The temporal fractality of precipitation in mainland Spain and the Balearic Islands and its relation to other precipitation variability indices
Author
dc.contributor.author
Meseguer Ruiz, Oliver
Author
dc.contributor.author
Olcina Cantos, Jorge
Author
dc.contributor.author
Sarricolea Espinoza, Pablo
Author
dc.contributor.author
Martín Vide, Javier
Admission date
dc.date.accessioned
2019-05-29T13:29:54Z
Available date
dc.date.available
2019-05-29T13:29:54Z
Publication date
dc.date.issued
2017
Cita de ítem
dc.identifier.citation
International Journal of Climatology, Volumen 37, Issue 2, 2017, Pages 849-860
Identifier
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10970088
Identifier
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08998418
Identifier
dc.identifier.other
10.1002/joc.4744
Identifier
dc.identifier.uri
https://repositorio.uchile.cl/handle/2250/168877
Abstract
dc.description.abstract
Recent years have seen a rise in research into the behaviour of precipitation variability on account of the
application of new statistical techniques with a longstanding tradition in other fields. Fractal is a word used to refer to regular
objects or processes that cannot be defined by the classical Euclidian mathematics. The fractal dimension of the temporal
distribution of precipitation (D) is an indicator of the property of self-similarity in rainfall distribution at different time intervals.
While its spatial meaning has previously been developed extensively and is well defined, the interpretation of the concept of
fractality applied to the temporal distribution is abstract. The overarching goal of this article is to give climatic significance to
this indicator. To this end, data logged at 10-min intervals from 44 weather stations in mainland Spain and the Balearic Islands
for the period from 1997 to 2010 has been employed. The D values obtained ranged between 1.4499 for the observatory in
Ibiza and 1.6039 for the observatory in Jaca. The fractal dimension presents a significant and good negative correlation (−0.55)
with the concentration index (CI), and a significant and good positive correlation (0.67) with entropy. The correlation of D
with other traditionally used indices, such as the coefficient of variation or the consecutive disparity index is very limited,
as this indicator is more focused on the distribution of precipitation intervals than on the total accumulated rainfall over a
given period. In an endeavour to develop multivariate models that explain the behaviour of D, only two-variable models can
be obtained, which account for most of the variability and that involve the CI or entropy. Self-similarity is therefore associated
with the regular recurrence of precipitation intervals, which is more evident in those observatories with higher D values.