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首页> 外文期刊>Journal of seismology >Probabilistic assessment of earthquake recurrence in the January 26, 2001 earthquake region of Gujrat, India
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Probabilistic assessment of earthquake recurrence in the January 26, 2001 earthquake region of Gujrat, India

机译:2001年1月26日印度古杰拉特地震地区地震复发的概率评估

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摘要

Kutch region of Gujrat is one of the most seismic prone regions of India. Recently, it has been rocked by a large earthquake (M (w) = 7.7) on January 26, 2001. The probabilities of occurrence of large earthquake (M >= 6.0 and M >= 5.0) in a specified interval of time for different elapsed times have been estimated on the basis of observed time-intervals between the large earthquakes (M >= 6.0 and M >= 5.0) using three probabilistic models, namely, Weibull, Gamma and Lognormal. The earthquakes of magnitude >= 5.0 covering about 180 years have been used for this analysis. However, the method of maximum likelihood estimation (MLE) has been applied for computation of earthquake hazard parameters. The mean interval of occurrence of earthquakes and standard deviation are estimated as 20.18 and 8.40 years for M >= 5.0 and 36.32 and 12.49 years, for M >= 6.0, respectively, for this region. For the earthquakes M >= 5.0, the estimated cumulative probability reaches 0.8 after about 27 years for Lognormal and Gamma models and about 28 years for Weibull model while it reaches 0.9 after about 32 years for all the models. However, for the earthquakes M >= 6.0, the estimated cumulative probability reaches 0.8 after about 47 years for all the models while it reaches 0.9 after about 53, 54 and 55 years for Weibull, Gamma and Lognormal model, respectively. The conditional probability also reaches about 0.8 to 0.9 for the time period of 28 to 40 years and 50 to 60 years for M >= 5.0 and M >= 6.0, respectively, for all the models. The probability of occurrence of an earthquake is very high between 28 to 42 years for the magnitudes >= 5.0 and between 47 to 55 years for the magnitudes >= 6.0, respectively, past from the last earthquake (2001).
机译:古吉拉特邦的库奇地区是印度地震多发区之一。最近,它在2001年1月26日被大地震(M(w)= 7.7)震撼。在不同的指定时间间隔内发生大地震(M> = 6.0和M> = 5.0)的概率根据观测到的大地震之间的时间间隔(M> = 6.0和M> = 5.0),使用Weibull,伽玛和对数正态这三种概率模型估算了经过时间。这项分析使用了覆盖180年以上的5.0级以上的地震。但是,最大似然估计(MLE)方法已应用于地震危险参数的计算。对于M> = 5.0,地震发生的平均间隔和标准差估计为该区域分别为20.18年和8.40年,对于M> = 6.0,分别为36.32和12.49年。对于M> = 5.0地震,对数正态和伽马模型的估计累积概率在约27年后达到0.8,而韦伯模型的估计累积概率在约32年后达到0.9,而所有模型的估计累积概率在约32年后达到0.9。但是,对于M> = 6.0的地震,所有模型的估计累积概率在大约47年后达到0.8,而对于Weibull,Gamma和Lognormal模型,分别在大约53、54和55年后达到0.9。对于所有模型,对于M> = 5.0和M> = 6.0,在28至40年和50至60年的时间段内,条件概率也分别达到约0.8至0.9。从上次地震(2001年)过去,地震在≥= 5.0的地震发生概率在28至42年之间,地震在≥= 6.0的地震发生概率在47至55年之间。

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