Precursory seismic activity before the 1944 Tonankai (Japan) earthquake: focusing on the downward migration of seismic activity

1987 ◽  
Vol 139 (3-4) ◽  
pp. 205-221 ◽  
Author(s):  
Kiyoo Mogi
JOKULL ◽  
2020 ◽  
Vol 69 ◽  
pp. 35-52
Author(s):  
Páll Einarsson

Detecting unusual activity leading to the outbreak of a volcanic eruption is of vital importance for the short-term warning to the local population of an impending eruption. The varied volcano types of Iceland and range of ambient conditions at which eruptions occur offer an unusually wide spectrum of volcanic phenomena and volcanic hazards during the initial phase of eruptions. A recent study of eruptions in Iceland during the last four decades of instrumental observations has revealed that all the eruptions had a detectable precursory seismic activity, that under favourable conditions can be used to issue short-term warnings to the surrounding communities. Considerable documentary data also exist for pre-instrumental times extending several centuries back in time, that can be compared to the instrumental experience. This is true in particular for two of the most active volcanoes, Katla and Hekla, that are sufficiently close to the populated areas of the country. All seven confirmed eruptions of Katla since 1625 were preceded by felt earthquakes, beginning one to nine hours before the eruption was detected and two to over twelve hours before a jökulhlaup from this partly sub-glacial volcano reached the inhabited areas. The behaviour of Hekla is quite different. Large eruptions from the main edifice of Hekla since 1510 were generally accompanied by rather weak seismic activity. Earthquakes are usually felt only minutes before the first explosion occurs, in the 1947 case even several minutes after the first explosion of the volcano. Eruptions of the Hekla volcanic system outside the main edifice are, on the other hand, accompanied by considerable seismic activity, and the precursor times may be more than three hours, even much longer. The two historical eruptions of Öræfajökull, in 1362 and 1727, were apparently preceded by felt seismicity, sufficient to alarm the local population.


1981 ◽  
Vol 71 (3) ◽  
pp. 761-769
Author(s):  
J. F. Gettrust ◽  
V. Hsu ◽  
C. E. Helsley ◽  
E. Herrero ◽  
T. Jordan

abstract Local seismic activity (M > 2.3) during the 412-day period preceding the Petatlan earthquake of 14 March 1979 (Ms = 7.6) was monitored by a seismic network deployed by the Hawaii Institute of Geophysics. These data allow us to revise the location of that event, and to study its pattern of foreshocks. The foreshock hypocenters are concentrated above the ocean/continent plate boundary and landward of the hypocenter of the main shock. The spatial distribution of foreshocks suggests that the foreshocks occurred along existing zones of weakness within the continental plate. During the 112-day period preceding the Petatlan event, foreshocks were concentrated within 100 km of the epicenter of that earthquake. The pattern of precursory seismic activity we observed during that period is similar to that observed during the same time period prior to the Oaxaca earthquake of 29 November 1978. However, the 17-hr period of seismic quiescence (for events with M > 2.8) preceding the Oaxaca earthquake is not found in our data where a magnitude 4 foreshock occurs within 28 min of and 2 km from the Petatlan event. This suggests that the spatially larger set of foreshocks may have greater diagnostic value than does the sequence of precursory events within 30 km of the main shock.


2019 ◽  
Vol 3 (1) ◽  
pp. 1-14
Author(s):  
Miriam R. Aczel ◽  
Karen E. Makuch

High-volume hydraulic fracturing combined with horizontal drilling has “revolutionized” the United States’ oil and gas industry by allowing extraction of previously inaccessible oil and gas trapped in shale rock [1]. Although the United States has extracted shale gas in different states for several decades, the United Kingdom is in the early stages of developing its domestic shale gas resources, in the hopes of replicating the United States’ commercial success with the technologies [2, 3]. However, the extraction of shale gas using hydraulic fracturing and horizontal drilling poses potential risks to the environment and natural resources, human health, and communities and local livelihoods. Risks include contamination of water resources, air pollution, and induced seismic activity near shale gas operation sites. This paper examines the regulation of potential induced seismic activity in Oklahoma, USA, and Lancashire, UK, and concludes with recommendations for strengthening these protections.


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