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1.
Probabilistic seismic hazard analysis (PSHA) has been carried out for Iraq. The earthquake catalogue used in the present study covers an area between latitude 29°–38.5° N and longitude 39°–50° E containing more than a thousand events for the period 1905–2000. The entire Iraq region has been divided into thirteen seismogenic sources based on their seismic characteristics, geological setting and tectonic framework. The completeness of the seismicity catalogue has been checked using the method proposed by Stepp (1972). The analysis of completeness shows that the earthquake catalogue is not complete below Ms=4.8 for all of Iraq and seismic source zones S1, S4, S5, and S8, while it varies for the other seismic zones. A statistical treatment of completeness of the data file was carried out in each of the magnitude classes. The Frequency Magnitude Distributions (FMD) for the study area including all seismic source zones were established and the minimum magnitude of complete reporting (Mc) were then estimated. For the entire Iraq the Mc was estimated to be about Ms=4.0 while S11 shows the lowest Mc to be about Ms=3.5 and the highest Mc of about Ms=4.2 was observed for S4. The earthquake activity parameters (activity rate , b value, maximum regional magnitude mmax) as well as the mean return period (R) with a certain lower magnitude mmin m along with their probability of occurrence have been determined for all thirteen seismic source zones of Iraq. The maximum regional magnitude mmax was estimated as 7.87 ± 0.86 for entire Iraq. The return period for magnitude 6.0 is largest for source zone S3 which is estimated to be 705 years while the smallest value is estimated as 9.9 years for all of Iraq.The large variation of the b parameter and the hazard level from zone to zone reflects crustal heterogeneity and the high seismotectonic complexity. The seismic hazard near the source boundaries is directly and strongly affected by the change in the delineation of these boundaries. The forces, through which the geological structure along the plate boundary in Eastern and Northeastern Iraq are evolved, are still active causing stress-strain accumulation, deformation and in turn producing higher probabilities of earthquake activity. Thus, relatively large destructive earthquakes are expected in this region. The study is intended to serve as a reference for more advanced approaches and to pave the path for the probabilistic assessment of seismic hazard in this region.  相似文献   

2.
Interplate coupling plays an important role in the seismogenesis of great interplate earthquakes at subduction zones. The spatial and temporal variations of such coupling control the patterns of subduction zone seismicity. We calculate stresses in the outer rise based on a model of oceanic plate bending and coupling at the interplate contact, to quantitatively estimate the degree of interplate coupling for the Tonga, New Hebrides, Kurile, Kamchatka, and Marianas subduction zones. Depths and focal mechanisms of outer rise earthquakes are used to constrain the stress models. We perform waveform modeling of body waves from the GDSN network to obtain reliable focal depth estimates for 24 outer rise earthquakes. A propagator matrix technique is used to calculate outer rise stresses in a bending 2-D elastic plate floating on a weak mantle. The modeling of normal and tangential loads simulates the total vertical and shear forces acting on the subducting plate. We estimate the interplate coupling by searching for an optimal tangential load at the plate interface that causes the corresponding stress regime within the plate to best fit the earthquake mechanisms in depth and location.We find the estimated mean tangential load over 125–200 km width ranging between 166 and 671 bars for Tonga, the New Hebrides, the Kuriles, and Kamchatka. This magnitude of the coupling stress is generally compatible with the predicted shear stress at the plate contact from thermal-mechanical plate models byMolnar andEngland (1990), andVan den Buekel andWortel (1988). The estimated tectonic coupling,F tc , is on the order of 1012–1013 N/m for all the subduction zones.F tc for Tonga and New Hebrides is about twice as high as in the Kurile and Kamchatka arcs. The corresponding earthquake coupling forceF ec appears to be 1–10% of the tectonic coupling from our estimates. There seems to be no definitive correlation of the degree of seismic coupling with the estimated tectonic coupling. We find that outer rise earthquakes in the Marianas can be modeled using zero tangential load.  相似文献   

3.
Attenuation of seismic waves is very essential for the study of earthquake source parameters and also for ground-motion simulations, and this is important for the seismic hazard estimation of a region. The digital data acquired by 16 short-period seismic stations of the Delhi Telemetric Network for 55 earthquakes of magnitude 1.5 to 4.2, which occurred within an epicentral distance of 100 km in an area around Delhi, have been used to estimate the coda attenuation Qc. Using the Single Backscattering Model, the seismograms have been analyzed at 10 central frequencies. The frequency dependence average attenuation relationship Qc = 142f 1.04 has been attained. Four Lapse-Time windows from 20 to 50 seconds duration with a difference of 10 seconds have been analyzed to study the lapse time dependence of Qc. The Qc values show that frequency dependence (exponent n) remains similar at all the lapse time window lengths. While the change in Q0 values is significant, change in Q0 with larger lapsetime reflects the rate of homogeneity at the depth. The variation of Qc indicates a definitive trend from west to east in accordance with the geology of the region.  相似文献   

4.
We analyzed the available instrumental data on Italian earthquakes from1960 to 1996 to compute the parameters of the time-magnitudedistribution model proposed by Reasenberg and Jones (1989) andcurrently used to make aftershock forecasting in California. From 1981 to1996 we used the recently released Catalogo Strumentale deiTerremoti `Italiani' (CSTI) (Instrumental Catalog Working Group, 2001)joining the data of the Istituto Nazionale di Geofisica e Vulcanologia(INGV) and of the Italian major local seismic network, with magnituderevalued according to Gasperini (2001). From 1960 to 1980 we usedinstead the Progetto Finalizzato Geodinamica (PFG) catalog(Postpischl, 1985) with magnitude corrected to be homogeneous with thefollowing period. About 40 sequences are detected using two differentalgorithms and the results of the modeling for the corresponding ones arecompared. The average values of distribution parameters (p= 0.93±0.21, Log10(c) = –1.53±0.54, b = 0.96±0.18 and a = –1.66±0.72) are in fair agreementwith similar computations performed in other regions of the World. We alsoanalyzed the spatial variation of model parameters that can be used topredict the sequence behavior in the first days of future Italian seismic crisis,before a reliable modeling of the ongoing sequence is available. Moreoversome nomograms to expeditiously estimate probabilities and rates ofaftershock in Italy are also computed.  相似文献   

5.
This paper provides a generic equation for the evaluation of the maximum earthquake magnitude mmax for a given seismogenic zone or entire region. The equation is capable of generating solutions in different forms, depending on the assumptions of the statistical distribution model and/or the available information regarding past seismicity. It includes the cases (i) when earthquake magnitudes are distributed according to the doubly-truncated Gutenberg-Richter relation, (ii) when the empirical magnitude distribution deviates moderately from the Gutenberg-Richter relation, and (iii) when no specific type of magnitude distribution is assumed. Both synthetic, Monte-Carlo simulated seismic event catalogues, and actual data from Southern California, are used to demonstrate the procedures given for the evaluation of mmax.The three estimates of mmax for Southern California, obtained by the three procedures mentioned above, are respectively: 8.32 ± 0.43, 8.31 ± 0.42 and 8.34 ± 0.45. All three estimates are nearly identical, although higher than the value 7.99 obtained by Field et al. (1999). In general, since the third procedure is non-parametric and does not require specification of the functional form of the magnitude distribution, its estimate of the maximum earthquake magnitude mmax is considered more reliable than the other two which are based on the Gutenberg-Richter relation.  相似文献   

6.
Regional seismic apparent attenuation was estimated for Costa Rica, Central America, by using a time domain single scattering model of the shear wave coda decay of local earthquakes. The sensitivity of coda Q (Qc) measurements with respect to geological differences in the crust is demonstrated in eight sub-regions with a large variety of tectonic and geologic properties. The Qc estimations were performed for 96 selected local earthquakes recorded at 13 sites during a period of three months. In order to model the scattering as a weak process and to avoid short distance nonlinear effects, we made use of the S-wave coda data only from events within a hypocentral distance of 12 to 106 km with a lapse time between 9 and 53 s. Seismograms were also divided into groups with three different focal depths d, namely d<21 km, 21 kmc values are frequency dependent in the range 1–9 Hz, and are approximated by a least-squares fit to the power law Qc(f) = Q0(f/f0)n. The estimated parameters of the power-law dependence of Qc for the whole region, including all depths and possible wave paths, are Q0 = 91 (± 8.4) and n = 0.72 (±0.071). Differences in the parameter of Qc for different depths intervals are small, ranging from Q0 = 90 (±0.7) and n = 0.70 (±0.006) for the uppermost group, with focal depths less than 21 km, to Q0 = 97 (±0.7) and n = 0.79 (±0.005) for the deepest group with focal depths larger than 43 km. The regional differences in Qc for the eight sub-regions are significantly larger when compared with the differences between the three focal depth groups. An attempt is made to interpret the variation of Qc in terms of spatial variations in the geologic and tectonic properties of the crust. Other authors have found that the frequency exponent n might be larger in active tectonic areas and smaller in more stable regions. In the northern region of the Pacific coast we obtain a value of n = 0.52 (±0.011), which might indicate a lower level of tectonic activity when compared with n = 0.85 (±0.015) and 0.83 (±0.031), respectively, for the central and southern sub-regions along the Pacific coast. The latter two sub-regions are located closer to the active area near the Cocos ridge. We obtain the frequency exponent n = 0.72 (±0.052) along a major shear zone in central Costa Rica characterized by high volcanic activity and large geologic complexity. Values of n along the Panamean border are 0.62 (±0.029) in the north and 0.86 (±0.009) and 0.83 (±0.031) in two regions adjacent to the subduction zone and the Cocos Ridge, respectively.  相似文献   

7.
The spatio-temporal variation of seismicity in the southern Peru and northern Chile seismic gaps is analyzed with teleseismic data (m b 5.5) between 1965 and 1991, to investigate whether these gaps present the precursory combination of compressional outer-rise and tensional downdip events observed in other subduction zones. In the outer-rise and the inner-trench (0 to 100 km distance from the trench) region, lower magnitude (5.0m b <5.5) events were also studied. The results obtained show that the gaps in southern Peru and northern Chile do not present compressional outer-rise events. However, both gaps show a continuous, tensional downdip seismicity. For both regions, the change from compressional to tensional regime along the slab occurs at a distance of about 160 km from the trench, apparently associated with the coupled-uncoupled transition of the interplate contact zone. In southern Peru, an increase of compressional seismicity near the interplate zone and of tensional events (5.0m b 6.3) in the outer-rise and inner-trench regions is observed between 1987 and 1991. A similar distribution of seismicity in the outer-rise and inner-trench regions is observed with earthquakes (m b <5.5). In northern Chile there is a relative absence of compressional activity (m b 5.5) near the interplate contact since the sequence of December 21, 1967. After that, only a cluster of low-magnitude compressional events has been located in the area 50 to 100 km from the trench. The compressional activity occurring near the interplate zone in both seismic gaps represents that a seismic preslip is occurring in and near the plate contact. Therefore, if this seismic preslip is associated with the maturity of the gap, the fact that it is larger in southern Peru than in northern Chile may reflect that the former gap is more mature than the latter. However, the more intense downdip tensional activity and the absence of compressional seismicity near the contact zone observed in northern Chile, may also be interpreted as evidence that northern Chile is seismically more mature than southern Peru. Therefore, the observed differences in the distribution of stresses and seismicity analyzed under simple models of stress accumulation and transfer in coupled subduction zones are not sufficient to assess the degree of maturity of a seismic gap.  相似文献   

8.
S coda wave of seventy-four local earthquakes recorded in a network of ten seismic stations were used to calculate coda Q attenuation (Qc) in the João Câmara area (northeastern Brazil). The estimates show Qc as a strong function of frequency in the range from 6.0 to 20.0 Hz. We found out that Qc in João Câmara has a functional form given by Qc= Q0 f, where Q0= 151 ± 99 and = 0.98 ± 0.05. If the standard deviations are taken into account,we conclude that there are no relevant changes in both Q0 and values from one station to another. The estimated Q0 values at the different stations suggest that the Samambaia fault is a boundary between two different seismic attenuation zones. In one side of the fault (left), where stations were installed in Pre-Cambrian terrain and thick sedimentary layer, the seismic attenuation is stronger than in the other side (stations installed in thin sedimentary layer and limestone outcrop).The anomalous Q0 values in the left side of the Samambaia fault can be explained due to the presence of a shallow conductive layer in the upper crust( 10 km), such as proposed by Padilha et al. (1992). According to our results, if there is a conductive layer in the area, it probably spreads over João Câmara city and surrounding regions.However, more detailed investigation either with seismic methods (seismic attenuation,3D tomography with P and/or S wave velocities) or with other geophysical methods is needed to interpret the observed differences in Q0 values between the two sides of the Samambaia fault.  相似文献   

9.
The Comprehensive Nuclear-Test-Ban Treaty (CTBT), a global ban on nuclear explosions, is currently in a ratification phase. Under the CTBT, an International Monitoring System (IMS) of seismic, hydroacoustic, infrasonic and radionuclide sensors is operational, and the data from the IMS is analysed by the International Data Centre (IDC). The IDC provides CTBT signatories basic seismic event parameters and a screening analysis indicating whether an event exhibits explosion characteristics (for example, shallow depth). An important component of the screening analysis is a statistical test of the null hypothesis H 0: explosion characteristics using empirical measurements of seismic energy (magnitudes). The established magnitude used for event size is the body-wave magnitude (denoted m b) computed from the initial segment of a seismic waveform. IDC screening analysis is applied to events with m b greater than 3.5. The Rayleigh wave magnitude (denoted M S) is a measure of later arriving surface wave energy. Magnitudes are measurements of seismic energy that include adjustments (physical correction model) for path and distance effects between event and station. Relative to m b, earthquakes generally have a larger M S magnitude than explosions. This article proposes a hypothesis test (screening analysis) using M S and m b that expressly accounts for physical correction model inadequacy in the standard error of the test statistic. With this hypothesis test formulation, the 2009 Democratic Peoples Republic of Korea announced nuclear weapon test fails to reject the null hypothesis H 0: explosion characteristics.  相似文献   

10.
Recent results in extreme value theory suggest a new technique for statistical estimation of distribution tails (Embrechts et al., 1997), based on a limit theorem known as the Gnedenko-Pickands-Balkema-de Haan theorem. This theorem gives a natural limit law for peak-over-threshold values in the form of the Generalized Pareto Distribution (GPD), which is a family of distributions with two parameters. The GPD has been successfully applied in a number of statistical problems related to finance, insurance, hydrology, and other domains. Here, we apply the GPD approach to the well-known seismological problem of earthquake energy distribution described by the Gutenberg-Richter seismic moment-frequency law. We analyze shallow earthquakes (depth h<70 km) in the Harvard catalog over the period 1977–2000 in 12 seismic zones. The GPD is found to approximate the tails of the seismic moment distributions quite well over the lower threshold approximately M 1024 dyne-cm, or somewhat above (i.e., moment-magnitudes larger than m W =5.3). We confirm that the b-value is very different (b=2.06 ± 0.30) in mid-ocean ridges compared to other zones (b=1.00 ± 0.04) with a very high statistical confidence and propose a physical mechanism contrasting crack-type rupture with dislocation-type behavior. The GPD can as well be applied in many problems of seismic hazard assessment on a regional scale. However, in certain cases, deviations from the GPD at the very end of the tail may occur, in particular for large samples signaling a novel regime.  相似文献   

11.
The evidence of east-west compression in northeast Japan has been reported by many investigators on the basis of geodetic, geologic and geomorphic data, but its origin still remains far from understood. In the present study we have proposed a mechanical model of tectonic loading at convergent plate boundary zones, and demonstrated its validity through the numerical simulation of internal stress fields in northeast Japan with realistic 3-D geometry of plate interfaces. At convergent plate boundary zones, in general, a part of plate convergence is consumed by steady slip along plate interfaces, and the remaining part by inelastic deformation (seismic faulting, aseismic faulting, and active folding) of overriding plates. Such a plate boundary process to be called ``partial collision' can be quantitatively described by introducing a collision rate defined as c = 1 − steady slip rate at plate interfaces/plate convergence rate. By this definition, we can simply represent the mechanical process of partial collision, which includes total subduction (c = 0) and total collision (c = 1) as two extreme cases, in terms of steady slip rates at plate interfaces. On the basis of elastic dislocation theory, first, we numerically computed the internal stress fields in northeast Japan produced by the total subduction of the Pacific plate beneath the North American plate, however the computed stress pattern was opposite in sense to observations. Then, we computed the internal stress fields by taking c = 0.1 on average, and succeeded in reproducing the observed east-west compression in northeast Japan. This indicates that the concept of partial collision is essential to understand the mechanism of intraplate tectonic loading.  相似文献   

12.
In the Solomon Islands and New Britain subduction zones, the largest earthquakes commonly occur as pairs with small separation in time, space and magnitude. This doublet behavior has been attributed to a pattern of fault plane heterogeneity consisting of closely spaced asperities such that the failure of one asperity triggers slip in adjacent asperities. We analyzed body waves of the January 31, 1974,M w =7.3, February 1, 1974,M w =7.4, July 20, 1975 (1437)M w =7.6 and July 20, 1975 (1945),M w =7.3 doublet events using an iterative, multiple station inversion technique to determine the spatio-temporal distribution of seismic moment release associated with these events. Although the 1974 doublet has smaller body wave moments than the 1975 events, their source histories are more complicated, lasting over 40 seconds and consisting of several subevents located near the epicentral regions. The second 1975 event is well modeled by a simple point source initiating at a depth of 15 km and rupturing an approximate 20 km region about the epicenter. The source history of the first 1975 event reveals a westerly propagating rupture, extending about 50 km from its hypocenter at a depth of 25 km. The asperities of the 1975 events are of comparable size and do not overlap one another, consistent with the asperity triggering hypothesis. The relatively large source areas and small seismic moments of the 1974 doublet events indicate failure of weaker portions of the fault plane in their epicentral regions. Variations in the roughness of the bathymetry of the subducting plate, accompanying subduction of the Woodlark Rise, may be responsible for changes in the mechanical properties of the plate interface.To understand how variations in fault plane coupling and strength affect the interplate seismicity pattern, we relocated 85 underthrusting earthquakes in the northern Solomon Islands Are since 1964. Relatively few smaller magnitude underthrusting events overlap the Solomon Islands doublet asperity regions, where fault coupling and strength are inferred to be the greatest. However, these asperity regions have been the sites of several previous earthquakes withM s 7.0. The source regions of the 1974 doublet events, which we infer to be mechanically weak, contain many smaller magnitude events but have not generated any otherM s 7.0 earthquakes in the historic past. The central portion of the northern Solomon Islands Arc between the two largest doublet events in 1971 (studied in detail bySchwartz et al., 1989a) and 1975 contains the greatest number of smaller magnitude underthrusting earthquakes. The location of this small region sandwiched between two strongly coupled portions of the plate interface suggest that it may be the site of the next large northern Solomon Islands earthquake. However, this region has experienced no known earthquakes withM s 7.0 and may represent a relatively aseismic portion of the subduction zone.  相似文献   

13.
Dependence of the energy released during earthquake on ambient shear stress   总被引:1,自引:0,他引:1  
Starting with dislocation model, using the result of the fracture mechanics: the slip displacement at the crack tip is proportional to the length of the crack and the applied ambient shear stressτ 0 2 , we consider the dislocation in the earthquake to be the slip displacement at the crack tip and have obtained the analysis expresses of displacement and velocity pulse for the circular crack and have calculated the seismic wave energy radiated by earthquake. The seismic wave energyEM 0 τ 0 2 f(v) r , i. e.E is proportional to the seismic momentM 0 and the square of the ambient shear stressτ 0 2 and increases with the rupture velocityv r . In frequency domain, integrating the square of source velocity spectrum derived from our the scaling law model, we have also obtained the seismic wave energyE released by earthquake and earthquake radiated effficiencyη.EM 0 τ 0 2 also. If takingτ 0 = 10.0 MPa, E=4.79M 0. This result is consistent with the estimate by Vassiliou and Kanamori (1982). Theη=5.26%. The distribution of the seismic wave energy is that most of the energy contains in the frequency range between the first corner frequencyf c1 and thirdf c3, amount to 92.3% the energy in the rangef<f c1 is about 3.85% and 3.85% whenf>f c3. Thef c3 is about 8Hz forM ⩾ 6, thus most of radiated energy is below 2Hz. This phenomenon had been verified by Vassiliou Kanamori. Previous results show the energy radiated by earthquake to be strongly dependent on ambient shear stress. The Chinese version of this paper appeared in the Chinese edition ofActa Seismologica Sinica,15, 146–152, 1993. This work was supported by the Deutsche Forschungsgemeinschaft, Bonn, F. R. Germany. The support is grateful acknowledged. The authors are also grateful to Professor Klussmann and Mr. Hasthoff for their lots of help.  相似文献   

14.
A straightforward Bayesian statistic is applied in five broad seismogenic source zones of the northwest frontier of the Himalayas to estimate the earthquake hazard parameters (maximum regional magnitude M max, β value of G–R relationship and seismic activity rate or intensity λ). For this purpose, a reliable earthquake catalogue which is homogeneous for M W ≥ 5.0 and complete during the period 1900 to 2010 is compiled. The Hindukush–Pamir Himalaya zone has been further divided into two seismic zones of shallow (h ≤ 70 km) and intermediate depth (h > 70 km) according to the variation of seismicity with depth in the subduction zone. The estimated earthquake hazard parameters by Bayesian approach are more stable and reliable with low standard deviations than other approaches, but the technique is more time consuming. In this study, quantiles of functions of distributions of true and apparent magnitudes for future time intervals of 5, 10, 20, 50 and 100 years are calculated with confidence limits for probability levels of 50, 70 and 90 % in all seismogenic source zones. The zones of estimated M max greater than 8.0 are related to the Sulaiman–Kirthar ranges, Hindukush–Pamir Himalaya and Himalayan Frontal Thrusts belt; suggesting more seismically hazardous regions in the examined area. The lowest value of M max (6.44) has been calculated in Northern-Pakistan and Hazara syntaxis zone which have estimated lowest activity rate 0.0023 events/day as compared to other zones. The Himalayan Frontal Thrusts belt exhibits higher earthquake magnitude (8.01) in next 100-years with 90 % probability level as compared to other zones, which reveals that this zone is more vulnerable to occurrence of a great earthquake. The obtained results in this study are directly useful for the probabilistic seismic hazard assessment in the examined region of Himalaya.  相似文献   

15.
Strong ground motions are estimated for the Pacific Northwest assuming that large shallow earthquakes, similar to those experienced in southern Chile, southwestern Japan, and Colombia, may also occur on the Cascadia subduction zone. Fifty-six strong motion recordings for twenty-five subduction earthquakes ofM s7.0 are used to estimate the response spectra that may result from earthquakesM w<81/4. Large variations in observed ground motion levels are noted for a given site distance and earthquake magnitude. When compared with motions that have been observed in the western United States, large subduction zone earthquakes produce relatively large ground motions at surprisingly large distances. An earthquake similar to the 22 May 1960 Chilean earthquake (M w 9.5) is the largest event that is considered to be plausible for the Cascadia subduction zone. This event has a moment which is two orders of magnitude larger than the largest earthquake for which we have strong motion records. The empirical Green's function technique is used to synthesize strong ground motions for such giant earthquakes. Observed teleseismicP-waveforms from giant earthquakes are also modeled using the empirical Green's function technique in order to constrain model parameters. The teleseismic modeling in the period range of 1.0 to 50 sec strongly suggests that fewer Green's functions should be randomly summed than is required to match the long-period moments of giant earthquakes. It appears that a large portion of the moment associated with giant earthquakes occurs at very long periods that are outside the frequency band of interest for strong ground motions. Nevertheless, the occurrence of a giant earthquake in the Pacific Northwest may produce quite strong shaking over a very large region.  相似文献   

16.
A multi-event and multi-station inverse method is presented in the paper to simultaneously estimate the seismic moments (M 0) and source corner frequencies (f c) of several Jiashi (Xinjiang, China) earthquakes, as well as the apparent Lg Q models for the paths from Jiashi to eight seismic stations (WMQ, AAK, TLG, MAKZ, KUR, VOS, ZRN and CHK) in Central Asia. The resultant seismic moments correlate well with the M 0 values obtained by Harvard University using the centroid moment tensor (CMT) inversion and the surface-wave magnitudes as well. After the correction by a typical value of average radiation coefficient for regional SV waves, the M 0 values from Lg spectral inversion are still close to the corresponding values obtained from CMT inversion. The obtained apparent Q 0Lg values (Lg Q at 1 Hz) are consistent with the tectonic features of corresponding propagation paths. The Q 0Lg values are 351±87, 349±86 and 300±27 for the paths from Jiashi to AAK, TLG and MAKZ, respectively. They are smaller than Q 0Lg values for the paths to KUR, VOS, ZRN and CHK, which are 553±72, 569±58, 550±57 and 603±65, respectively. These results agree with the condition that the paths to AAK, TLG and MAKZ mainly propagate through the mountainous Tianshan area where relatively strong seismic activities and large variations of topography are exhibited, while the paths to KUR, VOS, ZRN and CHK mainly propagate through the stable area of Kazak platform. The Q 0Lg value for the path to WMQ is 462±56. This is also in agreement with the condition that the path to WMQ is basically along the border area between Tianshan Mountain and Tarim Basin, and along this path the variations of topography and crustal thickness are moderate in comparison with that along the path to MAKZ. Foundation item: Foundation of Verification Researches for Army Control Technology (413290102).  相似文献   

17.
On 26 January, 2001 (03:46:55,UT) a devastating intraplate earthquake of Mw 7.7 occurred in a region about 5 km NW of Bhachau, Gujarat (23.42°N, 70.23°E). The epicentral distribution of aftershocks defines a marked concentration along an E-W trending and southerly dipping (45°) zone covering an area of (60 × 40) km2. The presence of high seismicity including two earthquakes of magnitudes exceeding 7.7 in the 200 years is presumed to have caused a higher level of shallow crustal heterogeneity in the Kutch area; a site lying in the seismic zone V (zone of the highest seismicity for potentially M8 earthquakes) on the seismic zoning map of India. Attenuation property of the medium around the epicentral area of the Bhuj earthquake covering a circular area of 61,500 km2 with a radius of 140 km is studied by estimating the coda-Qc from 200 local earthquakes of magnitudes varying from 3.0–4.6. The estimated Q0 values at locations in the aftershock zone (high seismicity) are found to be low in comparison to areas at a distance from it. This can be attributed to the fact that seismic waves are highly scattered for paths through the seismically active and fractured zone but they are well behaved outside the aftershock zone. Distribution of Q0 values suggests that the local variation in Q0 values is probably controlled by local geology. The estimated Q0 values at different stations suggest a low value of Q=(102 ± 0.80)*f(0.98 ± 0.02) indicating an attenuative crust beneath the entire region. The frequency-dependent relation indicates a relatively low Qc at lower frequencies (1–3 Hz) that can be attributed to the loss of energy due to scattering attenuation associated with heterogeneities and/or intrinsic attenuation due to fluid movement in the fault zone and fluid-filled cracks. The large Qc at higher frequencies may be related to the propagation of backscattered body waves through deeper parts of the lithosphere where less heterogeneity is expected. Based on the attenuation curve estimated for Q0=102, the ground acceleration at 240 km distance is 13% of 1 g i.e., 0.13 g agreeing well with the ground acceleration recorded by an accelerograph at Ahmedabad (0.11 g). Hence, it is inferred that the Q0 value obtained from this study seems to be apt for prediction of ground motion for the region.  相似文献   

18.
The Cocos plate subducts beneath North America at the Mexico trench. The northernmost segment of this trench, between the Orozco and Rivera fracture zones, has ruptured in a sequence of five large earthquakes from 1973 to 1985; the Jan. 30, 1973 Colima event (M s 7.5) at the northern end of the segment near Rivera fracture zone; the Mar. 14, 1979 Petatlan event (M s 7.6) at the southern end of the segment on the Orozco fracture zone; the Oct. 25, 1981 Playa Azul event (M s 7.3) in the middle of the Michoacan gap; the Sept. 19, 1985 Michoacan mainshock (M s 8.1); and the Sept. 21, 1985 Michoacan aftershock (M s 7.6) that reruptured part of the Petatlan zone. Body wave inversion for the rupture process of these earthquakes finds the best: earthquake depth; focal mechanism; overall source time function; and seismic moment, for each earthquake. In addition, we have determined spatial concentrations of seismic moment release for the Colima earthquake, and the Michoacan mainshock and aftershock. These spatial concentrations of slip are interpreted as asperities; and the resultant asperity distribution for Mexico is compared to other subduction zones. The body wave inversion technique also determines theMoment Tensor Rate Functions; but there is no evidence for statistically significant changes in the moment tensor during rupture for any of the five earthquakes. An appendix describes theMoment Tensor Rate Functions methodology in detail.The systematic bias between global and regional determinations of epicentral locations in Mexico must be resolved to enable plotting of asperities with aftershocks and geographic features. We have spatially shifted all of our results to regional determinations of epicenters. The best point source depths for the five earthquakes are all above 30 km, consistent with the idea that the down-dip edge of the seismogenic plate interface in Mexico is shallow compared to other subduction zones. Consideration of uncertainties in the focal mechanisms allows us to state that all five earthquakes occurred on fault planes with the same strike (N65°W to N70°W) and dip (15±3°), except for the smaller Playa Azul event at the down-dip edge which has a steeper dip angle of 20 to 25°. However, the Petatlan earthquake does prefer a fault plane that is rotated to a more east-west orientation—one explanation may be that this earthquake is located near the crest of the subducting Orozco fracture zone. The slip vectors of all five earthquakes are similar and generally consistent with the NUVEL-predicted Cocos-North America convergence direction of N33°E for this segment. The most important deviation is the more northerly slip direction for the Petatlan earthquake. Also, the slip vectors from the Harvard CMT solutions for large and small events in this segment prefer an overall convergence direction of about N20°E to N25°E.All five earthquakes share a common feature in the rupture process: each earthquake has a small initial precursory arrival followed by a large pulse of moment release with a distinct onset. The delay time varies from 4 s for the Playa Azul event to 8 s for the Colima event. While there is some evidence of spatial concentration of moment release for each event, our overall asperity distribution for the northern Mexico segment consists of one clear asperity, in the epicentral region of the 1973 Colima earthquake, and then a scattering of diffuse and overlapping regions of high moment release for the remainder of the segment. This character is directly displayed in the overlapping of rupture zones between the 1979 Petatlan event and the 1985 Michoacan aftershock. This character of the asperity distribution is in contrast to the widely spaced distinct asperities in the northern Japan-Kuriles Islands subduction zone, but is somewhat similar to the asperity distributions found in the central Peru and Santa Cruz Islands subduction zones. Subduction of the Orozco fracture zone may strongly affect the seismogenic character as the overlapping rupture zones are located on the crest of the subducted fracture zone. There is also a distinct change in the physiography of the upper plate that coincides with the subducting fracture zone, and the Guerrero seismic gap to the south of the Petatlan earthquake is in the wake of the Orozco fracture zone. At the northern end, the Rivera fracture zone in the subducting plate and the Colima graben in the upper plate coincide with the northernmost extent of the Colima rupture zone.  相似文献   

19.
This study analyses the temporal clustering, spatial clustering, and statistics of the 2012–2013 Torreperogil-Sabiote (southern Spain) seismic swarm. During the swarm, more than 2200 events were located, mostly at depths of 2–5 km, with magnitude event up to mbLg 3.9 (Mw 3.7). On the basis of daily activity rate, three main temporal phases are identified and analysed. The analysis combines different seismological relationships to improve our understanding of the physical processes related to the swarm's occurrence. Each temporal phase is characterized by its cumulative seismic moment. Using several different approaches, we estimate a catalog completeness magnitude of mc≅ 1.5. The maximum likelihood b-value estimates for each swarm phase are 1.11 ± 0.09, 1.04 ± 0.04, and 0.90 ± 0.04, respectively. To test the hypothesis that a b-value decrease is a precursor to a large event, we study temporal variations in b-value using overlapping moving windows. A relationship can be inferred between change in b-value and the regime style of the rupture. b-values are indicators of the stress regime, and influence the size of ruptures. The fractal dimension D2 is used to perform spatial analysis. Cumulative gamma and beta functions are used to analyse the behaviour of inter-event distances during the earthquake sequence.  相似文献   

20.
Estimation of Maximum Earthquakes in Northeast India   总被引:1,自引:0,他引:1  
We attempt to estimate possible maximum earthquakes in the northeast Indian region for four seismic source zones, namely EHZ, MBZ, EBZ, and SHZ, which encapsulates the various seismogenic structures of the region and also for combined source zones taken as a single seismic source regime. The latter case exhibits a high maximum earthquake estimate of MW 9.4 (±0.85) through Bayesian interpretation of frequency magnitude distribution with Gamma function implicating a moderate deviation from the standard Gutenberg Richter model at the higher magnitudes. However, tapering Gutenberg Richter models with corner magnitudes at MW 8.01, 8.7 and 9.1, respectively indicated maximum values corresponding to MW 8.4, 9.0, and 9.3. The former approach was applied to each of the source zones wherein the data are presented in parts according to the data completeness, thereof. EHZ, MBZ, EBZ and SHZ are seen with maximum earthquakes of MW 8.35 (±0.59), 8.79 (±0.31), 8.20 (±0.50), and 8.73 (±0.70), respectively. The maximum possible earthquakes estimated for each individual zone are seen to be lower than that estimated for the single regime. However, the pertaining return periods estimated for the combined zone are far less than those estimated for the demarcated ones.  相似文献   

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