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  • About
  • The Global ETD Search service is a free service for researchers to find electronic theses and dissertations. This service is provided by the Networked Digital Library of Theses and Dissertations.
    Our metadata is collected from universities around the world. If you manage a university/consortium/country archive and want to be added, details can be found on the NDLTD website.
411

Technologie pro zkapalňování plynů a jeho využití a distribuce / Technology for liquefaction gases and its use and distributing

Štěpánek, Jindřich January 2013 (has links)
This thesis deals with technologies for gas liquefaction and storage. The first section summarizes the development of liquefaction technology using expanders and throttling valves, followed by current technology. This is especially a rotary expanders. The storage technology is the above-ground storage of cryogenic tanks. The thesis includes proposals turbine wheels for liquefaction lines and included two proposals liquefaction cycles.
412

New approach in prediction of soil liquefaction

Daftari, Abbas 23 November 2015 (has links)
Liquefaction is the phenomena when there is loss of strength in saturated and cohesion-less soils because of increased pore water pressures and hence reduced effective stresses due to dynamic loading. It is a phenomenon in which the strength and stiffness of a soil is reduced by earthquake shaking or other rapid loading. In this study, after the short review of liquefaction definition, the models of prediction and estimation of liquefaction were considered. Application of numerical modelling with two major software (FLAC & PLAXIS) for the Wildlife site liquefaction, under superstition earthquake in 1987 were compared and analysed. Third step was started with introduction of Fuzzy logic and neural network as two common intelligent mathematical methods. These two patterns for prediction of soil liquefaction were combined. The “Neural network- Fuzzy logic-Liquefaction- Prediction” (NFLP) was applied for liquefaction prediction in Wildlife site. The results show the powerful prediction of liquefaction happening with high degree of accuracy in this case.
413

Numerische Modellierung des Verflüssigungsverhaltens von Kippen des Braunkohlenbergbaus beim und nach dem Wiederaufgang von Grundwasser

Jakob, Christian 09 December 2016 (has links)
Recently observed cumulation of unexpected collapses of slope-distant waste dumps in lignite mining areas of eastern germany re-initiated research of soil liquefaction. Especially it turned the question of internal initials that correspond to water rise. Parallel to laboritory tests and field experiments a micromechanical model should be developed, which can reproduce processes in the soil during saturation. In first approximation a partly saturated soil consists of two phases: the soil particles and the pore fluid. For micromechanical modeling a coupling of discontinuum particles) and continuum (fluid) is required. The soil particles can be simulated with the Discrete-Element-Method (DEM). For the pore fluid, which is assumed to be a mixture of liquid and gaseous fractions, Pore scale model with Finite Volumes (PFV) is used. At low water content liquid bridges (meniscii) arise between the particles that cause an apparent cohesion. The effect of the meniscii is considered by a correspondingly contact law in the DEM model. During the saturation of a soil both, cohesive effect and fluid bulk modulus, are reduced. In addition buoyancy acts on the particles during the process. The micromechanical modeling approach has the advantage, that just a few model parameters are needed. The numerical model shows pore fluid pressures during saturation process, that leads to a reduction of effective stress. It is investigated how much the reduction is regarding porosity, degree of saturation, stress conditions and grain shape. Furthermore the influence of model parameters as well as hydromechanics is investigated. The investigations are completed with another series of experiments under special conditions like integration of macropores, horizontal fixed model boundaries and abrupt saturation.:Einleitung Literaturauswertung Numerische Modellierung Modellstudien Ergebnisauswertung Zusammenfassung Extended summary
414

Numerical Modeling of Blast-Induced Liquefaction

Lee, Wayne Yeung 13 July 2006 (has links) (PDF)
A research study has been conducted to simulate liquefaction in saturated sandy soil induced by nearby controlled blasts. The purpose of the study is to help quantify soil characteristics under multiple and consecutive high-magnitude shock environments similar to those produced by large earthquakes. The simulation procedure involved the modeling of a three-dimensional half-space soil region with pre-defined, embedded, and strategically located explosive charges to be detonated at specific time intervals. LS-DYNA, a commercially available finite element hydrocode, was the solver used to simulate the event. A new geo-material model developed under the direction of the U.S. Federal Highway Administration was applied to evaluate the liquefaction potential of saturated sandy soil subjected to sequential blast environments. Additional procedural enhancements were integrated into the analysis process to represent volumetric effects of the saturated soil's transition from solid to liquid during the liquefaction process. Explosive charge detonation and pressure development characteristics were modeled using proven and accepted modeling techniques. As explosive charges were detonated in a pre-defined order, development of pore water pressure, volumetric (compressive) strains, shear strains, and particle accelerations were carefully computed and monitored using custom developed MathCad and C/C++ routines. Results of the study were compared against blast-test data gathered at the Fraser River Delta region of Vancouver, British Columbia in May of 2005 to validate and verify the modeling procedure's ability to simulate and predict blast-induced liquefaction events. Reasonable correlations between predicted and measured data were observed from the study.
415

Comparison of Performance-Based Liquefaction Initiation Analyses Between Multiple Probabilistic Liquefaction Models Using the Standard Penetration Test

Wright, Alexander David 17 June 2013 (has links) (PDF)
For the most recent and correct article, please click here: http://ascelibrary.org/doi/abs/10.1061/9780784412787.086 This study examines the use of performance-based approaches in liquefaction hazard analysis. Two new methods of performance-based liquefaction initiation analysis are proposed which use the works of Juang et al. (2012) and Boulanger and Idriss (2012). Further advances are made by incorporating the performance-based magnitude scaling factors as proposed by Cetin et al. (2012). Using these new equations a comparative study is made between the three methods. Further comparisons are made between the performance-based approaches and the more widely used deterministic approaches. The comparisons reveal that on average for the 11 sites used in this study, the performance-based approaches tend to be slightly less conservative than deterministic approaches overall, with large differences possible for some locations in the country. They also reveal that the newer performance-based approaches are generally less conservative than the approach proposed by Kramer and Mayfield (2007). Some cases where this relationship does not hold true and the new relationships are more conservative are outlined.
416

Etude expérimentale du comportement instable d'un sable silteux : application aux digues de protection. / Experimental study of the unstable behavior of silty sand : application to protection dikes.

Nguyen, Kien Trung 10 April 2014 (has links)
Les matériaux constitutifs des digues sont souvent des sables silteux dont le comportement mécanique peut manifester une « instabilité » à des états de contraintes situés bien avant la limite de plasticité de Mohr-Coulomb. Ce mécanisme de rupture pourrait expliquer plusieurs brèches dont l'occurrence n'a pas été attribuée aux mécanismes classiques de rupture de digues telle que l'érosion interne. L'objectif de cette thèse est de mieux comprendre, au regard de ce phénomène d'instabilité, le comportement mécanique d'un sable silteux provenant de la zone adjacente à une brèche de digue du Rhône lors de la crue de 2003, à l'aide d'essais triaxiaux.Les résultats sur le sable propre montrent que le matériau étudié est très sensible au phénomène d'instabilité. Ce dernier peut être prédit par une courbe d'instabilité reliant, au déclenchement de l'instabilité, le rapport des contraintes au paramètre d'état. L'analyse de ces résultats suggère qu'une forte contractance du matériau est la condition nécessaire pour que l'instabilité du sable lâche ait lieu et qu'une direction appropriée du vecteur d'incrément de contraintes est la condition suffisante.Les résultats sur les mélanges constitués du sable avec des fines montrent qu'un départ de fines, causé par exemple une érosion de type suffusion, favorise l'occurrence de l'instabilité dans les digues. Par ailleurs, ces résultats révèlent que l'indice des vides équivalent est un paramètre pertinent dans l'analyse du comportement du sable silteux. Le calcul de l'indice des vides équivalent nécessite la détermination du paramètre b pour lequel une nouvelle formule a été proposée. / The constitutive materials of dikes are often silty sands whose mechanical behavior can become unstable at stress states located well under the Mohr-Coulomb plasticity limit criterion. This failure mechanism could explain several dike breaches whose occurrence has not been assigned to conventional mechanisms of dike failure such as internal erosion. The objective of this thesis is to better understand, with respect to the instability phenomenon, the mechanical behavior of a silty sand which is collected in the area adjacent of a breach of the Rhone embankment dike during the flood of 2003, by means of triaxial tests.The test results obtained on clean sand show that this material is very sensitive to the instability phenomenon. The occurrence of the latter can be predicted by an instability curve relating, at the onset of instability, the stress ratio to the state parameter. The analysis of these results suggests that a strong contractiveness of the material is the necessary condition for instability of loose sand and an appropriate direction of stress increment vector is the sufficient condition.The test results obtained on mixtures of sand with fines show that a removal of fine particles caused by an erosion, such as suffusion for example, favors the occurrence of instability in the dikes. Moreover, these results indicate that the equivalent void ratio is a relevant parameter in analyzing the behavior of silty sand. The calculation of the equivalent void ratio requires the determination of the parameter b for which a new formula has been proposed.
417

Site Characterization and Assessment of Various Earthquake Hazards for Micro and Micro-Level Seismic Zonations of Regions in the Peninsular India

James, Naveen January 2013 (has links) (PDF)
Past earthquakes have demonstrated that Indian sub-continent is highly vulnerable to earthquake hazards. It has been estimated that about 59 percent of the land area of the Indian subcontinent has potential risk from moderate to severe earthquakes (NDMA, 2010). Major earthquakes in the last 20 years such as Khillari (30th September 1993), Jabalpur (22nd May 1997), Chamoli (29th March 1999) and Bhuj (26th January 2001) earthquakes have resulted in more than 23,000 deaths and extensive damage to infrastructure (NDMA, 2010). Although it is well known that the major earthquake hazard prone areas in India are the Himalayan region (inter-plate zone) and the north-east region, (subduction zone) the seismicity of Peninsular India cannot be underestimated. Many studies (Seeber et al., 1999; Rao, 2000; Gangrade & Arora, 2000) have proved that the seismicity of Peninsular India is significantly high and may lead to earthquakes of sizeable magnitude. This necessitates a seismic zonation for the country, as well as various regions in it. Seismic zonation is the first step towards an effective earthquake risk mitigation study. Seismic zonation is a process in which a large region is demarcated into small zones based on the levels of earthquake hazard. Seismic zonation is generally carried out at three different levels based on the aerial extent of the region, importance of site and the population. They are micro-level, meso-level and macro-level. The macro-level zonation is generally carried out for large landmass such as a state or a country. The earthquake hazard parameters used for macro-level zoning are generally evaluated with less reliability. The typical example of a macro-level zonation is the seismic zonation map of India prepared by BIS-1893 (2002), where the entire India is demarcated into four seismic zones based on past seismicity and tectonic conditions. Generally the macro-level seismic zonation is carried out based on peak horizontal acceleration (PHA) estimated at bedrock level without giving emphasis on the local soil conditions. Seismic zonation at the meso-level is carried out for cities and urban centers with a population greater than 5,00,000. The earthquake hazard parameters, for the meso-level zonation are evaluated with greater degree of reliability, compared to the macro-level zoning. The micro-level zonation is carried out for sites which host critical installations such as nuclear power plants (NPPs). As the NPPs are considered as very sensitive structures, the earthquake parameters, for the micro-level zonation of the NPP sites are estimated with a highest degree of reliability. The local soil conditions and site effects are properly counted for carrying out the micro as well as the meso-level zonation. Several researchers have carried out meso-level zonation considering effects of all major earthquake hazards such as PHA, site amplification, liquefaction (Mohanty et al., 2007; Nath et al., 2008; Sitharam & Anbazhagan, 2008 etc.) Even though the above definitions and descriptions are available for various levels of zonation, the key issue lies in the adoption of the suitable one for a given region. There are only a few guidelines available regarding the use of a particular level of zonation for a given study area. Based on the recommendation of the disaster management authority, the government of India has initiated the seismic zonation of all major cities in India. As it is evident that large resources are required in order to carry out seismic site characterization and site effect estimation, both the micro and meso-level zonations cannot be carried out for all these cities. Hence there is a need to propose appropriate guidelines to define the suitability of each level zonation for various re-gions in the country. Moreover there are many methodologies available for site characterization and estimation of site effects such as site amplification and liquefaction. The appropriateness of these methodologies for various levels of seismic zonations also needs to be assessed in order to optimize use of resources for seismic zonation. Hence in the present study, appropriate techniques for site characterization and earthquake hazard estimation for regions at different scale levels were determined. Using the appropriate techniques, the seismic zonation was carried out both at the micro and macro-level, incorporating all major earthquake hazards. The state of Karnataka and the Kalpakkam NPP site were chosen for the macro and micro−level seismic zonation in this study. Kalpakkam NPP site is situated in Tamil Nadu, India, 70 kilometres south of Chennai city. The NPP site covers an area of 3000 acres. The site is situated along the Eastern coastal belt of India known as Coromandel coast with Bay of Bengal on the east side. The NPP site host major facilities such as Indira Gandhi Centre for Atomic Research (IGCAR), Madras Atomic Power Station (MAPS), Fast Reactor Fuel Reprocessing (FRFC) Plant, Fast Breeder Test Reactor (FBTR), Prototype Fast Breeder Reactor (PFBR) etc. The state Karnataka lies in the southern part of India, covering an area of 1,91,791 km2, thus approximately constituting 5.83% of the total geographical area of India. Both the study areas lie in the Indian Peninsular which is identified as one of the most prominent and largest Precambrian shield region of the world. The first and foremost step towards the seismic zonation is to prepare a homogenised earthquake catalogue. All the earthquake events within 300 km radius from the boundary of two study areas were collected from various national and international agencies. The earthquake events thus obtained were found to be in different magnitude scales and hence all these events were converted to the moment magnitude scale. A declustering procedure was applied to the earthquake catalogue of the two study area in order to remove aftershocks, foreshocks and dependent events. The completeness analysis was carried out and the seismicity parameters for the two study areas were evaluated based on the complete part of earthquake catalogues. The next major step toward the estimation of earthquake hazard and seismic zonation is the identification and mapping of the earthquake sources. Three source models, mainly; 1) linear source model, 2) point source model and 3) areal source model were used in the present study for characterizing earthquake sources in the two study areas. All the linear sources (faults and lineaments) within 300 km radius from the boundary of two study areas were identified and mapped from SEISAT (2000). In addition to SEISAT (2000), some lineaments were also mapped from the works of Ganesha Raj & Nijagunappa (2004). These lineaments and faults were mapped and georeferenced in a GIS platform on which earthquake events were then super-imposed to give seismotectonic atlas. Seismotectonic atlas was prepared for both the study areas. The point source model (Costa et al. 1993; Panza et al. 1999) and areal source model (Frankel, 1995) were also adopted in this work. Deterministic and probabilistic seismic hazard analysis was found to be appropriated for micro, meso and macro-level zonations. Hence in the present study, the seismic hazard at bedrock level, both at the micro and macro-level were evaluated using the deterministic as well as the probabilistic methodologies. In order to address the epistemic uncertainties in source models and attenuation relations, a logic tree methodology was incorporated with the deterministic and probabilistic approaches. As the deterministic seismic hazard analysis (DSHA) considers only the critical scenario, knowing the maximum magnitude that can occur at a source and the shortest distance between that source and the site and the peak horizontal acceleration (PHA) at that site is estimated using the frequency dependent attenuation relation. Both for the micro as well as the macro-level, the DSHA was carried out, considering grid sizes of 0.001◦ × 0.001◦ and 0.05◦ × 0.05◦respectively. A MATLAB program was developed to evaluate PHA at the center of each of these grid points. The epistemic uncertainties in source models and attenuation relations have been addressed using a logic tree approach (Bommer et al., 2005). A typical logic tree consists of a series of nodes to which several models with different weightages are assigned. Allotment of these weightages to different branch depends upon the degree of uncertainties in the model, and its accuracy. However the sum of all weightages of different branches at a particular node must be unity. Two types of seismic sources are employed in DSHA and they are linear and smoothed point sources. Since both the types of sources were of equal importance, equal weightages were assigned to each of them. The focal depth in the present study was taken as 15 km. The attenuation properties of the region were modelled using three attenuation relations, Viz. Campbell & Bozorgnia (2003), Atkinson & Boore (2006) and Raghu Kanth & Iyengar (2007). The attenuation relation proposed by Raghu Kanth & Iyengar (2007) was given higher weightage of 0.4 since it was devel-oped for the Indian peninsular region. The attenuation relations by Atkinson & Boore (2006) and Campbell & Bozorgnia (2003) which were developed for Eastern North American shield region, shared equal weightages of 0.3. Maps showing spatial variation of PHA value at bedrock level, for both micro and macro-level are presented. Response spectra at the rock level for important location in the two study areas were evaluated for 8 different periods of oscillations, and the results are presented in this thesis. Probabilistic seismic hazard analysis (PSHA) incorporating logic tree approach was per-formed for both micro as well as macro-level considering similar grid sizes as in DSHA. Two types of seismic sources considered in the PSHA are linear sources and smoothed gridded areal sources (Frankel, 1995) with equal weightage distribution in the logic tree structure. Smoothed gridded areal sources can also account the scattered earthquake events. The hypocentral distance was calculated by considering a focal depth of 15 km, as in the case of DSHA method. A MAT-LAB program was developed for PSHA. The same attenuation relations employed in DSHA were used in PSHA as well with the same weightage allotment in logic tree structure. Considering all major uncertainties, a uniform hazard response spectrum (UHRS), showing the variation of PHA values with the mean annual rate of exceedance (MARE), was evaluated for each grid point. From the uniform hazard response spectrum, the PHA corresponding to any return period can be evaluated. Maps showing the spatial variation of PHA value at bedrock level, corresponding to 475 year and 2500 year return periods for both micro and macro-level are presented. Response spectra at the rock level for important location in two study areas were evaluated for eight different periods of oscillations, and the results are presented in this thesis. In order to assess various earthquake hazards like ground motion amplification and soil liquefaction, a thorough understanding of geotechnical properties of the top overburden soil mass is essential. As these earthquake hazards strongly depend on the geotechnical properties of the soil, site characterization based on these properties will provide a better picture of these hazards. In the present study, seismic site characterization was carried both at the micro and macro-level using average shear wave velocity for top 30 m overburden (Vs30). At the micro-level, the shear wave velocity profile at major locations was evaluated using multichannel analysis of surface waves (MASW) tests. MASW is an indirect geophysical method used in geotechnical investigations and near surface soil characterization based on the dispersion characteristics of surface waves (Park et al., 1999). The MASW test setup consists of 24-channel geophones of 4.5 Hz capacity. A 40 kg propelled energy generator (PEG) was used for generating surface wave. Based on the recordings of geophones, the dispersion characteristics of surface waves were evaluated in terms of a dispersion curve. The shear wave velocity (Vs) profile at a particular location was determined by performing inversion analysis (Xia et al., 1999). After the evaluation of V s profile at all major locations, the site characterization at the micro-level was carried out as per NEHRP (BSSC, 2003) and IBC (2009) recommendations. Maps showing the spatial distribution of various site classes at the micro-level are presented in this thesis. Standard penetration tests were also carried out in the site as part of subsurface investigation and in this study a new correlation between V s and corrected SPT-N values was also developed. Apart from carrying out site characterization, low strain soil stiffness profile was evaluated based on SPT and MASW data. In this work, seismic site characterization at the macro-level was also carried out. As it is not physically and economically viable to carry out geotechnical and geophysical testing for such a large area, like the Karnataka state, the seismic site characterization was carried out based on topographic slope maps. Wald & Allen (2007) has reported that the topographic slope is a perfect indicator of site conditions. Based on the correlation studies carried out for different regions, Wald & Allen (2007) has proposed slope ranges corresponding to each site class. In this study, the topographic map for the entire state of Karnataka was derived from ASTER Global Digital Elevation Model GDEM. This thesis also presents a comparison study between the Vs30map generated from topographic slope data and Vs30map developed using geophysical field tests, for Bangalore and Chennai. Based on this study, it is concluded that topographic slopes can be used for developing Vs30maps for meso and macro-level with reasonable accuracy. The topographic map for macro-level was generated at a grid size of 0.05◦ × 0.05◦. Based on the value of slope at a particular grid point, the Vs30for that grid point was assigned as per Wald & Allen (2007). A similar procedure was repeated for all the grid points. Spatial variation of various seismic site classes for the macro-level has been presented in this work. The site amplification hazard was estimated for both micro and the macro-level. The assessment of site amplification is very important for shallow founded structures and other geotechnical structures like retaining walls and dams, floating piles and underground structures as the possible earthquake damages are mostly due to extensive shaking. The site amplification hazard at the micro-level was estimated using 1D equivalent linear ground response analyses. The earthquake motion required for carrying out ground response analysis was simulated from a target response spectrum. 1D equivalent linear analyses were performed using SHAKE 2000 software. Spatial variations of surface level PHA values, site amplification, predominant frequency throughout the study area are presented in this work. As it is not physically viable to assess site amplification hazard at the macro-level using the 1D ground response analysis, the surface level PHA value for the entire state of Karnataka was estimated using a non-linear site amplification technique pro-posed by Raghu Kanth & Iyengar (2007). Based on the site class in which particular grid belongs and bedrock level PHA value, the amplification for that grid point was evaluated using regression equations developed by Raghu Kanth & Iyengar (2007). The liquefaction hazard both at the micro and macro-level was evaluated and included in this thesis. The micro-level liquefaction hazard was estimated in terms of liquefaction potential index (LPI) based on SPTN values (Iwasaki et al., 1982). As the LPI was evaluated by integrating the factor of safety against liquefaction (FSL) at all depths, it can effectively represent the liquefaction susceptibility of the soil column. LPI at the micro-level was evaluated by both deterministic as well as the probabilistic approaches. In the deterministic approach, the FSLat a particular depth was evaluated as the ratio of the cyclic resistance of the soil layer to the cyclic stress induced by earth-quake motion. The cyclic stress was estimated as per Seed & Idriss (1971), while the cyclic soil resistance was characterised from the corrected SPT-N values as proposed by Idriss & Boulanger (2006). However in the probabilistic method, the mean annual rate of exceedance (MARE) of factor of safety against liquefaction at different depth was estimated using SPT field test data by considering all uncertainties. From the MARE curve, the FS L for 475 year and 2500 year return period were evaluated. Once FS L at different depth were evaluated, the LPI for the borehole is calculated by integrating FS L for all depths. The liquefaction hazard at the macro-level was estimated in terms of SPT and CPT values required to prevent liquefaction at 3 m depth, using a probabilistic approach. The probabilistic approach accounts the contribution of several magnitudes acceleration scenarios on the liquefaction potential at a given site. Based on the methodology proposed by Kramer & Mayfield (2007), SPT and CPT values required to resist liquefaction corresponding to return periods of 475 years and 2500 years were evaluated at the macro-level. It has been observed that the spatial distribution of intensity of each these hazard in a region is distinct from the other due to the predominant influence of local geological conditions rather than the source characteristics of the earthquake. Hence it’ll be difficult to assess risk and vulnerability of a region when these hazards are treated separately. Thus, all major earthquake hazards are to be integrated to an index number, which effectively represents the combined effect of all hazards. In the present study, all major earthquake hazards were integrated to a hazard index value, both at the micro as well as macro-level using the Analytical Hierarchy Process (AHP) proposed by Saaty (1980). Both micro and macro-level seismic zonation was performed based on the spatial distribution of hazard index value. This thesis also presents the assessment of earthquake induced landslides at the macro-level in the appendix. Landslide hazards are a major natural disaster that affects most of the hilly regions around the world. This is a first attempt of it kind to evaluate seismically induced landslide hazard at the macro-level in a quantitative manner. Landslide hazard was assessed based on Newmark’s method (Newmark, 1965). The Newmark’s model considers the slope at the verge of failure and is modelled as a rigid block sliding along an incline plane under the influence of a threshold acceleration. The value of threshold acceleration depends upon the static factor of safety and slope angle. At the macro-level, the slope map for the entire state of Karnataka was derived from ASTER GDEM, considering a grid size of 50 m × 50 m. The earthquake motion which induces driving force on the slope to destabilize it was evaluated for each grid point with slope value 10 degree and above using DSHA. Knowing the slope value and peak horizontal acceleration (PHA) at a grid point, the seismic landslide hazard in terms of static factor of safety required to resist landslide was evaluated using Newmark’s method. This procedure is repeated for all grid points, having slope value 10 degree and above.
418

Shear Modulus Degradation of Liquefying Sand: Quantification and Modeling

Olsen, Peter A. 13 November 2007 (has links) (PDF)
A major concern for geotechnical engineers is the ability to predict how a soil will react to large ground motions produced by earthquakes. Of all the different types of soil, liquefiable soils present some of the greatest challenges. The ability to quantify the degradation of a soil's shear modulus as it undergoes liquefaction would help engineers design more reliably and economically. This thesis uses ground motions recorded by an array of downhole accelerometers on Port Island, Japan, during the 1995 Kobe Earthquake, to quantify the shear modulus of sand as it liquefies. It has been shown that the shear modulus of sand decreases significantly as it liquefies, apparently decreasing in proportion to the increasing excess pore water pressure ratio (Ru). When completely liquefied, the shear modulus of sand (Ru = 1.0) for a relative density of 40 to 50% is approximately 15% of the high-strain modulus of the sand in its non-liquefied state, or 1% of its initial low-strain value. Presented in this thesis is an approach to modeling the shear modulus degradation of sand as it liquefies. This approach, called the "degrading shear modulus backbone curve method" reasonably predicts the hysteretic shear stress behavior of the liquefied sand. The shear stresses and ground accelerations computed using this method reasonably matches those recorded at the Port Island Downhole Array (PIDA) site. The degrading shear modulus backbone method is recommended as a possible method for conducting ground response analyses at sites with potentially liquefiable soils.
419

Spatial Modelling of Gastroenteritis Prevalence Following the February 22, 2011 Earthquake and Identification of Successful Factors Preventing Outbreaks at Emergency Centres

Chandratilake (nee Weerasekara), Sonali Evanjali January 2013 (has links)
The potential for a gastroenteritis outbreak in a post-earthquake environment may increase because of compromised infrastructure services, contaminated liquefaction (lateral spreading and surface ejecta), and the presence of gastroenteritis agents in the drinking water network. A population in a post-earthquake environment might be seriously affected by gastroenteritis because it has a short incubation period (about 10 hours). The potential for a gastroenteritis outbreak in a post-earthquake environment may increase because of compromised infrastructure services, contaminated liquefaction (lateral spreading and surface ejecta), and the presence of gastroenteritis agents in the drinking water network. A population in a post-earthquake environment might be seriously affected by gastroenteritis because it has a short incubation period (about 10 hours). The aim of this multidisciplinary research was to retrospectively analyse the gastroenteritis prevalence following the February 22, 2011 earthquake in Christchurch. The first focus was to assess whether earthquake-induced infrastructure damage, liquefaction, and gastroenteritis agents spatially explained the recorded gastroenteritis cases over the period of 35 days following the February 22, 2011 earthquake in Christchurch. The gastroenteritis agents considered in this study were Escherichia coli found in the drinking water supply (MPN/100mL) and Non-Compliant Free Associated Chlorine (FAC-NC) (less than <0.02mg/L). The second focus was the protocols that averted a gastroenteritis outbreak at three Emergency Centres (ECs): Burnside High School Emergency Centre (BEC); Cowles Stadium Emergency Centre (CEC); and Linwood High School Emergency Centre (LEC). Using a mixed-method approach, gastroenteritis point prevalence and the considered factors were quantitatively analysed. The qualitative analysis involved interviewing 30 EC staff members. The data was evaluated by adopting the Grounded Theory (GT) approach. Spatial analysis of considered factors showed that highly damaged CAUs were statistically clustered as demonstrated by Moran’s I statistic and hot spot analysis. Further modelling showed that gastroenteritis point prevalence clustering could not be fully explained by infrastructure damage alone, and other factors influenced the recorded gastroenteritis point prevalence. However, the results of this research suggest that there was a tenuous, indirect relationship between recorded gastroenteritis point prevalence and the considered factors: earthquake-induced infrastructure damage, liquefaction and FAC-NC. Two ECs were opened as part of the post-earthquake response in areas with severe infrastructure damage and liquefaction (BEC and CEC). The third EC (CEC) provided important lessons that were learnt from the previous September 4, 2010 earthquake, and implemented after the February 22, 2011 earthquake. Two types of interwoven themes identified: direct and indirect. The direct themes were preventive protocols and indirect themes included type of EC building (school or a sports stadium), and EC staff. The main limitations of the research were Modifiable Areal Units (MAUP), data detection, and memory loss. This research provides a practical method that can be adapted to assess gastroenteritis risk in a post-earthquake environment. Thus, this mixed method approach can be used in other disaster contexts to study gastroenteritis prevalence, and can serve as an appendage to the existing framework for assessing infectious diseases. Furthermore, the lessons learnt from qualitative analysis can inform the current infectious disease management plans, designed for a post-disaster response in New Zealand and internationally Using a mixed-method approach, gastroenteritis point prevalence and the considered factors were quantitatively analysed. A damage profile was created by amalgamating different types of damage for the considered factors for each Census Area Unit (CAU) in Christchurch. The damage profile enabled the application of a variety of statistical methods which included Moran’s I , Hot Spot (HS) analysis, Spearman’s Rho, and Besag–York–Mollié Model using a range of software. The qualitative analysis involved interviewing 30 EC staff members. The data was evaluated by adopting the Grounded Theory (GT) approach. Spatial analysis of considered factors showed that highly damaged CAUs were statistically clustered as demonstrated by Moran’s I statistic and hot spot analysis. Further modelling showed that gastroenteritis point prevalence clustering could not be fully explained by infrastructure damage alone, and other factors influenced the recorded gastroenteritis point prevalence. However, the results of this research suggest that there was a tenuous, indirect relationship between recorded gastroenteritis point prevalence and the considered factors: earthquake-induced infrastructure damage, liquefaction and FAC-NC. Two ECs were opened as part of the post-earthquake response in areas with severe infrastructure damage and liquefaction (BEC and CEC). The third EC (CEC) provided important lessons that were learnt from the previous September 4, 2010 earthquake, and implemented after the February 22, 2011 earthquake. The ECs were selected to represent the Christchurch area, and were situated where potential for gastroenteritis was high. BEC represented the western side of Christchurch; whilst, CEC and LEC represented the eastern side, where the potential for gastroenteritis was high according to the outputs of the quantitative spatial modelling. Qualitative analysis from the interviews at the ECs revealed that evacuees were arriving at the ECs with gastroenteritis-like symptoms. Participants believed that those symptoms did not originate at the ECs. Two types of interwoven themes identified: direct and indirect. The direct themes were preventive protocols that included prolific use of hand sanitisers; surveillance; and the services offered. Indirect themes included the EC layout, type of EC building (school or a sports stadium), and EC staff. Indirect themes governed the quality and sustainability of the direct themes implemented, which in turn averted gastroenteritis outbreaks at the ECs. The main limitations of the research were Modifiable Areal Units (MAUP), data detection, and memory loss. It was concluded that gastroenteritis point prevalence following the February 22, 2011 earthquake could not be solely explained by earthquake-induced infrastructure damage, liquefaction, and gastroenteritis causative agents alone. However, this research provides a practical method that can be adapted to assess gastroenteritis risk in a post-earthquake environment. Creating a damage profile for each CAU and using spatial data analysis can isolate vulnerable areas, and qualitative data analysis provides localised information. Thus, this mixed method approach can be used in other disaster contexts to study gastroenteritis prevalence, and can serve as an appendage to the existing framework for assessing infectious diseases. Furthermore, the lessons learnt from qualitative analysis can inform the current infectious disease management plans, designed for a post-disaster response in New Zealand and internationally.

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