The foreshock sequence of the 1986 Chalfant, California, earthquake

1988 ◽  
Vol 78 (1) ◽  
pp. 172-187
Author(s):  
Kenneth D. Smith ◽  
Keith F. Priestley

Abstract The ML 6.4 Chalfant, California, earthquake of 21 July 1986 was preceded by an extensive foreshock sequence. Foreshock activity is characterized by shallow clustering activity, including 7 events greater than ML 3, beginning 18 days before the earthquake, an ML 5.7 foreshock 24 hr before the main shock that ruptured only in the upper 10 km of the crust, and an “off-fault” cluster of activity perpendicular to the slip surface of the ML 5.7 foreshock associated with the hypocenter of the main shock. The Chalfant sequence occurred within the local short-period network, and the spatial and temporal development of the foreshock sequence can be observed in detail. Seismicity of the July 1986 time period is largely confined to two nearly conjugate planes; one striking N30°E and dipping 60° to the northwest associated with the ML 5.7 foreshock and the other striking N25°W and dipping 70° to the southwest associated with the main shock. Focal mechanisms for the foreshock period fall into two classes in agreement with these two planes. Shallow clustering of earthquakes in July and the ML 5.7 principal foreshock occur at the intersection of the two planes at a depth of approximately 7 km. The seismic moments determined from inversion of the teleseismic body waves are 4.2 × 1025 and 2.5 × 1025 dyne-cm for the principal foreshock and the main shock, respectively. Slip areas for these two events can be estimated from the aftershock distribution and result in stress drops of 63 bars for the principal foreshock and 16 bars for the main shock. The main shock occurred within an “off-fault” cluster of earthquakes associated with the principal foreshock. This cluster of activity occurs at a predicted local shear stress high in relation to the slip surface of the 20 July earthquake, and this appears to be the triggering mechanism of the main shock. The shallow rupture depth of the principal foreshock indicates that this event was anomalous with respect to the character of main shocks in the region.

1981 ◽  
Vol 71 (4) ◽  
pp. 1215-1231
Author(s):  
John Cipar

abstract Short-period (SP) and long-period (LP) seismograms written by the main shock and two principal aftershocks of the 1976 Friuli, Italy, earthquake sequence are modeled in the time domain using synthetic seismograms. The main shock occurred on 6 May 1976 (20h 00m, Ms = 6.5) and both aftershocks on 15 September 1976 (03h 15m, Ms = 6.0 and 09h 21m, Ms = 5.9). Source models were determined initially by trial and error and then refined using a waveform inversion program. Two point sources of radiation are required to adequately model the aftershock short-period records. For the 09h 21m aftershock, the model derived from short-period records also produces good fits to the long-period data. The seismic moment of this earthquake is found to be 0.8 to 1.0 × 1025 dyne-cm. The SP model for the 03h 15m aftershock, on the other hand, predicts long-period synthetics which do not agree with the observations. In particular, the SP moment (0.37 × 1025 dyne-cm) is about 212 times smaller than the LP moment (1 × 1025 dyne-cm). Adding a long-period component to the SP model considerably improves LP waveform and moment agreement. In the case of the main shock, a reasonable fit to the observed SP data is obtained using three point sources of radiation. However, LP synthetics computed using this model do not agree with the observations, and the SP moment (0.65 × 1025 dyne-cm) is a small fraction of the LP moment (3 to 5 × 1025 dyne-cm). Time function durations indicate that the individual events inferred from the SP records are radiated from patches of the fault having radii of 2 to 4 km and stress drops in the range 35 to 276 bars. In comparison, stress drops estimated from LP data are found to be 12 bars (main shock) and 24 bars (09h 21m aftershock). These observations suggest that the short-period instruments are sensitive to the high-frequency radiation emitted from small, high-stress drop areas on the fault plane whereas the long-period instruments record the overall motion during the earthquake.


1984 ◽  
Vol 74 (2) ◽  
pp. 459-477
Author(s):  
Won-Young Kim ◽  
Ota Kulhánek ◽  
Klaus Meyer

Abstract Teleseismic long-period body waves from the 24 February 1981 Gulf of Corinth earthquake and its two principal aftershocks of 25 February (02h35m) and 4 March (21h58m) 1981 are studied to determine source characteristics. Focal mechanisms, along with observed surface fault breaks, suggest that the Corinth earthquake sequence represents normal faulting due to the N-S trending extension. Depths of the three shocks, estimated by matching synthetic seismograms to observations, are found to lie between 4 and 12 km. The azimuthal variation of observed body-wave duration indicates that the main shock is a multiple event and that the main rupture occurred about 3 to 4 sec after a relatively small foreshock and propagated toward the W-NW. Seismic moments deduced from the body-wave synthetics are 8.1 ×1025, 2.7 ×1025, and 2.2 ×1025 dyne-cm for the main, 25 February and 4 March shocks, respectively. Average final displacements and stress drops are estimated to be 37 cm and 10 bars for the main shock (for a circular fault of radius 15 km); 22 cm and 8 bars for the 25 February shock, and 18 cm and 7 bars for the 4 March shock (for circular faults of radius 11 km). The striking features of the earthquake sequence are the low stress drops of the main shock and its two principal aftershocks, and the clear eastward migration of aftershock activities. The unusually long source-time function rise times (4 sec for the main shock, 2.5 sec for both aftershocks) and low stress drops suggest an overall slow energy release during the earthquake sequence.


1982 ◽  
Vol 72 (6A) ◽  
pp. 2017-2036
Author(s):  
George L. Choy ◽  
John Boatwright

abstract The Miyagi-Oki earthquake of 12 June 1978, a large (Ms 7.8) interplate thrust event, occurred in a region which had not experienced earthquakes of magnitude greater than 7 since 1938. A sequence of four moderate-sized (5.4 < mb < 6.1) earthquakes encircled the rupture zone of the Miyagi-Oki earthquake over a period of 2 yr before the main shock. Broadband displacement and velocity records of body waves recorded digitally by stations of the Global Digital Seismograph Network are analyzed to determine the static and dynamic characteristics of the sequence. These characteristics include moment, radiated energy, dynamic and static stress drop, and apparent stress. Inversions of duration measurements made on the velocity waveforms permit quantifying the complexity of an event as well as constraining its rupture geometry. Intervals of 7 to 8 months separated the first three events; the main shock occurred 4 months after the third event. The rupture process of the third event was relatively complex; the event also had a substantially higher dynamic stress drop (175 bars) than did the stress drops of the first two events (9 and 10 bars, respectively). These observations suggest that the third event was an interme-diate-term precursor to the main shock. The fourth event, a short-term precursor to the main shock, occurred about 8 min before the main shock. Its dynamic stress drop (20 bars) was lower than that of the third event but higher than that of the first two events.


2015 ◽  
Vol 31 (1) ◽  
pp. 115-135 ◽  
Author(s):  
Jayadipta Ghosh ◽  
Jamie E. Padgett ◽  
Mauricio Sánchez-Silva

Civil infrastructures, such as highway bridges, located in seismically active regions are often subjected to multiple earthquakes, including multiple main shocks during their service life or main shock–aftershock sequences. Repeated seismic events result in reduced structural capacity and may lead to bridge collapse, causing disruption in the normal functioning of transportation networks. This study proposes a framework to predict damage accumulation in structures subjected to multiple shock scenarios after developing damage index prediction models and accounting for the probabilistic nature of the hazard. The versatility of the proposed framework is demonstrated on a case-study highway bridge located in California for two distinct hazard scenarios: (1) multiple main shocks during the service life and (2) multiple aftershock earthquake occurrences following a single main shock. Results reveal that in both cases there is a significant increase in damage index exceedance probabilities due to repeated shocks within the time window of interest.


Author(s):  
Hironori Nakagami

Abstract There is currently an outbreak of respiratory disease caused by severe acute respiratory syndrome coronavirus 2 (SARS-CoV-2). Coronavirus disease 2019 (COVID-19) is caused by infection with SARS-CoV-2. Individuals with COVID-19 have symptoms that are usually asymptomatic or mild in most initial cases. However, in some cases, moderate and severe symptoms have been observed with pneumonia. Many companies are developing COVID-19 vaccine candidates using different technologies that are classified into four groups (intact target viruses, proteins, viral vectors and nucleic acids). For rapid development, RNA vaccines and adenovirus vector vaccines have been urgently approved, and their injection has already started across the world. These types of vaccine technologies have been developed over more than 20 years using translational research for use against cancer or diseases caused by genetic disorders but the COVID-19 vaccines are the first licensed drugs to prevent infectious diseases using RNA vaccine technology. Although these vaccines are highly effective in preventing COVID-19 for a short period, safety and efficiency evaluations should be continuously monitored over a long time period. As the time of writing, more than 10 projects are now in phase 3 to evaluate the prevention of infection in double-blind studies. Hopefully, several projects may be approved to ensure high-efficiency and safe vaccines.


1983 ◽  
Vol 73 (1) ◽  
pp. 219-236
Author(s):  
M. Wyss ◽  
R. E. Habermann ◽  
Ch. Heiniger

abstract The rate of occurrence of earthquakes shallower than 100 km during the years 1963 to 1980 was studied as a function of time and space along the New Hebrides island arc. Systematic examination of the seismicity rates for different magnitude bands showed that events with mb < 4.8 were not reported consistently over time. The seismicity rate as defined by mb ≧ 4.8 events was examined quantitatively and systematically in the source volumes of three recent main shocks and within two seismic gaps. A clear case of seismic quiescence could be shown to have existed before one of the large main shocks if a major asperity was excluded from the volume studied. The 1980 Ms = 8 rupture in the northern New Hebrides was preceded by a pattern of 9 to 12 yr of quiescence followed by 5 yr of normal rate. This pattern does not conform to the hypothesis that quiescence lasts up to the mainshock which it precedes. The 1980 rupture also did not fully conform to the gap hypothesis: half of its aftershock area covered part of a great rupture which occurred in 1966. A major asperity seemed to play a critical role in the 1966 and 1980 great ruptures: it stopped the 1966 rupture, and both parts of the 1980 double rupture initiated from it. In addition, this major asperity made itself known by a seismicity rate and stress drops higher than in the surrounding areas. Stress drops of 272 earthquakes were estimated by the MS/mb method. Time dependence of stress drops could not be studied because of changes in the world data set of Ms and mb values. Areas of high stress drops did not correlate in general with areas of high seismicity rate. Instead, outstandingly high average stress drops were observed in two plate boundary segments with average seismicity rate where ocean floor ridges are being subducted. The seismic gaps of the central and northern New Hebrides each contain seismically quiet regions. In the central New Hebrides, the 50 to 100 km of the plate boundary near 18.5°S showed an extremely low seismicity rate during the entire observation period. Low seismicity could be a permanent property of this location. In the northern New Hebrides gap, seismic quiescence started in mid-1972, except in a central volume where high stress drops are observed. This volume is interpreted as an asperity, and the quiescence may be interpreted as part of the preparation process to a future large main shock near 13.5°S.


1984 ◽  
Vol 74 (1) ◽  
pp. 27-40
Author(s):  
M. E. O'Neill

Abstract Source dimensions and stress drops of 30 small Parkfield, California, earthquakes with coda duration magnitudes between 1.2 and 3.9 have been estimated from measurements on short-period velocity-transducer seismograms. Times from the initial onset to the first zero crossing, corrected for attenuation and instrument response, have been interpreted in terms of a circular source model in which rupture expands radially outward from a point until it stops abruptly at radius a. For each earthquake, duration magnitude MD gave an estimate of seismic moment MO and MO and a together gave an estimate of static stress drop. All 30 earthquakes are located on a 6-km-long segment of the San Andreas fault at a depth range of about 8 to 13 km. Source radius systemically increases with magnitude from about 70 m for events near MD 1.4 to about 600 m for an event of MD 3.9. Static stress drop ranges from about 2 to 30 bars and is not strongly correlated with magnitude. Static stress drop does appear to be spatially dependent; the earthquakes with stress drops greater than 20 bars are concentrated in a small region close to the hypocenter of the magnitude 512 1966 Parkfield earthquake.


1967 ◽  
Vol 57 (1) ◽  
pp. 55-81
Author(s):  
E. J. Douze

abstract This report consists of a summary of the studies conducted on the subject of short-period (6.0-0.3 sec period) noise over a period of approximately three years. Information from deep-hole and surface arrays was used in an attempt to determine the types of waves of which the noise is composed. The theoretical behavior of higher-mode Rayleigh waves and of body waves as measured by surface and deep-hole arrays is described. Both surface and body waves are shown to exist in the noise. Surface waves generally predominate at the longer periods (of the period range discussed) while body waves appear at the shorter periods at quiet sites. Not all the data could be interpreted to define the wave types present.


2012 ◽  
Vol 2012 ◽  
pp. 1-3 ◽  
Author(s):  
Noa Greenberg-Kushnir ◽  
Orly Haskin ◽  
Havatzelet Yarden-Bilavsky ◽  
Jacob Amir ◽  
Efraim Bilavsky

We present two cases of bacterial meningitis caused byHaemophilus influenzaetype b (Hib) which developed a few days after conjugate Hib vaccination. This phenomenon of postimmunization provocative time period is reviewed and discussed. These cases serve as a reminder to clinicians of the risk, albeit rare, of invasive Hib disease in the short period after successful immunization.


2020 ◽  
Vol 224 (1) ◽  
pp. 416-434
Author(s):  
Dezheng Zhao ◽  
Chunyan Qu ◽  
Xinjian Shan ◽  
Roland Bürgmann ◽  
Wenyu Gong ◽  
...  

SUMMARY We investigate the coseismic and post-seismic deformation due to the 6 February 2018 Mw 6.4 Hualien earthquake to gain improved insights into the fault geometries and complex regional tectonics in this structural transition zone. We generate coseismic deformation fields using ascending and descending Sentinel-1A/B InSAR data and GPS data. Analysis of the aftershocks and InSAR measurements reveal complex multifault rupture during this event. We compare two fault model joint inversions of SAR, GPS and teleseismic body waves data to illuminate the involved seismogenic faults, coseismic slip distributions and rupture processes. Our preferred fault model suggests that both well-known active faults, the dominantly left-lateral Milun and Lingding faults, and previously unrecognized oblique-reverse west-dipping and north-dipping detachment faults, ruptured during this event. The maximum slip of ∼1.6 m occurred on the Milun fault at a depth of ∼2–5 km. We compute post-seismic displacement time series using the persistent scatterer method. The post-seismic range-change fields reveal large surface displacements mainly in the near-field of the Milun fault. Kinematic inversions constrained by cumulative InSAR displacements along two tracks indicate that the afterslip occurred on the Milun and Lingding faults and the west-dipping fault just to the east. The maximum cumulative afterslip of 0.4–0.6 m occurred along the Milun fault within ∼7 months of the main shock. The main shock-induced static Coulomb stress changes may have played an important role in driving the afterslip adjacent to coseismic high-slip zones on the Milun, Lingding and west-dipping faults.


Sign in / Sign up

Export Citation Format

Share Document