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Assessing Markovian Models for Seismic Hazard and Forecasting

机译:评估马尔科维亚的地震危害模型和预测

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We propose the use of statistical measures to quantify robustness, uncertainty, and significance for Markovian models of large magnitude seismic systems, and we also propose a method for choosing the best of different models by using the normalized measures in a discriminant function. We tested the proposed methods on earthquakes occurring in an area around Japan, divided into four regions; modeling the system as having four states, where each state corresponds to the region where the latest large earthquake, larger than a given threshold moment magnitude, has occurred. Our results show that for the 7.0-7.3 threshold magnitude range the seismicity of this region does occur according to a Markovian process, with optimum results for threshold magnitude 7.1, whereas for magnitudes outside this range seismicity is less Markovian.
机译:我们建议使用统计度量来量化大震级地震系统的马尔可夫模型的稳健性、不确定性和显著性,我们还提出了一种通过在判别函数中使用归一化度量来选择不同模型的最佳方法。我们对发生在日本周边地区的地震进行了测试,该地区分为四个区域;将系统建模为四个状态,每个状态对应于最近发生的大于给定阈值矩震级的大地震的区域。我们的结果表明,在7.0-7.3阈值震级范围内,该地区的地震活动确实按照马尔可夫过程发生,阈值震级7.1的结果最佳,而对于该范围以外的震级,地震活动较少。

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