220 research outputs found

    A combined inversion of Rayleigh wave dispersion and 2‐D resonance frequencies

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    Shear wave velocities of the sediment fill of a deep Alpine valley are estimated from ambient noise recorded on linear and circular arrays. We propose a combined inversion of 2‐D resonance frequencies identified from site‐to‐reference spectral ratios and Rayleigh wave dispersion curves obtained from frequency‐wavenumber analysis. The method is tested on synthetic noise data and on noise recorded at three sites in the Rhône valley in Southern Switzerland. Previous studies have shown that 2‐D resonance dominates the ambient vibration wavefield at low frequencies at the investigated sites. Inversion techniques which assume that the noise wavefield consists mainly of horizontally propagating surface waves will, therefore, fail to resolve shear wave velocities at depths below around 500 m. We show that standard techniques lead to an overestimation of shear wave velocities at depth when applied to synthetic and observed ambient noise. The combined inversion is able to resolve the shear wave velocities in the initial velocity model when applied to synthetic noise records. Application of the method to observed ambient noise improves resolution at depth and yields realistic shear wave velocities for the lower part of the sediment fil

    High-frequency ground motion amplification during the 2011 Tohoku earthquake explained by soil dilatancy

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    Ground motions of the 2011 Tohoku earthquake recorded at Onahama port (Iwaki, Fukushima prefecture) rank among the highest accelerations ever observed, with the peak amplitude of the 3-D acceleration vector approaching 2g. The response of the site was distinctively non-linear, as indicated by the presence of horizontal acceleration spikes which have been linked to cyclic mobility during similar observations. Compared to records of weak ground motions, the response of the site during the Mw 9.1 earthquake was characterized by increased amplification at frequencies above 10 Hz and in peak ground acceleration. This behaviour contrasts with the more common non-linear response encountered at non-liquefiable sites, which results in deamplification at higher frequencies. We simulate propagation of SH waves through the dense sand deposit using a non-linear finite difference code that is capable of modelling the development of excess pore water pressure. Dynamic soil parameters are calibrated using a direct search method that minimizes the difference between observed and simulated acceleration envelopes and response spectra. The finite difference simulations yield surface acceleration time-series that are consistent with the observations in shape and amplitude, pointing towards soil dilatancy as a likely explanation for the high-frequency pulses recorded at Onahama port. The simulations also suggest that the occurrence of high-frequency spikes coincided with a rapid increase in pore water pressure in the upper part of the sand deposit between 145 and 170 s. This sudden increase is possibly linked to a burst of high-frequency energy from a large slip patch below the Iwaki regio

    Two-dimensional resonances in Alpine valleys identified from ambient vibration wavefields

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    Although numerical simulations have for long shown the importance of 2-D resonances in site effect estimations of sediment-filled valleys, this phenomenon is usually not taken into account by current hazard assessment techniques. We present an approach to identify the resonance behaviour of a typical Alpine valley by analysis of ambient noise recorded simultaneously on a dense array. The applicability of the method is evaluated further using synthetic ambient noise acquired with current 3-D numerical simulation techniques. Resonance frequencies of the fundamental mode SV and the fundamental and first higher mode of SH are identified from measured data with the reference station method, verifying results of previous studies. Patterns of spectral amplitude and phase behaviour obtained from observed and synthetic noise correlate well with properties expected for 2-D resonance. Application of a frequency-wavenumber technique shows that the noise wavefield is dominated by standing waves at low frequencies (0.25 to 0.50 Hz). The different 2-D resonance modes are creating prominent peaks in horizontal-to-vertical spectral ratios, which can not be interpreted in terms of 1-D resonance. We conclude that ambient noise records measured simultaneously on a linear array perpendicular to the valley axis may be used for identification of resonance modes in sediment-filled valley

    A comparison of observed and simulated site response in the Rhône valley

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    Site effects in the city of Sion in the Rhône valley are analysed from weak motion signals recorded on a dense temporary array. We simulate the recorded events with a 3-D finite difference method for frequencies up to 4 Hz using a recently developed velocity model of the Sion basin. Site-to-reference Fourier spectral ratios are computed from 16 local and regional events. All sites exhibit amplification factors of up to 12 between 0.5 and 0.6 Hz, which can be reproduced by the numerical simulations. By rotating the weak motion to directions parallel and perpendicular to the valley axis, we show that this low-frequency amplification is caused by the SH00 and SV0 fundamental modes of 2-D resonance. Additional peaks of amplification can be observed at higher frequencies, with amplification factors of up to 20 at some sites. Application of the high-resolution frequency-wavenumber and the multiple signal characterization method to the vertical component of recorded and simulated signals show that edge-generated surface waves arriving from almost all directions dominate the wavefield at 1.25 and 2.50 Hz. Peak ground velocities computed from the simulated ground motion show interference patterns that depend strongly on the incidence direction, and the computed amplification of peak ground velocities are generally in agreement with the observations. We conclude that the complex 3-D geometry of the basin needs to be considered to evaluate site effects up to at least 2.5 H

    The Relationship between Trail Running Withdrawals and Race Topography

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    Context: A growing amount of recent research in sport psychology has focused on trying to understand withdrawals from ultra-races. However, according to the Four E approach, the studies underestimated the embedded components of these experiences and particularly how they were linked to the specific environmental conditions in which the experiences occurred. Objective: This study aimed to characterize trail running withdrawals in relationship to race topography. Design: Qualitative design, involving self-confrontation interviews and use of a race map. Setting: Use of the race map for description of the race activity and self-confrontation interviews took place 1–3 days after the races. Participants: Ten runners who withdrew during an ultra-trail race. Data Collection and Analysis: Data on past activity traces and experiences were elicited from self-confrontation interviews. Data were coded and compared to identify common sequences and then each type of sequence was counted with regard to race topography. Results: Results showed that each sequence was related to runners’ particular possibilities for acting, feeling, and thinking, which were in turn embedded in the race topography. These sequences allowed the unfolding of the activity and increased its overall effectiveness in relation to the constraints of this specific sport. Conclusion: This study allowed us to highlight important information on how ultra-trail runners manage their races in relationship to the race environment and more specifically to its topography. The result will also help us to recommend potential adjustments to ultra-trail runners’ performance-oriented training and preparation

    Comparison of vitality states of finishers and withdrawers in trail running: An enactive and phenomenological perspective.

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    Studies on ultra-endurance suggest that during the races, athletes typically experience three vitality states (i.e., preservation, loss, and revival) at the phenomenological level. Nevertheless, how these states contribute to the management and outcome of performance remains unclear. The aim of this study was to determine whether and how the vitality states experienced by runners and their evolution during a trail race can be used to distinguish finishers from withdrawers. From an enactive and phenomenological framework, we processed enactive interviews and blog posts of race narratives. We distinguished units of meaning, which were grouped into sequences of experience; each sequence was then categorized as one of the three vitality states: state of vitality preservation (SVP), state of vitality loss (SVL) or state of vitality revival (SVR). We analyzed the distribution of these vitality states and their temporal organization at the beginning, in the second and third quarters, and at the end of the races, and we qualitatively characterized runners' adaptations to SVL. Results showed that finishers completed the race in SVP, with overall significantly more sequences in SVP and significantly fewer sequences in SVL than withdrawers. SVR did not discriminate finishers from withdrawers. The temporal organization of the vitality states showed a significant difference in the emergence of SVP from the second quarter of the race, as well as a significant difference in the emergence of SVL from the third quarter of the race. The analysis of adaptations to SVL confirmed that finishers were more capable of exiting SVL by enacting a preservation world when they felt physical or psychological alerts, whereas withdrawers remained in SVL. Our results showed that finishers and withdrawers did not enact the same phenomenological worlds in the race situation, especially in the organization of vitality adaptations and their relationships to difficulties; the cumulative effect of the succession of experienced vitality states differed, as well

    Estimation of non-linear site response in a deep Alpine valley

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    We simulate non-linear behaviour of soils during strong ground motion in the Rhône valley in southern Switzerland. Previous studies of the site response using weak ground motion, ambient noise and linear 3-D FD simulations suggest that the 2-D structure of the basin will lead to amplification factors of up to 12 in the frequency band between 0.5 and 10 Hz. To estimate the importance of non-linear soil behaviour during strong ground motion in the Rhône valley we simulate the response of a superficial soft layer with a fully non-linear 1-D finite difference code. The non-linear wave propagator is based on an effective stress constitutive soil model capable of predicting pore pressure evolution due to shear. We determine the required dilatancy parameters from laboratory analysis of soil samples using cyclic triaxial tests. In order to include the effect of the strong 2-D structure in our non-linear analysis synthetic seismograms are convolved with the transfer function of the basin and then propagated through a 1-D non-linear layer. We find that reduced amplification due to soil non-linearity can be expected at rock accelerations above 0.5 ms−2, and that de-amplification occurs at ground motion levels of approximately 2 ms−2. Nevertheless, the spectral accelerations simulated for the valley centre are still exceeding the design spectra at about 0.5 Hz for magnitudes above 6.0, which reflects the strong amplification of ground motion by the deep 2-D resonance of the basin. For frequencies above 1 Hz the design spectra are generally in agreement with the strongest simulated accelerations. We evaluate the occurrence of soil failure using the 5 per cent strain criterion as a function of hypocentral distance and magnitude. Results confirm observations of liquefaction reported after the 1855 Mw 6.4 earthquake of Visp, and they suggest that soil liquefaction may occur at distances beyond those predicted by empirical relations in the valley. Near the basin edge, however, the simulated liquefaction occurrence agrees with the empirical relations. These results suggest that the response of the whole structure needs to be simulated in order to estimate the non-linear seismic response of complex basins like the Rhône valle

    Molar substitution and C2/C6 ratio of hydroxyethyl starch: influence on blood coagulation

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    Background. Development of hydroxyethyl starches (HES) with a low impact on blood coagulation but a long intravascular persistence is of clinical interest. A previous in vitro study showed that low substituted high molecular weight HES does not compromise blood coagulation more than medium molecular weight HES. In the present study we assessed the individual effects on blood coagulation of molar substitution and C2/C6 ratio of a high molecular weight HES. Methods. Blood was obtained from 30 healthy patients undergoing elective surgery and mixed with six high molecular weight (700 kDa) HES solutions differing in their molar substitution (0.42 and 0.51) and C2/C6 ratio (2.7, 7 and 14) to achieve 20, 40 and 60% dilution. Blood coagulation was assessed by Thrombelastograph® analysis (TEG) and plasma coagulation tests.Data were compared using a three-way analysis of variance model with repeated measures on the three factors. Results. Higher molar substitution compromised blood coagulation most (for all TEG parameters, P0.50). The higher molar substitution was associated with a lesser increase in PT (P=0.007) and a greater decrease in factor VIII (P=0.010). PTT, functional and antigenic von Willebrand factors were not significantly influenced by molar substitution (P for all >0.20). No significant differences between solutions with the same molar substitution but different C2/C6 ratios were found in plasma coagulation parameters (P for all >0.05). Conclusions. TEG analysis indicates that high molecular HES with a molar substitution of 0.42 and a C2/C6 ratio of 2.7 has the lowest effect on in vitro human blood coagulatio

    Can Life develop in the expanded habitable zones around Red Giant Stars?

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    We present some new ideas about the possibility of life developing around sub-giant and red giant stars. Our study concerns the temporal evolution of the habitable zone. The distance between the star and the habitable zone, as well as its width, increases with time as a consequence of stellar evolution. The habitable zone moves outward after the star leaves the main sequence, sweeping a wider range of distances from the star until the star reaches the tip of the asymptotic giant branch. If life could form and evolve over time intervals from 5×1085 \times 10^8 to 10910^9 years, then there could be habitable planets with life around red giant stars. For a 1 M_{\odot} star at the first stages of its post main-sequence evolution, the temporal transit of the habitable zone is estimated to be of several 109^9 years at 2 AU and around 108^8 years at 9 AU. Under these circumstances life could develop at distances in the range 2-9 AU in the environment of sub-giant or giant stars and in the far distant future in the environment of our own Solar System. After a star completes its first ascent along the Red Giant Branch and the He flash takes place, there is an additional stable period of quiescent He core burning during which there is another opportunity for life to develop. For a 1 M_{\odot} star there is an additional 10910^9 years with a stable habitable zone in the region from 7 to 22 AU. Space astronomy missions, such as proposed for the Terrestrial Planet Finder (TPF) and Darwin should also consider the environments of sub-giants and red giant stars as potentially interesting sites for understanding the development of life
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