition and upon decrease of T and P, fractional crystallization of olivine, clinopyroxene, spinel and plagioclase causes a significant fO2 decrease. The fO2 reduction, in turn, causes a decrease in sulphur solubility and an increase in DSfluid/melt, promoting S exsolution during magma ascent, which further enhances the reduction of fO2. For the evolved MIs of 2002–2013 eruptions, magma differentiation may therefore have played a crucial role in decreasing redox conditions and favouring efficient S degassing. Differently, during the unusual FS eruption, only limited melt evolution is observed and S exsolution seems to have been triggered by a major pressure decrease accompanied by H2O and CO2 exsolution during fast magmatic ascent.
    Description: Published
    Description: egaa095
    Description: 4V. Processi pre-eruttivi
    Description: JCR Journal
    Keywords: melt inclusions ; sulphur solubility experiments ; XANES ; Mt. Etna ; 04.08. Volcanology
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 14
    Publication Date: 2020-10-16
    Description: The behaviour of tsunami waves at any location depends on the local morphology of the coasts, the encountered bathymetric features, and the characteristics of the source. However, the importance of accurately modelling the geometric properties of the causative fault for simulations of seismically induced tsunamis is rarely addressed. In this work, we analyse the effects of using two different geometric models of the subduction interface of the Calabrian Arc (southern Italy, Ionian Sea) onto the simulated tsunamis: a detailed 3-D subduction interface obtained from the interpretation of a dense network of seismic reflection profiles, and a planar interface that roughly approximates the 3-D one. These models can be thought of as representing two end-members of the level of knowledge of fault geometry. We define three hypothetical earthquake ruptures of different magnitudes (Mw 7.5, 8.0, 8.5) on each geometry. The resulting tsunami impact is evaluated at the 50-m isobath in front of coastlines of the central and eastern Mediterranean. Our results show that the source geometry imprint is evident on the tsunami waveforms, as recorded at various distances and positions relative to the source. The absolute differences in maximum and minimum wave amplitudes locally exceed one metre, and the relative differences remain systematically above 20 per cent with peaks over 40 per cent. We also observe that tsunami energy directivity and focusing due to bathymetric waveguides take different paths depending on which fault is used. Although the differences increase with increasing earthquake magnitude, there is no simple rule to anticipate the different effects produced by these end-member models of the earthquake source. Our findings suggest that oversimplified source models may hinder our fundamental understanding of the tsunami impact and great care should be adopted when making simplistic assumptions regarding the appropriateness of the planar fault approximation in tsunami studies. We also remark that the geological and geophysical 3-D fault characterization remains a crucial and unavoidable step in tsunami hazard analyses.
    Description: Published
    Description: 1805–1819
    Description: 3T. Sorgente sismica
    Description: 6T. Studi di pericolosità sismica e da maremoto
    Description: JCR Journal
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 15
    Publication Date: 2021-04-14
    Description: The scaling of earthquake parameters with seismic moment and its interpretation in terms of self- similarity is still debated in the literature. We address this question by examining a worldwide compilation of corner frequency-based and elastic rebound theory (ERT)-based fault slip, area and stress drop values for earthquakes ranging in magnitude from -0.7 to 7.8. We find that corner frequency estimates of slip (and stress drop) scale differently than those inferred from the ERT approach, where the latter deviates from the generally accepted constant stress drop behavior of so- called self-similar scaling models. We also find that average slips from finite-source models are consistent with corner frequency scaling, whereas peak slip values are more consistent with the ERT scaling. The different scaling of corner frequency- and ERT-based estimates of slip and stress drop with earthquake size is interpreted in terms of heterogeneity of the rupture process. ERT-based estimates of stress drop decrease with seismic moment suggesting a self-affine behavior. Despite the inferred heterogeneity at all scales, we do not observe a clear effect on the Brune stress drop scaling with earthquake size.
    Description: Published
    Description: 1771–1781
    Description: 2T. Deformazione crostale attiva
    Description: JCR Journal
    Keywords: Earthquake dynamics ; Earthquake source observations ; Dynamics and mechanics of faulting ; 04.06. Seismology
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 16
    Publication Date: 2020-11-26
    Description: So far, the role of appendicularians in the biogeochemical cycling of organic matter has been largely overlooked. Appendicularians represent only a fraction of total mesozooplankton biomass, however these ubiquitous zooplankters have very high filtration and growth rates compared to copepods, and produce numerous fecal pellets and filtering houses contributing to export production by aggregating small marine particles. To study their quantitative impact on biogeochemical flux, we have included this group in the biogeochemical flux model, using a recently developed ecophysiological model. One-dimensional annual simulations of the pelagic ecosystem including appendicularians were conducted with realistic surface forcing for the year 2000, using data from the DyFAMed open ocean station. The appendicularian grazing impact was generally low, but appendicularians increased detritus production by 8% and export production by 55% compared to a simulation without appendicularians. Therefore, current biogeochemical models lacking appendicularians probably under, or misestimate the detritus and export production by omitting the pathway from small-sized plankton to fast sinking detritus. Detritus production and export rates are 60% lower than the estimates from mesotrophic sites, showing that appendicularians’ role is lower but still significant in oligotrophic environments. The simulated annual export at 200 m exceeds sediment trap values by 44%, suggesting an intense degradation during the sinking of appendicularian detritus, supported by observations made at other sites. Thus, degradation and grazing of appendicularian detritus need better quantification if we are to accurately assess the role of appendicularia in export flux.
    Description: EU-FP6 project SESAME GOCE-036949
    Description: Published
    Description: 855-872
    Description: 3.7. Dinamica del clima e dell'oceano
    Description: JCR Journal
    Description: reserved
    Keywords: BFM ; zooplankton ; 03. Hydrosphere::03.01. General::03.01.01. Analytical and numerical modeling ; 03. Hydrosphere::03.01. General::03.01.07. Physical and biogeochemical interactions ; 03. Hydrosphere::03.04. Chemical and biological::03.04.01. Biogeochemical cycles ; 03. Hydrosphere::03.04. Chemical and biological::03.04.04. Ecosystems
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 17
    Publication Date: 2020-11-11
    Description: This article has been accepted for publication in Geophysical Journal International ©: 2021 The Author(s) 2020. Published by Oxford University Press on behalf of the Royal Astronomical Society. All rights reserved.
    Description: In this short paper we show how to use the classical maximum likelihood estimation procedure for the b-value of the Gutenberg–Richter law for catalogues with different levels of completeness. With a simple correction, that is subtracting the relative completeness level to each magnitude, it becomes possible to use the classical approach. Moreover, this correction allows to adopt the testing procedures, initially made for catalogues with a single level of completeness, for catalogues with different levels of completeness too.
    Description: Published
    Description: 337–339
    Description: 6T. Studi di pericolosità sismica e da maremoto
    Description: JCR Journal
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 18
    Publication Date: 2020-12-21
    Description: This article has been accepted for publication in Geophysical Journal International. Published by Oxford University Press on behalf of the Royal Astronomical Society.
    Description: The classical procedure of the Probabilistic Seismic Hazard Analysis (PSHA) requires a Poissonian distribution of earthquakes. Seismic catalogs follow a Poisson distribution just after the application of a declustering algorithm that leaves only one earthquake for each seismic sequence (usually the stronger, i.e. the main shock). Removing earthquakes from the seismic catalogs leads to underestimation of the annual rates of the events and consequently associate with low seismic hazard as indicated by several studies. In this study, we aim investigating the performance of two declustering methods on the Italian instrumental catalog and the impact of declustering on estimation of the b-value and on the seismic hazard analysis. To this end, first the spatial variation in the seismicity rate was estimated from the declustered catalogs using the adaptive smoothed seismicity approach, considering small earthquakes (Mw≥3.0). We then corrected the seismicity rates using new approach that allows for counting all events in the complete seismic catalog by simply changing the magnitude frequency distribution. The impact of declustering on seismic hazard analysis is illustrated using PSHA maps in terms of peak ground acceleration (PGA) and spectral acceleration (SA) in 2 s, with 10% and 2% probability of exceedance in 50 years, for Italy. We observed that the hazard calculated from the declustered catalogs was always lower than the hazard computed using the complete catalog. These results are in agreement with previous results obtained in different parts of the world.
    Description: Published
    Description: 1174–1187
    Description: 6T. Studi di pericolosità sismica e da maremoto
    Description: JCR Journal
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  • 19
    Publication Date: 2021-05-12
    Description: We have constructed a 3-D shear wave velocity (Vs) model for the crust and uppermost mantle beneath the Middle East using Rayleigh wave records obtained from ambient-noise cross-correlations and regional earthquakes. We combined one decade of data collected from 852 permanent and temporary broad-band stations in the region to calculate group-velocity dispersion curves. A compilation of 〉54 000 ray paths provides reliable group-velocity measurements for periods between 2 and 150 s. Path-averaged group velocities calculated at different periods were inverted for 2-D group-velocity maps. To overcome the problem of heterogeneous ray coverage, we used an adaptive grid parametrization for the group-velocity tomographic inversion. We then sample the period-dependent group-velocity field at each cell of a predefined grid to generate 1-D group-velocity dispersion curves, which are subsequently inverted for 1-D Vs models beneath each cell and combined to approximate the 3-D Vs structure of the area. The Vs model shows low velocities at shallow depths (5–10 km) beneath the Mesopotamian foredeep, South Caspian Basin, eastern Mediterranean and the Black Sea, in coincidence with deep sedimentary basins. Shallow high-velocity anomalies are observed in regions such as the Arabian Shield, Anatolian Plateau and Central Iran, which are dominated by widespread magmatic exposures. In the 10–20 km depth range, we find evidence for a band of high velocities (〉4.0 km s–1) along the southern Red Sea and Arabian Shield, indicating the presence of upper mantle rocks. Our 3-D velocity model exhibits high velocities in the depth range of 30–50 km beneath western Arabia, eastern Mediterranean, Central Iranian Block, South Caspian Basin and the Black Sea, possibly indicating a relatively thin crust. In contrast, the Zagros mountain range, the Sanandaj-Sirjan metamorphic zone in western central Iran, the easternmost Anatolian plateau and Lesser Caucasus are characterized by low velocities at these depths. Some of these anomalies may be related to thick crustal roots that support the high topography of these regions. In the upper mantle depth range, high-velocity anomalies are obtained beneath the Arabian Platform, southern Zagros, Persian Gulf and the eastern Mediterranean, in contrast to low velocities beneath the Red Sea, Arabian Shield, Afar depression, eastern Turkey and Lut Block in eastern Iran. Our Vs model may be used as a new reference crustal model for the Middle East in a broad range of future studies.
    Description: Published
    Description: 1349-1365
    Description: 1T. Struttura della Terra
    Description: JCR Journal
    Keywords: 04.01. Earth Interior ; 04.06. Seismology
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 20
    Publication Date: 2021-07-23
    Description: Marine aquaculture holds great promise for meeting increasing demand for healthy protein that is sustainably produced, but reaching necessary production levels will be challenging. The ecosystem approach to aquaculture is a framework for sustainable aquaculture development that prioritizes multiple-stakeholder participation and spatial planning. These types of approaches have been increasingly used to help guide sustainable, persistent, and equitable aquaculture planning, but most countries have difficulties in setting or meeting longer-term development goals. Scenario analysis (SA) for future planning uses similar approaches and can complement holistic methods, such as the ecosystem approach to aquaculture framework, by providing a temporal analogue to the spatially robust design. Here we define the SA approach to planning in aquaculture, outline how SA can benefit aquaculture planning, and review how this tool is already being used. We track the use of planning tools in the 20 International Council for the Exploration of the Sea member nations, with particular attention given to Norway’s development goals to 2050. We conclude that employing a combination of an ecosystem framework with scenario analyses may help identify the scale of development aquaculture goals over time, aid in evaluating the feasibility of the desired outcomes, and highlight potential social-ecological conflicts and trade-offs that may otherwise be overlooked.
    Repository Name: EPIC Alfred Wegener Institut
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  • 21
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    Unknown
    Oxford University Press
    In:  EPIC3Journal of Experimental Botany, Oxford University Press, ISSN: 0022-0957
    Publication Date: 2019-07-17
    Repository Name: EPIC Alfred Wegener Institut
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  • 22
    Publication Date: 2017-04-04
    Description: Crystal-rich lithic clasts occurring in volcanic deposits are key tools to understand processes of storage, cooling, and fractionation of magmas in pre-eruptive volcanic systems. These clasts, indeed, represent snapshots of the magma-chamber/host-rock interface before eruptions and provide information on crystallization, differentiation, and degrees of interaction between magma and wall-rocks. In this study, with the aim to shed light on magma-carbonate interaction and CO2 emission in volcanic areas, we focused on the petrology of cumulate and skarn rocks by using as case study a suite of mafic and calcite-bearing lithic clasts from the Colli Albani Volcanic District. By means of phase relations, bulk rock chemistry, phase compositions, and stable isotope data we have recognized different types of cumulates and skarns. Cumulates containing either clinopyroxene±olivine associated with Cr-bearing spinel or glass+phlogopite have been divided in primitive and differentiated, respectively. Primitive cumulates originate at the interface between a relatively primitive magma and carbonate-bearing rocks and show evidences of olivine instability (i.e. heteradcumulate texture) due to carbonate assimilation. Differentiated cumulates, characterized by Ca-rich olivines, phlogopite, and glass containing calcite, form from a differentiated magma in a system open to CaO-contamination. Skarns has been divided in exoskarns, characterized by xenomorphic texture and abundant calcite, and endoskarns, characterized by hypidiomorphic texture, Ca-Tschermak-rich mineral phases, and interstitial glass. Exoskarns formed by means of solid state reactions in a dolostone protolith whereas endoskarns crystallized at subliquidus temperature from a silicate melt that experienced exoskarns assimilation. Our study evidences that magma-carbonate interaction can not be considered a one step process exhausting just after the formation of skarn shells. Magma and carbonate rocks, when in contact, continuously interact leading to the formation of exoskarns, endoskarns, cumulates (primitive and differentiated ones), and differentiated melts. Finally, by means of oxygen and carbon isotope compositions of calcite in equilibrium with skarns, we demonstrate that carbonate assimilation represents a source of massive CO2 degassing mechanism due to the consumption of calcite and removing of CO2 during the decarbonation process.
    Description: Sapienza Universita' di Roma INGV-DPC [Project V 3.1, Colli Albani].
    Description: Published
    Description: 2307-2332
    Description: 2.3. TTC - Laboratori di chimica e fisica delle rocce
    Description: JCR Journal
    Description: reserved
    Keywords: magma/carbonate interaction ; CO2 degassing ; c umulate and skarn ; Colli Albani ; 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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  • 23
    Publication Date: 2020-06-17
    Description: Petrological and geochemical (major element, trace element, Sr–Nd isotope) data for recent (〈5 kyr old) basalts that sporadically erupt on the western flank of Piton de la Fournaise (PdF), one of the most active volcanoes on Earth, allow the tracking of magma transfer and evolution from mantle to crustal depths. In the western peripheral area of PdF we document the broadly synchronous eruptions of (1) primitive olivine and olivine–clinopyroxene transitional basalts with tholeiitic affinity 30 that are closely associated in space with (2) transitional olivine basalts with alkaline affinity, and (3) hybrid lavas, intermediate between the ‘alkaline’ and the ‘tholeiitic’ end-members. The composition of the latter overlaps with that of the lavas frequently erupted from the conduit system feeding the main summit cone. AlphaMELTS modelling, and fluid inclusion and clinopyroxene barometry, constrain the conditions of magma storage at 10–30 km, and the ascent of magma from the upper 35 mantle to the shallow crustal plumbing system. Variable degrees of mantle melting, together with minor source heterogeneity and contamination with cumulate-derived partial melts, contribute to the diversity of PdF magmas. However, all these processes do not represent the dominant factors that produce the large variability we found in major element composition. Indeed, the composition of basalts erupted from PdF peripheral centers is strongly controlled by polybaric olivine–clinopyr- 40 oxene fractionation at pressures higher than 3 kbar. Crystal textures and geochemical modelling suggest that fast magma ascent is critical to prevent clinopyroxene dissolution. Conversely, longlasting magma stagnation promotes pyroxene resorption and magma differentiation. ‘Central’ eruptions occurring close to the PdF summit cone emit variably more evolved melts, which result from olivine–clinopyroxene–plagioclase differentiation at intermediate–shallow pressure (〈3 kbar and in most cases 〈1 kbar). Deep and extensive magma mixing before injection into the crustal magma conduit system, located below the summit region, results in the apparent homogeneity of basalts erupted from the central area. As regards ‘peripheral’ eruptions, deep-seated stagnation of basaltic melts and differentiation at the mantle–crust transition zone (c. 4 kbar) produces a range of 5 magma compositions. We demonstrate that rapid magma ascent from deep-seated reservoirs can bypass the central plumbing system. The eruptions of these magmas both in the central area and on the densely populated flanks have major consequences in terms of volcanic hazard at PdF.
    Description: Published
    Description: 1717–1752
    Description: 2V. Struttura e sistema di alimentazione dei vulcani
    Description: JCR Journal
    Keywords: transitional basalts ; clinopyroxene crystallization and resorption ; mantle–crust underplating
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 24
    Publication Date: 2017-04-04
    Description: Stromboli is known for its persistent degassing and rhythmic strombolian activity occasionally punctuated by paroxysmal eruptions. The basaltic pumice and scoria emitted during paroxysms and strombolian activity, respectively, differ in their textures, crystal contents and glass matrix compositions, which testify to distinct conditions of crystallization, degassing and magma ascent. We present here an extensive dataset on major elements and volatiles (CO2, H2O, S and Cl) in olivine-hosted melt inclusions and embayments from pyroclasts emplaced during explosive eruptions of variable magnitude. Magma saturation pressures were assessed from the dissolved amounts of H2O and CO2 taking into account the melt composition evolution. Both pressures and melt inclusion compositions indicate that (1) Ca-basaltic melts entrapped in high-Mg olivines (Fo89–90) generate Stromboli basalts through crystal fractionation, and (2) the Stromboli plumbing system can be imaged as a succession of magma ponding zones connected by dikes. The 7–10 km interval, where magmas are stored and differentiate, is periodically recharged by new magma batches, possibly ranging from Ca-basalts to basalts, with a CO2-rich gas phase. These deep recharges promote the formation of bubbly basalt blobs, which are able to intrude the shallow plumbing system (2–4 km), where CO2 gas fluxing enhances H2O loss, crystallization and generation of crystal-rich, dense, degassed magma. Chlorine partitioning into the H2O–CO2-bearing gas phase accounts for its efficient degassing (≥69%) under the open-system conditions of strombolian activity. Paroxysms, however, are generated through predominantly closed-system ascent of basaltic magma batches from the deep storage zone. In this situation crystallization is negligible and sulfur exsolution starts at ≤170 MPa. Chlorine remains dissolved in the melt until lower pressures, only 16% being lost upon eruption. Finally, we propose a continuum in explosive eruption energy, from strombolian activity to large paroxysmal events, ultimately controlled by variable pressurization of the deep feeding system associated with magma and gas recharges.
    Description: Published
    Description: 603-626
    Description: 2.3. TTC - Laboratori di chimica e fisica delle rocce
    Description: 3.5. Geologia e storia dei vulcani ed evoluzione dei magmi
    Description: JCR Journal
    Description: reserved
    Keywords: Stromboli ; melt inclusions ; magmatic volatiles ; CO2 fluxing ; magma degassing ; 04. Solid Earth::04.04. Geology::04.04.05. Mineralogy and petrology ; 04. Solid Earth::04.08. Volcanology::04.08.03. Magmas
    Repository Name: Istituto Nazionale di Geofisica e Vulcanologia (INGV)
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  • 25
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    Oxford University Press
    In:  EPIC3Ocean Acidification, Oxford, Oxford University Press, pp. 291-311, ISBN: 978-0-19-959109-1
    Publication Date: 2014-04-15
    Repository Name: EPIC Alfred Wegener Institut
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  • 26
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    Oxford University Press
    In:  EPIC3Journal of Plankton Research, Oxford University Press, 34(5), pp. 399-415, ISSN: 0142-7873
    Publication Date: 2019-07-17
    Description: This study investigates the relationships between the spring phytoplankton community and environmental factors in the Brazil-Malvinas confluence region. Phytoplankton community composition was determined by the high performance liquid chromatography/CHEMTAX approach, complemented with microscopic examination. Abiotic factors included temperature, salinity, dissolved inorganic macronutrients (ammonium, nitrite, nitrate, phosphate and silicate), water column stability and upper mixed layer depth (UMLD). These environmental variables were reasonably informative to explain the variability of the phytoplankton communities (44% of variation explained). Cluster and canonical correspondence analyses allowed discrimination of four zones (coastal, Sub-Antarctic, tropical and intermediate zones), also identifiable in the T–S diagrams and in the nutrient spatial distribution patterns. The presence of nutrient-rich Sub-Antarctic waters was a major oceanographic feature, associated with diatoms and dinoflagellates. However, in the Sub-Antarctic zone, biomass was particularly low, probably as a result of grazing pressure, as suggested by chemical and biological indicators. In contrast, in oligotrophic tropical waters, phytoplankton was mainly composed by small nanoflagellates and cyanobacteria. A large intermediate zone was also dominated by nanoflagellates, mainly Phaeocystis antarctica, probably favored by strong water column stability. The coastal zone exhibited fairly similar conditions to those in the intermediate zone, but with deeper UMLD, a favorable condition for diatom growth. These results emphasize the importance of the properties of water masses and also biological processes such as grazing in structuring phytoplankton communities in the region.
    Repository Name: EPIC Alfred Wegener Institut
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  • 27
    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 Conservation Physiology 1 (2013): cot006, doi:10.1093/conphys/cot006.
    Description: Large whales are subjected to a variety of conservation pressures that could be better monitored and managed if physiological information could be gathered readily from free-swimming whales. However, traditional approaches to studying physiology have been impractical for large whales, because there is no routine method for capture of the largest species and there is presently no practical method of obtaining blood samples from free-swimming whales. We review the currently available techniques for gathering physiological information on large whales using a variety of non-lethal and minimally invasive (or non-invasive) sample matrices. We focus on methods that should produce information relevant to conservation physiology, e.g. measures relevant to stress physiology, reproductive status, nutritional status, immune response, health, and disease. The following four types of samples are discussed: faecal samples, respiratory samples (‘blow’), skin/blubber samples, and photographs. Faecal samples have historically been used for diet analysis but increasingly are also used for hormonal analyses, as well as for assessment of exposure to toxins, pollutants, and parasites. Blow samples contain many hormones as well as respiratory microbes, a diverse array of metabolites, and a variety of immune-related substances. Biopsy dart samples are widely used for genetic, contaminant, and fatty-acid analyses and are now being used for endocrine studies along with proteomic and transcriptomic approaches. Photographic analyses have benefited from recently developed quantitative techniques allowing assessment of skin condition, ectoparasite load, and nutritional status, along with wounds and scars from ship strikes and fishing gear entanglement. Field application of these techniques has the potential to improve our understanding of the physiology of large whales greatly, better enabling assessment of the relative impacts of many anthropogenic and ecological pressures.
    Description: This work was supported by the United States Office of Naval Research (award #N000141110435 to K.E.H., award #N000141110540 to R.M.R., and award #N0001412WX20890 to L.C.Y. and C.E.D.); the United Kingdom Natural Environmental Research Council (supporting A.J.H.); the National Center for Research Resources, a component of the United States National Institutes of Health (NIH; supporting C.E.D.); the NIH Roadmap for Medical Research (UL1 RR024146 supporting C.E.D.); The Hartwell Foundation (supporting C.E.D.) and the 2012 Marine Mammal Breath Workshop, which was funded by the National Oceanic and Atmospheric Administration’s Marine Mammal Health and Stranding Response Program.
    Keywords: Blow ; Biopsy dart ; Cetacea ; Faecal samples ; Non-invasive ; Visual health assessment
    Repository Name: Woods Hole Open Access Server
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  • 28
    Publication Date: 2022-05-25
    Description: © 2010 The Authors. This article is distributed under the terms of the Creative Commons Attribution-Noncommercial License. The definitive version was published in ICES Journal of Marine Science: Journal du Conseil 67 (2010): 365-378, doi:10.1093/icesjms/fsp262.
    Description: A commercial acoustic system, originally designed for seafloor applications, has been adapted for studying fish with swimbladders. The towed system contains broadband acoustic channels collectively spanning the frequency range 1.7–100 kHz, with some gaps. Using a pulse-compression technique, the range resolution of the echoes is ~20 and 3 cm in the lower and upper ranges of the frequencies, respectively, allowing high-resolution imaging of patches and resolving fish near the seafloor. Measuring the swimbladder resonance at the lower frequencies eliminates major ambiguities normally associated with the interpretation of fish echo data: (i) the resonance frequency can be used to estimate the volume of the swimbladder (inferring the size of fish), and (ii) signals at the lower frequencies do not depend strongly on the orientation of the fish. At-sea studies of Atlantic herring demonstrate the potential for routine measurements of fish size and density, with significant improvements in accuracy over traditional high-frequency narrowband echosounders. The system also detected patches of scatterers, presumably zooplankton, at the higher frequencies. New techniques for quantitative use of broadband systems are presented, including broadband calibration and relating target strength and volume-scattering strength to quantities associated with broadband signal processing.
    Description: The research was supported by the US Office of Naval Research, grants number N00014-04-1-0440 and N00014-04-1-0475, NOAA/CICOR cooperative agreement NA17RJ1223, NOAA/ National Marine Fisheries Service, and the J. Seward Johnson Chair of the WHOI Academic Programs Office.
    Keywords: Acoustic scattering ; Broadband ; Echosounder ; Fish ; Resonance
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  • 29
    Publication Date: 2022-05-25
    Description: © The Author(s), 2012. This article is distributed under the terms of the Creative Commons Attribution License. The definitive version was published in Nucleic Acids Research 40 (2012): W82-W87, doi:10.1093/nar/gks418.
    Description: Amplicon sequencing of the hypervariable regions of the small subunit ribosomal RNA gene is a widely accepted method for identifying the members of complex bacterial communities. Several rRNA gene sequence reference databases can be used to assign taxonomic names to the sequencing reads using BLAST, USEARCH, GAST or the RDP classifier. Next-generation sequencing methods produce ample reads, but they are short, currently ∼100–450 nt (depending on the technology), as compared to the full rRNA gene of ∼1550 nt. It is important, therefore, to select the right rRNA gene region for sequencing. The primers should amplify the species of interest and the hypervariable regions should differentiate their taxonomy. Here, we introduce TaxMan: a web-based tool that trims reference sequences based on user-selected primer pairs and returns an assessment of the primer specificity by taxa. It allows interactive plotting of taxa, both amplified and missed in silico by the primers used. Additionally, using the trimmed sequences improves the speed of sequence matching algorithms. The smaller database greatly improves run times (up to 98%) and memory usage, not only of similarity searching (BLAST), but also of chimera checking (UCHIME) and of clustering the reads (UCLUST). TaxMan is available at http://www.ibi.vu.nl/programs/taxmanwww/.
    Description: University of Amsterdam under the research priority area ‘Oral Infections and Inflammation’ (to B.W.B.); National Science Foundation [NSF/BDI 0960626 to S.M.H.]; the European Union Seventh Framework Programme (FP7/ 2007-2013) under ANTIRESDEV grant agreement no 241446 (to E.Z.).
    Repository Name: Woods Hole Open Access Server
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  • 30
    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 Briefings in Bioinformatics 15 (2014): 783-787, doi:10.1093/bib/bbt010.
    Description: The extremely high error rates reported by Keegan et al. in ‘A platform-independent method for detecting errors in metagenomic sequencing data: DRISEE’ (PLoS Comput Biol 2012;8:e1002541) for many next-generation sequencing datasets prompted us to re-examine their results. Our analysis reveals that the presence of conserved artificial sequences, e.g. Illumina adapters, and other naturally occurring sequence motifs accounts for most of the reported errors. We conclude that DRISEE reports inflated levels of sequencing error, particularly for Illumina data. Tools offered for evaluating large datasets need scrupulous review before they are implemented.
    Description: National Institutes of Health [1UH2DK083993 to M.L.S.]; National Science Foundation [BDI- 096026 to S.M.H.].
    Keywords: Next-generation sequencing ; Sequencing error ; Adapter ligation ; PCR ; Quality score
    Repository Name: Woods Hole Open Access Server
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  • 31
    Publication Date: 2022-05-25
    Description: © The Authors, 2010. This article is distributed under the terms of the Creative Commons Attribution-Noncommercial License. The definitive version was published in Journal of Plankton Research 32 (2010): 1355-1368, doi:10.1093/plankt/fbq062.
    Description: Increasing availability and extent of biological ocean time series (from both in situ and satellite data) have helped reveal significant phenological variability of marine plankton. The extent to which the range of this variability is modified as a result of climate change is of obvious importance. Here we summarize recent research results on phenology of both phytoplankton and zooplankton. We suggest directions to better quantify and monitor future plankton phenology shifts, including (i) examining the main mode of expected future changes (ecological shifts in timing and spatial distribution to accommodate fixed environmental niches vs. evolutionary adaptation of timing controls to maintain fixed biogeography and seasonality), (ii) broader understanding of phenology at the species and community level (e.g. for zooplankton beyond Calanus and for phytoplankton beyond chlorophyll), (iii) improving and diversifying statistical metrics for indexing timing and trophic synchrony and (iv) improved consideration of spatio-temporal scales and the Lagrangian nature of plankton assemblages to separate time from space changes.
    Description: This study was supported by NSF grants to R.J.: OCE-0727033, 0815838 and 0732152. NSF grants to A.C.T.: OCE-0535386, 0815051 and 0814413. NSF grant to J.A.R.: OCE 0815336.
    Keywords: Plankton ; Phenology ; Life history ; Climate change
    Repository Name: Woods Hole Open Access Server
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  • 32
    Publication Date: 2022-05-25
    Description: © The Authors, 2010. This article is distributed under the terms of the Creative Commons Attribution-Noncommercial 2.5 License. The definitive version was published in Genome Biology and Evolution 2 (2010): 304, doi:10.1093/gbe/evq022.
    Description: Reduction of various biological processes is a hallmark of the parasitic lifestyle. Generally, the more intimate the association between parasites and hosts the stronger the parasite relies on its host's physiology for survival and reproduction. However, some systems have been held to be indispensable, for example, the core pathways of carbon metabolism that produce energy from sugars. Even the most hardened anaerobes that lack oxidative phosphorylation and the tricarboxylic acid cycle have retained glycolysis and some downstream means to generate ATP. Here we describe the deep-coverage genome resequencing of the pathogenic microsporidiian, Enterocytozoon bieneusi, which shows that this parasite has crossed this line and abandoned complete pathways for the most basic carbon metabolism. Comparing two genome sequence surveys of E. bieneusi to genomic data from four other microsporidia reveals a normal complement of 353 genes representing 30 functional pathways in E. bieneusi, except that only 2 out of 21 genes collectively involved in glycolysis, pentose phosphate, and trehalose metabolism are present. Similarly, no genes encoding proteins involved in the processing of spliceosomal introns were found. Altogether, E. bieneusi appears to have no fully functional pathway to generate ATP from glucose. Therefore, this intracellular parasite relies on transporters to import ATP from its host.
    Description: This work was supported by grants from the Canadian Institutes for Health Research (MOP-84265), the National Institutes of Health (NIH AI31788, R21 AI52792, and R21 AI064118), and the National Science Foundation (MCB- 0135272). N.C. is a Scholar of the Canadian Institute for Advanced Research and is supported by a fellowship from the Swiss National Science Foundation (NSF) (PA00P3- 124166). D.E. is supported by the Swiss NSF. P.J.K. is a Fellow of the Canadian Institute for Advanced Research and a Senior Scholar of the Michael Smith Foundation for Health Research.
    Keywords: Microsporidia ; Parasite ; Glycolysis ; Carbon metabolism ; Reduction ; Evolution
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  • 33
    Publication Date: 2022-05-25
    Description: Author Posting. © The Authors, 2014. This article is posted here by permission of The Royal Astronomical Society for personal use, not for redistribution. The definitive version was published in Geophysical Journal International 197 (2014): 697-704, doi:10.1093/gji/ggu048.
    Description: After the 1960 M9.5 Valdivia, Chile earthquake, three types of geodetic observations were made during four time periods at nearby locations. These post-seismic observations were previously explained by post-seismic afterslip on the downdip extension of the 1960 rupture plane. In this study, we demonstrate that the post-seismic observations can be explained alternatively by volumetric viscoelastic relaxation of the asthenosphere mantle. In searching for the best-fitting viscosity model, we invert for two variables, the thickness of the elastic lithosphere, He, and the effective Maxwell decay time of the asthenosphere mantle, TM, assuming a 100-km-thick asthenosphere mantle. The best solutions to fit the observations in four sequential time periods, 1960–1964, 1960–1968, 1965–1973 and 1980–2010, each yield a similar He value of about 65 km but significantly increasing TM values of 0.7, 6, 10 and 80 yr, respectively. We calculate the corresponding viscoelastic Coulomb stress increase since 1960 on the future rupture plane of the 2010 M8.8 Maule, Chile earthquake. The calculated viscoelastic stress increase on the 2010 rupture plane varies gradually from 13.1 bars at the southern end to 0.1 bars at the northern end. In contrast, the stress increase caused by an afterslip model has a similar spatial distribution but slightly smaller values of 0.1–3.2 bars on the 2010 rupture plane.
    Description: This work was supported by a MIT/WHOI Joint Program Student Fellowship and a Graduate Student Fellowship from the WHOI Deep Ocean Exploration Institute (MD), as well as NSF Grant OCE-1141785 and a Deerbrook Foundation Award (JL).
    Keywords: Seismic cycle ; Transient deformation ; Seismicity and tectonics ; Subduction zone processes ; Dynamics: seismotectonics ; South America
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  • 34
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    Unknown
    Oxford University Press
    In:  EPIC3Geophysical Journal International, Oxford University Press, 193(3), pp. 1399-1414, ISSN: 0956-540X
    Publication Date: 2019-07-16
    Description: The Boreas Basin is located in the Norwegian-Greenland Sea between Northeast Greenland and Svalbard. Towards the east, it is bounded by the ultraslow mid-ocean Knipovich Ridge. Here, we present a 340-km-long seismic refraction line acquired during the expedition ARK-XXIV/3 of research vessel Polarstern in 2009, using 18 ocean bottom seismometers. It crosses the central Boreas Basin from the Knipovich Ridge to the Northeast Greenland margin. Thus, the line provides the first reliable crustal structure information of this basin. In addition, the gravity data acquired parallel to the seismic refraction line are used to calculate a 2.5-D gravity model. The P-wave velocity model shows an unusual ∼3-km-thin oceanic crust with seismic velocities less than 6.3 km s−1, indicating the absence of a significant oceanic layer 3. Mantle velocities vary between 7.5 kms−1 in the uppermost mantle and 8.0 km s−1 at approximately 15 km depth. The low velocities within the upper mantle may be explained by 13 per cent serpentinisation, which is negligible at about 15 km depth. Furthermore, the S-wave velocity model shows low Vp/Vs ratios in the mantle, indicating a highly serpentinised mantle at shallow depths. The gravity model has crustal densities between 2.3 and 2.9 g cm−3, which also point towards the absence of a significant thick oceanic layer 3. The results of our seismic refraction line and other geophysical data indicate that the entire Boreas Basin opened at ultraslow spreading rates since at least ∼28 Ma. No evidence for an extinct spreading ridge in the centre of the Boreas Basin was found.
    Repository Name: EPIC Alfred Wegener Institut
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  • 35
    facet.materialart.
    Unknown
    Oxford University Press
    In:  EPIC3The Natural History of the Crustacea, Vol. 6: Reproductive Biology, New York, U.S.A., Oxford University Press, 30 p., pp. 277-306, ISBN: 9780190688554
    Publication Date: 2021-02-24
    Description: Due to an exceptional variety of habitats, body plans, and lifestyles, crustaceans exhibit a wide array of mating systems. Some groups engage in simple, pure- search polygamous systems in which males usually search for receptive females. In other groups, males defend valuable resources to attract and/ or guard females to ensure paternity. Some species have developed highly complex systems of harem defense polygyny and monogamy, even cases of sub- and eusociality are reported. The expression of mating systems does not seem to be uniformly correlated to taxonomic affiliation, but is rather diverse within certain groups, suggesting that the evolution of mating systems is largely facilitated by the lifestyle of the species. Despite the broad range of mating systems in crustaceans, and although some groups have been studied comparably well, there remains a lack of knowledge about the behavioral and sexual biology of many species. In the light of the high diversity of lifestyles, mating systems, and habitats of certain groups, crustacean species would be ideal models to unravel the evolution of reproductive strategies and social behaviors.
    Repository Name: EPIC Alfred Wegener Institut
    Type: Inbook , peerRev
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  • 36
    Publication Date: 2022-05-26
    Description: © The Author(s), 2013. This article is distributed under the terms of the Creative Commons Attribution License. The definitive version was published in Genome Biology and Evolution 5 (2013): 2368-2381, doi:10.1093/gbe/evt179.
    Description: The dinoflagellates are an evolutionarily and ecologically important group of microbial eukaryotes. Previous work suggests that horizontal gene transfer (HGT) is an important source of gene innovation in these organisms. However, dinoflagellate genomes are notoriously large and complex, making genomic investigation of this phenomenon impractical with currently available sequencing technology. Fortunately, de novo transcriptome sequencing and assembly provides an alternative approach for investigating HGT. We sequenced the transcriptome of the dinoflagellate Alexandrium tamarense Group IV to investigate how HGT has contributed to gene innovation in this group. Our comprehensive A. tamarense Group IV gene set was compared with those of 16 other eukaryotic genomes. Ancestral gene content reconstruction of ortholog groups shows that A. tamarense Group IV has the largest number of gene families gained (314–1,563 depending on inference method) relative to all other organisms in the analysis (0–782). Phylogenomic analysis indicates that genes horizontally acquired from bacteria are a significant proportion of this gene influx, as are genes transferred from other eukaryotes either through HGT or endosymbiosis. The dinoflagellates also display curious cases of gene loss associated with mitochondrial metabolism including the entire Complex I of oxidative phosphorylation. Some of these missing genes have been functionally replaced by bacterial and eukaryotic xenologs. The transcriptome of A. tamarense Group IV lends strong support to a growing body of evidence that dinoflagellate genomes are extraordinarily impacted by HGT.
    Description: J.H.W. was supported by the NSF IGERT Program in Comparative Genomics at the University of Arizona (grant number DGE-0654435). This work was supported by grants from the National Science Foundation (grant numbers OCE-0723498, EF-0732440) and funding provided by the BIO5 Institute at the University of Arizona to J.D.H.
    Keywords: Gene innovation ; Alexandrium tamarense Group IV ; Phylogenetic profile ; Phylogenomics ; De novo transcriptome assembly ; Mitochondrial metabolism
    Repository Name: Woods Hole Open Access Server
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  • 37
    Publication Date: 2022-05-26
    Description: Author Posting. © Author, 2014. This article is posted here by permission of The Royal Astronomical Society for personal use, not for redistribution. The definitive version was published in Geophysical Journal International 198 (2014): 622-636, doi: 10.1093/gji/ggu121.
    Description: The robust statistical model of a Gaussian core contaminated by outlying data that underlies robust estimation of the magnetotelluric (MT) response function has been re-examined. The residuals from robust estimators are systematically long tailed compared to a distribution based on the Gaussian, and hence are inconsistent with the robust model. Instead, MT data are pervasively described by the alpha stable distribution family whose variance and sometimes mean are undefined. A maximum likelihood estimator (MLE) that exploits the stable nature of MT data is formulated, and its two-stage implementation in which stable parameters are first fit to the data and then the MT responses are solved for is described. The MLE is shown to be inherently robust, but differs from the conventional robust estimator because it is based on a model derived from the data, while robust estimators are ad hoc, being based on the robust model that is inconsistent with actual data. Propriety versus impropriety of the complex MT response was investigated, and a likelihood ratio test for propriety and its null distribution was established. The Cramér-Rao lower bounds for the covariance matrix of proper and improper MT responses were specified. The MLE was applied to exemplar long period and broad-band data sets from South Africa. Both are shown to be significantly stably distributed using the Kolmogorov–Smirnov goodness of fit and Ansari-Bradley non-parametric dispersion tests. Impropriety of the MT responses at both sites is pervasive, hence the improper Cramér-Rao bound was used to estimate the MLE covariance. The MLE is shown to be nearly unbiased and well described by a Gaussian distribution based on bootstrap simulation. The MLE was compared to a conventional robust estimator, establishing that the standard errors of the former are systematically smaller than for the latter and that the standardized differences between them exhibit excursions that are both too frequent and too large to be described by a Gaussian model. This is ascribed to pervasive bias of the robust estimator that is to some degree obscured by their systematically large confidence bounds. Finally, a series of topics for further investigation is proposed.
    Description: This work was supported by NSF grant EAR0809074.
    Keywords: Time series analysis ; Numerical approximations and analysis ; Fractals and multifractals ; Probability distributions ; Magnetotellurics
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  • 38
    Publication Date: 2022-05-26
    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 Plankton Research 36 (2014): 943-955, doi:10.1093/plankt/fbu029.
    Description: The mechanisms by which phytoplankton cope with stressors in the marine environment are neither fully characterized nor understood. As viruses are the most abundant entities in the global ocean and represent a strong top-down regulator of phytoplankton abundance and diversity, we sought to characterize the cellular response of two marine haptophytes to virus infection in order to gain more knowledge about the nature and diversity of microalgal responses to this chronic biotic stressor. We infected laboratory cultures of the haptophytes Haptolina ericina and Phaeocystis pouchetii with CeV-01B or PpV-01B dsDNA viruses, respectively, and assessed the extent to which host cellular responses resemble programmed cell death (PCD) through the activation of diagnostic molecular and biochemical markers. Pronounced DNA fragmentation and activation of cysteine aspartate-specific proteases (caspases) were only detected in virus-infected cultures of these phytoplankton. Inhibition of host caspase activity by addition of the pan-caspase inhibitor z-VAD-fmk did not impair virus production in either host–virus system, differentiating it from the Emiliania huxleyi-Coccolithovirus model of haptophyte–virus interactions. Nonetheless, our findings point to a general conservation of PCD-like activation during virus infection in ecologically diverse haptophytes, with the subtle heterogeneity of cell death biochemical responses possibly exerting differential regulation on phytoplankton abundance and diversity.
    Description: Funding to J.L.R, R.-A.S. and A.L. was provided by the Norwegian Research Council for the “VIPMAP” (nr. 186142) and “HAPTODIV” (nr. 190307) projects, and by the European Research Council Advanced Grant ERC-AG-LS8 “Microbial Network Organisation” (MINOS, project number 250254). J.L.R. received a FRIBIO overseas research fellowship from the Norwegian Research Council. K.D.B. and B.V.M. were supported by funding from the United States National Science Foundation (OCE-1061883).
    Keywords: Caspase ; DNA fragmentation ; IETD ; Phycodnaviridae ; z-VAD-fmk ; Haptophyte
    Repository Name: Woods Hole Open Access Server
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  • 39
    Publication Date: 2022-05-26
    Description: © The Author(s), 2014. This article is distributed under the terms of the Creative Commons Attribution License. The definitive version was published in Genome Biology and Evolution 6 (2014): 2210-2217, doi:10.1093/gbe/evu177.
    Description: The alpha subunits of voltage-gated calcium channels (Cavs) are large transmembrane proteins responsible for crucial physiological processes in excitable cells. They are assisted by three auxiliary subunits that can modulate their electrical behavior. Little is known about the evolution and roles of the various subunits of Cavs in nonbilaterian animals and in nonanimal lineages. For this reason, we mapped the phyletic distribution of the four channel subunits and reconstructed their phylogeny. Although alpha subunits have deep evolutionary roots as ancient as the split between plants and opistokonths, beta subunits appeared in the last common ancestor of animals and their close-relatives choanoflagellates, gamma subunits are a bilaterian novelty and alpha2/delta subunits appeared in the lineage of Placozoa, Cnidaria, and Bilateria. We note that gene losses were extremely common in the evolution of Cavs, with noticeable losses in multiple clades of subfamilies and also of whole Cav families. As in vertebrates, but not protostomes, Cav channel genes duplicated in Cnidaria. We characterized by in situ hybridization the tissue distribution of alpha subunits in the sea anemone Nematostella vectensis, a nonbilaterian animal possessing all three Cav subfamilies common to Bilateria. We find that some of the alpha subunit subtypes exhibit distinct spatiotemporal expression patterns. Further, all six sea anemone alpha subunit subtypes are conserved in stony corals, which separated from anemones 500 MA. This unexpected conservation together with the expression patterns strongly supports the notion that these subtypes carry unique functional roles.
    Keywords: Voltage-gated calcium channel ; Ion channel ; Cnidaria ; Nematostella vectensis ; Evolution of nervous system
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  • 40
    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 Nucleic Acids Research 40 (2012): 7132-7149, doi:10.1093/nar/gks467.
    Description: The capacity of microorganisms to respond to variable external conditions requires a coordination of environment-sensing mechanisms and decision-making regulatory circuits. Here, we seek to understand the interplay between these two processes by combining high-throughput measurement of time-dependent mRNA profiles with a novel computational approach that searches for key genetic triggers of transcriptional changes. Our approach helped us understand the regulatory strategies of a respiratorily versatile bacterium with promising bioenergy and bioremediation applications, Shewanella oneidensis, in minimal and rich media. By comparing expression profiles across these two conditions, we unveiled components of the transcriptional program that depend mainly on the growth phase. Conversely, by integrating our time-dependent data with a previously available large compendium of static perturbation responses, we identified transcriptional changes that cannot be explained solely by internal network dynamics, but are rather triggered by specific genes acting as key mediators of an environment-dependent response. These transcriptional triggers include known and novel regulators that respond to carbon, nitrogen and oxygen limitation. Our analysis suggests a sequence of physiological responses, including a coupling between nitrogen depletion and glycogen storage, partially recapitulated through dynamic flux balance analysis, and experimentally confirmed by metabolite measurements. Our approach is broadly applicable to other systems.
    Description: Office of Science (BER), U.S. Department of Energy [DE-FG02-07ER64388 to D.S. and DE-FG02- 08ER64511 to M.H.S.]; National Aeronautics and Space Administration, NASA Astrobiology Institute [NNA08CN84A to D.S.].
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  • 41
    Publication Date: 2020-09-01
    Description: Efforts to date have not advanced Indigenous participation, capacity building and knowledge in Arctic environmental science in Canada because Arctic environmental science has yet to acknowledge, or truly practice decolonizing research. The expanding literature on decolonizing and Indigenous research provides guidance towards these alternative research approaches, but less has been written about how you do this in practice and the potential role for non-Indigenous research partners in supporting Inuit self-determination in research. This paper describes the decolonizing methodology of a non-Indigenous researcher partner and presents a co-developed approach, called the Sikumiut model, for Inuit and non-Indigenous researchers interested in supporting Inuit self-determination. In this model the roles of Inuit and non-Indigenous research partners were redefined, with Inuit governing the research and non-Indigenous research partners training and mentoring Inuit youth to conduct the research themselves. The Sikumiut model shows how having Inuit in decision-making positions ensured Inuit data ownership, accessibility, and control over how their Inuit Qaujimajatuqangit is documented, communicated, and respected for its own scientific merit. It examines the benefits and potential to build on the existing research capacity of Inuit youth and describes the guidance and lessons learned from a non-Indigenous researcher in supporting Inuit self-determination in research. Pinasuktaujut maannamut pivaallirtittisimangimmata nunaqarqaarsimajunik ilautitauninginnik, pijunnarsivallianirmik ammalu qaujimajaujunik ukiurtartumi avatilirinikkut kiklisiniarnikkut kanata pijjutigillugu ukiurtartumi avatilirinikkut kiklisiniarnikkut ilisarsisimangimmata, uvaluunniit piliringimmata issaktausimangittunik silataanit qaujisarnirmut. Uqalimaagait issaktausimangittunit silataanit ammalu nunaqarqaarsimajut qaujisarningit piviqartittikmata tukimuagutaujunnarlutik asiagut qaujisarnikkut, kisiani titirartauqattanginnirsaukmat qanuq pilirigajarmangaata ammalu ilautitauningit nunaqarqaarsimangittut qaujisarnirmut ikajurtuilutik Inuit nangminiq qaujisaqattarnirmut. Taanna titirarsimajuq uqausiqartuq issaktausimangillutik iliqusiujumik nunaqarqaarsimangittut qaujisartiujut ammalu saqittillutik ikajurtigiiklutik pigiartittinirmik, taijaujuq sikumiut aturtanga, inungnut ammalu nunaqarqaarsimangittunut qaujisartinut pijumajunut ikajurtuilutik Inuit nangminiq qaujisarnirmut. Tavani aturtaujumi piliriaksangit Inuit ammalu nunaqarqaarsimangittut qaujisartiujut tukisinarsititaullutik, Inuit aulattillutik qaujisarnirmik ammalu nunaqarqaarsimangittut qausartit ilinniartittillutik ammalu pilimmaksaillutik makkuktunik inungnik nangminiq qaujisarunnarniarmata. Sikumiunut aturtaujuq takuksaujuq qanuq Inuit aaqiksuijiullutik Inuit pisimajiuniarlutik tinngirartaujunik, takujaujunnarningit ammalu aulatauningit qanuq inuit qaujimajatuqangit titirartaukmangaata, tusaumajjutaukmangaata ammaluikpigijaulutik kiklisiniarnikkut atuutiqarninginnik. Takunangniujuq pivaalliutaujunnartunik ammalu pirurpalliagajartunik maanna qaujisarniujumik pijunnarsiqullugit makkuktut Inuit ammalu uqausiulluni tukimuagutaujunnartut ammalu ilitausimajut nunaqarqaarsimangittunit qausartinit ikajurtuilutik inuit nangminiq qaujisarnirmut.
    Electronic ISSN: 2368-7460
    Topics: Geosciences
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  • 42
    Publication Date: 2020-08-25
    Description: A total of 344 soil cores were taken in annually cropped fields of Alberta, Saskatchewan, Manitoba, and Ontario from 2011 to 2013 in areas where the field shapes, or obstacles within fields, required the driving pattern of farm operations to overlap. Soil nitrate-N concentrations in overlapping areas were 60% greater, soil Olsen-P concentrations were 23% greater, and pH was 0.5 units greater at 0–15 cm depth compared with non-overlapping areas, suggesting smaller nutrient use efficiency and potential for greater nutrient loss.
    Print ISSN: 0008-4271
    Electronic ISSN: 1918-1841
    Topics: Geosciences , Agriculture, Forestry, Horticulture, Fishery, Domestic Science, Nutrition
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  • 43
    Publication Date: 2020-08-25
    Description: Differences in soil water retention (SWR) characteristics between soil types and the factors driving those differences provide important information for land management, particularly in regions such as the Colombian Andes, which have limited water-storage infrastructure and where soils provide plant-available water and other ecosystem services. The objective of this study was to explore relationships between SWR and physical, chemical, and mineralogical properties of Andisols and Inceptisols through a case study of two watersheds in the Colombian Andes. This study identified a complex relationship between total carbon (TC), short-range order (SRO) minerals, and SWR. Both soil types had high SWR, with volumetric water content at permanent wilting point between 39% and 53%. Principal component analysis showed association of SWR with TC, SRO minerals, and % clay in both soil types. The Andisols of this study were coarse textured, allophanic (rich in allophane and imogolite — up to 17% in the B horizon), and with up to 15% TC in the A horizon. In contrast, the Inceptisols were fine textured (〉30% clay) and higher in ferrihydrite than the Andisols. The formation of organo-metallic complexes was observed in A horizons; however, TC was lower under pasture than forest in both soil types. The addition of organic matter to soils with SRO minerals, such as the soils of this study, may foster the formation of organo-metallic complexes, stabilize soil C, and enhance SWR. Consequently, both study sites may benefit from management practices that increase soil organic matter.
    Print ISSN: 0008-4271
    Electronic ISSN: 1918-1841
    Topics: Geosciences , Agriculture, Forestry, Horticulture, Fishery, Domestic Science, Nutrition
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  • 44
    Publication Date: 2020-08-25
    Description: This study investigated differences in forest structure, organic layer thickness, soil organic carbon, and permafrost depth between late successional (LS) and post fire (PF, 90 to 120 years since burn) plots under black spruce (Picea mariana (Mill.) BSP) on fine-textured, poorly drained lacustrine sediments in the Copper River Basin, Alaska. We found that although live stem and seedling density and organic layer thickness (OLT) was not significantly different between PF and LS plots (28 ± 7 cm and 31 ± 10 cm, respectively), soil organic carbon (SOC) stocks (30 ± 10 kg m-2 and 46 ± 12 kg m-2, respectively), and permafrost depth (90 ± 28 cm and 56 ± 12 cm, respectively) remain significantly different. OLT was linearly related to 1 m SOC stocks for LS plots but not for PF plots, and LS plots had a greater proportion of highly decomposed (humic) material in the organic layer. Soil properties on PF plots appear to be on a trajectory of recovery towards LS plots with respect to SOC stocks, permafrost depth, and organic layer composition, but remain different despite nearly 100 years since fire disturbance and therefore potentially sensitive to changes in future fire frequency or climate.
    Print ISSN: 0045-5067
    Electronic ISSN: 1208-6037
    Topics: Agriculture, Forestry, Horticulture, Fishery, Domestic Science, Nutrition
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  • 45
    Publication Date: 2020-08-25
    Description: Global change-driven droughts are triggering worldwide forest dieback which are predicted to increase even further. Here, we combined genome-wide single nucleotide polymorphisms (SNPs) and dendrochronological approaches to assess genetically-based individual tree vulnerability to past extreme droughts that caused massive mortality of Nothofagus dombeyi forests in northern Patagonia. We collected fresh leaves and wood cores from pairs of Healthy Crown (HC) and Partially Affected crown (PA) trees at four sites impacted by 1998, 2008 and 2014 droughts. We used dendrochronological techniques to estimate parameters in terms of growth trends due to drought and genomic analysis to assess its relationship with water stress. While 5,155 neutral loci did not discriminate PA from HC trees, a set of 33 adaptive SNPs did so, 8 of which were related to hydric stress. Association analysis between genomic variants and dendrophenotypic traits yielded 6 SNPs that were associated with a growth measure as resilience to cope with drought. Our preliminary results indicate that susceptibility to drought in N. dombeyi could be determined at the genomic level. The combination of both approaches provides a framework for the identification and analysis of candidate genes for stress response in non-model species.
    Print ISSN: 0045-5067
    Electronic ISSN: 1208-6037
    Topics: Agriculture, Forestry, Horticulture, Fishery, Domestic Science, Nutrition
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  • 46
    Publication Date: 2020-08-27
    Description: The origin of the population of very massive stars observed within ∼0.4 pc of the supermassive black hole in the Galactic Centre is a mystery. Tidal forces from the black hole would likely inhibit in situ star formation whilst the youth of the massive stars would seem to exclude formation elsewhere followed by transportation (somehow) into the Galactic Centre. Here, we consider a third way to produce these massive stars from the lower mass stars contained in the nuclear stellar cluster which surrounds the supermassive black hole. A passing gas cloud can be tidally shredded by the supermassive black hole forming an accretion disc around the black hole. Stars embedded within this accretion disc will accrete gas from the disc via Bondi–Hoyle accretion, where the accretion rate on to a star, $dot{M}_star propto M_star ^2$. This super-exponential growth of accretion can lead to a steep increase in stellar masses, reaching the required 40–50 M⊙ in some cases. The mass growth rate depends sensitively on the stellar orbital eccentricities and their inclinations. The evolution of the orbital inclinations and/or their eccentricities as stars are trapped by the disc, and their orbits are circularized, will increase the number of massive stars produced. Thus accretion on to low-mass stars can lead to a top heavy stellar mass function in the Galactic Centre and other galactic nuclei. The massive stars produced will pollute the environment via supernova explosions and potentially produce compact binaries whose mergers may be detectable by the LIGO–VIRGO gravitational waves observatories.
    Print ISSN: 0035-8711
    Electronic ISSN: 1365-2966
    Topics: Physics
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  • 47
    Publication Date: 2020-08-27
    Description: We present a 3D semi-analytical model of self-gravitating discs, and include a prescription for dust trapping in the disc spiral arms. Using Monte Carlo radiative transfer, we produce synthetic ALMA (Atacama Large Millimeter/submillimeter Array) observations of these discs. In doing so, we demonstrate that our model is capable of producing observational predictions, and able to model real image data of potentially self-gravitating discs. For a disc to generate spiral structure that would be observable with ALMA requires that the disc’s dust mass budget is dominated by millimetre- and centimetre-sized grains. Discs in which grains have grown to the grain fragmentation threshold may satisfy this criterion; thus, we predict that signatures of gravitational instability may be detectable in discs of lower mass than has previously been suggested. For example, we find that discs with disc-to-star mass ratios as low as 0.10 are capable of driving observable spiral arms. Substructure becomes challenging to detect in discs where no grain growth has occurred or in which grain growth has proceeded well beyond the grain fragmentation threshold. We demonstrate how we can use our model to retrieve information about dust trapping and grain growth through multiwavelength observations of discs, and using estimates of the opacity spectral index. Applying our disc model to the Elias 27, WaOph 6, and IM Lup systems, we find gravitational instability to be a plausible explanation for the observed substructure in all three discs, if sufficient grain growth has indeed occurred.
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  • 48
    Publication Date: 2020-08-27
    Description: The star formation in molecular clouds is inefficient. The ionizing extreme-ultraviolet radiation (hν ≥ 13.6 eV) from young clusters has been considered as a primary feedback effect to limit the star formation efficiency (SFE). Here, we focus on the effects of stellar far-ultraviolet (FUV) radiation (6 eV ≤ hν ≤ 13.6 eV) during the cloud disruption stage. The FUV radiation may further reduce the SFE via photoelectric heating, and it also affects the chemical states of the gas that is not converted to stars (‘cloud remnants’) via photodissociation of molecules. We have developed a one-dimensional semi-analytical model that follows the evolution of both the thermal and chemical structure of a photodissociation region (PDR) during the dynamical expansion of an H ii region. We investigate how the FUV feedback limits the SFE, supposing that the star formation is quenched in the PDR where the temperature is above a threshold value (e.g. 100 K). Our model predicts that the FUV feedback contributes to reduce the SFEs for massive (Mcl ≳ 105 M⊙) clouds with low surface densities ($Sigma _{ m cl}lesssim 100~{ m M}_odot , { m pc}^{-2}$). Moreover, we show that a large part of the H2 molecular gas contained in the cloud remnants should be ‘CO-dark’ under the FUV feedback for a wide range of cloud properties. Therefore, the dispersed molecular clouds are potential factories of CO-dark gas, which returns into the cycle of the interstellar medium.
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  • 49
    Publication Date: 2020-08-31
    Description: The Pan-STARRS1 (PS1) 3π survey is a comprehensive optical imaging survey of three quarters of the sky in the grizy broad-band photometric filters. We present the methodology used in assembling the source classification and photometric redshift (photo-z) catalogue for PS1 3π Data Release 1, titled Pan-STARRS1 Source Types and Redshifts with Machine learning (PS1-STRM). For both main data products, we use neural network architectures, trained on a compilation of public spectroscopic measurements that has been cross-matched with PS1 sources. We quantify the parameter space coverage of our training data set, and flag extrapolation using self-organizing maps. We perform a Monte-Carlo sampling of the photometry to estimate photo-z uncertainty. The final catalogue contains 2,902,054,648 objects. On our validation data set, for non-extrapolated sources, we achieve an overall classification accuracy of $98.1\%$ for galaxies, $97.8\%$ for stars, and $96.6\%$ for quasars. Regarding the galaxy photo-z estimation, we attain an overall bias of =0.0005, a standard deviation of σ(Δznorm) = 0.0322, a median absolute deviation of MAD(Δznorm) = 0.0161, and an outlier fraction of $Pleft(|Delta z_{mathrm{norm}}|〉0.15 ight)=1.89\%$. The catalogue will be made available as a high-level science product via the Mikulski Archive for Space Telescopes.
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  • 50
    Publication Date: 2020-08-27
    Description: We present CO observations towards a sample of six H i-rich Ultradiffuse galaxies (UDGs) as well as one UDG (VLSB-A) in the Virgo Cluster with the Institut de RadioAstronomie Millimétrique (IRAM) 30-m telescope. CO J = 1–0 is marginally detected at 4σ level in AGC 122966, as the first detection of CO emission in UDGs. We estimate upper limits of molecular mass in other galaxies from the non-detection of CO lines. These upper limits and the marginal CO detection in AGC 122966 indicate low mass ratios between molecular and atomic gas masses. With the star formation efficiency derived from the molecular gas, we suggest that the inefficiency of star formation in such H i-rich UDGs is likely caused by the low efficiency in converting molecules from atomic gas, instead of low efficiency in forming stars from molecular gas.
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  • 51
    Publication Date: 2020-10-09
    Description: Diffuse nutrient pollution from agriculture has been the concern of policymakers for several decades, and yet it remains a persistent environmental issue. The current approach to mitigating the problem is predominantly via command and control regulation within the Nitrates Directive and the Water Framework Directive. This article will set out how diffuse pollution can be considered a wicked policy problem which acts as an explanation of how it has eluded the current regulatory regime. It will further establish that the traditional planning process overlooked the complexity of the problem. Finally, it will illustrate the ineffectiveness of the current regulatory framework to mitigate the problem. This will be exemplified through the legal framework of Northern Ireland.
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    Electronic ISSN: 1464-374X
    Topics: Energy, Environment Protection, Nuclear Power Engineering , Law
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  • 52
    Publication Date: 2020-08-31
    Description: Supermassive black holes (SMBHs) that reside at the centres of galaxies can inject vast amounts of energy into the surrounding gas and are thought to be a viable mechanism to quench star formation in massive galaxies. Here, we study the $10^{9-12.5}, mathrm{M_odot }$ stellar mass central galaxy population of the IllustrisTNG simulation, specifically the TNG100 and TNG300 volumes at z = 0, and show how the three components – SMBH, galaxy, and circumgalactic medium (CGM) – are interconnected in their evolution. We find that gas entropy is a sensitive diagnostic of feedback injection. In particular, we demonstrate how the onset of the low-accretion black hole (BH) feedback mode, realized in the IllustrisTNG model as a kinetic, BH-driven wind, leads not only to star formation quenching at stellar masses $gtrsim 10^{10.5}, mathrm{M_odot }$ but also to a change in thermodynamic properties of the (non-star-forming) gas, both within the galaxy and beyond. The IllustrisTNG kinetic feedback from SMBHs increases the average gas entropy, within the galaxy and in the CGM, lengthening typical gas cooling times from $10!-!100, mathrm{Myr}$ to $1!-!10, mathrm{Gyr}$, effectively ceasing ongoing star formation and inhibiting radiative cooling and future gas accretion. In practice, the same active galactic nucleus (AGN) feedback channel is simultaneously ‘ejective’ and ‘preventative’ and leaves an imprint on the temperature, density, entropy, and cooling times also in the outer reaches of the gas halo, up to distances of several hundred kiloparsecs. In the IllustrisTNG model, a long-lasting quenching state can occur for a heterogeneous CGM, whereby the hot and dilute CGM gas of quiescent galaxies contains regions of low-entropy gas with short cooling times.
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  • 53
    Publication Date: 2020-09-03
    Description: We study the stationary points of the hierarchical three body problem in the planetary limit (m1, m2 ≪ m0) at both the quadrupole and octupole orders. We demonstrate that the extension to octupole order preserves the principal stationary points of the quadrupole solution in the limit of small outer eccentricity e2 but that new families of stable fixed points occur in both prograde and retrograde cases. The most important new equilibria are those that branch off from the quadrupolar solutions and extend to large e2. The apsidal alignment of these families is a function of mass and inner planet eccentricity, and is determined by the relative directions of precession of ω1 and ω2 at the quadrupole level. These new equilibria are also the most resilient to the destabilizing effects of relativistic precession. We find additional equilibria that enable libration of the inner planet argument of pericentre in the limit of radial orbits and recover the non-linear analogue of the Laplace–Lagrange solutions in the coplanar limit. Finally, we show that the chaotic diffusion and orbital flips identified with the eccentric Kozai–Lidov mechanism and its variants can be understood in terms of the stationary points discussed here.
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  • 54
    Publication Date: 2020-08-31
    Description: Summary On 24th August 2016 at 01:36 UTC a ML6.0 earthquake struck several villages in central Italy, among which Accumoli, Amatrice and Arquata del Tronto. The earthquake was recorded by about 350 seismic stations, causing 299 fatalities and damage with macroseismic intensities up to 11. The maximum acceleration was observed at Amatrice station (AMT) reaching 916 cm/s2 on E-W component, with epicentral distance of 15 km and Joyner and Boore distance to the fault surface (RJB) of less than a kilometre. Motivated by the high levels of observed ground motion and damage, we generate broadband seismograms for engineering purposes by adopting a hybrid method. To infer the low frequency seismograms, we considered the kinematic slip model by Tinti et al. (2016). The high frequency seismograms were produced using a stochastic finite-fault model approach based on dynamic corner-frequency. Broadband synthetic time series were therefore obtained by merging the low and high frequency seismograms. Simulated hybrid ground motions were compared both with the observed ground motions and the ground-motion prediction equations (GMPEs), to explore their performance and to retrieve the region-specific parameters endorsed for the simulations. In the near-fault area we observed that hybrid simulations have a higher capability to detect near source effects and to reproduce the source complexity than the use of GMPEs. Indeed, the general good consistency found between synthetic and observed ground motion (both in the time and frequency domain), suggests that the use of regional-specific source scaling and attenuation parameters together with the source complexity in hybrid simulations improves ground motion estimations. To include the site effect in stochastic simulations at selected stations, we tested the use of amplification curves derived from HVRSs (horizontal-to-vertical response spectra) and from HVSRs (horizontal-to-vertical spectral ratios) rather than the use of generic curves according to NTC-18 Italian seismic design code. We generally found a further reduction of residuals between observed and simulated both in terms of time histories and spectra.
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  • 55
    Publication Date: 2020-09-03
    Description: Despite its likely importance in astrochemistry, pure rotational spectra are not observable for gas phase N2 since this molecule has no permanent dipole moment. Complexation of monomeric N2 with a cationic metal (MN2+) may be kinetically and thermodynamically favorable, and the detection of such MN2+ molecules could be useful tracers of N2 in order to probe its abundance and kinetics. Highly accurate quartic force field methods have been applied here to compute rotational and vibrational spectroscopic properties of the NaN2+ and MgN2+ molecules via a coupled cluster-based composite approach with additional corrections for post-CCSD(T) electron correlation and relativistic effects. The relative energies of various isomers have also been computed and show that both NaN2+ and MgN2+ have linear ground electronic states. At the highest level of theory, rotational constants (B0) of 4086.9 and 4106.0 MHz are predicted for NaN2+ and MgN2+, respectively, with dipole moments of 6.92 D and 4.34 D, respectively making them rotationally observable even at low concentrations. Post-CCSD(T) electron correlation corrections lower the N-N stretching frequency while relativistic corrections have a much smaller effect putting the fundamental frequencies at 2333.7 cm−1 and 2313.6 cm−1, respective of NaN2+ and MgN2+ slightly above that in N2H+. Additive corrections do not significantly change the other two vibrational modes. An anharmonic, zero-point corrected N2 dissociation energy of 7.3 and 7.0 kcal mol−1 is, respectively, reported for NaN2+ and MgN2+ suggesting possible formation of these molecules in protoplanetary disks or planetary nebulae that are metal- and nitrogen-rich.
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  • 56
    Publication Date: 2020-09-01
    Description: Simulations of galaxy formation tend to place star particles in orbits seriously different from circular in numbers far larger than seem reasonable for the bulges and stellar haloes of the nearby L ∼ L* galaxies that can be examined in particularly close detail. I offer an example of how the situation might be improved: a prescription for non-Gaussian initial conditions on the scale of galaxies.
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  • 57
    Publication Date: 2020-09-01
    Description: We present results from six epochs of quasi-simultaneous radio, (sub-)millimetre, infrared, optical, and X-ray observations of the black hole X-ray binary MAXI J1535−571. These observations show that as the source transitioned through the hard–intermediate X-ray state towards the soft–intermediate X-ray state, the jet underwent dramatic and rapid changes. We observed the frequency of the jet spectral break, which corresponds to the most compact region in the jet where particle acceleration begins (higher frequencies indicate closer to the black hole), evolves from the infrared band into the radio band (decreasing by ≈3 orders of magnitude) in less than a day. During one observational epoch, we found evidence of the jet spectral break evolving in frequency through the radio band. Estimating the magnetic field and size of the particle acceleration region shows that the rapid fading of the high-energy jet emission was not consistent with radiative cooling; instead, the particle acceleration region seems to be moving away from the black hole on approximately dynamical time-scales. This result suggests that the compact jet quenching is not caused by local changes to the particle acceleration, rather we are observing the acceleration region of the jet travelling away from the black hole with the jet flow. Spectral analysis of the X-ray emission shows a gradual softening in the few days before the dramatic jet changes, followed by a more rapid softening ∼1–2 d after the onset of the jet quenching.
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  • 58
    Publication Date: 2020-08-27
    Description: A 42-year sequence (1976–2017) of Scots pine tree diameter measurements using band dendrometers at the Aukštaitija National Park (Lithuania) study site was analysed. We have evaluated the intra- and inter annual growth dynamics of tree’s diameters and their response to meteorological forcing, as well as the long-term annual and monthly growth-rate changes in tree diameter in the study area. On average, the largest tree-diameter growth was found to have taken place during the month of June (35% of the annual increase). After June 24, the diameter growth rate decreased very strongly. The pine growth in May and August was mostly affected by the temperature of the previous month. The precipitation amount was the main driver that determined tree growth in June‒August. Heavy precipitation events had the largest impact on short-term tree-diameter increases. As a consequence of air temperature rise, we have determined the largest positive Scots pine tree diameter growth-rate changes in May and June during the period from 1976 to 2017.
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    Topics: Agriculture, Forestry, Horticulture, Fishery, Domestic Science, Nutrition
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  • 59
    Publication Date: 2020-09-01
    Description: Summary We explore here the benefits of using constraints from seismic tomography in gravity data inversion and how inverted density distributions can be improved by doing so. The methodology is applied to a real field case in which we reconstruct the density structure of the Pyrenees along a southwest-northeast transect going from the Ebro basin in Spain to the Arzacq basin in France. We recover the distribution of densities by inverting gravity anomalies under constraints coming from seismic tomography. We initiate the inversion from a prior density model obtained by scaling a pre-existing compressional seismic velocity Vp model using a Nafe-Drake relationship : the Vp model resulting from a full-waveform inversion of teleseismic data. Gravity data inversions enforce structural similarities between Vp and density by minimizing the norm of the cross-gradient between the density and Vp models. We also compare models obtained from 2.5D and 3D inversions. Our results demonstrate that structural constraints allow us to better recover the density contrasts close to the surface and at depth, without degrading the gravity data misfit. The final density model provides valuable information on the geological structures and on the thermal state and composition of the western region of the Pyrenean lithosphere.
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  • 60
  • 61
    Publication Date: 2020-09-18
    Description: Summary The relatively short duration of the early stages of subduction results in a poor geological record, limiting our understanding of this critical stage. Here, we utilize a 2D numerical model of incipient subduction, that is the stage after a plate margin has formed with a slab tip that extends to a shallow depth and address the conditions under which subduction continues or fails. We assess energy budgets during the evolution from incipient subduction to either a failed or successful state, showing how the growth of potential energy, and slab pull, is resisted by the viscous dissipation within the lithosphere and the mantle. The role of rheology is also investigated, as deformation mechanisms operating in the crust and mantle facilitate subduction. In all models, the onset of subduction is characterized by high lithospheric viscous dissipation and low convergence velocities, whilst successful subduction sees the mantle become the main area of viscous dissipation. In contrast, failed subduction is defined by the lithospheric viscous dissipation exceeding the lithospheric potential energy release rate and velocities tend towards zero. We show that development of a subduction zone depends on the convergence rate, required to overcome thermal diffusion and to localise deformation along the margin. The results propose a minimum convergence rate of ∼ 0.5 cm yr−1 is required to reach a successful state, with 100 km of convergence over 20 Myr, emphasizing the critical role of the incipient stage.
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  • 62
    Publication Date: 2020-09-22
    Description: Summary Although many studies have revealed that the atmospheric effects of electromagnetic wave propagation (including ionospheric and tropospheric water vapor) have serious impacts on Interferometric Synthetic Aperture Radar (InSAR) measurement results, atmospheric corrections have not been thoroughly and comprehensively investigated in many well-known cases of InSAR focal mechanism solutions, which means there is no consensus on whether atmospheric effects will affect the InSAR focal mechanism solution. Moreover, there is a lack of quantitative assessment on how much the atmospheric effect affects the InSAR focal mechanism solution. In this paper, we emphasized that it was particularly important to assess the impact of InSAR ionospheric and tropospheric corrections on the underground nuclear explosion modeling quantitatively. Therefore, we investigated the 4th North Korea (NKT-4) underground nuclear test using ALOS-2 liters-band SAR images. Because the process of the underground nuclear explosion was similar to the volcanic magma source activity, we modeled the ground displacement using the Mogi model. Both the ionospheric and tropospheric phase delays in the interferograms were investigated. Furthermore, we studied how the ionosphere and troposphere phase delays could bias the estimation of Mogi source parameters. The following conclusions were drawn from our case study: The ionospheric delay correction effectively mitigated the long-scale phase ramp in the full-frame interferogram, the standard deviation decreased from 1.83 cm to 0.85 cm compared to the uncorrected interferogram. The uncorrected estimations of yield and depth were 8.44 kt and 370.33 m, respectively. Compared to the uncorrected estimations, the ionospheric correction increased the estimation of yield and depth to 9.43 kt and 385.48 m while the tropospheric correction slightly raised them to 8.78 kt and 377.24 m. There were no obvious differences in the location estimations among the four interferograms. When both corrections were applied, the overall standard deviation was 1.16 cm, which was even larger than the ionospheric corrected interferogram. We reported the source characteristics of NKT-4 based on the modeling results derived from the ionospheric corrected interferogram. The preferred estimation of NKT-4 was a Mogi source located at 129°04′22.35‘E, 41°17′54.57″N buried at 385.48 m depth. The cavity radius caused by the underground explosion was 22.02 m. We reported the yield estimation to be 9.43 kt. This study showed that for large-scale natural deformation sources such as volcanoes and earthquakes, atmospheric corrections would be more significant, but even if the atmospheric signal did not have much complexity, the corrections should not be ignored.
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  • 63
    Publication Date: 2020-10-01
    Description: Factors that limit the range expansion of introduced species can offer insights into the basic ecology of these species and inform conservation of associated endemic species. North American red squirrels (Tamiasciurus hudsonicus (Erxleben, 1777)) were recently introduced to the island of Newfoundland, Canada, where they have been implicated in the decline of two endemic bird subspecies. During the summers of 2016 (following conifer masting) and 2017 (following nonmasting), we conducted surveys with 1960 point counts and playback to assess red squirrel distribution and habitat use across a 257 km2 montane landscape in western Newfoundland. We used generalized additive models with stepwise model selection to assess the relationship between land cover and red squirrel occurrence each summer. Red squirrels were most common at low elevations and were not detected at elevations above ∼500 m. Their occurrence was negatively associated with the presence of water, coniferous scrub, and 10- to 30-year-old fir–spruce but positively associated with the presence of 30- to 70-year-old fir–spruce and 〉70-year-old fir. Red squirrel presence was related to more land cover variables in 2016, after a masting year. The absence of red squirrels from forests at higher elevations apparently resulted from lack of suitable habitat rather than incomplete range expansion. Climate- or silviculture-induced changes in vegetation may alter mid- and upper-elevation habitat suitability.
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  • 64
    Publication Date: 2020-09-01
    Description: SUMMARY Self-consistent modelling of magmatic systems is challenging as the melt continuously changes its chemical composition upon crystallization, which may affect the mechanical behaviour of the system. Melt extraction and subsequent crystallization create new rocks while depleting the source region. As the chemistry of the source rocks changes locally due to melt extraction, new calculations of the stable phase assemblages are required to track the rock evolution and the accompanied change in density. As a consequence, a large number of isochemical sections of stable phase assemblages are required to study the evolution of magmatic systems in detail. As the state-of-the-art melting diagrams may depend on nine oxides as well as pressure and temperature, this is a 10-D computational problem. Since computing a single isochemical section (as a function of pressure and temperature) may take several hours, computing new sections of stable phase assemblages during an ongoing geodynamic simulation is currently computationally intractable. One strategy to avoid this problem is to pre-compute these stable phase assemblages and to create a comprehensive database as a hyperdimensional phase diagram, which contains all bulk compositions that may emerge during petro-thermomechanical simulations. Establishing such a database would require repeating geodynamic simulations many times while collecting all requested compositions that may occur during a typical simulation and continuously updating the database until no additional compositions are required. Here, we describe an alternative method that is better suited for implementation on large-scale parallel computers. Our method uses the entries of an existing preliminary database to estimate future required chemical compositions. Bulk compositions are determined within boundaries that are defined manually or through principal component analysis in a parameter space consisting of clustered database entries. We have implemented both methods within a massively parallel computational framework while utilizing the Gibbs free energy minimization program Perple_X. Results show that our autonomous approach increases the resolution of the thermodynamic database in compositional regions that are most likely required for geodynamic models of magmatic systems.
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  • 65
    Publication Date: 2020-08-29
    Description: The solid material of protoplanetary discs forms an asymmetric pattern around a low-mass planet ($M_mathrm{p}le 10, mathrm{ M}_oplus$) due to the combined effect of dust–gas interaction and the gravitational attraction of the planet. Recently, it has been shown that although the total solid mass is negligible compared to that of gas in protoplanetary discs, a positive torque can be emerged by a certain size solid species. The torque magnitude can overcome that of gas which may result in outward planetary migration. In this study, we show that the accretion of solid species by the planet strengthens the magnitude of solid torque being either positive or negative. We run two-dimensional, high-resolution ($1.5, m {K}imes 3, m {K}$) global hydrodynamic simulations of an embedded low-mass planet in a protoplanetary disc. The solid material is handled as a pressureless fluid. Strong accretion of well-coupled solid species by an $M_mathrm{p}lesssim 0.3, mathrm{ M}_oplus$ protoplanet results in the formation of such a strongly asymmetric solid pattern close to the planet that the positive solid torque can overcome that of gas by two times. However, the accretion of solids in the pebble regime results in increased magnitude negative torque felt by protoplanets and strengthened positive torque for Earth-mass planets. For $M_mathrm{p}ge 3, mathrm{ M}_oplus$ planets, the magnitude of the solid torque is positive, however, independent of the accretion strength investigated. We conclude that the migration of solid accreting planets can be substantially departed from the canonical type-I prediction.
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  • 66
    Publication Date: 2020-10-01
    Description: Ditch network maintenance promotes forest growth in drained peatland forests but increases nutrient and sediment loads, which are detrimental to water quality. Society needs to balance the harvest revenue from improved forest growth against deteriorating water quality. We examine socially optimal even-aged forest management in drained peatlands when harvesting and ditch network maintenance cause nutrient and sediment loading. The means to reduce loading include establishing overland flow fields and abstaining from ditch network maintenance. We characterize this choice analytically in a rotation framework and examine, in a numerical model, the key factors affecting the choice of forest management and water protection measures. We choose a drained peatland forest site located in northeastern Finland in the vicinity of ecologically vulnerable forest headwater streams. On the given drained forest site, we find a set of parameters under which implementing ditch network maintenance is privately but not socially optimal.
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  • 67
    Publication Date: 2020-09-01
    Description: The coma of comet 67P/Churyumov–Gerasimenko has been probed by the Rosetta spacecraft and shows a variety of different molecules. The ROSINA COmet Pressure Sensor and the Double Focusing Mass Spectrometer provide in situ densities for many volatile compounds including the 14 gas species H2O, CO2, CO, H2S, O2, C2H6, CH3OH, H2CO, CH4, NH3, HCN, C2H5OH, OCS, and CS2. We fit the observed densities during the entire comet mission between 2014 August and 2016 September to an inverse coma model. We retrieve surface emissions on a cometary shape with 3996 triangular elements for 50 separated time intervals. For each gas, we derive systematic error bounds and report the temporal evolution of the production, peak production, and the time-integrated total production. We discuss the production for the two lobes of the nucleus and for the Northern and Southern hemispheres. Moreover, we provide a comparison of the gas production with the seasonal illumination.
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  • 68
    Publication Date: 2020-09-01
    Description: We use KiDS weak lensing data to measure variations in mean halo mass as a function of several key galaxy properties (namely stellar colour, specific star formation rate, Sérsic index, and effective radius) for a volume-limited sample of GAMA galaxies in a narrow stellar mass range [M* ∼ (2–5) × 1010 M⊙]. This mass range is particularly interesting, inasmuch as it is where bimodalities in galaxy properties are most pronounced, and near to the break in both the galaxy stellar mass function and the stellar-to-halo mass relation (SHMR). In this narrow mass range, we find that both size and Sérsic index are better predictors of halo mass than either colour or SSFR, with the data showing a slight preference for Sérsic index. In other words, we find that mean halo mass is more tightly correlated with galaxy structure than either past star formation history or current star formation rate. Our results lead to an approximate lower bound on the dispersion in halo masses among log M* ≈ 10.5 galaxies: We find that the dispersion is ≳0.3 dex. This would imply either that offsets from the mean SHMR are closely coupled to size/structure or that the dispersion in the SHMR is larger than what past results have suggested. Our results thus provide new empirical constraints on the relationship between stellar and halo mass assembly at this particularly interesting mass range.
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  • 69
    Publication Date: 2020-09-01
    Description: We perform a comparative study between the only radio-detected Type I superluminous supernova (SLSN) PTF10hgi, and the most active repeating fast radio burst FRB121102. This study has its root in the hypothesized FRB-SLSN connection that states that magnetars born in SLSN can power FRBs. The wide-band spectrum (0.6–15 GHz) of PTF10hgi presented here, provides strong evidence for the magnetar wind nebular origin of the radio emission. The same spectrum also enables us to make robust estimates of the radius and the magnetic field of the radio-emitting region and demonstrates that the nebula is powered by the rotational energy of the magnetar. This spectrum is then compared with that of FRB121102 which we extend down to 400 MHz using archival data. The newly added measurements put very tight constraint on the emission models of the compact persistent source associated with FRB121102. We find that while both sources can be powered by the rotational energy of the underlying magnetar, the average energy injection rate is much higher in FRB121102. Hence, we hypothesize that, if PTF10hgi is indeed emitting fast radio bursts, those will be much weaker energetically than those from FRB121102.
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  • 70
    Publication Date: 2020-09-01
    Description: We propose a new intuitive metric for evaluating the tension between two experiments, and apply it to several data sets. While our metric is non-optimal, if evidence of tension is detected, this evidence is robust and easy to interpret. Assuming a flat ΛCDM cosmological model, we find that there is a modest 2.2σ tension between the DES Year 1 results and the Planck measurements of the Cosmic Microwave Background (CMB). This tension is driven by the difference between the amount of structure observed in the late-time Universe and that predicted from fitting the Planck data, and appears to be unrelated to the tension between Planck and local estimates of the Hubble rate. In particular, combining DES, Baryon Acoustic Oscillations (BAO), Big-Bang Nucleosynthesis (BBN), and supernovae (SNe) measurements recovers a Hubble constant and sound horizon consistent with Planck, and in tension with local distance-ladder measurements. If the tension between these various data sets persists, it is likely that reconciling all current data will require breaking the flat ΛCDM model in at least two different ways: one involving new physics in the early Universe, and one involving new late-time Universe physics.
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    Electronic ISSN: 1365-2966
    Topics: Physics
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  • 71
    Publication Date: 2020-10-01
    Description: Shadow fractions can be overestimated because of topographic shadows, which can occupy a significant area on aerial photographs of mountainous terrain. In this study, we first used high-dynamic-range (HDR) image analysis techniques to extract the original canopy shadow from the topographic shadows on aerial photographs. Subsequently, we applied the shadow fraction method to estimate selected forest attributes (stand height, basal area, and stem volume). In this paper, we discuss the effects of tree shadow fraction normalization, auxiliary spectral information, and forest type on forest attribute estimation. HDR image analysis successfully extracted canopy shadow information from topographic shadows. The tree shadow fraction normalization method had no obvious effect. The shadow fraction enhanced spectral information to estimate stand attributes. Using shadow fractions resulted in better estimates of stand height for mixed-hardwood forest ([Formula: see text] = 0.45), basal area for mixed-hardwood forest ([Formula: see text] = 0.50), and stem volume for conifer–hardwood forest ([Formula: see text] = 0.43). This difference in estimated results is related to the shade patterns produced by stand structures in the different forest types.
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  • 72
    Publication Date: 2013-08-01
    Description: This study analyzes the optimal management of Scots pine (Pinus sylvestris L.) stands by applying recent developments in numerical optimization methods and forest production ecology. Our approach integrates a process-based, stand-level growth model and a detailed economic description of stand management. The variables optimized include the initial stand density, the number, timing, type, and intensity of thinnings, and the rotation period. A generalized pattern search is used to maximize the present value of net timber revenue over an infinite time horizon. The model adopts quality pricing, which takes branch size and quality into account, to differentiate among five different timber assortments. The analysis also covers five different site types. The results demonstrate the necessity of optimizing all of the management variables simultaneously. Given a low interest rate, optimized thinning significantly increases the rotation period, volume yield, and economic outcome. At higher interest rates, optimal rotation may be shortest under the least fertile growth conditions. The inclusion of a detailed price structure reveals that previous results concerning sensitivity to timber price and the relationship between maximum sustainable yield and economic solutions do not hold true in models that provide a more realistic description of forest management.
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  • 73
    Publication Date: 2020-10-01
    Description: Forest supply chain planning must deal with many natural disturbance uncertainties such as fires, insects, and windthrow. One important consideration is wood infestation by invasive insects, as it causes environmental and economic harm. An example of invasive insects in Eastern Canada is the spruce budworm (Choristoneura fumiferana (Clemens)), which is the most destructive insect in North America’s conifer stands. In 2017, more than 5 million ha of forest were defoliated by spruce budworm in Quebec. Repeated defoliation causes tree mortality, reduction of growth rates, and reduced lumber quality. Consequently, different wood qualities with greatly varied values are found in the forest. Changes in the outbreak intensity impact wood values throughout the forest. One of the common actions to mitigate the economic and environmental damages is salvage harvesting. However, because of the large uncertainties and lack of detailed information, it is a difficult problem to model. We propose a multistage stochastic mixed-integer programming model for harvest scheduling under various outbreak intensities. The objective is to maximize revenues of wood value minus logistic costs while satisfying demand for wood in the industry. The results show that when there is an outbreak throughout the forest, the priority for salvage harvesting is to focus on forest areas with the lowest level of infestation.
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  • 74
    Publication Date: 2014-01-01
    Description: Estimating site productivity in irregular structures is complicated by variations in stand density, structure, composition in mixed stands, and suppression experienced by subordinate trees. Our objective was to develop an alternate to site index (SI) and demonstrate its application in models of individual-tree and stand growth. We analyzed coast redwood (Sequoia sempervirens (Lamb. ex D. Don) Endl.) tree and stand growth in a grid of 234 permanent sample plots covering a 110 ha study area in north coastal California. Partial harvesting created a mosaic of densities and openings throughout the 60-year-old redwood-dominated forest. Redwood SI was a poor predictor of volume increment (VI) per hectare among redwood in each plot over two decades after harvest. A new index of redwood basal area increment (BAI) productivity, calculated using inventory data for all stems in even-aged stands and the oldest cohort of multiaged stands, was a stronger predictor of VI. Diameter increment of individual redwood trees correlated strongly with stand density and the new BAI index. Forest managers should expect widely divergent responses following partial harvesting in crowded even-aged stands, with the greatest response coming from dominant redwoods with long crowns retained in areas with low residual stand density and high BAI index.
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  • 75
    Publication Date: 2020-08-01
    Description: Simple sequence repeat (SSR) and single nucleotide polymorphism (SNP) genotypes on the same plant samples of Chrysolepis chrysophylla (Douglas ex Hook.) Hjelmq. (Fagaceae; golden chinquapin) from 22 sites were used to determine genetic diversity and population structure. One site of C. sempervirens (Kellogg) Hjelmq. allowed interspecific vs. intraspecific comparisons. SSRs and SNPs yielded many similar results. Among-site variation contributed 13% to 17% of the genetic variation and Fst estimates of 0.14 to 0.17 were in the range expected among Fagaceae species rather than among populations within a species. The northern sites tended to group separately on the first two axes of multivariate scatterplots from southern sites. Sites in two geographically isolated areas were divergent: (i) the Hood Canal, Washington population was relatively more genetically distant from other golden chinquapin sites than was our C. sempervirens site; (ii) three coastal southern California sites were moderately diverged. The Hood Canal site had a negative inbreeding coefficient, fewer alleles, lower heterozygosity, and differed from the Skamania County, Washington site as well as all other sites. Hood Canal trees are distinguished by disjunct geography and by these molecular results. This suggests that the golden chinquapin near Hood Canal be treated as a management unit, and potential conservation actions are discussed.
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  • 76
    Publication Date: 2011-06-01
    Description: We evaluated the ability of constitutive and inducible defenses to protect trees and restrict herbivore reproduction across the endemic, incipient (i.e., transitory), and eruptive phases of a native bark beetle species. Host defenses were major constraints when mountain pine beetle (Dendroctonus ponderosae Hopkins) populations were low, but inconsequential after stand-level densities surpassed a critical threshold. We annually examined all lodgepole pines (Pinus contorta Douglas var. latifolia) in six 12–18 ha stands for 3–6 years for beetle attack and establishment as beetle densities progressed through various population phases. We also assayed a suite of tree physiological and chemical attributes and related them to subsequent attacks during that year. Rapidly inducible defenses appeared more important than constitutive defenses, and total monoterpenes were more important than particular constituents. Trees that exude more resin and accumulate higher monoterpene concentrations in response to simulated attack largely escaped natural attacks when populations were low. In stands where beetles had reached incipient densities, these defenses were ineffective. Larger diameter trees had more pronounced defenses than smaller diameter trees. As populations increased, beetles selected increasingly larger, more resource-rich trees, despite their better defenses. When populations were too low for cooperative attack, beetles exploited trees weakened by lower-stem insects. Behavioral plasticity allows beetles to persist at endemic levels until conditions shift, after which positive feedbacks predominate.
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  • 77
    Publication Date: 2020-07-17
    Description: The gravity model was used in this paper to clarify the influencing factors of the export value of non-timber forest products (NTFPs) for Vietnam from 2003 to 2017. The estimates of this model indicate the importance of the size of economies, distance, common borders, exchange rates, average forest area, natural forest closing (NFC) policy of the Vietnamese government, sanitary and phytosanitary measures (SPS), and the interaction of SPS and importers’ GDP (SPS-GDP) as determinants of NTFP export of Vietnam. The main result of this study is the distinct and contradictory effect of NFC policy and SPS measures. While, the NFC policy increase the value of Vietnam's NTFP exports, SPS measures significantly decrease the exportation. Using the SPS-GDP interaction variable yields a noticeable result: the negative impact of SPS on NTFP trade decreases with increasing income of NTFP importers. Furthermore, the NFC needs to continue to implement policies to increase investments in the NTFPs trade, increase the quality of NTFP products from planting, harvesting, to processing, to meet the requirements of future importers. The findings offer several implications both in theory and in practice for trade policies, economic development theory based on Vietnam's forest resources.
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  • 78
    Publication Date: 1983-12-01
    Description: The pine-wood nematode, Bursaphelenchusxylophilus (Steiner and Buhrer), was most commonly extracted from Cerambycidae emerging from nematode-infested pines in Minnesota and Wisconsin during 1981 and 1982. The greatest number of nematodes were extracted from Monochamusscutellatus (Say) and Monochamuscarolinensis (Olivier). Low numbers of B. xylophilus were found in some buprestids but no nematodes were found in the curulionid and scolytid beetles examined. Two species of Cerambycidae, Monochamusmannorator (Kiby.) and M. scutellatus were associated with B. xylophilus from balsam fir in Minnesota. Bursaphelenchusxylophilus from insects associated with balsam fir were morphologically different from insects associated with pine. Dauer larvae of B. xylophilus were concentrated in the thoracic segments of M. scutellatus and Monochamusmutator (Lec.) examined. Bursaphelenchusxylophilus was transmitted to twigs during maturation feeding and to logs during oviposition by M. carolinensis, M. mutator, and M. scutellatus.
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  • 79
    Publication Date: 2012-03-01
    Description: Woody biomass contributes about 6% of total energy production in Canada. One obstacle to the adoption of woody biomass for energy production is accurate data on sustainable supply. The purpose of this study is to demonstrate the assessment of woody biomass annually available for bioenergy production. The study area, located in northwestern Ontario, includes 18 forest management units (167 184 km2) and three existing and one proposed biomass-based power generating stations, with a potential annual demand of 2.2 million green tonnes (gt). First, pre- and post-harvest inventories were carried out to assess the availability of harvest residues. Second, two spatial database layers (land-use class and forest depletion) were developed. The pre- and post-harvest inventory data were combined with spatial data analysis to estimate woody biomass in each square kilometre of the study area. It was estimated that annually there was more than 2.1 million gt of forest harvest residue and 7.6 million gt of underutilized woody biomass technically available between 2002 and 2009 for bioenergy production, with an average annual forest depletion rate of 60 867 ha, 0.6% of the total productive forest area. The study provides a tool for assessing the sustainable availability of woody biomass feedstock for power generation.
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  • 80
    Publication Date: 1983-12-01
    Description: Alnusrubra Bong, dominates the first 65 – 80 years of a sere that is initiated naturally on the terraces of the Hoh River. Stands of 14, 24, and 65 years were studied to determine to what extent the Alnus stage enriched the nitrogen inventory of the site. Bare sandbars deposited by the river had a mean of 783 kg/ha nitrogen. Alnus communities caused an increase in the nitrogen inventory so that, by 65 years, total community nitrogen was 4659 kg/ha, soils held 3594 kg/ha N in the upper 45 cm, and Alnus trees held 942 kg/ha N. The nitrogen contents of the soil, Alnus wood, bark, and branches, grasses, total aboveground biomass, total belowground biomass, and sticks less than 1 cm diameter all showed significant increases from 14 to 65 years. The A. rubra stage is an important link in the nutrient inventory between unvegetated, recently deposited sandbars and the climax coniferous forests dominated by Tsugaheterophylla (Raf.) Sarg. and Piceasitchensis (Bong.) Carr.
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  • 81
    Publication Date: 2013-08-01
    Description: Current technical advances in the field of digital photogrammetry demonstrate the great potential of automatic image matching for deriving dense surface measurements of the forest canopy. In contrast to airborne laser scanning (ALS), aerial stereo images are updated more regularly by national or regional mapping agencies in several countries. Frequently, ALS-based terrain models (DTMs) are available, and thus photogrammetric canopy heights can be derived. However, currently, there is little knowledge as to how accurately forest attributes can be modeled using the aerial stereo images acquired by these official, regular aerial surveys, especially for mixed forests in central Europe. Thus, a photogrammetric point cloud derived from UltraCamX stereo images in combination with an ALS-DTM and a classification of coniferous and deciduous tree regions (based on orthoimages) was used to create a stratified estimation of timber volume and basal area in a mixed forest in Germany. Suitable models were derived at the plot level using explanatory variables from the photogrammetric point cloud (which was normalized using an ALS-DTM). The prior stratification of conifer- and deciduous-dominated field plots slightly improved the estimation accuracy. The results verify that stereo images can be an alternative to ALS data for modeling key forest attributes, even in mixed central European forests with complex structure.
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  • 82
    Publication Date: 2012-08-01
    Description: During periods with epidemic mountain pine beetle ( Dendroctonus ponderosae Hopkins) populations in lodgepole pine ( Pinus contorta Dougl. ex Loud. var. latifolia Engelm.) forests, large amounts of tree foliage are thought to undergo changes in moisture content and chemistry brought about by tree decline and death. However, many of the presumed changes have yet to be quantified. In this study, we quantified and compared fuel moisture, chemistry, and resulting flammability of bark beetle affected foliage in terms of ignitability, combustibility, consumability, and sustainability at a site in far eastern Idaho, USA. Results revealed substantial decreases in moisture content, the proportion of starches and sugars, and crude fat and increases in the proportions of lignin, cellulose, and hemicellulose in foliage of trees attacked in the previous year (yellow foliage) or more than two years previously (red foliage). Increases in emission rates of several terpenes that were correlated with flammability were also detected in yellow foliage. The flammability of fresh yellow and red foliage increased with regard to ignitability and sustainability, with shorter times to ignition, lower temperatures at ignition, and higher heat yields when compared with unattacked green foliage. Our results confirm the overwhelming importance of fuel moisture on flammability and suggest that fuel chemical composition also has significant effects on lodgepole pine foliage flammability.
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  • 83
    Publication Date: 2010-07-01
    Description: A synthesis was carried out to examine Alaska’s boreal forest fire regime. During the 2000s, an average of 767 000 ha·year–1 burned, 50% higher than in any previous decade since the 1940s. Over the past 60 years, there was a decrease in the number of lightning-ignited fires, an increase in extreme lightning-ignited fire events, an increase in human-ignited fires, and a decrease in the number of extreme human-ignited fire events. The fraction of area burned from human-ignited fires fell from 26% for the 1950s and 1960s to 5% for the 1990s and 2000s, a result from the change in fire policy that gave the highest suppression priorities to fire events that occurred near human settlements. The amount of area burned during late-season fires increased over the past two decades. Deeper burning of surface organic layers in black spruce ( Picea mariana (Mill.) BSP) forests occurred during late-growing-season fires and on more well-drained sites. These trends all point to black spruce forests becoming increasingly vulnerable to the combined changes of key characteristics of Alaska’s fire regime, except on poorly drained sites, which are resistant to deep burning. The implications of these fire regime changes to the vulnerability and resilience of Alaska’s boreal forests and land and fire management are discussed.
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  • 84
    Publication Date: 2012-07-01
    Description: A systematic evaluation of nonlinear fixed- and mixed-effects taper models in volume prediction was conducted. Among 33 taper equations, the best 1- to 10-parameter fixed-effects models according to fitting statistics were further analysed by comparing their predictions against the modelling data and an independent data set. Three alternative prediction strategies were compared using the best equation (Kozak II) in the absence of calibration data (the usual situation in forestry practice). Strategy 1 used a fixed-parameter model (marginal model), strategy 2 utilized the fixed part of a mixed-effects model (conditional model), and strategy 3 calculated a marginal prediction based on the mixed-effects model by averaging the predictions over the estimated distribution of random effects. Strategies 1 and 3 performed better than strategy 2 in model evaluation (in modelling data) and model validation (independent data). Strategy 3 was less biased than strategy 1 in model validation, and both had the same mean squared deviation. Strategy 3 shares the most advantageous features of the other prediction methods and is therefore recommended for forestry practice and for further research in different modelling disciplines within forest science.
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  • 85
    Publication Date: 2014-04-01
    Description: Broad-scale fire regime modelling is frequently based on large ecological and (or) administrative units. However, these units may not capture spatial heterogeneity in fire regimes and may thus lead to spatially inaccurate estimates of future fire activity. In this study, we defined homogeneous fire regime (HFR) zones for Canada based on annual area burned (AAB) and fire occurrence (FireOcc), and we used them to model future (2011–2040, 2041–2070, and 2071–2100) fire activity using multivariate adaptive regression splines (MARS). We identified a total of 16 HFR zones explaining 47.7% of the heterogeneity in AAB and FireOcc for the 1959–1999 period. MARS models based on HFR zones projected a 3.7-fold increase in AAB and a 3.0-fold increase in FireOcc by 2100 when compared with 1961–1990, with great interzone heterogeneity. The greatest increases would occur in zones located in central and northwestern Canada. Much of the increase in AAB would result from a sharp increase in fire activity during July and August. Ecozone- and HFR-based models projected relatively similar nationwide FireOcc and AAB. However, very high spatial discrepancies were noted between zonations over extensive areas. The proposed HFR zonation should help providing more spatially accurate estimates of future ecological patterns largely driven by fire in the boreal forest such as biodiversity patterns, energy flows, and carbon storage than those obtained from large-scale multipurpose classification units.
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  • 86
    Publication Date: 2020-08-01
    Description: Forest management, characterized in many northern countries by the predominance of clear cutting and growing even-aged and -sized trees, has simplified the structure of boreal forests. Consequences include alterations in cultural ecosystem services such as forest attractiveness, i.e., combined aesthetic and recreational values. Continuous-cover forestry might mitigate these effects through the use of selection and gap cutting, but these methods have been little studied, particularly from the attractiveness viewpoint. We used photo surveys to assess Finnish citizens’ perceptions of attractiveness of in-stand scenery of Scots pine (Pinus sylvestris L.) forests logged using different methods. (i) The attractiveness scores, given by respondents, declined steadily from unharvested forest through continuous-cover methods to seed-tree and clear-cut methods. (ii) Respondents with a negative attitude to forest management gave lower scores than respondents with a positive attitude, but the declining slopes of attractiveness against logging intensity were similar. (iii) In unharvested and less intensively managed stands, summer photos received higher scores than corresponding winter photos. (iv) Background variables (gender, education, living environment, memberships in recreational or nature NGOs, forestry profession, and forest ownership) had negligible effects on the scores. We recommend the use of continuous-cover logging methods in settlement and recreational areas.
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  • 87
    Publication Date: 2011-06-01
    Description: Forest disturbance history reconstructions in the eastern US commonly rely on the analysis of a single tree-ring series per individual. However, this method can result in an underrepresentation of radial growth releases and canopy disturbance events. We analyzed paired tree-ring series from 884 Quercus alba L. individuals to quantify discrepant patterns of intratree release frequency, magnitude, and initiation years. We also developed a model for Q. alba that accounts for this underrepresentation of releases. Of the 884 trees analyzed, 216 exhibited radial growth releases. Only 13 of these 216 trees recorded the same canopy disturbance events in both series. Through analysis of a single growth-ring series per tree, a minimum of 39 and a maximum of 241 releases could be detected from the trees in the data set. Of the total number of release events, 238 (85%) occurred only in one of the paired tree-ring series. For stand development studies requiring the frequency of canopy disturbance alone, a multiplicative factor of 1.72 can provide the information necessary without deviating from the standard practice in the eastern US of collecting and analyzing a single increment core per tree. Studies requiring spatially and temporally explicit information regarding disturbance should extract and analyze two or more tree-ring series per individual.
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  • 88
    Publication Date: 2012-04-01
    Description: Despite being a damaging foliar disease of Pinus species, little research has characterized spatial variation in disease severity of Cyclaneusma needle cast at a macroscale. Using an extensive data set describing Cyclaneusma needle cast (Ssev) on plantation-grown Pinus radiata D. Don stands distributed widely across New Zealand, the objectives of this research were to (i) develop a regression model describing Ssev, (ii) use this model to identify key drivers of Ssev and their functional form and relative importance, and (iii) develop spatial predictions of Ssev for New Zealand P. radiata under current climate. Using an independent validation data set, the final model accounted for 73% of the variance in Ssev using four significant (P 〈 0.001) explanatory variables and an isotrophic exponential model to account for the spatial covariance in the data. Ssev was most sensitive to elevation followed by mean winter air temperature, mean relative humidity during July, and then stand age. Ssev increased to a maximum at mean winter air temperatures of between 7 and 9 °C before declining. Relationships between Ssev and all other variables were linear and positive. Spatial predictions of Ssev varied widely throughout New Zealand. Values of Ssev were highest in moderately warm, wet, and humid high-elevation environments located in the central North Island. In contrast, relatively low values of Ssev were predicted in drier eastern and southern regions of New Zealand.
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  • 89
    Publication Date: 2020-09-01
    Description: The world’s forests are highly fragmented by linear disturbances, and many forests have failed to recover decades after abandonment. Lack of recovery is common in unproductive forests, such as treed peatlands, because of conditions that limit tree growth, including simplification of microtopography (loss of microsites). The persistence of these features affects biodiversity, but of particular concern in Canada is the detrimental effects on threatened woodland caribou. Although natural regeneration of trees in peatlands occurs in some places, it is not an effective recovery strategy for restoring the habitat of woodland caribou. This has led to restoration activities with costs exceeding CAD$12 500/km. However, current restoration does not consider wildfires, which can destroy planted trees but also initiate early seral conditions that favor natural regeneration. Here we compared tree regeneration on seismic lines and adjacent forest controls for burnt (75 sites) and unburnt (68 sites) treed peatlands in northeast Alberta, Canada. Tree regeneration (stems with a DBH 〈 1 cm/ha) varied from 28 500 in burnt lines, 11 440 in unburnt lines, and 18 210 in burnt forest, to 9520 in unburnt forest. Wildfires promoted denser regeneration in sites with a greater proportion of serotinous species and water table depth. Microtopography and terrain wetness explained regeneration on burnt lines, but not unburnt lines. In burnt and unburnt lines, sunlight, microtopography, and depth of water table most affected tree regeneration patterns.
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  • 90
    Publication Date: 2020-05-01
    Description: Because of the very high complexity of modern optimization models based on single trees, uncertainties are often disregarded. In this study, we present a modelling approach that allows partial harvesting but is still simple enough to consider risk. Our modelling approach investigates whether the inclusion of timber price uncertainty influences the harvesting schedule. The model considers positive growth response to the density reduction that follows harvesting. Testing the impact of uncertainty, we define the discounted net revenues of each harvest operation as random variables. We compare harvest scheduling both with and without the inclusion of uncertainty. We first model growth response based on a partial-harvest schedule, without integrating uncertainty from timber price fluctuations. The results show that harvesting tree cohorts at different times is financially optimal. We run the same model again, including the risk of timber price fluctuations. The inclusion of risk leads to slightly greater differences in recommended harvest timings. Because of the small difference observed, we conclude that it is unlikely that risk arising from fluctuating timber prices would strongly affect the results for more complex forest economic models concerning the optimal harvest schedules.
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  • 91
    Publication Date: 2012-08-01
    Description: Because quantitative data on the distribution of whole microhabitat sets are still lacking to indirectly assess taxonomic biodiversity in forests, we studied the distribution of seven key microhabitat types in 10 montane European beech ( Fagus sylvatica L.) – silver fir ( Abies alba Mill.) forests (Pyrénées, France) that had not been harvested for several decades. We examined 2105 live trees and 526 snags. Frequencies of cavities and dendrothelms were significantly higher on live beech than on fir. Sap runs were strictly found on live fir. Frequencies of cracks and saproxylic fungi were significantly higher on snags than on live trees. Seventy percent of live beeches but only 18% of firs carried one or more microhabitats. For both beech and fir and for each microhabitat type, we found, using the recursive partitioning method, one to three diameter thresholds that each corresponded to a significant change in the probability of microhabitat presence. When considering the whole microhabitat set, the most significant diameter thresholds were 42, 60, 73, and 89 cm for beech and 99 cm for fir. We suggest that forest managers conserve (i) mixed stands and (ii) beech with a diameter at breast height 〉90 cm and fir 〉100 cm. These rules should be adapted for each forest ecosystem.
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  • 92
    Publication Date: 2010-11-01
    Description: This study investigates geographic patterns of genetic variation in aspen (Populus tremuloides Michaux.) spring phenology with the aim of understanding adaptation of populations to climatic risk environments and the practical application of guiding seed transfer. We use a classical common garden experiment to reveal genetic differences among populations from western Canada and Minnesota, and we present a novel method to seamlessly map heat-sum requirements from remotely sensed green-up dates. Both approaches reveal similar geographic patterns: we find low heat-sum requirements in northern and high-elevation aspen populations, allowing them to take full advantage of a short growing season. High heat-sum requirements were found in populations from the central boreal plains of Saskatchewan and Alberta, and populations from Minnesota exhibit moderately low heat-sum requirements for budbreak. Analysis of corresponding climate normal data shows that late budbreak is strongly associated with the driest winter and spring environments, which suggests selection pressures for late budbreak due to both frost and drought risks in early spring. We therefore caution against long-distance seed transfer of Minnesota provenances to the boreal plains of Alberta and Saskatchewan. Although such transfers have been shown to increase tree growth in short-term field tests, this planting material may be susceptible to exceptional spring droughts.
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    Topics: Agriculture, Forestry, Horticulture, Fishery, Domestic Science, Nutrition
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  • 93
    Publication Date: 2012-01-01
    Description: The Duff Moisture Code (DMC) and Drought Code (DC) components of the Canadian Forest Fire Weather Index (FWI) System are used by fire managers to assess the vulnerability of organic soils to ignition and depth of burn despite being developed for upland soils. Given the need to assess wildfire risk in peatlands, we compared the DMC and DC in eight peatlands located in five regions in boreal Canada with water table position (WT) and surface volumetric moisture content (VMC). The slope of the change in WT and DC relationship ranged greatly (–0.01 to –0.11 cm) between sites and years likely due to differences in site-specific peat properties, catchment water supply, and presence of seasonal ice. A DC of 400, which has been associated with wildfire vulnerability in uplands, corresponded to a seasonal drop in WT in the range of 4–36 cm. The slopes of the relationships between DMC and DC with 5 and 15 cm VMC also varied greatly between sites. Our findings suggest that these FWI components are suitable for predicting the general moisture status and fire danger in boreal peatlands. However, there is a need for a modified DC for specific peat types to indicate when the WT has reached a critical depth upon which fire danger increases. We also present a suggested framework for the development of a new peat moisture code within the FWI.
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  • 94
    Publication Date: 2011-07-01
    Description: The relative abundance of two codominant Mediterranean tree species, shade-tolerant Quercus ilex L. and shade-intolerant Pinus halepensis Mill., is inversely correlated along aridity gradients, but this pattern is not explained by seedling responses to water or light availability, suggesting that subsequent life history stages may explain forest composition. To test this hypothesis, we calibrated statistical models of sapling growth and height–diameter allometry as functions of light availability and climatic variation as well as models of sapling mortality as a function of growth history. Contrary to the expectation of a sun–shade growth trade-off, P. halepensis grew faster than Q. ilex saplings at both low and high light levels. Low precipitation and aridity suppressed sapling growth rates, but no evidence of a shade–drought growth trade-off was found either. Pinus halepensis sapling mortality was strongly growth dependent, exhibiting high mortality rates at low growth, but the mortality of Q. ilex saplings was not. Height–diameter allometric variation was higher in low- than in high-light environments and was more pronounced with respect to changes in light than climatic water. Our results suggest that interspecific differences in sapling mortality and plasticity, rather than growth, may control species distributions at the mesic end of the aridity gradient.
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  • 95
    Publication Date: 2012-02-01
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  • 96
    Publication Date: 2013-08-01
    Description: We propose an approach to develop economic-based yields for even- and uneven-aged stands that could be compared with yields generated by using silvicultural treatments. Economic-based yields are derived from economic parameters that describe markets and the landowner’s ownership goals and objectives. This study highlights five conclusions. First, economic-based yields define a lower bound on silvicultural-based yields required to just satisfy these economic parameters and provide a metric of confidence that a silvicultural prescription would increase (or decrease) the landowner’s wealth. Second, a main driver of the economic-based yields is the opportunity costs of the reserve growing stock or regeneration costs and the land. Third, the economic-based yields followed a similar pattern regardless of whether the stand was defined as even- or uneven-aged. Fourth, the economic-based yields illustrate the physical impacts that recreational leases, taxes, or the sale of nontimber forest ecosystem goods and services have on this lower bound. Finally, if the economic-based yields are greater than the silvicultural-based yields and if physical output estimates could be derived for the suite of nontimber forest ecosystem goods and services resulting from the forest structure, then implied economic values for this suite of goods and services could be derived using the models presented.
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  • 97
    Publication Date: 2014-01-01
    Description: This paper attempts to address the question of how the value of the forest, the land, and the standing timber should be determined under the generalized Faustmann formula when the beginning and ending value of the land may be different. First, the formulas to determine the value of the forest and the land under such a situation were derived. These formulas were then used to separate the value of the trees from that of the forest. A comparison of the correctly determined valuations of the land against those obtained through a frequently used approximation method showed that at interest rates commonly used, the approximation method overestimates the land value and underestimates the value of the standing timber. Sensitivity analyses showed that higher future land value tends to affect the value of the land less at the beginning of the rotation and more at the end. Its impact on the value of the standing timber may or may not be affected, depending on whether the optimal harvest age is affected or not. Higher final harvest value and higher interest rate affect both the value of the land and the value of the standing timber throughout the entire rotation. Lastly, higher regeneration at the beginning of the rotation simply re-allocates the forest value between that of the land and that of the standing timber, reducing the former while increasing the latter.
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  • 98
    Publication Date: 1982-06-01
    Description: Flooding for 30 days induced several changes in Quercusmacrocarpa Michx. seedlings, with stomatal closure among the earliest responses. Stomata remained more closed in flooded than in unflooded plants during the entire experimental period. Leaf water potential was consistently higher in flooded than in unflooded plants. Other responses to flooding included acceleration of ethylene production by stems; formation of hypertrophied lenticels on submerged portions of stems; growth inhibition, with greatest reduction in roots; and formation of a few adventitious roots on submerged portions of the stem above the soil line. Some of the morphological responses to flooding, especially formation of hypertrophied lenticels, appeared to be associated with increased ethylene production. Quercusmacrocarpa seedlings adapted poorly to flooding as shown by failure of stomata to reopen after an early period of flooding and low capacity for production of adventitious roots. The much greater inhibition of root growth than shoot growth by flooding will reduce drought tolerance after floodwaters recede.
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  • 99
    Publication Date: 2014-12-01
    Description: Large eddy simulation (LES) based computational fluid dynamics (CFD) simulators have obtained increasing attention in the wildland fire research community, as these tools allow the inclusion of important driving physics. However, due to the complexity of the models, individual aspects must be isolated and tested rigorously to ensure meaningful results. As wind is a driving force that can significantly dictate the behavior of a wildfire, the simulation of wind is studied in the context of a particular LES CFD model, the Wildland–urban interface Fire Dynamics Simulator (WFDS). As WFDS has yet to be tested extensively with regard to wind flow within and above forest canopies, a study of its ability to do so is carried out. First, three simulations are conducted using periodic boundary conditions. Two of these assume a spatially heterogeneous forest and one models wind downstream of a canopy edge. Second, two simulations are conducted with specified “inflow” conditions using two inflow profiles: one static and one dynamic (driven by a precursor simulation). Using periodic boundary conditions, the model is found to generate profiles of mean velocity and turbulent statistics that are representative of experimental measurements. The dynamic inflow scenario is found to perform better than the static case.
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  • 100
    Publication Date: 2014-08-01
    Description: Liming and wood-ash addition have long been used to attenuate the effects of acidic deposition on forest soils with the goal of promoting tree growth. We performed quantitative meta-analyses of treatment studies from managed forest ecosystems to assess general tendencies of effects of treatment on seven selected measures of performance thought to reasonably reflect the effects of Ca-addition treatment. We retrieved over 350 independent trials from 110 peer-reviewed liming and wood-ash addition studies that were integrated to determine soil pH, base saturation (BS), tree foliar Ca concentration, tree growth, ectomychorrhizae root colonization, soil C-to-N ratio, and microbial indices. The results were quantified through three separate meta-analysis effect size metrics: unweighted relative values and two weighted metrics, Hedges’ d and ln R. A surprising number of treatment trials (22%–85%) reported no significant effect, and soil pH and foliar Ca appeared more responsive to liming than to wood-ash addition, whereas BS and tree growth appeared more responsive to wood-ash addition. For six of the seven parameters, estimated mean effect sizes were similar in magnitude and positive in direction for all three meta-analysis metrics. Regression tree optimal models explained 38% of the variation in pH, 47% of the variation in BS, 51% of the variation in foliar Ca concentration, and 26% of the variation in tree growth. The largest predictors of effect size, within our selected group, were as follows: soil type for pH; soil type, trial duration in years, and species (hardwood or softwood) for BS; treatment dose and type for foliar Ca concentration; and trial duration, initial soil pH, and tree species for tree growth. This analysis shows that Ca additions are not universally beneficial and provides insight into when Ca additions to forest soils are likely to be most effective.
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