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Development of optimization-based probabilistic earthquake scenarios for the city of Tehran

机译:德黑兰市基于优化的概率地震场景的开发

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This paper presents the methodology and practical example for the application of optimization process to select earthquake scenarios which best represent probabilistic earthquake hazard in a given region. The method is based on simulation of a large dataset of potential earthquakes, representing the long-term seismotectonic characteristics in a given region. The simulation process uses Monte-Carlo simulation and regional seismogenic source parameters to generate a synthetic earthquake catalogue consisting of a large number of earthquakes, each characterized with magnitude, location, focal depth and fault characteristics. Such catalogue provides full distributions of events in time, space and size; however, demands large computation power when is used for risk assessment, particularly when other sources of uncertainties are involved in the process. To reduce the number of selected earthquake scenarios, a mixed-integer linear program formulation is developed in this study. This approach results in reduced set of optimization-based probabilistic earthquake scenario, while maintaining shape of hazard curves and full probabilistic picture by minimizing the error between hazard curves driven by full and reduced sets of synthetic earthquake scenarios. To test the model, the regional seismotectonic and seismogenic characteristics of northern Iran are used to simulate a set of 10,000-year worth of events consisting of some 84,000 earthquakes. The optimization model is then performed multiple times with various input data, taking into account probabilistic seismic hazard for Tehran city as the main constrains. The sensitivity of the selected scenarios to the user-specified site/return period error-weight is also assessed. The methodology could enhance run time process for full probabilistic earthquake studies like seismic hazard and risk assessment. The reduced set is the representative of the contributions of all possible earthquakes; however, it requires far less computation power. The authors have used this approach for risk assessment towards identification of effectiveness-profitability of risk mitigation measures, using optimization model for resource allocation. Based on the error-computation trade-off, 62-earthquake scenarios are chosen to be used for this purpose. (C) 2015 Published by Elsevier Ltd.
机译:本文介绍了应用优化过程选择最能代表给定地区概率地震灾害的地震情境的方法和实践示例。该方法基于对潜在地震的大型数据集的仿真,该数据代表了给定区域的长期地震构造特征。模拟过程使用蒙特卡洛模拟和区域地震源参数来生成包含大量地震的合成地震目录,每个地震都具有震级,位置,震源深度和断层特征。这种目录提供了事件在时间,空间和大小上的完整分布;但是,当用于风险评估时,尤其是在过程中涉及其他不确定性来源时,需要大量的计算能力。为了减少所选地震场景的数量,本研究开发了一种混合整数线性程序公式。这种方法减少了基于优化的概率地震场景的集合,同时通过最小化由合成地震场景的完整集合和缩减集合驱动的风险曲线之间的误差,从而保持了风险曲线和完整概率图的形状。为了测试该模型,伊朗北部的区域地震构造特征和地震成因特征被用来模拟一组由大约8.4万次地震组成的长达10,000年的事件。然后,以各种输入数据多次执行优化模型,并考虑到德黑兰市的地震危险性为主要约束条件。还评估了所选方案对用户指定的站点/返回期误差权重的敏感性。该方法可以增强诸如地震危险性和风险评估之类的全概率地震研究的运行过程。减少的集合代表了所有可能地震的贡献;但是,它需要更少的计算能力。作者已使用这种方法进行风险评估,以使用资源分配的优化模型来确定风险缓解措施的有效性-收益率。基于错误计算权衡,选择了62个地震方案用于此目的。 (C)2015年由Elsevier Ltd.出版

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