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This work presents a robust status monitoring approach for detecting damage in cantilever structures based on logistic functions. Also, a stochastic damage identification approach based on changes of eigenfrequencies is proposed. The proposed algorithms are verified using catenary poles of electrified railways track. The proposed damage features overcome the limitation of frequency-based damage identification methods available in the literature, which are valid to detect damage in structures to Level 1 only. Changes in eigenfrequencies of cantilever structures are enough to identify possible local damage at Level 3, i.e., to cover damage detection, localization, and quantification. The proposed algorithms identified the damage with relatively small errors, even at a high noise level.
Die Arbeit leistet einen wissenschaftlichen Beitrag zur Erforschung der Einsatzmöglichkeiten eines Immobilienportfoliomanagements für öffentliche museale Schlösserverwaltungen in Deutschland. Insbesondere wird ein für deren Organisation spezifisches Modell zur Investitionssteuerung herausgearbeitet und dessen Anwendbarkeit in der Praxis mit Experten diskutiert.
One of the most important subjects of hydraulic engineering is the reliable estimation of the transverse distribution in the rectangular channel of bed and wall shear stresses. This study makes use of the Tsallis entropy, genetic programming (GP) and adaptive neuro-fuzzy inference system (ANFIS) methods to assess the shear stress distribution (SSD) in the rectangular channel.
To evaluate the results of the Tsallis entropy, GP and ANFIS models, laboratory observations were used in which shear stress was measured using an optimized Preston tube. This is then used to measure the SSD in various aspect ratios in the rectangular channel. To investigate the shear stress percentage, 10 data series with a total of 112 different data for were used. The results of the sensitivity analysis show that the most influential parameter for the SSD in smooth rectangular channel is the dimensionless parameter B/H, Where the transverse coordinate is B, and the flow depth is H. With the parameters (b/B), (B/H) for the bed and (z/H), (B/H) for the wall as inputs, the modeling of the GP was better than the other one. Based on the analysis, it can be concluded that the use of GP and ANFIS algorithms is more effective in estimating shear stress in smooth rectangular channels than the Tsallis entropy-based equations.
Although it is impractical to avert subsequent natural disasters, advances in simulation science and seismological studies make it possible to lessen the catastrophic damage. There currently exists in many urban areas a large number of structures, which are prone to damage by earthquakes. These were constructed without the guidance of a national seismic code, either before it existed or before it was enforced. For instance, in Istanbul, Turkey, as a high seismic area, around 90% of buildings are substandard, which can be generalized into other earthquakeprone regions in Turkey. The reliability of this building stock resulting from earthquake-induced collapse is currently uncertain. Nonetheless, it is also not feasible to perform a detailed seismic vulnerability analysis on each building as a solution to the scenario, as it will be too complicated and expensive. This indicates the necessity of a reliable, rapid, and computationally easy method for seismic vulnerability assessment, commonly known as Rapid Visual Screening (RVS). In RVS methodology, an observational survey of buildings is performed, and according to the data collected during the visual inspection, a structural score is calculated without performing any structural calculations to determine the expected damage of a building and whether the building needs detailed assessment. Although this method might save time and resources due to the subjective/qualitative judgments of experts who performed the inspection, the evaluation process is dominated by vagueness and uncertainties, where the vagueness can be handled adequately through the fuzzy set theory but do not cover all sort of uncertainties due to its crisp membership functions. In this study, a novel method of rapid visual hazard safety assessment of buildings against earthquake is introduced in which an interval type-2 fuzzy logic system (IT2FLS) is used to cover uncertainties. In addition, the proposed method provides the possibility to evaluate the earthquake risk of the building by considering factors related to the building importance and exposure. A smartphone app prototype of the method has been introduced. For validation of the proposed method, two case studies have been selected, and the result of the analysis presents the robust efficiency of the proposed method.
In the last decades, Finite Element Method has become the main method in statics and dynamics analysis in engineering practice. For current problems, this method provides a faster, more flexible solution than the analytic approach. Prognoses of complex engineer problems that used to be almost impossible to solve are now feasible.
Although the finite element method is a robust tool, it leads to new questions about engineering solutions. Among these new problems, it is possible to divide into two major groups: the first group is regarding computer performance; the second one is related to understanding the digital solution.
Simultaneously with the development of the finite element method for numerical solutions, a theory between beam theory and shell theory was developed: Generalized Beam Theory, GBT. This theory has not only a systematic and analytical clear presentation of complicated structural problems, but also a compact and elegant calculation approach that can improve computer performance.
Regrettably, GBT was not internationally known since the most publications of this theory were written in German, especially in the first years. Only in recent years, GBT has gradually become a fertile research topic, with developments from linear to non-linear analysis.
Another reason for the misuse of GBT is the isolated application of the theory. Although recently researches apply finite element method to solve the GBT's problems numerically, the coupling between finite elements of GBT and other theories (shell, solid, etc) is not the subject of previous research. Thus, the main goal of this dissertation is the coupling between GBT and shell/membrane elements. Consequently, one achieves the benefits of both sides: the versatility of shell elements with the high performance of GBT elements.
Based on the assumptions of GBT, this dissertation presents how the separation of variables leads to two calculation's domains of a beam structure: a cross-section modal analysis and the longitudinal amplification axis. Therefore, there is the possibility of applying the finite element method not only in the cross-section analysis, but also the development for an exact GBT's finite element in the longitudinal direction.
For the cross-section analysis, this dissertation presents the solution of the quadratic eigenvalue problem with an original separation between plate and membrane mechanism. Subsequently, one obtains a clearer representation of the deformation mode, as well as a reduced quadratic eigenvalue problem.
Concerning the longitudinal direction, this dissertation develops the novel exact elements, based on hyperbolic and trigonometric shape functions. Although these functions do not have trivial expressions, they provide a recursive procedure that allows periodic derivatives to systematise the development of stiffness matrices. Also, these shape functions enable a single-element discretisation of the beam structure and ensure a smooth stress field.
From these developments, this dissertation achieves the formulation of its primary objective: the connection of GBT and shell elements in a mixed model. Based on the displacement field, it is possible to define the coupling equations applied in the master-slave method. Therefore, one can model the structural connections and joints with finite shell elements and the structural beams and columns with GBT finite element.
As a side effect, the coupling equations limit the displacement field of the shell elements under the assumptions of GBT, in particular in the neighbourhood of the coupling cross-section.
Although these side effects are almost unnoticeable in linear analysis, they lead to cumulative errors in non-linear analysis. Therefore, this thesis finishes with the evaluation of the mixed GBT-shell models in non-linear analysis.
Complex vortex flow patterns around bridge piers, especially during floods, cause scour process that can result in the failure of foundations. Abutment scour is a complex three-dimensional phenomenon that is difficult to predict especially with traditional formulas obtained using empirical approaches such as regressions. This paper presents a test of a standalone Kstar model with five novel hybrid algorithm of bagging (BA-Kstar), dagging (DA-Kstar), random committee (RC-Kstar), random subspace (RS-Kstar), and weighted instance handler wrapper (WIHWKstar) to predict scour depth (ds) for clear water condition. The dataset consists of 99 scour depth data from flume experiments (Dey and Barbhuiya, 2005) using abutment shapes such as vertical, semicircular and 45◦ wing. Four dimensionless parameter of relative flow depth (h/l), excess abutment Froude number (Fe), relative sediment size (d50/l) and relative submergence (d50/h) were considered for the prediction of relative scour depth (ds/l). A portion of the dataset was used for the calibration (70%), and the remaining used for model validation. Pearson correlation coefficients helped deciding relevance of the input parameters combination and finally four different combinations of input parameters were used. The performance of the models was assessed visually and with quantitative metrics. Overall, the best input combination for vertical abutment shape is the combination of Fe, d50/l and h/l, while for semicircular and 45◦ wing the combination of the Fe and d50/l is the most effective input parameter combination. Our results show that incorporating Fe, d50/l and h/l lead to higher performance while involving d50/h reduced the models prediction power for vertical abutment shape and for semicircular and 45◦ wing involving h/l and d50/h lead to more error. The WIHW-Kstar provided the highest performance in scour depth prediction around vertical abutment shape while RC-Kstar model outperform of other models for scour depth prediction around semicircular and 45◦ wing.
The concept of information entropy together with the principle of maximum entropy to open channel flow is essentially based on some physical consideration of the problem under consideration. This paper is a discussion on Yeganeh and Heidari (2020)’s paper, who proposed a new approach for measuring vertical distribution of streamwise velocity in open channels. The discussers argue that their approach is conceptually incorrect and thus leads to a physically unrealistic situation. In addition, the discussers found some wrong mathematical expressions (which are assumed to be typos) written in the paper, and also point out that the authors did not cite some of the original papers on the topic.
The development of a hydro-mechanically coupled Coupled-Eulerian–Lagrangian (CEL) method and its application to the back-analysisof vibratory pile driving model tests in water-saturated sand is presented. The predicted pile penetration using this approachis in good agreement with the results of the model tests as well as with fully Lagrangian simulations. In terms of pore water pressure, however, the results of the CEL simulation show a slightly worse accordance with the model tests compared to the Lagrangian simulation. Some shortcomings of the hydro-mechanically coupled CEL method in case of frictional contact problems and pore fluids with high bulk modulus are discussed. Lastly, the CEL method is applied to the simulation of vibratory driving of open-profile piles under partially drained conditions to study installation-induced changes in the soil state. It is concluded that the proposed method is capable of realistically reproducing the most important mechanisms in the soil during the driving process despite its addressed shortcomings.
Transformation of the Environment: Influence of “Urban Reagents.” German and Russian Case Studies
(2021)
An urban regeneration manifests itself through urban objects operating as change agents. The en-tailed diverse effects on the surroundings demonstrate experimental origin - an experiment as a preplanned but unpredictable method. An understanding of influences and features of urban ob-jects requires scrutiny due to a high potential of the elements to force an alteration and reactions. This dissertation explores the transformation of the milieu and mechanisms of this transformation.
In recent years, substantial attention has been devoted to thermoelastic multifield problems and their numerical analysis. Thermoelasticity is one of the important categories of multifield problems which deals with the effect of mechanical and thermal disturbances on an elastic body. In other words, thermoelasticity encompasses the phenomena that describe the elastic and thermal behavior of solids and their interactions under thermo-mechanical loadings. Since providing an analytical solution for general coupled thermoelasticity problems is mathematically complicated, the development of alternative numerical solution techniques seems essential.
Due to the nature of numerical analysis methods, presence of error in results is inevitable, therefore in any numerical simulation, the main concern is the accuracy of the approximation. There are different error estimation (EE) methods to assess the overall quality of numerical approximation. In many real-life numerical simulations, not only the overall error, but also the local error or error in a particular quantity of interest is of main interest. The error estimation techniques which are developed to evaluate the error in the quantity of interest are known as “goal-oriented” error estimation (GOEE) methods.
This project, for the first time, investigates the classical a posteriori error estimation and goal-oriented a posteriori error estimation in 2D/3D thermoelasticity problems. Generally, the a posteriori error estimation techniques can be categorized into two major branches of recovery-based and residual-based error estimators. In this research, application of both recovery- and residual-based error estimators in thermoelasticity are studied. Moreover, in order to reduce the error in the quantity of interest efficiently and optimally in 2D and 3D thermoelastic problems, goal-oriented adaptive mesh refinement is performed.
As the first application category, the error estimation in classical Thermoelasticity (CTE) is investigated. In the first step, a rh-adaptive thermo-mechanical formulation based on goal-oriented error estimation is proposed.The developed goal-oriented error estimation relies on different stress recovery techniques, i.e., the superconvergent patch recovery (SPR), L2-projection patch recovery (L2-PR), and weighted superconvergent patch recovery (WSPR). Moreover, a new adaptive refinement strategy (ARS) is presented that minimizes the error in a quantity of interest and refines the discretization such that the error is equally distributed in the refined mesh. The method is validated by numerous numerical examples where an analytical solution or reference solution is available.
After investigating error estimation in classical thermoelasticity and evaluating the quality of presented error estimators, we extended the application of the developed goal-oriented error estimation and the associated adaptive refinement technique to the classical fully coupled dynamic thermoelasticity. In this part, we present an adaptive method for coupled dynamic thermoelasticity problems based on goal-oriented error estimation. We use dimensionless variables in the finite element formulation and for the time integration we employ the acceleration-based Newmark-_ method. In this part, the SPR, L2-PR, and WSPR recovery methods are exploited to estimate the error in the quantity of interest (QoI). By using
adaptive refinement in space, the error in the quantity of interest is minimized. Therefore, the discretization is refined such that the error is equally distributed in the refined mesh. We demonstrate the efficiency of this method by numerous numerical examples.
After studying the recovery-based error estimators, we investigated the residual-based error estimation in thermoelasticity. In the last part of this research, we present a 3D adaptive method for thermoelastic problems based on goal-oriented error estimation where the error is measured with respect to a pointwise quantity of interest. We developed a method for a posteriori error estimation and mesh adaptation based on dual weighted residual (DWR) method relying on the duality principles and consisting of an adjoint problem solution. Here, we consider the application of the derived estimator and mesh refinement to two-/three-dimensional (2D/3D) thermo-mechanical multifield problems. In this study, the goal is considered to be given by singular pointwise functions, such as the point value or point value derivative at a specific point of interest (PoI). An adaptive algorithm has been adopted to refine the mesh to minimize the goal in the quantity of interest.
The mesh adaptivity procedure based on the DWR method is performed by adaptive local h-refinement/coarsening with allowed hanging nodes. According to the proposed DWR method, the error contribution of each element is evaluated. In the refinement process, the contribution of each element to the goal error is considered as the mesh refinement criterion.
In this study, we substantiate the accuracy and performance of this method by several numerical examples with available analytical solutions. Here, 2D and 3D problems under thermo-mechanical loadings are considered as benchmark problems. To show how accurately the derived estimator captures the exact error in the evaluation of the pointwise quantity of interest, in all examples, considering the analytical solutions, the goal error effectivity index as a standard measure of the quality of an estimator is calculated. Moreover, in order to demonstrate the efficiency of the proposed method and show the optimal behavior of the employed refinement method, the results of different conventional error estimators and refinement techniques (e.g., global uniform refinement, Kelly, and weighted Kelly techniques) are used for comparison.
The Marmara Region (NW Turkey) has experienced significant earthquakes (M > 7.0) to date. A destructive earthquake is also expected in the region. To determine the effect of the specific design spectrum, eleven provinces located in the region were chosen according to the Turkey Earthquake Building Code updated in 2019. Additionally, the differences between the previous and updated regulations of the country were investigated. Peak Ground Acceleration (PGA) and Peak Ground Velocity (PGV) were obtained for each province by using earthquake ground motion levels with 2%, 10%, 50%, and 68% probability of exceedance in 50-year periods. The PGA values in the region range from 0.16 to 0.7 g for earthquakes with a return period of 475 years. For each province, a sample of a reinforced-concrete building having two different numbers of stories with the same ground and structural characteristics was chosen. Static adaptive pushover analyses were performed for the sample reinforced-concrete building using each province’s design spectrum. The variations in the earthquake and structural parameters were investigated according to different geographical locations. It was determined that the site-specific design spectrum significantly influences target displacements for performance-based assessments of buildings due to seismicity characteristics of the studied geographic location.
A Machine Learning Framework for Assessing Seismic Hazard Safety of Reinforced Concrete Buildings
(2020)
Although averting a seismic disturbance and its physical, social, and economic disruption is practically impossible, using the advancements in computational science and numerical modeling shall equip humanity to predict its severity, understand the outcomes, and equip for post-disaster management. Many buildings exist amidst the developed metropolitan areas, which are senile and still in service. These buildings were also designed before establishing national seismic codes or without the introduction of construction regulations. In that case, risk reduction is significant for developing alternatives and designing suitable models to enhance the existing structure’s performance. Such models will be able to classify risks and casualties related to possible earthquakes through emergency preparation. Thus, it is crucial to recognize structures that are susceptible to earthquake vibrations and need to be prioritized for retrofitting. However, each building’s behavior under seismic actions cannot be studied through performing structural analysis, as it might be unrealistic because of the rigorous computations, long period, and substantial expenditure. Therefore, it calls for a simple, reliable, and accurate process known as Rapid Visual Screening (RVS), which serves as a primary screening platform, including an optimum number of seismic parameters and predetermined performance damage conditions for structures. In this study, the damage classification technique was studied, and the efficacy of the Machine Learning (ML) method in damage prediction via a Support Vector Machine (SVM) model was explored. The ML model is trained and tested separately on damage data from four different earthquakes, namely Ecuador, Haiti, Nepal, and South Korea. Each dataset consists of varying numbers of input data and eight performance modifiers. Based on the study and the results, the ML model using SVM classifies the given input data into the belonging classes and accomplishes the performance on hazard safety evaluation of buildings.
Recently, the demand for residence and usage of urban infrastructure has been increased, thereby resulting in the elevation of risk levels of human lives over natural calamities. The occupancy demand has rapidly increased the construction rate, whereas the inadequate design of structures prone to more vulnerability. Buildings constructed before the development of seismic codes have an additional susceptibility to earthquake vibrations. The structural collapse causes an economic loss as well as setbacks for human lives. An application of different theoretical methods to analyze the structural behavior is expensive and time-consuming. Therefore, introducing a rapid vulnerability assessment method to check structural performances is necessary for future developments. The process, as mentioned earlier, is known as Rapid Visual Screening (RVS). This technique has been generated to identify, inventory, and screen structures that are potentially hazardous. Sometimes, poor construction quality does not provide some of the required parameters; in this case, the RVS process turns into a tedious scenario. Hence, to tackle such a situation, multiple-criteria decision-making (MCDM) methods for the seismic vulnerability assessment opens a new gateway. The different parameters required by RVS can be taken in MCDM. MCDM evaluates multiple conflicting criteria in decision making in several fields. This paper has aimed to bridge the gap between RVS and MCDM. Furthermore, to define the correlation between these techniques, implementation of the methodologies from Indian, Turkish, and Federal Emergency Management Agency (FEMA) codes has been done. The effects of seismic vulnerability of structures have been observed and compared.
Self-healing materials have recently become more popular due to their capability to autonomously and autogenously repair the damage in cementitious materials. The concept of self-healing gives the damaged material the ability to recover its stiffness. This gives a difference in comparing with a material that is not subjected to healing. Once this material is damaged, it cannot sustain loading due to the stiffness degradation. Numerical modeling of self-healing materials is still in its infancy. Multiple experimental researches were conducted in literature to describe the behavior of self-healing of cementitious materials. However, few numerical investigations were undertaken.
The thesis presents an analytical framework of self-healing and super healing materials based on continuum damage-healing mechanics. Through this framework, we aim to describe the recovery and strengthening of material stiffness and strength. A simple damage healing law is proposed and applied on concrete material. The proposed damage-healing law is based on a new time-dependent healing variable. The damage-healing model is applied on isotropic concrete material at the macroscale under tensile load. Both autonomous and autogenous self-healing mechanisms are simulated under different loading conditions. These two mechanisms are denoted in the present work by coupled and uncoupled self-healing mechanisms, respectively. We assume in the coupled self-healing that the healing occurs at the same time with damage evolution, while we assume in the uncoupled self-healing that the healing occurs when the material is deformed and subjected to a rest period (damage is constant). In order to describe both coupled and uncoupled healing mechanisms, a one-dimensional element is subjected to different types of loading history.
In the same context, derivation of nonlinear self-healing theory is given, and comparison of linear and nonlinear damage-healing models is carried out using both coupled and uncoupled self-healing mechanisms. The nonlinear healing theory includes generalized nonlinear and quadratic healing models. The healing efficiency is studied by varying the values of the healing rest period and the parameter describing the material characteristics. In addition, theoretical formulation of different self-healing variables is presented for both isotropic and anisotropic maerials. The healing variables are defined based on the recovery in elastic modulus, shear modulus, Poisson's ratio, and bulk modulus. The evolution of the healing variable calculated based on cross-section as function of the healing variable calculated based on elastic stiffness is presented in both hypotheses of elastic strain equivalence and elastic energy equivalence. The components of the fourth-rank healing tensor are also obtained in the case of isotropic elasticity, plane stress and plane strain.
Recent research revealed that self-healing presents a crucial solution also for the strengthening of the materials. This new concept has been termed ``Super Healing``. Once the stiffness of the material is recovered, further healing can result as a strengthening material. In the present thesis, new theory of super healing materials is defined in isotropic and anisotropic cases using sound mathematical and mechanical principles which are applied in linear and nonlinear super healing theories. Additionally, the link of the proposed theory with the theory of undamageable materials is outlined. In order to describe the super healing efficiency in linear and nonlinear theories, the ratio of effective stress to nominal stress is calculated as function of the super healing variable. In addition, the hypotheses of elastic strain and elastic energy equivalence are applied. In the same context, new super healing matrix in plane strain is proposed based on continuum damage-healing mechanics.
In the present work, we also focus on numerical modeling of impact behavior of reinforced concrete slabs using the commercial finite element package Abaqus/Explicit. Plain and reinforced concrete slabs of unconfined compressive strength 41 MPa are simulated under impact of ogive-nosed hard projectile. The constitutive material modeling of the concrete and steel reinforcement bars is performed using the Johnson-Holmquist-2 damage and the Johnson-Cook plasticity material models, respectively. Damage diameters and residual velocities obtained by the numerical model are compared with the experimental results and effect of steel reinforcement and projectile diameter is studied.
Abstract In the first part of this research, the utilization of tuned mass dampers in the vibration control of tall buildings during earthquake excitations is studied. The main issues such as optimizing the parameters of the dampers and studying the effects of frequency content of the target earthquakes are addressed.
Abstract The non-dominated sorting genetic algorithm method is improved by upgrading generic operators, and is utilized to develop a framework for determining the optimum placement and parameters of dampers in tall buildings. A case study is presented in which the optimal placement and properties of dampers are determined for a model of a tall building under different earthquake excitations through computer simulations.
Abstract In the second part, a novel framework for the brain learning-based intelligent seismic control of smart structures is developed. In this approach, a deep neural network learns how to improve structural responses during earthquake excitations using feedback control.
Abstract Reinforcement learning method is improved and utilized to develop a framework for training the deep neural network as an intelligent controller. The efficiency of the developed framework is examined through two case studies including a single-degree-of-freedom system and a high-rise building under different earthquake excitation records.
Abstract The results show that the controller gradually develops an optimum control policy to reduce the vibrations of a structure under an earthquake excitation through a cyclical process of actions and observations.
Abstract It is shown that the controller efficiently improves the structural responses under new earthquake excitations for which it was not trained. Moreover, it is shown that the controller has a stable performance under uncertainties.
In conjunction with the improved methods of monitoring damage and degradation processes, the interest in reliability assessment of reinforced concrete bridges is increasing in recent years. Automated imagebased inspections of the structural surface provide valuable data to extract quantitative information about deteriorations, such as crack patterns. However, the knowledge gain results from processing this information in a structural context, i.e. relating the damage artifacts to building components. This way, transformation to structural analysis is enabled. This approach sets two further requirements: availability of structural bridge information and a standardized storage for interoperability with subsequent analysis tools. Since the involved large datasets are only efficiently processed in an automated manner, the implementation of the complete workflow from damage and building data to structural analysis is targeted in this work. First, domain concepts are derived from the back-end tasks: structural analysis, damage modeling, and life-cycle assessment. The common interoperability format, the Industry Foundation Class (IFC), and processes in these domains are further assessed. The need for usercontrolled interpretation steps is identified and the developed prototype thus allows interaction at subsequent model stages. The latter has the advantage that interpretation steps can be individually separated into either a structural analysis or a damage information model or a combination of both. This approach to damage information processing from the perspective of structural analysis is then validated in different case studies.
Rapid Visual Screening (RVS) is a procedure that estimates structural scores for buildings and prioritizes their retrofit and upgrade requirements. Despite the speed and simplicity of RVS, many of the collected parameters are non-commensurable and include subjectivity due to visual observations. This might cause uncertainties in the evaluation, which emphasizes the use of a fuzzy-based method. This study aims to propose a novel RVS methodology based on the interval type-2 fuzzy logic system (IT2FLS) to set the priority of vulnerable building to undergo detailed assessment while covering uncertainties and minimizing their effects during evaluation. The proposed method estimates the vulnerability of a building, in terms of Damage Index, considering the number of stories, age of building, plan irregularity, vertical irregularity, building quality, and peak ground velocity, as inputs with a single output variable. Applicability of the proposed method has been investigated using a post-earthquake damage database of reinforced concrete buildings from the Bingöl and Düzce earthquakes in Turkey.
Synergistic Framework for Analysis and Model Assessment in Bridge Aerodynamics and Aeroelasticity
(2020)
Wind-induced vibrations often represent a major design criterion for long-span bridges. This work deals with the assessment and development of models for aerodynamic and aeroelastic analyses of long-span bridges.
Computational Fluid Dynamics (CFD) and semi-analytical aerodynamic models are employed to compute the bridge response due to both turbulent and laminar free-stream. For the assessment of these models, a comparative methodology is developed that consists of two steps, a qualitative and a quantitative one. The first, qualitative, step involves an extension
of an existing approach based on Category Theory and its application to the field of bridge aerodynamics. Initially, the approach is extended to consider model comparability and completeness. Then, the complexity of the CFD and twelve semi-analytical models are evaluated based on their mathematical constructions, yielding a diagrammatic representation of model quality.
In the second, quantitative, step of the comparative methodology, the discrepancy of a system response quantity for time-dependent aerodynamic models is quantified using comparison metrics for time-histories. Nine metrics are established on a uniform basis to quantify the discrepancies in local and global signal features that are of interest in bridge aerodynamics. These signal features involve quantities such as phase, time-varying frequency and magnitude content, probability density, non-stationarity, and nonlinearity.
The two-dimensional (2D) Vortex Particle Method is used for the discretization of the Navier-Stokes equations including a Pseudo-three dimensional (Pseudo-3D) extension within an existing CFD solver. The Pseudo-3D Vortex Method considers the 3D structural behavior for aeroelastic analyses by positioning 2D fluid strips along a line-like structure. A novel turbulent Pseudo-3D Vortex Method is developed by combining the laminar Pseudo-3D VPM and a previously developed 2D method for the generation of free-stream turbulence. Using analytical derivations, it is shown that the fluid velocity correlation is maintained between the CFD strips.
Furthermore, a new method is presented for the determination of the complex aerodynamic admittance under deterministic sinusoidal gusts using the Vortex Particle Method. The sinusoidal gusts are simulated by modeling the wakes of flapping airfoils in the CFD domain with inflow vortex particles. Positioning a section downstream yields sinusoidal forces that are used for determining all six components of the complex aerodynamic admittance. A closed-form analytical relation is derived, based on an existing analytical model. With this relation, the inflow particles’ strength can be related with the target gust amplitudes a priori.
The developed methodologies are combined in a synergistic framework, which is applied to both fundamental examples and practical case studies. Where possible, the results are verified and validated. The outcome of this work is intended to shed some light on the complex wind–bridge interaction and suggest appropriate modeling strategies for an enhanced design.
The assessment of wind-induced vibrations is considered vital for the design of long-span bridges. The aim of this research is to develop a methodological framework for robust and efficient prediction strategies for complex aerodynamic phenomena using hybrid models that employ numerical analyses as well as meta-models. Here, an approach to predict motion-induced aerodynamic forces is developed using artificial neural network (ANN). The ANN is implemented in the classical formulation and trained with a comprehensive dataset which is obtained from computational fluid dynamics forced vibration simulations. The input to the ANN is the response time histories of a bridge section, whereas the output is the motion-induced forces. The developed ANN has been tested for training and test data of different cross section geometries which provide promising predictions. The prediction is also performed for an ambient response input with multiple frequencies. Moreover, the trained ANN for aerodynamic forcing is coupled with the structural model to perform fully-coupled fluid--structure interaction analysis to determine the aeroelastic instability limit. The sensitivity of the ANN parameters to the model prediction quality and the efficiency has also been highlighted. The proposed methodology has wide application in the analysis and design of long-span bridges.
Long-span bridges are prone to wind-induced vibrations. Therefore, a reliable representation of the aerodynamic forces acting on a bridge deck is of a major significance for the design of such structures. This paper presents a systematic study of the two-dimensional (2D) fluid-structure interaction of a bridge deck under smooth and turbulent wind conditions. Aerodynamic forces are modeled by two approaches: a computational fluid dynamics (CFD) model and six semi-analytical models. The vortex particle method is utilized for the CFD model and the free-stream turbulence is introduced by seeding vortex particles upstream of the deck with prescribed spectral characteristics. The employed semi-analytical models are based on the quasi-steady and linear unsteady assumptions and aerodynamic coefficients obtained from CFD analyses.
The underlying assumptions of the semi-analytical aerodynamic models are used to interpret the results of buffeting forces and aeroelastic response due to a free-stream turbulence in comparison with the CFD model. Extensive discussions are provided to analyze the effect of linear fluid memory and quasi-steady nonlinearity from a CFD perspective. The outcome of the analyses indicates that the fluid memory is a governing effect in the buffeting forces and aeroelastic response, while the effect of the nonlinearity is overestimated by the quasi-steady models. Finally, flutter analyses are performed and the obtained critical velocities are further compared with wind tunnel results, followed by a brief examination of the post-flutter behavior. The results of this study provide a deeper understanding of the extent of which the applied models are able to replicate the physical processes for fluid-structure interaction phenomena in bridge aerodynamics and aeroelasticity.
The accurate representation of aerodynamic forces is essential for a safe, yet reasonable design of long-span bridges subjected to wind effects. In this paper, a novel extension of the Pseudo-three-dimensional Vortex Particle Method (Pseudo-3D VPM) is presented for Computational Fluid Dynamics (CFD) buffeting analysis of line-like structures. This extension entails an introduction of free-stream turbulent fluctuations, based on the velocity-based turbulence generation. The aerodynamic response of a long-span bridge is obtained by subjecting the 3D dynamic representation of the structure to correlated free-stream turbulence in two-dimensional (2D) fluid planes, which are positioned along the bridge deck. The span-wise correlation of the free-stream turbulence between the 2D fluid planes is established based on Taylor's hypothesis of frozen turbulence. Moreover, the application of the laminar Pseudo-3D VPM is extended to a multimode flutter analysis. Finally, the structural response from the Pseudo-3D flutter and buffeting analyses is verified with the response, computed using the semi-analytical linear unsteady model in the time-domain. Meaningful merits of the turbulent Pseudo-3D VPM with respect to the linear unsteady model are the consideration of the 2D aerodynamic nonlinearity, nonlinear fluid memory, vortex shedding and local non-stationary turbulence effects in the aerodynamic forces. The good agreement of the responses for the two models in the 3D analyses demonstrates the applicability of the Pseudo-3D VPM for aeroelastic analyses of line-like structures under turbulent and laminar free-stream conditions.
Long-span bridges are prone to wind-induced vibrations. Therefore, a reliable representation of the aerodynamic forces acting on a bridge deck is of a major significance for the design of such structures. This paper presents a systematic study of the two-dimensional (2D) fluid-structure interaction of a bridge deck under smooth and turbulent wind conditions. Aerodynamic forces are modeled by two approaches: a computational fluid dynamics (CFD) model and six semi-analytical models. The vortex particle method is utilized for the CFD model and the free-stream turbulence is introduced by seeding vortex particles upstream of the deck with prescribed spectral characteristics. The employed semi-analytical models are based on the quasi-steady and linear unsteady assumptions and aerodynamic coefficients obtained from CFD analyses.
The underlying assumptions of the semi-analytical aerodynamic models are used to interpret the results of buffeting forces and aeroelastic response due to a free-stream turbulence in comparison with the CFD model. Extensive discussions are provided to analyze the effect of linear fluid memory and quasi-steady nonlinearity from a CFD perspective. The outcome of the analyses indicates that the fluid memory is a governing effect in the buffeting forces and aeroelastic response, while the effect of the nonlinearity is overestimated by the quasi-steady models. Finally, flutter analyses are performed and the obtained critical velocities are further compared with wind tunnel results, followed by a brief examination of the post-flutter behavior. The results of this study provide a deeper understanding of the extent of which the applied models are able to replicate the physical processes for fluid-structure interaction phenomena in bridge aerodynamics and aeroelasticity.
Identifying cable force with vibration-based methods has become widely used in engineering practice due to simplicity of application. The string taut theory provides a simple definition of the relationship between natural frequencies and the tension force of a cable. However, this theory assumes a perfectly flexible non-sagging cable pinned at its ends. These assumptions do not reflect all cases, especially when the cable is short, under low tension forces or the supports are partially flexible. Extradosed bridges, which are distinguished from cable-stayed bridges by their low pylon height, have shorter cables. Therefore the application of the conventional string taut theory to identify cable forces on extradosed bridge cables might be inadequate to identify cable forces.
In this work, numerical modelling of an extradosed bridge cable saddled on a circular deviator at pylon is conducted. The model is validated with the catenary analytical solution and its static and dynamic behaviours are studied. The effect of a saddle support is found to positively affect the cable stiffness by geometric means; longer saddle radius increases the cable stiffness by suppressing the deformations near the saddle. Further, accounting the effects of bending stiffness in the numerical model by using beam elements show considerable deviation from models with truss elements (i.e. zero bending stiffness). This deviation is manifested when comparing the static and dynamic properties. This motivates a more thorough study of bending stiffness effects on short cables.
Bending stiffness effects are studied using two rods connected with several springs along their length. Under bending moments, the springs resist the rods' relative axial displacement by the springs' transverse component. This concept is used to identify bending stiffness values by utilizing the parallel axis theorem to quantify ratios of the second moment of area. These ratios are calculated based on the setup of the springs (e.g. number of springs per unit length, transverse stiffness, etc...). The numerical model based on this concept agrees well with the theoretical values computed using upper and lower bounds of the parallel axis theorem.
The proposed concept of quantifying ratios of the second moment of area using springs as connection between cable rods is applied on an actual extradosed bridge geometry. The model is examined by comparison to the previously validated global numerical model. The two models showed good correlation under various changing parameters. This allowed further study of the effects of stick/slip behaviour between cable rods on an actual bridge geometry.
Renewable energy use is on the rise and these alternative resources of energy can help combat with the climate change. Around 80% of the world's electricity comes from coal and petroleum however, the renewables are the fastest growing source of energy in the world. Solar, wind, hydro, geothermal and biogas are the most common forms of renewable energy. Among them, wind energy is emerging as a reliable and large-scaled source of power production. The recent research and confidence in the performance has led to the construction of more and bigger wind turbines around the world. As wind turbines are getting bigger, a concern regarding their safety is also in discussion. Wind turbines are expensive machinery to construct and the enormous capital investment is one of the main reasons, why many countries are unable to adopt to the wind energy. Generally, a reliable wind turbine will result in better performance and assist in minimizing the cost of operation. If a wind turbine fails, it's a loss of investment and can be harmful for the surrounding habitat. This thesis aims towards estimating the reliability of an offshore wind turbine. A model of Jacket type offshore wind turbine is prepared by using finite element software package ABAQUS and is compared with the structural failure criteria of the wind turbine tower. UQLab, which is a general uncertainty quantification framework developed at ETH Zürich, is used for the reliability analysis. Several probabilistic methods are included in the framework of UQLab, which include Monte Carlo, First Order Reliability Analysis and Adaptive Kriging Monte Carlo simulation. This reliability study is performed only for the structural failure of the wind turbine but it can be extended to many other forms of failures e.g. reliability for power production, or reliability for different component failures etc. It's a useful tool that can be utilized to estimate the reliability of future wind turbines, that could result in more safer and better performance of wind turbines.
Bei einem marktüblichen Calciumsulfat-Fließestrich wurden in der Praxis schädigende Volu-menexpansionen festgestellt. Diese sind ein Resultat aus dem Zusammenwirken des einge-setzten Bindemittel-Compounds und einer kritischen Gesteinskörnung.
Das Ziel dieser Arbeit ist es, ein Calciumsulfat-Bindemittelsystem zu konfektionieren, welches in der Lage ist, die im Mörtel festgestellten Volumenexpansionen zu unterbinden. Es sollen verschiedene Bindemittel- und Additivzusammensetzungen untersucht werden, welche in Verbindung mit der kritischen Gesteinskörnung die Herstellung eines volumenstabilen Fließestrichs ermöglichen. Dazu soll folgende Fragestellung beantwortet werden: Welche Ursachen hat die Volumenzunahme und wie ist diese zu minimieren bzw. unterbinden?
Dabei werden unterschiedliche Bindemittelrezepturen aus α-Halbhydrat, Thermoanhydrit und Naturanhydrit, sowie verschiedene Additivzusammensetzungen hergestellt und untersucht.
Durch Längenänderungsmessungen in der Schwindrinne werden die Einflüsse der Binde-mittel, der Additivzusammensetzungen und der Wasser/Bindemittel-Werte auf das Län-genänderungsverhalten untersucht. Mittels Variation der einzelnen Compound-Bestandteile kann festgestellt werden, dass der Stabilisierer die Längenänderung negativ beeinflusst. Dieser bindet freies Wasser, welches für eine Reaktion zwischen Bindemittel und Gesteins-körnung im plastischen Zustand nicht mehr zur Verfügung steht. Diese Reaktion kann folglich erst im erhärteten Zustand ablaufen und verursacht die schädigende Volumenexpansion.
Abschließend wurde ein Bindemittel-Compound konfektioniert, welcher ohne Zusatz von Stabilisierern in Zusammenhang mit der kritischen Gesteinskörnung volumenstabil ist und keine Schäden auslöst.
Structural optimization has gained considerable attention in the design of structural engineering structures, especially in the preliminary phase.
This study introduces an unconventional approach for structural optimization by utilizing the Energy method with Integral Material Behavior (EIM), based on the Lagrange’s principle of minimum potential energy. An automated two-level optimization search process is proposed, which integrates the EIM, as an alternative method for nonlinear
structural analysis, and the bilevel optimization. The proposed procedure secures the equilibrium through minimizing the potential energy on one level, and on a higher level, a design objective function. For this, the most robust strategy of bilevel optimization, the nested method is used. The function of the potential energy is investigated along with its instabilities for physical nonlinear analysis through principle examples, by which the advantages and limitations using this method are reviewed. Furthermore, optimization algorithms are discussed.
A numerical fully functional code is developed for nonlinear cross section,
element and 2D frame analysis, utilizing different finite elements and is verified
against existing EIM programs. As a proof of concept, the method is applied on selected
examples using this code on cross section and element level. For the former one a
comparison is made with standard procedure, by employing the equilibrium equations
within the constrains. The validation of the element level was proven by a theoretical
solution of an arch bridge and finally, a truss bridge is optimized. Most of the
principle examples are chosen to be adequate for the everyday engineering practice, to
demonstrate the effectiveness of the proposed method.
This study implies that with further development, this method could become just as
competitive as the conventional structural optimization techniques using the Finite
Element Method.
Components of structural glazing have to meet different requirements and resist various impacts, depending on the field of application. Within an international research project of the EU innovation program Horizon 2020, special glass panes with a fluid circulating in capillaries are developed exploiting solar energy. Major influences to this glazing are UV irradiation and the fluidic contact, effecting the mechanical and optical durability of the bonding material within the glass setup. Regarding to visual requirements, acrylate adhesives and EVA films are analyzed as possible bonding materials by destructive and non-destructive testing methods. Two types of specimen are presented for obtaining the mechanical behavior and the surface appearances of the bonding material.
The vibration control of the tall building during earthquake excitations is a challenging task due to their complex seismic behavior. This paper investigates the optimum placement and properties of the Tuned Mass Dampers (TMDs) in tall buildings, which are employed to control the vibrations during earthquakes. An algorithm was developed to spend a limited mass either in a single TMD or in multiple TMDs and distribute them optimally over the height of the building. The Non-dominated Sorting Genetic Algorithm (NSGA – II) method was improved by adding multi-variant genetic operators and utilized to simultaneously study the optimum design parameters of the TMDs and the optimum placement. The results showed that under earthquake excitations with noticeable amplitude in higher modes, distributing TMDs over the height of the building is more effective in mitigating the vibrations compared to the use of a single TMD system. From the optimization, it was observed that the locations of the TMDs were related to the stories corresponding to the maximum modal displacements in the lower modes and the stories corresponding to the maximum modal displacements in the modes which were highly activated by the earthquake excitations. It was also noted that the frequency content of the earthquake has significant influence on the optimum location of the TMDs.
Die Zonenmethode nach Hertz ist ein vereinfachtes Verfahren zur Heißbemessung von Stahlbetonbauteilen. Um eine händische Bemessung zu ermöglichen, werden daher verschiedene Annahmen und Vereinfachungen getroffen. Insbesondere werden die thermischen Dehnungen vernachlässigt und das mechanische Verhalten durch einen verkleinerten Querschnitt mit konstanten Stoffeigenschaften beschrieben.
Ziel der vorliegenden Arbeit ist, dieses vereinfachte Verfahren in ein nichtlineares Verfahren zur Heißbemessung von Stahlbetondruckgliedern bei Brandbeanspruchung durch die Einheits-Temperaturzeitkurve zu überführen. Dazu werden die wesentlichen Annahmen der Zonenmethode überprüft und ein Vorschlag zur Weiterentwicklung vorgestellt. Dieser beruht im Wesentlichen auf der Modellierung der druckbeanspruchten Bewehrung. Diese weiterentwickelte Zonenmethode wird durch die Nachrechnung von Laborversuchen validiert und das Sicherheitsniveau durch eine vollprobabilistische Analyse und den Vergleich mit dem allgemeinen Verfahren bestimmt.
The capitalization of ‘certified’ sustainable building sector will be investigated over the power theory of value approach of Jonathan Nitzan and Shimshon Bichler. The study will be initiated by questioning why the environment problems are one of the first items on the agenda and by sharing the ideas of scholars who approaches the subject skeptically, because the predominant literature underlying the necessity and prominence of the topic is already well-known and adapted by the majority. Over the theory developed by Nitzan and Bichler, the concepts of capitalization, strategic sabotage, power, legitimacy, and obedience will be discussed. The hypothesis of “the absentee owners of the construction sector, holding the whip hand and capitalizing the ecology, control the growth and the creativity of green building production and make it carbon-dependent, in order to increase their profit margin” will be questioned. To strengthen the arguments in the hypothesis, the factors, the institutional arrangements, value measurement methods, which affect directly the net present value, will be investigated both in corporation and in building scale in detail, because net present value/ capitalization is asserted as the most important criteria by Nitzan and Bichler to make the investment decisions in the capitalist economic system. To trace the implications of power and the strategic sabotage that power caused, as the empirical dimension of this dissertation, an interface exploring the correlational ties between the climate responsive architecture and the ever changing political, economical, and social contexts and building economics praxis by decades will be developed and the expert interviews will be conducted with the design teams and the appraisers.
Occupant needs with regard to residential buildings are not well known due to a lack of representative scientific studies. To improve the lack of data, a large scale study was carried out using a Post Occupancy Evaluation of 1,416 building occupants. Several criteria describing the needs of occupants were evaluated with regard to their subjective level of relevance. Additionally, we investigated the degree to which deficiencies subjectively exist, and the degree to which occupants were able to accept them. From the data obtained, a hierarchy of criteria was created. It was found that building occupants ranked the physiological needs of air quality and thermal comfort the highest. Health hazards such as mould and contaminated building materials were unacceptable for occupants, while other deficiencies were more likely to be tolerated. Occupant satisfaction was also investigated. We found that most occupants can be classified as satisfied, although some differences do exist between different populations. To explain the relationship between the constructs of what we call relevance, acceptance, deficiency and satisfaction, we then created an explanatory model. Using correlation and regression analysis, the validity of the model was then confirmed by applying the collected data. The results of the study are both relevant in shaping further research and in providing guidance on how to maximize tenant satisfaction in real estate management.
As part of an international research project – funded by the European Union – capillary glasses for facades are being developed exploiting storage energy by means of fluids flowing through the capillaries. To meet highest visual demands, acrylate adhesives and EVA films are tested as possible bonding materials for the glass setup. Especially non-destructive methods (visual analysis, analysis of birefringent properties and computed tomographic data) are applied to evaluate failure patterns as well as the long-term behavior considering climatic influences. The experimental investigations are presented after different loading periods, providing information of failure developments. In addition, detailed information and scientific findings on the application of computed tomographic analyses are presented.
Die Festigkeitsentwicklung des Zementbetons basiert auf der chemischen Reaktion des Zementes mit dem Anmachwasser. Durch Nachbehandlungsmaßnahmen muss dafür gesorgt werden, dass dem Zement genügend Wasser für seine Reaktion zur Verfügung steht, da sonst ein Beton mit minderer Qualität entsteht. Die vorliegende Arbeit behandelt die grundsätzlichen Fragen der Betonnachbehandlung bei Anwendung von Straßenbetonen. Im Speziellen wird die Frage des erforderlichen Nachbehandlungsbedarfs von hüttensandhaltigen Kompositzementen betrachtet. Die Wirkung der Nachbehandlung wird anhand des erreichten Frost-Tausalz-Widerstandes und der Gefügeausbildung in der unmittelbaren Betonrandzone bewertet. Der Fokus der Untersuchungen lag auf abgezogenen Betonoberflächen. Es wurde ein Modell zur Austrocknung des jungen Betons erarbeitet. Es konnte gezeigt werden, dass in einer frühen Austrocknung (Kapillarphase) keine kritische Austrocknung der Betonrandzone einsetzt, sondern der Beton annährend gleichmäßig über die Höhe austrocknet. Es wurde ein Nomogramm entwickelt, mit dem die Dauer der Kapillarphase in Abhängigkeit der Witterung für Straßenbetone abgeschätzt werden kann. Eine kritische Austrocknung der wichtigen Randzone setzt nach Ende der Kapillarphase ein. Für Betone unter Verwendung von Zementen mit langsamer Festigkeitsentwicklung ist die Austrocknung der Randzone nach Ende der Kapillarphase besonders ausgeprägt. Im Ergebnis zeigen diese Betone dann einen geringen Frost-Tausalz-Widerstand. Mit Zementen, die eine 2d-Zementdruckfestigkeit ≥ 23,0 N/mm² aufweisen, wurde unabhängig von der Zementart (CEM I oder CEM II/B-S) auch dann ein hoher Frost-Tausalz-Widerstand erreicht, wenn keine oder eine schlechtere Nachbehandlung angewendet wurde. Für die Praxis ergibt sich damit eine einfache Möglichkeit der Vorauswahl von geeigneten Zementen für den Verkehrsflächenbau. Betone, die unter Verwendung von Zementen mit langsamere Festigkeitsentwicklung hergestellt werden, erreichen einen hohen Frost-Tausalz-Widerstand nur mit einer geeigneten Nachbehandlung. Die Anwendung von flüssigen Nachbehandlungsmitteln (NBM gemäß TL NBM-StB) erreicht eine ähnliche Wirksamkeit wie eine 5 tägige Feuchtnachbehandlung. Voraussetzung für die Wirksamkeit der NBM ist, dass sie auf eine Betonoberfläche ohne sichtbaren Feuchtigkeitsfilm (feuchter Glanz) aufgesprüht werden. Besonders wichtig ist die Beachtung des richtigen Auftragszeitpunktes bei kühler Witterung, da hier aufgrund der verlangsamten Zementreaktion der Beton länger Anmachwasser abstößt. Ein zu früher Auftrag des Nachbehandlungsmittels führt zu einer Verschlechterung der Qualität der Betonrandzone. Durch Bereitstellung hydratationsabhängiger Transportkenngrößen (Feuchtetransport im Beton) konnten numerische Berechnungen zum Zusammenspiel zwischen der Austrocknung, der Nachbehandlung und der Gefügeentwicklung durchgeführt werden. Mit dem erstellten Berechnungsmodell wurden Parameterstudien durchgeführt. Die Berechnungen bestätigen die wesentlichen Erkenntnisse der Laboruntersuchungen. Darüber hinaus lässt sich mit dem Berechnungsmodell zeigen, dass gerade bei langsam reagierenden Zementen und kühler Witterung ohne eine Nachbehandlung eine sehr dünne Randzone (ca. 500 µm – 1000 µm) mit stark erhöhter Kapillarporosität entsteht.
The aim of my research is to observe the variance of energy efficiency of a typical multi-story office building under the exposure of different climatic conditions. Energy efficiency requirements in building codes or energy standards are among the most important single measures for buildings’ energy efficiency. Therefore, this study can be set up for a better understanding of how energy efficiency of a building changes under the effect of adverse to moderate climatic conditions which possess a mentionable effect on the operation of a building.
This thesis is structured in three balanced and conceptual steps. Following the aim of the project, the virtual building model is to be analyzed under the effect of seven distinct climatic conditions namely work environment of New Delhi, Mumbai, Berlin, Lisbon, Copenhagen, Dubai and Montreal. Firstly, the task is to do a complete literature research based on the scope of similar researches and studying the problems in detail along with the theoritical background all the concepts which are implemented to get the numerical results. This chapter also comprises a detailed study of the climatic conditions of the above-mentioned cities. Different climatic traits like temperature variations, count of heating and cooling degree days, relative humidity, temperature range and comfort zonal charts for the specified cities are studied in detail. This study helps to understand the effect of these adverse to moderate climates on the operation of the building. On the second step, the virtual building model is prepared on a software platform named Revit Structures. This virtual building model is not necessarily a complete building, but it has the relevant functionalities of a real building. We perform the energy analysis and the heating and cooling analysis on this virtual building model to study the operational outcome of the building under different climatic conditions in detail. By the end of these above two tasks, two scenarios are observed. On one hand, we have a literature research and on the other hand we have the numerical results. Therefore, finally we present a comparative scenario based on the energy efficient performances of the building under such variant climatic conditions. This is followed by the prediction of thermal comfort level inside the building and it based on Fanger’s PMV Model. Understanding the literature and the numerical values in detail helps us to predict the index thermal comfort level inside the building.
The conclusion of this master thesis focuses mainly on the scopes of improvement of energy efficiency requirements in energy codes if any, differentiated according to specific locations. The initial aim of my hypothesis which is to study the impacts of climatic variations on the energy efficient performances of a building is fulfilled but as such topics have very deep and broad roots, the scope of further improvements is always predominant.
The world society faces a huge challenge to implement the human right of “access to sanitation”. More and more it is accepted that the conventional approach towards providing sanitation services is not suitable to solve this problem. This dissertation examines the possibility to enhance “access to sanitation” for people who are living in areas with underdeveloped water and wastewater infrastructure systems. The idea hereby is to follow an integrated approach for sanitation, which allows for a mutual completion of existing infrastructure with resource-based sanitation systems.
The notion “integrated sanitation system (iSaS)” is defined in this work and guiding principles for iSaS are formulated. Further on the implementation of iSaS is assessed at the example of a case study in the city of Darkhan in Mongolia. More than half of Mongolia’s population live in settlements where yurts (tents of Nomadic people) are predominant. In these settlements (or “ger areas”) sanitation systems are not existent and the hygienic situation is precarious.
An iSaS has been developed for the ger areas in Darkhan and tested over more than two years. Further on a software-based model has been developed with the goal to describe and assess different variations of the iSaS. The results of the assessment of material-flows, monetary-flows and communication-flows within the iSaS are presented in this dissertation. The iSaS model is adaptable and transferable to the socio-economic conditions in other regions and climate zones.
Lara Schrijver is an assistant professor at the Faculty of Architecture of the TU Delft. She is one of three program leaders for a new research program in the department of architecture, ‘The Architectural Project and its Foundations’. Schrijver holds degrees in architecture from Princeton University and the TU Delft. She received her Ph.D. from the TU Eindhoven in 2005. Schrijver has taught design and theory courses, and contributed to conferences in the Netherlands as well as abroad. She was an editor for OASE, journal for architecture, for ten years, and was co-organizer of the 2006 conference ‘The Projective Landscape’. Her current work revolves around the role of architecture in the city, and its responsibility in defining the public domain. Her first book, Radical Games, on the influence of the 1960s on contemporary discourse, is forthcoming in the spring of 2009.
The thesis investigates at the computer aided simulation process for operational vibration analysis of complex coupled systems. As part of the internal methods project “Absolute Values” of the BMW Group, the thesis deals with the analysis of the structural dynamic interactions and excitation interactions. The overarching aim of the methods project is to predict the operational vibrations of engines.
Simulations are usually used to analyze technical aspects (e. g. operational vibrations, strength, ...) of single components in the industrial development. The boundary conditions of submodels are mostly based on experiences. So the interactions with neighboring components and systems are neglected. To get physically more realistic results but still efficient simulations, this work wants to support the engineer during the preprocessing phase by useful criteria.
At first suitable abstraction levels based on the existing literature are defined to identify structural dynamic interactions and excitation interactions of coupled systems. So it is possible to separate different effects of the coupled subsystems. On this basis, criteria are derived to assess the influence of interactions between the considered systems. These criteria can be used during the preprocessing phase and help the engineer to build up efficient models with respect to the interactions with neighboring systems. The method was developed by using several models with different complexity levels. Furthermore, the method is proved for the application in the industrial environment by using the example of a current combustion engine.
Ein aktuelles Thema in der Forschung der Betonindustrie ist die gezielte Steuerung des Erstarrens und der Entwicklung der (Früh)Festigkeit von Betonen und Mörteln. Aus ökonomischer Sicht sind außerdem die Reduktion der CO2-Emission und die Schonung von Ressourcen und Energie wichtige Forschungsschwerpunkte. Eine Möglichkeit zum Erreichen dieser Ziele ist es, die Reaktivität/Hydratation der silikatischen Klinkerphasen gezielt anzuregen. Neben den bereits bekannten Möglichkeiten der Hydratationsbeschleunigung (u.a. Wärmebehandlung, Zugabe von Salzen) bietet die Anwendung von Power-Ultraschall (PUS) eine weitere Alternative zur Beschleunigung der Zementhydratation. Da bis zum jetzigen Zeitpunkt noch keine Erfahrungen zum Einsatz von PUS in der Zementchemie vorliegen, sollen mit der vorliegenden Arbeit grundlegende Kenntnisse zum Einfluss von PUS auf das Fließ- und Erstarrungsverhalten von Zementsuspensionen erarbeitet werden.
Dazu wurde die Arbeit in fünf Hauptuntersuchungsabschnitte aufgeteilt.
Im ersten Teil wurden optimale PUS-Parameter wie Amplitude und Energieeintrag ermittelt, die eine effiziente Beschleunigung der Portlandzement(CEM I)hydratation bei kurzen Beschallzeiten und begrenzter Zementleimtemperaturerhöhung erlauben. Mit Hilfe unabhängiger Untersuchungsmethoden (Bestimmung des Erstarrungsbeginns, der Festigkeitsentwicklung, zerstörungsfreier Ultraschallprüfung, isothermer Wärmeflusskalorimetrie, hochauflösender Rasterelektronmikroskopie (REM) wurde die Wirkung von PUS auf den Hydratationsverlauf von CEM I-Suspensionen charakterisiert. Die Ergebnisse zeigen, dass die Behandlung von CEM I-Suspensionen mit PUS grundsätzlich ein beschleunigtes Erstarren und eine beschleunigte (Früh)Festigkeitsentwicklung hervorruft.
Anhand von REM-Untersuchungen konnte eindeutig nachgewiesen werden, dass die Beschleunigung der CEM I-Hydratation mit einer beschleunigten Hydratation der Hauptklinkerphase Alit korreliert. Auf Grundlage dieser Erkenntnisse wurden die Ursachen der Aktivierung der Alithydratation untersucht. Dazu wurden Untersuchungen an Einzelsystemen des CEM I (silikatische Klinkerphase) durchgeführt.
Es ist bekannt, das die Hydratation der Hauptklinkerphase Alit (in der reinen Form Tricalciumsilikat 3CaO*SiO2; C3S) durch Lösungs-/Fällungsreaktionen (Bildung von Calcium-Silikat-Hydrat Phasen, C-S-H Phasen) bestimmt wird. Mit Hilfe von Untersuchungen zur Auflösung (C3S) und Kristallbildung (C-S-H Phasen) in Lösungen und Suspensionen (Aufzeichnung der elektrischen Leitfähigkeit sowie Bestimmung der Ionenkonzentrationen der wässrigen Phase, REM-Charakterisierung der Präzipitate) wurde die Beeinflussung dieser durch eine PUS-Behandlung charakterisiert. Die Ergebnisse zeigen, dass in partikelfreien Lösungen (primäre Keimbildung) eine PUS-Behandlung keinen Einfluss auf die Kinetik der Kristallisation von C-S-H Phasen hervorruft. Das heißt, auch die durch PUS eingetragene Energie reicht offensichtlich nicht aus, um in Abwesenheit von Oberflächen die C-S-H Phasen Bildung zu beschleunigen. Das weist darauf hin, dass die Bildung von C-S-H Phasen nicht durch eine Beschleunigung von Ionen in der Lösung (erhöhte Diffusion durch Anwendung von PUS) hervorgerufen wird. Eine Beschleunigung des Kristallisationsprozesses (Keimbildung und Wachstum von C-S-H Phasen) durch PUS wird nur in Anwesenheit von Partikeln in der Lösung (Suspension) erzielt. Das belegen Ergebnisse, bei denen die Bildung erster C-S-H Phasen bei geringer Übersättigung (heterogene Keimbildung, in Anwesenheit von Oberflächen) erfolgt. Unter diesen Bedingungen konnte gezeigt werden, dass PUS innerhalb der ersten 30 Minuten der Hydratation eine erhöhte Fällung von ersten C-S-H Phasen bewirkt. Diese fungieren dann vermutlich während der Haupthydratation als Keim bzw. geeignete Oberfläche zum beschleunigten Aufwachsen von weiteren C-S-H Phasen. Weiterhin ist vorstellbar, dass (in Analogie zu anderen Bereichen der Sonochemie) PUS durch Kavitation Schockwellen hervorruft, welche Partikel und wässriges Medium beschleunigen und damit erhöhte Partikelbewegungen und -kollisionen induziert. Dies wiederum bewirkt, dass die anfänglich auf der C3S-Oberfläche gebildeten C-S-H Phasen teilweise wieder entfernt werden. Damit ist das Inlösunggehen von Ca- und Si-Ionen aus dem C3S weiterhin möglich. Um den genauen Mechanismus weiter zu charakterisieren sollten mit geeigneten Methoden weitere Untersuchungen durchgeführt werden.
Im zweiten Teil der Arbeit wurde der Einfluss von PUS auf das Fließverhalten von CEM I-Suspensionen untersucht. Aus der Anwendung von PUS in anderen technischen Bereichen sind unter anderem Effekte wie das Entlüften, das Homogenisieren und das Dispergieren von Suspensionen und Emulsionen mittels PUS bekannt. Mit Hilfe der Bestimmung des Luftporengehaltes, Sedimentationsversuchen und cryo-SEM Untersuchungen wurde der Einfluss von PUS auf CEM I-Suspensionen charakterisiert. Die Ergebnisse belegen, dass durch PUS eine verbesserte Homogenität und Dispergierung der CEM I-Suspension erzielt wird. Damit wird für CEM I-Suspensionen unterschiedlichster w/z-Werte eine verbesserte Fließfähigkeit festgestellt. Ergebnisse der Bestimmung von Ausbreitmaßen und Trichterauslaufzeiten zeigen, dass PUS einen direkten Einfluss vor allem auf die Viskosität der CEM I-Suspensionen besitzt. Werden Fließmitteln (FM) der CEM I-Suspension zugegeben, wird nicht in jedem Fall eine verbesserte Fließfähigkeit festgestellt. Hier scheint unter bestimmten Voraussetzungen (w/z-Wert, FM-Gehalt, PUS) die Reaktion zwischen Aluminat- und Sulfatphase des Klinkers gestört. Zur eindeutigen Klärung dieses Sachverhaltes bedarf es jedoch weiterer quantitativer Untersuchungen zum Reaktionsumsatz.
Im dritten Teil der Arbeit wurden die am CEM I gewonnenen Erkenntnisse zum Einfluss von PUS auf die Hydratation an Portland-Hüttensand(HÜS)-Zement-Systemen verifiziert. Dafür
wurden auch in diesem Teil der Arbeit zunächst die optimalen PUS-Parameter festgelegt und der Einfluss auf das Erstarrung- und Erhärtungsverhalten dokumentiert. Untersuchungsmethoden sind unter anderem die Bestimmung des Erstarrungsbeginns und der (Früh)Festigkeitsentwicklung, Temperaturaufzeichnungen und isothermale Wärmeflusskalorimetrie sowie REM. Die Ergebnisse zeigen, dass auch die Reaktion von HÜS-Zementen durch PUS beschleunigt wird. Weiterführende Untersuchungen belegen, dass die erzielte Beschleunigung vorwiegend auf der Beschleunigung der Alitkomponente des CEM I beruht.
Im Fokus der Teile vier und fünf dieser Arbeit stand die Anwendbarkeit der PUS-Technik unter praktischen Bedingungen. Zum einen wurde die Anwendbarkeit von PUS in fertig gemischten Mörteln beurteilt. Anhand des Vergleichs wichtiger Frisch- und Festmörteleigenschaften unterschiedlich hergestellter Mörtel (beschallt im Anschluss an konventionelle Mischtechnik, beschallt im Anschluss an Suspensionsmischtechnik mit anschließender Zumischung der Gesteinskörnung und nicht beschallt) wird gezeigt, dass im Fall von Mörteln mit hohem Leimanteil eine durch PUS induzierte beschleunigte Festigkeitsentwicklung auch mit herkömmlichen Mischabläufen (ohne aufwendige Umstellung des Mischprozesses) möglich ist.
Abschließend wird untersucht, ob der Herstellungsprozess von Wandbauteilen im Fertigteilwerk durch den Einsatz von PUS optimiert werden kann und ob eine Einbindung der PUS-Technik in den Fertigungsprozess ohne größeren Aufwand möglich ist. Dazu wurden in einem ersten Schritt die Frisch- und Festbetoneigenschaften eines aktuell angewendeten selbstverdichtenden Betons im Labormaßstab (Mörtel) in Abhängigkeit einer PUS-Behandlung dokumentiert und mit der seiner unbeschallten Referenz verglichen. Aufgrund der durch PUS verursachten verbesserten Fließ- und Festigkeitseigenschaften kann die beschallte Mörtelrezeptur hinsichtlich Fließmittelgehalt und Dauer der Wärmebehandlung optimiert werden. Somit werden ca. 30 % der Fließmittelzugabe und 40 % der Dauer der Wärmebehandlung eigespart. Eine Einbindung der PUS-Technik in das betrachtete Fertigteilwerk ist nach Überprüfung der konstruktiven Gegebenheiten der Fertigungsstrukturen ohne größeren Aufwand möglich.
The gradual digitization in the architecture, engineering, and construction industry over the past fifty years led to an extremely heterogeneous software environment, which today is embodied by the multitude of different digital tools and proprietary data formats used by the many specialists contributing to the design process in a construction project. Though these projects become increasingly complex, the demands on financial efficiency and the completion within a tight schedule grow at the same time. The digital collaboration of project partners has been identified as one key issue in successfully dealing with these challenges. Yet currently, the numerous software applications and their respective individual views on the design process severely impede that collaboration.
An approach to establish a unified basis for the digital collaboration, regardless of the existing software heterogeneity, is a comprehensive digital building model contributed to by all projects partners. This type of data management known as building information modeling (BIM) has many benefits, yet its adoption is associated with many difficulties and thus, proceeds only slowly. One aspect in the field of conflicting requirements on such a digital model is the cooperation of architects and structural engineers. Traditionally, these two disciplines use different abstractions of reality for their models that in consequence lead to incompatible digital representations thereof.
The onset of isogeometric analysis (IGA) promised to ease the discrepancy in design and analysis model representations. Yet, that initial focus quickly shifted towards using these methods as a more powerful basis for numerical simulations. Furthermore, the isogeometric representation alone is not capable of solving the model abstraction problem. It is thus the intention of this work to contribute to an improved digital collaboration of architects and engineers by exploring an integrated analysis approach on the basis of an unified digital model and solid geometry expressed by splines. In the course of this work, an analysis framework is developed that utilizes such models to automatically conduct numerical simulations commonly required in construction projects. In essence, this allows to retrieve structural analysis results from BIM models in a fast and simple manner, thereby facilitating rapid design iterations and profound design feedback.
The BIM implementation Industry Foundation Classes (IFC) is reviewed with regard to its capabilities of representing the unified model. The current IFC schema strongly supports the use of redundant model data, a major pitfall in digital collaboration. Additionally, it does not allow to describe the geometry by volumetric splines. As the pursued approach builds upon a unique model for both, architectural and structural design, and furthermore requires solid geometry, necessary schema modifications are suggested.
Structural entities are modeled by volumetric NURBS patches, each of which constitutes an individual subdomain that, with regard to the analysis, is incompatible with the remaining full model. The resulting consequences for numerical simulation are elaborated in this work. The individual subdomains have to be weakly coupled, for which the mortar method is used. Different approaches to discretize the interface traction fields are implemented and their respective impact on the analysis results is evaluated. All necessary coupling conditions are automatically derived from the related geometry model.
The weak coupling procedure leads to a linear system of equations in saddle point form, which, owed to the volumetric modeling, is large in size and, the associated coefficient matrix has, due to the use of higher degree basis functions, a high bandwidth. The peculiarities of the system require adapted solution methods that generally cause higher numerical costs than the standard procedures for symmetric, positive-definite systems do. Different methods to solve the specific system are investigated and an efficient parallel algorithm is finally proposed.
When the structural analysis model is derived from the unified model in the BIM data, it does in general initially not meet the requirements on the discretization that are necessary to obtain sufficiently accurate analysis results. The consequently necessary patch refinements must be controlled automatically to allowfor an entirely automatic analysis procedure. For that purpose, an empirical refinement scheme based on the geometrical and possibly mechanical properties of the specific entities is proposed. The level of refinement may be selectively manipulated by the structural engineer in charge. Furthermore, a Zienkiewicz-Zhu type error estimator is adapted for the use with isogeometric analysis results. It is shown that also this estimator can be used to steer an adaptive refinement procedure.
A parametric method for building design optimization based on Life Cycle Assessment - Appendix
(2016)
The building sector is responsible for a large share of human environmental impacts, over which architects and planners have a major influence. The main objective of this thesis is to develop a method for environmental building design optimization based on Life Cycle Assessment (LCA) that is applicable as part of the design process. The research approach includes a thorough analysis of LCA for buildings in relation to the architectural design stages and the establishment of a requirement catalogue. The key concept of the novel method called Parametric Life Cycle Assessment(PLCA) is to combine LCA with parametric design. The application of this method to three examples shows that building designs can be optimized time-efficiently and holistically from the beginning of the most influential early design stages, an achievement which has not been possible until now.
In this study, the behavior of a widely graded soil prone to suffusion and necessity of homogeneity quantifi cation for such a soil in internal stability considerations are discussed. With the help of suffusion tests, the dependency of the particle washout to homogeneity of sample is shown. The validity of the great infl uence of homogeneity on suffusion processes by the presentation of arguments and evidences are established. It is emphasized that the internal stability of a widely graded soil cannot be directly correlated to the common geotechnical parameters such as dry density or permeability. The initiation and propagation of the suffusion processes are clearly a particle scale phenomenon, so the homogeneity of particle assemblies (micro-scale) has a decisive effect on particle rearrangement and washout processes. It is addressed that the guidelines for assessing internal stability lack a fundamental, scientifi c basis for quantifi cation of homogeneity. The observation of the segregation processes within the sample in an ascending layered order (for downwards fl ow) inspired the author to propose a new packing model for granular materials which are prone to internally instability.
It is shown that the particle arrangement, especially the arrangement of soil skeleton particles or the so-called primary fabric has the main role in suffusiv processes. Therefore, an experimental approach for identifi cation of the skeleton in the soil matrix is proposed. 3D models of Sequential Fill Tests using Discrete Element Method (DEM) and 3D models of granular packings for relative, stochastically and ideal homogeneous particle assemblies were generated, and simulations have been carried out.
Based on the numerical investigations and in dependency on the soil skeleton behavior, an approach for measurement of relevant scale, the so-called Representative Elementary Volume (REV) for homogeneity investigation is proposed. The development of a new testing method for quantifi cation of homogeneity is introduced (in-situ). An approach for quantifi cation of homogeneity in numerically or experimentally generated packings (samples) based on image processing method of MATLAB has been introduced. A generalized experimental method for assessment of internal stability for widely graded soils with dominant coarse matrix is developed, and a new suffusion criterion based on ideal homogeneous internally stable granular packing is designed.
My research emphasizes that in a widely graded soils with dominant coarse matrix, the soil fractions with diameters bigger than D60 build essentially the soil skeleton. The mass and spatial distribution of these fractions governs the internal stability, and the mass and distribution of the fi ll fractions are a secondary matter. For such a soil, the homogeneity of the skeleton must be cautiously measured and verified.
Augmented Urban Model: Ein Tangible User Interface zur Unterstützung von Stadtplanungsprozessen
(2011)
Im architektonischen und städtebaulichen Kontext erfüllen physische und digitale Modelle aufgrund ihrer weitgehend komplementären Eigenschaften und Qualitäten unterschiedliche, nicht verknüpfte Aufgaben und Funktionen im Entwurfs- und Planungsprozess. Während physische Modelle vor allem als Darstellungs- und Kommunikationsmittel aber auch als Arbeitswerkzeug genutzt werden, unterstützen digitale Modelle darüber hinaus die Evaluation eines Entwurfs durch computergestützte Analyse- und Simulationstechniken.
Analysiert wurden im Rahmen der in diesem Arbeitspapier vorgestellten Arbeit neben dem Einsatz des Modells als analogem und digitalem Werkzeug im Entwurf die Bedeutung des Modells für den Arbeitsprozess sowie Vorbilder aus dem Bereich der Tangible User Interfaces mit Bezug zu Architek¬tur und Städtebau. Aus diesen Betrachtungen heraus wurde ein Prototyp entwickelt, das Augmented Urban Model, das unter anderem auf den frühen Projekten und Forschungsansätzen aus dem Gebiet der Tangible User Interfaces aufsetzt, wie dem metaDESK von Ullmer und Ishii und dem Urban Planning Tool Urp von Underkoffler und Ishii.
Das Augmented Urban Model zielt darauf ab, die im aktuellen Entwurfs- und Planungsprozess fehlende Brücke zwischen realen und digitalen Modellwelten zu schlagen und gleichzeitig eine neue tangible Benutzerschnittstelle zu schaffen, welche die Manipulation von und die Interaktion mit digitalen Daten im realen Raum ermöglicht.
Dieses Arbeitspapier beschreibt, wie ausgehend von einem vorhandenen Straßennetzwerk Bebauungsareale mithilfe von Unterteilungsalgorithmen automatisch umgelegt, d.h. in Grundstücke unterteilt, und anschließend auf Basis verschiedener städtebaulicher Typen bebaut werden können. Die Unterteilung von Bebauungsarealen und die Generierung von Bebauungsstrukturen unterliegen dabei bestimmten stadtplanerischen Einschränkungen, Vorgaben und Parametern. Ziel ist es aus den dargestellten Untersuchungen heraus ein Vorschlagssystem für stadtplanerische Entwürfe zu entwickeln, das anhand der Umsetzung eines ersten Softwareprototyps zur Generierung von Stadtstrukturen weiter diskutiert wird.
Aktionsräume in Dresden
(2012)
In vorliegender Studie werden die Aktionsräume von Befragten in Dresden über eine standardisierte Befragung (n=360) untersucht. Die den Aktionsräumen zugrundeliegenden Aktivitäten werden unterschieden in Einkaufen für den täglichen Bedarf, Ausgehen (z.B. in Café, Kneipe, Gaststätte), Erholung im Freien (z.B. spazieren gehen, Nutzung von Grünanlagen) und private Geselligkeit (z.B. Feiern, Besuch von Verwandten/Freunden). Der Aktionsradius wird unterschieden in Wohnviertel, Nachbarviertel und sonstiges weiteres Stadtgebiet. Um aus den vier betrachteten Aktivitäten einen umfassenden Kennwert für den durchschnittlichen Aktionsradius eines Befragten zu bilden, wird ein Modell für den Kennwert eines Aktionsradius entwickelt. Die Studie kommt zu dem Ergebnis, dass das Alter der Befragten einen signifikanten – wenn auch geringen – Einfluss auf den Aktionsradius hat. Das Haushaltsnettoeinkommen hat einen mit Einschränkung signifikanten, ebenfalls geringen Einfluss auf alltägliche Aktivitäten der Befragten.
In vorliegender Studie werden die Wohnstandortpräferenzen der Sinus-Milieugruppen in Dresden über eine standardisierte Befragung (n=318) untersucht. Es wird unterschieden zwischen handlungsleitenden Wohnstandortpräferenzen, die durch Anhaltspunkte auf der Handlungsebene stärker in Betracht gezogen werden sollten, und Wohnstandortpräferenzen, welche eher orientierenden Charakter haben. Die Wohnstandortpräferenzen werden untersucht anhand der Kategorien Ausstattung/Zustand der Wohnung/des näheren Wohnumfeldes, Versorgungsstruktur, soziales Umfeld, Baustrukturtyp, Ortsgebundenheit sowie des Aspektes des Images eines Stadtviertels. Um die Befragten den Sinus-Milieugruppen zuordnen zu können, wird ein Lebensweltsegment-Modell entwickelt, welches den Anspruch hat, die Sinus-Milieugruppen in der Tendenz abzubilden. Die Studie kommt zu dem Ergebnis, dass die Angehörigen der verschiedenen Lebensweltsegmente in jeder Kategorie - wenn auch z.T. auf geringerem Niveau - signifikante Unterschiede in der Bewertung einzelner Wohnstandortpräferenzen aufweisen.
Wissen wer wo wohnt
(2012)
In cities people live together in neighbourhoods. Here they can find the infrastructure they need, starting with shops for the daily purpose to the life-cycle based infrastructures like kindergartens or nursing homes. But not all neighbourhoods are identical. The infrastructure mixture varies from neighbourhood to neighbourhood, but different people have different needs which can change e.g. based on the life cycle situation or their affiliation to a specific milieu. We can assume that a person or family tries to settle in a specific neighbourhood that satisfies their needs. So, if the residents are happy with a neighbourhood, we can further assume that this neighbourhood satisfies their needs. The socio-oeconomic panel (SOEP) of the German Institute for Economy (DIW) is a survey that investigates the economic structure of the German population. Every four years one part of this survey includes questions about what infrastructures can be found in the respondents neighbourhood and the satisfaction of the respondent with their neighbourhood. Further, it is possible to add a milieu estimation for each respondent or household. This gives us the possibility to analyse the typical neighbourhoods in German cities as well as the infrastructure profiles of the different milieus. Therefore, we take the environment variables from the dataset and recode them into a binary variable – whether an infrastructure is available or not. According to Faust (2005), these sets can also be understood, as a network of actors in a neighbourhood, which share two, three or more infrastructures. Like these networks, this neighbourhood network can also be visualized as a bipartite affiliation network and therefore analysed using correspondence analysis. We will show how a neighbourhood analysis will benefit from an upstream correspondence analysis and how this could be done. We will also present and discuss the results of such an analysis.
K-dimensionale Bäume, im Englischen verkürzt auch K-d Trees genannt, sind binäre Such- und Partitionierungsbäume, die eine Menge von n Punkten in einem multidimensionalen Raum repräsentieren. Ihren Einsatz finden K-d Tree Datenstrukturen vor allem bei der Suche nach den nächsten Nachbarn, der Nearest Neighbor Query, und in weiteren Suchalgorithmen für beispielsweise Datenbankapplikationen. Im Rahmen des Forschungsprojekts Kremlas wurde die Raumpartitionierung durch K-d Trees als eine Teillösung zur Generierung von Layouts bei der Entwicklung einer kreativen evolutionären Entwurfsmethode für Layoutprobleme in Architektur und Städtebau entwickelt. Der Entwurf und die Entwicklung von Layouts, d.h. die Anordnung von Räumen, Baukörpern und Gebäudekomplexen im architektonischen und städtischen Kontext stellt eine zentrale Aufgabe in Architektur und Stadtplanung dar. Sie erfordert von Architekten und Planern funktionale sowie kreative Problemlösungen. Das Forschungsprojekt beschäftigt sich folglich nicht nur mit der Optimierung von Grundrissen sondern bindet auch gestalterische Aspekte mit ein. In der entwickelten Teillösung dient der K-d Tree Algorithmus zunächst zur Unterteilung einer vorgegebenen Fläche, wobei die Schnittlinien möglichen Raumgrenzen entsprechen. Durch die Kombination des K-d Tree Algorithmus mit genetischen Algorithmen und evolutionären Strategien werden Layouts hinsichtlich der Kriterien Raumgröße und Nachbarschaften optimiert. Durch die Interaktion des Nutzers können die Lösungen dynamisch angepasst und zur Laufzeit nach gestalterischen Kriterien verändert werden. Das Ergebnis ist ein generativer Mechanismus, der bei der kreativen algorithmischen Lösung von Layoutaufgaben in Architektur und Städtebau eine vielversprechende Variante zu bereits bekannten Algorithmen darstellt.
The key objective of this research is to study fracture with a meshfree method, local maximum entropy approximations, and model fracture in thin shell structures with complex geometry and topology. This topic is of high relevance for real-world applications, for example in the automotive industry and in aerospace engineering. The shell structure can be described efficiently by meshless methods which are capable of describing complex shapes as a collection of points instead of a structured mesh. In order to find the appropriate numerical method to achieve this goal, the first part of the work was development of a method based on local maximum entropy (LME)
shape functions together with enrichment functions used in partition of unity methods to discretize problems in linear elastic fracture mechanics. We obtain improved accuracy relative to the standard extended finite element method (XFEM) at a comparable computational cost. In addition, we keep the advantages of the LME shape functions,such as smoothness and non-negativity. We show numerically that optimal convergence (same as in FEM) for energy norm and stress intensity factors can be obtained through the use of geometric (fixed area) enrichment with no special treatment of the nodes
near the crack such as blending or shifting.
As extension of this method to three dimensional problems and complex thin shell structures with arbitrary crack growth is cumbersome, we developed a phase field model for fracture using LME. Phase field models provide a powerful tool to tackle moving interface problems, and have been extensively used in physics and materials science. Phase methods are gaining popularity in a wide set of applications in applied science and engineering, recently a second order phase field approximation for brittle fracture has gathered significant interest in computational fracture such that sharp cracks discontinuities are modeled by a diffusive crack. By minimizing the system energy with respect to the mechanical displacements and the phase-field, subject to an irreversibility condition to avoid crack healing, this model can describe crack nucleation, propagation, branching and merging. One of the main advantages of the phase field modeling of fractures is the unified treatment of the interfacial tracking and mechanics, which potentially leads to simple, robust, scalable computer codes applicable to complex systems. In other words, this approximation reduces considerably the implementation complexity because the numerical tracking of the fracture is not needed, at the expense of a high computational cost. We present a fourth-order phase field model for fracture based on local maximum entropy (LME) approximations. The higher order continuity of the meshfree LME approximation allows to directly solve the fourth-order phase field equations without splitting the fourth-order differential equation into two second order differential equations. Notably, in contrast to previous discretizations that use at least a quadratic basis, only linear completeness is needed in the LME approximation. We show that the crack surface can be captured more accurately in the fourth-order model than the second-order model. Furthermore, less nodes are needed for the fourth-order model to resolve the crack path. Finally, we demonstrate the performance of the proposed meshfree fourth order phase-field formulation for 5 representative numerical examples. Computational results will be compared to analytical solutions within linear elastic fracture mechanics and experimental data for three-dimensional crack propagation.
In the last part of this research, we present a phase-field model for fracture in Kirchoff-Love thin shells using the local maximum-entropy (LME) meshfree method. Since the crack is a natural outcome of the analysis it does not require an explicit representation and tracking, which is advantageous over techniques as the extended finite element method that requires tracking of the crack paths. The geometric description of the shell is based on statistical learning techniques that allow dealing with general point set surfaces avoiding a global parametrization, which can be applied to tackle surfaces of complex geometry and topology. We show the flexibility and robustness of the present methodology for two examples: plate in tension and a set of open connected
pipes.
Previous models for the explanation of settlement processes pay little attention to the interactions between settlement spreading and road networks. On the basis of a dielectric breakdown model in combination with cellular automata, we present a method to steer precisely the generation of settlement structures with regard to their global and local density as well as the size and number of forming clusters. The resulting structures depend on the logic of how the dependence of the settlements and the road network is implemented to the simulation model. After analysing the state of the art we begin with a discussion of the mutual dependence of roads and land development. Next, we elaborate a model that permits the precise control of permeability in the developing structure as well as the settlement density, using the fewest necessary control parameters. On the basis of different characteristic values, possible settlement structures are analysed and compared with each other. Finally, we reflect on the theoretical contribution of the model with regard to the context of urban dynamics.