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Earthquake spatial distribution: the correlation dimension Yan Y. Kagan, UCLA
ABSTRACT: We review methods for determining the fractal dimensions of
earthquake epicentres and hypocentres, paying special attention to the
problem of errors, biases and systematic effects. Among effects considered
are earthquake location errors, boundary effects, inhomogeneity of depth
distribution and temporal dependence. In particular, the correlation
dimension of earthquake spatial distribution is discussed, techniques for
its evaluation presented, and results for several earthquake catalogues are
analysed. We show that practically any value for the correlation dimension
can be obtained if many errors and inhomogeneities in observational data as
well as deficiencies in data processing are not properly considered. It is
likely that such technical difficulties are intensified when one attempts
to evaluate multifractal measures of dimension. Taking into account
possible errors and biases, we conclude that the fractal dimension for
shallow seismicity asymptotically approaches 2.20 +/- 0.05 for a catalogue
time span of decades and perhaps centuries. The value of the correlation
dimension declines to 1.8-1.9 for intermediate events (depth interval
71-280 km) and to 1.5-1.6 for deeper ones.
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