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1.
地震危险性评价中余震活动的影响--以邢台余震区为例   总被引:1,自引:0,他引:1  
目前通用的地震危险性模型在确定有关地震活动性参数时都强调删除余震,其理由是因为所应用的地震活动模型是泊松模型。但是在现实的地震灾害中,有些是因为余震活动所引起的。忽略余震活动的影响,可能会低估某些区域的地震危险。本文提出考虑余震活动的地震危险性分析模型,并从此模型出发,以邢台地震为例,对余震区内、余震区边界和余震区外等场点计算了考虑余震活动的地震危险性结果,同时,在原有模型的基础上,只改变余震区所处的潜在震源区的地震年发生率,计算相同场点的地震危险性结果,并把这两个结果与不考虑余震活动的结果进行比较,在此基础上讨论在某些区域考虑余震活动的必要性。  相似文献   

2.
Megathrust earthquake sequences, comprising mainshocks and triggered aftershocks along the subduction interface and in the overriding crust, can impact multiple buildings and infrastructure in a city. The time between the mainshocks and aftershocks usually is too short to retrofit the structures; therefore, moderate‐size aftershocks can cause additional damage. To have a better understanding of the impact of aftershocks on city‐wide seismic risk assessment, a new simulation framework of spatiotemporal seismic hazard and risk assessment of future M9.0 sequences in the Cascadia subduction zone is developed. The simulation framework consists of an epidemic‐type aftershock sequence (ETAS) model, ground‐motion model, and state‐dependent seismic fragility model. The spatiotemporal ETAS model is modified to characterise aftershocks of large and anisotropic M9.0 mainshock ruptures. To account for damage accumulation of wood‐frame houses due to aftershocks in Victoria, British Columbia, Canada, state‐dependent fragility curves are implemented. The new simulation framework can be used for quasi‐real‐time aftershock hazard and risk assessments and city‐wide post‐event risk management.  相似文献   

3.
This paper presents an analytical study used to establish design factors for a new seismic design methodology for precast concrete floor diaphragms. The design factors include diaphragm force amplification factors Ψ and diaphragm shear overstrength factors Ωv. The Ψ factors are applied to the ASCE7‐05 diaphragm design forces to produce diaphragm design strengths aligned to different performance targets. These performance targets are based on diaphragm detailing choices, and include: (i) elastic diaphragm behavior or (ii) limiting inelastic deformation demand on the diaphragm reinforcement (connectors between precast units or reinforcing bars in a topping slab) to within their reliable deformation capacities. The Ωv factors provide overstrength relative to the diaphragm bending strength for capacity protection against shear failure. The analytical study was performed by conducting nonlinear time history analyses of a simple evaluation structure, of which the dimensions and structural properties were varied. The analytical model used in the study is constructed and calibrated on the basis of extensive physical testing. The analytically obtained values of the diaphragm design factors are presented as functions of the geometric and structural properties of the building. The design factors presented here have been verified through evaluation of a set of realistic precast prototype structures. The diaphragm design methodology is currently in the codification process. Copyright © 2015 John Wiley & Sons, Ltd.  相似文献   

4.
Calculating the limit state (LS) exceedance probability for a structure considering the main seismic event and the triggered aftershocks (AS) is complicated both by the time‐dependent rate of aftershock occurrence and also by the cumulative damage caused by the sequence of events. Taking advantage of a methodology developed previously by the authors for post‐mainshock (MS) risk assessment, the LS probability due to a sequence of mainshock and the triggered aftershocks is calculated for a given aftershock forecasting time window. The proposed formulation takes into account both the time‐dependent rate of aftershock occurrence and also the damage accumulation due to the triggered aftershocks. It is demonstrated that an existing reinforced concrete moment‐resisting frame with infills subjected to the main event and the triggered sequence exceeds the near‐collapse LS. On the other hand, the structure does not reach the onset of near‐collapse LS when the effect of triggered aftershocks is not considered. It is shown, based on simplifying assumptions, that the derived formulation yields asymptotically to the same Poisson‐type functional form used when the cumulative damage is not being considered. This leads to a range of approximate solutions by substituting the fragilities calculated for intact, MS‐damaged, and MS‐plus‐one‐AS‐damaged structures in the asymptotic simplified formulation. The latter two approximate solutions provide good agreement with the derived formulation. Even when the fragility of intact structure is employed, the approximate solution (considering only the time‐dependent rate of aftershock occurrence) leads to higher risk estimates compared with those obtained based on only the mainshock. Copyright © 2016 John Wiley & Sons, Ltd.  相似文献   

5.
Existing design procedures for determining the separation distance between adjacent buildings subjected to seismic pounding risk are based on approximations of the buildings' peak relative displacement. These procedures are characterized by unknown safety levels and thus are not suitable for use within a performance‐based earthquake engineering framework. This paper introduces an innovative reliability‐based methodology for the design of the separation distance between adjacent buildings. The proposed methodology, which is naturally integrated into modern performance‐based design procedures, provides the value of the separation distance corresponding to a target probability of pounding during the design life of the buildings. It recasts the inverse reliability problem of the determination of the design separation distance as a zero‐finding problem and involves the use of analytical techniques in order to evaluate the statistics of the dynamic response of the buildings. Both uncertainty in the seismic intensity and record‐to‐record variability are taken into account. The proposed methodology is applied to several different buildings modeled as linear elastic single‐degree‐of‐freedom (SDOF) and multi‐degree‐of‐freedom (MDOF) systems, as well as SDOF nonlinear hysteretic systems. The design separation distances obtained are compared with the corresponding estimates that are based on several response combination rules suggested in the seismic design codes and in the literature. In contrast to current seismic code design procedures, the newly proposed methodology provides consistent safety levels for different building properties and different seismic hazard conditions. Copyright © 2012 John Wiley & Sons, Ltd.  相似文献   

6.
In this paper, a practical method is developed for performance‐based design of RC structures subjected to seismic excitations. More efficient design is obtained by redistributing material from strong to weak parts of a structure until a state of uniform deformation or damage prevails. By applying the design algorithm on 5, 10 and 15‐storey RC frames, the efficiency of the proposed method is initially demonstrated for specific synthetic and real seismic excitations. The results indicate that, for similar structural weight, designed structures experience up to 30% less global damage compared with code‐based design frames. The method is then developed to consider multiple performance objectives and deal with seismic design of RC structures for a design spectrum. The results show that the proposed method is very efficient at controlling performance parameters and improving structural behaviour of RC frames. Copyright © 2011 John Wiley & Sons, Ltd.  相似文献   

7.
Limitations associated with deterministic methods to quantify demands and develop rational acceptance criteria have led to the emergence of probabilistic procedures in performance‐based seismic engineering. The Pacific Earthquake Engineering Research performance‐based methodology is one such approach. In this paper, the impact of certain modelling decisions made at different stages of the evaluation process on the performance assessment of a typical multi‐bent viaduct is examined. Modelling, in the context of this paper, covers hazard modelling, structural modelling and loss modelling. The specific application considered in this study is a section of an existing viaduct in California: the I‐880 interstate highway. Several simulation models of the viaduct are developed, a series of nonlinear time‐history analyses are carried out to predict demands, measures of damage are evaluated and the probability of closure of the viaduct is estimated using the specified hazard for the site. It is concluded that the methodology offers several advantages over existing deterministic performance‐based procedures. Results of the investigation indicate that the assessment methodology is particularly sensitive to the reliability of decisions made by bridge inspectors following a seismic event, and to the dispersion in the demand estimation, which in turn is influenced by several factors including soil–structure interaction effects and ground motion scaling procedures. Copyright © 2005 John Wiley & Sons, Ltd.  相似文献   

8.
This paper presents a proposed method of aftershock probabilistic seismic hazard analysis (APSHA) similar to conventional ‘mainshock’ PSHA in that it estimates the likelihoods of ground motion intensity (in terms of peak ground accelerations, spectral accelerations or other ground motion intensity measures) due to aftershocks following a mainshock occurrence. This proposed methodology differs from the conventional mainshock PSHA in that mainshock occurrence rates remain constant for a conventional (homogeneous Poisson) earthquake occurrence model, whereas aftershock occurrence rates decrease with increased elapsed time from the initial occurrence of the mainshock. In addition, the aftershock ground motion hazard at a site depends on the magnitude and location of the causative mainshock, and the location of aftershocks is limited to an aftershock zone, which is also dependent on the location and magnitude of the initial mainshock. APSHA is useful for post‐earthquake safety evaluation where there is a need to quantify the rates of occurrence of ground motions caused by aftershocks following the initial rupture. This knowledge will permit, for example, more informed decisions to be made for building tagging and entry of damaged buildings for rescue, repair or normal occupancy. Copyright © 2008 John Wiley & Sons, Ltd.  相似文献   

9.
Risk‐based seismic design, as introduced in this paper, involves the use of different types of analysis in order to satisfy a risk‐based performance objective with a reasonable utilization rate and sufficient reliability. Differentiation of the reliability of design can be achieved by defining different design algorithms depending on the importance of a structure. In general, the proposed design is iterative, where the adjustment of a structure during iterations is the most challenging task. Rather than using automated design algorithms, an attempt has been made to introduce three simple guidelines for adjusting reinforced concrete frames in order to increase their strength and deformation capacity. It is shown that an engineer can design a reinforced concrete frame in a few iterations, for example, by adjusting the structure on the basis of pushover analysis and checking the final design by means of nonlinear dynamic analysis. A possible variant of the risk‐based design algorithm for the collapse safety of reinforced concrete frame buildings is proposed, and its application is demonstrated by means of an example of an eight‐storey reinforced concrete building. Four iterations were required in order to achieve the risk‐based performance objective with a reasonable utilization rate. Copyright © 2016 John Wiley & Sons, Ltd.  相似文献   

10.
Aftershocks have been shown to exacerbate earthquake‐induced financial losses by causing further damage to structural and nonstructural components in buildings that have already been affected by a mainshock event and increasing the duration of disrupted functionality. Whereas seismic loss assessment under isolated events has been addressed thoroughly in previous studies, comparatively less has been accomplished in the area of loss assessment under sequences of mainshock‐aftershock ground motions. The main objective of the current study is to formulate a comprehensive framework for quantifying financial losses under sequential seismic events. The proposed framework is capable of accounting for the uncertainties in the state of structure due to accumulation of earthquake‐induced damage, the time‐dependent nature of seismic hazard in the post‐mainshock environment, and the uncertainties in the occurrence of mainshock and aftershock events. Application of the proposed framework to a 4‐story reinforced concrete moment frame shows that consideration of aftershocks could increase lifecycle earthquake‐induced losses by up to 30% compared with mainshock‐only assessments.  相似文献   

11.
This paper addresses two important issues of concern to practicing engineers and researchers alike in application of performance‐based seismic assessment (PBSA) methodology on buildings: (i) the number of ground motion records required to exercise PBSA—current practice (FEMA P‐58‐1) requires eleven or more pairs of motions for this purpose, and (ii) the time and effort associated with performing the number of nonlinear response history analyses required to exercise PBSA. We present a method for exercising of PBSA that employs classical linear modal analysis to develop a first estimate (i.e., a priori) of probability distribution of loss, followed by utilizing Bayesian statistics to update this estimate using estimates of loss obtained by utilizing a small number of nonlinear response history analyses of a detailed model of the building (i.e., posterior). The proposed technique is used to assess the distribution of monetary loss of two case studies, a 4‐story reinforced concrete moment‐resisting frame building and a 20‐story steel moment‐resisting frame building, both located in Los Angeles, for a ground motion hazard with 10% probability of exceedance in 50 years. The efficiency of the proposed PBSA method is demonstrated by showing the similarity between the distribution of monetary loss at each story of case study buildings obtained from the traditional/sophisticated PBSA methodology and the proposed PBSA method in this study. Copyright © 2015 John Wiley & Sons, Ltd.  相似文献   

12.
A versatile, simulation‐based framework for risk assessment and probabilistic sensitivity analysis of base‐isolated structures is discussed in this work. A probabilistic foundation is used to address the various sources of uncertainties, either excitation or structural, and to characterize seismic risk. This risk is given, in this stochastic setting, by some statistics of the system response over the adopted probability models and stochastic simulation is implemented for its evaluation. An efficient, sampling‐based approach is also introduced for establishing a probabilistic sensitivity analysis to identify the importance of each of the uncertain model parameters in affecting the overall risk. This framework facilitates use of complex models for the structural system and the excitation. The adopted structural model explicitly addresses nonlinear characteristics of the isolators and of any supplemental dampers, and the effect of seismic pounding of the base to the surrounding retaining walls. An efficient stochastic ground motion model is also discussed for characterizing future near‐fault ground motions and relating them to the seismic hazard for the structural site. An illustrative example is presented that emphasizes the results from the novel probabilistic sensitivity analysis and their dependence on seismic pounding occurrences and on addition of supplemental dampers. Copyright © 2011 John Wiley & Sons, Ltd.  相似文献   

13.
The recent concerns regarding the seismic safety of the existing building stock have highlighted the need for an improvement of current seismic assessment procedures. Alongside with the development of more advanced commercial software tools and computational capacities, nonlinear dynamic analysis is progressively becoming a common and preferable procedure in the seismic assessment of buildings. Besides the complexity associated with the formulation of the mathematical model, major issues arise related with the definition of the seismic action, which can lead to different levels of uncertainty in terms of local and global building response. Aiming to address this issue, a comparative study of different code‐based record selection methods proposed by Eurocode 8, ASCE41‐13 and NZS1170.5:2004 is presented herein. The various methods are employed in the seismic assessment of four steel buildings, designed according to different criteria, and the obtained results are compared and discussed. Special attention is devoted to the influence of the number of real ground motion records selected on the estimation of the mean seismic response and, importantly, to the efficiency that is achieved when an additional selection criteria, based on the control of the spectral mismatch of each individual record with respect to the reference response spectrum, is adopted. The sufficiency of the methods with respect to the pairs of M–R of the selected group of records and the robustness of the scaling procedure are also examined. The paper closes with a study which demonstrates the suitability of a simplified probability‐based approach recently proposed for estimating mean seismic demands. Copyright © 2015 John Wiley & Sons, Ltd.  相似文献   

14.
This paper summarizes results of a comprehensive analytical study aimed at evaluating the amplitude and heightwise distribution of residual drift demands in multi‐storey moment‐resisting frames after earthquake excitation. For that purpose, a family of 12 one‐bay two‐dimensional generic frame models was subjected to an ensemble of 40 ground motions scaled to different intensities. In this investigation, an inelastic ground motion intensity measure was employed to scale each record, which allowed reducing the record‐to‐record variability in the estimation of residual drift demands. The results were statistically processed in order to evaluate the influence of ground motion intensity, number of stories, period of vibration, frame mechanism, system overstrength, and hysteretic behaviour on central tendency of residual drift demands. In addition, a special emphasis was given to evaluate the uncertainty in the estimation of residual drift demands. Results of incremental dynamic analyses indicate that the amplitude and heightwise distribution of residual drift demands strongly depends on the frame mechanism, the heightwise system structural overstrength and the component hysteretic behaviour. An important conclusion for performance‐based assessment is that the evaluation of residual drift demands involves significantly larger levels of uncertainty (i.e. record‐to‐record variability) than that of maximum drift demands, which suggests that this variability and corresponding uncertainty should be explicitly taken into account when estimating residual drift demands during performance‐based seismic assessment of frame buildings. Copyright © 2006 John Wiley & Sons, Ltd.  相似文献   

15.
Previous comparison studies on seismic isolation have demonstrated its beneficial and detrimental effects on the structural performance of high‐speed rail bridges during earthquakes. Striking a balance between these 2 competing effects requires proper tuning of the controlling design parameters in the design of the seismic isolation system. This results in a challenging problem for practical design in performance‐based engineering, particularly when the uncertainty in seismic loading needs to be explicitly accounted for. This problem can be tackled using a novel probabilistic performance‐based optimum seismic design (PPBOSD) framework, which has been previously proposed as an extension of the performance‐based earthquake engineering methodology. For this purpose, a parametric probabilistic demand hazard analysis is performed over a grid in the seismic isolator parameter space, using high‐throughput cloud‐computing resources, for a California high‐speed rail (CHSR) prototype bridge. The derived probabilistic structural demand hazard results conditional on a seismic hazard level and unconditional, i.e., accounting for all seismic hazard levels, are used to define 2 families of risk features, respectively. Various risk features are explored as functions of the key isolator parameters and are used to construct probabilistic objective and constraint functions in defining well‐posed optimization problems. These optimization problems are solved using a grid‐based, brute‐force approach as an application of the PPBOSD framework, seeking optimum seismic isolator parameters for the CHSR prototype bridge. This research shows the promising use of seismic isolation for CHSR bridges, as well as the potential of the versatile PPBOSD framework in solving probabilistic performance‐based real‐world design problems.  相似文献   

16.
The performance‐based seismic design of steel special moment‐resisting frame (SMRF) structures is formulated as a multiobjective optimization problem, in which conflicting design criteria that respectively reflect the present capital investment and the future seismic risk are treated simultaneously as separate objectives other than stringent constraints. Specifically, the initial construction expenses are accounted for by the steel material weight as well as by the number of different standard steel section types, the latter roughly quantifying the degree of design complexity related additional construction cost; the seismic risk is considered in terms of maximum interstory drift demands at two hazard levels with exceedance probabilities being 50% and 2% in 50 years, respectively. The present formulation allows structural engineers to find an optimized design solution by explicitly striving for a desirable compromise between the initial investment and seismic performance. Member sizing for code‐compliant design of a planar five‐story four‐bay SMRF is presented as an application example using the proposed procedure that is automated by a multiobjective genetic algorithm. Copyright © 2004 John Wiley & Sons, Ltd.  相似文献   

17.
This paper presents a procedure for seismic design of reinforced concrete structures, in which performance objectives are formulated in terms of maximum accepted mean annual frequency (MAF) of exceedance, for multiple limit states. The procedure is explicitly probabilistic and uses Cornell's like closed‐form equations for the MAFs. A gradient‐based constrained optimization technique is used for obtaining values of structural design variables (members' section size and reinforcement) satisfying multiple objectives in terms of risk levels. The method is practically feasible even for real‐sized structures thanks to the adoption of adaptive equivalent linear models where element‐by‐element stiffness reduction is performed (2 linear analyses per intensity level). General geometric and capacity design constraints are duly accounted for. The procedure is applied to a 15‐storey plane frame building, and validation is conducted against results in terms of drift profiles and MAF of exceedance, obtained by multiple‐stripe analysis with records selected to match conditional spectra. Results show that the method is suitable for performance‐based seismic design of RC structures with explicit targets in terms of desired risk levels.  相似文献   

18.
The back‐to‐back application of mainshock records as aftershock is often considered in conducting aftershock incremental dynamic analysis. In such an approach, the characteristics of mainshock records are considered to be similar to those of major aftershock records within the same mainshock–aftershock sequences. The underlying assumption is that the characteristics of selected mainshocks, other than those used for record selection, are not significant in the assessment of structural responses. A case study is set up to investigate the effects of aftershock record selection on the collapse vulnerability assessment. The numerical results for a specific wood‐frame structure indicate that the aftershock fragility can be affected by the aftershock record characteristics, particularly response spectral shape. Copyright © 2014 John Wiley & Sons, Ltd.  相似文献   

19.
Performance‐based seismic design (PBSD) can be considered as the coupling of expected levels of ground motion with desired levels of structural performance, with the objective of achieving greater control over earthquake‐induced losses. Eurocode 8 (EC8) already envisages two design levels of motion, for no collapse and damage limitation performance targets, anchored to recommended return periods of 475 and 95 years, respectively. For PBSD the earthquake actions need to be presented in ways that are appropriate to the estimation of inelastic displacements, since these provide an effective control on damage at different limit states. The adequacy of current earthquake actions in EC8 are reviewed from this perspective and areas requiring additional development are identified. The implications of these representations of the seismic loads, in terms of mapping and zonation, are discussed. The current practice of defining the loading levels on the basis of the pre‐selected return periods is challenged, and ideas are discussed for calibrating the loading‐performance levels for design on the basis of quantitative earthquake loss estimation. Copyright © 2005 John Wiley & Sons, Ltd.  相似文献   

20.
This paper compares the seismic demands obtained from an intensity‐based assessment, as conventionally considered in seismic design guidelines, with the seismic demand hazard. Intensity‐based assessments utilize the distribution of seismic demand from ground motions that have a specific value of some conditioning intensity measure, and the mean of this distribution is conventionally used in design verification. The seismic demand hazard provides the rate of exceedance of various seismic demand values and is obtained by integrating the distribution of seismic demand at multiple intensity levels with the seismic hazard curve. The seismic demand hazard is a more robust metric for quantifying seismic performance, because seismic demands from an intensity‐based assessment: (i) are not unique, with different values obtained using different conditioning intensity measures; and (ii) do not consider the possibility that demand values could be exceeded from different intensity ground motions. Empirical results, for a bridge‐foundation‐soil system, illustrate that the mean seismic demand from an intensity‐based assessment almost always underestimates the demand hazard value for the exceedance rate considered, on average by 17% and with a large variability. Furthermore, modification factors based on approximate theory are found to be unreliable. Adopting the maximum of the mean values from multiple intensity‐based assessments, with different conditional intensity measures, provides a less biased prediction of the seismic demand hazard value, but with still a large variability, and a proportional increase the required number of analyses. For an equivalent number of analyses, direct computation of the seismic demand hazard is a more logical choice and provides additional performance insight. Copyright © 2013 John Wiley & Sons, Ltd.  相似文献   

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