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Myths and Fallacies Prietley2003
Myths and Fallacies Prietley2003
M.J.N.Priestley
Co-Director
Rose School,
Collegio Alessandro Volta,
Via Ferrata, 27100, Pavia Italy
May 2003
THE NINTH MALLET – MILNE LECTURE
Peter Merriman
Chairman of SECED, The Institution of Civil Engineers
One Great George Street, Westminster, London, SW1P 3AA, UK
The biennial Mallet – Milne Lectures were begun by the Society for Earthquake and
Civil Engineering Dynamics (SECED) in 1987 in honour of Robert Mallet (1810-1881)
and John Milne (1850-1913), the nineteenth century pioneers of seismology in Britain
who made fundamental contributions to the observation and understanding of
earthquakes. The prestige lectures are given by internationally recognised experts in the
field of earthquake engineering on topics close to their own professional interests but also
of relevance to the broader earthquake engineering community. The Mallet-Milne
Lectures have covered many different aspects of earthquake engineering primarily from a
technical perspective including the broader issues of policy for disaster prevention.
Three of the Lectures in the series have been dedicated to issues relating to engineering
seismology and seismic hazard assessment. In the First Mallet Milne Lecture
“Engineering Seismology,” Professor Nicholas Ambraseys described a new approach to
the assessment of liquefaction potential and a re-evaluation of twentieth century
seismicity in Turkey. The Fifth Mallet Milne Lecture “From Earthquake Acceleration to
Seismic Displacement” by Professor Bruce Bolt of the University of California at
Berkeley focussed on the destructive nature of near field ground motions containing high
energy pulses that are usually referred to as “fling” – a term that the lecturer himself was
responsible for coining. In the Eighth Mallet Milne Lecture “Living with Earthquakes:
Know your Faults” Dr James Jackson of Cambridge University addressed the
identification and characterisation of active geological faults. Dr Jackson illustrated the
major advances made in the ability of seismologists to determine source parameters for
earthquakes, in the understanding of the relationship between crustal deformations and
geomorphology and in the developments of remote technology that allow rapid and
accurate measurements of deformation of the Earth’s surface.
The other five Mallet Milne Lectures have considered how the seismic community may
use technical knowledge with pragmatism to ensure effective design. In the Second
Mallet Milne Lecture 1989 “Coping with Natural Disasters”, Professor George Housner
of the California Institute of Technology addressed the challenges and perspectives of the
International Decade for Natural Disaster Reduction on the eve of which the lecture was
presented. For The Third Mallet Milne Lecture “Reduction of Vibrations” Professor
Geoffrey Warburton of Nottingham University illustrated the application of isolation and
active control to limit the forces on structures subjected to earthquake loading. The
Fourth Mallet Milne Lecture entitled “Simplicity and Confidence in Seismic Design” was
delivered by Professor Tom Paulay of the University of Canterbury. He used his
extensive design experience to address the concepts that can be employed to ensure that
reinforced concrete buildings can be expected to perform, in Professor Paulay’s words,
“as they were told to”. The issue of expected and actual behaviour of buildings and
bridges was revisited in the Sixth Mallet Milne Lecture in 1997. Professor Roy Severn of
the University of Bristol presented “Structural Response Prediction Using Experimental
Data” drawing on his life-time experience in the dynamic testing of large structures
around the world and the application of the results to earthquake engineering. In the
Seventh Mallet Milne Lecture “The Road to Total Earthquake Safety” Professor Cinna
Lomnitz of the National Autonomous University of Mexico addressed the dynamics of
seismic wave propagation, the response of soft soils and the coupling of ground response
with structural response. In an eclectic presentation Professor Lomnitz stressed the need
to understand the interfaces between the many technical disciplines to determine what
kind of structure would survive the next earthquake regardless of the precise location of
the fault break.
In the Ninth Mallet Milne Lecture Nigel Priestley of the Rose School, Italy, presents
“Revisiting Myths and Fallacies in Earthquake Engineering”. Nigel has been a leading
critic of current seismic design methods. Over ten years ago he thoroughly examined a
number of the fundamental principles for the seismic design of structures and concluded
that in many cases current practices, particularly as entrenched in design codes, are based
on unrealistic concepts and approximations. A number of these concepts are revisited
and re-examined in the light of ten years’ research and development. The practice of
allocating strength of reinforced concrete elements in proportion to stiffness is shown to
be inappropriate. Use of 3D multi-modal elastic analyses is shown to be inadequate to
describe higher mode or torsional effects of inelastic systems, despite these being the
rationale for the use of this design approach. The superiority of performance of inelastic
structural systems with high inherent damping is shown to be a fallacy. Finally, Nigel
outlines the progress to develop a simple and rational seismic design procedure based on
displacement rather than strength considerations. Overall the paper is a challenge to the
many researchers and engineers working on structural analysis and design ~ a timely
reminder that there is still room for a considerable improvement in our understanding of
the seismic performance of structures.
Nigel Priestley is well known throughout the seismic community ~ having worked in
New Zealand, the USA and lately in Italy. Nigel Priestley is Emeritus Professor of
Structural Engineering of the University of California at San Diego, and is co-director of
the Rose School, and is a practicing structural consultant. His research is focused on the
seismic design of concrete and masonry structures, and on seismic design philosophy. He
has published more than 650 books, technical papers and reports, mainly related to
seismic design, and has received more than 30 international awards for his research. He
is a fellow of the ACI, the IPENZ, NZ Society for Earthquake Engineering, NZ
Concrete Society, and is an Honorary Fellow of the Royal Society of New Zealand.
SECED are delighted that the IUSS Press have agreed to publish the Ninth Mallet
Lecture in its entirety in this special issue. This will ensure that the many interested
individuals who could not attend the formal presentation will also be able to benefit.
Together with the previous Mallet Milne Lectures we are confident that this will be a
valuable resource to earthquake engineers for years to come.
TABLE OF CONTENTS
CHAPTER 1. INTRODUCTION: A 1993 VIEWPOINT …………………………….1
1.1 The Fallacy of Design to Elastic Acceleration Spectra …………………………...1
1.2 The Refined Analysis Myth ……………………………………………………...4
1.3 The “Strength = Safety” Fallacy …………………………………………………5
1.4 The Myth of Maximized Energy Absorption …………………………………….5
1.5 Myths and Fallacies Related to Reinforced Concrete Design and Detailing ……...6
1.6 Scope of the Report ……………………………………………………………..8
7. REFERENCES …………………………………………………………………...119
CHAPTER 1. INTRODUCTION: A 1993 VIEWPOINT
As noted in reference [1], ten years ago the fundamental basis for seismic design was
the assumption that an elastic acceleration spectrum provided the best means for
assessing the seismic response of a structure. This has not changed in the last 10 years,
though as will be shown in subsequent chapters, alternative approaches are emerging.
The assertion that this assumption is in fact a fallacy rested on the following points:
• Design ignores duration effects and condenses response into “snapshots” of
transient behaviour at maximum modal response. These modal maxima are
combined by modal combination rules of dubious relevance for inelastic
structural response. It is assumed that maximum transient response is more
relevant than the final “at rest” condition of the structure after the earthquake,
which is not considered in the design process.
• It is generally accepted that damage can be related to material strains, and that
material strains can be related to maximum response displacements, but not to
response accelerations. It would thus seem important for design procedures to
emphasise the importance of estimating peak displacement response. In fact,
the situation pertaining ten years ago was characterized by uncertainty in the
estimation of displacement of inelastic systems. The normal approach involved
modification of the displacements of the corresponding elastic system of equal
initial stiffness and unlimited strength. The most common assumption was the
2 Priestley: Myths and Fallacies in Earthquake Engineering, Revisited
T2
Δ max,duct = Δ max,elastic = ⋅ a(T ) g (1.1)
4π 2
3R
Δ max,duct = Δ y ⋅ (1.3)
8
Δ y = Δ max,elastic / R
3
Δ max,duct = Δ max,elastic ⋅ (1.4)
8
unately, we find that all are correct at some part of the period range of structural
response, and all are wrong at other periods. This was explained[1] with
reference to typical displacement spectra, reproduced here as Fig.1.1, where the
influence of inelastic response was represented by a lengthening of the effective
period of response, with hysteretic damping being represented as equivalent
viscous damping. For short period structures, the increase in displacement
response from period elongation is less than the decrease resulting from
increased damping. For medium period structures, the two effects almost
balance each other. For long period structures the period elongation does not
result in significant displacement increase, and the influence of increased
damping is to reduce the overall displacement response. For very long period
structures, the displacement is equal to the ground displacement, independent of
period and damping.
• It was also noted that the elastic acceleration approach placed excessive
emphasis on the elastic stiffness characteristics of the structure and its elements.
For reinforced concrete and masonry structures the estimation of these stiffness
values varies greatly between different design codes. Further, these elastic
characteristics only pertain to low level seismic response, and are permanently
modified s soon as the structure exceeds yield.
4 Priestley: Myths and Fallacies in Earthquake Engineering, Revisited
Structural analysis for design purposes had, by 1993, become more sophisticated than
in previous decades, as design codes tended towards specifying 3-D modal analysis as a
routine design tool. It was noted[1] that a consequence was that seismic design and
analysis functions were frequently separated in the design office, and carried out by
different people. It was argued that the increased sophistication in analysis was
principally related to the availability of powerful computers rather than to a perceived
inadequacy of earlier, and simpler analysis techniques. An undesirable side effect was
that instead of analysis being used to verify design, it was driving the design.
Sophisticated analysis were based on unrealistic estimates of member stiffness, with the
designer’s role being reduced to that of detailer. The myth, then, was that refinement of
the analysis process improved the end result. The following points were made:
• The use of modal combination of elastic response components together with a
force-reduction or “behaviour” factor was of doubtful validity, since it was not
clear that higher modes of response would be affected by ductility in the same
way as was the fundamental mode.
• Deflection profiles from elastic modal analyses tended to underestimate drifts in
the lower stories of frame buildings responding inelastically to seismic input.
• For reinforced concrete buildings, the approximations of member stiffness were
typically so grossly inaccurate that any advantage from using advanced analysis
techniques would be negated. The example was given of a reinforced concrete
frame building (Fig.1.2(a)), where the stiffness of the outer columns at the
ground floor level differed by a factor of two at first yield of flexural rein-
Moment B
A B C
Curvature
(a) Structure (b) Column Stiffness
forcement, as a result of the axial force variation caused by seismic axial load
under first mode lateral response (see Fig. 1.2(b)). Because this influence does
not extend to higher modes, where the compression column from first mode
response now has equal probability of tension from any of the higher modes, it
would seem to be impossible to allocate different stiffnesses to the columns
when multi-modal analysis is considered. It must thus be expected that forces
predicted in the columns by elastic modal analysis will be grossly in error.
It was shown that for many structures, including most reinforced concrete and
masonry buildings and bridges, increasing the strength does not automatically improve
safety at the design level of seismic response. If the strength increase is obtained merely
by increasing the flexural reinforcement ratios while keeping member dimensions
constant, then the displacement capacity of the structure will actually decrease as the
strength increases, as a result of reduced ultimate curvature capacity. Since displacement
capacity is more fundamental to damage control than is strength, it was argued that safety
may well be improved by reducing, rather than increasing strength.
As mentioned earlier, it has long been felt by designers and researchers that superior
seismic performance will be obtained when the hysteretic force-displacement response of
a structure absorbs the maximum possible energy. Thus emulating elastic/perfectly-
plastic response as closely as possible has been seen as the ideal structural solution. In
the original Myths and Fallacies paper[1], this attitude was disputed, noting that there are
many cases where better response can be obtained with apparently less desirable loop
shapes.
Figure 1.3 compares three idealized hysteresis loop shapes – elastic/perfectly-plastic, a
degrading stiffness model typical of reinforced concrete, and a non-linear elastic response
appropriate for a plastic hinge with unbonded prestressing tendons. Response is shown
both with, and without P-Δ effects. It was shown that for different loop shapes, but
equal initial stiffness, the maximum response displacements were likely to quite similar,
though the displacements of the elastic/perfectly-plastic would generally be smallest, and
those of the non-linear elastic would generally be largest. However, when residual
displacements were considered, the non-linear elastic was clearly the best solution, since it
had zero residual displacement, and the elastic/perfectly plastic was the worst, since
residual displacements for this hysteretic rule could be as much as 80% of the peak
displacement. Residual displacements with the Takeda degrading stiffness model were
less than those with the elastic/perfectly-plastic rule, as a consequence of the reduced
unloading stiffness.
6 Priestley: Myths and Fallacies in Earthquake Engineering, Revisited
When P-Δ effects (indicated in Fig. 1.3 by the dashed lines) were included in the
analyses, it was found that the elastic/perfectly-plastic loop was inherently unstable under
long-duration earthquake records, as a preferential direction of inelastic response was
established once the first inelastic excursion had occurred. This can be seen in Fig.
1.3(a), where after an initial inelastic excursion and unloading the residual displacement is
at point B. In subsequent elastic cycles, the yield envelope is asymmetrical because of
the P-Δ effect, and as a consequence, there is a higher probability that further inelastic
response will occur in the same direction as the existing residual displacement.
The degrading stiffness model (Fig. 1.3(b)) was found[3] to be much less susceptible to
this “creeping” form of residual displacement, and of course the non-linear elastic
hysteretic rule was completely insensitive to P-Δ effects insofar as residual displacements
were concerned.
It was argued that provided damage levels are not unacceptably high, residual
displacement are ultimately more important than maximum displacements, given the
difficulty of straightening a bent building after an earthquake. Although the non-linear
elastic concept of Fig 1.3(c) was only a theoretical concept in 1993, we will show later in
this report that recent experimental results support these findings.
Various aspects of reinforced concrete design and detailing were considered in the
original paper to draw attention to various illogical practices. It was shown that the then
(and still current) practice of concentrating flexural reinforcement in the top and bottom
of beams in frame buildings (see Fig. 1.4(a)) made little sense when design moments were
Chapter 1: Introduction: A 1993 Viewpoint 7
In Chapter 2,the elastic stiffness of reinforced concrete walls, columns, beams and
frames is examined in some detail, basing the stiffness on conditions at effective first
yield of the longitudinal reinforcement, or a limiting concrete compression strain above
which nonlinear response of the concrete becomes excessive. This is effected by
examining the yield curvature of typical reinforced concrete (or masonry) elements.
Simple design recommendations are presented.
Chapter 3 examines dynamic amplification of shear forces and moments in reinforced
concrete structures, with primary emphasis on cantilever wall buildings. Current multi-
modal, and capacity design approaches are critically reviewed on the basis of non-linear
time-history analyses.
The potential for improved seismic performance resulting from the use of structural
systems consisting of precast concrete elements connected by unbonded prestressing is
examined on the basis of theoretical considerations and experimental evidence in Chapter
4. Of particular interest is the level of damage, at specified drift limits, compared with
that for reinforced concrete structures, and the self-centering characteristic imparted by
the use of unbonded prestressing.
The concept of Direct Displacement-based Design, which was advanced in the original
paper as a potential means for resolving many of the philosophical problems inherent in
current force-based design is developed in Chapter 5, in much greater detail than in the
original paper. It is emphasized that the method, which emphasizes design for a specified
displacement, and considers strength as a secondary parameter, is extremely simple to
apply in practice, when compared with current seismic design requirements. Some of the
implications of the design approach are contrasted with corresponding, and contrasting
conclusions from force-based design.
CHAPTER 2: THE ELASTIC STIFFNESS OF CONCRETE
MEMBERS
2.1 INTRODUCTION
In section 1.2, problems with the recent tendency towards increased complexity in
seismic design were briefly discussed. Amongst these was the incompatibility of refined
analysis techniques, such as multimode analysis, with crude approximations to member
stiffness, particularly for reinforced concrete and masonry members, where the effects of
cracking significantly reduce the stiffness below the initial uncracked value. It was
pointed out that the elastic cracked-section stiffness of concrete columns was a function
of the axial load ratio, and for columns of a frame structure can vary by as much as +/-
50% or more during seismic response. As a consequence, modal analysis, based on
specified, and constant stiffness is unable to provide accurate estimates of seismic forces,
even within the elastic range of response. Calculated elastic periods are likely to be in
error, and more importantly, the distribution of forces through the structure, which
depends on relative stiffness of members, can be grossly in error.
These comments refer to elastic response. It would appear that even greater errors will
be induced when the response is inelastic, since some members will remain elastic, while
others respond in ductile fashion. Consequently, relative stiffness variations will diverge
from the elastic values as inelastic response develops. It would thus seem that what has
been termed the Principle of Consistent Crudeness has been violated. There is little
point in sophisticated analysis if it is based on very coarse and inaccurate data.
The coarseness in stiffness estimates used in seismic design is apparent when different
design codes are considered. In many cases, the stiffness is still taken as the gross section
(uncracked) stiffness. This would appear to be inappropriate, since cracking of critical
elements such as beams will normally have occurred under gravity loading. Even if no
previous cracking has occurred prior to the design seismic level of excitation (unlikely,
since the probability is that the design level of seismic excitation will be preceded by a
number of events of lesser intensity), cracking will occur early, and the stiffness will
rapidly reduce. The uncracked stiffness will never be fully regained during, or after the
seismic response, and thus is not a useful estimate of effective stiffness.
In other codes, some recognition of the influence of cracking is made, by specifying
reduction factors to be applied to the gross-section stiffness. Typically a blanket value of
0.5 is used. In a few codes, notable the New Zealand concrete design code[5], different
adjustment factors are specified for different member types. Thus a reduction factor of
10 Priestley. Myths and Fallacies in Earthquake Engineering, Revisited
0.35 is applied to the gross-section stiffness of beams, while a value between 0.4 and 0.7
is specified for columns. This is clearly an improvement on the use of gross-section
values, but is still inadequate to represent stiffness to a degree of precision adequate to
justify modal analysis, since the influence of flexural reinforcement ratio is not included.
Regardless of what assumption is made, the member stiffnesses are assumed to be
independent of flexural strength. The section stiffness can be assessed from the
moment-curvature relationship in accordance with the beam equation:
MN
EI = (2.1)
φy
where MN is the nominal moment capacity of the section, and φy is the yield curvature of
the equivalent bilinear representation of the moment-curvature curve. This can be
explained with reference to Fig. 2.1, which shows a typical moment-curvature relationship
50000
Mu
40000
MN
Moment (kNm)
30000
My
20000
10000
0 φ'y φy φu
0 0.02 0.04 0.06
Curvature (1/m)
together with a bilinear approximation. The curve in Fig. 2.1 is the moment-curvature
response of a square 1.6m x 1.6m column, with moderate axial load and reinforcement
content, and might be appropriate for a bridge column, or the base of a tall building.
It has become accepted by the research community that the most appropriate
linearization of moment-curvature relationships is by an initial elastic segment passing
through “first yield”, and extrapolated to the nominal flexural strength, MN, and a post-
yield segment connected to the ultimate strength and curvature. “First yield” of the
section is defined as the moment, My and curvature φ’y when the section first attains the
reinforcement tensile yield strain of εy = fy/Es , or the concrete extreme compression
fibre attains a strain of 0.002, whichever occurs first. The nominal flexural strength MN
develops when the extreme compression fibre strain reaches 0.004, or the reinforcement
tension strain reaches 0.015, whichever occurs first. Thus the yield curvature is given by
φ y = φ ' y (M N / M y ) (2.2)
Member stiffness depends on the distribution of curvature along the entire member
length – not just at the critical section where yield will occur. However, experimental
evidence indicates that basing the member stiffness on the assumption that curvature
varies linearly with moment along the member is adequately accurate. This is partly
because slight reductions in curvature, below the linear assumption, for sections with
reduced moment are balanced by increased deformation due to shear effects and strain
penetration into supporting members. Also, after one or two cycles at or close to yield,
the moment-curvature response of all cracked sections up to yield approaches linearity.
Examination of Eq (2.1) reveals that the common design assumption that member
stiffness is independent of strength implies that the yield curvature is directly
proportional to flexural strength:
φ y = M N / EI (2.3)
M1 M1
M M
M2 M2
M3 M3
Circular reinforced concrete columns are the most common lateral force-resisting
elements for bridges in seismic regions[4]. In order to investigate the effective stiffness of
circular columns, a parameter analysis was carried out varying the axial load ratio and
flexural reinforcement ratio for a typical bridge column. The following basic data were
assumed:
• Column diameter D = 2m
• Cover to flexural reinforcement = 50 mm
• Concrete compression strength f’c = 35 MPa
• Flexural Reinforcement diameter = 40 mm
• Transverse reinforcement: spirals = 20mm at 100mm spacing
• Reinforcement yield strength fy = 450 MPa
• Axial Load Ratio Nu/f’cAg = 0 to 0.4 (9 levels)
• Flexural reinforcement Ratio ρl/Ag = 0.005 to 0.04 (5 levels)
Analyses were carried out with a program Cirman4 which represents the section by a
minimum of 30 parallel layers. Concrete strains in each layer were calculated from stress-
strain relationships that differentiated between cover and core concrete, and considered
Chapter 2: Elastic Stiffness of Concrete Members 13
50000
Nu/f'cAg = 0.4
Nu/f'cAg = 0.3
Nu/f'cAg = 0.2
40000 40000 Nu/f'cAg = 0.1
Nu/f'cAg = 0
Nu/f'cAg = 0.4
Moment (kNm)
Nu/f'cAg = 0.2
Nu/f'cAg = 0
10000 10000
0 0
0 0.002 0.004 0.006 0 0.002 0.004 0.006
Curvature (1/m) Curvature (1/m)
(a) Reinforcement Ratio = 1% (b) Reinforcement Ratio = 3%
MN
M DN = (2.4)
f 'c D 3
φ Dy = φ y D / ε y (2.5)
Ave. +10%
0.2 2.5
Dimensionless Moment (MN/f'cD3)
0.04 0.5
0 0
0 0.1 0.2 0.3 0.4 0 0.1 0.2 0.3 0.4
Axial Load Ratio (Nu/f'cAg) Axial Load Ratio (Nu/f'cAg)
(a) Nominal Moment (b) Yield Curvature
forcement ratio coupled with very high axial load ratio fall within the +/- 10% limits.
It should be noted that though the data were generated from a specific column size
and material strengths, the dimensionless results can be expected to apply, with only
insignificant errors, to other column sizes and material strengths within the normal range
expected for standard design. The results would not, however apply to very high material
strengths (say f’c>50MPa, or fy>600MPa) due to variations in stress-strain characteristics.
The data in Figs. 2.3 and 2.4 can be used to determine the effective stiffness of the
columns as a function of axial load ratio and reinforcement ratio, using Eq. (2.1). The
ratio of effective stiffness to initial un-cracked section stiffness is thus given by
MN
EI / EI gross = (2.6)
φ y EI gross
Results are shown in Fig. 2.5 for the ranges of axial load and reinforcement ratio
considered. It will be seen that the effective stiffness ratio varies between 0.13 and 0.91.
0.8 ρl = 0.04
Stiffness Ratio (EI/EIgross)
ρl = 0.03
0.6
ρl = 0.02
ρl = 0.01
0.4
ρl = 0.005
0.2
0
0 0.1 0.2 0.3 0.4
Axial Load Ratio (Nu/f'cAg)
It should be noted that for convenience in computing the stiffness ratios of Fig 2.5, the
gross stiffness of the un-cracked stiffness has been calculated without including the
stiffening effect of the flexural reinforcing steel. That is
πD 4
I gross = (2.7)
64
A parallel study to that described in the previous section was carried out for rectangular
concrete columns. Ductile rectangular columns can occur in bridge design, and at the
base of columns of multi-storey frame buildings. For the purposes of this study the
special case of a square column with flexural reinforcement evenly distributed around the
perimeter was investigated. The following basic data were assumed:
• Column dimensions B = h = 1.6 m
• Cover to flexural reinforcement = 50mm
• Concrete compression strength f’c = 35 MPa
• Flexural reinforcement diameter = 32 mm
• Transverse reinforcement: hoops = 20mm dia./5 legs
• Reinforcement yield strength fy = 450 MPa
• Axial load ratio Nu/f’cAg = 0 to 0.4 (9 levels)
• Flexural reinforcement ratio ρl/Ag = 0.005 to 0.04 (5 levels)
The analyses for rectangular sections were carried out with a program Recman2 which
was based on similar principles to the program Cirman4 used for the circular analyses of
Section 2.2.
A selection of the computed moment-curvature curves for the rectangular sections is
presented in Fig. 2.6 for two levels of reinforcement ratio, and a range of axial load ratios.
As with the curves for circular columns presented in Fig. 2.3, only the initial part of the
moment-curvature curve, up to about 10% of ultimate curvature, but significantly beyond
initial yield, has been included. Also shown in Fig. 2.6 are the bilinear representations of
the moment-curvature curves based on the principles outlined in Section 2.1 and Fig. 2.1.
The strong influence of axial load ratio and reinforcement ratio on moment capacity
apparent for circular sections is also apparent with rectangular sections, as expected.
Chapter 2: Elastic Stiffness of Concrete Members 17
40000
Nu/f 'cAg = 0.4
0.3
0.2
30000
0.1
Nu/f'cAg = 0.4
25000
Moment (kNm)
Nu/f 'cAg = 0.3 Nu/f 'cAg = 0
5000
0 0
Also, as noted for circular sections, the effective yield curvature of the equivalent bi-
linear approximation to the moment-curvature relationship does not appear to be
significantly dependent on axial load ratio or reinforcement ratio.
Data from the full set of analyses for nominal moment capacity, and equivalent bi-
linear yield curvature are plotted in dimensionless form in Fig. 2.7. The dimensionless
nominal moment capacity is defined as
MN
M DN = (2.9)
f ' c bh 2
where b and h are the column width and depth respectively. The dimensionless
curvature is
φ Dy = φ y h / ε y (2.10)
Trends for the rectangular columns, apparent in Fig. 2.7, are similar to those displayed in
18 Priestley. Myths and Fallacies in Earthquake Engineering, Revisited
0.3 2.5
Dimensionless Moment (MN/f'cbh2)
Ave. + 10%
ρl = 0.03
2 Average
Ave. - 10%
0.2 ρl = 0.02 ρl = 0.005
1.5
ρl = 0.01
0.5
0 0
Fig.2.4 for circular columns. Nominal moment capacity is strongly dependent on both
axial load ratio and reinforcement ratio, with approximately an eight-fold increase in
moment capacity from minimum axial load and reinforcement ratio to maximum axial
load and reinforcement ratio. Dimensionless yield curvature is only weakly dependent
on axial load ratio and reinforcement ratio, thus implying that the yield curvature is
insensitive to the nominal moment capacity. The average value of dimensionless
curvature of φDy =2.10 is plotted on Fig.2.7(b), together with lines at 10% above and 10%
below the average. It is seen that all data except those for ρl =0.005 at both low and
high axial load ratio fall within the +/- 10% limits of the average value.
As with the circular columns, the dimensionless results of Fig.2.7 can be expected to
apply to other column sizes and material strengths within the normal range of material
strengths. Small errors can be expected for small column dimensions, where the ratio of
cover to core dimensions will be significantly larger than for the data presented here. As
with the circular column data, results should not be applied to rectangular columns with
very high strength concrete or reinforcement.
The data of Figs.2.6 and 2.7 have been used to develop curves for the effective
stiffness ratio, based on Eq.(2.6). Results are presented in Fig.2.8. For ease of
application of the results, the gross-section un-cracked stiffness was computed ignoring
the stiffening effect of flexural reinforcement as
bh 3
I gross = (2.11)
12
Chapter 2: Elastic Stiffness of Concrete Members 19
0.8
ρl = 0.04
Stiffness Ratio (EI/EIgross)
ρl = 0.03
0.6
ρl = 0.02
0.4 ρl = 0.01
ρl = 0.005
0.2
0
0 0.1 0.2 0.3 0.4
Axial Load Ratio (Nu/f'cAg)
Similar calculations to those reported in the previous two sections can also be carried
out for rectangular structural walls, which are common lateral-force resisting elements in
seismic design of multi-storey buildings. These have been fully presented elsewhere[6].
Analyses considered two separate cases – one where the flexural reinforcement was
distributed uniformly along the wall length, and the second, more common case where
most of the flexural reinforcement was concentrated at the wall ends, with a
comparatively light reinforcement distributed along the wall length. It is emphasized that
20 Priestley. Myths and Fallacies in Earthquake Engineering, Revisited
though the latter is the more common case, this is largely because of the misconception
that concentrating the flexural reinforcement at the wall ends increases the flexural
capacity when compared with the same total amount of reinforcement distributed
uniformly along the wall length. In fact, the flexural strength of the two distributions
will be almost identical, as simple trial calculations will show. As with the distribution of
flexural reinforcement in beams of frame buildings, discussed in Section 1.5, shear
performance will be enhanced by uniform distribution of reinforcement, which should
thus be preferred over concentration at the wall ends.
Results are presented in Fig.2.9 for the dimensionless yield curvature for walls with
different axial load ratios and reinforcement ratios, in similar fashion to the above
analyses for columns. However, lower ranges of axial load ratio (with a maximum of
Nu/f’cAg= 0.12), and reinforcement ratio ( with a maximum of ρl = 0.02) were adopted
since these were considered to be practical upper limits for structural walls. A
reinforcement ratio of 0.005 was considered to be uniformly distributed along the wall
length, with the remainder concentrated near the wall ends. In Fig.2.9 the yield curvature
has been made dimensionless by multiplying by the wall length lw, and dividing by the
yield strain εy of the flexural reinforcement, in similar fashion to columns in Eqs.(2.5) and
(2.10).
An average value of
φ Dy = φ y l w / ε y = 2.0 (2.12)
is plotted on Fig.2.9, together with lines at average +5% and average –5%. It is seen that
except for the case of ρl = 0.005 (which in this case means uniformly distributed
reinforcement without additional end reinforcement), coupled with low axial load, all data
conform to the average +/- 5%.
Analyses where all the flexural reinforcement was distributed uniformly along the wall
length resulted in an average dimensionless curvature approximately 10% higher than
given by Eq.(2.12), with about twice the scatter of Fig. 2.9[6]. The effective stiffness for
rectangular walls can thus be calculated, as a fraction of gross wall stiffness as
MN 1
EI / EI gross = ⋅ (2.13)
(φ Dyε y / lw ) E (tlw / 12)
3
where t is the wall width, and MN is the calculated nominal flexural strength. In Eq.
(2.13), φDy is given by Eq. (2.12) for walls with most of the flexural reinforcement
concentrated at the wall ends, or by 1.1 times the value from Eq. (2.12) when all the
reinforcement is uniformly distributed along the wall length.
effective stiffness ratio is highly dependent on the reinforcement ratio, though axial load
is not considered relevant for beams in frame design.
θ y = θ by + θ jy + 2Δ c / lc + 2Δ s / lc (2.15)
where θby and θjy are the rotations of the joint center due to beam flexure and joint shear
deformation respectively, Δc is the flexural deformation of the column top relative to the
tangent rotation at the joint center, and Δs is the additional deformation of the column
top due to shear deformation of beams and columns. To allow for strain penetration of
longitudinal reinforcement into the joint region, it is assumed that the yield curvature in
the beam develops at the joint centroid, and reduces linearly to zero at the beam midspan,
as shown in Fig.2.11(c).
The yield drift due to beam flexure is thus:
φ y (0.5lb ) φ y lb
θ by = = (2.16)
3 6
ªl º
θ by = 0.283ε y « b » (2.17)
¬ hb ¼
Chapter 2: Elastic Stiffness of Concrete Members 25
Typical calculations based on a storey height/bay length ratio of 0.533 (storey height =
3.2m, bay length =6m) and a maximum column curvature of 0.75φy indicate column
displacement Δc will add about 40% to the yield drift in Eq. (2.15). It is further assumed,
based on experience, that the joint deformation and member shear deformation add 25%
and 10% respectively to the yield drift. As a consequence, the yield drift is predicted to
be
ªl º
θ y = (1.0 + 0.4 + 0.25 + 0.1) * 0.283ε y « b »
¬ hb ¼
ªl º
= 0.5ε y « b » (2.18)
¬ hb ¼
Equation (2.18) is compared in Fig.2.12 with the results from 46 beam/column test
assemblages which included a wide range of possibly relevant parameters[7], including
Test units with equal, and with unequal top and bottom reinforcement ratios were
considered, as were units with and without slabs and/or transverse beams framing into
the joint. Note that Eq.(2.18) only includes two of these parameters (beam rein-
forcement yield strength (which dictates the yield strain εy = fy/Es), and beam aspect
ratio), on the assumption that the other parameters are not significant variables. Clearly
this is an approximation, and some error is expected. It should also be noted that a few
test results were discarded because of lack of joint reinforcement and premature joint
failure, resulting in excessive yield drifts. Also, a few units with unacceptably high ratios
of beam bar diameter to joint depth (db/hc), resulting in slip of beam bars through the
joint prior to yield were also discarded. Full details of the test units are available in [7].
As is apparent from Fig.2.12, the agreement between experimental drifts and
predictions of Eq.2.18 is reasonable over the full, and rather wide range of yield drifts.
The average ratio of experiment to theory is 1.03 with a standard deviation of 0.16.
Considering the wide range of parameters considered, the comparatively narrow scatter is
rather satisfactory.
In order to examine the sensitivity of the ratio of experimental drift to theoretical drift
(θΕ/θT) to different potentially significant parameters, it is plotted against reinforcement
yield strength, maximum beam reinforcement ratio, beam aspect ratio, and test unit
aspect ratio in Figs. 2.13(a), 2.13(b), 2.13(c), and 2.13(d) respectively. In no figure is a
strong trend apparent, though there appears to be a trend for θE/θT to increase with
increasing test unit aspect ratio, and to decrease with increasing beam aspect ratio and
reinforcement yield strength. Most of these trends are expected: increasing column
height relative to beam length will increase the contribution of column deformation to
yield drift, and shear deformation will increase for low beam aspect ratio. The extent of
the influence is, however, not sufficient to justify increasing the complexity of the very
simple Eq.(2.18). Sensitivity to concrete compression strength and column axial load
was similarly low[7].
It is of interest to investigate the probable levels of yield drift to be expected in
modern design. Examination of Fig.2.12 indicates a range from 0.44% to 1.5%. These
are generally much larger than assumed for seismic design. However, many of the test
units investigated in Figs. 2.12 and 2.13 have proportions that would be considered
unusual for current design practice. If we consider a minimum probable bay length of
6.0m, and a typical beam depth of 600mm, then Eq.(2.18) will predict yield drifts of
1.03% and 1.25% for frames with beam reinforcement of 414MPa (North American
practice) and 500MPa (European practice) respectively. Since it is common to specify
maximum allowable drifts of between 2.0% and 2.5% under the design level earthquake,
the realistic maximum storey drift ductility demand must be in the range of μ = 1.6 to
2.5. Since structural displacement ductility demand will always be less than the drift
ductility demand of the critical storey, design ductility levels should be less than these
values. As a consequence it will almost never be possible to make full use of the
behaviour factors (displacement ductility limits) specified in most seismic design codes, if
the drift limits are to be maintained, and realistic estimates of elastic stiffness used.
28 Priestley. Myths and Fallacies in Earthquake Engineering, Revisited
For reinforced concrete frames, the yield drift can be expressed, with adequate
accuracy as
lb
θ y = 0.5ε y (2.20)
hb
It is noted that the analyses reported in this chapter identify a fundamental problem
with current force-based design:
?
CHAPTER 3: MORE PROBLEMS WITH MULTI-MODAL
ANALYSIS
3.1 INTRODUCTION
In equivalent lateral force design, the required flexural strengths at potential plastic
hinges are determined from a simplified representation of the first-mode inelastic force
distribution. Typically, and conservatively, 100% of the structure mass is considered to
act in the first mode. Required strengths at other locations, or due to actions other than
flexure, are found from capacity design considerations[8]. Basic strengths SE for these
locations and actions corresponding to the first-mode force distribution are amplified by
an overstrength factor φo to account for potential flexural overcapacity at the plastic hinge
locations resulting from higher than anticipated material strengths, and by a dynamic
amplification factor ω to represent the potential increase of required strength due to
higher mode effects. The required strength is thus
S R = φ oωS E (3.1)
Chapter 3: More Problems with Multi-Modal Analysis 33
For the required moment capacity of cantilever walls, the base moment is amplified to
account for material overstrength, and a linear distribution of moments is generally
adopted up the wall height to account for higher mode effects. As is apparent from Fig.
3.1(a), this implies higher amplification of moments at midheight than at the base or top
of the wall. Reinforcement cut-off is determined by consideration of tension shift
effects. This is achieved by vertical offset of the moment profile. The design moments
thus do not exactly follow the form of Eq. (3.1).
Shear forces corresponding to the Equivalent Lateral Force distribution are amplified
by the flexural overstrength factor, and the dynamic amplification factor ωv directly in
accordance with Eq. (3.1), as shown in Fig. 3.1(b). This factor has been obtained from
previous research, and is presented elsewhere[8] in the following form:
ωV = 0.9 + n / 10 for n ≤ 6
(3.2)
ωV = 1.3 + n / 30 for 6 < n < 15
where n is the number of stories in the wall, and need not be taken greater than 15.
For frame structures, beam shear forces, and moments at locations other than potential
plastic hinges are amplified by the flexural overstrength factor. Since higher modes are
not normally considered for beam design, the dynamic amplification factor is not
normally included. However, it should be noted that vertical response is essentially a
1 1
0.8 0.8
Tension
Dimensionless Height
Dimensionless height
Shift
0.2 0.2
0 0
higher mode, and may amplify the gravity moments considerable. A strict formulation
of capacity design would take this into account.
Column end moments and shear forces are amplified for both beam plastic hinge
overstrength and dynamic amplification. For one-way frames, upper limits for the
dynamic amplification of column moments of 1.80 have been recommended, with 1.3 for
column shear forces. Further amplification for beam flexural overstrength is required[8].
When multi-modal analysis forms the basis of seismic design, the higher mode effects
are directly considered in the analysis, since all significant elastic modes, rather than just
the fundamental mode, are included when determining the design forces. The
individual response of each significant mode, in terms of lateral forces, element bending
moments or shear forces, and displacements are found from direct modal combination of
the relevant action or displacement. The procedure may be outlined as follows:
• The mode shapes φim and periods Tm of each significant mode m are calculated,
where i are the individual floors or mass locations.
• The portion of the total structural mass ρm participating in each significant mode
is calculated as
Chapter 3: More Problems with Multi-Modal Analysis 35
2
§ N ·
¨¨ ¦ φim mi ¸¸
1
ρm = © N ¹ (3.3)
i ,m =1
N
¦ φim mi
2
i ,m =1
¦m
i =1
i
where mi are the masses at locations i. The modal base shear for each mode is then
obtained as
§ N
·
VBm = Sa m g ¨ ρ m ¦ mi ¸ (3.4)
© i =1 ¹
where Sam is the acceleration coefficient corresponding to mode m, and g is the acceleration
of gravity. Then, the modal base shear is distributed up the structure following
φ im mi (3.5)
Fim = V Bm N
¦φ
i , m =1
im mi
The modal displacements may be found using Equation (3.6), where Tm is the period
of vibration of mode m:
Tm2 (3.6)
Δ m = Sa m g
4π 2
¦φ im mi Δ m
Δ im = φ im
i , m =1 (3.7)
N
¦φ
i , m =1
2
im mi
Elastic-response modal moments and shear forces are calculated from the modal
forces given by Eq. (3.5), and are then combined in accordance with established modal
combination rules such as SRSS or CQC[9]. Adopting the SRSS combination for
simplicity, the elastic forces and displacements are thus given by
N N N N
Fie = ¦ Fim2 , M ie =
i ,m =1
¦ M im2 , Vie =
i ,m =1
¦Vim2 , and Δ ie =
i ,m =1
¦Δ
i ,m =1
2
im (3.8)
36 Priestley. Myths and Fallacies in Earthquake Engineering, Revisited
In Eqs. (3.4), (3.7), and (3.8), N is the number of significant modes considered.
The design forces are then determined by dividing the elastic forces by the behaviour
(force-reduction) factor, R, and the design displacements are taken as equal to the elastic
displacements. Thus:
Fie M V
FiD = , M iD = ie , ViD = ie , and Δ iD = Δ ie (3.9)
R R R
The assumption inherent in the above formulation is that the behaviour factor R
applies equally to all modes. A corollary of this is that design forces of a designed
structure are unaffected by the seismic intensity, provided that the intensity is sufficient to
induce inelastic response. This is because (say) doubling the seismic intensity will be
equivalent to doubling the behaviour factor. Although the elastic response forces,
moments and shears will all double, the strengths of the plastic hinges will remain as
designed, and hence the effective behaviour factor for the increased intensity must
increase proportionately. Since the increased behaviour factor applies to all modes, the
design forces, given by Eq. (3.9) are unchanged. Since the displacements are equal to
the elastic displacements, however, the displacement response (and hence the
displacement ductility demand) will be increased in direct proportion to the increase in
seismic intensity.
An analytical research project was recently carried out[10] to investigate the influence of
seismic intensity on the higher mode response of cantilever structural walls, and hence to
investigate, indirectly, the validity of design forces determined by multi-mode analysis.
Six walls, from 2 storeys to 20 stories were designed to the Eurocode 8 elastic
acceleration response spectrum of Fig.3.2, which is compatible with a peak ground
acceleration of 0.4g, and a medium soil condition (subsoil class B, characterized by deep
deposits of medium dense sand, gravel, or medium stiff clays with thickness from several
tens to many hundreds of metres).
The walls (see Fig.3.3) all had the same tributary floor mass of 60 tonnes, and gravity
load of 200 kN at each level, and were designed in accordance with direct-displacement
based design principles[11] to achieve maximum drifts (interstorey displacement divided by
interstorey height) of approximately 0.02 at the critical top storey, under the design levels
of seismic intensity. Wall lengths (lw), widths (b), reinforcement contents (ρl) and bar
sizes (db) varied from wall to wall in order to satisfy the design displacement criteria.
Details are listed in Table 3.1, which also includes the calculated plastic hinge length (lp),
the expected displacement and curvature ductility demands (μΔ, μφ), the effective period
at maximum displacement (Teff, approximately equal to Tel . μ Δ ), and design base
shear force and bending moment (Vb, and Mb).
Chapter 3: More Problems with Multi-Modal Analysis 37
1.1
1.0
0.9
0.8
spectral Acceleration (g)
0.7
0.6
0.5
0.4
0.3
0.2
0.1
0.0
0.0 0.3 0.5 0.8 1.0 1.3 1.5 1.8 2.0 2.3 2.5 2.8 3.0 3.3 3.5 3.8 4.0
Period (sec)
P WALL F
P m
P m
m
WALL E P
P P m
P m P m
P m P m
WALL D P m P m
P P m P m
m m m
20@3m
P P P
P m P m P m
WALL C P m P m P m
P P m P m P m
16@3m
P m P m P m P m
m m m m
12@3m
P P P P
WALL B P m P m P m P m
P m P m P m P m
8@3m
P
WALL A P m P m P m P m P m
P m P m P m P m P m
P
4@3m
m m P m P m P m P m
P P
2@3m
m m m m m m
12
20
8
15
Height (m)
Height (m)
SRSS/μ
10
4 DBD SRSS ELF
0 0
0 2000 4000 6000 0 4000 8000 12000 16000 20000
Moment (kNm) Moment (kNm)
(a) 4-Storey Wall (b) 8-Storey Wall
30 40
30
Height (m)
Height (m)
20
20
10
10 SRSS DBD ELF
SRSS DBD ELF
SRSS/μ
SRSS/μ
0 0
0 10000 20000 30000 0 10000 20000 30000 40000 50000
Moment (kNm) Moment (kNm)
(c) 12-Storey Wall (d) 16-Storey Wall
12
20
8
15
Height (m)
Height (m)
10
4 DBD SRSS ELF SRSS DBD SRSS/μ ELF
SRSS/μ
0 0
30 40
30
Height (m)
Height (m)
20
20
10 SRSS/μ ELF
10
SRSS DBD SRSS/μ ELF SRSS DBD
0 0
0 400 800 1200 0 400 800 1200 1600
Shear Force (kN) Shear Force (kN)
(c) 12-Storey Wall (d) 16-Storey Wall
Fig. 3.5 Comparison of Wall Design Shear Forces for Different Design
Procedures
Chapter 3: More Problems with Multi-Modal Analysis 41
indicated by “DBD”. Results from the multi-mode analysis are indicated as “SRSS”, and
the equivalent lateral force procedure by “ELF”. In both SRSS and ELF designs, a
behaviour (force-reduction) factor of R=4 was adopted to reduce the elastic response.
The ELF procedure always produces higher design moments and shear forces than the
other two methods, and except for short-period structures, the multi-mode procedure
results in lower forces than the DBD procedure.
In this study, the aspect of greatest interest was the shape of the moment and shear
force envelopes, as compared with inelastic time-history results. Since the walls analyzed
were the displacement-based designs, the multi-mode designs were factored to produce
the same design base moment as the displacement-based designs, thus ensuring
approximately equal displacement ductility demand. This implies a reduction in the
design ductility for the multi-modal analysis from the design value of R=4. The resulting
modified design forces for the multi-mode analyses are indicated in Figs. 3.4 and 3.5 as
“SRSS/μ”. Note that, as required, the base moments for this design set in Fig 3.4 are
the same as the displacement-based designs, but the SRSS/μ base shear forces are
significantly higher than the displacement-based shear forces. This is because the multi-
mode analyses provide at least some direct consideration of higher mode effects. For
displacement-based design, a dynamic amplification factor would be applied to determine
the design shears, in accordance with the approach outlined in connection with Fig. 3.1.
The influence of higher mode effects are also apparent in the shapes of the SRSS/μ
moment profiles above the base, particularly for the taller walls, and similarly in the upper
levels of the wall shear force distributions.
The DBD wall designs (and hence also the SSRS/μ designs) were analyzed using a
suite of five spectrum compatible earthquake records, scaled to different multiples of the
design intensity, from 0.5 to 2.0. The computer code Ruaumoko[12], was used for the
analyses, with hysteretic behaviour of potential plastic hinge regions represented by a
realistic modified Takeda hysteresis rule. Note that higher mode effects are rather
sensitive to the hysteretic model assumed, and earlier work carried out on the less realistic
simplified elasto-plastic hysteresis provide somewhat different results.
Moment and shear force envelopes from the time-history analyses at different seismic
intensities are compared with the SRSS/μ design values in Figs. 3.6 and 3.7 respectively.
In these figures, “IR” indicates “intensity ratio”, or the multiple of the design seismic
intensity. Thus “IR = 1” indicates the design intensity, “IR = 0.5” indicates 50% of
design intensity, and so on.
Referring first to Fig.3.6, we see that the time-history analysis results indicate only
small increases in base bending moment with increasing intensity, as expected, since the
increase, once the nominal moment capacity has been reached is only the result of the
post-yield stiffness of the moment-curvature characteristic at the wall base. However, at
levels above the base, and particularly at wall mid-height, moments increase very
significantly with increasing intensity, especially for the eight and sixteen storey walls.
Note that as multi-modal analysis is currently formulated, in accordance with Eq.(3.9), the
only increase in moments with increasing intensity would be in proportion to
42 Priestley. Myths and Fallacies in Earthquake Engineering, Revisited
12
20
8
15
Height (m)
Height (m)
IR= 0.5 1.0 1.5 2.0 IR= 0.5 1.0 1.5 2.0
10
4 SRSS/μ SRSS/μ
0 0
0 1000 2000 3000 4000 0 2000 4000 6000 8000 10000
Moment (kNm) Moment (kNm)
(a) 4-Storey Wall (b) 8-Storey Wall
30 40
30
Height (m)
Height (m)
20
10
SRSS/μ 10 SRSS/μ
0 0
0 4000 8000 12000 16000 20000 0 10000 20000 30000
Moment (kNm) Moment (kNm)
(c) 12-Storey Wall (d) 16-Storey Wall
12
20
8
15
Height (m)
Height (m)
10
4
5
SRSS/μ SRSS/μ
IR= 0.5 1.0 1.5 2.0 IR= 0.5 1.0 1.5 2.0
0 0
0 200 400 600 800 1000 0 400 800 1200 1600 2000
Shear Force (kN) Shear Force (kN)
(a) 4-Storey Wall (b) 8-Storey Wall
30 40
30
Height (m)
Height (m)
20
20
10
IR=0.5 1.0 1.5 2.0 10
IR=0.5 1.0 1.5 2.0
SRSS/μ
SRSS/μ
0 0
0 500 1000 1500 2000 2500 3000 0 1000 2000 3000
Shear Force (kN) Shear Force (kN)
(c) 12-Storey Wall (d) 16-Storey Wall
the strain-hardening increase at the wall base. It is also apparent that the multi-modal
analysis (SRSS/μ), is non-conservative at the design intensity, and increasingly so at
higher intensities. For the four and eight storey walls, where the design displacement
ductilities exceed 2 (see Table 3.1), the multi-modal moment envelope is non-
conservative even at 50% of the design intensity.
In Fig. 3.7, the multi-modal and IR=1 time-history shear force envelopes are indicated
by solid lines, with time-history results for other intensities indicated by dashed lines.
Again it is seen that the shear force envelopes are strongly influenced by seismic intensity,
and that the multi-modal design envelope is significantly non-conservative. For the four
and eight storey walls, the time-history base shear force at IR=1 is almost twice the multi-
modal value, and for these two walls, the shear profiles at IR=0.5 exceed the design
profile at all heights. At intensity ratios of IR=2, base shear force is between 2.5 and 3.7
times the multi-modal design envelope.
The discrepancies between the multi-modal and time-history shear forces are more
problematic than the corresponding moment discrepancies of Fig. 3.6. Although
unintentional plastic hinging (which would be the consequence of designing to the multi-
modal moment envelopes) at levels above the base is undesirable, some limited ductility
demand should be sustainable without failure. However, the consequences of the
imposed shear demand exceeding the shear capacity could be catastrophic shear failure.
Examination of Fig. 3.7 indicates that at an intensity ratio of IR=0.5, where ductility
demand is low, or non-existent for all walls, the shape of the shear force envelope is well
predicted by the modal analysis procedure. This suggests that it might be possible to
predict the shear force and moment envelopes by simple modification of the modal
superposition (multi-mode) approach.
A basic and simple modification to the modal superposition method is available by
recognizing that ductility primarily acts to limit first mode response, but has
comparatively little effect in modifying the response in higher modes. If this were to in
fact be the case, then first mode response would be independent of intensity, provided
that the intensity was sufficient to develop the base moment capacity, while higher modes
would be directly proportional to intensity. This approach is very similar to that
proposed by Eibl and Keintzel[13] as a means for predicting shear demand at the base of
the wall.
This modified modal superposition approach is clearly an approximation to response.
Although the first mode inelastic shape is very similar to the elastic shape, and hence the
approximation should be reasonably valid for the first mode, it is clear that the higher
modes will be modified to some extent by the first mode ductility, since a basic feature of
the modified higher modes will be that, when acting together with ductility in the first
mode, they cannot increase the base moment demand, which will be anchored by the
moment capacity of the base plastic hinge. The approach suggested below attempts to
extend the basic method of Eibl and Keintzel for shear forces to the full height of the
Chapter 3: More Problems with Multi-Modal Analysis 45
wall, and also to provide a method for determining the appropriate capacity design
moment envelope.
Shear Force Profiles: To investigate the appropriateness of a simple approach based on
the above arguments, shear force profiles were calculated based on the following assump-
tions.
• First mode shear force was equal to the shear profile corresponding to development
of the base moment capacity, using the displacement-based design force vector.
However, for low seismic intensity, where plastic hinging was not anticipated in the
wall, simple elastic first mode response, in accordance with the elastic response
spectrum was assumed.
• Higher mode response was based on elastic response to the acceleration spectrum
appropriate to the level of seismic intensity assumed. In other words, the force-
reduction factor normally applied to higher mode response was not adopted.
• The basic equation to determine the shear profile was thus:
Vi = (V12i + V22Ei + V32Ei + ...) 0.5 (3.10)
where Vi is the shear at level i, V1i is the lesser of elastic first mode, or ductile first
mode response at level i, and V2Ei , and V3Ei etc are the elastic modal shears at level i
for modes 2, 3 etc.
Moment Profiles: It is clear that the simple modal combination used for shear forces
cannot be directly used for moments. This is because such an approach would predict
increasing base moment with increasing intensity ratio, whereas the base moment is
anchored to the capacity of the wall. As a consequence, the higher mode moment
patterns are likely to deviate significantly from the elastic mode shapes, particularly in the
lower regions of the wall.
A number of trial combinations were considered. The most successful adopts a simple
modal combination, similar to that of Eq. (3.10), but multiplied by a factor of 1.1, over
the top half of the wall, with a linear profile from mid-height to the moment capacity at
the base of the wall. The combination equation over the top half of the wall is thus:
M i = 1.1 × ( M 12i + M 22Ei + M 32Ei + ...) 0.5 (3.11)
where Mi is the moment at level i, M1i is the lesser of the elastic first mode moment and
the ductile design moment, and M2Ei and M3Ei etc are the elastic modal shears at level i for
modes 2, 3, etc.
Comparison with Time-history Results: The predictions of this Modified Modal
Superposition (MMS) approach are compared in Figs. 3.8 and 3.9 with time history
results for moment profiles and shear force respectively for the four, eight, twelve and
sixteen storey walls. For clarity, comparisons are only provided for IR=1 and IR=2.
Full comparisons for all six walls considered, and all four levels of seismic intensity are
provided in reference [10]. Also included in Figs. 3.8 and 3.9 are the shear force or
46 Priestley. Myths and Fallacies in Earthquake Engineering, Revisited
12
20
MMS MMS
8
15
Height (m)
Height (m)
1.0 2.0 = IR
SRSS/μ SRSS/μ 1.0 2.0=IR
THA 10
4 THA
0 0
0 1000 2000 3000 4000 0 2000 4000 6000 8000 10000
Moment (kNm) Moment (kNm)
(a) 4-Storey Wall (b) 8-Storey Wall
30 40
MMS
30
Height (m)
Height (m)
→ MMS ←
20 IR=1.0 2.0
IR=1.0 2.0
THA 20 → THA ←
10 SRSS/μ SRSS/μ
10
0 0
0 4000 8000 12000 16000 20000 0 10000 20000 30000
Moment (kNm) Moment (kNm)
(c) 12-Storey Wall (d) 16-Storey Wall
12
20
8
15
Height (m)
Height (m)
10
SRSS/μ
4 SRSS/μ
MMS 5 MMS
THA → THA ←
IR= 1.0 2.0 IR=1.0 2.0
0 0
0 200 400 600 800 1000 1200 0 400 800 1200 1600 2000 2400
Shear Force (kN) Shear Force (kN)
(a) 4-Storey Wall (b) 8-Storey Wall
30 40 1.0 2.0=IR
1.0 2.0=IR
30
Height (m)
Height (m)
20
20
10 SRSS/μ SRSS/μ
10
MMS
→ MMS ←
THA → THA ←
0 0
0 1000 2000 3000 4000 0 1000 2000 3000 4000
Shear Force (kN) Shear Force (kN)
(c) 12-Storey Wall (d) 16-Storey Wall
The results presented in the previous section indicate that there are significant problems
when predicting the moment and shear force envelopes of cantilever wall buildings using
conventional multi-mode analyses. It will also be recognized that the time-history results
indicate problems with capacity design, as currently implemented in design. One of the
claims of proponents of capacity design (including the author) has been that it
“desensitizes” the structure to the characteristics of the earthquake. Although this is
generally true, it clearly does not apply to uncertainties in the seismic intensity.
Comparisons of dynamic amplification factors implied by the time-history results
presented here with current design values indicate that the dynamic amplification factors
need to be increased, and made intensity-dependent. Critical facilities such as hospitals
should be designed for reduced annual probability of occurrence of the design level
earthquake, implying increased higher mode effects, and higher dynamic amplification of
shear force and moment.
A limited study has been carried out to investigate whether the conclusions derived for
cantilever wall buildings could also be applied to reinforced concrete frame buildings. In
frame design, dynamic amplification is normally applied to the column shear forces and
bending moments to ensure that shear failures or unintended column plastic hinges are
proscribed[8]. Three reinforced concrete frame buildings, described in Fig. 3.10, were
designed by displacement-based principles for maximum design drift levels of 2.5%, in
Chapter 3: More Problems with Multi-Modal Analysis 49
4.0m
7.5m 7.5m
Ec =25GPa, fy = 420MPa
7@3.5m
4.0m
7.5m 7.5m
3@6m
the lowest storey. The first two frames (4-storey and 8-storey) were comparatively
flexible, with yield drifts of 0.0105, calculated using Eq. (2.18), meaning that the design
ductility was only 2.38 – significantly less than force-reduction factors used in most frame
designs. To investigate a stiffer structure, a 3-storey building with shorter beam spans
and deeper beams was adopted for the third example, to ensure a design ductility level
close to 4 was achieved. Note that the third building had different masses at the
different levels, and also different beam depths at different levels, to introduce additional
complexity to the response.
The structures were each designed for a peak ground acceleration of 0.533g, using the
EC8 spectral shape for medium ground (essentially Fig. 3.2 scaled up by 33%). The
designed structures were then subjected to a suite of five spectrum-compatible
earthquake records.
The 4-storey frame was analyzed at three different levels of seismic intensity,
corresponding to 50%, 100% and 150% of the design intensity. Results for the envelopes
of storey column shear force (i.e. the sum of the shears in the columns at a particular
level) are shown in Fig. 3.11. Note that despite the low design ductility level of 2.38 for
this frame, it still developed a plastic hinge mechanism at 50% of design intensity (IR =
0.5). It will be seen that the storey shears, as with the cantilever walls, are dependent on
12
Height (m)
0
400 800 1200 1600 2000
Shear Force (kN)
the seismic intensity, though the dependency does not seem to be as pronounced as was
the case for the cantilever walls.
Results for the time-history analysis (THA) storey shear forces at the design intensity
levels are shown in Fig.3.12, and compared with conventional multi-modal analysis
(designated in Fig.3.12 as SRSS/μ), and the modified modal analysis (MMS) approach
advanced in the previous section for predicting shear force envelopes in cantilever walls.
It will be recalled that this involved combining the shears from the design inelastic first
mode with the elastic shears of the higher modes, using a SRSS combination.
It is apparent from the results presented in Fig. 3.12 that the MMS approach, while
working well for wall structures, provides inconsistent, and generally excessively
conservative predictions of storey shear forces for these frames. Agreement is
reasonably good for the three storey frame, but poor for the four and eight storey frames.
On the other hand, the traditional elastic modal superposition approach is also
inconsistent, and generally non-conservative.
It is initially puzzling why the MMS approach should work so well for cantilevers but
not for frames. It would appear that the answer to this may lie in the effect of ductility
on the higher mode characteristics – particularly the periods. A series of analyses on the
wall and frame structures considered in this study was carried out where the stiffnesses
for members with plastic hinges were reduced to 0.1 times their initial elastic values,
implying member ductility factors of about 10. For the wall structures the second mode
period was increased by less than 35%, while for the frame structures the second mode
period was increased by at least 125%. It will also be recalled that the ratio of first to
second mode periods is approximately 1:5 for cantilever walls, and approximately 1:3 for
frames. As a consequence of these two effects, the response of the critical second mode
tends to stay on, or rise to, the peak plateau of the response spectrum for cantilever walls
as the wall responds inelastically, and hence the initial elastic response provides a good
estimate of the higher mode effects. With frames, the higher mode periods lengthen to
the extent that their response slides down the constant velocity slope of the response
spectrum, reducing the higher mode significance as the structure develops ductility.
Note that the behaviour of both walls and frames analysed in these studies support this
explanation. For stiff short-period walls, it was found that the MMS approach was
slightly non-conservative. This would be expected as the higher mode periods lengthen
slightly and rise to the constant acceleration plateau. For the very long period walls, the
MMS approach was slightly conservative, as higher modes exceeded the constant
acceleration plateau. Response of the three-storey tube frame, which was shorter and
stiffer than the other two frames was quite well predicted by the MMS approach, which
gave worst representation of the most flexible eight-storey frame.
Additional work is required to formulate useable design methods based on these
findings. Initial indications are that the MMS approach is acceptable for wall structures,
but that a more simple approach, based on the traditional dynamic amplification factor
proposed in [8] modified for the level of ductility would be more appropriate.
52 Priestley. Myths and Fallacies in Earthquake Engineering, Revisited
SRSS/μ SRSS/μ
12 THA THA
MMS 20 MMS
Height (m)
Height (m)
10
4
0 0
0 400 800 1200 1600 2000 0 1000 2000 3000
Shear Force (kN) Shear Force (kN)
(a) 4-Storey Frame (b) 8-Storey Frame
SRSS/μ
THA
8 MMS
Height (m)
0
0 1000 2000 3000
Shear Force (kN)
(c) 3-Storey Tube Frame
Current capacity design recommendations[8] for frame column design also include
dynamic amplification to avoid unintended column hinging. Results from the frame
dynamic analyses, where the columns were modeled as elastic elements except at the
potential base hinge, did indicate significant amplification, by up to 70%, of column
moments above the design level, due to higher mode effects. To check the significance of
this, the eight-storey frame was reanalyzed with ductile columns for the bottom four
storeys. The strength was put equal to the column base design strength.
The concern with ductile columns is that a soft storey mechanism might develop with
simultaneous hinging at the base and at some higher level. Such behaviour results in
excessive ductility demand in the columns. In fact the analyses with the ductile columns
indicated that
• Lateral displacements were increased by only a few percent.
• Column ductilities, except at the column base, were extremely low.
• Beam ductilities were slightly increased in the lower storeys, but were reduced in
the upper stories.
• Column shear forces were almost unaffected.
It thus seems that a simple design rule would be appropriate, such as requiring the sum
of the column moment capacities at a beam/column intersections to exceed the sum of
the beam moment capacities by a fixed percentage, say 20%, as is commonly adopted in
the United States.
Consider the plan view of a regular building shown in Fig. 3.13(a). In the direction con-
C.M
V1, k1 C.R V1, k1
V1
Δy Δu
μ2Δy
inelastic
elastic
(μs –1)Δys
Δy
yield
Δys
sidered, seismic resistance is provided by two nominally identical structural walls one at
each end of the building. In the long direction of the building two identical walls on the
building centerline provide seismic resistance. As a consequence of the symmetrical
location of nominally identical walls, the center of mass (C.M.) and center of stiffness
(C.R.) are both nominally at the center of the building.
Accidental eccentricity could occur due to unintended variations in material properties
between the two end walls, in terms of stiffness, k1, or strength, V1, (see Fig. 3.13(b)) or
due to mass eccentricity. For the sake of example, we consider only mass eccentricity,
and assume that the center of mass is displaced to the right of the central position
indicated in Fig. 3.13(a). It is further assumed, to simplify the argument, that the lateral
force-displacement response of the end two walls can be characterized by the elasto-
plastic response of Fig. 3.13(b).
The structural system for this building may be represented, in plan, by the four-spring
model shown in Fig. 3.14(a). It will be recognized that the two longitudinal springs
perpendicular to the applied shear force V have no influence on response, and the shears
induced in the two end walls may be found from simple statics, as shown in Fig. 3.14(a).
The stiffnesses of the end walls are irrelevant in calculating the shear forces, which must
V(B-x)/B Vx/B
x (B-x)
V
(a) Torsionally Unrestrained
k3
k1 C.V. C.M. k2
C.R e
V
k4
always be in the proportion x:(B-x). Since the maximum force that can be developed in
the right-hand wall is V1, it follows that the maximum force that can be developed in the
left-hand wall is V1(B-x)/x. Since x>(B-x), it follows that the left-hand wall will never
yield.
Elastic analysis, based on multi-modal or hand methods will predict an elastic lateral
displacement profile indicated by the dashed line in Fig. 3.13(c), when the accidental mass
eccentricity is included in the analysis. When reduced down by the behaviour, or force-
reduction factor, the structural yield displacement profile is as indicated by the solid line
marked “yield”. The structural yield and design displacements at the center-of-mass are
Δys, and μsΔys, respectively.
As indicated by the argument presented above, and as illustrated in Fig. 3.13(c), the left
wall cannot yield, and hence the maximum displacement for this wall is Δy.(B-x)/x. The
inelastic displacement profile at design intensity is thus as shown by the solid line marked
“inelastic”. Since the center-of-mass displacements at maximum response will still be
essentially the same as predicted by the elastic analysis, the displacement at the right-hand
wall, at μ2Δy, will be much greater than predicted by the elastic analysis.
Thus the comparatively sophisticated multi-modal analysis produces displacements
grossly in error, and has the potential for producing an unsafe design. However,
although the argument presented is generally correct, it is a little simplistic, as it does not
consider the influence of mass rotational inertia, which has been found in inelastic time-
history analyses to slightly modify the results from the simple predictions presented here.
The second example considered is shown in Fig.3.15. In this example, wall 1, in the Y
direction, at the left side of the plan view shown in Fig.3.15(a) is stronger and stiffer than
wall 2, at the right-hand side. In the x direction strong walls of stiffness kx1 and kx2 are
located on the plan perimeter. In addition to the centers of mass and stiffness (C.M. and
C.R. respectively in Figs 3.15(a) and 3.14(b)), a center of strength (C.V.) is defined based
on the position of the resultant of the wall yield strengths Vy1 and Vy2. The center of
strength could be, but will generally not be, at the same location as the center of stiffness.
In Fig. 3.15(c) the elastic displacement profile, based on multi-modal analysis at the
design seismic intensity, and the yield profile, factored down from the elastic profile by
the force-reduction factor, are indicated by dashed and solid lines respectively.
Regardless of how carefully the seismic design is carried out, inevitable variations in
material properties, or mass distribution will mean that one of the two end walls will yield
first, as was posited for the unrestrained case. In this case, however, the stiffness and
location of the x-direction longitudinal walls (see Fig. 3.14(b)) will ensure that the lateral
force can continue to rise until both end walls yield. The total building force-
displacement response is then as suggested in Fig. 3.15(b). Note that once both walls
have yielded, the effective stiffness in the direction considered is zero.
Chapter 3: More Problems with Multi-Modal Analysis 57
kx1
C.R. C.M.
Vy1, ky1 Vy2, ky2
C.V.
kx2
(a) Plan View of Building
Vy1+Vy2
elastic
inelastic
μ1Δy1
μsΔy1 (μs-1)Δys
yield
Δy1 Δys
When both walls have yielded, the center of the resisting force has moved from the
center of elastic stiffness (C.R.) to the center of shear strength (C.V.) (though as men-
58 Priestley. Myths and Fallacies in Earthquake Engineering, Revisited
M T = Ve = (V y1 + V y 2 )e (3.12)
where e is the eccentricity between the centre of strength and the mass centre. Since
neither of the end walls have incremental stiffness as this stage, this torsional moment is
resisted entirely by the x-direction walls, which are assumed to remain elastic, and which
therefore dictate the torsional rotation (twist) shown in the yield profile of Fig.3.15.
As the structure continues to displace laterally under increasing seismic excitation, the
force in the two end walls remains constant. The torsional moment therefore remains at
the level given by Eq.(3.12), and the twist remains unchanged. That is, after full yield is
achieved, the structure translates without additional rotation, and thus the final inelastic
displacement profile, shown in Fig. 3.15(c) by the solid line, is parallel to the yield profile.
In this case, it is seen that the elastic estimate of the final displacement profile
overestimates the twist. Since the displacements of the center of mass should be
essentially independent of the twist, the elastic multi-modal analysis will underestimate
the ductility demand on the critical stiffer wall 1. That is, μ1 >μs. Again it is seen that
multi-modal elastic analysis is unable to capture the inelastic response of the structure,
and is unsuitable for representing torsional response.
3.4 CONCLUSIONS
In Chapter 1 we noted that conventional seismic design wisdom seeks to maximize the
hysteretic energy inside hysteretic force-displacement response characteristics of
structures, with elastic-perfectly plastic response seen to be the ideal. Based on
arguments presented in the original “Myths and Fallacies” paper[1], however, it was
pointed out that elastic/perfectly-plastic response has some undesirable side effects.
First, residual deformation – the final deformation state of a structure after the
earthquake – was likely to be larger than with alternative, and apparently less desirable
hysteretic shapes, and second, time history analyses show that the elastic/perfectly-plastic
characteristic is more sensitive to P-Δ effects than other loop shapes. Figure 4.1
200
EP 171.8 mm
FS 175.7 mm EP 44.4 mm
100 TK 162.6 mm
Displacement (mm)
TK 17.6 mm
FS 0.0 mm
−100
−200
0 5 10 15 20 25 30 35 40 45
Time (s)
Force (kN)
0 0 0
provides a typical comparison of three SDOF hysteretic systems to 1.5 times the Capitola
record of the 1989 Loma Prieta earthquake[16]. The Takeda (TK) hysteresis rule is a good
approximation to reinforced concrete, while the flag-shaped (FS) rule is characteristic of
un-bonded prestressed sections with additional damping, which will be discussed in more
detail later. In all cases, a mild P-Δ influence was included.
It will be seen that the maximum displacement response of the three different systems
is similar, at about 170mm, but the residual deformation remaining at the end of the
record shows marked differences, with the elasto-plastic rule, at 44.4mm, having the
largest residual deformation. Pampanin et al [16], from which Fig. 4.1 is taken, investigated
the practicality of including residual deformation as an alternative type of damage index
to the more commonly used indices based on maximum displacement or energy
absorbed.
Precast concrete, and particularly prestressed precast concrete structures have a poor
reputation for seismic response. In part this results from poor performance in a number
of earthquakes (e.g. [17,18]), but also because it is perceived that the low energy
absorption capacity of prestressed concrete structures results in higher response
displacements, even if severe damage or collapse does not occur. In this chapter we
discuss research results relevant to precast concrete seismic response that have become
available since the original “Myths and Fallacies” paper.
ductile joint design. In conventional strong-joint design, capacity design measures are
used to protect the joint from inelastic action, ensuring that the plastic hinges occur in the
reinforced concrete members, away from the joints. In ductile-joint design, the capacity
protection is reversed: the members are protected by capacity design measures to ensure
that they remain essentially undamaged during the design level of seismic response,
ensuring that the inelastic action occurs only in the connections. It will be seen that this
approach has the potential for reducing damage under design seismic attack.
When ductile-connection precast concrete is used, a revision of the design approach is
necessary. Ideally this should involve the adoption of drift-based seismic design rather
than the more traditional force-based design approach, and the use of expected-value and
structural reliability concepts for determination of appropriate estimates of member
strength and deformation capacity. This approach, which is developed in some detail in
Chapter 5, appears to be particularly attractive for ductile-connection precast concrete
construction for the following reasons:
• Hysteretic characteristics for ductile-connection systems will often be very
different from the elasto-plastic characteristics which have typically been
assumed in the development of current force-reduction or behaviour factors.
The principles of drift-based design, outlined in Chapter 5, permit the energy
absorption characteristics of different hysteretic responses to be directly and
simply incorporated into the design process. In many cases, it is found that
reduced energy dissipation, if it exists, is not a significant factor in seismic
response. Figure 4.2 illustrates four basic categories of ductile-connection
hysteretic response: linear elastic (LE), nonlinear-elastic (NLE),
tension/compression yield (TCY) and coulomb friction (CF) which have been
investigated in the PRESSS program [21]. Two further categories (NLE+TCY,
LE+CF) are formed by combination of two basic classes. Note that the
NLE+TCY category has the zero residual displacement of the NLE system, with
significant damping provided by the TCY elements. This will be discussed in
more detail shortly.
• The emphasis on displacements, or drift, rather than on force, recognizes that
displacement is more fundamental to damage limit states than is strength. This
is obvious, since most damage models for steel or concrete relate to strain limits
which can be directly related to displacement by geometric relationships. Thus,
(e.g.), if a damage-control limit state is to be defined, it is much more meaningful
to relate this to strain, and hence displacement, than to behaviour factors.
• The use of expected-value estimates of member capacity should be beneficial to
competitiveness of precast construction, because of tighter control of material
properties and dimensional tolerances, particularly for factory constructed
precast. Thus strength reduction and overstrength factors, both of which are
needed for capacity design, should show less variation from the “expected
value”, than for, say, equivalent monolithic reinforced concrete structures. This
means that capacity protected elements of a precast structure could be designed
for lower strengths, with economic benefits.
Chapter 4: The Energy Myth - Seismic Response of Precast Prestressed Structures 63
Although drift-based design is clearly the preferred option for precast design, it will be
some years before it is fully codified. In the interim, it is important that designers have
the opportunity for designing precast structures within the framework of existing codes.
Some aspects of implementation of precast systems within existing code frameworks are
briefly outlined in the following, based on more complete recommendations, presented
elsewhere[22].
Connections for precast frames with strong connections (PF-SC) can be classified
according to the following list:
• Beam-to-column
• Column-to-beam
• Beam-to-beam
64 Priestley: Myths and Fallacies in Earthquake Engineering, Revisited
• Column-to-footing
• Column-to-column
Figure 4.3 illustrates the different possible connection categories.
Plastic hinge locations: Locations of plastic hinges in PF-SC frames should be chosen
to ensure the development of a strong-column/weak-beam deformation mechanism
when inelastic response is expected under seismic attack. For the different connection
categories defined in Fig. 4.3, hinge locations should be further limited in accordance
with the following criteria:
Required Connection Strength: Connection moment and shear strength should not be
less than that given by Eq.4.1:
φd S DN ≥ ωφ o D (4.1)
φd S ≥ 0.4φ o De (4.2)
where De is the larger of the appropriate design actions (flexure or shear) at the top or
bottom of the column. Equation (4.2) is intended to cope with higher mode effects at a
midheight column connection, where Eq.(4.1) might indicate near-to-zero moment, based
on structural analysis.
Note that a deliberately simple approach has been adopted. More precise procedures
are possible, as, for example, suggested for wall buildings in Chapter 3. For frames,
moments should strictly be related to equilibrium at the joint centroid, with reductions
occurring at the critical column section according to distance from the joint centroid, as
suggested in [8]. Considering the approximations in ω and φ o suggested in this simplified
approach, this is not felt to be necessary for regular frames.
within the connection, and to inhibit the development of inelastic deformation elsewhere
by the use of capacity design procedures. The most direct and frequently utilized
expression of this approach is where in-situ ‘wet’ joints are provided at the ends of
beams, often extending into the beam-column joint region. This procedure has been
widely implemented in New Zealand, based on experimental work by Park and others[19].
Since the construction procedure essentially ensures that the structural system will
perform as a monolithic reinforced concrete system, no special design rules are needed,
and in New Zealand, such structures are designed without special constraints.
Connection (Plastic hinge) Locations: Except for structures of three stories or less,
ductile connectors for frames should only be placed in the following locations:
• In beams: at any location
• At column bases: to complete an inelastic mechanism
Ductile connectors should not be located in columns of frames of more than three stories
height, except at the column base, because the inelastic deformation mode will involve
soft-story response, with unacceptably high local ductility demand. No restriction is
placed on the location of ductile connections in beams. However, when connections
providing inelastic response by rotation are used, these should be located as close to the
columns as practicable to minimize the connector plastic rotation demand. Connectors
placed at midspan would normally be designed to provide inelastic frame deformation by
inelastic shear deformation of the connector.
Ductile connections in columns may provide inelastic rotation or shear displacement.
Note that the special case of shear-ductile connectors at the base of columns, with an
entirely elastic structure (strong connection) at higher levels is a description of a base-
isolated structure.
Required Member Strength: Member strength in flexure and shear should comply
with the basic capacity design approach described by Eq.(4.1), where in this case D is the
design action in the member corresponding to nominal strength of the plastic hinge
mechanisms involving the ductile connectors. Values for ductile connector overstrength
factors and dynamic amplification factors will depend on individual system design.
Behaviour Factors for Ductile Connection Design: One of the problems in adopting
force-based philosophy for ductile-connection design is that lack of reinforced concrete
emulation makes it difficult to set appropriate behaviour factors. Many systems do not
have definable yield displacements, and hence displacement ductility factors, on which
behaviour, or force-reduction factors are based, are not readily defined. Because of this
difficulty, drift-based design is more appropriate for ductile-connection design. Where
force-based design is adopted, it is advisable to base behaviour factors directly on
experimental results, and to verify performance by inelastic time-history analyses, using
hysteretic characteristics appropriate for the connection system utilized.
68 Priestley: Myths and Fallacies in Earthquake Engineering, Revisited
Although prestressed concrete is generally not favoured for seismic resistance, tests on
both in-situ[23] and precast[24] beam-column subassemblages with fully grouted tendons
have developed ductility comparable to monolithic reinforced concrete. However, after
moderate ductility levels had been achieved, these subassemblages suffered excessive
stiffness degradation at low displacements. This reduction was caused by a reduction in
effective prestress clamping force through the column, resulting from inelastic strain of
the prestressing tendon at the critical section. This behaviour is shown in idealized form
in Fig. 4.3(a) which refers to a typical prestressing steel stress-strain curve.
In Fig.4.4(a), fsi is the initial steel stress after prestress losses. During low-level seismic
response, fluctuations of the steel stress will be within the elastic range, and no loss of
prestress will result. At a ductility level of (say) μ =2, represented by point 2 in Fig.
4.4(a), the maximum prestressing steel response is expected to be on the inelastic portion
of the stress-strain curve. On unloading, the steel follows a linear descending branch
essentially parallel to the initial elastic portion. Hence, when the structure returns to zero
deformation, the effective steel stress is reduced to fs2.
On unloading from higher ductility levels, involving larger inelastic strains as indicated
by point 3 in Fig.4.4(a), the entire prestress may be lost. This is clearly undesirable,
particularly for precast connections where the surfaces between the beam and column are
planar, rather than a rough naturally forming crack as may be the case for monolithic
Chapter 4: The Energy Myth - Seismic Response of Precast Prestressed Structures 69
M cr = Ti hb / 6 (4.3)
for a rectangular section, where Ti is the initial total prestress force, and hb is the beam
depth. For the dimensions shown in Fig. 4.6(b), the corresponding lateral force F will be:
2 M cr lb
F= (4.4)
(lb − hc )lc
where hc is the column depth and lc is the column height between contraflexure points.
The corresponding displacement can be found from simple linear elastic analysis based
on uncracked section properties.
When the crack has propagated to the centroidal axis, corresponding to point 2 in
Fig.4.6(b), the moment will be:
M 2 ≈ Ti hb / 3 (4.5)
Deviation from the initial elastic stiffness between points 1 and 2 will be minimal,
unless the average prestress level is fairly high (fpc > 0.25f’c).
Above point 2 the precise force-displacement relationship is less simple to determine,
since steel and concrete strains are not linearly related. However, since the aim will be to
develop a bi-linear approximation to the force-displacement response (see Fig. 4.5(c)), it
is sufficient to compute the conditions at maximum displacement. In terms of design
requirements, this may be taken as corresponding to the limit of proportionality of the
prestressing steel (point 3, Fig.4.6(b)). At this point, the tendon force, and also the
tendon elastic extension above the initial condition are known. Assuming confined
conditions for the concrete in the plastic hinge region the corresponding moment
capacity M3 can thus be found from standard section analysis. Further, assuming that the
opening of the crack at the beam-column interface is directly related to the tendon
extension by simple geometry, the displacement at point 3 can be shown[25] to be:
Δ3 = Δ 2
M 3 lc
+ ( f slp − f si )
(0.5hc + x ) (4.6)
M 2 Es (0.5hb − c )
where fslp is the steel stress at the limit of proportionality, x is the unbonded length of
tendon on one side of the joint (see Fig. 4.5(a)), and c is the depth from the extreme
compression fibre to the neutral axis in the beam plastic hinge region (found from the
known confined concrete stress-strain parameters). More complete details are provided
in [25].
The increased displacement demand resulting from the use of a bilinear elastic
hysteresis rule was also investigated in [25]. Five different natural accelerograms were
scaled to the same peak ground acceleration, and used to investigate response of SDOF
72 Priestley: Myths and Fallacies in Earthquake Engineering, Revisited
systems designed in accordance with UBC[2] requirements. As shown in Fig. 4.7, three
different hysteresis rules were adopted, all with the same envelope curves, and were
compared with linear elastic response with the same initial stiffness. The bilinear
elastoplastic rule represents an idealized response, the bilinear elastic is representative of
unbonded prestressed systems, and the bilinear degrading is representative of bonded
prestressed systems. Note that conventional reinforced concrete response would be
intermediate between the bilinear elastoplastic and the bilinear degrading.
Results of the analyses are shown in Fig.4.8. It is seen that there is very little difference
in response between the bilinear elastic and the bilinear degrading. Both result in
amplification of the peak displacement response compared to linear elastic and bilinear
elastoplastic. The amplification is greatest at very short periods. For periods of 0.8 sec.
and larger, the bilinear elastic is about 30% higher than the linear elastic response, on
average.
The displacement amplifications presented in Fig. 4.8 are artificially high, for two
reasons. First, the amplification should be compared with a hysteresis rule more
representative of reinforced concrete, such as the Takeda degrading stiffness rule. As
mentioned above, this should produce results intermediate between the bilinear elasto-
2.5
Bilinear elastic
2
Ratio to Linear Elastic
Bilinear degrading
1.5
1
Bilinear elasto-plastic
0.5
0
0 0.4 0.8 1.2 1.6 2
Period T (seconds)
Fig. 4.8 Amplification of Displacement Response for Different Hysteresis Rules
Chapter 4: The Energy Myth - Seismic Response of Precast Prestressed Structures 73
plastic and bilinear degrading results, implying displacement amplifications of less than
20% for medium and long period structures. Second, precast prestressed structures of
the same physical dimensions as reinforced concrete structures of identical strength will
have much higher initial stiffness than the reinforced concrete equivalent, and hence
reduced elastic and inelastic displacement response. It is thus inappropriate to compare
reinforced and prestressed concrete systems with the same initial stiffness and strength.
The combined influence of these two effects is that very little, if any, displacement
amplification can be expected from precast prestressed structures with unbonded
tendons, compared with equivalent reinforced concrete structures. See (e.g.) Fig.4.1
In order to test the apparent advantages of precast frames connected with unbonded
prestressing, a preliminary test program consisting of two large-scale beam-column sub-
assemblages was carried out. The units represented interior and exterior beam-to-column
joints of a perimeter seismic frame. Figure 4.9 shows reinforcement details for the
interior unit. Full details are available elsewhere[26].
The test units modeled the region from midcolumn height below the joint to
midcolumn height above the joint, and from midspan to midspan of beams on either side
of the joint. The unit dimensions, shown in Fig.4.9 are intended to represent prototype
half the beam depth (i.e. 400 mm) would have been adequate.
Lateral force-displacement hysteresis loops for the interior test unit are shown in
Fig.4.11, together with the computed simplified force-displacement envelope calculated in
accordance with the procedure outlined in the previous section. The theoretical
envelope only extends to the drift of 2.6% corresponding to the limit of proportionality
strain of the prestressing steel.
Experimental response for both units indicated stable hysteresis, with comparatively
little strength degradation between successive cycles to a given drift level. The predicted
force-displacement response is a reasonable envelope to the experimental response. The
initial stiffness was less than the theoretical prediction due to some softness in the
reaction frame[26], but the post-yield response stiffness agrees well with the theoretical
value. The maximum experimental strength for the interior unit was 3% higher than the
predicted value, while the exterior unit attained maximum force levels about 8.5% above
the predicted strength at the limit of proportionality.
Theoretical predictions, based on material presented in the previous section imply
unloading down the loading force-displacement curve, implying zero energy absorption.
This behaviour was not obtained in the tests, due to inelastic compression strains
developing in the concrete compression zones of the beam. This resulted in a softening
76 Priestley: Myths and Fallacies in Earthquake Engineering, Revisited
of the unloading and reloading stiffness. Residual drifts were, however, very low. The
combination of low damage, low residual drift, high retention of stiffness at low
displacements and stable hysteresis loops makes this form of construction attractive for
seismic zones.
It is obvious that the concept of unbonded prestressing can also be applied to precast
wall buildings. Fig. 4.12 shows two possible applications. In the first (Fig.4.12(a)), wall
elements are stacked vertically and post-tensioned to a foundation. This essentially
creates a structural system that behaves in the same way as a prestressed beam-to-column
connection, discussed in the previous section. A single crack can be expected to form at
the critical section at the wall base, and will have non-linear elastic force-deformation
characteristics. Note, however, that the footing must be of sufficient size and weight to
ensure that rocking does not develop at the soil/footing interface. Although this can be
an acceptable seismic mechanism very similar to unbonded prestressing, special measures
are needed to ensure that plastic deformation to the soil at the corners of the footing is
not excessive. Note also that the gravity weight contributes to the flexural resistance of
the wall base in exactly the same way as the prestressing.
Figure 4.12(a) also shows additional mild steel bars running through the wall/footing
interface. The normal way this would be achieved would be with bars cast into, and
protruding below the lowest precast wall element, grouted into preformed holes in the
Chapter 4: The Energy Myth - Seismic Response of Precast Prestressed Structures 77
Post-tensioning
foundation. These mild steel bars are expected to yield in tension and compression as
the base crack forms in much the same fashion as conventional reinforcement. Since the
gap opening at the wall base can be large, it is normal to de-bond the mild steel bars for
some length into the precast panel, to ensure strains at maximum displacement response
are kept to acceptable limits – normally less than 3%.
Provided that the combined axial force at the wall base provided by gravity weight and
prestressing exceeds the compression yield force of all the mild steel bars crossing the
base interface, the residual displacements at zero lateral force will always be zero. In this
case the mild steel bars provide additional damping to the bilinear elastic response,
resulting in the “flag-shaped” hysteresis loops of Figs.4.1 and 4.2(d).
An alternative configuration, also providing additional damping, is illustrated in
Fig.4.12(b). Two parallel in-line precast walls are separately prestressed to the same
foundation structure, and are linked by ductile shear links. Under lateral force, each wall
rocks about its compression toe, resulting in relative vertical deformation across the shear
links. If these are designed to have low yield displacements, considerable energy can be
dissipated, and at the same time the overturning capacity of the complete system of two
walls is enhanced above the sum of the capacities of the individual walls. This system
was adopted for the PRESSS five-story test described in the next section.
It should be noted that the concept of additional damping, in the form of yielding
elements crossing the critical interface, can also be applied to beam-to-column
connections in precast frame design. The yielding forces contribute to both yield
moment and damping, and are thus beneficial to structural performance. It is a matter
of economics whether it is better to limit structural response by increased levels of
78 Priestley: Myths and Fallacies in Earthquake Engineering, Revisited
As the key element of the final phase of the PRESSS research program[21] a 60% scale
five-story precast concrete building was constructed and tested under simulated seismic
loading at the University of California, San Diego. The design of the building was based
on concepts developed and tested in the earlier two phases of the program[21], and is
described in detail by Nakaki et al[28].
A general view of the building under test, and the layout of the floor plan in the upper
two floors are shown in Fig. 4.13. The purpose of the experiment was to test as many as
possible of the ductile connection systems that had been developed in the early phases of
the PRESSS program, in an environment which represented the full complexities of
“real” structural interaction between lateral-force resisting elements and floor systems,
and between orthogonal lateral-force resisting systems. As shown in Fig.4.13(b), the
lateral-force system in one direction was provided by frames, while in the orthogonal
direction, a combination of structural walls and gravity frames was used.
15’ - 0” 15’ - 0”
PreTensioned Frame
15’ - 0”
Topped Hollow Core
Jointed Wall System
Gravity Frame
Gravity Frame
Actuator Connection Panel
15’ - 0”
TCY Frame
(a) Building Under Test (b) Floor Plan (top two floors)
Fig.4.13 Five-Story Precast Prestressed Test Building (1’ =304.8 mm)
Chapter 4: The Energy Myth - Seismic Response of Precast Prestressed Structures 79
The floor system for the lower three floors consisted of precast prestressed pretopped
double-tees spanning between the two seismic frames, and connected to the centre of
each of the two in-plane wall panels comprising the structural wall. In the upper two
floors, topped hollow-core slabs spanning between the gravity frames and the central wall
provided the floor system. The hollow-core slabs were connected to each other, and to
the seismic frames with a cast-in-place topping.
Although the plan dimensions of the test building were comparatively modest, it
should be realized that the tributary floor area contributing inertia mass to the lateral
force resisting systems in the prototype building on which the test building was based,
was substantially larger than shown in Fig.4.13(b).
Seismic Frames: The two seismic frames were different in concept, one being based
principally on prestressed connections, and the other based principally on tension/
compression yield systems (see section 4.2).
As shown in Fig.4.14(a), the lower three floors of the prestressed frame consisted of
hybrid connections (see Fig.4.15(a)), with single-bay beams connected between
continuous multi-floor columns by unbonded post-tensioning. Additional flexural
strength and damping was provided by mild steel reinforcing bars slid through corrugated
ducts in the beams and columns and grouted solid, with short unbonded lengths in the
beams to reduce peak strains under seismic response. Behaviour of these connection
was thus a combination of Nonlinear elastic and tension/compression yield, leading to
flag-shaped hysteretic response as explained in Section 4.3.3, and shown in Fig.4.2(d).
TCY Connection
4”
In the upper two floors of the prestressed concrete frame, the precast beams were
continuous for the full length of the frame, and were prestressed with pretensioned
strands bonded in external stub beams, but debonded over the interior beam length
between the outer column faces (see Fig.4.15(b)). No additional mild steel reinforcement
was provided across the beam-column interfaces. The connections were thus column-to-
beam connections (see Fig.4.3), with non-linear elastic hysteretic characteristics. The
full-length pretensioned beams were threaded over column reinforcing bars extending
from the top of the columns, with reinforcing bar splices in the upper column providing
column continuity.
Moment-resistance over the lower three floors of the non-prestressed frame was
provided by the TCY-gap connections illustrated in Fig.4.15(c). At the bottom of the
Chapter 4: The Energy Myth - Seismic Response of Precast Prestressed Structures 81
connections the beams were clamped to the columns with unbonded post-tensioning
threaded bars reacting through fibre grout pads over the lower partr of the connection
only. Over the top two-thirds of the connection a 25 mm gap was provided. Mild steel
reinforcement slid through corrugated ducts and was grouted solid in the upper part of
the beams and in the columns. This reinforcement was designed to yield alternately in
tension and compression under negative and positive moments respectively, without
unloading the precompression across the bottom grout pad. As a consequence, all
inelastic deformation in these connections occurred by opening and closing of the gap at
the top of the connection.
Over the top two floors of this frame, moment capacity was provided by the TCY
connection using mild steel reinforcing in grout ducts at both top and bottom of the
connection (see Fig.4.15(d)).
Structural Wall: In the orthogonal direction, the structural wall consisted of four
precast panels, each two and a half stories tall (see Fig.4.16). The panels were vertically
connected to each other and to the foundation by unbonded vertical post-tensioning,
using threaded bars. A horizontal connection across the vertical joint between the
parallel and in-plane panels was provided by stainless-steel energy dissipating U-shaped
flexure plates (UFP connectors), welded to embedded plates in both adjacent wall panels,
thus acting as shear connectors, as discussed in relation to Fig.4.12(b).
The two gravity frames on the periphery of the test building parallel to the structural
wall were designed with hinged connections between the beams and columns, and thus
did not contribute significantly to seismic resistance in the wall direction.
Precast Column Bases: The precast column bases for the seismic and gravity frames
were connected to the foundations by post-tensioning. The columns were thus capable
of acting as vertical cantilevers in the out-of-plane direction, with a small, but significant
contribution to seismic resistance. This was discounted in the design phase.
Structural Design: Structural design was carried out in accordance with Direct
Displacement-Based Design (DDBD) principles, which are discussed in more detail in
the next chapter. The chosen design criterion was that the structure should achieve a
maximum drift of 2% in either principal direction (frames or walls), under seismic
excitation corresponding to a peak ground acceleration of 0.4g, on an intermediate soil.
Erection of the test building was carried out inside the Charles Lee Powell Structural
Laboratory at UCSD. Despite the restricted space and special constraints resulting from
instrumentation requirements, erection of the building was carried out within 12 working
days. A photograph of the test building during construction is provided in Fig.4.17. The
four wall panels have been placed, and behind them, the double-tee floor beams for the
lower three floors are visible. The double-tees for the front bay of the building have not
yet been placed, nor have the hollow core slabs for the upper two floors. The frame to
the left of the photo is the non-prestressed frame (TCY frame), and that on the right is
the prestressed frame. At the back of the photo the upper two beams of the back gravity
frame are visible, and behind that, we see the strong wall used for reacting seismic forces
in the frame direction of loading. Note that in the prototype building the seismic frames
do not extend to the corners of the building, and hence the beam stubs of the prestressed
82 Priestley: Myths and Fallacies in Earthquake Engineering, Revisited
Open Open
18’ - 9”
Wall Panel 3 Wall Panel 4
Open Open
18’ - 9”
Open Open
15’ - 0” 15’ - 0”
The objective of the experiment was to test the structure under a series of different
earthquake levels. As shown in Fig.4.18, four different earthquake levels were defined,
corresponding to 33, 50, 100, and 150 percent of the design level earthquake.
The principal method of testing the building was psuedodynamic testing, using
spectrum-compatible earthquake segments, scaled in frequency and amplitude from
recorded accelerograms to match the appropriate excitation spectrum at 5% damping.
The concept of psuedodynamic testing is described in Fig.4.19. A computer controlled
the displacement input to each of two servo-hydraulically controlled actuators at each
floor level. The computer contained a simple five-degrees-of-freedom model of the
building, whose stiffness coefficients were initially calibrated by low-level flexibility tests.
This model was subjected to inelastic time-history analysis under the specified earthquake
record, to determine the initial displacements to be applied at the different floor levels.
The forces required to apply the required displacements were recorded, and used to
update the stiffness model describing the test building. Thus, as the stiffness of the test
building was modified by inelastic action or strength degradation, the analytical model
recognized the stiffness changes, and modified the required displacement input to the
actuators accordingly.
The mass used in the computer analysis represented the correct scaled tributary mass
for the prototype building, rather than the reduced actual mass of the test building.
1.6
EQ-IV
1.4
Zone 4, Soil Sc,
1.2 Damping 5%
EQ-III
Acceleration (g)
0.8
0.6 EQ-II
0.4
0.2 EQ-I
0
0 1 2 3 4 5
Period T (s)
Fig. 4.18 Earthquake Excitation Levels for Five-Storey Precast Building Test
84 Priestley: Myths and Fallacies in Earthquake Engineering, Revisited
It is of interest to compare the design levels of moment, shear and floor force with peak
values recorded in the experiment. Such a comparison is shown in Fig.4.21 for the wall
direction of loading under design excitation (EQ III). The amplification of structure base
moment capacity is primarily due to the contribution of the seismic frame columns
acting as vertical cantilevers in the out-of-plane direction. At higher levels, the effects of
higher mode effects are apparent in the shape of the moment profile.
Storey shear forces (Fig.4.21(b)) show much more pronounced higher mode effects,
particularly in the upper levels of the building. This conforms to behaviour predicted by
the dynamic analyses reported in Section 3.2.1.
86 Priestley: Myths and Fallacies in Earthquake Engineering, Revisited
Experimental floor force levels show the greatest amplification over design values –
particularly in the lower floors. This is of concern, in that precast design normally has
discrete connections between floors and lateral-force resisting elements, which must be
designed for the actual, rather than design, floor force levels. In fact, the high floor force
Chapter 4: The Energy Myth - Seismic Response of Precast Prestressed Structures 87
sustained by the structure during the wall direction loading. This consisted of minor
spalling of cover concrete in the vicinity of the wall toes, even at 150% of the design
seismic intensity. The condition of the structure at this level of response would have
satisfied a serviceability limit state performance criterion, in that all damage was cosmetic,
and could be repaired without disruption to the normal usage of the building.
The condition of the structure when tested in the direction parallel to the seismic
frames was also excellent. Figure 4.23 shows the condition of connections representative
of the four connection categories comprising the two seismic frames, after testing to
more than twice the design drift limit of 2%. The hybrid connections behaved in similar
fashion to the unbonded beam/column subassemblages described in Section 4.3.2, with
controlled joint cracking and only minor spalling of beam cover concrete adjacent to the
columns. Thus, inclusion of the mild steel reinforcing bar energy dissipators did not
result in increased damage.
The pretensioned beams in the upper two floors of the prestressed frame also
performed extremely well, with minimal damage, as illustrated by Fig.4.23(b). The critical
cracks formed naturally in preformed rebates in the beams in line with the column faces.
More damage was experienced by connections of the non-prestressed frame, and
particularly those with TCY-gap connection details, as may be seen in Figs.4.23 (a) and
(b). The level of damage, at twice the design intensity, however, was less than would be
expected from a conventional reinforced concrete frame at 100% of design intensity.
78.1”
91.0”
UFP Spring
Lumped Nodal
Mass
90.0”
A B Rigid Link
80.0”
Gravity Weight
Base Rigid Link
& PT Forces
C D Compression
PT Spring
Only Spring
The analytical model used for wall direction response is represented in Fig. 4.24. The
two walls were separately represented by elements at their vertical centerlines, and given
structural properties based on the uncracked section. The walls were supported at the
base on rigid horizontal beams supported at each end by stiff, compression-only springs
located at the calculated position of the centre of compression at each wall end under
rocking response. As shown in Fig. 4.24, these springs were preloaded by forces
representing the gravity weight and unbonded prestressing force. As the wall rocks, the
unbonded prestressing threaded bars extend, resulting in an increased clamping force at
the wall base. This was modeled by an additional spring under the wall element, as
shown in Fig.4.24.
The two wall elements were connected by vertical springs acting between rigid
horizontal links extending at each floor level. These inelastic springs represented the
characteristics of the U-shaped flexural yielding energy dissipators (UFPs). The
properties for these springs were determined by analyses, and confirmed by tests on spare
dissipators, prior to the building test. It should be mentioned that additional lateral
resistance of the building in the wall direction resulting from the strength and stiffness of
the frame columns acting as vertical cantilevers in the out-of-plane direction was ignored
in the initial design-confirmation analyses.
An example of the comparison between predicted and experimental response, using
the model of Fig.4.24, is shown in Fig.4.25 for the maximum excitation level EQ IV,
corresponding to 150% of design excitation. The results show that the agreement
between the predicted and experimental values is gratifyingly close for the displacement
time-history shown in Fig.4.25(a). This is especially true when correction is made for the
initial experiment offset displacement, indicating that the model accurately captured the
fundamentals of the first mode, including inelastic action, and was capable of excellent
prediction of peak displacement response.
The agreement for base shear force (see Fig.4.25(b)) is also very good, with the level of
base shear contributed by the first mode being predicted with an accuracy equivalent to
that for the displacements. The component of base shear due to higher modes was also
well predicted.
A comparison between experimental and predicted values for the base moment time-
history (see Fig.4.25(c)) is also satisfactory. Note that the base moment is less affected by
higher mode effects than is the base shear force. It is clear, however, that the strength
was underestimated by about 20%, due to reasons previously discussed.
Similar methods were used to predict the response in the frame direction, with a similar
level of success as obtained for the wall direction. More complete information is
available in [29,30,31].
The Northridge earthquake of 1994[17] revealed steel frames with welded beam-to-
column connections to be suspect under inelastic seismic response. More than 100 steel
frame buildings were found to have weld fractures, or parent metal fractures adjacent to
Chapter 4: The Energy Myth - Seismic Response of Precast Prestressed Structures 91
welds. Christopoulos and Filiatraut[32] have recently investigated applying the concept of
unbonded post-tensioning which was developed for concrete frames, to steel frames.
Extensive analytical and experimental work, including shake table testing, has shown that
the concept is economical, results in zero residual displacement, and avoids problems of
flange buckling which is almost inevitable when plastic hinges form in the beams. Their
work clearly indicates that much better performance can be guaranteed when the fat
hysteresis loops of steel frames, which most closely resemble the ideal “elasto-plastic”
response, are replaced by nonlinear elastic hysteretic loops with minimal energy
absorption.
4.6 CONCLUSIONS
The work described in this chapter was initiated because of a suspicion, expressed in
the earlier “Myths and Fallacies” paper, that elasto-plastic hysteretic response was not the
“holy grail” that earthquake engineers should seek. This work has indeed confirmed that
suspicion. It has been found, largely based on analyses and experiments involving precast
prestressed concrete structures that
• Structures with high hysteretic energy absorption tend to have larger residual
deformations than structures with less “desirable” hysteretic characteristics.
• Structures with nonlinear elastic hysteretic characteristics, such as provided by
unbonded prestressing, and/or gravity loads (in walls) have zero residual
deformation, and generally peak displacement response is similar to that of
systems with higher energy dissipation characteristics. This is particular the case
when the increase in elastic stiffness of the prestressed structures is considered in
the analyses.
• Precast (or conventionally constructed) structures with unbonded reinforcement
need less transverse reinforcement for shear strength, and less special joint
reinforcement in beam/column joint regions of frames than is required for
conventionally reinforced concrete structures.
• Experiments on subassemblages, and on a near full-size test building have
established that the level of damage to be expected with structures utilizing the
unbonded prestressing concept is much less than with conventionally reinforced
structures. This conclusion applies to steel frames as well as to precast concrete
frames and wall structures.
• The performance of precast structures connected with unbonded prestressing
can be enhanced by including special energy dissipating elements in the design.
When properly designed these contribute to the lateral strength of the seismic
system as well as increasing the effective damping (thus reducing, generally, the
peak displacement response), without sacrificing the highly desirable
characteristic of residual displacement, inherent in the unbonded prestressing
concept.