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dc.date.accessioned2018-09-18T11:36:40Z
dc.date.available2018-09-18T11:36:40Z
dc.date.created2018-01-03T10:46:42Z
dc.date.issued2017
dc.identifier.citationBevacqua, Emanuele Maraun, Douglas Hobæk Haff, Ingrid Widmann, Matrin Vrac, Mathieu . Multivariate statistical modelling of compound events via pair-copula constructions: Analysis of floods in Ravenna (Italy). Hydrology and Earth System Sciences. 2017, 21(6), 2701-2723
dc.identifier.urihttp://hdl.handle.net/10852/64795
dc.description.abstractCompound events (CEs) are multivariate extreme events in which the individual contributing variables may not be extreme themselves, but their joint – dependent – occurrence causes an extreme impact. Conventional univariate statistical analysis cannot give accurate information regarding the multivariate nature of these events. We develop a conceptual model, implemented via pair-copula constructions, which allows for the quantification of the risk associated with compound events in present-day and future climate, as well as the uncertainty estimates around such risk. The model includes predictors, which could represent for instance meteorological processes that provide insight into both the involved physical mechanisms and the temporal variability of compound events. Moreover, this model enables multivariate statistical downscaling of compound events. Downscaling is required to extend the compound events' risk assessment to the past or future climate, where climate models either do not simulate realistic values of the local variables driving the events or do not simulate them at all. Based on the developed model, we study compound floods, i.e. joint storm surge and high river runoff, in Ravenna (Italy). To explicitly quantify the risk, we define the impact of compound floods as a function of sea and river levels. We use meteorological predictors to extend the analysis to the past, and get a more robust risk analysis. We quantify the uncertainties of the risk analysis, observing that they are very large due to the shortness of the available data, though this may also be the case in other studies where they have not been estimated. Ignoring the dependence between sea and river levels would result in an underestimation of risk; in particular, the expected return period of the highest compound flood observed increases from about 20 to 32 years when switching from the dependent to the independent case.en_US
dc.languageEN
dc.publisherCopernicus
dc.rightsAttribution 3.0 Unported
dc.rights.urihttps://creativecommons.org/licenses/by/3.0/
dc.titleMultivariate statistical modelling of compound events via pair-copula constructions: Analysis of floods in Ravenna (Italy)en_US
dc.typeJournal articleen_US
dc.creator.authorBevacqua, Emanuele
dc.creator.authorMaraun, Douglas
dc.creator.authorHobæk Haff, Ingrid
dc.creator.authorWidmann, Matrin
dc.creator.authorVrac, Mathieu
cristin.unitcode185,15,13,0
cristin.unitnameMatematisk institutt
cristin.ispublishedtrue
cristin.fulltextoriginal
cristin.qualitycode2
dc.identifier.cristin1534481
dc.identifier.bibliographiccitationinfo:ofi/fmt:kev:mtx:ctx&ctx_ver=Z39.88-2004&rft_val_fmt=info:ofi/fmt:kev:mtx:journal&rft.jtitle=Hydrology and Earth System Sciences&rft.volume=21&rft.spage=2701&rft.date=2017
dc.identifier.jtitleHydrology and Earth System Sciences
dc.identifier.volume21
dc.identifier.issue6
dc.identifier.startpage2701
dc.identifier.endpage2723
dc.identifier.doihttp://dx.doi.org/10.5194/hess-21-2701-2017
dc.identifier.urnURN:NBN:no-67325
dc.type.documentTidsskriftartikkelen_US
dc.type.peerreviewedPeer reviewed
dc.source.issn1027-5606
dc.identifier.fulltextFulltext https://www.duo.uio.no/bitstream/handle/10852/64795/2/hess-21-2701-2017.pdf
dc.type.versionPublishedVersion


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