Institutes
Refine
Year of publication
Document Type
- Article (121)
- Doctoral Thesis (44)
- Book (19)
- Working Paper (8)
- Contribution to a Periodical (2)
- Review (2)
- Report (1)
Language
- English (150)
- German (46)
- Multiple languages (1)
Has Fulltext
- yes (197)
Is part of the Bibliography
- no (197)
Keywords
- Frankfurt am Main (5)
- precipitation (4)
- COSMO-CLM (3)
- Carbonate (3)
- Baltic age spectra (2)
- Canary Islands (2)
- Clausius–Clapeyron scaling (2)
- Detrital zircons (2)
- Devonian (2)
- Holy Cross Mountains (2)
Institute
- Geowissenschaften / Geographie (197)
- Präsidium (21)
- Senckenbergische Naturforschende Gesellschaft (4)
- Biochemie, Chemie und Pharmazie (3)
- Biowissenschaften (3)
- Psychologie und Sportwissenschaften (3)
- Biodiversität und Klima Forschungszentrum (BiK-F) (2)
- Evangelische Theologie (2)
- Gesellschaftswissenschaften (2)
- Katholische Theologie (2)
Ob Klimawandel oder Luftverschmutzung: Die chemischen und physikalischen Prozesse in der Atmosphäre haben wichtige Auswirkungen auf die menschliche Gesundheit und Ökosysteme. Dabei ist die Atmosphäre mehr als ein Gemisch aus Stickstoff, Sauerstoff, Wasserdampf, Helium und Kohlenstoffdioxid. Es gibt zahlreiche Spurengase, deren Gesamtanteil am Volumen weniger als 1 % ausmacht. In dieser Arbeit werden Stickstoffoxide, Schwefeldioxid, Kohlenstoffmonoxid und Schwefelsäure näher betrachtet, die im Rahmen der flugzeugbasierten Messkampagne Chemistry of the Atmosphere: field experiment in Europe (CAFE-EU)/BLUESKY gemessen wurden.
Die Stickstoffoxide NO und NO2, als NOx zusammengefasst, besitzen hauptsächlich anthropogene Quellen, allen voran fossile Verbrennung und industrielle Prozesse. Zwischen NO und NO2 besteht ein photochemisches Gleichgewicht, sodass in der Atmosphäre vor allem NO2 in relevanten Konzentrationen vorkommt; dies wirkt aufgrund der Bildung von Salpetersäure, HNO3, in wässriger Lösung beim Einatmen ätzend und ist entsprechend gesundheitsschädlich. Troposphärisches Ozon, O3, wesentlicher Bestandteil von Sommersmog, wird hauptsächlich durch die Reaktion von NO mit Peroxiden (HO2 und RO2) gebildet. In der Stratosphäre entstehen NOx hauptsächlich durch die Photodissoziation von Lachgas, N2O, das aufgrund seiner langen Lebenszeit von der Tropo- in die Stratosphäre transportiert werden kann und dort die wichtigste Stickstoffquelle darstellt. In der Stratosphäre tragen NOx zum katalytischen Abbaumechanismus des Ozons bei (Bliefert, 2002; Seinfeld and Pandis, 2016).
Schwefeldioxid, SO2, ist ein toxisches Gas, dessen atmosphärische Quellen hauptsächlich anthropogen sind, nämlich fossile Verbrennung und industrielle Prozesse; Senken sind trockene und feuchte Deposition, wobei letztere zu saurem Regen führen kann. Seit den 1980ern sinken die globalen SO2-Emissionen. SO2 kann in der Atmosphäre zu Sulfat und Schwefelsäure oxidiert werden, was Hauptbestandteil des Wintersmogs ist. Der wichtigste Mechanismus ist die Oxidation mit dem Hydroxylradikal, OH˙, unter Beteiligung von Wasserdampf. In der Stratosphäre ist Carbonylsulfid, OCS, die wichtigste Schwefelquelle, da es analog zum N2O dank seiner langen Lebenszeit von der Tropo- in die Stratosphäre transportiert werden kann (Bliefert, 2002; Seinfeld und Pandis, 2016). Typische Konzentrationen von Schwefelsäure sind 105 cm–3 nachts und 107 cm–3 tagsüber in der Troposphäre sowie 105 cm–3 tagsüber in der Stratosphäre (Clarke et al., 1999; Weber et al., 1999; Fiedler et al., 2005; Arnold, 2008; Kürten et al., 2016; Berresheim et al., 2000).
Kohlenstoffmonoxid, CO, ist ein toxisches Gas, das zu gleichen Teilen durch direkte Emissionen (v.a. Biomasseverbrennung und fossile Verbrennung) und In-situ-Oxidation (v.a. von Methan, Isopren und industriellen Kohlenwasserstoffen) in die Atmosphäre gelangt. Die Hauptsenke ist die Reaktion mit OH˙ in der Troposphäre. Seit 2000 sinkt die globale CO-Konzentration (Bliefert, 2002).
Doch neben Gasen sind auch Aerosolpartikel fester Bestandteil des Gemisches Luft, welche luftgetragene feste oder flüssige Teilchen sind. Primäre Aerosolpartikel werden direkt als solche in die Atmosphäre emittiert, während sekundäre Aerosolpartikel in der Atmosphäre gebildet werden, indem gasförmige Vorläufersubstanzen mit geringer Flüchtigkeit auf primären Partikeln kondensieren oder durch Zusammenclustern und Anwachsen komplett neue Partikel bilden. Aerosolpartikel ermöglichen als Wolkenkondensationskeime erst die Bildung von Wolken und wirken somit – neben ihrem direkten reflektierenden Effekt – durch Änderung der Wolkenbedeckung und -eigenschaften insgesamt kühlend aufs Klima und beeinflussen die lokalen und globalen Wasserkreisläufe. Doch sie haben auch negative Auswirkungen auf die menschliche Gesundheit und sind für eine Verkürzung der durchschnittlichen Lebensdauer in Regionen mit hohen Feinstaubbelastungen verantwortlich (Seinfeld und Pandis, 2016; Bellouin et al., 2020; World Health Organization, 2016).
Neben den bisher betrachteten neutralen, also ungeladenen Gasen und Partikeln sind Ionen in der Gasphase sowie geladene Partikel ebenfalls Bestandteil der Atmosphäre. Sie spielen bei vielen atmosphärischen Prozessen eine wichtige Rolle, wie etwa bei Gewittern, Radiowellenübertragung und ionen-induzierter Nukleation von Aerosolpartikeln. Die Hauptquellen für Ionisation in der Tropo- und Stratosphäre ist die galaktische kosmische Strahlung, die entgegen ihrem Namen hauptsächlich aus Protonen und α-Partikeln (primäre Partikel genannt) besteht und in der Erdatmosphäre durch Kollision mit Luftmolekülen Teilchenschauer von sekundären Partikeln (u.a. Myonen, Pionen und Neutrinos) hervorruft. Die primären und sekundären Partikel können die Luftmoleküle ionisieren unter Entstehung von N+, N2+, O+, O2+ und Elektronen. Sauerstoff reagiert rasch mit letzteren zu O– und O2–. Diese Kationen und Anionen reagieren weiter, bis Ionenclustern der Summenformeln (HNO3)n(H2O)mNO3– und H+(H2O)n(B)m gebildet werden, wobei B Basen wie Methanol, Aceton, Ammoniak oder Pyridin sind. Weitere Ionisationsquellen sind der Zerfall des Radioisotops 222Rn in Bodennähe und ionisierende Solarstrahlung oberhalb der Stratosphäre. Atmosphärische Ionen haben zwei wichtige Senken: die Wiedervereinigung, auch Rekombination genannt, bei der sich ein Kation und ein Anion gegenseitig neutralisieren sowie das Anhaften an Aerosolpartikeln. Letztere Senke ist vor allem in der Troposphäre aufgrund der relativ hohen Konzentration an Aerosolpartikeln relevant (Arnold, 2008; Viggiano und Arnold, 1995; Bazilevskaya et al., 2008; Hirsikko et al., 2011).
In dieser Dissertation wird die Parametrisierung von subgitterskaligen (SGS) Prozessen in Atmosphärenmodellen untersucht. Die Arbeit befasst sich mit den stochastisch angetriebenen Flachwassergleichungen, im ersten Teil in einer räumlichen Dimension und im zweiten Teil in zwei Dimensionen. Die Einteilung in aufgelöste und SGS-Variable erfolgt in beiden Fällen über lokale räumliche Mittel der Ursprungsvariable und deren Abweichungen vom lokalen Mittel.
Im eindimensionalen Fall liegt zwischen den Variablen eine deutliche Separation der charakteristischen Zeitskalen vor, wodurch die Anwendung der stochastischen Moden Reduktion (SMR) ermöglicht wird. Die SMR generiert ein reduziertes Modell der aufgelösten Variable mit einer stochastischen SGS-Parametrisierung, im Folgenden auch Schließung genannt. Die SMR-Schließung basiert auf den Grundgleichungen des Flachwassermodells und ist numerisch effizient einsetzbar, da sie nur eine geringe Anzahl von benachbarten Zellen koppelt. Sie verbessert die Ergebnisse des reduzierten Modells und übertrifft die Ergebnisse zweier zum Vergleich untersuchter empirischer stochastischer Schließungen. Den größten Zugewinn liefert sie im Energiespektrum, insbesondere für kleine Skalen. Das Ergebnis der SMR-Schließung kann verbessert werden, indem die Amplitude der stochastischen Schließungskomponente gedämpft wird. Die SMR-Schließung ist skalenabhängig im Sinne der räumlichen Modellauflösung. Untersucht wird die Schließung bei Halbierung und Viertelung der räumlichen Auflösung, wo sie ihre Überlegenheit gegenüber den empirischen Schließungen wiederholt bestätigt.
Im Unterschied zum eindimensionalen Fall ist in zwei Dimensionen auch die Corioliskraft enthalten und eine räumliche Divergenz der Schwerewellen möglich. Zwischen der aufgelösten und der SGS-Variable kommt es erneut zu einer Separation der charakteristischen Zeitskalen. Die Separation ist allerdings weniger stark ausgeprägt als im eindimensionalen Fall. Grund hierfür ist das Auftreten einer lang korrelierten geostrophisch balancierten Mode, welche auch auf die SGS-Variable projiziert. Das Vorgehen zur Bestimmung der SMR-Schließung für das zweidimensionale Modell verläuft analog zum eindimensionalen Fall. Es werden die Ergebnisse des hoch aufgelösten Referenzmodells und zweier Modelle ohne SGS-Schließung verglichen.
We present the first oxidation state measurements for the subcontinental lithospheric mantle (SCLM) beneath the Rae craton, northern Canada, one of the largest components of the Canadian shield. In combination with major and trace element compositions for garnet and clinopyroxene, we assess the relationship between oxidation state and metasomatic overprinting. The sample suite comprises peridotite xenoliths from the central part (Pelly Bay) and the craton margin (Somerset Island) providing insights into lateral and vertical variations in lithospheric character. Our suite contains spinel, garnet-spinel and garnet peridotites, with most samples originating from 100 to 140 km depth. Within this narrow depth range we observe strong chemical gradients, including variations in oxygen fugacity (ƒO2) of over 4 log units. Both Pelly Bay and Somerset Island peridotites reveal a change in metasomatic type with depth. Observed geochemical systematics and textural evidence support the notion that Rae SCLM developed through amalgamation of different local domains, establishing chemical gradients from the start. These gradients were subsequently modified by migrating melts that drove further development of different types of metasomatic overprinting and variable oxidation at a range of length scales. This oxidation already apparent at ~ 100 km depth could have locally destabilised any pre-existing diamond or graphite.
Das Studium der Diplomgeographie an der Universität Frankfurt am Main ist auf die Verknüpfung des Mensch-Umwelt-Verhältnisses in seiner räumlichen Bewertung ausgerichtet und so angelegt, daß die Studierenden im Grundstudium mit den entsprechenden Analyse-und Bewertungsverfahren vertraut gemacht werden, während sie im Hauptstudium verstärkt durch Projektstudium reale Berufsfeldsituationen einüben sollen. Unter dem Leitbild der nachhaltigen Raumentwicklung werden inhaltlich die Veranstaltungen auf vier Felder konzentriert: die naturräumliche Situation (Landschaftshaushalt, Erkundung und Analyse des oberflächlichen Untergrunds), Geographie der Alltagswelt (Individualebene des Wohnens, der Freizeit, der Identität), Wirtschaft und Logistik und Strukturen der dritten Welt.
Diese Arbeit nimmt Weiße Freiwillige aus Deutschland in den Blick, die einen Freiwilligendienst im Ausland geleistet haben und in rassistischen Machtverhältnissen eine privilegierte, das heißt Weiße Position einnehmen. Dabei dienen die Critical Whiteness Studies als fruchtbare Grundlage, um die Auseinandersetzung mit Rassismus aus Weißer privilegierter Perspektive zu untersuchen. Die Arbeit geht daher der Frage nach: Inwiefern die Erfahrungen im Freiwilligendienst und die begleitenden rassismuskritischen Seminare Weiße Nord-Nord und Nord-Süd Freiwillige dazu anregen, ihre Privilegien zu reflektieren und sich kritisch im rassistischen Machtsystem zu positionieren. Die Analyse der Interviews mit Weißen Freiwilligen zeigt, dass die Interviewten zum einen unterschiedliche Konfrontationserfahrungen mit Whiteness gemacht haben und zum anderen ihre daraus resultierenden Reflexionsprozesse und Umgangsweisen sehr divers ausfallen. Unterschiede zeigen sich jedoch nicht nur zwischen den Nord-Nord und Nord-Süd Freiwilligen, sondern auch situationsabhängig anhand der jeweiligen Erfahrungen der einzelnen Weißen Freiwilligen. Aus diesen Untersuchungen lässt sich ableiten, dass es auch für rassismus- und machtkritische Begleitseminare weiterhin eine zu bewältigende Herausforderung bleibt, die Relevanz der persönlichen Auseinandersetzung mit Whiteness und somit mit eigenen Privilegien und Verstrickungen in Rassismus – unabhängig vom Zielland des Freiwilligendienstes – zu vermitteln.
Plant community biomass production is co-dependent on climatic and edaphic factors that are often covarying and non-independent. Disentangling how these factors act in isolation is challenging, especially along large climatic gradients that can mask soil effects. As anthropogenic pressure increasingly alters local climate and soil resource supply unevenly across landscapes, our ability to predict concurrent changes in plant community processes requires clearer understandings of independent and interactive effects of climate and soil. To address this, we developed a multispecies phytometer (i.e., standardized plant community) for separating key drivers underlying plant productivity across gradients. Phytometers were composed of three globally cosmopolitan herbaceous perennials, Dactylis glomerata, Plantago lanceolata, and Trifolium pratense. In 2017, we grew phytometer communities in 18 sites across a pan-European aridity gradient in local site soils and a standardized substrate and compared biomass production. Standard substrate phytometers succeeded in providing a standardized climate biomass response independent of local soil effects. This allowed us to factor out climate effects in local soil phytometers, establishing that nitrogen availability did not predict biomass production, while phosphorus availability exerted a strong, positive effect independent of climate. Additionally, we identified a negative relationship between biomass production and potassium and magnesium availability. Species-specific biomass responses to the environment in the climate-corrected biomass were asynchronous, demonstrating the importance of species interactions in vegetation responses to global change. Biomass production was co-limited by climatic and soil drivers, with each species experiencing its own unique set of co-limitations. Our study demonstrates the potential of phytometers for disentangling effects of climate and soil on plant biomass production and suggests an increasing role of P limitation in the temperate regions of Europe.
We present the results of geochemical analysis of silver coinage issued by Rome and dated between the fourth and second century BCE, which are complemented by data of coinage issued by Carthage, the Brettii, and the Greek colony of Emporion. Each of these minting authorities represents one of the major parties involved in the struggle for hegemony in the fourth to second centuries BCE Western Mediterranean region. This study retraces how the metal supply shifts in response to the transforming power relations and how this change is related to Rome's rise to the virtually uncontested ruler of the region.
In this dissertation, different aspects of turbulent transport and thermally driven flows over complex terrain are investigated. Two publications concentrate on the vertical heat and moisture exchange in the convective boundary layer over mountainous terrain. To study this, Large-Eddy Simulation (LES) is used. Both turbulent and advective transport mechanisms are evaluated over the simple orography of a quasi-two-dimensional, periodic valley with prescribed surface fluxes. Here, terrain elevation varies along only one of the horizontal coordinate axes. Even a relatively shallow orography, possibly unresolved in existing numerical weather prediction models, modifies the domain-averaged moisture and temperature profiles. For the analysis, the flow is decomposed into a local turbulent part, a local mean circulation, and a large-scale part. An analysis of the turbulent kinetic energy and turbulent heat and moisture flux budgets shows that the thermal circulation significantly contributes to the vertical transport. It is found that thermal upslope winds are important for the moisture transport from the valley to the mountain tops. In total, moisture export out of the valley is mostly accomplished by the mean circulation. On the temperature distribution, which is horizontally relatively homogeneous, the thermal circulation has a weaker impact. If an upper-level wind is present, it interacts with the thermal circulation. This weakens the vertical transport of moisture and thus reduces its export out of the valley. The heat transport is less affected by the upper-level wind because of its weaker dependence on the thermal circulation. These findings were corroborated in a more realistic experiment simulating the full diurnal cycle using radiation forcing and an interactive land surface model.
Based on these results, coherent turbulent structures in the convective boundary layer over non-flat terrain are studied in further detail. A conditional sampling method based on the concentration of a decaying passive tracer is implemented in order to identify the boundary-layer plumes objectively. Conditional sampling allows to quantify the contribution of plume structures to the vertical transport of heat and moisture. In case of the idealized valley, vertical transport by coherent structures is the dominant contribution to the turbulent components of both heat and moisture flux. It is comparable in magnitude to the advective transport by the mean slope-wind circulation, although it is more important for heat than for moisture transport. A set of less idealized simulations considers the flow over three-dimensional terrain. In this case, conditional sampling is carried out by using a simple domain-decomposition approach. We demonstrate that thermal updrafts are generally more frequent on hill tops than over the surroundings, but they are less persistent on the windward sides when large-scale winds are present in the free atmosphere.
The tools for flow decomposition and budget analysis are also applied in another idealized case with a quasi-two-dimensional valley featuring the stable boundary layer. Here, the formation of a low stratus cloud is investigated. The main driver for the cloud formation is radiative cooling due to outgoing longwave radiation. Despite a purely horizontal flow, the advection terms in the prognostic equations for heat and moisture produce vertical mixing across the upper cloud edge leading to a loss of cloud water content. However, this behavior is not due to any kind of thermally-driven circulation. Instead, this spurious mixing is caused by the diffusive error of the advection scheme in regions where the sloping surfaces of the terrain-following vertical coordinate intersect the cloud top. It is shown that the intensity of the (spurious) numerical diffusion strongly depends on the horizontal resolution, the order of advection, and the choice of the scalar advection scheme. A LES with 4 m horizontal resolution serves as a reference. For horizontal resolutions of a few hundred meters, carried out with a model setup as it is used in Numerical Weather Prediction, a strong reduction of the simulated liquid-water path is observed. In order to keep the (spurious) numerical diffusion at coarser resolutions small, at least a fifth-order advection scheme should be used. In the present case, a WENO scalar advection scheme turns out to increase the numerical diffusion along a sharp cloud edge compared to an upwind scheme. Furthermore, the choice of the vertical coordinate has a strong impact on the simulated liquid-water path over orography. With a modified definition of the terrain-following sigma coordinate, it is possible to produce cloud water where the classical sigma coordinate does not allow any cloud formation.
Das Wissen über die Wolkenmikrophysik und die Wechselwirkung zwischen Niederschlag und Aerosol ist ein wichtiger Baustein zur Optimierung von Klima- und Wettermodellen. Ein Großteil des Niederschlags in den mittleren Breiten fällt aus Mischphasenwolken, die aus unterkühlten Tröpfchen und Eispartikeln bestehen. Die Eispartikel bilden sich an speziellen Aerosolpartikeln, die als Eiskeime (INP) wirken können. Die Wahrscheinlichkeit eines Aerosols als Eiskeim zu wirken, nimmt mit abnehmender Temperatur und steigender Wassersättigung zu. Mineralstaubpartikel sind die häufigsten Eiskeime, die ab Temperaturen ≤−15°C aktiv sind, biologische Partikel wirken schon bei wärmeren Bedingungen. Große Wissenslücken bestehen noch bei der globalen Konzentration von Eiskeimen, inklusive deren geographischer und jahreszeitlicher Variabilität.
Im Zentrum der Experimente, die für diese Arbeit durchgeführt wurden, steht der Eiskeimzähler FRIDGE (Frankfurt Ice Deposition Freezing Experiment). Je nach Aufbau und Anwendung des Instruments werden zwei verschiedene Ansätze zur Aktivierung von Eiskeimen verfolgt. Die ursprüngliche und namensgebende Methode in Form einer Vakuum-Diffusionskammer wurde zur Untersuchung von Eisnukleation via Depositionsgefrieren (an INP_D) entwickelt (Klein et al., 2010). Danielczok (2015) nutzte einige Bestandteile des Analysegeräts, um auch Immersionsgefrieren (an INP_I) in Form von Tröpfchengefrieren à la Vali (1971) zu studieren. In der vorliegenden Arbeit wurde diese Anwendungsmöglichkeit von FRIDGE weiterentwickelt. Ein zentraler Schritt war dabei die präzise Charakterisierung des Gefrierverhaltens von Tröpfchen aus Reinstwasser ohne zusätzliches Aerosol. Die Einbeziehung dieses sogenannten Hintergrundgefrierens, das für jedes Instrument und Messverfahren spezifisch ist, ermöglichte es, die Minimaltemperatur, für die zuverlässige Ergebnisse produziert werden können, von −22°C auf −29°C herabzusetzen. Der dadurch hinzugewonnene Temperaturbereich ist für Eisnukleation in Mischphasenwolken äußerst relevant.
Beide Anwendungsmethoden wurden im Rahmen des Fifth International Workshop on Ice Nucleation – Phase 2 (FIN-02) sowie bei einer weiteren Kampagne zur Messung von Eisnukleation an Cellulosepartikeln mit über zwanzig anderen Eiskeimzählern verglichen. Mit FRIDGE als Diffusionskammer wurde für die Mehrheit der untersuchten Aerosoltypen eine zufriedenstellende Übereinstimmung mit den anderen Instrumenten beobachtet. Die Experimente mit gefrierenden Tröpfchen in FRIDGE erzielten ausnahmslos Ergebnisse, die inmitten der Werte der anderen Instrumente lagen. Die erfolgreiche Validierung – besonders der neuen Anwendungsmethode – war das erste Ziel dieser Arbeit und die notwendige Voraussetzung für die anschließenden Feldmessungen.
Atmosphärische Eiskeimkonzentrationen wurden in mehrwöchigen Feldmesskampagnen an drei sehr unterschiedlichen Orten und atmosphärischen Bedingungen untersucht: an der Hochalpinen Forschungsstation Jungfraujoch (JFJ), am Storm Peak Laboratory (SPL) in den Rocky Mountains und am Cyprus Atmospheric Observatory (CAO) in Zypern. Am JFJ wurde eine INP-Konzentration beobachtet, die um den Faktor 20 niedriger als an den anderen beiden Stationen war. Der Grund dafür war, dass sich das Jungfraujoch die meiste Zeit der Messungen in der freien Troposphäre befand. Dementsprechend waren die Bedingungen an der Station von aerosolpartikelarmer Luft mit wenigen Eiskeimen geprägt. An zwei Standorten wurde Mineralstaub als ein Parameter, der die lokale INP-Konzentration positiv beeinflusst, identifiziert. Sowohl am JFJ als auch am CAO erhöhte ferntransportierter Saharastaub die INP-Konzentration.
Die Kombination der zwei Analysemethoden, die Aerosolproben aus derselben Luft entweder in trockenem Ausgangszustand oder in Tröpfchen suspendiert untersuchen, offenbarte eine interessante Eigenschaft der INP. Es herrschte eine offensichtliche Parallelität von INP_D- und INP_I- Konzentrationen. Bei fast allen Messungen waren INP_I etwa 10-mal häufiger als INP_D. Die Aussage trifft gleichermaßen auf sehr niedrige Konzentrationen am JFJ wie auch auf hohe Konzentrationen am SPL und CAO zu. Die einzige Ausnahme bilden Cellulosepartikel. Daraus lässt sich schließen, dass INP_D und INP_I dieselben Partikel sind, die je nach Aktivierungskonditionen Eisnukleation unterschiedlich effektiv hervorrufen.
New particle formation in the upper free troposphere is a major global source of cloud condensation nuclei (CCN)1,2,3,4. However, the precursor vapours that drive the process are not well understood. With experiments performed under upper tropospheric conditions in the CERN CLOUD chamber, we show that nitric acid, sulfuric acid and ammonia form particles synergistically, at rates that are orders of magnitude faster than those from any two of the three components. The importance of this mechanism depends on the availability of ammonia, which was previously thought to be efficiently scavenged by cloud droplets during convection. However, surprisingly high concentrations of ammonia and ammonium nitrate have recently been observed in the upper troposphere over the Asian monsoon region5,6. Once particles have formed, co-condensation of ammonia and abundant nitric acid alone is sufficient to drive rapid growth to CCN sizes with only trace sulfate. Moreover, our measurements show that these CCN are also highly efficient ice nucleating particles—comparable to desert dust. Our model simulations confirm that ammonia is efficiently convected aloft during the Asian monsoon, driving rapid, multi-acid HNO3–H2SO4–NH3 nucleation in the upper troposphere and producing ice nucleating particles that spread across the mid-latitude Northern Hemisphere.
Analyzing the impact of streamflow drought on hydroelectricity production: a global-scale study
(2021)
Electricity production by hydropower is negatively affected by drought. To understand and quantify risks of less than normal streamflow for hydroelectricity production (HP) at the global scale, we developed an HP model that simulates time series of monthly HP worldwide and thus enables analyzing the impact of drought on HP. The HP model is based on a new global hydropower database (GHD), containing 8,716 geo-localized plant records, and on monthly streamflow values computed by the global hydrological model WaterGAP with a spatial resolution of 0.5°. The GHD includes 44 attributes and covers 91.8% of the globally installed capacity. The HP model can reproduce HP trends, seasonality, and interannual variability that was caused by both (de)commissioning of hydropower plants and hydrological variability. It can also simulate streamflow drought and its impact on HP reasonably well. Global risk maps of HP reduction were generated for both 0.5° grid cells and countries, revealing that 67 out of the 134 countries with hydropower suffer, in 1 out of 10 years, from a reduction of more than 20% of mean annual HP and 18 countries from a reduction of more than 40%. The developed HP model enables advanced assessments of drought impacts on hydroelectricity at national to international levels.
Titanite is a potentially powerful U–Pb petrochronometer that may record metamorphism, metasomatism, and deformation. Titanite may also incorporate significant inherited Pb, which may lead to inaccurate and geologically ambiguous U–Pb dates if a proper correction is not or cannot be applied. Here, we present laser ablation inductively coupled plasma mass spectrometry (LA-ICP-MS)-derived titanite U–Pb dates and trace element concentrations for two banded calcsilicate gneisses from south-central Maine, USA (SSP18-1A and SSP18-1B). Single spot common Pb-corrected dates range from 400 to 280 Ma with ±12–20 Ma propagated 2SE. Titanite grains in sample SSP18-1B exhibit regular core-to-rim variations in texture, composition, and date. We identify four titanite populations: (1) 397 ± 5 Ma (95% CL) low Y + HREE cores and mottled grains, (2) 370 ± 7 Ma high Y + REE mantles and cores, (3) 342 ± 6 Ma cores with high Y + REE and no Eu anomaly, and (4) 295 ± 6 Ma LREE-depleted rims. We interpret the increase in titanite Y + HREE between ca. 397 and ca. 370 Ma to constrain the timing of diopside fracturing and recrystallization and amphibole breakdown. Apparent Zr-in-titanite temperatures (803 ± 36°C at 0.5 ± 0.2 GPa) and increased XDi suggest a thermal maximum at ca. 370 Ma. Population 3 domains dated to ca. 342 Ma exhibit no Eu anomaly and are observed only in compositional bands dominated by diopside (>80 vol%), suggesting limited equilibrium between titanite and plagioclase. Finally, low LREE and high U/Th in Population 4 titanite dates the formation of hydrous phases, such as allanite, during high XH2O fluid infiltration at ca. 295 Ma. In contrast to the well-defined date–composition–texture relationships observed for titanite from SSP18-1B, titanite grains from sample SSP18-1A exhibit complex zoning patterns and little correlation between texture, composition, and date. We hypothesize that the incorporation of variable amounts of radiogenic Pb from dissolved titanite into recrystallized domains resulted in mixed dates spanning 380–330 Ma. Although titanite may reliably record multiple phases of metamorphism, these data highlight the importance of considering U–Pb data along with chemical and textural data to screen for inherited radiogenic Pb.
Following votes in the Coniacian Working Group, the Cretaceous Subcommission and the International Commission on Stratigraphy, on May 1st, 2021, the International Union of Geological Sciences voted unanimously to ratify the Global Stratotype Section and Point (GSSP) proposal for the base of the Coniacian Stage of the Upper Cretaceous Series and Cretaceous System. The lower boundary of the Coniacian Stage is placed at the base of Bed 46 of the Salzgitter-Salder section in northern Germany. The boundary is defined by the first appearance of the inoceramid bivalve species Cremnoceramus deformis erectus (Meek) and complemented by the Navigation carbon isotope event. Additional data include the bivalve genus Didymotis, foraminifera, ammonite, nannofossil and organic-walled dinoflagellate cyst events. Three auxiliary sections (Słupia Nadbrzeżna, central Poland; Střeleč, Czech Republic; El Rosario, NE Mexico) supplement the details of the boundary record in various facies, and in differing geographic and biogeographic contexts.
During the last decades mammalian intracranial structures like the ethmoidal region have rarely been a focus of morphological studies, as they required invasive techniques. Contrary, the ontogeny of the fetal nasal capsule could easily be investigated based on histological material. Since the early 21st century modern imaging techniques like high-resolution computed tomography (μCT) reveal non-destructive insights into the mammalian skull. Furthermore, visualization software enables the virtual reconstruction of the tissues and additionally their morphometric analyses. However, the use of morphometric approaches on the nasal cavity is still scarce. Moreover, the turbinal skeleton is generally regarded as a unit, or the rostral respiratory part is compared to the caudal olfactory part; but the distinct olfactory turbinals have been considered only in a few studies.
The present study focuses on the highly diverse facial shape of the dog (Canis lupus familiaris) that evolved during domestication. Due to human-controlled breeding and care the natural selective pressure in prehistoric dogs has been replaced continually by artificial selection. As a consequence, harmful mutations on gene loci which e.g., control facial length growth got fixed within an extremely short time. According to veterinarian studies the turbinals of short snouted breeds continue their growth after the elongation of the facial bones has stopped prematurely. However, such investigations are based on low-resolution CT or MRT data and the morphological descriptions are vague. Referring to the elongation of the face in dolichocephalic breeds no former study has dealt with the detailed morphology of their turbinal skeleton so far.
The current study is based on comparative anatomical, morphometric, morphofunctional, and ontogenetic patterns of the dog’s turbinal skeleton. The 32 macerated skulls and four histological serial sections represent eleven breeds which cover different snout lengths (brachycephalic, mesaticephalic, dolichocephalic; according to two length indices), functional groups (scent hound, sighthound, companion/toy), and breeding histories (ancient pure-breeding associated with an unchanged appearance, modern time fashion breeding). The nasal cavity of the selected skulls was μCT-scanned and virtual 3D models of the turbinal skeleton were reconstructed. The breeds have been compared with each other in their number of olfactory turbinals, in the morphology of all turbinals and the lamina semicircularis as well as in their morphometrics and ontogeny. Based on morphological and ontogenetic patterns a new terminology of the interturbinals was established. The morphometric data covers the measurement of the relative turbinal surface area (IAT) and the calculation of the surface density (SDEN) and the turbinal complexity (TC). For the latter parameter a new morphometric approach was developed. For the ontogenetic comparison histological serial sections of perinatal dog stages have been consulted. As the dog’s ancestor macerated skulls of three adult Eurasian wolves (Canis lupus lupus) function for outgroup comparison and represent the grundplan with which the breeds are compared.
The results support former studies concerning a species-specific number of the fronto- and ethmoturbinals: in the Eurasian wolf and all postnatal dogs under study three ethmoturbinals and three frontoturbinals are observed. Additionally, two types of interturbinals are distinguished, namely four prominent interturbinals which are present in nearly all individuals and show a homologous pattern, and a variable number of additional interturbinals which differ in their shape among the dogs. Generally, longer snouted breeds have more additional interturbinals, so the total number of olfactory turbinals is increased to a maximum of 16 in the borzoi, whereas several short snouted breeds have only nine olfactory turbinals due to the loss of additional interturbinals and one prominent interturbinal. Regarding ontogeny the growth of the respiratory and the olfactory turbinals and the lamina semicircularis is highly associated with the growth of the facial bones after birth. As the viscerocranium of brachycephalic breeds is subjected to a postnatal growth inhibition the ethmoidal region stops growing prematurely, too. The turbinals of both functional parts develop less accessory lamellae that results in the reduction of the three morphometric parameters IAT, SDEN, and TC. The increase of all these three parameters with increasing snout length proves a correlation between both variables in the maxilloturbinal, all olfactory turbinals, and the lamina semicircularis in the dog. With the help of the perinatal dog stages plesiomorphic patterns which are present in all adult specimens (e.g., separation of ethmoturbinal I into two laminae, the presence of the uncinate process) were distinguished from less established morphological traits which get preferably reduced in association with brachycephaly (e.g., the anterior process of the posterior lamina of ethmoturbinal I, the caudal processes of frontoturbinal 1 and 2 within the frontal sinus due to the latter’s reduction). Obviously, the driving mechanism behind these and further variations are mutations on gene loci which control ontogenetic processes: the in other studies already described postnatal growth inhibition in the dermal bones of the midface of brachycephalic breeds seems to have a similar effect on the ethmoidal region. The results of the present study serve as basis for the evaluation how far the bony turbinals’ morphology, morphometrics, and ontogeny might be associated with physiological, genetic, neurological, and phylogenetic patterns. Additionally, the growth patterns of the hard tissues need to be compared to those of the soft tissues (i.e. the nasal epithelium).
AirCore samplers have been increasingly used to capture vertical profiles of trace gases reaching from the ground up to about 30 km, in order to validate remote sens- ing instruments and to investigate transport processes in the stratosphere. When deployed to a weather balloon, accu- rately attributing the trace gas measurements to the sampling altitudes is nontrivial, especially in the stratosphere. In this paper we present the CO-spiking experiment, which can be deployed to any AirCore on any platform in order to evalu- ate different computational altitude attribution processes and to experimentally derive the vertical resolution of the profile by injecting small volumes of signal gas at predefined GPS altitudes during sampling. We performed two CO-spiking flights with an AirCore from the Goethe University Frankfurt (GUF) deployed to a weather balloon in Traînou, France, in June 2019. The altitude retrieval based on an instantaneous pressure equilibrium assumption slightly overestimates the sampling altitudes, especially at the top of the profiles. For these two flights our altitude attribution is accurate within 250 m below 20 km. Above 20 km the positive bias becomes larger and reaches up to 1.2 km at 27 km altitude. Differences in descent velocities are shown to have a major impact on the altitude attribution bias. We parameterize the time lag between the theoretically attributed altitude and the actual CO-spike release altitude for both flights together and use it to empirically correct our AirCore altitude retrieval. Regard- ing the corrected profiles, the altitude attribution is accurate within ±120 m throughout the profile. Further investigations are needed in order to test for the scope of validity of this correction parameter regarding different ambient conditions and maximum flight altitudes. We derive the vertical resolu- tion from the CO spikes of both flights and compare it to the modeled vertical resolution. The modeled vertical resolution is too optimistic compared to the experimentally derived res- olution throughout the profile, albeit agreeing within 220 m. All our findings derived from the two CO-spiking flights are strictly bound to the GUF AirCore dimensions. The newly introduced CO-spiking experiment can be used to test differ- ent combinations of AirCore configurations and platforms in future studies.
Motivated by the question of whether and how wave–wave interactions should be implemented into atmospheric gravity-wave parametrizations, the modulation of triadic gravity-wave interactions by a slowly varying and vertically sheared mean flow is considered for a non-rotating Boussinesq fluid with constant stratification. An analysis using a multiple-scale WKBJ (Wentzel–Kramers–Brillouin–Jeffreys) expansion identifies two distinct scaling regimes, a linear off-resonance regime, and a nonlinear near-resonance regime. Simplifying the near-resonance interaction equations allows for the construction of a parametrization for the triadic energy exchange which has been implemented into a one-dimensional WKBJ ray-tracing code. Theory and numerical implementation are validated for test cases where two wave trains generate a third wave train while spectrally passing through resonance. In various settings, of interacting vertical wavenumbers, mean-flow shear, and initial wave amplitudes, the WKBJ simulations are generally in good agreement with wave-resolving simulations. Both stronger mean-flow shear and smaller wave amplitudes suppress the energy exchange among a resonantly interacting triad. Experiments with mean-flow shear as strong as in the vicinity of atmospheric jets suggest that internal gravity-wave dynamics are dominated in such regions by wave modulation. However, triadic gravity-wave interactions are likely to be relevant in weakly sheared regions of the atmosphere.
Analysing the composition of ambient ultrafine particles (UFPs) is a challenging task due to the low mass and chemical complexity of small particles, yet it is a prerequisite for the identification of particle sources and the assessment of potential health risks. Here, we show the molecular characterization of UFPs, based on cascade impactor (Nano-MOUDI) samples that were collected at an air quality monitoring station near one of Europe's largest airports, in Frankfurt, Germany. At this station, particle-size-distribution measurements show an enhanced number concentration of particles smaller than 50 nm during airport operating hours. We sampled the lower UFP fraction (0.010–0.018, 0.018–0.032, 0.032–0.056 µm) when the air masses arrived from the airport. We developed an optimized filter extraction procedure using ultra-high-performance liquid chromatography (UHPLC) for compound separation and a heated electrospray ionization (HESI) source with an Orbitrap high-resolution mass spectrometer (HRMS) as a detector for organic compounds. A non-target screening detected ∼200 organic compounds in the UFP fraction with sample-to-blank ratios larger than 5. We identified the largest signals as homologous series of pentaerythritol esters (PEEs) and trimethylolpropane esters (TMPEs), which are base stocks of aircraft lubrication oils. We unambiguously attribute the majority of detected compounds to jet engine lubrication oils by matching retention times, high-resolution and accurate mass measurements, and comparing tandem mass spectrometry (MS2) fragmentation patterns between both ambient samples and commercially available jet oils. For each UFP stage, we created molecular fingerprints to visualize the complex chemical composition of the organic fraction and their average carbon oxidation state. These graphs underline the presence of the homologous series of PEEs and TMPEs and the appearance of jet oil additives (e.g. tricresyl phosphate, TCP). Targeted screening of TCP confirmed the absence of the harmful tri-ortho isomer, while we identified a thermal transformation product of TMPE-based lubrication oil (trimethylolpropane phosphate, TMP-P). Even though a quantitative determination of the identified compounds is limited, the presented method enables the qualitative detection of molecular markers for jet engine lubricants in UFPs and thus strongly improves the source apportionment of UFPs near airports.
As part of two drilling campaigns of the International Continental Scientific Drilling Program (ICDP), several geophysical borehole measurements were carried out by the Leibniz Institute for Applied Geophysics (LIAG) in two lakes. The acquired data was used to answer stratigraphic and paleoclimatic research questions, including the establishment of robust age-depth models and the construction of continuous lithological profiles.
Lake Towuti is located on Sulawesi (Indonesia), within the "Indo-Pacific Warm Pool" (IPWP), a globally important region for atmospheric heat and moisture budgets. The lake exists for approximately one million years, but its exact age is uncertain. We present the first agedepth model for the approximately 100 m continuous sediment sequence from the central part of the lake. The basis for this model is the magnetic susceptibility measured in the borehole and a tephra layer with an age of about 797 ka at 72 m depth. Our age-depth model is inferred from cyclostratigraphic analysis of borehole data and covers a period from 903 ± 11 to 131 ± 67 ka. We suggest that orbital eccentricity and/or changes between global cold and warm periods are responsible for hydroclimatic changes in the IPWP, that these changes affect sedimentation processes in Lake Towuti, and that we can measure and observe this effect in the sediment properties today. Additionally, we created a continuous artificial lithological profile from a series of different borehole data using cluster analysis. This provides information from parts of the borehole where no sediment is available due to core loss.
Lake Ohrid is 1.36 million years old and is located on the Balkan Peninsula on the border between Albania and North Macedonia. The primary hole 'DEEP' in the central part of the lake has been the subject of several investigations, but information about sediments of the marginal locations 'Pestani' and 'Cerava' have not been published yet. In our study, we use natural gamma radiation (GR) measured in the borehole to generate an age-depth model for DEEP. This is performed using the correlation of GR to the global LR04 reference record of Lisiecki and Raymo (2005).
The age information is then transferred via prominent seismic marker horizons to the other two sites, Pestani and Cerava, where it provides the first age-control points for the construction of age-depth models from correlation of GR to LR04. The generated age-depth models are tested using cyclostratigraphic methods, but the limits of this approach are revealed. At DEEP, sedimentation rates (SR) from the cyclostratigraphic method and the correlative approach differ by 2.8 %, at Pestani this difference is 16.7 %, and at Cerava the quality of the data does not allow a reliable evaluation of SR using the cyclostratigraphic approach. We used cluster analysis to construct artificial lithological profiles at all three sites and integrated them into the respective age-depth models. This enables us to determine which sediment types were deposited at what time, and we recognize the change between warm and cold periods in the sediment properties at all three locations. The analyses in this study were all performed on borehole and seismic data and thus do not involve sediment core data. Especially at Pestani and Cerava, new insights into the sedimentological history of Lake Ohrid could be obtained.
In the last part we discuss the occurrence of the half-precession (HP) signal in the European region during the last one million years. The focus is on Lake Ohrid, but a range of other proxies, from the eastern Mediterranean, across the European continent, up to Greenland are analyzed in regards to HP. Applying filters, we focus on the frequency range with a period of 13-8.5 ka and only HP remains in the records. We use correlative methods to determine the clarity of the HP signal in proxies distributed across the European realm. Additionally, we determined the development of HP over time. The HP signal is clearest in the southeast and decreases toward the north. It is further more pronounced in interglacial periods and in the younger part (<621 ka) of most proxies. We suggest that there are mechanisms that transmit the HP signal from its origin near the equator to higher latitudes via different processes. In this context, for instance, the African monsoon, the Nile River and the Mediterranean outflow via the Strait of Gibraltar can be important factors.
Reliable identification of chondrules, calcium-aluminum-rich inclusions (CAIs), carbonate grains, and Ca-phosphate grains at depth within untouched, unprepared chondritic samples by a nondestructive analytical method, such as synchrotron X-ray fluorescence (SXRF) computed tomography (CT), is an essential first step before intrusive analytical and sample preparation methods are performed. The detection of a local Ca-enrichment could indicate the presence of such a component, all of which contain Ca as major element and/or Ca-bearing minerals, allowing it to be precisely located at depth within a sample. However, the depth limitation from which Ca-K fluorescence can travel through a chondrite sample (e.g., ∼115 µm through material of 1.5 g cm−3) to XRF detectors leaves many Ca-bearing components undetected at deeper depths. In comparison, Sr-K lines travel much greater distances (∼1700 µm) through the same sample density and are, thus, detected from much greater depths. Here, we demonstrate a clear, positive, and preferential correlation between Ca and Sr and conclude that Sr-detection can be used as proxy for the presence of Ca (and, thus, Ca-bearing components) throughout mm-sized samples of carbonaceous chondritic material. This has valuable implications, especially for sample return missions from carbonaceous C-type asteroids, such as Ryugu or Bennu. Reliable localization, identification, and targeted analysis by SXRF of Ca-bearing chondrules, CAIs, and carbonates at depth within untouched, unprepared samples in the initial stages of a multianalysis investigation insures the valuable information they hold of pre- and post-accretion processes in the early solar system is neither corrupted nor destroyed in subsequent processing and analyses.
The Altenberg–Teplice Volcanic Complex (ATVC) is a large ~ NNW–SSE trending volcano-plutonic system in the southern part of the Eastern Erzgebirge (northern Bohemian Massif, south-eastern Germany and northern Czech Republic). This study presents high precision U–Pb CA-ID-TIMS zircon ages for the pre-caldera volcano-sedimentary Schönfeld–Altenberg Complex and various rocks of the caldera stage: the Teplice rhyolite, the microgranite ring dyke, and the Sayda-Berggießhübel dyke swarm. These data revealed a prolonged time gap of ca. 7–8 Myr between the pre-caldera stage (Schönfeld–Altenberg Complex) and the climactic caldera stage. The volcanic rocks of the Schönfeld–Altenberg Complex represent the earliest volcanic activity in the Erzgebirge and central Europe at ca. 322 Ma. The subsequent Teplice rhyolite was formed during a relatively short time interval of only 1–2 Myr (314–313 Ma). During the same time interval (314–313 Ma), the microgranite ring dyke intruded at the rim of the caldera structure. In addition, one dyke of the Sayda-Berggiesshübel dyke swarm was dated at ca. 314 Ma, while another yielded a younger age (ca. 311 Ma). These data confirm the close genetic and temporal relationship of the Teplice rhyolite, the microgranite ring dyke, and (at least part of) the Sayda-Berggießhübel dyke swarm. Remarkably, the caldera formation in the south of the Eastern Erzgebirge (caldera stage of ATVC: 314–313 Ma) and that in the north (Tharandt Forest caldera: 314–312 Ma) occurred during the same time. These data document a large ~ 60 km NNW–SSE trending magmatic system in the whole Eastern Erzgebirge. For the first time, Hf-O-isotope zircon data was acquired on the ring dyke from the ATVC rocks to better characterize its possible sources. The homogeneous Hf-O-isotope zircon data from the microgranite ring dyke require preceding homogenization of basement rocks. Some small-scale melts that were produced during Variscan amphibolite-facies metamorphism show similar Hf-O-isotope characteristics and can therefore be considered as the most probable source for the microgranite ring dyke melt. In addition, a second source with low oxygen isotope ratios (e.g. basic rocks) probably contributed to the melt and possibly triggered the climactic eruption of the Teplice rhyolite as well as the crystal-rich intrusion of the ring dyke.
Toward parametrization of precipitating shallow cumulus cloud organization via moisture variance
(2021)
The influence of the initial vertical moisture profile on precipitating shallow cumulus cloud organization in terms of the column-averaged moisture variance is investigated using large-eddy simulations. Five idealized simulations based on the Rain in Cumulus over the Ocean field experiment with different initial moisture profiles are investigated. All cases simulate precipitating shallow cumulus convection in a marine sub-tropical region under large-scale subsidence. The results show that the moisture variance is mainly generated through the interaction of the moisture flux and the moisture gradient in the gradient production term at the top of the boundary layer. The development is characterized by three regimes: initial, transition, and quasi-steady regime. During the initial regime, the moisture gradient is built up by moisture accumulation until precipitating convection starts. Within the transition regime, precipitation enables mesoscale cloud organization with enhanced convective activity and moisture fluxes. The moisture variance increases from the moist to the dry initial moisture profiles. In a following quasi-steady regime, the moisture variance is approximately preserved. Thereby, the initial moisture gradient between the average sub-cloud layer and the free atmosphere is found to be an important factor for the generation of the quasi-steady column-averaged moisture variance. The result suggests that a resolved-scale variable like the moisture gradient can be used to estimate the quasi-steady state conditions resulting from cloud organization. This finding may serve as a starting point for the parametrization of the subgrid scale cloud organization caused by precipitating shallow convection.
Upper mantle shear zones are complex systems where deformation is commonly closely interacting with metamorphic (solid-solid) and/or melt/fluid-rock reactions. Here, feedback processes between deformation, reactions, grain size reduction and phase mixing result in strain weakening and the localization of deformation. The expression of these interlinked processes is portrayed by the microfabrics of strained peridotites and pyroxenites. The present thesis is focusing on these processes and their impact on the deformation in three upper mantle shear zones situated in the peridotite massifs of Lanzo (Italian Alps), Erro-Tobbio (Italian Alps) and Ronda (Betic Cordillera, Spain). In all three shear zones, the presence of melt led to phase mixing either by interstitial crystallization of pyroxenes from a Si-saturated and partially also highly evolved melt or by melt-rock reactions of pyroxene porphyroclasts with a Si-undersaturated melt. The effect of melt on the localization of strain is twofold and variable. Enhanced deformation by melt-wetted boundaries is assumed for all shear zones. Additionally, phase mixing by crystallization of interstitial pyroxenes or melt-rock reactions reduce or maintain the grain size by the formation of fine grained neoblasts and secondary phase boundary pinning. In this regard, pre- to early syn-kinematic, map-scale percolation of OH-bearing, evolved melts in the NW Ronda peridotite massif and the associated crystallization of interstitial pyroxenes result in the activation of grain size sensitive deformation mechanisms in the entire melt-effected area. In the rocks collected at Erro-Tobbio, syn-kinematic melt-rock reactions of pyroxene porphyroclasts and Si-undersaturated melt led to the formation of ultramylonitic neoblast tails (grain size ~10 μm). Compared to the adjacent coarser-grained olivine-dominated matrix, the activation of diffusion creep led to an increase in the strain rate by an order of magnitude within interconnected ultramylonitic layers. Strain localization and softening in ultramylonitic layers are also documented in the Lanzo samples. Neoblast tails of pyroxene porphyroclasts were likewise identified as their precursor. The phase assemblage of the tails, including ortho- and clinopyroxene, olivine, plagioclase, and spinel (± amphibole), and their geochemical trends suggest, unlike in Erro-Tobbio, a formation by continuous net-transfer reactions enhanced by the spinel lherzolite to plagioclase lherzolite transition.
The new results obtained from the three studied shear zones underscore the importance of reactions for the interlinked processes of grain size reduction, phase mixing, strain localization and strain softening in upper mantle shear zones. Concerning strain localization, the nature of the reaction (solid-solid, melt/fluid-rock) seems to play a subordinate role compared to its timing. Pre- to early syn-kinematic melt-triggered reactions result in strain localization along map-scale shear zones. Late stage syn-kinematic melt-rock or metamorphic reactions under high stress conditions are capable of localizing the deformation along discrete, sub-centimeter thick ultramylonites.
Global water models (GWMs) simulate the terrestrial water cycle, on the global scale, and are used to assess the impacts of climate change on freshwater systems. GWMs are developed within different modeling frameworks and consider different underlying hydrological processes, leading to varied model structures. Furthermore, the equations used to describe various processes take different forms and are generally accessible only from within the individual model codes. These factors have hindered a holistic and detailed understanding of how different models operate, yet such an understanding is crucial for explaining the results of model evaluation studies, understanding inter-model differences in their simulations, and identifying areas for future model development. This study provides a comprehensive overview of how state-of-the-art GWMs are designed. We analyze water storage compartments, water flows, and human water use sectors included in 16 GWMs that provide simulations for the Inter-Sectoral Impact Model Intercomparison Project phase 2b (ISIMIP2b). We develop a standard writing style for the model equations to further enhance model improvement, intercomparison, and communication. In this study, WaterGAP2 used the highest number of water storage compartments, 11, and CWatM used 10 compartments. Seven models used six compartments, while three models (JULES-W1, Mac-PDM.20, and VIC) used the lowest number, three compartments. WaterGAP2 simulates five human water use sectors, while four models (CLM4.5, CLM5.0, LPJmL, and MPIHM) simulate only water used by humans for the irrigation sector. We conclude that even though hydrologic processes are often based on similar equations, in the end, these equations have been adjusted or have used different values for specific parameters or specific variables. Our results highlight that the predictive uncertainty of GWMs can be reduced through improvements of the existing hydrologic processes, implementation of new processes in the models, and high-quality input data.
In the last decade, the Climate Limited-area Modeling (CLM) Community has contributed to the Coordinated Regional Climate Downscaling Experiment (CORDEX) with an extensive set of regional climate simulations. Using several versions of the COSMO-CLM community model, ERA-Interim reanalysis and eight Global Climate Models from phase 5 of the Coupled Model Intercomparison Project (CMIP5) were dynamically downscaled with horizontal grid spacings of 0.44◦(∼50 km), 0.22◦ (∼25 km) and 0.11◦ (∼12 km) over the CORDEX domains Europe, South Asia, East Asia, Australasia and Africa. This major effort resulted in 80 regional climate simulations publicly available through the Earth System Grid Federation (ESGF) web portals for use in impact studies and climate scenario assessments. Here we review the production of these simulations and assess their results in terms of mean near-surface temperature and precipitation to aid the future design of the COSMO-CLM model simulations. It is found that a domain-specific parameter tuning is beneficial, while increasing horizontal model resolution (from 50 to 25 or 12 km grid spacing) alone does not always improve the performance of the simulation. Moreover, the COSMO-CLM performance depends on the driving data. This is generally more important than the dependence on horizontal resolution, model version and configuration. Our results emphasize the importance of performing regional climate projections in a coordinated way, where guidance from both the global (GCM) and regional (RCM) climate modelling communities is needed to increase the reliability of the GCM-RCM modelling chain.
In the last decade, the Climate Limited-area Modeling Community (CLM-Community) has contributed to the Coordinated Regional Climate Downscaling Experiment (CORDEX) with an extensive set of regional climate simulations. Using several versions of the COSMO-CLM-Community model, ERA-Interim reanalysis and eight global climate models from phase 5 of the Coupled Model Intercomparison Project (CMIP5) were dynamically downscaled with horizontal grid spacings of 0.44∘ (∼ 50 km), 0.22∘ (∼ 25 km), and 0.11∘ (∼ 12 km) over the CORDEX domains Europe, South Asia, East Asia, Australasia, and Africa. This major effort resulted in 80 regional climate simulations publicly available through the Earth System Grid Federation (ESGF) web portals for use in impact studies and climate scenario assessments. Here we review the production of these simulations and assess their results in terms of mean near-surface temperature and precipitation to aid the future design of the COSMO-CLM model simulations. It is found that a domain-specific parameter tuning is beneficial, while increasing horizontal model resolution (from 50 to 25 or 12 km grid spacing) alone does not always improve the performance of the simulation. Moreover, the COSMO-CLM performance depends on the driving data. This is generally more important than the dependence on horizontal resolution, model version, and configuration. Our results emphasize the importance of performing regional climate projections in a coordinated way, where guidance from both the global (GCM) and regional (RCM) climate modeling communities is needed to increase the reliability of the GCM–RCM modeling chain.
High-pressure single-crystal to 20 GPa and powder diffraction measurements to 50 GPa, show that the structure of Pb2SnO4 strongly distorts on compression with an elongation of one axis. A structural phase transition occurs between 10 GPa and 12 GPa, with a change of space group from Pbam to Pnam. The resistivity decreases by more than six orders of magnitude when pressure is increased from ambient conditions to 50 GPa. This insulator-to-semiconductor transition is accompanied by a reversible appearance change from transparent to opaque. Density functional theory-based calculations show that at ambient conditions the channels in the structure host the stereochemically-active Pb 6s2 lone electron pairs. On compression the lone electron pairs form bonds between Pb2+ ions. Also provided is an assignment of irreducible representations to the experimentally observed Raman bands.
We performed an experiment under long-term microgravity conditions aboard the International Space Station (ISS) to obtain information on the energetics and experimental constraints required for the formation of chondrules in the solar nebula by ’nebular lightning’. As a simplified model system, we exposed porous forsterite (Mg2 SiO4) dust particles to high-energetic arc discharges. The characterization of the samples after their return by synchrotron microtomography and scanning electron microscopy revealed that aggregates had formed, consisting of several fused Mg2SiO4 particles. The partial melting and fusing of Mg2SiO4 dust particles under microgravity conditions leads to a strong reduction of their porosity. The experimental outcomes vary strongly in their appearance from small spherical melt-droplets (∅≈90 µm) to bigger and irregularly shaped aggregates (∅≈350 µm). Our results provided new constraints with respect to energetic aspects of chondrule formation and a roadmap for future and more complex experiments on Earth and in microgravity conditions.
The weather of the atmospheric boundary layer significantly affects our life on Earth. Thus, a realistic modelling of the atmospheric boundary layer is crucial. Hereby, the processes of the atmospheric boundary layer depend on an accurate representation of the land-atmosphere coupling in the model. In this context the land surface temperature (LST) plays an important role. In this thesis, it is examined if the assimilation of LST can lead to improved estimates of the boundary layer and its processes.
To properly assimilate the LST retrievals, a suitable model equivalent in the weather prediction model is necessary. In the weather forecast model of the German Weather Service used here, the LST is modelled without a vegetation temperature. To compensate for this deficit, two different vegetation parameterizations were investigated and the better one, a conductivity scheme, was implemented. In order to make optimal use of the influence of the assimilation of the LST observation on the model system, it is useful to pass on the information of the observation to land and atmosphere already in the assimilation step. For that reason, a fully coupled land-atmosphere prediction model was used. Therefore, the existing control vector of the assimilation system, a local ensemble transform Kalman filter, was extended by the soil temperature and moisture. In two-day case studies in March and August 2017, different configurations of the augmented assimilation system were evaluated based on observing system simulation experiments (OSSE).
LST was assimilated hourly over two days in the weakly and strongly coupled assimilation system. In addition, every six hours a free 24-hour forecast was simulated. The experiments were validated with the simulated truth (a high-resolution model run) and compared against an experiment without assimilation. It was shown that the prediction of the boundary layer temperature, especially during the day, and the prediction of the soil temperature, during the whole day and night, could be improved.
The best impact of LST assimilation was achieved with the fully coupled system. The humidity variables of the model benefited only partially from the LST assimilation. For this reason, covariances in the model ensemble were investigated in more detail. To check their compatibility with the high-resolution model run the ensemble consistency score was introduced. It was found that the covariances between the LST and the temperatures of the high-resolution model run were better represented in the ensemble than those between the LST and the humidity variables.
Im Sinne einer nachhaltigen Stadt- und Verkehrsentwicklung verspricht das Konzept autoreduzierter Quartiere, die Autonutzung und den Autobesitz der Bewohnenden zu verringern sowie deren autounabhängige Mobilität zu fördern. Der Forschungsstand zeigt indes, dass nicht automatisch davon auszugehen ist, dass die gelebte Praktik der Planungsvision entspricht, da die Mobilität nicht nur von oben herab geplant, sondern auch von unten, also den Bewohnenden selbst sowie den Mobilitätskontexten, geprägt ist.
Anhand zweier autoreduziert entwickelter Quartiere in Darmstadt verfolgt die Arbeit deshalb das Ziel, mittels eines planungskritischen Ansatzes zunächst die Narrative autoreduzierter Quartiere zu identifizieren, um die Planungsvision zu ergründen. Des Weiteren werden mithilfe eines biographisch inspirierten, praxistheoretischen Ansatzes die mobilitätsbezogenen Praktiken autoreduzierter Quartiere sowie etwaige Veränderungen dieser nach dem Wohnortwechsel analysiert, um das Verständnis der Alltagsmobilität und deren Wandel zu verbessern sowie Potenziale und Grenzen der Umsetzung solcher Quartierskonzepte zu ermitteln. Abschließend soll der Vergleich beider Perspektiven dazu beitragen, besser zu verstehen, was eine nachhaltige Stadt- und Verkehrsgestaltung sowie eine autounabhängige Mobilität und ein autofreies Leben unterstützt bzw. behindert.
Zur Identifikation der Narrative wurden Expert*inneninterviews mit verschiedenen Personen durchgeführt, die am Planungs- und Umsetzungsprozess beider Quartiere beteiligt waren. Die Ergebnisse legen nahe, dass die Entwicklung autoreduzierter Quartiere (i) bewusst in die Nachhaltigkeitsdebatte eingebettet und (ii) von Machtverhältnissen geprägt ist sowie (iii) normativen Indikatoren folgt und (iv) deren Planungsideale im Kontrast zur gelebten Realität stehen können.
Zur Analyse der mobilitätsbezogenen Praktiken sowie der Veränderungen derselben wurden Bewohnende qualitativ interviewt. Dabei zeigt sich, dass der materielle Kontext eines autoreduzierten Quartiers sowie die persönlich-zeitlichen und soziokulturellen Kontexte der Mobilitätspraktiken die Autounabhängigkeit der Bewohnenden stabilisieren und fördern. Behindert wird sie dagegen vom materiellen Kontext außerhalb der Quartiere, der Verwobenheit des Autofahrens mit anderen Alltagspraktiken sowie der affektiven Zufriedenheit mit der Autonutzung und dem Autobesitz.
Aus dem Vergleich beider Erhebungen und damit der Gegenüberstellung der Planungsvision mit der gelebten Praktik lässt sich schlussfolgern, dass trotz feststellbarer Unterschiede die Realität im autoreduzierten Quartier größtenteils dem Ideal einer autounabhängigen Mobilität entspricht. Dagegen erweisen sich ein autofreies Leben und die Parkrestriktionen weiterhin als kontroversere Themen. Schließlich offenbart die Arbeit sowohl Veränderungen in der Mobilitätsgestaltung von oben als auch in der Mobilitätspraktik von unten, gleichzeitig aber auch persistente automobile Abhängigkeiten, weshalb sie im Sinne der Verkehrs- und Mobilitätswende einen kontinuierlichen materiellen und immateriellen Wandel fordert.
Today in the United States, the notion that ‘the rise of the far right’ poses the greatest threat to democratic values, and by extension, to the nation itself, has slowly entered into common sense. The antecedent of this development is the object of our study. Explored through the prism of what we refer to as the domestication of the War on Terror, this publication adopts and updates the theoretical approach first forwarded in Policing the Crisis: Mugging, the State, the Law and Order (Hall et al. 1978). Drawing on this seminal work, a sequence of three disparate media events are explored as they unfold in the United States in mid-2015: the rise of the Trump campaign; the release of an op-ed in The New York Times warning of a rise in right-wing extremsim; and a mass shooting at a historic African American church in Charleston, South Carolina. By the end of 2015, as these disparate events converge into what we call the public face of the rise of the far right phenomenon, we subsequently turn our attention to its origins in policing and the law in the wake of the global War on Terror and the Great Recession. It is only from there, that we turn our attention to the poltical class struggle as expressed in the rise of 'populism' on the one hand, and the domestication of the War on Terror on the other, and in doing so, attempt to situate the role of the rise of the far right phenomenon within it.
This article presents the findings from systematically reviewing 26 empirical research studies published from 2005 to 2014 on the use of GIS for learning and teaching. By employing methods of narrative synthesis and qualitative content analysis, the study gives evidence about the state of knowledge of competence‐based GIS education. The results explain what factors and variables effect GIS learning in terms of technology use, major subject contents, learning contexts, and didactic and pedagogical aspects. They also show what facets of knowledge, process skills, and affect the research literature has investigated. The analysis of the type and quality of the methods used indicates that current GIS education research is a heterogeneous field that needs a systematic research framework for future efforts, according to empirical education research.
This article presents the findings from systematically reviewing 26 empirical research studies published from 2005 to 2014 on the use of GIS for learning and teaching. By employing methods of narrative synthesis and qualitative content analysis, the study gives evidence about the state of knowledge of competence-based GIS education. The results explain what factors and variables effect GIS learning in terms of technology use, major subject contents, learning contexts, and didactic and pedagogical aspects. They also show what facets of knowledge, process skills, and affect the research literature has investigated. The analysis of the type and quality of the methods used indicates that current GIS education research is a heterogeneous field that needs a systematic research framework for future efforts, according to empirical education research.
Ice particle activation and evolution have important atmospheric implications for cloud formation, initiation of precipitation and radiative interactions. The initial formation of atmospheric ice by heterogeneous ice nucleation requires the presence of a nucleating seed, an ice-nucleating particle (INP), to facilitate its first emergence. Unfortunately, only a few long-term measurements of INPs exist, and as a result, knowledge about geographic and seasonal variations of INP concentrations is sparse. Here we present data from nearly 2 years of INP measurements from four stations in different regions of the world: the Amazon (Brazil), the Caribbean (Martinique), central Europe (Germany) and the Arctic (Svalbard). The sites feature diverse geographical climates and ecosystems that are associated with dissimilar transport patterns, aerosol characteristics and levels of anthropogenic impact (ranging from near pristine to mostly rural). Interestingly, observed INP concentrations, which represent measurements in the deposition and condensation freezing modes, do not differ greatly from site to site but usually fall well within the same order of magnitude. Moreover, short-term variability overwhelms all long-term trends and/or seasonality in the INP concentration at all locations. An analysis of the frequency distributions of INP concentrations suggests that INPs tend to be well mixed and reflective of large-scale air mass movements. No universal physical or chemical parameter could be identified to be a causal link driving INP climatology, highlighting the complex nature of the ice nucleation process. Amazonian INP concentrations were mostly unaffected by the biomass burning season, even though aerosol concentrations increase by a factor of 10 from the wet to dry season. Caribbean INPs were positively correlated to parameters related to transported mineral dust, which is known to increase during the Northern Hemisphere summer. A wind sector analysis revealed the absence of an anthropogenic impact on average INP concentrations at the site in central Europe. Likewise, no Arctic haze influence was observed on INPs at the Arctic site, where low concentrations were generally measured. We consider the collected data to be a unique resource for the community that illustrates some of the challenges and knowledge gaps of the field in general, while specifically highlighting the need for more long-term observations of INPs worldwide.
Eiskeime (INP) sind Aerosolpartikel, die das Entstehen von Eiskristallen in der Atmosphäre zwischen 0 und -37°C ermöglichen, indem sie die zur Ausbildung der Eisphase nötige Energie gegenüber einem reinen Wassersystem stark herabsetzen. Dabei sind aktive Stellen auf der Oberfläche dieser Partikel für die erste Nukleation von Eis verantwortlich. In der Folge können die Eiskristalle zulasten von verdunstenden Wasserdampfmolekülen und Wassertröpfchen weiter anwachsen. Über Eismultiplikationsprozesse zersplittern und vervielfältigen sich die Eiskristalle und wachsen über Bereifung schließlich zu einer kritischen Größe heran, wodurch sie als Niederschlag zu Boden fallen können. Auch wenn der Anteil der zur heterogenen Eisnukleation fähigen Aerosole vergleichsweise gering ist, spielen INP eine entscheidende Rolle für die Entwicklung von Niederschlag und nehmen Einfluss auf Strahlungsprozesse, indem sie auf die Phase der Wolken und damit auf deren Strahlungseigenschaften einwirken. Viele Fragen im Forschungsgebiet der heterogenen Eisnukleation sind jedoch weiterhin nicht hinreichend genau geklärt. Ohne eine verbesserte Kenntnis von Konzentrationen, geographischer und vertikaler Verteilung, sowie zeitlicher Variation, Quellen und Natur von INP, sind noch vorhandene Wissenslücken im Strahlungsantrieb durch Wechselwirkungen von Aerosolen und Wolken nur zu einem gewissem Grad zu reduzieren. Dies ist nötig, um aktuelle Beobachtungsdaten der sich erwärmenden Atmosphäre besser verstehen und die zukünftigen Änderungen des Klimas sicherer vorhersagen zu können. In dieser Arbeit wird die Vakuumdiffusionskammer FRIDGE verwendet, um atmosphärische INP-Konzentrationen zu bestimmen. Aerosolpartikel werden dabei in einem ersten Schritt auf einem Silicium-Probenträger elektrostatisch niedergeschlagen. Die Effizienz des Sammelprozesses, also der Anteil der Partikel die tatsächlich auf dem Si-Substrat abgeschieden werden, wurde mittels zweier unabhängiger Methoden auf etwa 60% bestimmt. In einem zweiten Mess-Schritt werden die Proben in FRIDGE typischen Bedingungen von Mischphasenwolken ausgesetzt, wodurch Eiskristalle an den INP aktiviert werden und im Verlauf einer Messung anwachsen. Eine Kamera beobachtet die durch das Eiswachstum entstehenden Helligkeitsänderungen auf dem dunklen Probensubstrat. Die Kriterien, wann ein Objekt als Eiskristall identifiziert und gezählt wird, mussten im Rahmen dieser Arbeit neu entwickelt werden. In der zu Beginn der Arbeit vorgefundenen Einstellung hatte bereits eine sehr geringe Helligkeitsänderung, wie sie durch das hygroskopische Wachstum von Aerosolpartikeln hervorgerufen wird, zu Signalen geführt, die fälschlicherweise als Eiskristalle gezählt wurden. Das reevaluierte Messverfahren von FRIDGE wurde im Zuge der FIN-02 Kampagne in einem groß angelegten Laborexperiment an der AIDA Wolkenkammer mit zahlreichen anderen INP-Zählern aus der ganzen Welt verglichen. Für den Großteil der Messungen der untersuchten Modell-Aerosoltypen konnte eine zufriedenstellende Übereinstimmung mit den anderen Instrumenten erzielt werden. In einer einmonatigen Feldmesskampagne im östlichen Mittelmeerraum konnten die ersten INP-Messungen an Bord eines unbemannten Flugzeugs durchgeführt werden. Während der Kampagne auf Zypern wurden mehrere Fälle von transportiertem Saharastaub beprobt, in denen die INP-Konzentration maßgeblich erhöht war. Lidar-Beobachtungen und ein Staubtransportmodell zeigten, dass sich das Maximum der Staubschichten zumeist in etwa 2-4 Kilometern Höhe befand. In der Höhe wurden INP-Konzentrationen gefunden, die im Mittel um einen Faktor 10 größer waren als auf Bodenniveau. Es wird gefolgert, dass INP-Messungen am Boden möglicherweise nur begrenzte Aussagekraft über die Situation nahe der Wolkenbildung besitzen. Im Rahmen BACCHUS-Projekts wurden zwischen August 2014 und Januar 2017 (mit Unterbrechungen) alle 1-2 Tage Proben an drei Reinluftstationen gesammelt (insgesamt über 900). Das INP-Messnetz mit einer geographischen Ausdehnung von der Arktis zum Äquator bestand aus Stationen in Spitzbergen, Martinique und im Amazonas. Die Station im brasilianischen Regenwald ist durch wechselnde Bedingungen von sauberer Regen- und verunreinigter Trockenzeit charakterisiert. In der Trockenzeit steigen die Partikelkonzentrationen durch starke Belastung aus Biomassenverbrennung um eine Größenordnung an; eine gleichzeitige Zunahme der INP-Konzentrationen konnte nicht beobachtet werden. Daraus kann vermutet werden, dass Partikel aus Feueremissionen keine ausgezeichneten Fähigkeiten zur Eisnukleation aufweisen. Die INP-Konzentrationen in der Karibik konnten mit dem Jahresgang von transportieren Saharastaub in Verbindung gebracht werden. In der Arktis wurden die niedrigsten INP-Konzentrationen der drei Stationen beobachtet. Zum Zeitpunkt des Erstellens dieser Arbeit können die determinierenden Einflussfaktoren, sowie der anthropogene Einfluss zur Zeit des arktischen Dunstes noch nicht abschließend geklärt werden.
Tropical cyclones (TC) represent a substantial threat to life and property for Caribbean and adjacent populations. The prospective increase of TC magnitudes, expressed in the 15th chapter of the IPCC AR5 report, entails a rising probability of ecological and social disasters, which were tragically exemplified by several severe Caribbean TC strikes during the past 20 years. Modern IPCC-grade climate models, however, still lack the required spatial and temporal resolution to accurately consider the underlying boundary conditions that modulate long-time TC patterns beyond the Instrumental Era. It is thus necessary to provide a synoptic mechanistic understanding regarding the origin of such long-time patterns, in order to predict reliable changes of TC magnitude and frequency under future climate scenarios. Caribbean TC records are still rare and often lack the necessary continuity and resolution to overcome these limitations. Here, we report on an annually-resolved sedimentary archive from the bottom of the Great Blue Hole (Lighthouse Reef, Belize). The TC record encompasses 1885 years and extends all existing site-specific TC archives both in terms of resolution and duration. We identified a likely connection between long-term TC patterns and climate phenomena responses to Common Era climate variations and offer a conceptual and comparative view considering several involved tropospheric and oceanographic control mechanisms such as the El-Niño-Southern-Oscillation, the North Atlantic Oscillation and the Atlantic Multidecadal Oscillation. These basin-scaled climate modes exercise internal control on TC activity by modulating the thermodynamic environment (sea-surface temperature and vertical wind shear stress dynamics) for enhanced/suppressed TC formation both on millennial (primary) and multi-decadal (secondary) time scales. We interpret the beginning of the Medieval Warm Period (MWP) as an important time interval of the Common Era record and suspect that the southward migration of the intertropical convergence zone (ITCZ) caused, in combination with extensive hydro-climate changes, a shift in the tropical Atlantic TC regime. The TC activity in the south-western Caribbean changed in general from a stable and less active stage (100–900 CE) to a more active and variable state (1,100 CE-modern).
Atmosphärische Schwerewellen spielen eine wichtige Rolle für die Zirkulation der mittleren Atmosphäre, die wiederum die Troposphäre auf saisonalen und längeren Zeitskalen beeinflusst, und stellen somit ein Schlüsselelement für das Wetter- und Klimageschehen dar. Eine adäquate Beschreibung des Lebenszyklus atmosphärischer Schwerewellen in den operationellen Modellen zur Wettervorhersage und Klimasimulation ist daher sehr wünschenswert. Um zu einer verbesserten mathematischen Darstellung der Schwerewellendynamik in den Modellen beizutragen, wurden in den vergangenen Jahren zahlreiche numerische Studien durchgeführt. Wenngleich auch viele der ablaufenden Prozesse gegenwärtig gut verstanden sind, stellt die Wechselwirkung zwischen den mesoskaligen Schwerewellen und den synoptischskaligen Prozessen aufgrund der hohen Komplexität der Strömung weiterhin eine besondere Herausforderung für die Erforschung der Schwerewellenaktivität dar und erfordert oftmals hochaufgelöste numerische Simulationen über große Modelldomänen.
Folglich ist es wichtig, dass die angewendeten numerischen Verfahren effizient sind und möglichst idealisierte, aber dennoch atmosphärenähnliche Szenarien simulieren. In dieser Arbeit wird ein effizientes numerisches Verfahren zur Modellierung der Dynamik interner Schwerewellen sowie deren Einfluss auf die Zirkulation der mittleren Atmosphäre entwickelt.
Dabei wird die Diskretisierung des pseudo-inkompressiblen Finite-Volumen-Modells auf einem versetzten Gitter von Rieper et al. (2013), welches der Einfachheit halber Schallwellen aus der Dynamik herausfiltert und zur Untersuchung adiabatischer Atmosphärenprozesse auf der f-Ebene entwickelt wurde, im wesentlichen durch zwei Komponenten erweitert: 1) die Anwendung eines semi-impliziten Zeitschrittverfahrens auf die Bewegungsgleichungen zur Integration der Auftriebs- und Corioliseffekte und 2) die Berücksichtigung einer Heizung durch einen thermischen Relaxationsansatz, welcher in der Troposphäre ein baroklin instabiles Strömungsprofil erzeugt und eine zeitabhängige Dynamik des Hintergrundzustands zulässt. Zur Überprüfung der korrekten Implementierung der Erweiterungen werden eine Reihe von atmosphärischen Standardteststudien durchgeführt, welche die Konvergenzeigenschaften sowie die Effizienz des Verfahrens validieren. Darüber hinaus zeigen die Testfälle, dass die Ergebnisse des Modells mit anderen veröffentlichten Arbeiten sehr gut übereinstimmen.
Schließlich wird als Anwendungstestfall eine mesoskalige Simulation barokliner Instabilität in der Troposphäre durchgeführt, welche ferner die darin enthaltene kleinskalige Wellenaktivität sowie deren Einfluss auf die mittlere Atmosphäre modelliert. Die abschließende Betrachung der zonal und zeitlich gemittelten Felder zeigt die erwartete Zonalwindumkehr in der Höhe.
Acesta excavata (Fabricius, 1779) is a slow growing bivalve from the Limidae family and is often found associated with cold-water coral reefs along the European continental margin. Here we present the compositional variability of frequently used proxy elemental ratios (Mg/ Ca, Sr/Ca, Na/Ca) measured by laser-ablation mass spectrometry (LA-ICP-MS) and com- pare it to in-situ recorded instrumental seawater parameters such as temperature and salin- ity. Shell Mg/Ca measured in the fibrous calcitic shell section was overall not correlated with seawater temperature or salinity; however, some samples show significant correlations with temperature with a sensitivity that was found to be unusually high in comparison to other marine organisms. Mg/Ca and Sr/Ca measured in the fibrous calcitic shell section display significant negative correlations with the linear extension rate of the shell, which indicates strong vital effects in these bivalves. Multiple linear regression analysis indicates that up to 79% of elemental variability is explicable with temperature and salinity as independent pre- dictor values. Yet, the overall results clearly show that the application of Element/Ca (E/Ca) ratios in these bivalves to reconstruct past changes in temperature and salinity is likely to be complicated due to strong vital effects and the effects of organic material embedded in the shell. Therefore, we suggest to apply additional techniques, such as clumped isotopes, in order to exactly determine and quantify the underlying vital effects and possibly account for these. We found differences in the chemical composition between the two calcitic shell lay- ers that are possibly explainable through differences of the crystal morphology. Sr/Ca ratios also appear to be partly controlled by the amount of magnesium, because the small magne- sium ions bend the crystal lattice which increases the space for strontium incorporation. Oxi- dative cleaning with H2O2 did not significantly change the Mg/Ca and Sr/Ca composition of the shell. Na/Ca ratios decreased after the oxidative cleaning, which is most likely a leaching effect and not caused by the removal of organic matter.
Hyrrokkin sarcophaga is a parasitic foraminifera that is commonly found in cold-water coral reefs where it infests the file clam Acesta excavata and the scleractinian coral Desmophyllum pertusum (formerly known as Lophelia pertusa). Here, we present measurements of the trace element and isotopic composition of these parasitic foraminifera, analyzed by inductively coupled optical emission spectrometry (ICP-OES), electron probe microanalysis (EPMA) and mass spectrometry (gas-source MS and inductively-coupled-plasma MS). Our results reveal that the geochemical signature of H. sarcophaga depends on the host organism it infests. Sr / Ca ratios are 1.1 mmol mol−1 higher in H. sarcophaga that infest D. pertusum, which could be an indication that dissolved host carbonate material is utilized in shell calcification, given that the aragonite of D. pertusum has a naturally higher Sr concentration compared to the calcite of A. excavata. Similarly, we measure 3.1 ‰ lower δ13C and 0.25 ‰ lower δ18O values in H. sarcophaga that lived on D. pertusum, which might be caused by the direct uptake of the host's carbonate material with a more negative isotopic composition or different pH regimes in these foraminifera (pH can exert a control on the extent of CO2 hydration/hydroxylation) due to the uptake of body fluids of the host. We also observe higher Mn / Ca ratios in foraminifera that lived on A. excavata but did not penetrate the host shell compared to specimen that penetrated the shell, which could be interpreted as a change in food source, changes in the calcification rate, Rayleigh fractionation or changing oxygen conditions. While our measurements provide an interesting insight into the calcification process of this unusual foraminifera, these data also indicate that the geochemistry of this parasitic foraminifera is unlikely to be a reliable indicator of paleoenvironmental conditions using Sr / Ca, Mn / Ca, δ18O or δ13C unless the host organism is known and its geochemical composition can be accounted for.
Hyrrokkin sarcophaga is a parasitic foraminifer that is commonly found in cold-water coral reefs where it infests the file clam Acesta excavata and the scleractinian coral Lophelia pertusa. Here, we present measurements of the elemental and isotopic composition of this parasitic foraminifer for the first time, analyzed by inductively coupled optical emission spectrometry (ICP-OES), electron probe micro analysis (EPMA) and mass spectrometry (MS). Our results reveal that the geochemical signature of H. sarcophaga depends on the host organism it infests. Sr/Ca ratios are 1.1 mmol mol-1 higher in H. sarcophaga that infest L. pertusa, which could be an indication that dissolved host carbonate material is utilised in shell calcification, given that the aragonite of L. pertusa has a naturally higher Sr concentration compared to the calcite of A. excavata.Similarly, we measure 3.1 ‰ lower δ13C and 0.25 ‰ lower δ18O values in H. sarcophaga that lived on20 L. pertusa, which might be caused by the direct uptake of the host’s carbonate material with a more negative isotopic composition or different pH regimes in these foraminifera (pH can exert a control on the extent of CO2 hydration/hydroxylation) due to the uptake of body fluids of the host. We also observe higher Mn/Ca ratios in foraminifers that lived on A. excavata but did not penetrate the host shell compared to specimen that penetrated the shell, which could be interpreted as a change in food source, changes in the calcification rate, Rayleigh fractionation or changing oxygen conditions. While our measurements provide an interesting insight into the calcification process of this unusual foraminifer, these data also indicate that the geochemistry of this parasitic foraminifer is unlikely to be a reliable indicator of paleoenvironmental conditions using Sr/Ca, Mn/Ca, δ18O or δ13C unless the host organism is known and its geochemical composition can be accounted for.
Geochemical investigations on biogenic carbonates are commonly conducted to reconstruct the environmental conditions of the past. However, different carbonate producers incorporate elements to varying degrees, due to biological vital effects. Detecting and quantifying these effects is crucial to produce reliable reconstructions. These paleoreconstructions are of great importance to evaluate the consequences of our recent climate change and identify control mechanisms on the distribution of endangered species such as Desmophyllum pertusum. In chapter three we tested Mg/Ca, Sr/Ca and Na/Ca ratios on this species, among other coldwater scleractinians, to test if they provide reliable proxy information. The results reveal no apparent control of Mg/Ca or Sr/Ca ratios through seawater temperature, salinity or pH. Na/Ca ratios appear to be partly controlled by the seawater temperature, which is also true for other aragonitic organisms such as warm-water corals and the bivalve Mytilus edulis. However, a large variability complicates possible reconstructions by means of Na/Ca. In addition, we explore different models to explain the apparent temperature effect on Na/Ca ratios based on temperature sensitive Na and Ca pumping enzymes.
The bivalve Acesta excavata is commonly found in cold-water coral reefs among the North Atlantic, together with D. pertusum. Multiple linear regression analysis, presented in chapter four, indicates that up to 79% of the elemental variability in Mg/Ca, Sr/Ca and Na/Ca is explainable with temperature and salinity as independent predictor variables. Vital effects, for instance growth rate effects, are evident and make paleoreconstructions not feasible. Furthermore, organic material embedded in the shell, as well as possible stress effects can drastically change the elemental composition. Removal of these organic matrices from bulk samples for LA-ICP-MS (laser ablation inductively coupled mass spectrometer) measurements by means of oxidative cleaning is not possible, but Na/Ca ratios decrease after this cleaning. This is presumably an effect of leaching and not caused by the removal of organic matrices.
Interesting biogeochemical relations were found in the parasitic foraminifera H. sarcophaga. We report Mg/Ca, Sr/Ca, Na/Ca and Mn/Ca ratios measured in H. sarcophaga from two different host species (A. excavata and D. pertusum) in chapter five. Sr/Ca ratios are significantly higher in foraminifera that lived on D. pertusum. This could indicate that dissolved host material is utilized in shell calcification of H. sarcophaga, given the naturally higher strontium concentration in the aragonite of D. pertusum. Mn/Ca ratios are highest in foraminifera that lived on A. excavata but did not fully penetrate the host’s shell. Most likely, this represents a juvenile stadium of the foraminifera during which it feeds on the organic
periostracum of the bivalve, which is enriched in Mn and Fe. The isotopic compositions are similarly affected, both δ18O and δ13C values are significantly lower in foraminifera that lived 23on D. pertusum compared to specimen that lived on A. excavata. Again, this might represent the uptake of dissolved host material or different pH regimes in the calcifying fluid of the hosts (bivalve < 8, coral > 8) that control the extent of hydration/hydroxylation reactions. Temperature reconstructions are possible using stable oxygen isotopes on this foraminifera species; however, the results are only reliable if the foraminifera lived on A. excavata. Samples of H. sarcophaga from D. pertusum would lead to overestimations of the seawater temperature due to the lower δ18O values.
Apart from biological vital effects, storage and preservation methods can significantly change the geochemical composition of different marine biogenic carbonates. In chapter six this is presented on the example of ethanol preservation, a common technique to allow extended storage of biogenic samples. The investigation reveals a significant decrease of Mg/Ca and Na/Ca ratios even after only 45 days storage in ultrapure ethanol. Sr/Ca ratios on the other hand are not influenced.
Besides temperature, salinity and pH further environmental parameters are important such as nutrient availability, especially for the distribution of cold-water corals. In chapter seven we extend the investigations on A. excavata by including the elemental ratios Ba/Ca, Mn/Ca and P/Ca. We expected P/Ca to be helpful in the otherwise difficult process of dentifying growth increments. Based on our observations we had to refute this theory. P/Ca ratios are not systematically enriched in the vicinity of growth lines. Instead, we found a regular sequence of peaks of Ba/Ca, P/Ca and Mn/Ca. This sequence as well as the peaks in general are potentially caused by equential blooms of different algae, diatoms and other planktonic organisms ...
Im Anschluss an die globale Finanzkrise von 2008 lässt sich in vielen deutschen Städten eine neue Welle der Gentrifizierung beobachten. Am Beispiel des traditionellen Arbeiterviertels Gallus in Frankfurt am Main zielt der Beitrag darauf ab, die gegenwärtigen Verdrängungsprozesse aus dem spezifischen Zusammenspiel von stadtpolitischen Aufwertungsbestrebungen und immobilienwirtschaftlichen Verwertungsstrategien zu erklären. Vertreten wird dabei die These, dass die Frankfurter Stadtpolitik, entsprechend ihrer neoliberalen Ausrichtung, im Gallus jahrelang Gentrifizierungsprozesse und die Entstehung einer Ertragslücke zwischen gegenwärtiger und potenzieller Verwertung aktiv gefördert hat – letztere aber erst jetzt im Zuge der Krise an Relevanz gewinnt. Nahezu idealtypisch kann man daher anhand des Gallus zeigen, dass Gentrifizierung wesentlich von lokalen politischen Kräfteverhältnissen abhängt, wobei der Rhythmus jedoch von immobilienwirtschaftlichen Verwertungszyklen diktiert wird.
Die angespannte Lage am Wohnungsmarkt hat in vielen Städten eine neue Welle von Verdrängungsprozessen induziert und insbesondere die Situation einkommensschwacher Haushalte häufig prekär werden lassen. Angesichts dieser Entwicklungen haben sich vielerorts mietenpolitische Bewegungen konstituiert, die sich für eine Abkehr von einer neoliberalisierten und zunehmend finanzialisierten Wohnungsversorgung einsetzen. Lisa Vollmer nimmt in ihrer Forschungsarbeit zwei solcher Bewegungen in den Blick und fragt danach, wie sich politische Kollektivität in den alltäglichen Praktiken von Mieter*innen in Berlin bzw. New York formiert.
Die lakustrinen Sedimente im Vorotan-Becken (Armenien) wurden palynologisch untersucht. Aus den Ergebnissen konnte die Vegetationsgeschichte im Südlichen Kaukasus während des Frühpleistozäns teilweise rekonstruiert werden.
Bei den Sedimenten handelt es sich um diatomeenreiche Tone, Silte und Feinsande, in denen Pollen gut und pflanzliche Makroreste ausgezeichnet erhalten sind. Die Datierung ist durch die Kombination von Paläomagnetik und 39Ar/40Ar-Methode eindeutig: Die Sedimente decken den Beginn der „mid Pleistocene transition“ (1?110?–?960 ka) ab.
An zehn Aufschlüssen wurden insgesamt 506 Sedimentproben genommen und die darin enthaltenen Pollen untersucht. So konnten insgesamt 64 Taxa nachgewiesen werden. Sie wurden in Pollenprofilen zusammengefasst und ökologisch bewertet. Die erhobenen Daten wurden zudem einer Faktorenanalyse und einer Clusteranalyse unterzogen, deren Ergebnisse ebenfalls in die Pollenprofile eingingen.
Die Pollenprofile lassen deutlich regionale Vegetationszyklen während des Frühpleistozäns erkennen. Diese Zyklen werden ausführlich beschrieben und mit Ergebnissen anderer Autoren aus dem Mittelmeerraum verglichen. Auch ein Bezug zur rezenten Vegetation im Südlichen Kaukasus und den angrenzenden Gebieten wird hergestellt.
Die Paläovegetation im Südlichen Kaukasus ist demnach während des Frühpleistozäns geprägt von einem Vegetationsmosaik aus Grassteppe und offenen Wäldern. Je nach Klima lassen sich Einflüsse von angrenzenden Vegetationszonen erkennen: borealer Nadelwald der Höhenlagen des Kaukasus, thermophiler Laubwald der euxinischen und hyrkanischen Wälder sowie xerotherme Steppe des Nordiran.
Während der Interglaziale herrscht eine Waldsteppe aus thermophilem Laubwald (z.?B. Quercus, Carpinus, Ulmus, Zelkova, Tilia) vor, in der bei starken Erwärmungsphasen die Grassteppe deutlich dominiert und die Wälder wohl an Nordhänge und in Uferbereiche zurückgedrängt werden. In den Glazialphasen finden sich zunehmend Koniferen in der Vegetation (z.?B. Tsuga, Abies, Picea, Pinus) – bis hin zu einem nahezu geschlossenen Kiefernwald am Ende des ersten lang andauernden Glazials MIS 30.
Es zeigt sich, dass sich die einzelnen Klimazyklen in der Ausprägung der Vegetation signifikant unterscheiden. Hierbei spielt sowohl die Amplitude der Erwärmung als auch die Dauer der jeweiligen Phase eine Rolle.
Der Vergleich mit anderen Untersuchungen zeigt, dass die Vegetationszyklen im Südlichen Kaukasus teilweise deutlich anders verlaufen als im westlichen, zentralen und östlichen Mittelmeerraum. Entlang einer Ost-West-Achse ist hier ein „Vegetationsgradient“ zu erkennen.
Das hat Auswirkungen auf die Interpretation der Ausbreitung früher Menschen aus Afrika nach Eurasien. Es ist davon auszugehen, dass sich nicht jeder Vegetationszyklus des Frühpleistozäns gleichermaßen gut für ein Vordringen nach Eurasien eignete. Geeignete Bedingungen (offene Landschaft, Vegetationsmosaik, warmes Klima) herrschten im Südlichen Kaukasus vor allem während stark ausgeprägter Interglaziale. Dagegen brachten lang anhaltende Glazialphasen wohl eher lebensfeindlichere Bedingungen für Homo erectus.
Weil in den südlichen Regionen Europas teilweise eine stark abweichende Vegetation während der unterschiedlichen Klimaphasen vorherrschte, ist es naheliegend, dass der Südliche Kaukasus für die frühen Menschen eine Rolle als Refugium spielte.
Deutlich zeichnen sich in den Ergebnissen Veränderungen in der Vegetation beim Übergang von den obliquitätsdominierten 41-ka-Klimazyklen zu den exzentrizitätsbestimmten 100-ka-Zyklen ab („mid Pleistocene transition“). Diese Veränderungen haben sich sicherlich auch auf die Population der Menschen ausgewirkt und größere Wanderbewegungen und/oder Anpassungen hervorgerufen. Möglicherweise haben in dieser drastischen Veränderung sogar kulturelle Entwicklungen ihren Anfang – zum Beispiel die Nutzbarmachung des Feuers.
Droughts are anticipated to intensify in many parts of the world due to climate change. However, the issue of drought definition, namely the diversity of drought indices, makes it difficult to compare drought assessments. This issue is widely known, but its relative importance has never been quantitatively evaluated in comparison to other sources of uncertainty. Here, encompassing three drought categories (meteorological, agricultural, and hydrological droughts) with four temporal scales of interest, we evaluated changes in the drought frequency using multi-model and multi-scenario simulations to identify areas where the definition issue could result in pronounced uncertainties and to what extent. We investigated the disagreement in the signs of changes between drought definitions and decomposed the variance into four main factors: drought definitions, greenhouse gas concentration scenarios, global climate models, and global water models, as well as their interactions. The results show that models were the primary sources of variance over 82% of the global land area. On the other hand, the drought definition was the dominant source of variance in the remaining 17%, especially in parts of northern high-latitudes. Our results highlight specific regions where differences in drought definitions result in a large spread among projections, including areas showing opposite signs of significant changes. At a global scale, 7% of the variance resulted independently from the definition issue, and that value increased to 44% when 1st and 2nd order interactions were considered. The quantitative results suggest that by clarifying hydrological processes or sectors of interest, one could avoid these uncertainties in drought assessments to obtain a clearer picture of future drought change.
Tectonics and geothermal gradients from subduction to collision in the NW Variscan Iberian Massif
(2022)
The earliest tectonometamorphic record of tectonic slices incorporated to the base of an orogen holds the key to understand how an orogen is built. The tectonic pile of the NW Iberian section of the Variscan Orogen includes tectonic slices separated by crustal-scale thrusts. The earliest tectonometamorphic record in the uppermost parautochthon is calculated at 11–14 kbar and 450–500°C (P-T gradient about 13°C/km), suggesting a subduction-related metamorphic recrystallization at lower pressure than the overlying Lower Allochthon. Early conditions calculated in the autochthon (9–10 kbar and 425–450°C; 16°C/km) point to a relatively ‘cold’ collisional setting. Higher thermal gradients obtained from some sections of the autochthon (11–12 kbar and 700–725°C; 21°C/km) and the Lower Parautochthon (7.5 kbar and 550–700°C; 24–31°C/km), correspond to more advanced and ‘hot’ stages of collision. New U–Pb monazite geochronology indicates a 318–311 Ma age for the final formation of HT domes in the region. We propose the rapid decrease in P-T gradient (from <10 to 16°C/km) documents a fail to sustain further burial along a regular subduction zone. We consider the subsequent increase in the geothermal gradient (from 16 to 31°C/km) as the culmination of previous crustal accretion and the onset of crustal underthrusting and later processes in a collisional stage. We propose these switches in the early tectonometamorphic record of individual tectonic slices as potential markers to track the transition from subduction to collision in collisional orogens.
Seasonal forecasting systems still have difficulties predicting temperature over continental regions, while their performance is better over some maritime regions. On the other hand, the land surface is a substantial source of (sub-)seasonal predictability. A crucial land surface component in focus here is the snow cover, which stores water and modulates the surface radiation balance. This paper’s goal is to attribute snow cover seasonal forecasting biases and lack of skill to either initialization or parameterization errors. For this purpose, we compare the snow representation in five seasonal forecasting systems (from DWD, ECMWF, Météo-France, CMCC, and ECCC) and their performances in predicting snow and 2-m temperature over a Siberian region against ERA5 reanalysis and station data. Although all systems use similar atmospheric and land initialization approaches and data, their snow and temperature biases differ in sign and amplitude. Too-large initial snow biases persist over the forecast period, delaying and prolonging the melting phase. The simplest snow scheme (used in DWD’s system) shows too-early and fast melting in spring. However, systems including multi-layer snow schemes (Météo-France and CMCC) do not necessarily perform better. Both initialization and parameterization are causes of snow biases, but, depending on the system, one can be more dominant.
Living on the edge: environmental variability of a shallow late Holocene cold-water coral mound
(2022)
Similar to their tropical counterparts, cold-water corals (CWCs) are able to build large three-dimensional reef structures. These unique ecosystems are at risk due to ongoing climate change. In particular, ocean warming, ocean acidification and changes in the hydrological cycle may jeopardize the existence of CWCs. In order to predict how CWCs and their reefs or mounds will develop in the near future one important strategy is to study past fossil CWC mounds and especially shallow CWC ecosystems as they experience a greater environmental variability compared to other deep-water CWC ecosystems. We present results from a CWC mound off southern Norway. A sediment core drilled from this relatively shallow (~ 100 m) CWC mound exposes in full detail hydrographical changes during the late Holocene, which were crucial for mound build-up. We applied computed tomography, 230Th/U dating, and foraminiferal geochemical proxy reconstructions of bottom-water-temperature (Mg/Ca-based BWT), δ18O for seawater density, and the combination of both to infer salinity changes. Our results demonstrate that the CWC mound formed in the late Holocene between 4 kiloannum (ka) and 1.5 ka with an average aggradation rate of 104 cm/kiloyears (kyr), which is significantly lower than other Holocene Norwegian mounds. The reconstructed BWTMg/Ca and seawater density exhibit large variations throughout the entire period of mound formation, but are strikingly similar to modern in situ observations in the nearby Tisler Reef. We argue that BWT does not exert a primary control on CWC mound formation. Instead, strong salinity and seawater density variation throughout the entire mound sequence appears to be controlled by the interplay between the Atlantic Water (AW) inflow and the overlying, outflowing Baltic-Sea water. CWC growth and mound formation in the NE Skagerrak was supported by strong current flow, oxygen replenishment, the presence of a strong boundary layer and larval dispersal through the AW, but possibly inhibited by the influence of fresh Baltic Water during the late Holocene. Our study therefore highlights that modern shallow Norwegian CWC reefs may be particularly endangered due to changes in water-column stratification associated with increasing net precipitation caused by climate change.
Convective rain cell properties and the resulting precipitation scaling in a warm-temperate climate
(2022)
Convective precipitation events have been shown to intensify at rates exceeding the Clausius–Clapeyron rate (CC rate) of ca. 7% K−1 under current climate conditions. In this study, we relate atmospheric variables (low-level dew point temperature, convective available potential energy, and vertical wind shear), which are regarded as ingredients for severe deep convection, to properties of convective rain cells (cell area, maximum precipitation intensity, lifetime, precipitation sum, and cell speed). The rain cell properties are obtained from a rain gauge-adjusted radar dataset in a mid-latitude region, which is characterized by a temperate climate with warm summers (Germany). Different Lagrangian cell properties scale with dew point temperature at varying rates. While the maximum precipitation intensity of cells scales consistently at the CC rate, the area and precipitation sum per cell scale at varying rates above the CC rate. We show that this super-CC scaling is caused by a covarying increase of convective available potential energy with dew point temperature. Wind shear increases the precipitation sum per cell mainly by increasing the spatial cell extent. From a Eulerian point of view, this increase is partly compensated by a higher cell velocity, which leads to Eulerian precipitation scaling rates close to and slightly above the CC rate. Thus, Eulerian scaling rates of convective precipitation are modulated by convective available potential energy and vertical wind shear, making it unlikely that present scaling rates can be applied to future climate conditions. Furthermore, we show that cells that cause heavy precipitation at fixed locations occur at low vertical wind shear and, thus, move relatively slowly compared to typical cells.
Extreme convective precipitation is expected to increase with global warming. However, the rate of increase and the understanding of contributing processes remain highly uncertain. We investigated characteristics of convective rain cells like area, intensity, and lifetime as simulated by a convection-permitting climate model in the area of Germany under historical (1976–2005) and future (end-of-century, RCP8.5 scenario) conditions. To this end, a tracking algorithm was applied to 5-min precipitation output. While the number of convective cells is virtually similar under historical and future conditions, there are more intense and larger cells in the future. This yields an increase in hourly precipitation extremes, although mean precipitation decreases. The relative change in the frequency distributions of area, intensity, and precipitation sum per cell is highest for the most extreme percentiles, suggesting that extreme events intensify the most. Furthermore, we investigated the temperature and moisture scaling of cell characteristics. The temperature scaling drops off at high temperatures, with a shift in drop-off towards higher temperatures in the future, allowing for higher peak values. In contrast, dew point temperature scaling shows consistent rates across the whole dew point range. Cell characteristics scale at varying rates, either below (mean intensity), at about (maximum intensity and area), or above (precipitation sum) the Clausius–Clapeyron rate. Thus, the widely investigated extreme precipitation scaling at fixed locations is a complex product of the scaling of different cell characteristics. The dew point scaling rates and absolute values of the scaling curves in historical and future conditions are closest for the highest percentiles. Therefore, near-surface humidity provides a good predictor for the upper limit of for example, maximum intensity and total precipitation of individual convective cells. However, the frequency distribution of the number of cells depending on dew point temperature changes in the future, preventing statistical inference of extreme precipitation from near-surface humidity.
Extreme convective precipitation events are among the most severe hazards in central Europe and are expected to intensify under global warming. However, the degree of intensification and the underlying processes are still uncertain. In this thesis, recent advances in continuous, radar-based precipitation monitoring and convection-permitting climate modeling are used to investigate Lagrangian properties of convective rain cells such as precipitation intensity, cell area, and precipitation sum and their relationship to large-scale, environmental conditions.
Firstly, convective precipitation objects are tracked in a gauge-adjusted radar-data set and the properties of these cells are related to large-scale environmental variables to investigate the observed super-Clausius-Clapeyron (CC) scaling of convective extreme precipitation. The Lagrangian precipitation sum of convective cells increases with dew point temperature at rates well above the CC-rate with increasing rates for higher dew point temperatures. These varying, high rates are caused by a covarying increase of CAPE with dew point temperature as well as the effect of high vertical wind shear causing an increase in cell area and thus precipitation sum. At the same time, cells move faster at high vertical wind shear so that Eulerian scaling rates are lower than Lagrangian but still above the CC-rate. The results show that wind shear and static instability need to be taken into account when transferring precipitation scaling under current climate conditions to future conditions. Secondly, the representation of convective cell properties in the convection-permitting climate model COSMO-CLM is evaluated. The model can simulate the observed frequency distributions of cell properties such as lifetime, area, mean and maximum intensity, and precipitation sum. The increase of area and intensity with lifetime is also well captured despite an underestimation of the intensity of the most severe cells. Furthermore, the model can represent the temperature scaling of intensity, area, and precipitation sum but fails to simulate the observed increase of lifetime. Thus, the model is suitable to study climatologies of convective storms in Germany. Thirdly, two COSMO-CLM projections at the end of the century under emission scenario RCP8.5 were investigated. While the number of convective cells and their lifetime remain approximately constant compared to present conditions, intensity and area increase strongly. The relative increase of intensity and area is largest for the highest percentiles meaning that extreme events intensify the most. The characteristic afternoon maximum of convective precipitation is damped, and shifted to later times of day which leads to an increase of nighttime precipitation in the future. Scaling rates of cell properties with dew point temperature are nearly identical in present and future in the simulation driven by the EC-Earth model which means that the upper limit of cell properties like intensity, area, and precipitation sum could be predicted from near-surface dew point temperature. However, this result could not be reproduced by the simulation driven by MIROC5 and needs further investigation.
The climate system is one of the classical examples of a complex dynamical system consisting of interacting sub-systems through mass, momentum, and energy exchange across various spatial and temporal scales. This thesis aims to detect and quantify sub-component interactions from an information exchange (IE) perspective. For this purpose, IE estimators derived from information theory are explored and applied to the available climate data obtained from observations, reanalysis, global and regional climate models. Specifically, this thesis investigates the usefulness of information theory methods for process-oriented climate model evaluation.
Firstly, methods derived from the concepts of information theory such as transfer entropy and information flow along with their linear and non-linear estimation techniques are initially tested and applied to idealized two-dimensional dynamical systems. The results revealed an expected direction and magnitude of IE providing insights into underlying dynamics. However, as expected the linear estimators are robust for linear systems but fail for non-linear systems. Though the non-linear estimators (kernel and kraskov) showed expected results for all the idealized systems, their free tuning parameters are to be tested for consistent results. Moreover, these methods are sensitive to the available time series length.
A real world example case study involving the dynamics between the Indian and Pacific oceans revealed a physically consistent bi-directional IE. However, unexpected IE was detected in the example of North Atlantic and European air temperatures indicating hidden drivers. Though IE provides insights into system dynamics, the availability of time series length and the system at hand must be carefully taken into account before inferring any possible interpretations of the results.
Quantifying the IE from El-Ni\~{n}o southern oscillation (ENSO) and Indian Ocean Dipole (IOD) to the Indian Summer Monsoon Rainfall (ISMR) with the observational and reanalysis data sets revealed that both ENSO and IOD are synergistic predictors for the inter-annual variability of the ISMR over central India i.e., the monsoon core region. Though the investigated three Global Climate Models (GCM) could not reveal the underlying IE dynamics of ENSO, IOD, and ISMR, a Regional Climate Model (RCM) simulation downscaling one of the GCMs with realistic large scale signals across the lateral boundaries showed good agreement with the observations.
Evaluating a coupled regional climate modeling system driven by two different global data sets with IE estimators revealed significant differences between the process chains linking the north-west Mediterranean sea surface temperatures, evaporation, wind speed, and the Vb-cyclone induced precipitation over Danube, Odra, and Elbe catchments in the historical period (1951-2005). Detailed investigation revealed that the north-west Mediterranean Sea in the coupled regional simulation driven by ERA-20C reanalysis corresponded to the Vb-cyclone precipitation over the three catchments while no such correspondence is noted in the EC-EARTH driven simulation. This discrepancy is attributed to the inheritance of the simulation biases from GCM into the RCM. In the future period (1965-2099), no significant changes in the processes are noted from the simulation.
Overall, this thesis used IE estimators in investigating the underlying dynamics of climate system and climate models. The estimators proved useful in providing insights into climate system dynamics assisting in a process based climate model evaluation.
Drought is understood as both a lack of water (i.e., a deficit compared to demand) and a temporal anomaly in one or more components of the hydrological cycle. Most drought indices, however, only consider the anomaly aspect, i.e., how unusual the condition is. In this paper, we present two drought hazard indices that reflect both the deficit and anomaly aspects. The soil moisture deficit anomaly index, SMDAI, is based on the drought severity index, DSI (Cammalleri et al., 2016), but is computed in a more straightforward way that does not require the definition of a mapping function. We propose a new indicator of drought hazard for water supply from rivers, the streamflow deficit anomaly index, QDAI, which takes into account the surface water demand of humans and freshwater biota. Both indices are computed and analyzed at the global scale, with a spatial resolution of roughly 50 km, for the period 1981–2010, using monthly time series of variables computed by the global water resources and the model WaterGAP 2.2d. We found that the SMDAI and QDAI values are broadly similar to values of purely anomaly-based indices. However, the deficit anomaly indices provide more differentiated spatial and temporal patterns that help to distinguish the degree and nature of the actual drought hazard to vegetation health or the water supply. QDAI can be made relevant for stakeholders with different perceptions about the importance of ecosystem protection, by adapting the approach for computing the amount of water that is required to remain in the river for the well-being of the river ecosystem. Both deficit anomaly indices are well suited for inclusion in local or global drought risk studies.
There seems to be a wide agreement in critical geographic thought that Hegel is dead, as to end up with Hegel’s idealism serves to be the starting point for the materialist project of critical geographies. This paper aims to call this starting point into question by confronting Henri Lefebvre with Slavoj Žižek. While Lefebvre, one of the pioneers of materialist geographic thought, intensively worked on a metaphilosophical critique to open Hegel’s testament, Žižek’s Hegel supposed to pave the way for a new philosophical materialism. This paper seeks to claim that such a materialist Hegel not only survives the critical encounter of Lefebvre’s metaphilosophy, but also encourages us to inquire about the possibilities and consequences of a geographical turn to Hegel. What if there is a Hegel out there that geography has not even detected?
There is a broad consensus that psychoanalytic theory cannot offer an account to further engage with the ontological turn toward the object that human sciences face today. In particular, the structuralist side of psychoanalysis, most prominently promoted by Jacques Lacan, is supposed to be unable to grasp an object independently from the subject. Against this background, it is no surprise that ‘object-oriented’ geographers ignore psychoanalytic theory. My aim is to investigate the interstices between the object-oriented turn and Lacanian psychoanalysis. I argue that the critiques miss a crucial aspect of Lacan’s ontology: he does not question that there are objects located ‘out there’, but rather adds that psychoanalysis engages with another object whose location remains uncertain. I follow Lacan’s most important invention, the object a, to argue that this object is crucial to understanding the ontology of Lacan as an ‘object-disoriented’ ontology. While object-oriented approaches in cultural geography give ontological priority to the material conditions of existence, Lacanian ontology allows us to understand how material objects become spectralized through an immaterial surplus. To substantiate this claim, I explore the role of anxiety with regard to the Sathorn Unique Tower, an abandoned skyscraper sitting in the middle of Bangkok. Widely known as the ‘Ghost Tower’, this ruin is internationally considered to be haunted. By focusing on a movie and an interview about the Ghost Tower as well as my own ethnographic observation of it, I not only explore the topological dimension of the ghost but also demonstrate that it is precisely the impossibility of localization that enables an object to disorientate the subject.
This paper investigates the global stratospheric Brewer–Dobson circulation (BDC) in the ERA5 meteorological reanalysis from the European Centre for Medium-Range Weather Forecasts (ECMWF). The analysis is based on simulations of stratospheric mean age of air, including the full age spectrum, with the Lagrangian transport model CLaMS (Chemical Lagrangian Model of the Stratosphere), driven by reanalysis winds and total diabatic heating rates. ERA5-based results are compared to results based on the preceding ERA-Interim reanalysis. Our results show a significantly slower BDC for ERA5 than for ERA-Interim, manifesting in weaker diabatic heating rates and higher age of air. In the tropical lower stratosphere, heating rates are 30 %–40 % weaker in ERA5, likely correcting a bias in ERA-Interim. At 20 km and in the Northern Hemisphere (NH) stratosphere, ERA5 age values are around the upper margin of the uncertainty range from historical tracer observations, indicating a somewhat slow–biased BDC. The age trend in ERA5 over the 1989–2018 period is negative throughout the stratosphere, as climate models predict in response to global warming. However, the age decrease is not linear but steplike, potentially caused by multi-annual variability or changes in the observations included in the assimilation. During the 2002–2012 period, the ERA5 age shows a similar hemispheric dipole trend pattern as ERA-Interim, with age increasing in the NH and decreasing in the Southern Hemisphere (SH). Shifts in the age spectrum peak and residual circulation transit times indicate that reanalysis differences in age are likely caused by differences in the residual circulation. In particular, the shallow BDC branch accelerates in both reanalyses, whereas the deep branch accelerates in ERA5 and decelerates in ERA-Interim.
State-of-the-art climate models contain, to a significant degree, empirical components. In particular, subgrid-scale (SGS) parameterizations are usually highly tuned against observations or high-resolution model data. While this enables the models to minimize the error during hindcasts, it is not guaranteed that it yields a benefit for climate projections because of climate change. In this thesis the Fluctuation-Dissipation theorem (FDT) is used to update the statistics of the system in the presence of an external forcing. If the empirical parameters are tuned objectively to the data (i.e., they depend on the statistics of the data), then they might be updated with the FDT. This ansatz is tested within a framework of a semi-empirical model (SEM) based on the leading variance patterns of a quasigeostrophic three-layer model (QG3LM) and supplemented by a purely data-driven parameterization. We show that the FDT is able to successfully update the tuning parameters of the data-driven SGS closure, resulting in a systematic improvement in model performance in comparison to an untreated SEM. Ideally, SGS parameterizations should contain little to no tuning parameters. Thus, complementary to the FDT approach we investigate a stochastic SGS closure constrained by first principles that is calculated using the stochastic mode reduction (SMR). The SMR allows for an analytic derivation of the SGS closure from the model equations while requiring only minimal tuning. We successfully apply the SMR to the QG3LM and construct the reduced stochastic model (RSM). Furthermore, we show that the RSM is more robust against an external forcing than the SEM. Additionally, we find that, under appropriate conditions, the FDT is able to update the empirical parts of the RSM. Yet, only for the response in mean streamfunction the RSM provides useful results, while the response in covariance of the streamfunction is incorrect for most cases. Nevertheless, we obtain a remarkably accurate response in both moments for the RSM in an idealized setting. In combination with the results of the FDT study this indicates that the considered RSM is too low dimensional and encourages us to investigate the response of larger RSMs in the future.
Carbon is an element that controls planetary habitability, and is fundamental for life on Earth. Its behaviour has important consequences for the global climate system, the origin and evolution of life on Earth. While the biosphere and atmosphere’s carbon cycle only accounts for less than 1% of the global carbon budget, hidden reservoirs of deep carbon in the Earth’s interior comprise the predominant storage of carbon on the planet. At the Earth’s surface, 60-70 % of carbon is hosted by carbonate minerals, which are then transported to the Earth’s interior, mainly in the form of sediments, by subduction of the oceanic lithosphere. Subducting plates are subjected to decarbonation, dehydration, and melting with CO2 release via supra-subduction volcanism. Nevertheless, part of the subducted carbonates’ may survive and be further transported to the deep mantle. Direct evidence of the existence of carbonates in the Earth’s interior, possibly reaching down to the lower mantle, comes from the finding of syngenetic inclusions of carbonates in diamonds and mantle xenoliths. The presence of carbonates in the deep Earth has a critical effect on the physical properties of the mantle. Melting and chemical speciation of the mantle are strongly affected by the form of C and carbonate stability. Therefore, the study of the stability and physical properties of carbonates at high pressures and temperatures is fundamental, because understanding the processes involved in the deep carbon cycle helps to improve our picture of the whole mantle.
The systematic characterization of the elastic properties of carbonates as a function of their structure and chemical composition is of great importance because it may allow to identify their presence and distribution by seismology. Inverting seismic observations to successfully constrain the chemical composition and mineralogy of the Earth’s interior requires knowledge of the physical properties of all possible Earth’s materials at pressures and temperatures applicable to the Earth’s interior. Up to now, a multitude of studies has focused on the construction of phase diagrams and structural transitions by means of X-ray diffraction and vibrational spectroscopy experiments.
Few studies are available on the complete elastic tensor of carbonates, however most of the datasets are not accompanied by an accurate characterization of the samples, which are often solid solutions and the exact chemical composition, density or the details about the experimental methods used are not presented. The aim of this thesis is to study the effect of chemical composition on the elastic properties of carbonates, providing a reliable dataset on the elasticity of the main carbonates. In particular, the elastic properties of crystalline aragonite, CaCO3, and Fe-dolomite, (Ca, Mg, Fe)(CO3)2, with different compositions were studied by Brillouin spectroscopy at ambient conditions. Brillouin spectroscopy was also used to investigate the elastic behaviour of amorphous calcium carbonate samples with different water contents (up to 18 wt%) at high pressures, up to 20 GPa.
Furthermore, the importance of cationic substitution on the structure and high pressure behaviour of carbonates was investigated by studying a synthetic CaCO3-SrCO3 solid solution at ambient conditions and at high pressures, up to 10 GPa, by single crystal X-ray diffraction. Finally, the study of the effect of composition on the elastic properties of families of isostructural solids was also extended to a different class of materials, the metal guanidinium formates. The elasticity of a family of perovskite metal organic frameworks, metal guanidinium formates C(NH2)3MII(HCOO)3, with MII =Mn, Zn, Cu, Co, Cd and Ca was investigated by combining Brillouin spectroscopy, resonant ultrasound spectroscopy, density functional theory and thermal diffuse scattering analysis.
Mistral and Tramontane are wind systems in southern France and the western Mediterranean Sea. Both are caused by similar synoptic situations and channeled in valleys. Their relevance for the climate of the western Mediterranean region motivated this work. The representation of Mistral and Tramontane in regional climate simulations was surveyed with the models ALADIN, WRF, PROMES, COSMO-CLM, RegCM, and LMDZ. ERA-Interim and global CMIP5 simulations (MPI-ESM, CMCC-CM, HadGEM2-ES, and CNRM-CM5) provided the lateral boundary data for the regional simulations regarding the 20th century and two representative concentration pathways for the 21st century (RCP4.5 and RCP8.5).
A Mistral and Tramontane time series, a principal component analysis of pressure fields, and a Bayesian network were combined to develop a classification algorithm to identify pressure patterns in favor of Mistral and Tramontane. The regional climate models were able to reproduce the observed climatology of Mistral and Tramontane. Compared to observational data (SAFRAN and QuikSCAT), the simulations underestimate the wind speed over the Mediterranean Sea, mainly at the borders of the main flow. Simulations with smaller grid spacing showed better agreement with the observations.
A sensitivity study tested the influence of the Charnock parameter on the Mistral wind field. Its value impacted both wind speed and wind direction. Decreasing the orographic resolution in idealized simulations using COSMO-CLM caused a reduction in wind speed and a broader flow area. Including a parameterization for subgrid scale orography improved the simulation. However, an accurate simulation of Mistral and Tramontane still requires a high-resolution orography.
The classification algorithm also was applied to pressure fields from regional climate simulations driven by global simulation data. At the end of the 21st century, only small, non-significant changes in the number of Mistral days per year occur in the projection simulations. The number of Tramontane days per year decreased significantly.
State of the simulation of mesoscale winds in the Mediterranean and opportunities for improvements
(2022)
The Mediterranean region is a densely populated and economically relevant area with complex orography including mountain ranges, islands, and straits. In combination with pressure gradients, this creates many mesoscale wind systems that cause, e.g., wind gusts and wildfire risk in the Mediterranean. This article reviews the recent state of the science of several mesoscale winds in the Mediterranean and associated processes. Previous work, including case studies on several time ranges and resolutions, as well as studies on these winds under future climate conditions, is discussed. Simulations with grid spacings of 25 to 50 km can reproduce winds driven by large-scale pressure patterns such as Mistral, Tramontane, and Etesians. However, these simulations struggle with the correct representation of winds channeled in straits and mountain gaps and around islands. Grid spacings of 1–3 km are certainly necessary to resolve these small-scale features. The smaller grid spacings are widely used in case studies, but not yet in simulations over large areas and long periods, which also could help to understand the interaction between small-scale phenomena in separate locations. Furthermore, by far not all Mediterranean straits, islands, and mountain gaps were studied in-depth and many interesting Mediterranean small-scale winds still need to be studied.
While high-quality climate reconstructions of some past warm periods in the Cenozoic era now exist, the geological processes responsible for driving the observed longterm changes in atmospheric CO2 are not sufficiently well understood. The long-term change in atmospheric CO2 across the Cenozoic has been proposed to be driven by processes such as terrestrial weathering, organic carbon production and burial, reverse weathering, and volcanic degassing. One way of constraining the relative importance of the various driving forces proposed so far is to better understand the degree to which ocean chemistry has changed because the chemistry of seawater responds to geologic processes that drive atmospheric CO2. In addition, knowledge of the concentration of the major elements in seawater is crucial for accurately applying proxies such as those based on the boron isotopic composition and Mg/Ca of marine carbonates (a proxy for palaeo pH/CO2 and palaeotemperature, respectively). Previously reported records of seawater composition are primarily derived from fluid inclusions in marine evaporites; however, the results are sparse due to the limited availability of such deposits. In this thesis, changes in the Eocene seawater chemistry were reconstructed using trace element (elements/Ca) and isotopic (δ26Mg) proxies in a Larger Benthic Foraminifera (LBFs), i.e., Nummulites sp., to constrain the driving processes of long-term changes in seawater chemistry.
To achieve the objective of this thesis, first, a measurement protocol was established using LA-ICPMS to measure the K/Ca ratio simultaneously with other element/calcium ratios, which is challenging due to the interference of ArH+ on K+. Utilising this newly established measurement protocol, laboratory-cultured Operculina ammonoides grown at different seawater calcium concentrations ([Ca2+]), repeated at different temperatures, as well as modern O. ammonoides collected from different regions exhibiting a range of seawater parameters, were investigated. A significant correlation was observed between K/Casw and K/CaLBF, allowing K/CaLBF to potentially be used as a proxy for seawater major ion reconstructions. In addition, modern O. ammonoides demonstrated no significant influence of most seawater parameters (temperature, salinity, pH, or [CO32-]) on K/CaLBF. Modern O.
ammonoides were also assessed for their Mg isotopic composition (δ26Mg), revealing no significant effect of temperature or salinity on δ26MgLBF. Furthermore, the Mg isotopic fractionation in O. ammonoides was found to be close to that of inorganic calcite, indicating minimal vital effects in these large benthic foraminifera.
Operculina ammonoides is the nearest living relative of the abundant Eocene genus Nummulites, enabling the reconstruction of seawater chemistry using the calibration based on O. ammonoides. The trace elemental/calcium proxies, including Na/Ca, K/Ca, and Mg/Ca, as well as the δ26Mg proxy, were investigated in Eocene Nummulites. The result showed that during the Eocene, [Ca2+]sw was 1.6-2 times higher, while [K+]sw was ~2 times lower than the modern seawater composition. Furthermore, [Mg2+]sw decreased from the early Eocene (54.3− +9 7..69 mmol kg-1 at ~55 Ma) to Late Eocene (37.8− +4 4..3 4 mmol kg-1 at ~31 Ma), followed by
an increase toward modern seawater [Mg]. In contrast, the variability in δ26Mgsw values remained within a narrow range of ~0.3 ‰ throughout the Cenozoic. The reconstructed [Ca2+]sw agrees with the suggestion that Cenozoic seawater chemistry changes can be explained via a change in the seafloor spreading rate. When combined with existing records, the observed minimal change in δ26Mgsw with an increase in [Mg2+]sw suggests an additional possible role of a decrease in the formation of authigenic clay minerals coincident with the Cenozoic decline in deep ocean temperature, which is also supported by the increase in the [K+]sw reconstructed here for the first time. This finding highlights that the reduction in seafloor-spreading rate and decline in reverse weathering during the Cenozoic era has played a significant role in the evolution of seawater chemistry, emphasizing the importance of these processes in driving long-term changes in the carbon cycle.
Mongolia covers a huge area in Asia and provides excellent Palaeozoic successions although large regions still lack detailed information on fauna and flora in Palaeozoic rocks. Of special interest is the Central Asian Orogenic Belt (CAOB), one of the largest collisional complexes on Earth. The CAOB is composed of a large number of terranes, continental margins, island arcs, backarc/forearc basins and accretionary wedges (Badarch et al. 2002; Safonova et al. 2017). Many terranes and regions underwent strong metamorphism, such as areas north of the Main Mongolian Lineament. To the south, Palaeozoic rocks exhibit low-grade metamorphism, thrusting and folding. Two promising long successions of Palaeozoic rocks were studied, namely the Hushoot Shiveetiin gol section and the Bayankhoshuu Ruins section. The intention of the PhD was to study marine facies settings in Palaeozoic rocks of southern and southwestern Mongolia, in an area little is known in terms of biostratigraphy and events. In order to get a better understanding on events and what might have been the driving forces I studied sections in Mongolia which have not been in the focus of research in the last decades. In order to complement studies on Late Devonian events elsewhere, I decided to study sections in open ocean environments (CAOB), far away from mainly studied epicontinental areas.As stated in many publications, events are the driving force for evolution. They exhibit dramatical changes in the palaeontological record of organisms and they are often associated with dramatic extinctions (Walliser 1996) and anoxic sediments (but not always). Mass extinctions are episodes in which a large number of plant and animal species became extinct within a few thousand to a hundred thousand years. Most events (first and second order events) are traceable worldwide. For instance, in the Late Devonian, mass extinction events recognized at the Frasnian–Famennian (F/F) stage boundary and at the Devonian–Carboniferous (D/C) boundary (McLaren and Goodfellow 1990; Sepkoski 1996; Walliser 1996). Overall, 19% of all families, 50% of all genera and at least 70% of all species became extinct (Raup and Sepkoski 1982; Sepkoski 1996; McGhee et al. 2013), but extinctions also concerned palaeoecosystems and due to Late Devonian events whole coral/stromatoporoid reef ecosystems became extinct. What might be the reason(s) for these dramatical changes? Why did the carbonate factory brake down? There are several reasons which have been discussed. For instance, extraterrestrial bolide impacts (McLaren 1970), anoxia within the water column due to climate changes (House 1985; Becker and House 1994; Caplan and Bustin 1999; Bond and Wignall 2005), transgressions and regressions (Newell 1967; Hallam and Wignall 1999; Purdy 2008; Ruban 2010, 2013; Smith and Benson 2013), eutrophication and increased sediment transport (Joachimski et al. 1993; Schobben et al. 2016), explosive volcanism (Paschall et al. 2019) and/ or large igneous provinces (LIP’s, Ernst et al. 2019; Racki et al. 2020, among others) and much more has been considered. The main problem is that previous studies preferably have been done along former epicontinental margins between Laurassia and Gondwana. Less information is available in deep open oceanic successions and shallow-water areas around island arcs. Generally, events are characterized by bituminous rocks, such as black limestones and shales within marine realms, but they do not necessarily occur everywhere (see Carmichael et al. 2016). So, the question was: “Can we recognize Palaeozoic event layers or equivalents in the CAOB?” If so, is this comparable to already published data? What might be the main trigger, as there are many reasons still in discussion? And finally, what has happened in the aftermath of those events as it seems that the CAOB may have acted as a refugium for at least some groups, such as for crinoids (Waters and Webster 2009; Tolokonnikova and Ernst 2010). In this thesis, I will provide data from isolated ecosystems from a rather unstudied region, which will complement studies from other parts of the World.
In der kritischen Stadtforschung wird die These der postdemokratischen Stadt aktuell immer wieder aufgegriffen und dabei eng mit Prozessen der Neoliberalisierung verknüpft. Ausgehend von einer kritischen Diskussion der konzeptionellen Zugänge bei Colin Crouch und Jacques Rancière geht der Beitrag anhand der Geschichte der kommunalen Selbstverwaltung in Frankfurt am Main dem Gehalt der beiden Begriffsbestimmungen in der konkreten historischen Analyse nach. Verwiesen wird dabei auf die unterschiedliche Analysetiefe der beiden Konzepte. Entgegen der bei Crouch vorherrschenden Annahme, dass es vor der neoliberalen Stadt eine demokratische Form städtischen Regierens gegeben hat, wird unter Rückbezug auf die Argumentation Rancières zur Demokratie betont, dass der Fordismus keinesfalls als egalitärer, inklusiver oder demokratischer charakterisiert werden kann. Vielmehr vertreten wir die These, dass die fordistische Stadt zwar aus anderen Gründen, aber vom Grundsatz her nicht weniger postdemokratisch gewesen ist als die neoliberale der Gegenwart und dass die demokratischen Momente am ehesten in den Brüchen und Spalten der sozialen Konflikte der 1970er und 1980er Jahre gefunden werden können.
The Yacoraite Formation (Salta rift, Argentina) consists of Maastrichtian–Danian lacustrine carbonate and siliciclastic deposits with interbedded volcanic ash layers, organized in four third-order stratigraphic sequences. It offers the exceptional opportunity to jointly apply in situ zircon and carbonate U-Pb geochronology that resulted in two distinct depositional age depth models. Ages of the youngest zircon population from ash layers were linearly interpolated to derive a zircon depositional age depth model. A carbonate depositional age depth model was instead obtained from dated carbonate phases including microbialites, ooids, oncoids of calcitic and dolomitic mineralogy as well as early lacustrine calcite cements. Mean ages were defined from different carbonate phases belonging to the same layer and then linearly interpolated. Sedimentation rates were calculated from both depth models between pairs of dated samples and used to estimate the age of sequence boundaries, as well as the duration of the four stratigraphic sequences. The zircon and carbonate depositional age depth models agree with biostratigraphic constraints and exhibit excellent consistency. The onset and end of sedimentation were estimated at 68.2 ± 0.9 Ma and 62.3 ± 0.6 Ma (duration ca 5.7 Ma) via zircon geochronology and at 67.9 ± 1.7 Ma and 61.9 ± 1.3 Ma (duration ca 6.0 Ma) via carbonate geochronology. Results from this study show that with suitable samples and a newly implemented working strategy, in situ U-Pb dating of depositional and early diagenetic carbonates represent a valuable chronostratigraphic tool for estimating sedimentation rate and duration in poorly time-framed depositional systems.
A quantitative analysis of any environment older than the instrumental record relies on proxies. Uncertainties associated with proxy reconstructions are often underestimated, which can lead to artificial conflict between different proxies, and between data and models. In this paper, using ordinary least squares linear regression as a common example, we describe a simple, robust and generalizable method for quantifying uncertainty in proxy reconstructions. We highlight the primary controls on the magnitude of uncertainty, and compare this simple estimate to equivalent estimates from Bayesian, nonparametric and fiducial statistical frameworks. We discuss when it may be possible to reduce uncertainties, and conclude that the unexplained variance in the calibration must always feature in the uncertainty in the reconstruction. This directs future research toward explaining as much of the variance in the calibration data as possible. We also advocate for a “data-forward” approach, that clearly decouples the presentation of proxy data from plausible environmental inferences.
Due to massive energetic investments in woody support structures, trees are subject to unique physiological, mechanical, and ecological pressures not experienced by herbaceous plants. Despite a wealth of studies exploring trait relationships across the entire plant kingdom, the dominant traits underpinning these unique aspects of tree form and function remain unclear. Here, by considering 18 functional traits, encompassing leaf, seed, bark, wood, crown, and root characteristics, we quantify the multidimensional relationships in tree trait expression. We find that nearly half of trait variation is captured by two axes: one reflecting leaf economics, the other reflecting tree size and competition for light. Yet these orthogonal axes reveal strong environmental convergence, exhibiting correlated responses to temperature, moisture, and elevation. By subsequently exploring multidimensional trait relationships, we show that the full dimensionality of trait space is captured by eight distinct clusters, each reflecting a unique aspect of tree form and function. Collectively, this work identifies a core set of traits needed to quantify global patterns in functional biodiversity, and it contributes to our fundamental understanding of the functioning of forests worldwide.
Africa's protected areas (PAs) are the last stronghold of the continent's unique biodiversity, but they appear increasingly threatened by climate change, substantial human population growth, and land-use change. Conservation planning is challenged by uncertainty about how strongly and where these drivers will interact over the next few decades. We investigated the combined future impacts of climate-driven vegetation changes inside African PAs and human population densities and land use in their surroundings for 2 scenarios until the end of the 21st century. We used the following 2 combinations of the shared socioeconomic pathways (SSPs) and representative greenhouse gas concentration pathways (RCPs): the “middle-of-the-road” scenario SSP2–RCP4.5 and the resource-intensive “fossil-fueled development” scenario SSP5–RCP8.5. Climate change impacts on tree cover and biome type (i.e., desert, grassland, savanna, and forest) were simulated with the adaptive dynamic global vegetation model (aDGVM). Under both scenarios, most PAs were adversely affected by at least 1 of the drivers, but the co-occurrence of drivers was largely region and scenario specific. The aDGVM projections suggest considerable climate-driven tree cover increases in PAs in today's grasslands and savannas. For PAs in West Africa, the analyses revealed climate-driven vegetation changes combined with hotspots of high future population and land-use pressure. Except for many PAs in North Africa, future decreases in population and land-use pressures were rare. At the continental scale, SSP5–RCP8.5 led to higher climate-driven changes in tree cover and higher land-use pressure, whereas SSP2–RCP4.5 was characterized by higher future population pressure. Both SSP–RCP scenarios implied increasing challenges for conserving Africa's biodiversity in PAs. Our findings underline the importance of developing and implementing region-specific conservation responses. Strong mitigation of future climate change and equitable development scenarios would reduce ecosystem impacts and sustain the effectiveness of conservation in Africa.
National Greenhouse Gas Inventories (GHGI) are submitted annually to the United Nations Framework Convention on Climate Change (UNFCCC). They are estimated in compliance with Intergovernmental Panel on Climate Change (IPCC) methodological guidance using activity data, emission factors and facility-level measurements. For some sources, the outputs from these calculations are very uncertain. Inverse modelling techniques that use high-quality, long-term measurements of atmospheric gases have been developed to provide independent verification of national GHGI. This is considered good practice by the IPCC as it helps national inventory compilers to verify reported emissions and to reduce emission uncertainty. Emission estimates from the InTEM (Inversion Technique for Emissions Modelling) model are presented for the UK for the hydrofluorocarbons (HFCs) reported to the UNFCCC (HFC-125, HFC-134a, HFC-143a, HFC-152a, HFC-23, HFC-32, HFC-227ea, HFC-245fa, HFC-43-10mee and HFC-365mfc). These HFCs have high Global Warming Potentials (GWPs) and the global background mole fractions of all but two are increasing, thus highlighting their relevance to the climate and a need for increasing the accuracy of emission estimation for regulatory purposes. This study presents evidence that the long-term annual increase in growth of HFC-134a has stopped and is now decreasing. For HFC-32 there is an early indication its rapid global growth period has ended, and there is evidence that the annual increase in global growth for HFC-125 has slowed from 2018. The inverse modelling results indicate that the UK implementation of European Union regulation of HFC emissions has been successful in initiating a decline in UK emissions in the since 2018. Comparison of the total InTEM UK HFC emissions in 2020 with the average from 2009–2012 shows a drop of 35%, indicating progress toward the target of a 79% decrease in sales by 2030. The total InTEM HFC emission estimates (2008–2018) are on average 73 (62–83)% of, or 4.3 (2.7–5.9) Tg CO2-eq yr−1 lower than, the total HFC emission estimates from the UK GHGI inventory. There are also significant discrepancies between the two estimates for the individual HFCs.
National greenhouse gas inventories (GHGIs) are submitted annually to the United Nations Framework Convention on Climate Change (UNFCCC). They are estimated in compliance with Intergovernmental Panel on Climate Change (IPCC) methodological guidance using activity data, emission factors and facility-level measurements. For some sources, the outputs from these calculations are very uncertain. Inverse modelling techniques that use high-quality, long-term measurements of atmospheric gases have been developed to provide independent verification of national GHGIs. This is considered good practice by the IPCC as it helps national inventory compilers to verify reported emissions and to reduce emission uncertainty. Emission estimates from the InTEM (Inversion Technique for Emission Modelling) model are presented for the UK for the hydrofluorocarbons (HFCs) reported to the UNFCCC (HFC-125, HFC-134a, HFC-143a, HFC-152a, HFC-23, HFC-32, HFC-227ea, HFC-245fa, HFC-43-10mee and HFC-365mfc). These HFCs have high global warming potentials (GWPs), and the global background mole fractions of all but two are increasing, thus highlighting their relevance to the climate and a need for increasing the accuracy of emission estimation for regulatory purposes. This study presents evidence that the long-term annual increase in growth of HFC-134a has stopped and is now decreasing. For HFC-32 there is an early indication, its rapid global growth period has ended, and there is evidence that the annual increase in global growth for HFC-125 has slowed from 2018. The inverse modelling results indicate that the UK implementation of European Union regulation of HFC emissions has been successful in initiating a decline in UK emissions from 2018. Comparison of the total InTEM UK HFC emissions in 2020 with the average from 2009–2012 shows a drop of 35 %, indicating progress toward the target of a 79 % decrease in sales by 2030. The total InTEM HFC emission estimates (2008–2018) are on average 73 (62–83) % of, or 4.3 (2.7–5.9) Tg CO2-eq yr−1 lower than, the total HFC emission estimates from the UK GHGI. There are also significant discrepancies between the two estimates for the individual HFCs.
This Ph.D. thesis demonstrates i) the highly precise performance of refined and new analytical setups for clumped isotope analysis (Δ47 and Δ48) and ii) the applicability of clumped isotope analyses to biogenic and abiogenic carbonated apatite (Δ47) and abiogenic carbonates (Δ47 and Δ48) for research related to paleothermophysiology and paleoclimatology, whereas the overall analytical precision has been increased.
A comprehensive Δ47 dataset with 122 replicate analyses is provided from which the temperature dependence of Δ47 for (bio)apatite (Δ47-1/T2) is calculated between 1 °C and 80 °C. The temperature dependence of oxygen isotope equilibrium fractionation between carbonated synthetic apatite and water (1,000ln(αCHAP-H2O)) is experimentally determined. When applied to tooth enameloid from a modern Greenland shark (Somniosus microcephalus), a Late Miocene megatooth shark (Carcharodon megalodon), and an Upper Cretaceous Tyrannosaurus rex, reconstructed Δ47-based temperatures and δ18OH2O are in line with previously published data.
An analytical setup for highly precise clumped isotope analysis is described that allows for the simultaneous measurement of ∆47 and ∆48 in CO2 with external reproducibilities close to the respective shot-noise limits. The analyte gases originate from pure carbonates that were digested in hypersaturated orthophosphoric acid and purified using a fully automated device. Δ47 data sets with 117 replicate analyses in total on 22 pedogenic carbonate nodules from two Spanish Middle Miocene sections reveal the continental Southern European thermal structure during the end of the Middle Miocene Climatic Optimum (MCO) and the complete Middle Miocene Climatic Transition (MMCT; from 15.33 to 12.98 Ma).
We present the results of a multi-disciplinary investigation on a deciduous human tooth (Pradis 1), recently recovered from the Epigravettian layers of the Grotte di Pradis archaeological site (Northeastern Italian Prealps). Pradis 1 is an exfoliated deciduous molar (Rdm2), lost during life by an 11–12-year-old child. A direct radiocarbon date provided an age of 13,088–12,897 cal BP (95% probability, IntCal20). Amelogenin peptides extracted from tooth enamel and analysed through LC–MS/MS indicate that Pradis 1 likely belonged to a male. Time-resolved 87Sr/86Sr analyses by laser ablation mass spectrometry (LA-MC-ICPMS), combined with dental histology, were able to resolve his movements during the first year of life (i.e. the enamel mineralization interval). Specifically, the Sr isotope ratio of the tooth enamel differs from the local baseline value, suggesting that the child likely spent his first year of life far from Grotte di Pradis. Sr isotopes are also suggestive of a cyclical/seasonal mobility pattern exploited by the Epigravettian human group. The exploitation of Grotte di Pradis on a seasonal, i.e. summer, basis is also indicated by the faunal spectra. Indeed, the nearly 100% occurrence of marmot remains in the entire archaeozoological collection indicates the use of Pradis as a specialized marmot hunting or butchering site. This work represents the first direct assessment of sub-annual movements observed in an Epigravettian hunter-gatherer group from Northern Italy.
The Alpine orogeny is characterized by tectonic sequences of subduction and collision accompanied by break-off events and possibly preceded by a flip of subduction polarity. The tectonic evolution of the transition to the Eastern Alps has thus been under debate. The dense SWATH-D seismic network as a complementary experiment to the AlpArray seismic network provides unprecedented lateral resolution to address this ongoing discussion. We analyze the shear-wave splitting of this data set including stations of the AlpArray backbone in the region to obtain new insights into the deformation at depth from seismic anisotropy. Previous studies indicate two-layer anisotropy in the Eastern Alps. This is supported by the azimuthal pattern of the measured fast axis direction across all analyzed stations. However, the temporary character of the deployment requires a joint analysis of multiple stations to increase the number of events adding complementary information of the anisotropic properties of the mantle. We, therefore, perform a cluster analysis based on a correlation of energy tensors between all stations. The energy tensors are assembled from the remaining transverse energy after the trial correction of the splitting effect from two consecutive anisotropic layers. This leads to two main groups of different two-layer properties, separated approximately at 13°E. We identify a layer with a constant fast axis direction (measured clockwise with respect to north) of about 60° over the whole area, with a possible dip from west to east. The lower layer in the west shows N–S fast direction and the upper layer in the east shows a fast axis of about 115°. We propose two likely scenarios, both accompanied by a slab break-off in the eastern part. The continuous layer can either be interpreted as frozen-in anisotropy with a lithospheric origin or as an asthenospheric flow evading the retreat of the European slab that would precede the break-off event. In both scenarios, the upper layer in the east is a result of a flow through the gap formed in the slab break-off. The N–S direction can be interpreted as an asthenospheric flow driven by the retreating European slab but might also result from a deep-reaching fault-related anisotropy.
Since the publication of Nikolas Rose’s ‘The Politics of Life Itself’ (2001) there has been vivid discussion about how biopolitical governance has changed over the last decades. This article uses what Rose terms ‘molecular politics’, a new socio-technical grip on the human body, as a contrasting background to ask anew his question ‘What, then, of biopolitics today?’ – albeit focusing not on advances in genetics, microbiology, and pharmaceutics, as he does, but on the rapid proliferation of wearables and other sensor-software gadgets. In both cases, new technologies providing information about the individual body are the common ground for governance and optimization, yet for the latter, the target is habits of moving, eating and drinking, sleeping, working and relaxing. The resulting profound differences are carved out along four lines: ‘somatic identities’ and a modified understanding of the body; the role of ‘expert knowledge’ compared to that of networks of peers and self-experimentation; the ‘types of intervention’ by which new technologies become effective in our everyday life; and the ‘post-discipline character’ of molecular biopolitics. It is argued that, taken together, these differences indicate a remarkable shift which could be termed aretaic: its focus is not ‘life itself’ but ‘life as it is lived’, and its modality are new everyday socio-technical entanglements and their more-than-human rationalities of (self-)governance.
Deformation in the upper mantle is localized in shear zones. In order to localize strain, weakening has to occur, which can be achieved by a reduction in grain size. In order for grains to remain small and preserve shear zones, phases have to mix. Phase mixing leads to dragging or pinning of grain boundaries which slows down or halts grain growth. Multiple phase mixing processes have been suggested to be important during shear zone evolution. The importance of a phase mixing process depends on the geodynamic setting. This study presents detailed microstructural analysis of spinel bearing shear zones from the Erro-Tobbio peridotite (Italy) that formed during pre-alpine rifting. The first stage of deformation occurred under melt-free conditions, during which clinopyroxene and olivine porphyroclasts dynamically recrystallized. With ongoing extension, silica-undersaturated melt percolated through the shear zones and reacted with the clinopyroxene neoblasts, forming olivine–clinopyroxene layers. Furthermore, the melt reacted with orthopyroxene porphyroclasts, forming fine-grained polymineralic layers (ultramylonites) adjacent to the porphyroclasts. Strain rates in these layers are estimated to be about an order of magnitude faster than within the olivine-rich matrix. This study demonstrates the importance of melt-rock reactions for grain size reduction, phase mixing and strain localization in these shear zones.
In this study, we determine spectral characteristics and amplitude decays of wind turbine induced seismic signals in the far field of a wind farm (WF) close to Uettingen/Germany. Average power spectral densities (PSD) are calculated from 10 min time segments extracted from (up to) 6-months of continuous recordings at 19 seismic stations, positioned along an 8 km profile starting from the WF. We identify 7 distinct PSD peaks in the frequency range between 1 Hz and 8 Hz that can be observed to at least 4 km distance; lower-frequency peaks are detectable up to the end of the profile. At distances between 300 m and 4 km the PSD amplitude decay can be described by a power law with exponent b. The measured b-values exhibit a linear frequency dependence and range from b = 0.39 at 1.14 Hz to b = 3.93 at 7.6 Hz. In a second step, the seismic radiation and amplitude decays are modeled using an analytical approach which approximates the surface-wave field. Since we observe temporally varying phase differences between seismograms recorded directly at the base of the individual wind turbines (WTs), source-signal phase information is included in the modeling approach. We show that phase differences between source signals have significant effects on the seismic radiation pattern and amplitude decays. Therefore, we develop a phase-shift-elimination-method to handle the challenge of choosing representative source characteristics as an input for the modeling. To optimize the fitting of modeled and observed amplitude decay curves, we perform a grid search to constrain the two model parameters, i.e., the seismic shear wave velocity and quality factor. The comparison of modeled and observed amplitude decays for the 7 prominent frequencies shows very good agreement and allows to constrain shear velocities and quality factors for a two-layer model of the subsurface. The approach is generalized to predict amplitude decays and radiation patterns for WFs of arbitrary geometry.
In this study, we determine spectral characteristics and amplitude decays of wind turbine induced seismic signals in the far field of a wind farm (WF) close to Uettingen, Germany. Average power spectral densities (PSDs) are calculated from 10 min time segments extracted from (up to) 6 months of continuous recordings at 19 seismic stations, positioned along an 8 km profile starting from the WF. We identify seven distinct PSD peaks in the frequency range between 1 and 8 Hz that can be observed to at least 4 km distance; lower-frequency peaks are detectable up to the end of the profile. At distances between 300 m and 4 km the PSD amplitude decay can be described by a power law with exponent b. The measured b values exhibit a linear frequency dependence and range from b=0.39 at 1.14 Hz to b=3.93 at 7.6 Hz. In a second step, the seismic radiation and amplitude decays are modeled using an analytical approach that approximates the surface wave field. Since we observe temporally varying phase differences between seismograms recorded directly at the base of the individual wind turbines (WTs), source signal phase information is included in the modeling approach. We show that phase differences between source signals have significant effects on the seismic radiation pattern and amplitude decays. Therefore, we develop a phase shift elimination method to handle the challenge of choosing representative source characteristics as an input for the modeling. To optimize the fitting of modeled and observed amplitude decay curves, we perform a grid search to constrain the two model parameters, i.e., the seismic shear wave velocity and quality factor. The comparison of modeled and observed amplitude decays for the seven prominent frequencies shows very good agreement and allows the constraint of shear velocities and quality factors for a two-layer model of the subsurface. The approach is generalized to predict amplitude decays and radiation patterns for WFs of arbitrary geometry.
This thesis presents the experimental and numerical analysis of seismic waves that are produced by wind farms. With the aim to develop renewable energies rapidly, the number of wind turbines has been increased in recent years. Ground motions induced by their operation can be observed by seismometers several kilometers away. Hence, the seismic noise level can be significantly increased at the seismic station. Therefore, this study combines long-term experiments and numerical simulations to improve the understanding of the seismic wavefields emitted by complete wind farms and to advance the prediction of signal amplitudes.
Firstly, wind-turbine induced signals that are measured at a small wind farm close to Würzburg (Germany) are correlated with the operational data of the turbines. The frequency-dependent decay of signal amplitudes with distance from the wind farm is modeled using an analytical method including the complex effects of interferences of the wavefields produced by the multiple wind turbines. Specific interference patterns significantly affect the wave propagation and therefore the signal amplitude in the far field of a wind farm. Since measurements inside the wind turbines show that the assumption of in-phase vibrating wind turbines is inappropriate, an approach to calculate representative seismic radiation patterns from multiple wind turbines, which allows the prediction of amplitudes in the far field of a complete wind farm, is proposed.
In a second study, signals with a frequency of 1.15 Hz, produced by the Weilrod wind farm (north of Frankfurt, Germany) are observed at the seismological observatory TNS (Taunus), which is located at a distance of 11 km from the wind farm. The propagation of the wavefield emitted by the wind farm is numerically modeled in 3D, using the spectral element method. It is shown that topographic effects can cause local signal amplitude reductions, but also signal amplification along the travel path of the seismic wave. The comparison of simulations with and without topography reveals that the reduction and amplification are spatially linked to the shape of the topography, which could be an explanation for the relatively high signal amplitude observed at TNS.
Finally, the reduction of the impact of wind turbines on seismic measurements using borehole installations is studied using 2D numerical models. Possible effects of the seismic velocity, attenuation, and layering of the subsurface are demonstrated. Results show that a borehole can be very effective in reducing the observed high-frequency signals emitted by wind turbines. However, a borehole might not be beneficial if signals with frequencies of about 1 Hz (or lower) are of interest, due significant wavelength-dependent effects. The estimations of depth-dependent amplitudes with a layered subsurface are validated with existing data from wind-turbine-induced signals measured at the top and bottom of two boreholes.
The experimental analysis of measurements conducted at wind farms and the advances of modeling such signals improve the understanding of the propagation of wind-farm induced seismic wave fields. Furthermore, the methods developed in this work have a high potential of universal application to the prediction of signal amplitudes at seismometers close to wind farms with arbitrary layout and geographic location.
The goal of limited area models (LAMs) is to downscale coarse-gridded general circulation model output to represent small-scale features of weather and climate. The LAM needs information from the driving coarse-gridded model passing through its lateral boundaries. The treatment of this information transfer causes inconsistencies between driving and nested models and, subsequently, issues in regional weather and climate simulations. This work examines errors arising from choices taken by the modeler (temporal update frequency of boundary data, spatial resolution jump, and numerical lateral boundary formulation) systematically in an idealized simulation environment. So-called Big-Brother Experiments were performed with the LAM COSMO-CLM (0.11° grid spacing). A baroclinic wave in a zonal channel was simulated over flat terrain with and without a Gaussian hill. The results reveal that the quality of the driving data, here represented by simulations only differing from the LAM simulations by reduced spatial resolution, dominates the performance of the nested model. Consequently, at the simulated mesoscale, the performance of the nested small-scale model simulations is weakly sensitive to the numerical lateral boundary formulation (Davies relaxation or the newly implemented, computationally less demanding Mesinger Eta-model formulation). The performance sensitivity to boundary update frequency and resolution jump is small when at least 6-hourly updates and a resolution jump factor of maximally six is used. Gaussian hill LAM simulations illustrated the strength of downscaling; they can represent small-scale features missing in the coarse-scale driving simulations. In the idealized simulation experiments, spectral nudging is not advisable as it imprints the driving models deficits on the nested simulation.
In recent years, many European cities have developed strategies to improve the quality of urban life by reducing car traffic and increasing the attractiveness of alternative modes and the built environment for residents. Frequently, at least in German cities, improvements to the cycling infrastructures play a key role in this transformation of urban spaces. One of those transformative interventions took place in 2020 in Frankfurt am Main (Germany). The city redesigned an arterial road close to the city centre, the Friedberger Landstrasse, by converting two car lanes to bicycle lanes. It is the aim of this study to analyse the effects of this change on the quality of urban life of its residents using a quantitative before-and-after study. The results demonstrate the expected improvements in the perceived quality of urban life for residents after the intervention. A more detailed analysis, however, shows that the residents’ perceptions vary according to their own mode use on the Friedberger Landstrasse and other sociodemographic characteristics. Thus, better cycling infrastructure does not only improve conditions for cyclists, but also contributes to a higher quality of urban life for residents and, therefore, improves the liveability of a city in two ways. We conclude that local transport policies are not only relevant for a modal shift, but also for the quality of urban life and, thus, related urban development strategies.
The overarching goal of the thesis was to create a holistic predictive framework, a vegetation model, by improving the representations of and interactions between the biosphere, hydrosphere, atmosphere and pedosphere. Vegetation models rep- resent a crucial component of Earth system model since the properties of the land surface, via interactions with the atmosphere, can have extremely large climatic effect. Yet, there remains great uncertainty associated with the dynamics of the vegetated land surface. Various vegetation models have been critiqued for numerous reasons including overly simplistic representations of vegetation, prescribed vegetation, poor representations of diversity, inaccurate representations of competition, non-transparent model calibration, and poor responses to drought. The purpose of the creation of this "next generation" model was to address deficiencies common to current vegetation modelling paradigms.
The representation of the biosphere within this framework was improved via two separate development axes. First, ecological realism was improved by integrating concepts from community assembly theory, co-existence theory, and evolutionary theory. Explicitly, rather than defining teleonomic rules to define plant behaviour the process of natural selection is modelled. By modelling the pro- cess of natural selection and its affect on relative fitness, myriad "rules" which continually adapt to biotic and abiotic conditions "come out" as a consequence of the modelled dynamics rather than being "put in". In aDGVM2 (adaptive Dynamic Global Vegetation model 2) communities of plants and their trait values evolve through time, this evolution is constrained by trade-offs between traits. Poorly performing individuals are more likely to die and produce fewer copies of themselves, this results in a filtering of trait values. Further, the community and species’ trait values can evolve through successive generations via reproduction, mutation and crossover which we approximate by using a genetic optimisation algorithm. Thus, a plant community consisting of individuals and species with potentially novel and diverse trait values is assembled iteratively through time.
We tested the assertion that improved integration of concepts from community assembly, evolutionary, and co-existence theory could address limitations of DGVMs in Chapter 2. We demonstrated that such an approach does indeed allow diverse communities of plants to emerge from the modelling framework. We showed that the position of the emergent communities in trait space differed along abiotic gradients and that, in simulations where reproductive isolation was simulated, communities emerged which were composed of multiple co-existing clusters in trait-space. Simulated trait values of co-existing strategies emerging from aDGVM2 were often multimodal, indicative of the emergence of multiple life- history strategies.
Second, to successfully model how natural selection forms a community requires accurate representation of how resource availability affects fitness. In the majority of dynamic global vegetation models (DGVMs) there is no real representation of plant hydraulics with plant water availability being calculated as a simple function of relative soil moisture content and root fractions across a number of soil layers. Worryingly, a number vegetation models appear to under represent the magnitude of these observed responses to drought. This was deficiency was ad- dressed in Chapter 3 by designing a simplified version of the cohesion tension theory of sapwood ascent where elements determining plant conductances are considered in series and implementing a set of trait trade-offs which influence a plant’s hydraulic strategy whereby hydraulic safety trades-off against xylem and leaf conductivity.
Interactions between the biosphere, pedosphere, and hydrosphere can also potentially mediate water resource availability and thus fitness. In the majority of DGVMs the volume of soil explored and explorable by plant roots in fixed glob- ally and usually constrained to a depth not greater than 3m. However, we know that soils can have a strong effect on vegetation distributions, that soil depth is not constant globally, and that plants root to variable depths.
In Chapter 4 I explored interactions between soil depth, plant rooting and the emergent properties of communities and highlighted the importance of considering interactions between the biosphere, hydrosphere, pedosphere, and fire. Here I demonstrated that, in addition to fire and precipitation, edaphic constraints on the volume of soil explorable by plant roots (e.g. by shallow soils, lateritic layers, anoxic conditions due to water logging, toxicity resulting from heavy metal concentrations) can affect the process of plant community assembly, alter the mean values of multiple traits in communities, and the trait diversity of communities.
...
Auf Basis ethnographischer Feldforschung untersucht der Beitrag den Zusammenhang zwischen prekären Wohnverhältnissen und der Entstehung politischer Kollektivität unter Mieter*innen. Theoretisch-konzeptionell knüpft er dabei an Debatten der kritischen Stadtforschung zu Verdrängungsprozessen, Forschungsarbeiten zu Prekarisierung sowie poststrukturalistisch inspirierte Perspektiven der sozialen Bewegungsforschung an. Empirisch ist der Blick gerichtet auf die Lebensrealitäten von Bewohner*innen einer Frankfurter Vonovia-Wohnsiedlung. Gefragt wird danach, wie Mieter*innen ihre Wohnsituation in Anbetracht drohender Mieterhöhungen infolge von Modernisierungsarbeiten wahrnehmen, welche Bedeutung sie der Wohnungsfrage zuschreiben und welche sozialräumlichen Bedingungen, Handlungspraktiken und diskursiven Deutungsmuster die Entwicklung einer kollektiven politischen Handlungsfähigkeit erschweren.
Late Paleozoic (Variscan) magmatism is widespread in Central Europe. The Lusatian Block is located in the NE Bohemian Massif and it is part of the Saxothuringian Zone of the Variscan orogen. It is bordered by two major NW-trending shear zones, the Intra-Sudetic Fault Zone towards NE and the Elbe Fault Zone towards SW. The scarce Variscan igneous rocks of the Lusatian Block are situated close to these faults. We investigated 19 samples from Variscan plutonic and volcanic rocks of the Lusatian Block, considering all petrological varieties (biotite-bearing granites from the Koenigshain and Stolpen plutons, amphibole-bearing granites from three boreholes, several volcanic dykes, and two volcanites from the intramontane Weissig basin). We applied whole-rock geochemistry (18 samples) and zircon evaporation dating (19 samples). From the evaporation data, we selected six representative samples for additional zircon SHRIMP and CA–ID–TIMS dating. For the Koenigshain pluton, possible protoliths were identified using whole-rock Nd-isotopes, and zircon Hf- and O-isotopes. The new age data allow a subdivision of Variscan igneous rocks in the Lusatian Block into two distinct magmatic episodes. The spatial relation of the two age groups to either the Elbe Fault Zone (298–299 Ma) or the Intra-Sudetic Fault Zone (312–313 Ma) together with reports on the fault-bound character of the dated intrusions suggests an interpretation as two major post-collisional faulting episodes. This assumption of two distinct magmatic periods is confirmed by a compilation of recently published zircon U–Pb CA–ID–TIMS data on further Variscan igneous rocks from the Saxothuringian Zone. New geochemical data allow us to exclude a dominant sedimentary protolith for the Koenigshain pluton as supposed by previous investigations. This conclusion is mainly based on new O- and Hf-isotope data on zircon and the scarcity of inherited zircons. Instead, acid or intermediate igneous rocks are supposed as the main source for these I-type granitoids from the Koenigshain pluton.
Climate controls the broad-scale distribution of vegetation and change in climate will alter the vegetation distribution, biome boundaries, biodiversity, phenology and supply of ecosystem services. A better understanding of the consequences of climate change is required, particularly in under-investigated regions such as tropical Asia, i.e., South and South-east Asia, which is a host to 7 of the 36 global biodiversity hotspots. Conservation strategies would also require an in-depth understanding of the response of vegetation to climate change. Therefore, the main objective of this thesis was to investigate the impact of climate change and rising CO2 vegetation in tropical Asia. Dynamic global vegetation model (DGVMs) are the well-known tools to investigate vegetation-climate interactions and climate change impacts on ecosystems. In this thesis, I used a complex trait-based DGVM called adaptive dynamic vegetation model version 2 (aDGVM2).
In Chapter 1, I presented a brief background of the phytogeography and discussed the exiting knowledge gap on vegetation-climate interactions in the region. One major disadvantage for available DGVMs studies for the tropical Asia is that most of them have used fixed plant functional types (PFTs) and do not explicitly represent the distinct varieties of vegetation type of the region such as Asian savannas. In Chapter 2, I discussed at great length to improve DGVMs for South Asia and discussed ways to include them in the model for better representation of region vegetation-climate interaction.
I upgraded the current version of aDGVM2 and added a new vegetation type i.e., C3 grasses, and modified the sub-module to simulate photosynthesis for each individual plants to aDGVM2. In chapter 3, I used this updated version of aDGVM2 to simulate the current and future vegetation distribution in South Asia under RCP4.5 and RCP8.5 (RCP: representative concentration pathway). The model predicted an increase in biomass, canopy cover, and tree height under the presence of CO2 fertilization, which triggered transitions towards tree-dominated biomes by the end of the 21st century under both RCPs. I found that vegetation along the Western Ghats and the Himalayas are more susceptible to change due to climate change and open biomes such as grassland and savanna are prone to woody encroachment.
In Chapter 4, the study domain was extended to include South-east Asia to verify if the model configuration used in Chapter 3 can also simulate vegetation patterns in tropical Asia. The aDGVM2 simulations showed a robust trend of increasing vegetation biomass and transitions from small deciduous vegetation to taller evergreen vegetation across most of tropical Asia. Shifts in plant phenology also affect ecosystem carbon cycles and ecosystem feedback to climate, yet the quantification of such impacts remains challenging. The study showed increased biomass due to CO2 fertilization, indicates that the region can remain a carbon sink given there is no other resource limitation. However, nutrient limitations on CO2 fertilization effects were not included in the study, and carbon sink potential has to be seen with caution.
In Chapter 5, I focused on Asian savannas, which have been mismanaged since the colonial era due to misinterpretation as a degraded forest. I proposed a biome classification scheme to distinguish between degraded forest or woodland and savanna based on the abundance of grass biomass and canopy cover. I found that considering vegetation systems as woodland or degraded forest could easily be mistaken as a potential for forest restoration within a tree-centric perspective. This would put approximately 35% to 40% of a unique savanna biome at risk. Although projected woody encroachments may imply a transition toward the forest that benefits climate mitigation. This raises potential conflicts of interest between biodiversity conservation in open ecosystems, i.e., savanna and active afforestation, to enhance carbon sequestration. Proper management strategies should be taken into account to maintain a balance for both objective
In conclusion, the model predicted that vegetation in South and South-East Asia would significantly shift towards tree-dominated biomes due to CO2-induced fertilization of C3-photosynthesis. The simulation under fixed CO2 and rising CO2 scenarios clearly showed that rising level of atmospheric CO2 is responsible for most of the predicted change in biome properties. This study is an important step towards understanding ecosystems of South and Southeast Asia, specifically savannas. The aDGVM2 can serve as tools to inform decision making for climate adaptation and mitigation for savanna. The thesis, thus contributes to our ability to improve conservation strategies to mitigate the consequences of climate change.
Reconstructing Oligocene–Miocene paleoelevation contributes to our understanding of the evolutionary history of the European Alps and sheds light on geodynamic and Earth surface processes involved in the development of Alpine topography. Despite being one of the most intensively explored mountain ranges worldwide, constraints on the elevation history of the European Alps remain scarce. Here we present stable and clumped isotope measurements to provide a new paleoelevation estimate for the mid-Miocene (∼14.5 Ma) European Central Alps. We apply stable isotope δ–δ paleoaltimetry to near-sea-level pedogenic carbonate oxygen isotope (δ18O) records from the Northern Alpine Foreland Basin (Swiss Molasse Basin) and high-Alpine phyllosilicate hydrogen isotope (δD) records from the Simplon Fault Zone (Swiss Alps). We further explore Miocene paleoclimate and paleoenvironmental conditions in the Swiss Molasse Basin through carbonate stable (δ18O, δ13C) and clumped (Δ47) isotope data from three foreland basin sections in different alluvial megafan settings (proximal, mid-fan, and distal). Combined pedogenic carbonate δ18O values and Δ47 temperatures (30±5 ∘C) yield a near-sea-level precipitation δ18Ow value of ‰ and, in conjunction with the high-Alpine phyllosilicate δD value of ‰, suggest that the region surrounding the Simplon Fault Zone attained surface elevations of >4000 m no later than the mid-Miocene. Our near-sea-level δ18Ow estimate is supported by paleoclimate (iGCM ECHAM5-wiso) modeled δ18O values, which vary between −4.2 ‰ and −7.6 ‰ for the Northern Alpine Foreland Basin.
Reconstructing Oligocene-Miocene paleoelevation contributes to our understanding of the evolutionary history of the European Alps and sheds light on geodynamic and Earth’s surface processes involved in the development of Alpine topography. Despite being one of the most intensively explored mountain ranges worldwide, constraints on the elevation history of the European Alps, however, remain scarce. Here we present stable and clumped isotope geochemistry 15 measurements to provide a new paleoelevation estimate for the mid-Miocene (~14.5 Ma) European Central Alps. We apply stable isotope δ-δ paleoaltimetry on near sea level pedogenic carbonate oxygen isotope (δ18O) records from the Northern Alpine Foreland Basin (Swiss Molasse Basin) and high-Alpine phyllosilicate hydrogen isotope (δD) records from the Simplon Fault Zone (Swiss Alps). We further explore Miocene paleoclimate and paleoenvironmental conditions in the Swiss Molasse Basin through carbonate stable (δ18O, δ13C) and clumped (Δ47) isotope data from three foreland basin sections in different 20 alluvial megafan settings (proximal, mid-fan, and distal). Combined pedogenic carbonate δ18O values and Δ47 temperatures (30 ± 5°C) yield a near sea level precipitation δ18Ow value of -5.8 ± 0.2‰ and in conjunction with the high-Alpine phyllosilicate δD record suggest that the region surrounding the SFZ attained surface elevations of >4000 m no later than the mid-Miocene. Our near sea level δ18Ow estimate is supported by paleoclimate (iGCM Echam5-wiso) modeled δ18O values, which vary between -4.2 and -7.6‰ for the Northern Alpine Foreland Basin.
In many parts of the world, the centralized grid provides energy to the population only to a limited extent. The electrification for sub-Saharan Africa countries is the lowest in the world, representing half of the world's population withoutelectricity. However, during the last years there has been an increased attention to rural areas in the Global South beyond the centralised grid, especially with respect to improved possibilities of solar power systems. The transition from one dominant form of energy provision to various alternatives includes different dimensions and depends on specific socio-spatial contexts. Energy systems are framed within systems of spatial practices, performed by a variety of involved actors, like consumers, local suppliers, international for-profit companies, international development donors as well as national and regional authorities. As such power systems arealways cause and effect of socio-technical change This study takes the example of Rwanda to analyse the marketization of decentralised energy systems. Based on empirical field work with energy entrepreneurs it combines Post-Colonial Theory with Science and Technology-Studies to theorise the role of energy to the social production of space beyond the grid.
Container-breeding Aedes spp. (Diptera: Culicidae) mosquitoes can be surveilled at low cost using ovitraps. Hence, this method is a preferred monitoring approach of dengue vectors in low-resource settings. The ovitraps consist of a cup filled with water and an oviposition substrate for female mosquitoes. The attractiveness of the substrates for female mosquitoes can greatly differ due to differences in texture, color, and smell of the materials used. We compare four oviposition substrates, which are all low priced, easy to transport, and easy to purchase, to maximize the success of Aedes egg sampling. Sampled egg material is often reared to adulthood for further taxonomic identification and transported to (international) laboratories for specialized vector research. Here we introduce a transport technique for sampled eggs. In addition, we explored the impact of international transport by means of a bilateral hatching experiment in Nepal, the country of origin, and in Germany, in a laboratory specialized in ecophysiological research. The best low-cost oviposition substrate for the dengue vectors Aedes albopictus (Skuse) and Aedes aegypti (L.) was found to be a white cotton sheet. The introduced transport technique of sampled eggs is easy to build from laboratory and household materials and ensures good transport conditions (i.e., temperature and relative humidity). Even under good temperature (17.4–31.0 °C) and humidity conditions (58.9–94.2%), hatching success of eggs was found to be reduced after international transport to Germany when compared to the hatching success of eggs in Nepal. We postulate that air pressure during international transport may have reduced the hatching success and strongly recommend pressure-regulated transport boxes for egg transport via airplane. As the proposed operation procedure is useful in assisting the monitoring of Ae. albopictus and Ae. aegypti in low-resource settings, Aedes researchers are encouraged to follow it for the sampling and transport of Aedes eggs.
In Germany, a grave labor shortage in the nursing and elderly care sectors has prompted the response of recruiting skilled nursing staff from abroad in recent years. This article analyzes these recruitment practices as forms of “migration management”: German migration policy has changed according to this paradigm to attempt utilitarian control over migration processes and mediate between labor market concerns on the one hand and isolationist, politico-cultural seclusion on the other. Based on original research through interviews and document analysis, we identify four relevant levels of analysis in researching migration management in the context of the recruitment of skilled nurses: (1) Definition of problem areas: How is migration programmatically legitimized as a solution to social problems? (2) Categorization of migration: How are migration processes classified? (3) Change in statehood: How are sites and actors of migration control being privatized and diversified? (4) Technologies: By means of which procedures, legal foundations and political instruments does migration management take place in the everyday? We believe that taking these four foci as points of departure would be beneficial for further inquiries in critical migration research.
Eisbildende Prozesse sind für die Wolkenbildung von großer Bedeutung und haben erhebliche Auswirkungen auf das Wetter und Klima der Erde, indem sie den Strahlungsantrieb und die Niederschlagsbildung beeinflussen. In den mittleren Breiten entsteht der meiste Niederschlag in sogenannten Mischphasenwolken (MPC), welche sowohl aus unterkühlten Wolkentröpfchen als auch aus Eiskristallen bestehen. Bei Temperaturen zwischen 0°C und -38°C erfolgt die Bildung von Eiskristallen in MPC in Gegenwart von Aerosolpartikeln, die als sogenannte Eiskeime (INP) die Fähigkeit besitzen, auf ihrer Oberfläche Eis zu nukleieren. Trotz der großen wissenschaftlichen Fortschritte in den letzten Jahrzehnten, weist der heterogene Eisbildungsprozess, als einer der wichtigsten in der Atmosphäre auftretenden Aerosol-Wolken-Wechselwirkungsprozesse, immer noch große Unsicherheiten auf. Um zukünftige Klimavorhersagen und -projektionen in Modellen besser abbilden zu können, ist es somit notwendig den Wissensgrad der räumlichen und zeitlichen Heterogenität von INP in Bezug auf Herkunft, Anzahl und Zusammensetzung zu erhöhen. Im Zentrum dieser Arbeit steht der Eiskeimzähler FINCH (Fast Ice Nucleus Chamber), der für Labor- und Feldexperimente von der Johann Wolfgang Goethe-Universität in Frankfurt am Main entwickelt wurde. Durch das Mischen des Probenstroms mit einem warm-feuchten und einem kalten-trockenen Luftstrom wird eine Übersättigung in der in-situ Eiskammer erreicht, die benötigt wird, eisbildende Partikel zu aktivieren. Die aktivierten Partikel können beim Durchströmen der Kammer zu Wassertropfen oder Eiskristallen anwachsen. Am Ausgang der Kammer wird die Anzahl und Größe der Partikel durch die FINCH-Optik erfasst. Als grundlegender Schritt und aufbauend auf den Charakterisierungsmessungen von Frank (2017) wurden in der vorliegenden Arbeit die Leistung, die Zuverlässigkeit sowie die Reproduzierbarkeit von FINCH in Validierungsexperimenten im Labor überprüft. Im Zuge dessen wurden heterogene Gefrierexperimente mit definierten Referenzaerosolproben (bspw. K-Feldspat) bei wasserübersättigten Bedingungen und verschiedenen Gefriertemperaturen durchgeführt. Für den Großteil der erzielten Resultate konnte eine zufriedenstellende Übereinstimmung mit Literaturwerten von anderen INP-Messinstrumenten aus der ganzen Welt erzielt werden. Es zeigte sich, dass die Leistungsfähigkeit von FINCH messtechnische Limitationen für Messexperimente bei Temperaturen >-10°C und <-30°C aufweist, was eine Einschränkung des Messbereichs bedeutet. Hinsichtlich der Quantifizierung des Unsicherheitsbereiches des Messgerätes in Bezug auf Temperatur und relativer Feuchte bedarf es im Nachgang an dieser Arbeit weiterer Charakterisierungsmessungen. Im Rahmen der Ice Nuclei Research Unit (INUIT) Forschergruppe wurde FINCH mit einem gepumpten Gegenstrom-Impaktor PCVI und dem online Einzelpartikel-Massenspektrometer ALABAMA gekoppelt. Diese spezielle Messmethodik dient zur chemischen und mikrophysikalischen Charakterisierung der INP und der Eispartikelresiduen (IPR). Der Fokus lag zunächst darauf die Funktionalität des gekoppelten Messsystems im Labor zu überprüfen. Ausführliche Charakterisierungsmessungen zeigten unter eisübersättigten und unterkühlten Bedingungen, dass das Prinzip der Trennung der INP von nicht-aktivierten Aerosolen und unterkühlten Tropfen hinter FINCH durch den PCVI funktioniert. Ebenso konnten erste quantitative Aussagen zur chemischen Zusammensetzung der IPR getroffen werden. Es zeigte sich, dass bei den Aktivierungsexperimenten ein geringer Anteil an Partikeltypen metallischer Art von ALABAMA detektiert wurden, der nicht dem untersuchten Aerosoltyp zugeordnet werden konnte. Der Ursprung dieser Kontamination konnte im Rahmen dieser Arbeit nicht abschließend geklärt werden und bedarf weiterer Validierungsmessungen im Labor. Atmosphärische Eiskeimkonzentrationen wurden im Rahmen von Feldmesskampagnen an der Hochalpinen Forschungsstation Jungfraujoch (JFJ) in den Schweizer Alpen und am Campus Riedberg der Johann Wolfgang Goethe-Universität in Frankfurt am Main untersucht. Hier konnten erste Erfahrungen mit Außenluftmessungen bezüglich der Leistungsfähigkeit und der Nachweisgrenze (LOD) des Messgerätes gesammelt werden. Durch den Einfluss der freien Troposphäre am JFJ waren die Messungen hauptsächlich von aerosolpartikelarmer Luft mit einer geringen Anzahl von Eiskeimen geprägt, so dass sich die gemessenen INP-Konzentrationen oftmals unter die Nachweisgrenze von FINCH fielen. Unter Einsatz eines Aerosolkonzentrators konnte die Detektionseffizienz verbessert und das LOD herabgesetzt werden. Am JFJ wurden die INP im Mittel bei einer Temperatur von -23°C und einem Wassersättigungsverhältnis von 107% beprobt. Die mediane (mittlere) INP-Konzentration inklusive LOD lag bei 2,1 (3,3) sL-1 und oberhalb des LOD bei 3,1 (4,5) sL-1. Ein Vergleich mit den Messungen am Campus Riedberg unter annähernd gleichen Bedingungen resultiert in ähnlichen Konzentrationen.
Chondrules are thought to play a crucial role in planet formation, but the mechanisms leading to their formation are still a matter of unresolved discussion. So far, experiments designed to understand chondrule formation conditions have been carried out only under the influence of terrestrial gravity. In order to introduce more realistic conditions, we developed a chondrule formation experiment, which was carried out at long-term microgravity aboard the International Space Station. In this experiment, freely levitating forsterite (Mg2SiO4) dust particles were exposed to electric arc discharges, thus simulating chondrule formation via nebular lightning. The arc discharges were able to melt single dust particles completely, which then crystallized with very high cooling rates of >105 K h−1. The crystals in the spherules show a crystallographic preferred orientation of the [010] axes perpendicular to the spherule surface, similar to the preferred orientation observed in some natural chondrules. This microstructure is probably the result of crystallization under microgravity conditions. Furthermore, the spherules interacted with the surrounding gas during crystallization. We show that this type of experiment is able to form spherules, which show some similarities with the morphology of chondrules despite very short heating pulses and high cooling rates.
In order to gain further insights into early solar system aggregation processes, we carried out an experiment on board the International Space Station, which allowed us to study the behavior of dust particles exposed to electric arc discharges under long-term microgravity. The experiment led to the formation of robust, elongated, fluffy aggregates, which were studied by scanning electron microscopy, electron backscatter diffraction, and synchrotron micro-computed tomography. The morphologies of these aggregates strongly resemble the typical shapes of fractal fluffy-type calcium-aluminum-rich inclusions (CAIs). We conclude that a small amount of melting could have supplied the required stability for such fractal structures to have survived transportation and aggregation to and compaction within planetesimals. Other aggregates produced in our experiment have a massy morphology and contain relict grains, likely resulting from the collision of grains with different degrees of melting, also observed in some natural CAIs. Some particles are surrounded by igneous rims, which remind in thickness and crystal orientation of Wark–Lovering rims; another aggregate shows similarities to disk-shaped CAIs. These results imply that a (flash-)heating event with subsequent aggregation could have been involved in the formation of different morphological CAI characteristics.
The formation of terrestrial planets was a complex process which begun in the very early stage of the Solar System in the protoplanetary disk (PPD). Chondrites are fragments of planet precursors, which have never experienced differentiation and can help to reconstruct the first processes leading to planet formation. The main components of chondrites are chondrules, calcium-aluminum-rich inclusions (CAIs), amoeboid olivine aggregates (AOAs), metals and fine-grained material. Each of these components formed by a complex mechanism involving aggregation and/or melting. Previous research has already provided an overall view of the formation of these objects, however, there are still open questions regarding the aggregation behavior of particles, the heating mechanism(s) and the thermal history of CAIs, AOAs and chondrules. For instance, the involvement of flash-heating events and electrostatics in the aggregation and melting of these objects has been a keen topic of discussion.
The aim of this doctoral thesis was to develop and carry out an experiment to study various early Solar System processes under long-term microgravity. In the project with the acronym EXCISS (Experimental Chondrule Formation aboard the ISS), free-floating, 126(23)µm-sized Mg2SiO4 dust particles were exposed to electric fields and electric discharges.
The experimental set-up was installed inside a 10x10x15 cm3-sized container and consisted of an arc generation unit connected to the sample chamber, a camera with an optical system, a power supply unit with lithium-ion batteries and the EXCISS mainboard with a Raspberry Pi Zero and mass storage devices. The sample chamber was manufactured from quartz glass and the experiments were filmed. The complete experiment container was subsequently returned to the Goethe University and the samples were analyzed with scanning electron microscopy, electron backscatter diffraction and synchrotron micro-CT.
Video analysis has shown that particles, which were agitated by electric discharges, align in chains within the electric field with their longest axis parallel to the electric field lines. Consequently, electric fields could have influenced the inner structure and porosity of particle aggregates in the PPD.
The discharge experiments produced fused aggregates and individual melt spherules.
The fused aggregates share many morphological characteristics with natural fluffy-type CAIs and some igneous CAIs found in chondrites. Consequently, CAIs could have formed by the aggregation of particles with various degrees of melting. Further, a small amount of melting could have supplied the required stability for such fractal structures to have survived transportation and aggregation to, and subsequent compaction within, developing planetesimals.
Some initial particles were completely melted by the arc discharges and formed melt spherules. The newly formed olivines crystallized with a preferred orientation of the [010] axis perpendicular to the surface of the spherule. Similar preferred orientations have been found in natural chondrules. However, the microstructure differs from the results of previous experiments on Earth, which show, for example, crystal settling on one side of the sample because of the influence of gravity. Furthermore, the melt spherules show evidence for an interaction of the melt with the surrounding hot gas. Therefore, microgravity experiments with more advanced experimental parameters bear great potential for future chondrule formation experiments.
The organisation of parking is a key challenge to more sustainable mobility in urban areas, as its pricing and availability affect the rates of private car ownership and use. However, changing parking policies is a challenging issue for local politicians and planners because residents frequently oppose changes or restrictions to conditions they have taken for granted such as on-street parking in a public space. The aim of this paper is firstly to assess how the parking policy of an urban neighbourhood can be structured to contribute to more sustainable mobility and to increase liveability in the neighbourhood. The second aim is to apply the policies reviewed to an example neighbourhood. For this purpose, we systematically reviewed academic literature and identified five types of relevant parking policies: (i) maximum parking requirements, (ii) physical detachment of residence and parking space, (iii) residential parking permits and the limitation of available parking space, (iv) performance-based pricing and (v) parking as a demand management strategy. We discovered that most research focuses on econometric models about parking and that studies rarely address the effects of parking on the quality of life in neighbourhoods. Therefore, we need further research regarding the relationship of parking and liveability. We conclude that for the implementation of such parking policies in an example neighbourhood, the municipality needs to develop a mobility vision for its city. It has to understand parking as a tool for transportation demand management to increase the acceptance of parking policy concepts and to avoid spillover problems. Finally, in the German case, as in most other countries, states and municipalities need to redesign their legal frameworks to be able to manage parking supply better and to react to changes related to digital developments and parking. The findings have implications for other European neighbourhoods regarding the transfer from research to local circumstances and applications for the whole city.
Support for innovative on-street parking policies: empirical evidence from an urban neighborhood
(2020)
Municipalities and planners often hesitate to implement restrictive parking policies because residents regularly oppose any changes to on-street parking space. Residential parking is one key factor of parking management because its location and availability influence a household's car ownership and use. Moreover, as more residents regularly use other means of transportation that need space and infrastructure in the urban realm, and as parking takes up a vast amount of land, municipalities are considering the reuse of on-street parking space for other purposes. As public acceptability is a precondition for the successful implementation of a proposed policy, our empirical analysis investigates to what extent residents support restrictive and demand-oriented on-street parking policies in the dense, highly urbanized neighborhood of Frankfurt-Bornheim, Germany (N = 1027). Surprisingly, despite some variations, the majority of the residents in our survey are in favor of the policy options suggested. Support for the demand-oriented policies (extension of bicycle infrastructure, improved sharing supply and mobility hubs, neighborhood garages, and improved public transit supply) is higher than the acceptance of the restrictive policies, and of policies that are a combination of restrictive and demand-oriented policies. However, surprisingly, a majority is still in favor of many of these (extension of parking fees and parking restrictions, and reuse of parking space for better livability). Furthermore, we classify residents who live in a household with private cars into the stage model of self-regulated behavior change to analyze their intention towards a reduction in private car use. Results from linear regression analyses indicate that residents who have intentions to change their behavior towards car use reduction assess the policy options more similarly to car-free households and regular bike users, and not like the other car-owning households. The findings suggest that while the residents support financial-related policies the least, they are more receptive towards parking policies than policy makers and planners assume if the reuse of parking lots creates space for other users or if it increases the quality of life, for instance, by adding bike lanes, wider sidewalks or greenery. Hence, a combination of restrictive and demand-oriented on-street parking policies results in high acceptance among residents, and the communication from municipalities regarding the implementation of the different policies needs to vary depending on the kind of household.
The infrastructure for parking and parked cars themselves (e.g., parked cars blocking bike lanes and sidewalks or the visibility range) can lead to conflicts for pedestrians and cyclists. The perception of conflicts could discourage walking and cycling in neighborhoods and undermine municipalities’ efforts to provide more sustainable urban mobility. The aim of this study was therefore to analyze the effect of on-street car parking in urban neighborhoods on perceived parking and traffic-related conflicts. In addition, it examines in what way the intention to reduce one’s car use influences the perception of the conflicts (Stage Model of Self-Regulated Behavior Change (SSBC)). A household survey was conducted in the inner-city neighborhood of Frankfurt-Bornheim, Germany (N=1027). The residents most often observed the conflicts in which parked cars impeded walking and cycling as well as situations in which pedestrians felt threatened by cyclists biking on the sidewalk. Results from multiple linear regression models revealed that the influencing factors for the perception of conflicts were the use of different means of transportation and the intention to change one’s behavior (SSBC model) to reduce car use rather than car ownership. In addition, a resident’s age and household structure seemed to affect awareness of conflicts in which pedestrians and cyclists were involved. The results suggest a group-serving bias, meaning that the residents mostly observed those conflicts that they did not cause. A separate infrastructure for pedestrians and cyclists could help prevent most of the conflicts described in this study.
The endemic argan tree (Argania spinosa) populations in southern Morocco are highly degraded due to overbrowsing, illegal firewood extraction and the expansion of intensive agriculture. Bare areas between the isolated trees increase due to limited regrowth; however, it is unknown if the trees influence the soil of the intertree areas. Hypothetically, spatial differences in soil parameters of the intertree area should result from the translocation of litter or soil particles (by runoff and erosion or wind drift) from canopy-covered areas to the intertree areas. In total, 385 soil samples were taken around the tree from the trunk along the tree drip line (within and outside the tree area) and the intertree area between two trees in four directions (upslope, downslope and in both directions parallel to the slope) up to 50 m distance from the tree. They were analysed for gravimetric soil water content, pH, electrical conductivity, percolation stability, total nitrogen content (TN), content of soil organic carbon (SOC) and C/N ratio. A total of 74 tension disc infiltrometer experiments were performed near the tree drip line, within and outside the tree area, to measure the unsaturated hydraulic conductivity. We found that the tree influence on its surrounding intertree area is limited, with, e.g., SOC and TN content decreasing significantly from tree trunk (4.4 % SOC and 0.3 % TN) to tree drip line (2.0 % SOC and 0.2 % TN). However, intertree areas near the tree drip line (1.3 % SOC and 0.2 % TN) differed significantly from intertree areas between two trees (1.0 % SOC and 0.1 % TN) yet only with a small effect. Trends for spatial patterns could be found in eastern and downslope directions due to wind drift and slope wash. Soil water content was highest in the north due to shade from the midday sun; the influence extended to the intertree areas. The unsaturated hydraulic conductivity also showed significant differences between areas within and outside the tree area near the tree drip line. This was the case on sites under different land usages (silvopastoral and agricultural), slope gradients or tree densities. Although only limited influence of the tree on its intertree area was found, the spatial pattern around the tree suggests that reforestation measures should be aimed around tree shelters in northern or eastern directions with higher soil water content or TN or SOC content to ensure seedling survival, along with measures to prevent overgrazing.
The endemic argan tree (Argania spinosa) populations in South Morocco are highly degraded due to overbrowsing, illegal firewood extraction and the expansion of intensive agriculture. Bare areas between the isolated trees increase due to limited regrowth, but show lower soil quality than their neighbouring tree areas. Hypothetically, spatial differences of soil quality of the intertree area should result from translocation of litter or soil particles (by runoff and erosion or wind drift) from canopy-covered areas to the intertree areas. 385 soil samples were taken around the tree from the trunk along the tree drip line (within and outside the tree area) as well as the intertree area between two trees in four directions (upslope, downslope and in both directions parallel to the slope) and analysed for soil moisture, pH, electrical conductivity, percolation stability, total nitrogen content, content of soil organic carbon and C/N ratio. 74 tension-disc infiltrometer experiments were performed near the tree drip line, within and outside the tree area, to measure the unsaturated hydraulic conductivity. We found that the tree influence on its surrounding intertree area is limited, with e.g., Corg- & N-content decreasing significantly from tree trunk to tree drip line. However, intertree areas near the tree drip line differed significantly from intertree areas between two trees, yet only with a small effect. Trends for spatial patterns could be found in eastern and downslope directions due to wind drift and slope wash. Soil moisture was highest in the north due to shade from the midday sun, the influence extended to the intertree areas. The unsaturated hydraulic conductivity also showed significant differences between areas within and outside the tree area near the tree drip line. Although only limited influence of the tree on its intertree area was found, the spatial pattern around the tree suggests that reforestation measures should be aimed around tree shelters in northern or eastern directions with higher soil moistures, N- or Corg-content to ensure seedling survival.