Abstract:
Earthquake hazards seriously threaten life and property. Evaluation of
seismic hazard and development of means of mapping them, are among the
research problems in seismology, that urgently require solutions. The existence
of accurate and extensive earthquake catalogues encourages the use of
earthquake statistics in fitting mathematical models to the patterns of earthquake
occurrence and ground motion data. The probabilistic approach allows the
incorporation of uncertainty and frequency analysis of earthquake occurrence.
It can accurately reflect the true state of knowledge and lack thereof. The
disadvantages of probabilistic seismic hazard analysis is the loss oftransparency,
which stems from inclusion / integration of voluminous data, theory and
judgement.
In this work, we compile four different kind of rigorous probabilistic
analyses, with an aim, to estimate various hazard parameters for Central and
Eastern Asia (within latitudes 0° - 60°N and longitudes 65° - 125° E) in a general
manner, and for Himalaya and Peninsular India in detail. Area undertaken covers
great central mountain system surrounding and crossing high table lands of
Pamir Plateau and Tibetan Plateau. This mountain system encompasses
Himalaya, Kunlun, Tien shau, Hindukush andKirthar-Sulaiman mountain ranges.
For sake of our study whole area is divided into eight major division, namely:
Region A(Mongolia, Baikal and surrounding areas), Region B (Tien Shan).
Region C (Tibetan plateau), Region D(Eastern Tibet, Gausu and Ningxia).
Region E (Xianshuilie Fault and Western Burma), Region Gand source zones
H, ,H21 (Indian Subcontinent) and Region I (North China). Indian
Subcontinent, being our major concern is divided into 22 source zones.
First exercise consists inpreparing probabilistic hazard maps in terms
of peak ground motion (acceleration, velocity, displacement) and peak magnitude
over a projected period. These maps are continuous colour depiction of
varioushazard parameters. Extreme value theorems of I and III kind are made
use of during this course for ground motion and magnitude data respectively.
A high degree non-linear fitting to real data for annual probability of
nonexceedance and annual extreme magnitude, is achieved in this analysis.
Complete error matrix is obtained which further provides an insight into the
problem.
li
Results are discussed for various major tectonic features and
numerous locales within the area.
Despite being locales of low seismic hazard potential, peak ground
motion for some, is overestimated, because of fictious hypocentral depth (~
0 km) assignment to some events in the catalogues. Overestimation in peak
magnitude for some low potential locales ( in the proximity of high hazard
zone) are a result of interpolation. This problem is severe for magnitude and
graudally fades from displacement to velocity and accelesation as decay
rate ofthese parameters with respect to hypocentral distance ascends alongwith
this order. Earthquake history spanning over ninety one years (1900-1991) is
taken up.
Second exercise, adds another dimension to these exercises of hazard
estimation through exploiting physical links between crustal deformation,
seismic moment and seismic hazard. In this, moment release rates and
average slip rates for nine seismotectonic units (slightly modified from 8
division classification) as discussed earlier. This modification involves picking
up of two tectonic units; Region G (Central and Western Burma) and source
zones Hn and HJ2 which jointly form Himalaya (Region H) circumvented
within Indian Subcontinent, in addition to Regions A, B, C, D, E, F and I.
During this exercise, seismic moment release rates are computed through the
application of extreme value theory and average slip rates by clubbing fault
parameters with those of moment release rates. These moment release rates
are compared with observations. This agreement can be used to justify the
extrapolation of frequency-magnitude statistics beyond the historical and
instrumental era in seismic hazard studies as a test of the stationarity of short
term statistics against long term effects. Events occurring within 1900 to 1980
are considered here.
Next two techniques operate on a data set, having surface wave
magnitudes >7.0 and encompassing 19lh and 20lh century for Himalaya and
adjoining areas.
In the subsequent analysis, estimates of upperbound magniutdes and
corresponding waiting times, relationships among annual mode magnitudes,
magniutdes equivalent of annual average rates of energy release and upperbound
magnitudes, seismic activity and heterogeneity parameters and uncertainties
in
associated with each and every of them for different seismotectonic provinces
of Himalaya and adjoining areas, namely; North Western Himalaya (NWH),
Central Himalaya (CH), Eastern Himalaya (EH), and Burma (BRM). This
involves in merging energy-magnitude and linear frequency-magnitude relations
and furnishes upperbound magnitude compatible with finite strain energy release
rate. Above mentioned relationships among various kind of magnitudes are
very important from the veiw point of seismic hazard analysis. Upperbound
magnitudes are evaluated using both analytical and graphical methods and they
match well.
Further, we tackled the problems of mean return periods and ultimate
displacements to ruptures for great earthquakes in different seismotectonic
provinces of Himalaya and adjoining areas through using Weibull theory.
Reliability, failure density and cumulative probability curves (in both, time
and displacement domains) are plotted which provide useful insight into the
problems of recurrence of great earthquakes. Relative plate velocities are
incorporated to convert time intervals between the events to displacement
intervals. Also conditional probabilities are estimated which further provides
insight into the earthquake occurrence. A thought can be given to seismic
gaps from the view point of conditional probabilities. As seismic gaps are
zones which, though ruptured in the past but remained seismically quiescent
in last few decades, are the probable locales of high potential for rupture. The
probability of this happening in the coming years can be best simulated using
conditional probabilities.
Another feature of the Weibull distribution analysis is that, its cumulative
probability serves itself as a measure which governs the commencement of
intensification of prediction oriented observation. In this work we
also suggest that epochs when intensification of prediction oriented observations
(i.e. monitoring of precursory phenomena) should start for North Western.
Central, Eastern Himalaya and Burma.
In a nutsnell, continuous probabilistic hazard maps in terms of peak
magnitude, acceleration, velocity and displacement and computation of various
other hazard parameters offer a systematic, picture of estimated seismic hazard
in Central and Eastern Asia, Himalaya and Peninsular India