886 resultados para Explosion de Coulomb
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The molecular method is used to obtain nuclear electric quadrupole moment (NQM) values for hafnium through electric field gradients (EFGs) at this nucleus in HfO and HfS. Dirac-Coulomb calculations with the Coupled Cluster approach, DC-CCSD (T) and DC-CCSD-T, were carried out to achieve the most accurate estimates of these EFGs. Higher order corrections are also added. Hence, the most reliable values for 177Hf and 179Hf determined here are 3319(33) and 3750(37) mbarn, respectively, in nice accordance with the best currently accepted NQMs for this element. (C) 2012 Elsevier B.V. All rights reserved.
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The synthesis and photoluminescent properties of Ln(III)-thenoyltrifluoroacetonate and dibenzoylmethanate complexes (Ln = Eu(III) and Gd(III) ions) containing tertiary amides such as dimethylacetamide (DMA), dimethylformamide (DMF), and dimethylbenzamide (DMB) as neutral ligands are reported. The Ln complexes were characterized by elemental analysis, complexometric titration with EDTA, and infrared spectroscopy. Single-crystal X-ray structure data of the [Eu(DBM)(3).(DMA)] compound indicates that this complex crystallizes in the triclinic system, space group PT with the following cell parameters: a = 10.2580(3) angstrom, b = 10.3843(2) angstrom, c= 22.3517(5) angstrom, alpha = 78.906(2)degrees, beta = 78.049(2)degrees, lambda= 63.239(2)degrees, V= 2066.41(9) angstrom(3), and Z = 2. The coordination polyhedron for the Eu(III) complex may be described as an approximate C-2v distorted monocapped trigonal prism. The optical properties of the Eu(III) complexes were studied based on the intensity parameters and luminescence quantum yield (q). The values of the ohm(2) parameter of the Eu-DBM complexes are larger than those for the Eu-TTA complexes, indicating that the Eu(III) ion is in a more polarizable chemical environment in the former case. The geometries of the complexes have been optimized by using the Sparkle Model, and the results have been used to perform theoretical predictions of the ligand-to-metal energy transfer via direct and exchange Coulomb mechanisms. (C) 2012 Elsevier Ltd. All rights reserved.
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The electrical conductivity σ has been calculated for p-doped GaAs/Al0.3Ga0.7As and cubic GaN/Al0.3Ga0.7N thin superlattices (SLs). The calculations are done within a self-consistent approach to the k → ⋅ p → theory by means of a full six-band Luttinger-Kohn Hamiltonian, together with the Poisson equation in a plane wave representation, including exchange correlation effects within the local density approximation. It was also assumed that transport in the SL occurs through extended minibands states for each carrier, and the conductivity is calculated at zero temperature and in low-field ohmic limits by the quasi-chemical Boltzmann kinetic equation. It was shown that the particular minibands structure of the p-doped SLs leads to a plateau-like behavior in the conductivity as a function of the donor concentration and/or the Fermi level energy. In addition, it is shown that the Coulomb and exchange-correlation effects play an important role in these systems, since they determine the bending potential.
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The complex formed by the tetracycline (TC) molecule with the Mg ion is able to prevent the replication of the genetic material in the bacterial ribosome, making an excellent antibiotic. In general, the absorption and emission spectra of TC are very sensitive to the host ions and the pH of the solvent that the set is immersed. However, the theoretical absorption spectrum available in the literature is scarce and limited to simple models that do not consider the fluctuations of the liquid. Our aim is to obtain the electronic absorption spectrum of TC and the complex Mg:TC in the ratio 1:1 and 2:1. Moreover, we analyze the changes in intensity and shifts of the bands in the systems listed. We performed the simulation using the classical Monte Carlo technique with the Lennard-Jones plus Coulomb potential applied to each atom of the both TC molecule and the Mg:TC complexes in water. The electronic absorption spectrum was obtained from the time-dependent density functional theory using different solvent models. In general, we obtained a good qualitative description of the spectra when compared with the experimental results. The Mg atom shifts the first band by 4 nm in our models, in excellent agreement to the experimental result of 4 nm. The second absorption band is found here to be useful for the characterization of the position where the ion attaches to the TC.
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We present the results of experiments using a 6He beam on a 9Be target at energies 7 − 9 times the Coulomb barrier. Angular distributions of the elastic, inelastic scattering (target breakup) and the -particle production in the 6He+9Be collision have been analysed. Total reaction cross sections were obtained from the elastic scattering analyses and a considerable enhancement has been observed by comparing to stable systems.
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Neste artigo, vamos apresentar o desenvolvimento histórico dos conceitos dos potenciais vetor e quântico formulados, respectivamente, por Maxwell e Bohm. Em suas concepções iniciais, eles foram considerados apenas como um artifício matemático. Contudo, enquanto o potencial vetor já apresenta uma grande evidência experimental (efeito Aharonov-Bohm) sobre a sua interpretação física, o potencial quântico ainda aguarda a sua, muito embora esse efeito e alguns resultados teóricos sinalizem a sua existência física. Este artigo já foi publicado na revista MensAgitat vol.1(2),pp.93- 108(2006) da Academia Roraimense e Paraense de Ciências. Está sendo publicado novamente como e-print no IFUSP para que ele tenha uma divulgação mais ampla e mais ágil pela internet.
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Escasez de agua no necesariamente significa pobreza, como se dedcice de un análisis de áreas geográficas. Hay países relativamente ricos con escasos recursos hidricos y paises pobres con abundancia de agua dulce. La sociedad humana desarrollada dispone de recursos científicos, tecnicos, económicos, institucionales \; politicos para aáecuar la disponibilidad de agua a la demanda y viceversa, de un modo tendente a la sustentabilidad, siempre y cuando las actividades econornicas se modifiquen convenientemente y esa sustentabilidad sea un objetivo social deseado y participadc. El Archioiélago de Canarias esta en la región érida sahariana, aunque con ireas de pluviosidad relativamente elevada en sus vecientes septentrionales afectadas por la circulación de los vientos alisios y masas atlánticas de aire húmedo. La escasez de agua es algo bien asumido e internalizado en muchas de las áreas insulares canarias, en especial :ras la explosión demográfica del siglo XX. No por ello deja de ser una región europea ae economía aceptable y notablemente rica relativa al entorno geográfico próximo. La consecución de agua dulce es el resultado acumulado de un gran esfuerzo económico e imaginativo secular, con matices diferentes en cada isla y en cada parte de una misma isla. Sin embargo subsisten o han aparecido graves disfunciones a causa de la rapida evolución, arraigo de actividades agricolas no sustentables, debilidad insritucional y escasa participación ciudadana en la ~oliticad el agua a largo plazo, en un ambiente científico y técnico aiin por consolidar. No obstante. los logros en captaciór, de aguas subterraneas sor. espectaculares y el avance en desalinización y reutilización son m ~nyoto rios. ABSTRACT: relatively rich with scarce water resources and poor countries that have plenty of freshwater. A developed human society has scientific, technical, economic, institutional and policy resources to adapt water availability to demand, and vice versa, in a way that tends to sustainabílity. This needs modifying conveniently economic activities and making sustainability a wanted and participated social goal. The Archipelago of the Canaries is placed in the Sanaran dry belt, although there are some areas of relatively high rainfall in the north-facing slopes of the isiands, which intersect the circulation of trade winds and atlantic humid air masses. Water scarciTy is something well assumed and internalised in many of the areas of the Canaries, especially afier the demographic explosion of the XX century. But this does not imply poverty; actually it is an Eu8-opeanr egion wlth acceptable economic leve1 and notably rich respect the nearby geographical area. Freshwater wining is tne accumulated result of secular economic and imaginative efforts, which present differences from island to island and even incide the same island. Nowever some serious malfuncrions remain oí have appeared o'ue 10 the fast evolution, persistence of unsustainable agricultura1 activities 2nd still scarce public participation ir) long-term water policies. This happens in a scientific and iechnical environment which is stil! to be consolidated. However there are spectacular achievements in groundw~ter wining, and there are notorious progress in desalination and water reuse.
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The world of communication has changed quickly in the last decade resulting in the the rapid increase in the pace of peoples’ lives. This is due to the explosion of mobile communication and the internet which has now reached all levels of society. With such pressure for access to communication there is increased demand for bandwidth. Photonic technology is the right solution for high speed networks that have to supply wide bandwidth to new communication service providers. In particular this Ph.D. dissertation deals with DWDM optical packet-switched networks. The issue introduces a huge quantity of problems from physical layer up to transport layer. Here this subject is tackled from the network level perspective. The long term solution represented by optical packet switching has been fully explored in this years together with the Network Research Group at the department of Electronics, Computer Science and System of the University of Bologna. Some national as well as international projects supported this research like the Network of Excellence (NoE) e-Photon/ONe, funded by the European Commission in the Sixth Framework Programme and INTREPIDO project (End-to-end Traffic Engineering and Protection for IP over DWDM Optical Networks) funded by the Italian Ministry of Education, University and Scientific Research. Optical packet switching for DWDM networks is studied at single node level as well as at network level. In particular the techniques discussed are thought to be implemented for a long-haul transport network that connects local and metropolitan networks around the world. The main issues faced are contention resolution in a asynchronous variable packet length environment, adaptive routing, wavelength conversion and node architecture. Characteristics that a network must assure as quality of service and resilience are also explored at both node and network level. Results are mainly evaluated via simulation and through analysis.
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This Thesis is devoted to the study of the optical companions of Millisecond Pulsars in Galactic Globular Clusters (GCs) as a part of a large project started at the Department of Astronomy of the Bologna University, in collaboration with other institutions (Astronomical Observatory of Cagliari and Bologna, University of Virginia), specifically dedicated to the study of the environmental effects on passive stellar evolution in galactic GCs. Globular Clusters are very efficient “Kilns” for generating exotic object, such as Millisecond Pulsars (MSP), low mass X-ray binaries(LMXB) or Blue Straggler Stars (BSS). In particular MSPs are formed in binary systems containing a Neutron Star which is spun up through mass accretion from the evolving companion (e.g. Bhattacharia & van den Heuvel 1991). The final stage of this recycling process is either the core of a peeled star (generally an Helium white dwarf) or a very light almos exhausted star, orbiting a very fast rotating Neutron Star (a MSP). Despite the large difference in total mass between the disk of the Galaxy and the Galactic GC system (up a factor 103), the percentage of fast rotating pulsar in binary systems found in the latter is very higher. MSPs in GCs show spin periods in the range 1.3 ÷ 30ms, slowdown rates ˙P 1019 s/s and a lower magnetic field, respect to ”normal” radio pulsars, B 108 gauss . The high probability of disruption of a binary systems after a supernova explosion, explain why we expect only a low percentage of recycled millisecond pulsars respect to the whole pulsar population. In fact only the 10% of the known 1800 radio pulsars are radio MSPs. Is not surprising, that MSP are overabundant in GCs respect to Galactic field, since in the Galactic Disk, MSPs can only form through the evolution of primordial binaries, and only if the binary survives to the supernova explosion which lead to the neutron star formation. On the other hand, the extremely high stellar density in the core of GCs, relative to most of the rest of the Galaxy, favors the formation of several different binary systems, suitable for the recycling of NSs (Davies at al. 1998). In this thesis we will present the properties two millisecond pulsars companions discovered in two globular clusters, the Helium white dwarf orbiting the MSP PSR 1911-5958A in NGC 6752 and the second case of a tidally deformed star orbiting an eclipsing millisecond pulsar, PSR J1701-3006B in NGC6266
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Il presente studio ha avuto l’obiettivo di indagare la produzione di bioetanolo di seconda generazione a partire dagli scarti lignocellulosici della canna da zucchero (bagassa), facendo riscorso al processo enzimatico. L’attività di ricerca è stata svolta presso il Dipartimento di Ingegneria Chimica dell’Università di Lund (Svezia) all’interno di rapporti scambio con l’Università di Bologna. Il principale scopo è consistito nel valutare la produzione di etanolo in funzione delle condizioni operative con cui è stata condotta la saccarificazione e fermentazione enzimatica (SSF) della bagassa, materia prima che è stata sottoposta al pretrattamento di Steam Explosion (STEX) con aggiunta di SO2 come catalizzatore acido. Successivamente, i dati ottenuti in laboratorio dalla SSF sono stati utilizzati per implementare, in ambiente AspenPlus®, il flowsheet di un impianto che simula tutti gli aspetti della produzione di etanolo, al fine di studiarne il rendimento energetico dell’intero processo. La produzione di combustibili alternativi alle fonti fossili oggigiorno riveste primaria importanza sia nella limitazione dell’effetto serra sia nel minimizzare gli effetti di shock geopolitici sulle forniture strategiche di un Paese. Il settore dei trasporti in continua crescita, consuma nei paesi industrializzati circa un terzo del fabbisogno di fonti fossili. In questo contesto la produzione di bioetanolo può portare benefici per sia per l’ambiente che per l’economia qualora valutazioni del ciclo di vita del combustibile ne certifichino l’efficacia energetica e il potenziale di mitigazione dell’effetto serra. Numerosi studi mettono in risalto i pregi ambientali del bioetanolo, tuttavia è opportuno fare distinzioni sul processo di produzione e sul materiale di partenza utilizzato per comprendere appieno le reali potenzialità del sistema well-to-wheel del biocombustibile. Il bioetanolo di prima generazione ottenuto dalla trasformazione dell’amido (mais) e delle melasse (barbabietola e canna da zucchero) ha mostrato diversi svantaggi: primo, per via della competizione tra l’industria alimentare e dei biocarburanti, in secondo luogo poiché le sole piantagioni non hanno la potenzialità di soddisfare domande crescenti di bioetanolo. In aggiunta sono state mostrate forti perplessità in merito alla efficienza energetica e del ciclo di vita del bioetanolo da mais, da cui si ottiene quasi la metà della produzione di mondiale di etanolo (27 G litri/anno). L’utilizzo di materiali lignocellulosici come scarti agricolturali e dell’industria forestale, rifiuti urbani, softwood e hardwood, al contrario delle precedenti colture, non presentano gli svantaggi sopra menzionati e per tale motivo il bioetanolo prodotto dalla lignocellulosa viene denominato di seconda generazione. Tuttavia i metodi per produrlo risultano più complessi rispetto ai precedenti per via della difficoltà di rendere biodisponibili gli zuccheri contenuti nella lignocellulosa; per tale motivo è richiesto sia un pretrattamento che l’idrolisi enzimatica. La bagassa è un substrato ottimale per la produzione di bioetanolo di seconda generazione in quanto è disponibile in grandi quantità e ha già mostrato buone rese in etanolo se sottoposta a SSF. La bagassa tal quale è stata inizialmente essiccata all’aria e il contenuto d’acqua corretto al 60%; successivamente è stata posta a contatto per 30 minuti col catalizzatore acido SO2 (2%), al termine dei quali è stata pretrattata nel reattore STEX (10L, 200°C e 5 minuti) in 6 lotti da 1.638kg su peso umido. Lo slurry ottenuto è stato sottoposto a SSF batch (35°C e pH 5) utilizzando enzimi cellulolitici per l’idrolisi e lievito di birra ordinario (Saccharomyces cerevisiae) come consorzio microbico per la fermentazione. Un obiettivo della indagine è stato studiare il rendimento della SSF variando il medium di nutrienti, la concentrazione dei solidi (WIS 5%, 7.5%, 10%) e il carico di zuccheri. Dai risultati è emersa sia una buona attività enzimatica di depolimerizzazione della cellulosa che un elevato rendimento di fermentazione, anche per via della bassa concentrazione di inibitori prodotti nello stadio di pretrattamento come acido acetico, furfuraldeide e HMF. Tuttavia la concentrazione di etanolo raggiunta non è stata valutata sufficientemente alta per condurre a scala pilota un eventuale distillazione con bassi costi energetici. Pertanto, sono stati condotti ulteriori esperimenti SSF batch con addizione di melassa da barbabietola (Beta vulgaris), studiandone preventivamente i rendimenti attraverso fermentazioni alle stesse condizioni della SSF. I risultati ottenuti hanno suggerito che con ulteriori accorgimenti si potranno raggiungere gli obiettivi preposti. E’ stato inoltre indagato il rendimento energetico del processo di produzione di bioetanolo mediante SSF di bagassa con aggiunta di melassa in funzione delle variabili più significative. Per la modellazione si è fatto ricorso al software AspenPlus®, conducendo l’analisi di sensitività del mix energetico in uscita dall’impianto al variare del rendimento di SSF e dell’addizione di saccarosio. Dalle simulazioni è emerso che, al netto del fabbisogno entalpico di autosostentamento, l’efficienza energetica del processo varia tra 0.20 e 0.53 a seconda delle condizioni; inoltre, è stata costruita la curva dei costi energetici di distillazione per litro di etanolo prodotto in funzione delle concentrazioni di etanolo in uscita dalla fermentazione. Infine sono già stati individuati fattori su cui è possibile agire per ottenere ulteriori miglioramenti sia in laboratorio che nella modellazione di processo e, di conseguenza, produrre con alta efficienza energetica bioetanolo ad elevato potenziale di mitigazione dell’effetto serra.
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In this work a multidisciplinary study of the December 26th, 2004 Sumatra earthquake has been carried out. We have investigated both the effect of the earthquake on the Earth rotation and the stress field variations associated with the seismic event. In the first part of the work we have quantified the effects of a water mass redistribution associated with the propagation of a tsunami wave on the Earth’s pole path and on the length-of-day (LOD) and applied our modeling results to the tsunami following the 2004 giant Sumatra earthquake. We compared the result of our simulations on the instantaneous rotational axis variations with some preliminary instrumental evidences on the pole path perturbation (which has not been confirmed yet) registered just after the occurrence of the earthquake, which showed a step-like discontinuity that cannot be attributed to the effect of a seismic dislocation. Our results show that the perturbation induced by the tsunami on the instantaneous rotational pole is characterized by a step-like discontinuity, which is compatible with the observations but its magnitude turns out to be almost one hundred times smaller than the detected one. The LOD variation induced by the water mass redistribution turns out to be not significant because the total effect is smaller than current measurements uncertainties. In the second part of this work of thesis we modeled the coseismic and postseismic stress evolution following the Sumatra earthquake. By means of a semi-analytical, viscoelastic, spherical model of global postseismic deformation and a numerical finite-element approach, we performed an analysis of the stress diffusion following the earthquake in the near and far field of the mainshock source. We evaluated the stress changes due to the Sumatra earthquake by projecting the Coulomb stress over the sequence of aftershocks taken from various catalogues in a time window spanning about two years and finally analyzed the spatio-temporal pattern. The analysis performed with the semi-analytical and the finite-element modeling gives a complex picture of the stress diffusion, in the area under study, after the Sumatra earthquake. We believe that the results obtained with the analytical method suffer heavily for the restrictions imposed, on the hypocentral depths of the aftershocks, in order to obtain the convergence of the harmonic series of the stress components. On the contrary we imposed no constraints on the numerical method so we expect that the results obtained give a more realistic description of the stress variations pattern.
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Since the first underground nuclear explosion, carried out in 1958, the analysis of seismic signals generated by these sources has allowed seismologists to refine the travel times of seismic waves through the Earth and to verify the accuracy of the location algorithms (the ground truth for these sources was often known). Long international negotiates have been devoted to limit the proliferation and testing of nuclear weapons. In particular the Treaty for the comprehensive nuclear test ban (CTBT), was opened to signatures in 1996, though, even if it has been signed by 178 States, has not yet entered into force, The Treaty underlines the fundamental role of the seismological observations to verify its compliance, by detecting and locating seismic events, and identifying the nature of their sources. A precise definition of the hypocentral parameters represents the first step to discriminate whether a given seismic event is natural or not. In case that a specific event is retained suspicious by the majority of the State Parties, the Treaty contains provisions for conducting an on-site inspection (OSI) in the area surrounding the epicenter of the event, located through the International Monitoring System (IMS) of the CTBT Organization. An OSI is supposed to include the use of passive seismic techniques in the area of the suspected clandestine underground nuclear test. In fact, high quality seismological systems are thought to be capable to detect and locate very weak aftershocks triggered by underground nuclear explosions in the first days or weeks following the test. This PhD thesis deals with the development of two different seismic location techniques: the first one, known as the double difference joint hypocenter determination (DDJHD) technique, is aimed at locating closely spaced events at a global scale. The locations obtained by this method are characterized by a high relative accuracy, although the absolute location of the whole cluster remains uncertain. We eliminate this problem introducing a priori information: the known location of a selected event. The second technique concerns the reliable estimates of back azimuth and apparent velocity of seismic waves from local events of very low magnitude recorded by a trypartite array at a very local scale. For the two above-mentioned techniques, we have used the crosscorrelation technique among digital waveforms in order to minimize the errors linked with incorrect phase picking. The cross-correlation method relies on the similarity between waveforms of a pair of events at the same station, at the global scale, and on the similarity between waveforms of the same event at two different sensors of the try-partite array, at the local scale. After preliminary tests on the reliability of our location techniques based on simulations, we have applied both methodologies to real seismic events. The DDJHD technique has been applied to a seismic sequence occurred in the Turkey-Iran border region, using the data recorded by the IMS. At the beginning, the algorithm was applied to the differences among the original arrival times of the P phases, so the cross-correlation was not used. We have obtained that the relevant geometrical spreading, noticeable in the standard locations (namely the locations produced by the analysts of the International Data Center (IDC) of the CTBT Organization, assumed as our reference), has been considerably reduced by the application of our technique. This is what we expected, since the methodology has been applied to a sequence of events for which we can suppose a real closeness among the hypocenters, belonging to the same seismic structure. Our results point out the main advantage of this methodology: the systematic errors affecting the arrival times have been removed or at least reduced. The introduction of the cross-correlation has not brought evident improvements to our results: the two sets of locations (without and with the application of the cross-correlation technique) are very similar to each other. This can be commented saying that the use of the crosscorrelation has not substantially improved the precision of the manual pickings. Probably the pickings reported by the IDC are good enough to make the random picking error less important than the systematic error on travel times. As a further justification for the scarce quality of the results given by the cross-correlation, it should be remarked that the events included in our data set don’t have generally a good signal to noise ratio (SNR): the selected sequence is composed of weak events ( magnitude 4 or smaller) and the signals are strongly attenuated because of the large distance between the stations and the hypocentral area. In the local scale, in addition to the cross-correlation, we have performed a signal interpolation in order to improve the time resolution. The algorithm so developed has been applied to the data collected during an experiment carried out in Israel between 1998 and 1999. The results pointed out the following relevant conclusions: a) it is necessary to correlate waveform segments corresponding to the same seismic phases; b) it is not essential to select the exact first arrivals; and c) relevant information can be also obtained from the maximum amplitude wavelet of the waveforms (particularly in bad SNR conditions). Another remarkable point of our procedure is that its application doesn’t demand a long time to process the data, and therefore the user can immediately check the results. During a field survey, such feature will make possible a quasi real-time check allowing the immediate optimization of the array geometry, if so suggested by the results at an early stage.
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The need for high bandwidth, due to the explosion of new multi\-media-oriented IP-based services, as well as increasing broadband access requirements is leading to the need of flexible and highly reconfigurable optical networks. While transmission bandwidth does not represent a limit due to the huge bandwidth provided by optical fibers and Dense Wavelength Division Multiplexing (DWDM) technology, the electronic switching nodes in the core of the network represent the bottleneck in terms of speed and capacity for the overall network. For this reason DWDM technology must be exploited not only for data transport but also for switching operations. In this Ph.D. thesis solutions for photonic packet switches, a flexible alternative with respect to circuit-switched optical networks are proposed. In particular solutions based on devices and components that are expected to mature in the near future are proposed, with the aim to limit the employment of complex components. The work presented here is the result of part of the research activities performed by the Networks Research Group at the Department of Electronics, Computer Science and Systems (DEIS) of the University of Bologna, Italy. In particular, the work on optical packet switching has been carried on within three relevant research projects: the e-Photon/ONe and e-Photon/ONe+ projects, funded by the European Union in the Sixth Framework Programme, and the national project OSATE funded by the Italian Ministry of Education, University and Scientific Research. The rest of the work is organized as follows. Chapter 1 gives a brief introduction to network context and contention resolution in photonic packet switches. Chapter 2 presents different strategies for contention resolution in wavelength domain. Chapter 3 illustrates a possible implementation of one of the schemes proposed in chapter 2. Then, chapter 4 presents multi-fiber switches, which employ jointly wavelength and space domains to solve contention. Chapter 5 shows buffered switches, to solve contention in time domain besides wavelength domain. Finally chapter 6 presents a cost model to compare different switch architectures in terms of cost.
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In this work we study the relation between crustal heterogeneities and complexities in fault processes. The first kind of heterogeneity considered involves the concept of asperity. The presence of an asperity in the hypocentral region of the M = 6.5 earthquake of June 17-th, 2000 in the South Iceland Seismic Zone was invoked to explain the change of seismicity pattern before and after the mainshock: in particular, the spatial distribution of foreshock epicentres trends NW while the strike of the main fault is N 7◦ E and aftershocks trend accordingly; the foreshock depths were typically deeper than average aftershock depths. A model is devised which simulates the presence of an asperity in terms of a spherical inclusion, within a softer elastic medium in a transform domain with a deviatoric stress field imposed at remote distances (compressive NE − SW, tensile NW − SE). An isotropic compressive stress component is induced outside the asperity, in the direction of the compressive stress axis, and a tensile component in the direction of the tensile axis; as a consequence, fluid flow is inhibited in the compressive quadrants while it is favoured in tensile quadrants. Within the asperity the isotropic stress vanishes but the deviatoric stress increases substantially, without any significant change in the principal stress directions. Hydrofracture processes in the tensile quadrants and viscoelastic relaxation at depth may contribute to lower the effective rigidity of the medium surrounding the asperity. According to the present model, foreshocks may be interpreted as induced, close to the brittle-ductile transition, by high pressure fluids migrating upwards within the tensile quadrants; this process increases the deviatoric stress within the asperity which eventually fails, becoming the hypocenter of the mainshock, on the optimally oriented fault plane. In the second part of our work we study the complexities induced in fault processes by the layered structure of the crust. In the first model proposed we study the case in which fault bending takes place in a shallow layer. The problem can be addressed in terms of a deep vertical planar crack, interacting with a shallower inclined planar crack. An asymptotic study of the singular behaviour of the dislocation density at the interface reveals that the density distribution has an algebraic singularity at the interface of degree ω between -1 and 0, depending on the dip angle of the upper crack section and on the rigidity contrast between the two media. From the welded boundary condition at the interface between medium 1 and 2, a stress drop discontinuity condition is obtained which can be fulfilled if the stress drop in the upper medium is lower than required for a planar trough-going surface: as a corollary, a vertically dipping strike-slip fault at depth may cross the interface with a sedimentary layer, provided that the shallower section is suitably inclined (fault "refraction"); this results has important implications for our understanding of the complexity of the fault system in the SISZ; in particular, we may understand the observed offset of secondary surface fractures with respect to the strike direction of the seismic fault. The results of this model also suggest that further fractures can develop in the opposite quadrant and so a second model describing fault branching in the upper layer is proposed. As the previous model, this model can be applied only when the stress drop in the shallow layer is lower than the value prescribed for a vertical planar crack surface. Alternative solutions must be considered if the stress drop in the upper layer is higher than in the other layer, which may be the case when anelastic processes relax deviatoric stress in layer 2. In such a case one through-going crack cannot fulfil the welded boundary conditions and unwelding of the interface may take place. We have solved this problem within the theory of fracture mechanics, employing the boundary element method. The fault terminates against the interface in a T-shaped configuration, whose segments interact among each other: the lateral extent of the unwelded surface can be computed in terms of the main fault parameters and the stress field resulting in the shallower layer can be modelled. A wide stripe of high and nearly uniform shear stress develops above the unwelded surface, whose width is controlled by the lateral extension of unwelding. Secondary shear fractures may then open within this stripe, according to the Coulomb failure criterion, and the depth of open fractures opening in mixed mode may be computed and compared with the well studied fault complexities observed in the field. In absence of the T-shaped decollement structure, stress concentration above the seismic fault would be difficult to reconcile with observations, being much higher and narrower.
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Oggetto di questa tesi è lo studio parametrico del comportamento di paratie mediante modellazione numerica agli elementi finiti. Si è anche analizzato l’aspetto normativo relativo ad esse ed in particolare si è applicato il D.M. 2008 ad una paratia sottolineando le innovazioni nella progettazione geotecnica. Le paratie sono opere di sostegno flessibili interagenti con i fronti di scavo e costituite da una porzione fuori terra, soggetta a condizioni di spinta attiva, e una porzione interrata che contrappone la resistenza passiva del terreno. Le opere di sostegno flessibile si dividono in due categorie: diaframmi e palancole che differiscono molto fra loro sia per il materiale con cui sono realizzate, sia per la tecnica di messa in opera, sia per la geometria, ma hanno in comune il meccanismo di funzionamento. Sono stati illustrati i metodi di calcolo per lo studio delle paratie: metodi dell’equilibrio limite a rottura, metodi a molle e metodi agli elementi finiti. I metodi agli elementi finiti negli ultimi anni hanno avuto maggior successo grazie alla possibilità di definire il modello costitutivo sforzi-deformazioni, le condizioni al contorno e le condizioni iniziali. Esistono numerosi programmi di calcolo che si basano sul metodo agli elementi finiti, tra i quali è da annoverare il programma Plaxis che viene molto usato grazie alla presenza di vari modelli costitutivi in grado di simulare il comportamento del terreno. Tra i legami costitutivi presenti nel programma Plaxis, sono stati presi in esame il modello Mohr-Coulomb, l’Hardening model e il Soft Soil Creep model e sono poi stati applicati per eseguire uno studio parametrico del comportamento delle paratie. Si è voluto comprendere la sensibilità dei modelli al variare dei parametri inseriti nel programma. In particolare si è posta attenzione alla modellazione dei terreni in base ai diversi modelli costitutivi studiando il loro effetto sui risultati ottenuti. Si è inoltre eseguito un confronto tra il programma Plaxis e il programma Paratie. Quest’ultimo è un programma di calcolo che prevede la modellazione del terreno con molle elasto-plastiche incrudenti. Il lavoro di tesi viene illustrato in questo volume come segue: nel capitolo 1 si analizzano le principali caratteristiche e tipologie di paratie mettendo in evidenza la complessità dell’analisi di queste opere e i principali metodi di calcolo usati nella progettazione, nel capitolo 2 si è illustrato lo studio delle paratie secondo le prescrizioni del D.M. 2008. Per comprendere l’argomento è stato necessario illustrare i principi base di questo decreto e le caratteristiche generali del capitolo 6 dedicato alla progettazione geotecnica. Le paratie sono poi state studiate in condizioni sismiche secondo quanto previsto dal D.M. 2008 partendo dall’analisi degli aspetti innovativi nella progettazione sismica per poi illustrare i metodi pseudo-statici utilizzati nello studio delle paratie soggette ad azione sismica. Nel capitolo 3 si sono presi in esame i due programmi di calcolo maggiormente utilizzati per la modellazione delle paratie: Paratie e Plaxis. Dopo aver illustrato i due programmi per comprenderne le potenzialità, i limiti e le differenze, si sono analizzati i principali modelli costituitivi implementati nel programma Plaxis, infine si sono mostrati alcuni studi di modellazione presenti in letteratura. Si è posta molta attenzione ai modelli costitutivi, in particolare a quelli di Mohr-Coulomb, Hardening Soil model e Soft Soil Creep model capaci di rappresentare il comportamento dei diversi tipi di terreno. Nel capitolo 4, con il programma Plaxis si è eseguita un’analisi parametrica di due modelli di paratie al fine di comprendere come i parametri del terreno, della paratia e dei modelli costitutivi condizionino i risultati. Anche in questo caso si è posta molta attenzione alla modellazione del terreno, aspetto che in questa tesi ha assunto notevole importanza. Dato che nella progettazione delle paratie è spesso utilizzato il programma Paratie (Ceas) si è provveduto ad eseguire un confronto tra i risultati ottenuti con questo programma con quelli ricavati con il programma Plaxis. E’ stata inoltra eseguita la verifica della paratia secondo le prescrizioni del D.M. 2008 dal momento che tale decreto è cogente.