首页> 外文期刊>Pure and Applied Geophysics >Comment on Pisarenko et al., 'Characterization of the Tail of the Distribution of Earthquake Magnitudes by Combining the GEV and GPD Descriptions of Extreme Value Theory'
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Comment on Pisarenko et al., 'Characterization of the Tail of the Distribution of Earthquake Magnitudes by Combining the GEV and GPD Descriptions of Extreme Value Theory'

机译:评论Pisarenko等人,“结合极值理论的GEV和GPD描述来表征地震幅度分布的尾巴”

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In this short note, I comment on the research of Pisarenko et al. (Pure Appl. Geophys 171:1599-1624, 2014) regarding the extreme value theory and statistics in the case of earthquake magnitudes. The link between the generalized extreme value distribution (GEVD) as an asymptotic model for the block maxima of a random variable and the generalized Pareto distribution (GPD) as a model for the peaks over threshold (POT) of the same random variable is presented more clearly. Inappropriately, Pisarenko et al. (Pure Appl. Geophys 171:1599-1624, 2014) have neglected to note that the approximations by GEVD and GPD work only asymptotically in most cases. This is particularly the case with truncated exponential distribution (TED), a popular distribution model for earthquake magnitudes. I explain why the classical models and methods of the extreme value theory and statistics do not work well for truncated exponential distributions. Consequently, these classical methods should be used for the estimation of the upper bound magnitude and corresponding parameters. Furthermore, I comment on various issues of statistical inference in Pisarenko et al. and propose alternatives. I argue why GPD and GEVD would work for various types of stochastic earthquake processes in time, and not only for the homogeneous (stationary) Poisson process as assumed by Pisarenko et al. (Pure Appl. Geophys 171:1599-1624, 2014). The crucial point of earthquake magnitudes is the poor convergence of their tail distribution to the GPD, and not the earthquake process over time.
机译:在这篇简短的笔记中,我评论了Pisarenko等人的研究。 (Pure Appl。Geophys 171:1599-1624,2014)关于地震震级下的极值理论和统计数据。作为随机变量的块最大值的渐进模型的广义极值分布(GEVD)与作为同一随机变量的阈值峰值(POT)的模型的广义Pareto分布(GPD)之间的联系被进一步介绍清楚地。不恰当地,Pisarenko等。 (Pure Appl。Geophys 171:1599-1624,2014)忽略了GEVD和GPD的近似在大多数情况下仅渐近起作用。截断指数分布(TED)是地震震级的流行分布模型,这种情况尤其明显。我解释了为什么极值理论和统计学的经典模型和方法不能用于截断的指数分布。因此,这些经典方法应用于上限幅度和相应参数的估计。此外,我评论了Pisarenko等人的各种统计推断问题。并提出替代方案。我争辩说,为什么GPD和GEVD会及时对各种类型的随机地震过程起作用,而不仅仅是Pisarenko等人假设的均匀(平稳)泊松过程。 (Pure Appl。Geophys 171:1599-1624,2014)。地震震级的关键点是它们的尾巴分布与GPD的收敛性较差,而不是随着时间的推移而发生的地震过程。

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