''Ever increasing population in seismically active urban areas, aging building stock, and expansion of urbanization to previously agricultural lands with soft soil deposits render the protection of human lives against earthquake disasters extremely more difficult by the time. Although much effort is put in further improving the current seismic design practices for new buildings, recent earthquakes show us, again and again, that life losses occur in older and much more vulnerable structures. Finding those substandard, collapse-vulnerable buildings before a destructive earthquake is like finding a needle in a haystack. It is clear that the problem in hand cannot be addressed with the existing, and mostly old-fashioned tools anymore.This manuscript focuses on how the emerging technologies, such as Artificial Intelligence, image processing, and data sciences in general, can be implemented as useful tools for conducting an urban scale seismic risk assessment while estimating the risk for every individual building. A review of the available technologies is given for the exposure component. Furthermore, a novel method of estimating the vulnerability of individual buildings, based on autoregressive machine learning algorithms, is presented. The manuscript discusses that the technological advancement is mature enough to radically alter how the earthquake risk is estimated.''
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During the 2015 Gorkha earthquake of 7.8 Mw that hit Kathmandu Valley, Nepal, numerous Nepalese Pagodas suffered extensive damage while others collapsed. Risk reduction strategies implemented in the region focused on disassembling historical structures and rebuilding them with modern material without in depth analysis of why they suffer damage and collapse. The aim of this paper is to evaluate the effectiveness of low-cost, low-intervention, reversible repair and strengthening options for the Nepalese Pagodas. As a case study, the Jaisedewal Temple, typical example of the Nepalese architectural style, was investigated. A nonlinear three-dimensional finite element model of the Jaisedewal Temple was developed and the seismic performance of the temple was assessed by undertaking linear, nonlinear static and nonlinear dynamic analyses. Also, different structural intervention options, suggested by local engineers and architects working in the restoration of temples in Nepal, were examined for their efficacy to withstand strong earthquake vibrations. Additionally, the seismic response of the exposed foundation that the Nepalese Pagodas are sitting on was investigated. From the results analysis, it was found that pushover analysis failed to capture the type of failure which highlights the necessity to perform time-history analysis to accurately evaluate the seismic response of the investigated temple. Also, stiffening the connections along the temple was found to enhance the seismic behaviour of the temple, while strengthening the plinth base was concluded to be insignificant. Outputs from this research could contribute towards the strategic planning and conservation of multi-tiered temples across Nepal and reduce their risk to future earthquake damage without seriously affecting their beautiful architectural heritage.
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Seismic risk assessment of two real RC multi-story buildings, located on similar soil profile in Kocaeli, is conducted in respect to code-based linear and nonlinear approaches, as well as to P25-v2 Method, a recently suggested method for risk evaluation and preliminary assessment of existing buildings against life-loss. Twenty-five different parameters and seven different collapse criteria are taken into consideration in the suggested P25-v2 Method, including soil and topographic conditions, earthquake demand, various structural irregularities, material and geometrical properties, and location of the buildings. After summarizing the different methodologies and describing the case study buildings, 3D linear-elastic and static nonlinear analyses are performed in parallel to the application of the P25 Method-v2. One of the two case study buildings totally collapsed during 1999 Kocaeli Earthquake, while the other survived with negligible damage, noting that both had legal construction and occupation permissions. SAP2000 and SeismoStruct software packages have been utilised for the analysis procedure to find out the damage states of the structural members at critical stories and to determine the performance levels of the case study buildings. The code-based performance levels and the final performance scores obtained by the preliminary assessment technique are compared in order to underline the existence of the correlation between the detailed procedure and the suggested preliminary assessment technique with the real damage state. Consequently, structural inadequacies, weak points of the buildings and failure reasons are also discussed in this paper.
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De publicatielijst bevat alle publicaties waar Harmen Bijwaard aan bijgedragen heeft in de periode 1998 - 2013
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This paper investigates the limits and efficacies of the Fiber Reinforced Polymer (FRP) material for strengthening mid-rise RC buildings against seismic actions. Turkey, the region of the highest seismic risk in Europe, is chosen as the case-study country, the building stock of which consists in its vast majority of mid-rise RC residential and/or commercial buildings. Strengthening with traditional methods is usually applied in most projects, as ordinary construction materials and no specialized workmanship are required. However, in cases of tight time constraints, architectural limitations, durability issues or higher demand for ductile performance, FRP material is often opted for since the most recent Turkish Earthquake Code allows engineers to employ this advanced-technology product to overcome issues of inadequate ductility or shear capacity of existing RC buildings. The paper compares strengthening of a characteristically typical mid-rise Turkish RC building by two methods, i.e., traditional column jacketing and FRP strengthening, evaluating their effectiveness with respect to the requirements of the Turkish Earthquake Code. The effect of FRP confinement is explicitly taken into account in the numerical model, unlike the common procedure followed according to which the demand on un-strengthened members is established and then mere section analyses are employed to meet the additional demands.
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Post-earthquake structural damage shows that out-of-plane wall collapse is one of the most prevalent failure mechanisms in unreinforced masonry (URM) buildings. This issue is particularly critical in Groningen, a province located in the northern part of the Netherlands, where low-intensity ground shaking has occurred since 1991 due to gas extraction. The majority of buildings in this area are constructed using URM and were not designed to withstand earthquakes, as the area had never been affected by tectonic seismic activity before. Hence, the assessment of URM buildings in the Groningen province has become of high relevance.Out-of-plane failure mechanisms in brick masonry structures often stem from poor wall-to-wall, wall-to-floor or wall-to-roof connections that provide insufficient restraint and boundary conditions. Therefore, studying the mechanical behaviour of such connections is of prime importance for understanding and preventing damages and collapses in URM structures. Specifically, buildings with double-leaf cavity walls constitute a large portion of the building stock in the Groningen area. The connections of the leaves in cavity walls, which consist of metallic ties, are expected to play an important role. Regarding the wall-to-floor connections, the traditional way for URM structures in Dutch construction practice is either a simple masonry pocket connection or a hook anchor as-built connection, which are expected to be vulnerable to out-of-plane excitation. However, until now, little research has been carried out to characterise the seismic behaviour of connections between structural elements in traditional Dutch construction practice.This thesis investigates the seismic behaviour of two types of connections: wall-to-wall connections between cavity wall leaves and wall-to-floor connections between the masonry cavity wall and timber diaphragm, commonly found in traditional houses in the Groningen area. The research is divided into three phases: (1) inventory of existing buildings and connections in the Groningen area, (2) performance of experimental tests, and (3) proposal and validation of numerical and mechanical models. The thesis explores the three phases as follows:(i) An inventory of connections within URM buildings in the Groningen area is established. The inventory includes URM buildings of Groningen based on construction material, lateral load-resisting system, floor system, number of storeys, and connection details. Specific focus is given to the wall-to-wall and wall-to-floor connections in each URM building. The thickness of cavity wall leaves, the air gap between the leaves and the size and spacing of timber joists are key aspects of the inventory.(ii) Experimental tests are performed on the most common connection typologies identified in the inventory. This phase consists of two distinct experimental campaigns:o The first experimental campaign took place at the laboratory of the Delft University of Technology to provide a comprehensive characterisation of the axial behaviour of traditional metal tie connections in cavity walls. The campaign included a wide range of variations, such as two embedment lengths, four pre-compression levels, two different tie geometries, and five different testing protocols, including both monotonic and cyclic loading. The experimental results showed that the capacity of the wall tie connection is strongly influenced by the embedment length and the tie geometry, whereas the applied pre-compression and the loading rate do not have a significant influence.o The second experimental campaign has been carried out at the laboratory of the Hanze University of Applied Sciences to characterise the seismic behaviour of timber joist-masonry cavity wall connections, reproducing both as-built and strengthened conditions. Twenty-two unreinforced masonry wallets were tested, with different configurations, including two tie distributions, two pre-compression levels, two different as-built connections, and two different strengthening solutions. The experimental results highlighted the importance of cohesion and friction between joist and masonry since the type of failure mechanism (sliding of the joist or rocking failure of the masonry wallet) depends on the value of these two parameters. Additionally, the interaction between the joist and the wallet and the uplift of the latter activated due to rocking led to an arching effect that increased friction at the interface between the joist and the masonry. Consequently, the arching effect enhanced the force capacity of the connection.(iii) Mechanical and numerical models are proposed and validated against the performed experiments or other benchmarks. Mechanical and numerical models for the cavity wall tie and mechanical models for the timber joist-masonry connections were developed and verified by the experimental results to predict the failure mode and the strength capacity of the examined connections in URM buildings.o The mechanical model for the cavity wall tie connections considers six possible failures, namely tie failure, cone break-out failure, pull-out failure, buckling failure, piercing failure and punching failure. The mechanical model is able to capture the mean peak force and the failure mode obtained from the tests. After being calibrated against the available experiments, the proposed mechanical model is used to predict the performance of untested configurations by means of parametric analyses, including higher strength of mortar for calcium silicate brick masonry, different cavity depth, different tie embedment depth, and the use of solid bricks in place of perforated clay bricks.o The results of the experimental campaign on cavity wall ties were also utilised to calibrate a hysteretic numerical model representing the cyclic axial response of cavity wall tie connections. The proposed model uses zero-length elements implemented in OpenSees with the Pinching4 constitutive model to account for the compression-tension cyclic behaviour of the ties. The numerical model is able to capture important aspects of the tie response, such as strength degradation, unloading stiffness degradation, and pinching behaviour. The mechanical and numerical modelling approach can be easily adopted by practitioner engineers seeking to model the wall ties more accurately when assessing URM structures against earthquakes.o The mechanical model of timber-masonry connections examines two different failure modes: joist-sliding failure mode, including joist-to-wall interaction and rocking failure mode due to joist movement. Both mechanical models have been validated against the outcomes of the experimental campaigns conducted on the corresponding connections. The mechanical model is able to estimate each contribution of the studied mechanism. Structural engineers can use the mechanical model to predict the capacity of the connection for the studied failure modes.This research study can contribute to a better understanding of typical Groningen houses in terms of identifying the most common connections used at wall-to-wall and wall-to-floor connections in cavity walls, characterising the identified connections and proposing mechanical models for the studied connections.
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6th European Conference for Social Work Research In this paper, qualitative data are presented and analyzed to comprehend how social workers, volunteers, and users participate and construct change within hybrid practices. In the Nordic countries, there is an increasing concern about the stability of the social cohesion and the welfare states’ ability to secure inclusion and participation of people in marginalized positions.
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Citizen participation in local renewable energy projects is often promoted as many suppose it to be a panacea for the difficulties that are involved in the energy transition process. Quite evidently, it is not; there is a wide variety of visions, ideologies and interests related to an ‘energy transition’. Such a variety is actually a precondition for a stakeholder participation process, as stakeholder participation only makes sense if there is ‘something at stake’. Conflicting viewpoints, interests and debates are the essence of participation. The success of stakeholder participation implies that these differences are acknowledged, and discussed, and that this has created mutual understanding among stakeholders. It does not necessarily create ‘acceptance’. Renewable energy projects often give rise to local conflict. The successful implementation of local renewable energy systems depends on the support of the local social fabric. While at one hand decisions to construct wind turbines in specific regions trigger local resistance, the opposite also occurs! Solar parks sometimes create a similar variation: Various communities try to prevent the construction of solar parks in their vicinity, while other communities proudly present their parks. Altogether, local renewable energy initiatives create a rather chaotic picture, if regarded from the perspective of government planning. However, if we regard the successes, it appears the top down initiatives are most successful in areas with a weak social fabric, like industrial areas, or rather recently reclaimed land. Deeply rooted communities, virtually only have successful renewable energy projects that are more or less bottom up initiatives. This paper will first sketch why participation is important, and present a categorisation of processes and procedures that could be applied. It also sketches a number of myths and paradoxes that might occur in participation processes. ‘Compensating’ individuals and/or communities to accept wind turbines or solar parks is not sufficient to gain ‘acceptance’. A basic feature of many debates on local renewable energy projects is about ‘fairness’. The implication is that decision-making is neither on pros and cons of various renewable energy technologies as such, nor on what citizens are obliged to accept, but on a fair distribution of costs and benefits. Such discussions on fairness cannot be short cut by referring to legal rules, scientific evidence, or to standard financial compensations. History plays a role as old feelings of being disadvantaged, both at individual and at group level, might re-emerge in such debates. The paper will provide an overview of various local controversies on renewable energy initiatives in the Netherlands. It will argue that an open citizen participation process can be organized to work towards fair decisions, and that citizens should not be addressed as greedy subjects, trying to optimise their own private interests, but as responsible persons.
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