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Using likelihood ratio functions for modeling the conditional probability of occurrence of future landslides for risk assessment

机译:使用似然比函数对未来滑坡发生的条件概率进行建模以进行风险评估

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The most crucial and difficult task in landslide hazard analysis is estimating the conditional probability of occurrence of future landslides in a study area within a specific time period, given specific geomorphic and topographic features. This task can be addressed with a mathematical model that estimates the required conditional probability in two stages: "relative hazard mapping" and "empirical probability estimation." The first stage divides the study area into a number of "prediction" classes according to their relative likelihood of occurrence of future landslides, based on the geomorphic and topographic data. Each prediction class represents a relative level of hazard with respect to other prediction classes. The number of classes depends on the quantity and quality of input data. Several quantitative models have been developed and tested for use in this stage; the objective is to delineate typical settings in which future landslides are likely to occur. In this stage, problems related to different degrees of resolution in the input data layers are resolved. The second stage is to empirically estimate the conditional probability of landslide occurrence in each prediction class by a cross-validation technique. The basic strategy is to divide past occurrences of landslides into two groups, a "modeling group" and a,'validation group". The first mapping stage is repeated, but the prediction is limited to only those landslide occurrences in the modeling group that are used to construct a new set of prediction classes. The new set of prediction classes is compared to the distribution of landslide occurrences in the validation group. Statistics from the comparison provide a quantitative measure of the conditional probability of occurrence of future landslides. Crown Copyright (c) 2006 Published by Elsevier Ltd. All rights reserved.
机译:在给定特定的地貌和地形特征的情况下,滑坡灾害分析中最关键和最困难的任务是估计在特定时间段内某个研究区域内未来滑坡发生的条件概率。可以通过数学模型来解决此任务,该数学模型可以在两个阶段中估算所需的条件概率:“相对危险度映射”和“经验概率估算”。第一阶段根据地貌和地形数据,根据研究区域未来滑坡发生的相对可能性,将研究区域划分为多个“预测”类别。每个预测类别代表相对于其他预测类别的相对危险等级。类的数量取决于输入数据的数量和质量。已经开发了一些定量模型并测试了该阶段的使用情况。目的是勾勒出未来可能发生滑坡的典型环境。在这一阶段,解决了与输入数据层中不同程度的分辨率有关的问题。第二阶段是通过交叉验证技术凭经验估计每个预测类别中滑坡发生的条件概率。基本策略是将过去发生的滑坡分为“建模组”和“验证组”两类,重复第一个映射阶段,但是预测仅限于建模组中的滑坡发生用来构建一组新的预测类别。将新的预测类别集合与验证组中滑坡发生的分布进行比较。比较的统计数据提供了对未来滑坡发生的条件概率的定量度量。 c)2006年由Elsevier Ltd.出版。保留所有权利。

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