254 research outputs found

    A phase coherence approach to identifying co-located earthquakes and tremor

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    We present and use a phase coherence approach to identify seismic signals that have similar path effects but different source time functions: co-located earthquakes and tremor. The method used is a phase coherence-based implementation of empirical matched field processing, modified to suit tremor analysis. It works by comparing the frequency-domain phases of waveforms generated by two sources recorded at multiple stations. We first cross-correlate the records of the two sources at a single station. If the sources are co-located, this cross-correlation eliminates the phases of the Green’s function. It leaves the relative phases of the source time functions, which should be the same across all stations so long as the spatial extent of the sources are small compared with the seismic wavelength. We therefore search for cross-correlation phases that are consistent across stations as an indication of co-located sources. We also introduce a method to obtain relative locations between the two sources, based on back-projection of interstation phase coherence. We apply this technique to analyse two tremor-like signals that are thought to be composed of a number of earthquakes. First, we analyse a 20 s long seismic precursor to a M 3.9 earthquake in central Alaska. The analysis locates the precursor to within 2 km of the mainshock, and it identifies several bursts of energy—potentially foreshocks or groups of foreshocks—within the precursor. Second, we examine several minutes of volcanic tremor prior to an eruption at Redoubt Volcano. We confirm that the tremor source is located close to repeating earthquakes identified earlier in the tremor sequence. The amplitude of the tremor diminishes about 30 s before the eruption, but the phase coherence results suggest that the tremor may persist at some level through this final interval

    A Method for Calibration of the Local Magnitude Scale Based on Relative Spectral Amplitudes, and Application to the San Juan Bautista, California, Area

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    We develop and use a spectral empirical Green’s function approach to estimate the relative source amplitudes of earthquakes near San Juan Bautista, California. We isolate the source amplitudes from path effects by comparing the recorded spectra of pairs of events with similar location and focal mechanism, without computing the path effect. With this method, we estimate the relative moments of 1600 M 1.5–4 local earthquakes, and we use these moments to recalibrate the duration magnitude scale in this region. The estimated moments of these small earthquakes increase with catalog magnitude MD roughly proportionally to 101.1MD, slightly more slowly than a moment‐magnitude scaling of 101.5Mw. This more accurate magnitude scaling can be used in analyses of the local earthquakes, such as comparisons between the seismic moments and geodetic observations

    Variations in slow slip moment rate associated with rapid tremor reversals in Cascadia

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    During large slow slip events, tremor sometimes propagates in the reverse along-strike direction for a few hours, at speeds 10 to 40 times faster than the forward propagation. We examine the aseismic slip that underlies this rapidly propagating tremor. We use PBO (Plate Boundary Observatory) borehole strainmeter data to search for variations in the slow slip moment rate during 35 rapid tremor reversals (RTRs) that occurred beneath Vancouver Island. The strain records reveal that, on average, the strain rate increases by about 100% ( math formula) during RTRs. Given the Green's functions expected for slip in the RTR locations, these strain rate increases imply 50 to 130% increases in the aseismic moment rate. The median moment released per RTR is between 8 and 21% of the daily slow slip moment, equivalent to that of a MW 5.0 to 5.1 earthquake. By combining the RTR moments with the spatial extents suggested by tremor, we estimate that a typical RTR has peak slip of roughly one-sixth of the peak slip in the main slow slip event, near-front slip rate of a few to ten times the main front slip rate, stress drop around half the main event stress drop, and strain energy release rate around one-tenth that of the main front. Our observations support a picture of RTRs as aseismic subevents with high slip rates but modest strain energy release. RTRs appear to contribute to but not dominate the overall slow slip moment, though they may accommodate most of the slip in certain locations

    Tidal modulation of slow slip in Cascadia

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    [1] Several studies have shown that the seismic tremor in episodic tremor and slip is tidally modulated, suggesting a sensitivity to the rather small tidal stresses. We address whether the slip rate in slow slip events is also tidally modulated by examining data from six borehole strainmeters in northwest Washington and southern Vancouver Island. We simultaneously fit data from multiple stations and from slow slip events occurring over a 3 year interval from January 2007 to June 2009, as we are unable to extract a meaningful signal from a single record. We find modulation of the strain rate with a 12.4 h period, that of the tide with the largest amplitude, that is significant at the 99% level. The amplitude of this modulation suggests that the slip rate during slow slip events oscillates, on average, 25% above and below its mean value during a tidal cycle. Tidal modulation estimates at three other periods are significant with more than 70% probability. The phase of maximum strain rate in the 12.4 h M2 period coincides with the phase of the maximum tremor rate taken from a catalog in an overlapping region. Comparison with a simple tidal loading model shows that the phase of maximum strain rate in the M2 period may occur at the maximum shear stress or up to 90° before it, depending on the location of slip in the subduction zone

    Stress Drops on the Blanco Oceanic Transform Fault from Interstation Phase Coherence

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    Oceanic transform faults display a wide range of earthquake stress drops, large aseismic slip, and along‐strike variation in seismic coupling. We use and further develop a phase coherence‐based method to calculate and analyze stress drops of 61 M≥5.0 events between 2000 and 2016 on the Blanco fault, off the coast of Oregon. With this method, we estimate earthquake rupture extents by examining how apparent source time functions (ASTFs) vary between stations. The variation is caused by the generation of seismic waves at different locations along the rupture, which arrive at different times depending on station location. We isolate ASTFs at a range of stations by comparing seismograms of collocated earthquakes and then use the interstation ASTF coherence to infer rupture extent and stress drop. We examine how our analysis is influenced by various factors, including poor trace alignment, relative earthquake locations, focal mechanism variation, azimuthal distribution of stations, and depth phase arrivals. We find that as alignment accuracy decreases or distance between earthquakes increases, coherence is reduced, but coherence is unaffected by focal mechanism variation or depth phase arrivals for our dataset. We calibrate the coherence–rupture extent relationship based on the azimuthal distribution of stations. We find the phase coherence method can be used to estimate stress drops for offshore earthquakes, but is limited to M≥5.0 earthquakes for the Blanco fault due to poor trace alignment accuracy. The median stress drop on the Blanco fault is 8 MPa (with 95% confidence limits of 6–12 MPa) for 61 earthquakes. Stress drops are a factor of 1.7 (95% confidence limits 0.8–3.5) lower on the more aseismic northwest segment of the Blanco fault. These lower stress drops could be linked to reduced healing time due to higher temperatures, which reduce the depth of the seismogenic zone and shorten the seismic cycle

    Environmentally friendly analysis of emerging contaminants by pressurized hot water extraction-stir bar sorptive extraction-derivatization and gas chromatography-mass spectrometry

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    This work describes the development, optimiza- tion, and validation of a new method for the simultaneous determination of a wide range of pharmaceuticals (beta- blockers, lipid regulators ... ) and personal care products (fragrances, UV filters, phthalates ... ) in both aqueous and solid environmental matrices. Target compounds were extracted from sediments using pressurized hot water ex- traction followed by stir bar sorptive extraction. The first stage was performed at 1,500 psi during three static extrac- tion cycles of 5 min each after optimizing the extraction temperature (50 – 150 °C) and addition of organic modifiers (% methanol) to water, the extraction solvent. Next, aqueous extracts and water samples were processed using polydime- thylsiloxane bars. Several parameters were optimized for this technique, including extraction and desorption time, ionic strength, presence of organic modifiers, and pH. Fi- nally, analytes were extracted from the bars by ultrasonic irradiation using a reduced amount of solvent (0.2 mL) prior to derivatization and gas chromatography – mass spectrome- try analysis. The optimized protocol uses minimal amounts of organic solvents (<10 mL/sample) and time ( ≈ 8 h/sam- ple) compared to previous ex isting methodologies. Low standard deviation (usually below 10 %) and limits of de- tection (sub-ppb) vouch for the applicability of the method- ology for the analysis of target compounds at trace levels. Once developed, the method was applied to determin

    Quality of life utility values for hereditary haemochromatosis in Australia

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    Background: Hereditary hemochromatosis (HH) is a common autosomal recessive disorder amongst persons of northern European heritage. If untreated, iron accumulates in parenchymal tissues causing morbidity and mortality. As diagnosis often follows irreversible organ damage, screening programs have been suggested to increase early diagnosis. A lack of economic evidence has been cited as a barrier to establishing such a program. Previous analyses used poorly estimated utility values. This study sought to measure utilities directly from people with HH in Australia. Methods: Volunteers with HH were recruited to complete a web-based survey. Utility was assessed using the Assessment of Quality of Life 4D (AQOL-4D) instrument. Severity of HH was graded into four categories. Multivariable regression analysis was performed to identify parameters associated with HSUV. Results: Between November 2013 and November 2014, 221 people completed the survey. Increasing severity of HH was negatively associated with utility. Mean (standard deviation) utilities were 0.76 (0.21), 0.81 (0.18), 0.60 (0.27), and 0.50 (0.27) for categories 1-4 HH respectively. Lower mean utility was found for symptomatic participants (categories 3 and 4) compared with asymptomatic participants (0.583 v. 0.796). Self-reported HH-related symptoms were negatively associated with HSUV (r = -0.685). Conclusions: Symptomatic stages of HH and presence of multiple self-reported symptoms were associated with decreasing utility. Previous economic analyses have used higher utilities which likely resulted in underestimates of the cost effectiveness of HH interventions. The utilities reported in this paper are the most robust available, and will contribute to improving the validity of future economic models for HH

    Acylsucrose-Producing Tomato Plants Forces Bemisia tabaci to Shift Its Preferred Settling and Feeding Site

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    [Background] The whitefly Bemisia tabaci (Genn.) causes dramatic damage to plants by transmitting yield-limiting virus diseases. Previous studies proved that the tomato breeding line ABL 14-8 was resistant to B. tabaci, the vector of tomato yellow leaf curl disease (TYLCD). This resistance is based on the presence of type IV glandular trichomes and acylsucrose production. These trichomes deter settling and probing of B. tabaci in ABL 14-8, which reduces primary and secondary spread of TYLCD.[Methodology/Principal Findings] Whitefly settlement preference was evaluated on the adaxial and abaxial leaf surfaces of nearly-isogenic tomato lines with and without B. tabaci-resistance traits, 'ABL 14-8 and Moneymaker' respectively, under non-choice and free-choice conditions. In addition, the Electrical Penetration Graph technique was used to study probing and feeding activities of B. tabaci on the adaxial and abaxial leaf surfaces of the same genotypes. B. tabaci preferred to settle on the abaxial than on the adaxial surface of 'Moneymaker' leaves, whereas no such preference was observed on ABL 14-8 tomato plants at the ten-leaf growth stage. Furthermore, B. tabaci preferred to feed on the abaxial than on the adaxial leaf surface of 'Moneymarker' susceptible tomato plants as shown by a higher number of sustained phloem feeding ingestion events and a shorter time to reach the phloem. However, B. tabaci standard probing and feeding behavior patterns were altered in ABL 14-8 plants and whiteflies were unable to feed from the phloem and spent more time in non-probing activities when exposed to the abaxial leaf surface.[Conclusions/Significance] The distorted behavior of B. tabaci on ABL 14-8 protects tomato plants from the transmission of phloem-restricted viruses such as Tomato yellow leaf curl virus (TYLCV), and forces whiteflies to feed on the adaxial side of leaves where they feed less efficiently and become more vulnerable to natural enemies. © 2012 Rodriguez-Lopez et al.Ministerio de Ciencia e Innovación Spain (co-financed by FEDER) projects: AGL2007-66760-C02-02/AGR, AGL2007-66399-CO3-02/AGR, and AGL2010-22287-C02-01/AGR, AGL2010-22287-C02-01/AGR Consejería de Innovación y Ciencia, Junta de Andalucía, Spain (co-financed by FEDER-FSE) projects: AGR-214 and AGR-129Peer Reviewe

    Socio-cultural influences on the behaviour of South Asian women with diabetes in pregnancy: qualitative study using a multi-level theoretical approach

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    BACKGROUND: Diabetes in pregnancy is common in South Asians, especially those from low-income backgrounds, and leads to short-term morbidity and longer-term metabolic programming in mother and offspring. We sought to understand the multiple influences on behaviour (hence risks to metabolic health) of South Asian mothers and their unborn child, theorise how these influences interact and build over time, and inform the design of culturally congruent, multi-level interventions. METHODS: Our sample for this qualitative study was 45 women of Bangladeshi, Indian, Sri Lankan, or Pakistani origin aged 21-45 years with a history of diabetes in pregnancy, recruited from diabetes and antenatal services in two deprived London boroughs. Overall, 17 women shared their experiences of diabetes, pregnancy, and health services in group discussions and 28 women gave individual narrative interviews, facilitated by multilingual researchers, audiotaped, translated, and transcribed. Data were analysed using the constant comparative method, drawing on sociological and narrative theories. RESULTS: Key storylines (over-arching narratives) recurred across all ethnic groups studied. Short-term storylines depicted the experience of diabetic pregnancy as stressful, difficult to control, and associated with negative symptoms, especially tiredness. Taking exercise and restricting diet often worsened these symptoms and conflicted with advice from relatives and peers. Many women believed that exercise in pregnancy would damage the fetus and drain the mother's strength, and that eating would be strength-giving for mother and fetus. These short-term storylines were nested within medium-term storylines about family life, especially the cultural, practical, and material constraints of the traditional South Asian wife and mother role and past experiences of illness and healthcare, and within longer-term storylines about genetic, cultural, and material heritage - including migration, acculturation, and family memories of food insecurity. While peer advice was familiar, meaningful, and morally resonant, health education advice from clinicians was usually unfamiliar and devoid of cultural meaning. CONCLUSIONS: 'Behaviour change' interventions aimed at preventing and managing diabetes in South Asian women before and during pregnancy are likely to be ineffective if delivered in a socio-cultural vacuum. Individual education should be supplemented with community-level interventions to address the socio-material constraints and cultural frames within which behavioural 'choices' are made

    Effectiveness of joint mobilisation after cast immobilisation for ankle fracture: a protocol for a randomised controlled trial [ACTRN012605000143628]

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    BACKGROUND: Passive joint mobilisation is a technique frequently used by physiotherapists to reduce pain, improve joint movement and facilitate a return to activities after injury, but its use after ankle fracture is currently based on limited evidence. The primary aim of this trial is to determine if adding joint mobilisation to a standard exercise programme is effective and cost-effective after cast immobilisation for ankle fracture in adults. METHODS/DESIGN: Ninety participants will be recruited from the physiotherapy departments of three teaching hospitals and randomly allocated to treatment or control groups using a concealed procedure. All participants will perform an exercise programme. Participants in the treatment group will also receive joint mobilisation twice a week for four weeks. Blinded follow-up assessments will be conducted four, 12 and 24 weeks after randomisation. The primary outcome measures will be the Lower Extremity Functional Scale and the Assessment of Quality of Life. Secondary outcomes will include measures of impairments, activity limitation and participation. Data on the use of physiotherapy services and participants' out-of-pocket costs will be collected for the cost-effective and cost-utility analyses. To test the effects of treatment, between-group differences will be examined with analysis of covariance using a regression approach. The primary conclusions will be based on the four-week follow-up data. DISCUSSION: This trial incorporates features known to minimise bias. It uses a pragmatic design to reflect clinical practice and maximise generalisability. Results from this trial will contribute to an evidence-based approach for rehabilitation after ankle fracture
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