Chapter 14 On the determination of the electrical 3-D conductivity distribution beneath iceland with long-period magnetotellurics

Author(s):  
Anja Kreutzmann ◽  
Andreas Junge
1989 ◽  
Vol 79 (2) ◽  
pp. 493-499
Author(s):  
Stuart A. Sipkin

Abstract The teleseismic long-period waveforms recorded by the Global Digital Seismograph Network from the two largest Superstition Hills earthquakes are inverted using an algorithm based on optimal filter theory. These solutions differ slightly from those published in the Preliminary Determination of Epicenters Monthly Listing because a somewhat different, improved data set was used in the inversions and a time-dependent moment-tensor algorithm was used to investigate the complexity of the main shock. The foreshock (origin time 01:54:14.5, mb 5.7, Ms 6.2) had a scalar moment of 2.3 × 1025 dyne-cm, a depth of 8 km, and a mechanism of strike 217°, dip 79°, rake 4°. The main shock (origin time 13:15:56.4, mb 6.0, Ms 6.6) was a complex event, consisting of at least two subevents, with a combined scalar moment of 1.0 × 1026 dyne-cm, a depth of 10 km, and a mechanism of strike 303°, dip 89°, rake −180°.


1990 ◽  
Vol 80 (5) ◽  
pp. 1205-1231
Author(s):  
Jiajun Zhang ◽  
Thorne Lay

Abstract Determination of shallow earthquake source mechanisms by inversion of long-period (150 to 300 sec) Rayleigh waves requires epicentral locations with greater accuracy than that provided by routine source locations of the National Earthquake Information Center (NEIC) and International Seismological Centre (ISC). The effects of epicentral mislocation on such inversions are examined using synthetic calculations as well as actual data for three large Mexican earthquakes. For Rayleigh waves of 150-sec period, an epicentral mislocation of 30 km introduces observed source spectra phase errors of 0.6 radian for stations at opposing azimuths along the source mislocation vector. This is larger than the 0.5-radian azimuthal variation of the phase spectra at the same period for a thrust fault with 15° dip and 24-km depth. The typical landward mislocation of routinely determined epicenters of shallow subduction zone earthquakes causes source moment tensor inversions of long-period Rayleigh waves to predict larger fault dip than indicated by teleseismic P-wave first-motion data. For dip-slip earthquakes, inversions of long-period Rayleigh waves that use an erroneous source location in the down-dip or along-strike directions of a nodal plane, overestimate the strike, dip, and slip of that nodal plane. Inversions of strike-slip earthquakes that utilize an erroneous location along the strike of a nodal plane overestimate the slip of that nodal plane, causing the second nodal plane to dip incorrectly in the direction opposite to the mislocation vector. The effects of epicentral mislocation for earthquakes with 45° dip-slip fault mechanisms are more severe than for events with other fault mechanisms. Existing earth model propagation corrections do not appear to be sufficiently accurate to routinely determine the optimal surface-wave source location without constraints from body-wave information, unless extensive direct path (R1) data are available or empirical path calibrations are performed. However, independent surface-wave and body-wave solutions can be remarkably consistent when the effects of epicentral mislocation are accounted for. This will allow simultaneous unconstrained body-wave and surface-wave inversions to be performed despite the well known difficulties of extracting the complete moment tensor of shallow sources from fundamental modes.


1. Any estimate of the rigidity of the Earth must be based partly on some observations from which a deformation of the Earth’s surface can be inferred, and partly on some hypothesis as to the internal constitution of the Earth. The observations may be concerned with tides of long period, variations of the vertical, variations of latitude, and so on. The hypothesis must relate to the arrangement of the matter as regards density in different parts, and to the state of the parts in respect of solidity, compressibility, and so on. In the simplest hypothesis, the one on which Lord Kelvin’s well-known, estimate was based, the Earth is treated as absolutely incompressible and of uniform density and rigidity. This hypothesis was adopted to simplify the problem, not because it is a true one. No matter is absolutely incompressible, and, the Earth is not a body of uniform density. It cannot be held to be probable that it is a body of uniform rigidity. But when any part of the hypothesis, e. g ., the assumption of uniform density, is discarded, the estimate of rigidity is affected. Different estimates are obtained when different laws of density are assumed. Again, whatever hypothesis we adopt as regards the arrangement of the matter, so long as we consider the Earth to be absolutely incompressible and of uniform rigidity, different estimates of this rigidity are obtained by using observations of different phenomena. Variations of the vertical may give one value, variations of latitude a notably different value. It follows that “the rigidity of the Earth” is not a definite physical constant. But there are two determinate constant numbers related to the methods that have been used for obtaining estimates of the rigidity of the Earth. One of these numbers specifies the amount by which the surface of the Earth yields to forces of the type of the tide-generating attractions of the Sun and Moon. The other number specifies the amount by which the potential of the Earth is altered through the rearrangement of the matter within it when this matter is displaced by the deforming influence of the Sun and Moon. If we adopt the ordinarily-accepted theory of the Figure of the Earth, the so-called theory of “fluid equilibrium,” and if we make the very probable assumption that the physical constants of the matter within the Earth, such as the density or the incompressibility, are nearly uniform over any spherical surface having its centre at the Earth’s centre, we can determine both these numbers without introducing any additional hypothesis as to the law of density or the state of the matter. We shall find, in fact, that observations of variations of latitude lead to a determination of the number related to the inequality of potential, and that, when this number is known, observations of variations of the vertical lead to a determination of the number related to the inequality of figure. [ Note added , December 15, 1908.—This statement needs, perhaps, some additional qualification. It is assumed that, in calculating the two numbers from the two kinds of observations, we may adopt an equilibrium theory of the deformations produced in the Earth by the corresponding forces. If the constitution of the Earth is really such that an equilibrium theory of the effects produced in it by these forces is inadequate, we should expect a marked discordance of phase between the inequality of figure produced and the force producing it. Now Hecker’s observations, cited in § 6 below, show that, in the case of the semidiurnal term in the variation of the vertical due to the lunar deflexion of gravity, the agreement of phase is close. If, however, an equilibrium theory is adequate, as it appears to be, for the semidiurnal corporeal tide, a similar theory must be adequate for the corporeal tides of long period and for the variations of latitude.]


1993 ◽  
Vol 139 ◽  
pp. 191-191
Author(s):  
George H. Bowen

AbstractThe large-amplitude pulsation of long-period variables, together with a number of other interacting processes and phenomena, causes a rich variety of effects on the structure and behavior of the stars. Outflowing winds result, causing extensive mass loss, with profound consequences for stellar evolution. The present status of modeling calculations for LPVs will be discussed first, with various examples. Emphasis will be given to the great importance of complex, nonlinear, time-dependent interactions between things such as the waves and atmospheric shocks that result from pulsation; non-LTE radiative transfer; non-equilibrium chemistry; the growth, changing optical properties, and dynamics of grains; and radiation pressure on both grains and molecules. I will then survey the developing implications and insights from new results and from work now in progress. Some of these concern the structure and the behavior of individual stars (e.g. determination of the pulsation mode and limiting amplitude; properties of more massive stars); some relate to the evolution of individual stars (e.g. evolution of the wind and the mass loss rate; the wind and circumstellar region during helium shell flashes; effects of the star's metallicity); and some relate to the evolution of populations of stars (e.g. the white dwarf mass distribution). All of these, and many more, offer new perspectives and new understanding concerning the character of LPVs and their role in stellar evolution.


2018 ◽  
Vol 30 (3) ◽  
pp. 481-504 ◽  
Author(s):  
HABIB AMMARI ◽  
FAOUZI TRIKI ◽  
CHUN-HSIANG TSOU

The multifrequency electrical impedance tomography consists in retrieving the conductivity distribution of a sample by injecting a finite number of currents with multiple frequencies. In this paper, we consider the case where the conductivity distribution is piecewise constant, takes a constant value outside a single smooth anomaly, and a frequency dependent function inside the anomaly itself. Using an original spectral decomposition of the solution of the forward conductivity problem in terms of Poincaré variational eigenelements, we retrieve the Cauchy data corresponding to the extreme case of a perfect conductor, and the conductivity profile. We then reconstruct the anomaly from the Cauchy data. The numerical experiments are conducted using gradient descent optimization algorithms.


1930 ◽  
Vol 24 (2) ◽  
pp. 310-336 ◽  
Author(s):  
Ralph A. Nohem

Much controversy has raged for a long period of time over the precise nature of what Wormser refers to as the “anatomy” of a corporation. Wormser himself defines a corporation as a “group of one or more persons authorized by sovereign authority to act as a unit and a personality in the eye of the law.” The definition indicates, on the one hand, that the act of incorporation creates a new person or entity, on the other that this new entity is in fact composite, made up of one or more pre-existing entities. The question arises, at what times will the court regard the corporate entity, and at what times will it look to the real persons who compose it ? A key to the solution of the problem is offered by Lord Mansfield. “A fiction of law shall never be contradicted so as to defeat the end for which it was invented, but for every other purpose it may be contradicted.” By the separate entity theory is meant that a corporation is to be regarded as an entity separate and apart from its corporators and that it is to be treated like any other independent person. That this is the theory of corporations generally accepted by the courts need hardly be proved. It will only be noted that the ruling English case on the subject is that of Salomon and Co. v. Salomon. In his opinion in that case Lord Halsbury said: “Once the company is legally incorporated it must be treated like any other independent person.”


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