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  5. Estimation of the Tapered Gutenberg-Richter Distribution Parameters for Catalogs with Variable Completeness: An Application to the Atlantic Ridge Seismicity
 
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Estimation of the Tapered Gutenberg-Richter Distribution Parameters for Catalogs with Variable Completeness: An Application to the Atlantic Ridge Seismicity

Author(s)
Taroni, Matteo  
Istituto Nazionale di Geofisica e Vulcanologia (INGV), Sezione Roma1, Roma, Italia  
Selva, Jacopo  
Istituto Nazionale di Geofisica e Vulcanologia (INGV), Sezione Bologna, Bologna, Italia  
Zhuang, Jiancang  
Language
English
Obiettivo Specifico
6T. Studi di pericolosità sismica e da maremoto
Status
Published
JCR Journal
JCR Journal
Peer review journal
Yes
Journal
Applied Sciences  
Issue/vol(year)
/11 (2021)
Publisher
MDPI
Pages (printed)
12166
Date Issued
December 20, 2021
DOI
10.3390/app112412166
URI
https://www.earth-prints.org/handle/2122/15229
Abstract
The use of the tapered Gutenberg-Richter distribution in earthquake source models is rapidly increasing, allowing overcoming the definition of a hard threshold for the maximum magnitude. Here, we expand the classical maximum likelihood estimation method for estimating the parameters of the tapered Gutenberg-Richter distribution, allowing the use of a variable through-time magnitude of completeness. Adopting a well-established technique based on asymptotic theory, we also estimate the uncertainties relative to the parameters. Differently from other estimation methods for catalogs with a variable completeness, available for example for the classical truncated Gutenberg-Richter distribution, our approach does not need the assumption on the distribution of the number of events (usually the Poisson distribution). We test the methodology checking the consistency of parameter estimations with synthetic catalogs generated with multiple completeness levels. Then, we analyze the Atlantic ridge seismicity, using the global centroid moment tensor catalog, finding that our method allows better constraining distribution parameters, allowing the use more data than estimations based on a single completeness level. This leads to a sharp decrease in the uncertainties associated with the parameter estimation, when compared with existing methods based on a single time-independent magnitude of completeness. This also allows analyzing subsets of events, to deepen data analysis. For example, separating normal and strike-slip events, we found that they have significantly different but well-constrained corner magnitudes. Instead, without distinguishing for focal mechanism and considering all the events in the catalog, we obtain an intermediate value that is relatively less constrained from data, with an open confidence region.
Type
article
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Taroni et al. 2021 - Applied Sciences.pdf

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