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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.
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.
Questions: Both species turnover and intraspecific trait variation can affect plant assemblage dynamics along environmental gradients. Here, we asked how community assemblage patterns in relation to species turnover and intraspecific variation differ between endemic and non-endemic species. We hypothesized that endemic species show lower intraspecific variation than non-endemic species because they tend to have high rates of in situ speciation, whereas non-endemic species are expected to have a larger gene pool and higher phenotypic plasticity.
Location: La Palma, Canary Islands.
Methods: We established 44 sampling sites along a directional gradient of precipitation, heat load, soil nitrogen, phosphorus and pH. Along this gradient, we estimated species abundances and measured three traits (plant height, leaf area and leaf thickness) on perennial endemic and non-endemic plant species. In total, we recorded traits for 1,223 plant individuals of 43 species. Subsequently, we calculated community-weighted mean traits to measure the relative contribution of species turnover, intraspecific variation and their covariation along the analysed gradient.
Results: The contribution of intraspecific variation to total variation was similar in endemic and non-endemic assemblages. For plant height, intraspecific variation explained roughly as much variation as species turnover. For leaf area and leaf thickness, intraspecific variation explained almost no variation. Species turnover effects mainly drove trait responses along the environmental gradient, but intraspecific variation was important for responses in leaf area to precipitation.
Conclusions: Despite their distinct evolutionary history, endemic and non-endemic plant assemblages show similar patterns in species turnover and intraspecific variation. Our results indicate that species turnover is the main component of trait variation in the underlying study system. However, intraspecific variation can increase individual species’ fitness in response to precipitation. Overall, our study challenges the theory that intraspecific trait variation is more important for the establishment of non-endemic species compared with endemic species.
Positive plant–plant interactions are thought to drive vegetation patterns in harsh environments, such as semi-arid areas. According to the stress-gradient hypothesis (SGH), the role of positive interactions between species (facilitation) is expected to increase with harshness, predicting associated variation in species composition along environmental gradients. However, the relation between stress and facilitation along environmental gradients is debated. Furthermore, differentiating facilitative interactions from other underlying mechanisms, such as microtopographic heterogeneity, is not trivial. We analysed the spatial co-occurrence relationships of vascular plant species that form patchy vegetation in arid lapilli fields (tephra) from recent volcanic eruptions on La Palma, Canary Islands. Assuming a harshness gradient negatively correlated with elevation because the lower elevations are more arid and water availability is considered the most limiting resource, and that an outcome of facilitation is plants co-occurring in the same patch, from the SGH we expected a greater degree of co-occurrence at lower elevation. We tested this at both the species and the individual plant level. We analysed the species composition of 1277 shrubby vegetation patches at 64 different sampling points, ranging from the coast to around 700 m a.s.l. Patch morphology and microtopographic heterogeneity variables were also measured, to account for their potential effects on the species composition of patches. We used generalized linear models and generalized mixed-effects models to analyse species richness, number of individuals in patches and percentage of patches with positive co-occurrences, and a pairwise co-occurrence analysis combined with a graphical network analysis to reveal positive links between 13 of the species. We found that the percentage of patches with positive co-occurrences increased at higher elevations, in contrast to the predictions of the SGH, but in accordance with a refined stress-gradient hypothesis for arid sites, in which characteristics of the interacting species are incorporated.
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.
This thesis is focusing on the impact of Paratethys and Mediterranean water bodies over the Eurasian climate and the interplay between climate, tectonics and biosphere during the late Miocene. This target was the interval between 12.7 and 7.65 Ma for Paratethys, following the Eastern Paratethys restriction and isolation, and 7.2−6.5 Ma (the early Messinian) in Mediterranean, zooming on the effects of gateway restrictions over the eastern Mediterranean and the new born Aegean domain. In both cases restriction is overlapping with large scale climatic changes and tectonic reconfiguration, leading a sort of symbiotic relationship.
Paratethys was a giant epicontinental sea that covered a large part of Eurasia since Paleogene. Due to the Eurasia-Afro-Arabia collision and formation of the Alpine-Himalayan belt (Rögl, 1999; Popov et al., 2006), the Paratethys was divided during the late Miocene in smaller basins that in time were isolated of each other. The protracted isolation and intense continentalisation of paratethyan realm led to changes in humidity distribution, basin connectivity, sediment sources and salinity. These changes had in turn major consequences over water circulation, water availability, vegetation cover and biota. These changes are more intense after 11.6 Ma, when the Eastern Paratethys lost any sustained marine connection, evolving into an enclosed system with endemic fauna (Harzhauser and Piller, 2007).
Mediterranean Sea is a Mezozoic oceanic relic squeezed between Africa, Europe, Anatolia and Arabia, as Africa continued to subduct beneath the European plate. As opposed to Paratethys, it maintained the open connection with the ocean until Messinian, when the two Atlantic gateways (Betic and Rifian corridors) closed for a short time, isolating the basin. The cut off resulted in a dramatic drop down and onset of evaporitic precipitation in marginal basins, the event receiving the name of Messinian Salinity Crisis (5.97−5.55). The restriction affected all marine ecosystems, due to changes in salinity and stratification of water column.
The main objectives of this thesis were:
(1) build valid paleo-temperatures records for both basins based on biomarkers;
(2) reconstruct the hydrology for the late Miocene time interval;
(3) identify vegetation composition and changes;
(4) identify paleo-fires in the late Miocene sediment records;
(5) identify the biotic response to the overall climate and tectonic changes.
All the above objectives were attained with results published in specific journals (Chapters 5−7).
Based on Panagia section (Taman Peninsula, Russia) the longest Paratethys temperature record was completed (~5 Myr), covering the interval between 12.7 and 7.65 Ma. A comprehensive SST and MAT records was obtained, as well as soil pH and carbon (δ13C) and hydrogen (δ2H) stable isotopic compositions on n-alkanes and alkenones. The main findings are concentrated around three prolonged periods with severe droughts affecting the late Miocene circum-Paratethys region peaking at 9.65, 9.4 and 7.9 Ma, associated with a transition towards open land vegetation, intensification of fire activity and enhanced evaporation and aridity.
The time intervals with dryer conditions recorded in Panagia coincide with periods of mammal turnover and dispersal in Eurasia indicating that major environmental changes occurred in the circum-Paratethys region and Paratethys fragmentation had a great impact on the terrestrial ecosystems, when periods of prolonged droughts generated biotic crises and animal displacements across the Eurasian continent. The δ13CC29n-alkane values and charcoal morphologies from Panagia indicate an increased contribution of C4 plants adapted to drier conditions at 9.66 Ma. Similarly high δ13CC29n-alkane values continue until 9.4 Ma, when in Western Europe increased seasonality accelerated the demise of the evergreen subtropical woodlands and expansion of grasslands from Anatolia and Middle East to Europe.
As a result of basin fragmentation and climatic stress, the Eastern Paratethys sub-basins progressively lost their marine properties and turned into brackish-fresh water bodies fed primarily by riverine input. The shallower areas became in time emerged, obstructing connections and isolating the biota, inducing rapid adjusting or extinctions. Thus, the Paratethys harbored a highly endemic fauna (Rögl, 1999), such as dwarf whales, dolphins, seals (among mammals), as well as fish and other taxa (mollusks, ostracods, diatoms, foraminifera, algae, etc.).
Collectively the data structured and analyzed in chapter five support a model in which the Eastern Paratethys evolved as a largely (en)closed system, registering paleoenvironmental signals that are governed by interbasinal connectivity (or lack of it) and regional climate changes in the basin catchment. Acting as an important source of humidity for Western and Central Asia, the size and areal extent of the Paratethys water body is likely to have had a major impact on hydroclimate patterns in the Eurasian interior, with the cumulative fluctuations in both hydrology and surface temperature enhancing the aridity and seasonality, with different partition of moisture over the year. Our combined data suggests a decoupling of Paratethys from the global system as isolation advanced, dominated by regional tectonics and ultimately the Paratethys volume and areal extent reduction.
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).
Melting inside earth is a common phenomenon and can be observed in many different regions where melt travels through the mantle and crust to eventually reach the surface where it crystallizes to build large volcanic provinces, whole stratigraphic layers of flood basalts, or even the oceanic crust. Often, melt reaching the surface is a good source of information. It can be used to achieve a better understanding about processes taking place in deeper regions inside the mantle and it is therefore essential to fundamentally understand melting and melt percolation processes. In order to achieve a deeper understanding, the aim of this thesis is to investigate processes that are connected to melting by using numerical models.
The physical model used is a so called two-phase flow model which describes the ability of melt to percolate through a viscously deforming, partially molten matrix. A famous feature of two-phase flow are solitary porosity waves, which are waves of locally higher porosity ascending through a partially molten background, keeping its shape constant, driven by decompaction and compaction of the solid matrix in front and behind the wave.
The viscosity law for shear- and volume viscosity was strongly simplified in most previous studies that modeled solitary waves. Often the porosity dependency is underestimated or its influence on the volume viscosity is even neglected, leading to too high viscosities. In this work more realistic laws are used that strongly decrease for small melt fractions. Those laws are incorporated into a 2D Finite Difference mantle convection code with two-phase flow to study the ascent of solitary porosity waves.
The model results show that an initial Gaussian-shaped wave rapidly evolves into a solitary wave with a certain amplitude, traveling upwards with constant velocity. Even though strongly weaker viscosities are used, the effect on dispersion curves and wave shape are only minor as long as the background porosity is rather small. The results are still in agreement to semi-analytical solutions which neglect shear stresses in the melt segregation equation. Higher background porosities and wave amplitudes lead to significant decrease in phase velocity and wave width, as the viscosity is strongly effected. However, the models show that solitary waves are still a possible mechanism for more realistic matrix viscosities.
While the ascending of porosity waves are mostly described by the movement of fluid melt, partially molten regions inside Earth trigger upwelling of both, solid and fluid phases, which can be called diapirism. While diapirs can have a wide variety of wavelengths, porosity waves are restricted to a few times the compaction length. The size of a melt perturbation in terms of compaction length therefore describes whether material is transported by diapirism or porosity waves. In this thesis we study the transition from diapiric rise to solitary porosity waves by systematically changing the size of a porosity perturbation from 1.8 to 120 times the compaction length. In case of a perturbation of the size of a few times the compaction length a single porosity wave will emerge, either with a positive or negative vertical matrix flux and if melt is not allowed to move relative to the matrix a diapir will emerge. In between these physical end members a regime can be observed where the partially molten perturbation will split up into numerous solitary waves, whose phase velocity is low compared to the Stokes velocity and the swarm of solitary waves will ascend jointly as a diapir, slowly elongating due to a higher amplitude main solitary wave.
Solitary waves will always emerge from a melt perturbation as long as two-phase flow is enabled, but the time for a solitary wave to emerge increases non-linearly with the perturbation radius in terms of compaction length. In nature, in many cases this time might be too long for solitary waves to emerge.
Another important feature when it comes to two-phase flow is the transport of trace elements in melt. Incompatible elements prefer to go into the melt, which eventually enriches the area where it crystallizes again. In order to model this redistribution, the code FDCON was extended to allow for fully consistent transport of elements in melt, including melting, freezing and re-equilibration with time. A 2D model, a simple representation of a volcanic back arc, is set up to investigate the behavior of trace elements. The influence of retention number and re-equilibration time is examined. Lava-lamp like convection can be observed in the lower part of the model, producing melt, that eventually leads to enrichment in trace elements in the upper high-viscous layer. The total enrichment in this layer approaches an asymptotic value and a 0D model is introduced to recreate this behavior.
Cratonic eclogite is the product of oceanic crust subduction into the subcontinental lithospheric mantle, and it also is a fertile diamond source rock. In contrast to matrix minerals in magma-borne xenoliths, inclusions in diamond are shielded from external fluids, retaining more pristine information on the state of the eclogite source at the time of encapsulation. Vanadium is a multi-valent element and a widely used elemental redox proxy. Here, we show that that xenolithic garnet has lower average V abundances than garnet inclusions. This partly reflects crystal-chemical controls, whereby higher average temperatures recorded by inclusions, accompanied by enhanced Na2O and TiO2 partitioning into garnet, facilitate V incorporation at the expense of clinopyroxene. Unexpectedly, although diamond formation is strongly linked to metasomatism and xenoliths remained open systems, V concentrations are similar for bulk eclogites reconstructed from inclusions and from xenoliths. This suggests an oxygen-conserving mechanism for eclogitic diamond formation, and implies that eclogite is an efficient system to buffer fO2 over aeons of lithospheric mantle modification by subduction-derived and other fluids.
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.
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.
Previous investigation of seismic anisotropy indicates the presence of a simple mantle flow regime beneath the Turkish-Anatolian Plateau and Arabian Plate. Numerical modeling suggests that this simple flow is a component of a large-scale global mantle flow associated with the African superplume, which plays a key role in the geodynamic framework of the Arabia-Eurasia continental collision zone. However, the extent and impact of the flow pattern farther east beneath the Iranian Plateau and Zagros remains unclear. While the relatively smoothly varying lithospheric thickness beneath the Anatolian Plateau and Arabian Plate allows progress of the simple mantle flow, the variable lithospheric thickness across the Iranian Plateau is expected to impose additional boundary conditions on the mantle flow field. In this study, for the first time, we use an unprecedented data set of seismic waveforms from a network of 245 seismic stations to examine the mantle flow pattern and lithospheric deformation over the entire region of the Iranian Plateau and Zagros by investigation of seismic anisotropy. We also examine the correlation between the pattern of seismic anisotropy, plate motion using GPS velocities and surface strain fields. Our study reveals a complex pattern of seismic anisotropy that implies a similarly complex mantle flow field. The pattern of seismic anisotropy suggests that the regional simple mantle flow beneath the Arabian Platform and eastern Turkey deflects as a circular flow around the thick Zagros lithosphere. This circular flow merges into a toroidal component beneath the NW Zagros that is likely an indicator of a lateral discontinuity in the lithosphere. Our examination also suggests that the main lithospheric deformation in the Zagros occurs as an axial shortening across the belt, whereas in the eastern Alborz and Kopeh-Dagh a belt-parallel horizontal lithospheric deformation plays a major role.
Wildfire is the most common disturbance type in boreal forests and can trigger significant changes in forest composition. Waterlogging in peatlands determines the degree of tree cover and the depth of the burnt horizon associated with wildfires. However, interactions between peatland moisture, vegetation composition and flammability, and fire regime in forest and forested peatland in Eurasia remain largely unexplored, despite their huge extent in boreal regions. To address this knowledge gap, we reconstructed the Holocene fire regime, vegetation composition, and peatland hydrology at two sites located in predominantly light taiga (Pinus sylvestris Betula) with interspersed dark taiga communities (Pinus sibirica, Picea obovata, Abies sibirica) in western Siberia in the Tomsk Oblast, Russia. We found marked shifts in past water levels over the Holocene. The probability of fire occurrence and the intensification of fire frequency and severity increased at times of low water table (drier conditions), enhanced fuel dryness, and an intermediate dark-to-light taiga ratio. High water level, and thus wet peat surface conditions, prevented fires from spreading on peatland and surrounding forests. Deciduous trees (i.e. Betula) and Sphagnum were more abundant under wetter peatland conditions, and conifers and denser forests were more prevalent under drier peatland conditions. On a Holocene scale, severe fires were recorded between 7.5 and 4.5 ka with an increased proportion of dark taiga and fire avoiders (Pinus sibirica at Rybnaya and Abies sibirica at Ulukh–Chayakh) in a predominantly light taiga and fire-resister community characterised by Pinus sylvestris and lower local water level. Severe fires also occurred over the last 1.5 kyr and were associated with a declining abundance of dark taiga and fire avoiders, an expansion of fire invaders (Betula), and fluctuating water tables. These findings suggest that frequent, high-severity fires can lead to compositional and structural changes in forests when trees fail to reach reproductive maturity between fire events or where extensive forest gaps limit seed dispersal. This study also shows prolonged periods of synchronous fire activity across the sites, particularly during the early to mid-Holocene, suggesting a regional imprint of centennial- to millennial-scale Holocene climate variability on wildfire activity. Humans may have affected vegetation and fire from the Neolithic; however, increasing human presence in the region, particularly at the Ulukh–Chayakh Mire over the last 4 centuries, drastically enhanced ignitions compared to natural background levels. Frequent warm and dry spells predicted by climate change scenarios for Siberia in the future will enhance peatland drying and may convey a competitive advantage to conifer taxa. However, dry conditions will probably exacerbate the frequency and severity of wildfire, disrupt conifers' successional pathway, and accelerate shifts towards deciduous broadleaf tree cover. Furthermore, climate–disturbance–fire feedbacks will accelerate changes in the carbon balance of boreal peatlands and affect their overall future resilience to climate change.
Wildfire is the most common disturbance type in boreal forests and can trigger significant changes in forest composition. Waterlogging in peatlands determines the degree of tree cover and the depth of the burning horizon associated with wildfires. However, interactions between peatland moisture, vegetation composition and flammability, and fire regime in forested peatland in Eurasia remain largely unexplored, despite their huge extent in boreal regions. To address this knowledge gap, we reconstructed the Holocene fire regime, vegetation composition and peatland hydrology at two sites in Western Siberia near Tomsk Oblast, Russia. The palaeoecological records originate from forested peatland areas in predominantly light taiga (Pinus-Betula) with increase in dark taiga communities (Pinus sibirica, Picea obovata, Abies sibirica) towards the east. We found that the past water level fluctuated between 8 and 30 cm below the peat surface. Wet peatland conditions promoted broadleaf trees (Betula), whereas dry peatland conditions favoured conifers and a greater forest density (dark-to-light-taiga ratio). The frequency and severity of fire increased with a declining water table that enhanced fuel dryness and flammability and at an intermediate forest density. We found that the probability of intensification in fire severity increased when the water
level declined below 20 cm suggesting a tipping point in peatland hydrology at which wildfire regime intensifies. On a Holocene scale, we found two scenarios of moisture-vegetation-fire interactions. In the first, severe fires were recorded 45 between 7.5 and 4.5 ka BP with lower water level and an increased proportion of dark taiga and fire avoiders (Pinus sibirica at Rybanya and Abies sibirica at Ulukh Chayakh) mixed into the dominantly light taiga and fire-resister community of Pinus
sylvestris. The second occurred over the last 1.5 ka and was associated with fluctuating water tables, a declining abundance of fire avoiders, and an expansion of fire invaders (Betula). These findings suggest that frequent high-severity fires can lead to compositional and structural changes in forests when trees fail to reach reproductive maturity between fire events or where extensive forest gaps limit seed dispersal. This study also shows prolonged periods of synchronous fire activity across the sites, particularly during the early to mid-Holocene, suggesting a regional imprint of centennial to millennial-scale Holocene climate
variability on wildfire activity. Increasing human presence in the region of the Ulukh-Chayakh Mire near Teguldet over the last four centuries drastically enhanced ignitions compared to natural background levels. Frequent warm and dry spells predicted for the future in Siberia by climate change scenarios will enhance peatland drying and may convey a competitive advantage to conifer taxa. However, dry conditions, particularly a water table decline below the threshold of 20 cm, will probably exacerbate the frequency and severity of wildfire, disrupt conifers’ successional pathway and accelerate shifts towards more fire-adapted broadleaf tree cover. Furthermore, climate-disturbance-fire feedbacks will accelerate changes in the carbon balance of forested boreal peatlands and affect their overall future resilience to climate change.
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.
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.
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.
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.
Frankfurt ist Knotenpunkt globaler Güter-, Finanz-, Wissens- und Migrationsbewegungen. Die Arbeitsmärkte und -verhältnisse in der Stadt sind Ausdruck einer globalen Verwobenheit, die diskursiv oft mit dem Label der ›Global City‹ markiert wird. In einer Zeit, in der Arbeit als Feld der Produktion und Reproduktion weitreichenden Transformationsprozessen ausgesetzt ist, in der das sogenannte Normalarbeitsverhältnis zunehmend erodiert, in der Arbeitsverhältnisse oft räumlich, sozial und zeitlich entgrenzt und flexibilisiert sind und in der gut bezahlte Jobs und schlecht- bezahlte, teils prekarisierte Formen der Beschäftigung koexistieren – zum Teil im gleichen Betrieb –, muss es Aufgabe wirtschaftsgeographischer Forschung sein, die Lebenswelten von Arbeitenden in einer räumlichen Perspektive zu beleuchten. Genau dies will der vorliegende Band tun. Er versammelt engagierte, theoretisch gesättigte und empirisch geerdete Beiträge von Studierenden des Instituts für Humangeographie, die einen kritischen Blick auf die Formen, Praktiken, Beziehungen und gesellschaftliche Einbettung von Arbeit in unterschiedlichen Branchen in der ›Global City‹ Frankfurt werfen.
Wohnungs‐ und Büroimmobilienmärkte unter Stress: Deregulierung, Privatisierung und Ökonomisierung
(2009)
The modern precipitation balance in southeastern (SE) Brazil is regulated by the South American summer Monsoon and threatened by global climate change. On glacial-interglacial timescales, monsoon intensity was strongly controlled by precession-forced changes in insolation. To date, relatively little is known about the spatiotemporal distribution of tropical precipitation in SE Brazil and the resulting variability of fluvial discharge on glacial-interglacial timescales. Here, we present X-ray diffraction-derived mineralogical data for the 150–70 ka period (marine isotope stage (MIS) 6 to MIS 5) from the Doce River basin. This area was sensitive to changes in monsoonal precipitation intensity due to its proximity to the South Atlantic Convergence Zone. The data, obtained from a marine sediment core (M125-55–7) close to the Doce river mouth (20°S), show pronounced changes in the Doce River suspension load’s mineralogical composition on glacial-interglacial and precessional timescales. While the ratio of silicates to carbonates displays precession-paced changes, the mineralogical composition of the carbonate-free fraction discriminates between two assemblages which strongly vary between glacial and interglacial time scales, with precession-forced variability only visible in MIS 5. The first assemblage, dominated by high contents of kaolinite and gibbsite, indicates intensified lowland erosion of mature tropical soils. The second one, characterized by higher contents of the well-ordered illite, quartz and albite, points to intensified erosion of immature soils in the upper Doce Basin. High kaolinite contents in the silicate fraction prevailed in late MIS 6 and indicate pronounced lowland soil erosion along a steepened topographic gradient. The illite-rich mineral assemblage was more abundant in MIS 5, particularly during times of high austral summer insolation, indicating strong monsoonal rainfall and intense physical erosion in the upper catchment. When the summer monsoon weakened in times of lower insolation, the mineral assemblage was dominated by kaolinite again, indicative of lower precipitation and runoff in the upper catchment and dominant lowland erosion.
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.
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.
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.
This article aims to show that a perspective that understands urban protests as a conflict between two or more interest-driven actors falls short. For a more comprehensive analysis, the complex fabric of multiple power-laden discourses, processes, networks and spatial conditions in which such conflicts are embedded must be taken into account. To this end, this article adopts an assemblage perspective. Taking the protests around the inner-city marina Port Vell in Barcelona as an example, this perspective is used to elaborate the various spatial conditions that shape this conflict.
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.
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.
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.
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.
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.
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.
Diamant hat besondere physikalische und optische Eigenschaften sowie eine starke Resistenz gegenüber Strahlenschädigung. Diese Eigenschaften ermöglichen eine vielfältige Anwendung von Diamant in Wissenschaft und Technik, wie zum Beispiel als Sensormaterial in Strahlungsdetektoren.
Kubisches Zirconiumdioxid (ZrO2) wird aufgrund seiner mechanisch und optisch ähnlichen Eigenschaften unter anderem an Stelle von Diamant eingesetzt. Es ist ebenfalls ein geeignetes Material für viele technische Anwendungen und wird durch seine Strahlenresistenz in Strahlungsumgebungen verwendet. Da beide Materialien in diesem Anwendungsbereich hoher energetischer Strahlung ausgesetzt sind, sind Reaktionen auf die Bestrahlung wie etwa strukturelle Veränderungen oder die Änderungen von Materialeigenschaften von großem Interesse.
In der vorliegenden Arbeit wurde die Morphologie, Struktur und physikalischen Eigenschaften von Diamant und Yttriumoxid-stabilisiertem kubischem ZrO2 nach der Bestrahlung mit 14 MeV Au-Ionen und 1.6 GeV Au-Ionen untersucht. Die durch die Bestrahlung verursachten Veränderungen der Oberflächen und der bestrahlten Volumina wurden mit diversen komplementären analytischen Methoden charakterisiert, bewertet und für die verschiedenen Materialien und Ionenenergien verglichen.
Mittels Röntgenfluoreszenzmessungen wurde die Verteilung und Menge an implantiertem Au semi-quantitativ ermittelt. Die Oberflächen der Proben wurden mit optischer Mikroskopie, Rasterkraftmikroskopie, Rasterelektronenmikroskopie, Röntgenreflektometrie und Elektronenrückstreubeugung untersucht. Strukturelle Veränderungen wurden mit Raman-Spektroskopie analysiert. Der elektrische Widerstand, die Dichte, die Härte sowie das Ätzverhalten der bestrahlten Proben wurden ermittelt und geben Auskunft über die Änderung physikalischer Eigenschaften der Materialien.
Diamant und kubisches ZrO2 reagieren sehr unterschiedlich auf die Bestrahlung mit Au-Ionen gleicher Energien und Fluenzen. Die Diamantproben zeigen nach der Bestrahlung mit 14 MeV Au-Ionen deutliche Veränderungen und Schädigungen der Oberfläche sowie des bestrahlten Volumens. Es wird eine Änderung der Struktur, der Dichte, der Härte, des elektrischen Widerstands sowie des Ätzverhaltens der Proben beobachtet, was auf die Amorphisierung von Diamant zurückgeführt wird. Kubisches ZrO2 ist deutlich strahlungsresistenter gegenüber der Bestrahlung mit 14 MeV Au-Ionen. Es werden keine signifikanten strukturellen Änderungen im getesteten Fluenzbereich beobachtet.
Die mit 1.6 GeV Au-Ionen bestrahlten Diamanten zeigen nur geringe Schädigungen und keine deutliche Änderung der Struktur oder der physikalischen Eigenschaften. Die kubischen ZrO2 Proben sind als Folge der Bestrahlung mit 1.6 GeV Au-Ionen zerbrochen, was auf hohe interne Spannung durch Defektbildung zurückgeführt wird.
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.
The future of work has become a pressing matter of concern: Researchers, business consultancies, and industrial companies are intensively studying how new work models could be best implemented to increase workplace flexibility and creativity. In particular, the agile model has become one of the “must-have” elements for re-organizing work practices, especially for technology development work. However, the implementation of agile work often comes together with strong presumptions: it is regarded as an inevitable tool that can be universally integrated into different workplaces while having the same outcome of flexibility, transparency, and flattened hierarchies everywhere. This paper challenges such essentializing assumptions by turning agile work into a “matter of care.” We argue that care work occurs in contexts other than feminized reproductive work, namely, technology development. Drawing on concepts from feminist Science and Technology Studies and ethnographic research at agile technology development workplaces in Germany and Kenya, we examine what work it takes to actually keep up with the imperative of agile work. The analysis brings the often invisibilized care practices of human and nonhuman actors to the fore that are necessary to enact and stabilize the agile promises of flexibilization, co-working, and rapid prototyping. Revealing the caring sociotechnical relationships that are vital for working agile, we discuss the emergence of power asymmetries characterized by hierarchies of skills that are differently acknowledged in the daily work of technology development. The paper ends by speculating on the emancipatory potential of a care perspective, by which we seek to inspire careful Emancipatory Technology Studies.
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 ...
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.
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.
Metal artifacts from the Paleometal Epoch (ca. 1100 BC–400 AD) of the Primorye (Russian Far East) have shed new light on the introduction of the earliest bronzes into the Pacific coastal areas of prehistoric Eurasia. However, little is known about raw material circulation and the role of metal in the context of inter-regional exchange. This paper investigates 12 copper artifacts from major Paleometal settlements using alloy composition, trace elements, and lead isotopes to explore the metal sources and distribution networks. The results suggest that most objects are made of a copper-tin alloy, but some have arsenic as a significant minor element . Geologically, copper is unlikely to have come from local ore sources, but rather from the Liaoxi corridor and Liaodong Peninsula in Northeast China. This may indicate an inland route of metal trade across Northeast China or alternately, a coastal route via the northern Korean Peninsula. Archaeologically, the combined study of artifact typology and chemistry indicates two possible origins for the metal: the Upper Xiajiadian culture in Northeast China and Slab Grave culture in Mongolia/Transbaikal. Remarkably, the connection with Upper Xiajiadian communities parallels the transport route along which millet agriculture spread from Northeast China to the Primorye during the Neolithic.
Community trait assembly in highly diverse tropical rainforests is still poorly understood. Based on more than a decade of field measurements in a biodiversity hotspot of southern Ecuador, we implemented plant trait variation and improved soil organic matter dynamics in a widely used dynamic vegetation model (the Lund-Potsdam-Jena General Ecosystem Simulator, LPJ-GUESS) to explore the main drivers of community assembly along an elevational gradient. In the model used here (LPJ-GUESS-NTD, where NTD stands for nutrient-trait dynamics), each plant individual can possess different trait combinations, and the community trait composition emerges via ecological sorting. Further model developments include plant growth limitation by phosphorous (P) and mycorrhizal nutrient uptake. The new model version reproduced the main observed community trait shift and related vegetation processes along the elevational gradient, but only if nutrient limitations to plant growth were activated. In turn, when traits were fixed, low productivity communities emerged due to reduced nutrient-use efficiency. Mycorrhizal nutrient uptake, when deactivated, reduced net primary production (NPP) by 61–72% along the gradient. Our results strongly suggest that the elevational temperature gradient drives community assembly and ecosystem functioning indirectly through its effect on soil nutrient dynamics and vegetation traits. This illustrates the importance of considering these processes to yield realistic model predictions.
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.
Hydro-climatic causes of widespread floods in central Europe : on rain-on-snow and Vb-cyclone events
(2021)
The presented work investigates the hydro-meteorological and hydro-climatological drivers of widespread floods in Central Europe during the past century. Due to the strong seasonality of the detected flood drivers, the thesis is divided into two parts: the first part focuses on widespread winter floods and the second one on extreme summer floods. For analysing past flood events, we profited from the dynamically downscaled centennial ERA-20C reanalysis (continuously from 1901—2010). The downscaling was performed over Europe with a coupled regional atmosphere-ocean model (COSMO-CLM+NEMO) to represent the water cycle more realistic. These high resolution atmospheric data allowed us to study the four-dimensional atmospheric state during selected floods during the early decades of the 20th century for the first time with such a high temporal and spatial resolution.
During the winter half-year, the observed floods were particularly widespread. High peak discharges were recorded simultaneously in the Rhine, Elbe, and Danube catchments. Most of these trans-basin floods were compound events caused by rainfall during extensive snowmelt (i.e., rain-on-snow events). Interestingly, the winter flood time series exhibited a remarkable high flood frequency during the 1940s and 1980s, while other decades were flood-poor. We detected a synchronization of the inter-annual flood frequency with the superposition of the North Atlantic Oscillation (NAO) and the Scandinavian pattern (SCA). The negative NAO phase is often associated with large snowfall and cyclone tracks over southern Europe, while the negative SCA pattern correlates with total precipitation in the affected river catchments.
During the summer half-year, most extreme floods in Central Europe were caused by so-called Vb-cyclones propagating from the Mediterranean Sea north-eastward to Central Europe. So far in the literature, only a few Vb-events, which occurred during the past two decades, have been analysed. We extended the previous case studies by several past Vb-cyclone floods since 1900. We investigated the processes that intensify Vb-cyclone precipitation with Lagrangian moisture-source diagnostics and the parametric transfer entropy measure TE-linear. Overall, an enhanced and dynamically driven moisture uptake over the Mediterranean Sea was found to be characteristic for Vb-events with heavy precipitation. This is supported by high information exchange from evaporation over the western basin of the Mediterranean Sea towards heavy precipitation in the Odra catchment. The dominating moisture uptake regions during the investigated events were, however, the European continent and the North Sea. A possible cause could be the pre-moistening of non-saturated continental moisture sources upstream of the affected river catchments as indicated by significant information exchange from land surface evaporation and soil moisture content along the Vb-cyclone pathway. Besides, evaporation over the Mediterranean Sea might contribute to Vb-cyclone intensification in the early stages of their development through latent heat release. On the catchment scale, orographic rainfall and convective precipitation further enhance the flood triggering rainfall. As expected, the Vb-cyclones mainly trigger precipitation along west-east orientated mountain ranges such as the Alps or Ore mountains due to their meridional pathway. Remarkably, during summer, we detected a convective fraction of up to 90% during the afternoons of individual days and up to 23% on average (based on convective cell tracking and convection-permitting simulations of selected flood events since 1900).
The presented analyses deepened the knowledge on atmospheric and hydroclimatic drivers of widespread floods in Central Europe. This will serve as a basis for future studies on the predictability of floods induced by rain-on-snow and Vb-cyclone precipitation events in the context of a changing climate.
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.
U–Pb age spectra of detrital zircons related to the East European Platform could be traced in paragneiss through the whole Mid-German-Crystalline Zone (Variscides, Central Europe) from the Odenwald via the Spessart to the Ruhla crystalline forming an exotic unit between Armorica and Laurussia. The depositional ages of the paragneiss are defined by the youngest age of the detrital zircons and the oldest intrusion ages as Ordovician to Silurian. The Ediacaran dominated age spectrum of detrital zircons from the paragneiss of the East Odenwald suggests the latter to be derived from the shelf of the East European Platform (Baltica), which was influenced by the 1.5 Ga old detritus delivered from a giant intrusion (Mazury granitoid, Poland). The detrital zircon age spectrum of the lower Palaeozoic paragneiss of the East Odenwald and sandstone of the northern Holy Cross Mountains are identical. The pure Sveconorwegian spectrum of the lower Palaeozoic quartzite from the Spessart, (Kirchner and Albert Int J Earth Sci 2020) and the Ruhla (Zeh and Gerdes Gondwana Res 17:254–263, 2010) could be sourced from Bornholm and southern Sweden. A U–Pb age spectrum with 88% Palaeozoic detrital zircons from a volcano-sedimentary rock of the East Odenwald is interpreted to be derived from a Silurian magmatic arc (46%), which was probably generated during the drift of the Mid-German-Crystalline Zone micro-continent to the south. A tentative plate tectonic model of Mid-German-Crystalline Zone is presented taking into account (a) the East European Platform related age spectra of the detrital zircons (b) the Ordovician to Silurian depositional age of the metasediments (c) the Silurian and Early Devonian intrusion age of the plutonic and volcanic rocks and (d) the U–Pb ages of the Middle Devonian high-grade metamorphism. The East European Platform-related part of the Mid-German-Crystalline Zone is interpreted as a micro-continent, which drifted through the Rheic Ocean to the south and collided with the Saxothuringian (Armorican Terrane Assemblage) during the Early Devonian. Such large-scale tectonic transport from the northern continent to the southern continent is also known from the SW Iberia, where Laurussia-related metasediments of the Rheic suture zone are explained by a large scale tectonic escape (Braid et al. J Geol Soc Lond 168:383–392, 2011).
A massive occurrence of microbial carbonates, including abundant sponge remains, within the Devonian Elbingerode Reef Complex was likely deposited in a former cavity of the fore-reef slope during the early Frasnian. It is suggested that the formation of microbial carbonate was to a large part favored by the activity of heterotrophic, i.e., sulfate-reducing bacteria, in analogy to Quaternary coral reef microbialites. The Elbingerode Reef Complex is an example of an oceanic or Darwinian barrier reef system. In modern barrier reef settings, microbialite formation is commonly further facilitated by weathering products from the central volcanic islands. The Devonian microbialites of the Elbingerode Reef Complex occur in the form of reticulate and laminated frameworks. Reticulate framework is rich in hexactinellid glass sponges, the tissue decay of which led to the formation of abundant micrite as well as peloidal and stromatactis textures. Supposed calcimicrobes such as Angusticellularia (formerly Angulocellularia) and Frutexites, also known from cryptic habitats, were part of the microbial association. The microbial degradation of sponge tissue likely also contributed to the laminated framework accretion as evidenced by the occurrence of remains of so-called “keratose” demosponges. Further typical textures in the microbialite of the Elbingerode Reef Complex include zebra limestone, i.e., the more or less regular intercalation of microbial carbonate and cement. Elevated concentrations of magnesium in the microbialite as compared to the surrounding metazoan (stromatoporoid-coral) reef limestone suggests that the microbialite of the Elbingerode Reef Complex was initially rich in high-magnesium calcite, which would be yet another parallel to modern, cryptic coral reef microbial carbonates. Deposition and accretion of the microbialite largely occurred in oxygenated seawater with suboxic episodes as indicated by the trace element (REE + Y) data.
In partially molten regions inside the earth melt buoyancy may trigger upwelling of both solid and fluid phases, i.e. diapirism. If the melt is allowed to move separately with respect to the matrix, melt perturbations may evolve into solitary porosity waves. While diapirs may form on a wide range of scales, porosity waves are restricted to sizes of a few times the compaction length. Thus, the size of a partially molten perturbation controls whether a diapir or a porosity wave will emerge. We study the transition from diapiric rise to solitary porosity waves by solving the two-phase flow equations of conservation of mass and momentum in 2D with porosity dependent matrix viscosity. We systematically vary the initial size of a porosity perturbation from 1 to 100 times the compaction length. If the perturbation is much larger than a regular solitary wave, its Stokes velocity is large and therefore faster than the segregating melt. Consequently, the fluid is not able to form a porosity wave and a diapir emerges. For small perturbations solitary waves emerge, either with a positive or negative vertical matrix velocity inside. In between the diapir and solitary wave regimes we observe a third regime of solitary wave induced focusing of melt. In these cases, diapirism is dominant but the fluid is still fast enough to locally build up small solitary waves which rise slightly faster than the diapir and form finger like structures at the front of the diapir. In our numerical simulations the width of these fingers is controlled by the compaction length or the grid size, whichever is larger. In cases where the compaction length becomes similar to or smaller than the grid size the finger-like leading solitary porosity waves are no more properly resolved, and too big and too fast waves may be the result. Therefore, one should be careful in large scale two-phase flow modelling with melt focusing especially when compaction length and grid size are of similar order.