12 research outputs found
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Long-Term Time-Dependent Probabilities for the Third Uniform California Earthquake Rupture Forecast (UCERF3)
The 2014 Working Group on California Earthquake Probabilities (WGCEP 2014) presents time-dependent earthquake probabilities for the third Uniform California Earthquake Rupture Forecast (UCERF3). Building on the UCERF3 time-independent model published previously, renewal models are utilized to represent elastic-rebound-implied probabilities. A new methodology has been developed that solves applicability issues in the previous approach for unsegmented models. The new methodology also supports magnitude-dependent aperiodicity and accounts for the historic open interval on faults that lack a date-of-last-event constraint. Epistemic uncertainties are represented with a logic tree, producing 5760 different forecasts. Results for a variety of evaluation metrics are presented, including logic-tree sensitivity analyses and comparisons to the previous model (UCERF2). For 30 yr M ≥ 6.7 probabilities, the most significant changes from UCERF2 are a threefold increase on the Calaveras fault and a threefold decrease on the San Jacinto fault. Such changes are due mostly to differences in the time-independent models (e.g., fault-slip rates), with relaxation of segmentation and inclusion of multifault ruptures being particularly influential. In fact, some UCERF2 faults were simply too long to produce M 6.7 size events given the segmentation assumptions in that study. Probability model differences are also influential, with the implied gains (relative to a Poisson model) being generally higher in UCERF3. Accounting for the historic open interval is one reason. Another is an effective 27% increase in the total elastic-rebound-model weight. The exact factors influencing differences between UCERF2 and UCERF3, as well as the relative importance of logic-tree branches, vary throughout the region and depend on the evaluation metric of interest. For example, M ≥ 6.7 probabilities may not be a good proxy for other hazard or loss measures. This sensitivity, coupled with the approximate nature of the model and known limitations, means the applicability of UCERF3 should be evaluated on a case-by-case basis
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Uniform California Earthquake Rupture Forecast, Version 3 (UCERF3) —The Time-Independent Model
The 2014 Working Group on California Earthquake Probabilities
(WGCEP14) present the time-independent component of the Uniform California
Earthquake Rupture Forecast, Version 3 (UCERF3), which provides authoritative
estimates of the magnitude, location, and time-averaged frequency of potentially
damaging earthquakes in California. The primary achievements have been to relax
fault segmentation and include multifault ruptures, both limitations of UCERF2.
The rates of all earthquakes are solved for simultaneously and from a broader range
of data, using a system-level inversion that is both conceptually simple and extensible.
The inverse problem is large and underdetermined, so a range of models is
sampled using an efficient simulated annealing algorithm. The approach is more
derivative than prescriptive (e.g., magnitude–frequency distributions are no longer
assumed), so new analysis tools were developed for exploring solutions. Epistemic
uncertainties were also accounted for using 1440 alternative logic-tree branches,
necessitating access to supercomputers. The most influential uncertainties include
alternative deformation models (fault slip rates), a new smoothed seismicity algorithm,
alternative values for the total rate of M[subscript w] ≥ 5 events, and different scaling
relationships, virtually all of which are new. As a notable first, three deformation
models are based on kinematically consistent inversions of geodetic and geologic
data, also providing slip-rate constraints on faults previously excluded due to lack
of geologic data. The grand inversion constitutes a system-level framework for
testing hypotheses and balancing the influence of different experts. For example,
we demonstrate serious challenges with the Gutenberg–Richter hypothesis for
individual faults. UCERF3 is still an approximation of the system, however, and
the range of models is limited (e.g., constrained to stay close to UCERF2). Nevertheless,
UCERF3 removes the apparent UCERF2 overprediction of M 6.5–7 earthquake
rates and also includes types of multifault ruptures seen in nature. Although
UCERF3 fits the data better than UCERF2 overall, there may be areas that warrant
further site-specific investigation. Supporting products may be of general interest,
and we list key assumptions and avenues for future model improvements
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Decay of aftershock density with distance indicates triggering by dynamic stress
Testing the stress shadow hypothesis
[1] A fundamental question in earthquake physics is whether aftershocks are predominantly triggered by static stress changes (permanent stress changes associated with fault displacement) or dynamic stresses (temporary stress changes associated with earthquake shaking). Both classes of models provide plausible explanations for earthquake triggering of aftershocks, but only the static stress model predicts stress shadows, or regions in which activity is decreased by a nearby earthquake. To test for whether a main shock has produced a stress shadow, we calculate time ratios, defined as the ratio of the time between the main shock and the first earthquake to follow it and the time between the last earthquake to precede the main shock and the first earthquake to follow it. A single value of the time ratio is calculated for each 10 10 km bin within 1.5 fault lengths of the main shock epicenter. Large values of the time ratio indicate a long wait for the first earthquake to follow the main shock and thus a potential stress shadow, whereas small values indicate the presence of aftershocks. Simulations indicate that the time ratio test should have sufficient sensitivity to detect stress shadows if they are produced in accordance with the rate and state friction model. We evaluate the 1989 MW 7.0 Lom
Triggering of the 1999 M
There is strong observational evidence that the 1999 MW 7.1 Hector Mine earthquake in the Mojave Desert, California, was triggered by the nearby 1992 MW 7.3 Landers earthquake. Many authors have proposed that the Landers earthquake directly stressed the Hector Mine fault. Our model of the Landers aftershock sequence, however, suggests there is an 85% chance that the Hector Mine hypocenter was actually triggered by a chain of smaller earthquakes that was initiated by the Landers mainshock. We perform our model simulations using the Monte Carlo method based on the Gutenberg-Richter relationship, Omori's Law, Bth's Law, and assumptions that all earthquakes, including aftershocks, are capable of producing aftershocks, and that aftershocks produce their own aftershocks at the same rate that other earthquakes do. In general, our simulations show that if it has been more than several days since an M7 mainshock, most new aftershocks will be the result of secondary triggering. These secondary aftershocks are not physically constrained to occur where the original mainshock increased stress. This may explain the significant fraction of aftershocks that have been found to occur in mainshock stress shadows in static Coulomb stress triggering studies
Triggering of the 1999 MW 7.1 Hector Mine earthquake by aftershocks
tion; 7209 Seismology: Earthquake dynamics and mechanics; KEYWORDS: aftershocks, foreshocks, Hector Mine, Landers, Coulomb Citation: Felzer, K. R., T. W. Becker, R. E. Abercrombie, G. Ekstrom, and J. R. Rice, Triggering of the 1999 MW 7.1 Hector Mine earthquake by aftershocks of the 1992 MW 7.3 Landers earthquake, J. Geophys. Res., 107(B9), 2190, doi:10.1029/2001JB000911, 2002. 1. Introduction [2] On 16 October 1999, the MW 7.1 Hector Mine earthquake occurred in the Mojave Desert, California, only 7 years after and 20 km away from the 1992 MW 7.3 Landers earthquake (Figure 1). It is likely that the Landers earthquake triggered the Hector Mine earthquake, since the recurrence interval for M > 7 events in the Mojave Desert is predicted to be several thousand years or more from geodetic measurements [Sauber et al., 1994]. Yet attempts to establish that the Landers earthquake increased the static Coulomb stress at the Hector Mine hypocenter have proven to be inconclusive [Harris, 2000