N 003
N 003
N 003
m
- mean wave direction in a short-term sea state
- density
- percentage of damping
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4. PERMANENT ACTIONS
4.1 General
Permanent actions are actions, that will not vary in magnitude, position or direction during the
time period considered . Examples are:
a) weight of the structure
b) weight of permanent ballast and equipment, including mooring and risers
c) external hydrostatic pressure up to the mean water level
d) pretension
4.2 Hydrostatic pressure difference
Structural components subjected to high counteracting hydrostatic pressures, such as external
walls with more than 100 m of differential water pressure height, should be designed taking
into account the effect of possible variation in level and density, dimension tolerances,
measuring inaccuracies and other uncertainties affecting the pressure difference. Unless
documented otherwise by detailed analyses of operations, the minimum pressure difference for
ultimate limit state should be at least equal to the smallest of:
one tenth of the maximum pressure
and
0.1 MPa
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5. VARIABLE ACTIONS
5.1 General
Variable actions originate from normal operation of the structure and vary in position
magnitude and direction during the period considered. They include those from:
a) persons
b) helicopters
c) lifeboats
d) cranes
e) tank pressures
f) stored liquids and goods
g) modules and structural parts that can be removed
h) boat impact, fendering and mooring
i) weight of gas and liquid in process plants
j) pressure and temperature
k) variable ballast
l) installation and drilling operations
Assumptions regarding variable actions shall be reflected in the Operating Manual, and
complied with in operation. Possible deviations from the assumed value due to operational
errors or mechanical failure or damage shall be treated as accidental actions. See Section 8.
5.2 Crane actions
Crane actions shall be determined with due account of dynamic effects due to, and, if
applicable, the motions of the installation.
Fatigue calculations shall be carried out based on expected frequency of crane usage, the
magnitude of actions, dynamic effects from wind, loading and discharging of ships and if
applicable from motions of the installation.
5.3 Deck area actions
Variable actions on deck areas of the topside structure shall be based on Table 5.1 unless
specified otherwise in the design premises. The intensity of the distributed actions depends on
local/global aspects of the deck structure as shown in Table 5.1. The following notations are
used:
Local design Design of deck plates and stiffeners.
Primary design: Design of deck beams and beam-columns
Global design: Design of deck main structure (and substructure)
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TABLE 5.1 - Variable actions in deck areas
Area Local design Primary design Global design
(See note 5.)
Distribution action, p Point action, P Apply factor given
below to distributed
action, p
Apply factor given
below to distributed
action, p
p
(kN/m
2
)
P
(kN)
Storage areas q 1.5 q 1.0 1.0
Laydown areas q 1.5 q f f
Lifeboat platforms 9.00 9.00 1.0 may be ignored
Area between
equipment
5.00 5.00 f
Walkways, staircases
and platforms
4.00 4.00 f
Walkways and
staircases for
inspection and repair
only
3.00 3.00 f
Roofs, accessible for
inspection and repair
only
1.00 2.00 1.0
Notes:
1. Wheel actions to be added to distributed actions where relevant. (Wheel actions can
normally be considered acting on an area of 300 x 300 mm)
2. Point actions to be applied on an area 100 x 100 mm, and at the most severe position, but
not added to wheel actions or distributed actions.
3. q is to be evaluated for each case. Storage areas for cement, wet or dry mud should be the
maximum of 13 kN/m
2
and gH, where H is the storage height in m. Laydown areas not
normally to be designed for less than 15 kN/m
2
.
4. f is the min of 1.0 and (0.5 + 3/A
0.5
), where A is the action area in m
2
.
5. Global action cases should be established based upon worst case, representative variable
action combinations, complying with the limiting global criteria to the structure. For
buoyant structures these criteria are established by requirements to the floating position in
still water, and intact and damage stability requirements, as documented in the operational
manual, considering variable actions on the deck and in tanks.
As recognised standard for actions on floors in accommodation and office sections, reference is
made to ISO-2103-1986.
Handrails should be designed for 1.5 kN/m
2
, acting horizontally on top of the supports.
5.4 Tank pressures and tank weight
5.4.1 Hydrostatic pressures
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Hydrostatic pressures in tanks should normally be based on a minimum density equal to that of
sea water. For tanks dedicated to fluids with a lower density, the actual density may be used.
Tanks for heavier fluids (e.g. mud) should be based on special consideration.
The density upon which the scantlings of individual tanks are based, shall be given in the
operating manual.
Hydrostatic pressure heads shall be based on approved tank filling by e.g. pumping
gravitational effect; as well as venting arrangements.
A load-on-top system-installed to limit the pressure to h
pc
can be taken into account.
Pumping pressures can be limited by installing an appropriate alarm and auto-pump cut-off
system. In such a situation the pressure head can be taken to be the cut-off pressure head h
pc
.
Dynamic pressure heads resulting from filling through pipes by pumping are to be included in
the design pressure head.
The maximum internal pressure in full tanks is to be taken as the largest of p
1
and p
2
given
below:
) / ( ) (
2
1
m kN h h g p
D pc
+ (5.1)
h
pc
- vertical distance (m) from the action point to the position of max
filling height. If no control devices are used, the pressure height
should be considered to be top of the air pipe. For tanks adjacent to the
sea that are situated below the extreme operational draught (T
E
), h
pc
is
not to be taken to be less than T
E
h
D
- dynamic pressure head due to flow through pipes
) / (
2
0 2
m kN p gh p
s
+ (5.2 )
h
s
- vertical distance (m) from the action point to the top of the tank
p
0
- 25 kN/m
2
in general
- valve opening pressure when it exceeds the general value
Situations where the planned pressure head is exceeded, should be considered as a possible
ALS condition.
For external plates facing the sea the relevant condition of external pressure should be
considered. For internal plates the maximum pressure on each side should normally not be
assumed to occur simultaneously.
The tank pressures given in this section refer to static pressures only. When hydrostatic pressure
is combined with hydrodynamic pressure caused by the motion of the installation the pressure
p
1
shall be used with the dynamic pressure (h
D
) due to flow resistance in the pipe neglected.
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5.4.2 Ballast
Tanks, pipes etc. shall be designed to resist local pressures as described in Section 5.4.1.
The structure should be designed to resist the maximum uneven distribution of fluid
consumables and ballast in tanks that may occur during fabrication, installation and operation.
Pressure actions that may occur during emptying of water or oil filled structural parts for
condition monitoring; maintenance or repair shall be evaluated.
5.5 Variable actions in temporary phases
Lifting actions are imposed on the installation or parts thereof during fabrication and
installation phases. Such actions should be determined with due consideration of weight and
weight growth, shift of centre of gravity, dynamic effects as well as fabrication and sling
tolerances.
Guidance on actions and action effects during marine operations may be found in NORSOK J-
003.
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6 ENVIRONMENTAL ACTIONS
6.1 General
6.1.1 Environmental conditions
The parameters describing the environmental conditions shall be based on observations from or
in the vicinity of the relevant location and on general knowledge about the environmental
conditions in the area. Existing information does not suggest significant corrections due to
long-term climatological changes, such as the greenhouse effect, which are neglected. Data for
the joint occurrence of e.g. wave, wind and current conditions should be aimed at.
According to the regulations, the environmental actions shall be determined with stipulated
probabilities of exceedance. The statistical analysis of measured data or simulated data should
make use of different statistical methods to evaluate the sensitivity of the result. The validation
of distributions with respect to data should be tested by means of recognised methods.
The analysis of the data shall be based on the longest possible time period for the relevant area.
In the case of short time series the statistical uncertainty should be accounted for when
determining design values. Hindcasting can be used to extend measured time series, or to
interpolate to places where measured data have not been collected. In this case the hindcasting
model shall be calibrated against measured data, to ensure that the hindcast statistics results
comply with measured data available.
6.1.2 Determination of characteristic actions
Actions shall be determined by analysis. When theoretical predictions are subjected to
significant uncertainties, theoretical calculations shall be supported by model tests or
observations of existing structures or by a combination of such tests and observations.
Hydrodynamic model tests should be carried out to:
a) confirm that no important hydrodynamic action has been overlooked (for new types of
installations, environmental conditions, adjacent structure, ...)
b) support theoretical calculations when available analytical methods are susceptible to large
uncertainties
c) verify theoretical methods on a general basis
Wind tunnel tests should be carried out when
a) wind actions are significant for overall stability, motions or structural response, and to:
b) support or replace theoretical calculations when available theoretical methods are susceptible
to large uncertainties (e.g. due to new type of installations or adjacent installation affects the
relevant installation)
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c) there is a danger of dynamic instability
When the wind conditions are determined for helicopter decks and structures with large motion,
wind model tests should as a rule be carried out. The Norwegian Maritime Directorates
regulations of 4 September 1987 concerning construction of mobile installations may be
regarded as recognised standard for wind tunnel tests.
Model tests may also be relevant to investigate combined wave- and wind effects.
Theoretical models for calculation of actions from icebergs or drift ice should be checked
against model tests or full-scale measurements.
Proof tests of the structure may be necessary to confirm assumptions made in the design.
Hence, inclining tests of buoyant structures should be carried out to demonstrate the location of
the centre of gravity.
In model tests it is important that the model has sufficient similarity to the actual installation
and that the test set-up and registration system provide a basis for reliable, repeatable
interpretation. See Section 10.2.7.
Full-scale measurements may be used to update the response prediction of the relevant structure
and to validate the response analysis for future analysis. Such measurements may be applied to
reduce uncertainties associated with actions and action effects which are difficult to simulate in
model scale. However, reliable full-scale measurements require sufficient instrumentation and
logging of environmental conditions and responses. See Section 10.2.8.
6.2 Hydrodynamic actions
6.2.1 Wave data
If wave actions are of major importance for the design, and wave observations at the given or
adjacent locations are limited, further wave data should be recorded according to the
requirements of the NORSOK Standard 002 concerning environmental data. If limited
measurements have been carried out in the area in question, appropriately conservative values
should be selected, e.g. by using those given in Figure 6.2.1, in order to deal with this
uncertainty. Measured data may be replaced by hindcast predictions as indicated in Section
6.1.
6.2.2 Wave models
6.2.2.1 General
Waves may be specified by
a) a long-term descripton of the sea state climate together with a short-term description of the
individual waves in each sea state, cf. subsection 6.2.2.2
b) a short-term design sea state and a description of the individual waves in the sea state cf.
subsection 6.2.2.3
c) a design wave, cf. subsection 6.2.2.4
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and recognised wave theories.
6.2.2.2 Long-term variation
The variation of waves over a long-term period of several years can be described by a number
of stationary sea states each represented by a wave spectrum and a mean direction
m
(see
Section 6.2.2.3), together with the frequency of occurrence of the main spectral parameters
(H
mo
, T
p
) and the mean direction,
m
. A joint probability density function may be obtained by
fitting probabilistic models to a scatter diagram determined by field observations or
hindcasting. Since this approach would normally imply extrapolation to extreme sea-states
beyond the range of observations, recognised models shall be used.
The long-term variation may refer to all year wave conditions or seasonal wave conditions.
The long-term variation of waves can be described in a simplified manner by a number of wave
height groups characterised by a wave height, a wave period and the number of waves in the
group. This method is not recommended if dynamic effects are significant.
The long-term distribution of waves may be applied to establish a probability distribution for
the extreme or fatigue action effect in question. For this purpose a smooth joint model
(probability density function) should be used to represent the long-term variability of sea states.
Observed scatter diagrams should be used with care if a limited sample of sea state observations
is available, especially in predicting extreme action effects.
Calculation of fatigue action effects would normally require use of a long-term model, in terms
of a scatter diagram or joint probability distribution, to account for the variability in sea states.
Each sea state is described in Section 6.2.2.3.
The possibility of special wave conditions, due to the effect of e.g. shallow water and strong
current on wave, should be considered.
6.2.2.3 Design sea states
Calculation of extreme action effects may be based on selected short-term states. This may
especially be necessary for systems significantly influenced by nonlinear behaviour. For such
applications the action effects are obtained from time-domain analyses and/or model tests.
The overall aim of the design storm concept is to estimate actions and action effects
corresponding to a prescribed annual exceedance probability, e.g. 10
-2
or 10
-4
, without having to
carry out a full long-term response analysis.
An appropriate formulation of the design storm concept is to use combinations of significant
wave height and spectral peak period located along a contour line in the H
m0
and T
P
plane.
Such contour lines can be established in different ways. The simplest way to establish the 10
-2
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contour line, is first to estimate the 10
-2
value of H
m0
together with the conditional mean of T
p
.
The contour line is then estimated from the joint model of H
m0
and T
p
as the contour of
constant probability density going through the above mentioned parameter combination. An
example of such a contour line is shown in Fig. 6.2.2. An estimate of the 10
-2
action effect is
then obtained by determining a proper extreme value for all sea states along the contour line
and taking the maximum of these values.
Figure 6.2.1 Significant wave height H
m0
and related maximum peak period T
P
with
annual probability of exceedance of 10
-2
for sea-states of 3 hours duration.
Isocurves for wave heights are indicated with solid lines while wave period
lines are dotted.
If contour lines are used, the variability of the short term extreme value needs to be artificially
accounted for to obtain a proper short term extreme value. This may be achieved in alternative
ways, e.g. by multiplying the expected maximum action effect with a predetermined factor
greater or equal than 1.1 or by calculating the action effect as a predetermined, high fractile
value, typically 90 %. This approach applies for action effects corresponding to an annual
exceedance probability of 10
-2
. Other corrections apply for action effects at a probability
exceedance level of 10
-4
. The chosen approach to obtain the extreme action effects in different
installations should be verified by long-term analyses.
The JONSWAP spectrum may be used to describe wind-induced extreme sea states.
Consideration of swell should, if relevant, be made. Sea-states comprising unidirectional wind-
14m
15m
16m
17m
17m
16m
15m
14m
13m
17s
18s
19s
19s
18s
16s
15s
17s
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waves and swell should be represented by recognised double-peaked spectra, e.g. the spectrum
proposed by Torsethaugen (1996). If wind-waves and swell with different mean directions are
critical, due account of such conditions shall be made.
The shortcrestedness of wind-induced waves may be described by a spreading function:
D C
m
n
m m
( ) cos ( )
for -
2 2
(6.1)
where
m
is the mean wave direction. In absence of more detailed documentation, the
exponent n is taken to be the most unfavourable value between 2 and 10. Swell should be
considered to be long-crested.
Figure 6.2.2 Example contour line
When calculating the change in the soils resistance during cyclic actions, the wave conditions
shall be described by means of the sea state over an extensive period of time, taking into
account the build-up as well as the tail-off phase of the storm. Unless more accurate data are
available, the storm development indicated in Figure 6.2.3. may be used.
0
2
4
6
8
10
12
14
16
18
0 5 10 15 20 25 30
Spectral peak period, Tp
H
m
0
1 year
10 years
100 years
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Figure 6.2.3 Storm development for evaluation of the degradation of soils resistance
during cyclic action. The peak level is obtained for a sea-state with duration of 3 hours
The random waves in a short-term sea state are normally described as a superposition of regular
waves, using linear wave theory. The linear theory should be modified to describe the
kinematics in the splash zone e.g. for slender structures, or for situations where steep waves are
of particular importance e.g. in case of finite water depth. Commonly used heuristic models
are for instance a vertical extrapolation above mean water level, or Wheeler stretching as
described e.g. in ISO 13819-2. It is noted that the commonly used Wheeler stretching is non-
conservative and needs to be modified for steep waves. The heuristic models are limited to
symmetric Gaussian waves, and should be appropriately validated for extreme sea states.
Alternatively, a Non-Gaussian wave model may be obtained by appropriate transformation of
the Gaussian process or by applying a second or higher order wave theory for irregular waves.
Such theories may be required to model nonlinear high and low frequency actions in irregular
waves, see Section 6.2.6.
In cases where the action effect is influenced by dynamic effects or non-linear drag effects,
linear theory must be modified to improve the description of the wave kinematics and actions in
the splash zone. An appropriate way to obtain the kinematics for such cases may be to use
second order wave theory to determine the surface elevation and the Wheeler theory to obtain
the wave kinematics.
Guidance on the statistical distribution of wave crest elevation may be found in ISO 13819-2.
6.2.2.4 Design wave
A design wave is specified by the wave height, H, the wave period T and direction. Different
combinations of wave periods, wave heights and directions at the same probability level (e.g.
10
-2
or 10
-4
) shall be considered in order to arrive at the most unfavourable values for the
different action effects. Consistent sets of (H, T) for each direction may be obtained as long-
term contour curves for (H, T). Such contour curves for (H, T) may be obtained by using
information about the short-term probability density function of (H, T) and the long-term
distribution of sea-state parameters (H
m0
, T
P
).
0
0.2
0.4
0.6
0.8
1
1.2
0 5 10 15 20 25 30 35
Duration (hours)
H
m
0
/
H
m
0
,
m
a
x
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In practice design wave approaches could be used to obtain structural action effects in certain
circumstances as described below, but would not be applicable to motion analysis.
Action effects with e .g. annual exceedance probability of 10
-2
can be determined in a
simplified, conservative manner by the design wave approach for preliminary design of fixed
platforms. For fixed platforms which respond to wave actions with negligible dynamic effects,
maximum action effects occur for the highest waves. The relevant wave height H
100
is then
taken to be that with the 10
-2
exceedance probability. H
100
may be taken to be 1.9 times the
significant wave height H
m0
, corresponding to an annual exeedance probability of 10
-2
, as
obtained from long-term statistics, when the duration of the sea-state is 3 hours.
The period T used in conjunction with H
100
should be varied in the following range:
100 100
11 5 . 6 H T H
In detailed design special studies of the design wave in the relevant area should be carried out.
In absence of more detailed documentation, the wave height, H
10000
with annual exceedance
probability 10
-4
can be taken to be 1.25 times H
100
, while the period is increased by 5 %.
Maximum action effects are not always caused by waves with extreme heights, but are rather
sensitive to waves of a defined length and extreme steepness. Examples are structural action
effects in floating installations with columns and pontoons. A simplified, conservative
approach to determine the action effect with annual exceedance probability 10
-2
in such
situations may be based on a wave with critical period (length) causing for instance maximum
splitting forces in floating framework platforms. The corresponding design wave height H
d
should be taken to be
6 > T for ;
) 36 ( 02 . 0 5 . 4
6 T for ; 22 . 0
2
2
2
T
T
T
H
d
(6.2)
for deepwater waves. H
d
does not need to be taken greater than 1.9 times the significant wave
height corresponding to an annual exceedance probability of 10
-2
, or the wave height with an
annual exceedance probability of 10
-2
according to the long-term distribution.
Design wave approaches used in detailed design need to be calibrated based on stochastic
analysis, as described in Section 10.
The kinematics of the (extreme) design wave may be modelled by Stokes 2
nd
or higher order
theory for water depths (d) to wave length ratios greater than 0.15. Stream function theory is
applicable for more shallow water. Wave asymmetry shall be properly accounted for when
applying linear wave theory for extreme regular waves. Engineering approximations of the
kinematics with acceptable accuracy for extreme waves can be obtained by vertical
extrapolation of particle velocities above mean water level, or Wheeler stretching (See ISO
13819-2). Linear theory is relevant for calculating action effects for fatigue analysis.
At very shallow water depths other wave theories shall be used, cf. Sarpkaya and Isaacson
(1981).
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A set of regular waves may be used to establish a relation between stress (range) and wave
height for use in simplified long-term action effects for fatigue analysis. (See Section 6.2.2.2).
These waves should be defined by selecting the wave periods (lengths) to correspond to wave
steepness equal to 1/20 and due to considerations of the peaks of the transfer function for
relevant action effects.
The design wave method should not be used without careful calibration when determining
extreme action effects that are influenced by dynamic effects.
Also, special considerations are required to assess possible abnormal wave conditions at an
annual exceedance probability of 10
-4
.
6.2.3 Current velocities
6.2.3.1 Macroscopic current velocity
The current velocity at the location of the installation shall be established on the basis of
previous measurements at the actual and adjacent locations, hindcast predictions of wind-
induced current, as well as theoretical models and other information about the tidal and coastal
current. If the current velocity is of significant importance to the design and existing current
data are scarce and uncertain, current velocity measurements should be carried out at the
location in question.
Characteristics values of the current velocity should be determined with due account of the
inherent uncertainties.
If sufficient joint data about current and wave conditions are available, the joint distribution of
environmental parameters and the corresponding contour curves (or surfaces) for given
exceedance probability levels can be established in the same way as mentioned for wave
conditions in Section 6.2.2.3. Otherwise, conservative values, for instance using the combined
events indicated in Table 6.7.1, should be applied.
In early phases and in exploration drilling where no accurate measured data or documented
model studies are available, the tidal current at stillwater level may be chosen in accordance
with Figure 6.2.4.
If no exact measured data are available, the wind induced current velocities at stillwater level
may be selected equal to 2% of the 1 hour mean wind velocity at a 10 m elevation, cf. Section
6.3.
For exploration drilling installations and in early phases of a development where no accurate
measured data or documented model results exist, the current variation with depth may be
chosen in accordance with DNV Class Note 30.5.
In addition, the effects of other currents shall be considered in each separate case, including the
effects of:
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a) coast and ocean currents
b) local eddy currents
c) currents over steep slopes
d) currents caused by storm surge
e) internal waves
When calculating erosion, it shall be taken into consideration that the structure may change the
local current velocity.
6.2.3.2 Current profile at a structure
The current speed in the vicinity of the platform may be reduced from the specified free
stream value by blockage. However, reduced actions on risers or conductor arrays due to
blockage may cause increased actions on adjacent structural components e.g. due to increased
particle velocities in those areas.
In absence of a detailed evaluation, a blockage factor of 0.9 and 0.85 can be used for jackets
with 3 legs and more than three legs, respectively, and static behaviour. Further details are
given in ISO 13819-2.
Blockage factors for platforms with significant dynamic behaviour can be applied if the effects
are adequately documented.
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Figure 6.2.4 Maximum 100 year tidal surface current in m/s
6.2.4 Hydrodynamic actions for static analysis
6.2.4.1 Wave and current effect
Waves and current should be considered when calculating hydrodynamic actions. In
combination with waves, the current velocity profile should be stretched to the local water
surface.
The hydrodynamic action on slender members, i.e. with a wave length to member diameter
greater than 5, can be determined by Morisons equation using a particle velocity obtained by
vector addition of wave and current induced particle velocities.
0.5
0.4
0.4
0.3
0.3
0.2
0.3
0.4
0.5
0.3
0.2
0.3
0.4
0.3
0.4
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For large volume structures the current/wave/body interaction should be considered when
deriving resultant actions.
6.2.4.2 Slender tubular structural elements
For structures with small motions, the wave actions can be calculated as follows:
a) If the Keulegan-Carpenter number (KC) is less than 2 for a structural element, the actions
may be found by means of potential theory:
aa)
If the ratio between the wave length L and the tubular diameter D is greater than 5, the
inertia term in the Morison formula can be used with C
M
= 2.0.
ab)
If the ratio between L and D is smaller than 5, the diffraction theory should be used.
b) If KC is greater than 2, the wave action can be calculated by means of the Morison formula,
with C
D
and C
M
given as functions of the Reynold number Re, the Keulegan-Carpenter
number KC and relative roughness.
It should be noted that Morisons equation ignores lift forces, slam forces and axial Froude-
Krylov forces.
c) For surface piercing framed structures consisting of tubular slender members (e.g.
conventional jackets) extreme hydrodynamic actions on unshielded circular cylinders are
calculated by Morisons formula on the basis of
Stokes 5
th
order or Stream function wave kinematics and a kinematics factor on the wave
particle velocity, which is 0.95 for North Sea conditions. This kinematics factor is
introduced in the regular wave approach to account for wave spreading and irregularity in
real sea states.
drag and inertia coefficients equal to
C
D
= 0.65 and C
M
= 1.6 for smooth members.
C
D
= 1.05 and C
M
= 1.2 for rough members.
These values are applicable for u
max
T
i
/D > 30, where u
max
is the maximum horizontal
particle velocity at storm mean water level under the wave crest, T
i
is the intrinsic wave
period and D is the leg diameter at the storm mean water level.
d) Flow conditions with u
max
T
i
/D < 30 - in regular waves may arise with slender members in
moderate sea-states which are relevant for fatigue analysis.
Fatigue analysis can normally be conducted with no current. The wave kinematics factor and
conductor-shielding factor should be taken to be 1.0. C
D
and C
M
depend on the sea state
level, as parameterised by KC. For small waves with KC referred to the mean water level in
the range 1.0 < KC < 6, the hydrodynamic coefficients can be taken to be:
C
D
= 0.65 and C
M
= 2.0 (smooth member)
C
D
= 0.8 and C
M
= 2.0 (rough members)
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Members are considered smooth at the installation stage. During operation members 2 m
above MWL are considered smooth. See Section 6.6.1.
e) For (dynamic) spectral or time-domain analysis of surface piercing framed structures in
random Gaussian waves and use of modified Airy (Wheeler) kinematics with no account of
kinematics factor, the hydrodynamic coefficients should in absence of more detailed
documentation be taken to be:
C
D
= 1.0 and C
M
= 2.0
These values apply both in stochastic analysis of extreme and fatigue action effects.
If the time domain analysis is carried out with the non-symmetry of wave surface elevation
properly accounted for, the hydrodynamic coefficients in item c) could be applied
f) Wave actions on conductors/risers may contribute to the global actions on structures. If
conductors/risers are closely spaced the actions on them may be modified as compared to
actions on individual components, due to hydrodynamic shielding. Guidance on the
shielding factor for drag actions when the fluid flows in parallel with the main axes of a
rectangular array of cylinders may be found in ISO 13189-2. When the angle between the
wave or current direction and the direction of the rows of cylinders is between 22.5
o
and
67.5
o
, the shielding factor in ISO 13819-2 can be used when the spacing is determined as the
average for the two directions. A possible increase in the added mass (and inertia actions)
for closely spaced cylinders should be accounted for.
Shielding reduction factors should not be applied for platforms without documentation.
6.2.4.3 Large volume structures
Actions on fixed large volume structures should be calculated on the basis of diffraction theory.
The potential is expressed as the linear superposition of
the incident wave system
the scattered wave system
For simple geometrical shapes analytical solutions of the linear diffraction problem may be
used. For slender structures, strip theory may be applied.
For general structures consisting of several large volume components, boundary-element or
finite fluid elements should be used.
The results from boundary element methods should be carefully checked for surface-piercing
bodies to ensure that irregular frequencies are avoided. Convergence of the solution should be
demonstrated.
Estimates of actions for novel structural shapes need to be checked by model tests.
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6.2.4.4 Hybrid structures
Wave diffraction solutions do not include viscous actions. When body members are relatively
slender or have sharp edges, viscous effects may be important and viscous effects should be
added to the diffraction forces determined.
Wave actions on structures composed of large volume parts and slender members may be
computed by a combination of wave diffraction theory and Morisons equation. Parts of the
structure may be modelled both by boundary elements to represent the potential hydrodynamic
actions and beams to represent the viscous drag actions. The modifications of velocities and
accelerations as well as surface elevation due to the large volume parts should however be
accounted for when using Morisons equation.
If properly calibrated or validated, simplified conservative methods may be used to calculate
actions.
6.2.4.5 Effect of adjacent structure
If a structure is located adjacent another structure and one or both of them are large volume
structures; there may be an interaction between the actions on the two structures.
A diffraction analysis is then required for the total problem. Model tests need to be considered
if the analysis involves uncertainties, e.g. associated with extreme actions situations.
6.2.5 Hydrodynamic actions for dynamic analysis
Actions on structures with significant motions involve excitation actions as well as inertia,
damping and restoring actions as formulated by the dynamic equation of motion.
6.2.5.1 Slender structures
When the motion amplitude is greater than the diameter, the relative motion between the
structure and water should be taken into consideration when calculating wave and current
actions by means of the Morison formula. The dynamic equilibrium equation for a structure
may then formally be expressed as
(M M )X CX KX F
A
+ + +
!! !
(6.3)
where M, M
A
, C and K are structural mass, added mass, structural damping and structural
stiffness, respectively. The external action vector F is obtained by integrating the following
action per unit length over each member of the structure
N M RN RN D N
D
C D C d U U U F
!
4
| |
2
1
2
+
(6.3a)
and decomposing the action in its Cartesian components. U
RN
and
N
U
!
are the relative
velocity, and acceleration normal to the member, respectively.
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Caution should be exercised when using this approach to determine wave excitation, added
mass and damping actions at intersections between large diameter members.
C
D
and C
M
are the same hydrodynamic coefficients, as used for fixed structures.
X, X
!
and
!!
Xare the displacements, velocity and acceleration of the structure.
The formulation of actions in terms of relative velocity is uncertain for installations with small
motion. The method may in such cases give too high damping. Hydrodynamic damping should
therefore be taken into consideration through an equivalent viscous damping, and the particle
velocity should be used instead of relative motion.
When using the relative velocity formulation for structures with large motion, actions should be
obtained for zero as well as maximum current velocity; and with a low and high value of C
D
depending upon whether the drag actions primarily induce damping or excitation.
The action coefficients may be introduced for the action effect, and not on the actions, in such
calculations.
6.2.5.2 Large volume structures
For large volume structures with significant motion a radiation wave system generated by the
moving structure should be added to the incident and scattered wave system.
The radiation wave system is determined by diffraction analysis (See 6.2.4.3) and gives rise to
added mass and wave damping actions.
In addition, viscous actions on the hull, a possible mooring system or thrusters and risers should
be considered.
Viscous actions due to wave- and low-frequency motions may be calculated separately by a
relative velocity formulation and superimposed or calculated simultaneously, using appropriate
phase for the actions, as well as hydrodynamic coefficients, as explained in Section 10.
6.2.6 Higher order, nonlinear wave actions
Higher order terms in the potential theory or finite wave height kinematics used in conjunction
with Morisons equation, cause mean and time-variant sum and difference frequency action in
irregular waves which may cause significant response if resonance occurs. Similar effects may
be present for (large volume) structures that require a more elaborate method for determining
actions.
The higher order actions should be determined by a consistent theory and validated against
model tests.
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Difference (low) frequency actions associated with wave-body nonlinear interaction, may be
important for global motions and positioning systems when the action synchronise with
fundamental periods of vibration of the system or it parts. Due to the uncertainty associated
with calculations of slowly varying drift motions (Herfjord and Nielsen, 1991), model tests
would be required to reduce the uncertainty, when the response is significant.
Sum (high) frequency actions (causing springing) may be important for the response of
restrained modes of tension-leg platforms, ships and jack-ups, of importance especially for the
fatigue limit state.
Steep, high waves encountering structural components extending above the still water level
may cause nonlinear transient actions. Structural responses to these actions may be dynamically
amplified and cause increased extreme response (ringing). Such transient nonlinear actions
may be important for structures consisting of large diameter shafts and having an eigenperiod
under 8 s. However, the physical mechanisms causing ringing are not known, although it is
generally accepted that they can be described by potential theory. One method that seems to
predict ringing actions reasonably well is presented by Krogstad et al. (1996). Currently
available analysis methods are generally only amenable to screening analysis of the ringing
problem. The phenomenon is today best quantified by model tests. It is then generally difficult
to distinguish impact/slamming from higher order inertia (ringing) effects.
With regard to structures that have been optimised with respect to minimal linear wave actions,
experience has shown that non-linear effects may be dominant. Motion analyses for new types
of structures where the results cannot be checked against previous experience, should be
checked against model tests.
6.2.7 Wave slamming and run-up effect.
Slamming of horizontal or near horizontal surfaces that enter the water or are hit by a wave
should be assessed. The corresponding action should be investigated by momentum
considerations of potential actions together with account of viscous and buoyancy effects. The
effect of elasticity of the structure should be considered.
Horizontal members in the splash zone are susceptible to actions caused by wave slamming
when the member is being submerged. The slamming action may be estimated by the
dragterm of Morisons equations based on the relative velocity of the member to the water
particle and with an appropriate drag (slamming) coefficient. For smooth cylindrical members
the coefficient shall not be taken less than 3.0. For a flat plate a coefficient of 6.0 may be used
to estimate the average pressure over the plate. An even larger coefficient is applicable for
more local pressures.
The method established by Ridley (1982) can be used to estimate splash-zone wave actions on
inclined slender tubular members.
Since slamming is an impulse action, a dynamic amplification factor of at least 2.0 should be
used, unless an analysis, which considers the duration of the impulse action and natural
frequency of the structure, demonstrates that a lesser value is appropriate.
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Breaking waves causing shock pressure in vertical surfaces, should be considered. Such actions
are determined by the procedure given by DNV Classification Note 30.5.
Wave actions on decks consisting of plated and tubular structural components comprise inertia,
slamming, drag and buoyancy actions.
A simplified approach for determining horizontal wave actions on decks of fixed platforms is
given by API LRFD, Sect. 17 (ISO 13819-2). An alternative method that also includes vertical
actions on the deck is outlined and compared with model test results by Kaplan et al (1995).
Appropriate consideration shall be given to the possibility of slamming events occurring to
underwater structural arrangements as a result of lack of depth of submersion.
The possible effect of the upwelling (run-up) caused by a large, steep wave passing a large
diameter vertical cylinder or columns with flat areas, should be considered in designing the
lower deck structure.
While the principal effect of slamming and upwelling is local, possible global effects should
also be assessed.
Slamming on a ship may occur in the forward bottom, bow flare, accommodation structure in
the fore ship as well as exposed parts of the aft structure and turret. Slamming effects depend
upon the following features of the vessel: draught, hull geometry, superstructure arrangement as
well as vessel speed and heading. Slamming actions may contribute local effects as well as
enhancement of hull girder bending moment and shear force.
In lack of more accurate information bottom and bow flare slamming may be determined
according to the DNV Rules for Classification of Ships, appropriately modified to account for
the relevant operational pattern of production ships.
6.2.8 Green water effect
Green water is the overtopping by water of the part of a structure facing the seas in severe wave
condition. For a ship the phenomenon depends on bow shape, design free board, flare,
breakwaters and other protective structures, as well as drainage arrangements, and weather
vaning procedures. Green water may enter a ship in the bow as well as midship and aft.
Significant amounts of green water will have influence on the design of the vessel deck,
accommodation superstructure, equipment and layout.
Only rough estimates of green water can be made by analytical methods and model tests should
be carried out to estimate the green water level and (dynamic) pressures, if more accurate
estimates are required.
In lack of more accurate information deck structural members could be designed based on the
actions given in DNV Rules for Classification of Ships, appropriately increased to account for
the relevant operational pattern of the ship.
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Model tests should be carried out to determine pressure levels in the deck area in wave
conditions with a peak period in the range of 70-100 % of the vessel pitch period.
The effect of wave slamming, run-up or green water actions should be appropriately combined
with the other wave action effects.
6.2.9 Wave enhancement
The wave enhancement and modification of the kinematics caused by the structure may be
estimated by linear radiation and diffraction theory. The fact that the wave crest is higher than
given by linear theory shall be accounted for.
Model tests should be performed if the theoretical methods cannot predict the effect of
substructure with sufficient confidence due to nonlinearities related to steep waves, and wave-
current interaction. This situation may arise in connection with caissons of gravity structures
and shallow pontoons of floating platforms, strong interaction between large columns, non-
vertical sides near the water plane, and other features.
Wave motion in moon-pool or centre well of ship and caisson vessels (spar buoys) should be
particularly accounted for.
6.2.10 Sloshing actions in tanks
Motion-induced dynamic pressure effects in partially filled tanks, especially with large
horizontal dimensions, should be considered. Sloshing represents a dynamic magnification of
internal pressure effects beyond the static pressure. Sloshing occurs if the natural periods of the
fluid in tanks and of the vessel motions are close to each other. Possible impact effects should
be accounted for in this connection.
Sloshing effects depend upon tank dimensions and filling levels, structural arrangement inside
the tank and vessel motion characteristics.
Simplified formulas given in DNV Rules for Classification of Ships or direct calculation
methods may be applied to determine sloshing actions.
6.2.11 Flow-induced vibrations
Current induced vibrations shall be taken into account, e.g. in terms of:
a) vortex-induced vibration
b) instability caused by varying orientation of the structure in relation to the wave and current
direction (galloping)
c) back wash effects from units in the vicinity
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Actions by vortex shedding may be of significant importance in the design of slender structures
that may respond in resonance modes to this cyclic actioning, especially when the damping is
small. Critical flow velocities for vortex shedding for current and wave excitation are given in
DNV Class Note 30.5.
The excitation may be characterised by the motion amplitude and/or the forces on the member.
Vortex shedding of larger parts of the structure due to current or wave excitation should also be
considered.
Vortex induced vibrations (VIV) will increase the mean in-line drag coefficient. Unless more
accurate data are available, the drag coefficient valid for a stationary cylinder should be
multiplied with a factor which depends upon the ratio of the transverse motion and the member
diameter, in order to include the VIV induced drag amplification.
Vortex shedding may especially contribute to fatigue. The cumulative effects of resonant
actions during construction, transportation and operation shall be included in the calculations.
Vortex shedding may be reduced by introducing devices to prevent or reduce the vortex
intensity, or by changing the vibration properties, e.g. eigenperiod and damping of the structure.
Further guidance of vortex-induced vibration may be found in DNV Classification Note 30.5.
6.3 Wind actions
6.3.1 Wind data
The wind velocity at the location of the installation shall be established on the basis of previous
measurements at the actual and adjacent locations, hindcast predictions as well as theoretical
models and other meteorological information. If the wind velocity is of significant importance
to the design and existing wind data are scarce and uncertain, wind velocity measurements
should be carried out at the location in question.
Characteristic values of the wind velocity should be determined with due account of the
inherent uncertainties.
6.3.2 Description of wind
For a short term condition the wind may be described by means of an average wind velocity and
a superimposed fluctuating wind gust with a mean value equal to zero, as well as a mean
direction.
Unless a more detailed assessment is made the average wind velocity at 10 meter above sea
level the characteristic value with an annual probability of exceedance of 10
-2
can be chosen as
41 m/s (10 min average) or 38 m/s (1 hour average) for the whole continental shelf. The
characteristic value with an annual probability of exceedance of 10
-4
can be chosen as 48 m/s
(10 min average) or 44 m/s (1 hour average).
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The wind velocity as a function of height and mean period may be calculated as follows:
U(z,t) = U(z
r
, t
r
) (1.0 + 0.137 ln (z/z
r
) - 0.047 ln (t/ t
r
)) (6.4)
where z
r
= 10 m and t
r
= 600 s
or, in the case of extreme wind conditions, (i.e. with annual exceedance probability of 10
-2
or
10
-4
), the characteristic wind velocity u(z,t)(ms
-1
)at a height z(m) above sea level and
corresponding mean period t less than or equal to t
0
= 3600 s may be calculated as
u (z,t) = U(z) * (1 - 0.41 * I
u
(z) ln (t / t
0
)) (6.5)
where the 1 hour mean wind speed U(z)(ms
-1
) is given by
U z U C
z
( ) ln( ) +
,
,
]
]
]
0
1
10
(6.6)
C = 5.73 10
-2
( 1 + 0.15 U
0
)
and where the turbulence intensity factor I
u
(z) is given by
I z U
z
u
( ) . [ . ] ( )
,
+
006 1 0 043
10
0
0 22
(6.7)
where U
o
(ms
-1
) is the 1 hour mean wind speed at 10 m
For structures and structural components with significant dynamic response under wind
fluctuations a wind spectrum shall be used to describe the longitudinal wind speed fluctuations.
For situations where the low-frequency excitation is of importance, the following one sided
spectrum is recommended (Andersen and Lvseth, 1992):
S f
U z
f
n
n
( )
( ) ( )
(
~
)
.
+
320
10 10
1
0 2 0 45
5
3
(6.8)
where n = 0.468
~
( ) ( )
/ .
f f
z U
172
10 10
2 3 0 0 75
(6.9)
- S(f) (m
2
s
-2
/Hz) is the spectral density at frequency f (Hz)
- z (m) is the height above sea level
- U
o
(ms
-1
) is the 1 hour mean wind speed at 10 m above sea level.
Wind gusts have three-dimensional spatial scales related to their duration. For example, three
second gusts are coherent over shorter distances and therefore affect smaller structural elements
Actions and action effects N-003
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than fifteen seconds gust. Wind actions on different substructures are normally specified by a
given averaging time for the wind speed and assuming full coherence over the entire
substructure. Specific information about averaging time are given in Section 6.3.3 for static
and in Section 6.3.4 for dynamic analysis.
For dynamic analysis of some structures, it may be advantageous to account for the less-than-
full coherence at higher frequencies. In this connection coherence spectra given by Andersen
and Lvseth (1992) can be used.
6.3.3 Mean wind actions
Structures or structural components that are not sensitive to wind gusts, may be calculated by
considering the wind action as static.
In the case of structures or structural parts where the maximum dimension is less than
approximately 50 m, 3 seconds wind gusts may be used when calculating static wind actions.
In the case of structures or structural parts where the maximum length is greater than 50 m, the
mean period for wind may be increased to 15 s.
For structures or structural elements that are exposed to simultaneous wind and wave actions,
and where the wave action is the dominant action, 1 minute of mean wind may be used in
combination with extreme wave actions.
The mean wind action, F on a structural member or surface, acting normal to the member axes
or surface should be calculated, by:
sin
2
1
2
m S
U A C F (6.10)
where
- mass density of air
C
S
- shape coefficient
A - area of the member or surface area normal to the direction of the force
U
m
- wind speed
- angle between the direction of the wind and the axis of the exposed
member or surface
For smooth circular tubular structures, the following shape coefficients may be used:
C
S
= 0.65 for Reynolds number, Re > 5 10
5
C
S
= 1.2 for Reynolds number, Re < 5 10
5
In the case of tubular structures covered with ice, C
S
= 1.2 should be used for all Reynolds
numbers.
Further information about shape coefficients, C
S
may be found in ENV-1991-2-4:1995 and
DNV Classification Note 30.5.
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A simplified method for determining wind forces on ships are given by Oil Company Int.
Marine Forum (1994).
Wind pressures and resultant actions shall be determined from wind tunnel tests on
representative model when wind actions are crucial.
6.3.4 Fluctuating wind actions
Structures that are sensitive to wind gusts shall be calculated by considering the wind action as
a dynamic action. Examples of such structures are high towers, flare booms, tension-leg
installations, compliant installations and catenary anchored installations.
The mean wind velocity is based on a 1 hour period.
The total wind speed is the sum of a mean velocity and a fluctuating component u(t). The wind
force on a structure with a velocity which is negligible compared to the wind velocity, it can be
calculated by:
)] ( u 2 [
2
1
)) ( u (
2
1
2 2
t U U A C t U A C F
m m S m S
+ +
(6.11)
This means that the fluctuating wind force is linear in the fluctuating velocity.
Low-frequency wind forces are normally determined from the wind energy spectrum, Eq. (6.8-
9).
For structures of large size, the spatial variation of the fluctuating wind could be incorporated in
the analysis by accounting for the coherence.
6.3.5 Wind-induced vibrations
Consideration of actions from vortex shedding on individual elements due to wind may be
based on DIN-4133 Anhang A or Eurocode 1. Guidelines on how these standards may be
conservatively applied offshore, are provided by Oppen (1996). Alternative, well documented
methods can be applied. Vortex induced vibrations of frames should also be considered. The
material-and structural damping of individual elements in welded steel structures should not be
set higher than 0.15% of critical damping when vortex induced vibrations are considered.
6.4 Snow and ice actions
6.4.1 Snow actions
The snow actions given in NS 3479 for the relevant coastal municipality may be used as
extreme snow action close to the shore. For other areas where more accurate meteorological
observations have not been performed, characteristic snow action may be set equal to 0.5 kPa
for the entire Norwegian continental shelf. The shape factors given in NS 3479 may be used.
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6.4.2 Ice actions
6.4.2.1 Accumulated ice
In absence of a more detailed assessment values for thickness of accumulated ice caused by sea
spray or precipitation may be selected as indicated in Table 6.4.1. These may be regarded as
two independent action cases.
When calculating wave, current and wind actions, increases in dimensions and changes in the
shape and surface roughness of the structure as a result of accumulated
a) ice may be included by assuming that: ice from sea spray covers the whole circumference of
the element;
b) ice from rain covers all surfaces facing upwards or against the wind. For tubular structures it
may be assumed that ice covers half the circumference.
Uneven distribution of ice shall be considered for buoyancy stabilised structures.
TABLE 6.4.1 Ice actions with annual probability of exceedance 10
-2
ACTIONCASE 1 ACTIONCASE 2
Height above Ice caused by seaspray Ice caused by rain / snow
Sealevel 56 N to
68 N
North of
68 N
Density Thickness Density
5 m 10 m 80 mm 150 mm 850 kg/m
3
10 mm 900 kg/m
3
10 m 25 m
Linear
reduction
from 80 mm
to 0
Linear
reduction
from 150 mm
to 0
Linear
reduction
from 850
kg/m
3
to 500
kg/m
3
10 mm 900 kg/m
3
Above 25 m 0 0 - 10 mm 900 kg/m
3
6.4.2.2 Frost burst
The effects of ballast water, firewater etc. which may freeze shall be taken into account.
6.4.2.3 Sea ice and icebergs
Actions from sea ice and icebergs shall be taken into account when structures are located in
areas near shore, in Skagerak, in the northern and western parts of the Norwegian Sea and in
parts of the Barents Sea.
Before activities are commenced in such areas, the following information concerning ice
conditions shall be collected:
a) the possibility of icebergs and sea ice
b) type of sea ice (first year ice; ice several years old) and characteristic features (ridges, large
interconnected floes and individual floes, distribution etc.)
c) sea ice thickness
d) size and shape of icebergs
e) velocity and direction of drifting sea ice and icebergs
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f) mechanical properties of the ice.
There must then be an emergency preparedness system established which will ensure safety in
the event of ice. Solutions based on relocation of the installation in the event that effects of sea
ice or icebergs may become unacceptable, may be chosen. In such cases the emergency
preparedness shall be reliable, and shall be planned in relation to the time required to relocate
the installation.
The occurrence of first year ice with annual probability of exceedance of 10
-2
in the Barents
Sea is shown in Figure 6.4.1. For planning of operations, the monthly extreme ice limit with
annual probability of exceedance of 10
-2
may be used. As the charts showing ice occurrence
are made on the basis of satellite data, and as the concentration must be 10-20 % in order to be
detected, the fact that ice with lower concentrations may occur outside the defined limits shall
be taken into account. Monthly values for the extreme ice limit with an annual probability of
exceedance of 10
-2
may be found in Vefsnmo et al (1990). These values may be used in
evaluations during an early phase.
To calculate the actions caused by ice, values for thickness and size of ice floes that are
representative to the area shall be selected. To describe the mechanical properties, the same
properties for the sea ice as for ice in other arctic areas may be assumed. American Petroleum
Institute RP 2N(1988), chapters 3 and 4 may then be used.
Regions where collision between icebergs and an installation can occur with an annual
probability of exceedance of 10
-2
and 10
-4
in the Barents Sea are shown in Figure 6.4.2.
Icebergs in considerable numbers have been observed on the coast off East Finmark in 1881
and in 1929.
When designing against icebergs the same principles as stipulated in subsection 8.3.2 of the
guidelines may be used.
6.5 Earthquake actions
6.5.1 Basis for seismic assessment
Earthquake actions should be determined on the basis of the relevant tectonic conditions, and
the historical seismological data. Measured time histories of earthquakes in the relevant area, or
other areas with similar tectonic conditions may be adopted.
Earthquake motions at the location may be described by means of response spectra or
standardised time histories with the peak ground acceleration to characterise the maximum
motion.
The earthquake motion can be described by two orthogonally horizontal oscillatory motions and
one vertical motion acting simultaneously. These motion components are assumed to be
statistically independent. One of the horizontal excitations should be parallel to a main
structural axis, with the major component directed to obtain the maximum value for the
response quantity considered. Unless more accurate calculations are performed, the orthogonal
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horizontal component may be set equal to 2/3 of the major component and the vertical
component equal to 2/3 of the major component, referred to bedrock. The earthquake may be
scaled with the given factors.
Fig. 6.4.1 Limits of sea ice in the Barents
Sea with annual probability of
exceedance of 10
-2
(solid line)
and10
-4
(dotted line).
Fig.6.4.2 Limit for collision with icebergs
with a probability of exceedance
of 10
-2
(solid line) and 10
-4
(dotted
line)
In absence of more detailed, site specific assessments, the peak ground acceleration at annual
exceedance probabilities of 10
-2
and 10
-4
given in seismic zonation maps in NFR/NORSAR
(1998), can be applied.
When determining earthquake actions on the structure, interaction between the soil, the
structure and the surrounding water should be taken into consideration.
When time histories are used, the load effect should be calculated for at least three sets of time
histories. The mean value of the maximum values of the calculated action effects from the time
history analyses may be taken as basis for design. The time series shall be selected in such a
way that they are representative of earthquakes on the Norwegian continental shelf at the given
probability of exceedance.
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6.5.2 Seismic design of structure and foundation
Earthquake design includes Ultimate Limit State (strength) check of components based on
earthquakes with an annual probability of occurrence of 10
-2
and appropriate action and
material factors; as well as an Accidental Limit State (ALS) check of the overall structure to
prevent its collapse during earthquakes with an annual probability of exceedance of 10
-4
with
appropriate action and material factors, given in the NPD regulations.
Normally the ALS requirement will be governing, implying that earthquakes with an annual
probability of exceedance of 10
-2
can be disregarded.
The assessment of earthquake effects should be carried out with a refinement of analysis
methodology that is consistent with the importance of such effects. The assessment of soil-
structure integrity could therefore be undertaken in the following steps
determine appropriate peak ground acceleration given in seismic zonation maps
(NFR/NORSAR, 1998)
determine whether further checks will be necessary, by e.g. the procedure given in
Section 6.5.3.
For most parts of most structures on the Norwegian Continental Shelf no further check
will be necessary. If necessary, more detailed checks, proceed as follows:
strength check of soil-structure system under 10
-2
and 10
-4
events based on linear
elastic response using modal superposition (Section 10.3.7.1).
if strength check is not fulfilled, a ductility check may be carried out (Section
10.3.7.2).
if the ductility check is not fulfilled, modification of the design is necessary
6.5.3 Response spectra for a single degree of freedom system
Unless more accurate assessments are performed, response spectra in Figure 6.5.1 may be used
for structural action effects. Spectral displacement, velocity and acceleration (normalised to 10
m/s
2
acceleration at 40 Hz for the horizontal main component) are given as a function of the
eigenperiod of the structure including its interaction with the soil for various soil conditions.
The spectra may be used together with the accelerations given in seismic zonations maps. If for
instance the acceleration is 2.5 m/s
2
, the spectrum with an annual probability of exceedance of
10
-4
is obtained by multiplying the normalised spectrum in Figure 6.5.1 with 0.25.
The spectrum is based on the total structural and soil damping of 5 percent of critical damping.
The spectrum must be adjusted if the damping differs from this value. The spectrum can be
scaled with regard to expected acceleration level at 40 Hz or with regard to expected velocity
level at 1 Hz. The scaling factor for the spectrum due to variation of the (percentage) damping
between 2 and 10 %, the following formula may be used:
K ln( / ) / ln( ) 100 20
where is the percentage of damping.
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Before detailed assessment of earthquake actions is undertaken, a conservative estimate of the
global (e.g. base shear force) based on a single dynamic mode of response and the response
spectrum (Fig. 6.5.1) may be used to judge the need for such an analysis.
It should be noted that the amplification factor given for soft soils for the 10
-4
pr. year event
may be conservative for periods greater than 4 s. On the other hand a site specific soil response
study is recommended for very soft soils, since they may be outside the range of data used to
establish Fig. 6.5.1b. (NFR/NORSAR, 1998).
a) Bedrock spectra b) Ratio between spectral value for
soil and bedrock
Figure 6.5.1 Response spectra (normalised to 10 m/s
2
acceleration at 40 Hz) with 5 %
damping. Maximum acceleration, velocity and displacement (Bungum and
Selnes, 1988)
6.6. Other issues relating to environmental actions
6.6.1 Marine growth
Marine growth is a common designation for a surface coat on marine structures, caused by
plants, animals and bacteria. Marine growth may cause increased hydrodynamic actions,
increased weight, increased hydrodynamic additional mass and may influence hydrodynamic
instability as a result of vortex shedding and possible corrosion effects.
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In the calculation of structural actions, unless more accurate data are available, or if regular
cleaning is not planned, thickness referring marine growth to mean water level as indicated in
Table 6.6.1 may be assumed.
TABLE 6.6.1 Thickness of marine growth. The water depth refers to mean water level.
Water depth 56-59 N 59-72 N
Above + 2 m 0 0
+2 m to - 40 m 100 med mer 60 mm
Under - 40 m 50 med mer 30 mm
The thickness of marine growth may be assumed to increase linearly to the given values over a
period of 2 years after the structure has been placed in the sea.
Unless more accurate data are available, the roughness height may be taken as 20 mm below
+ 2 m. The roughness should be taken into consideration when determining the coefficients in
Morisons formula.
The weight of marine growth is classified as a variable functional action. Unless more accurate
data are available, the specific weight of the marine growth in air may be set equal to 13 kN/m
3
.
If marine growth exceeds the values for which the installation is documented, cleaning may be
omitted if a new analysis shows that the structure has sufficient strength.
6.6.2 Water level, settlements, subsidence and erosion
When determining water level in the calculation of actions, the tidal water and storm surge shall
be taken into account. Uncertainty of measurements, subsidence in the reservoir or settlement
of the structure and possible erosion shall be considered. Calculation methods that take into
account the effects that the structure and adjacent structures have on the water level shall be
used.
The possibility of, and the consequences of, subsidence of the seabed as a result of changes in
the subsoil and in the production reservoir during the service life of the installation, shall be
considered. Reservoir settlements and subsequent subsidence of the seabed should be calculated
as a conservatively estimated mean value.
The tidal data may be taken from Gjevik, Nst and Straume (1990).
6.6.3 Appurtenances and equipment
Hydrodynamic actions on appurtenances (anodes, fenders etc,) shall be taken into account,
when relevant.
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6.7 Combinations of environmental actions
Characteristic values of individual environmental actions are defined by annual exceedance
probabilities of 10
-2
(for ULS) and 10
-4
(for ALS). The long-term variability of multiple actions
is described by a scatter diagram or joint density function including information about direction.
Contour curves or surfaces for more than two environmental parameters, can then be derived
which give combination of environmental parameters which approximately describe the various
actions corresponding to the given exceedance probability.
Alternatively, the exceedance probabilities can be referred to the action effects. This is
particularly relevant when the direction of the action is an important parameter.
For fixed installations colinear environmental actions are normally most critical, and the action
intensities for various types of actions can be selected to correspond to the exceedance
probabilities given in Table 6.7.1.
For other installations action combinations which involve a large difference in action direction
needs to be addressed.
In a short-term period with a combination of waves and fluctuating wind, the individual
variations of the two action processes can be taken to be uncorrelated.
TABLE 6.7.1 Combination of environmental actions with expected mean values and
annual probability of exceedance 10
-2
and 10
-4
.
Limit state Wind Waves Current Ice Snow Earthquake Sea
level
1)
Ultimate
Limit
State
10
-2
10
-1
10
-1
-
-
10
2
10
1
10
1
-
-
10
-1
10
-2
10
-1
-
-
-
-
10
-2
-
-
-
-
-
10
-2
-
-
-
-
-
10
-2
10
-2
10
-2
m
m
m
Accidental
Limit
State
10
-4
10
-2
10
-1
-
-
10
2
10
4
10
1
-
-
10
-1
10
-1
10
-4
-
-
-
-
-
10
-4
-
-
-
-
-
-
-
-
-
-
10
-4
m*
m*
m*
m
m
1) m - mean water level
m* - mean water level, including possible effect of storm flood
Seismic response analysis should be carried out for the most critical water level.
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7. DEFORMATION ACTIONS
Deformation actions are actions caused by deformations, imposed on the structure. They may
be caused by the structures function or the surrounding environmental conditions, or by
construction processes.
7.1 Temperature actions
Structures shall be designed for the most extreme temperature differences they may be exposed
to. This for instance applies to:
a) storage tanks;
b) structural parts that are exposed to radiation from the top of a flare boom. One hour mean
wind with a return period of 1 year may be used to calculate the spatial flame extent and the
air cooling in the assessment of heat radiation from the flare boom;
c) structural parts that are in contact with pipelines, risers or process equipment.
The ambient sea or air temperature is calculated as an extreme value with an annual probability
of 10
-2
,
Unless more accurate measurements or calculations are carried out, air and sea temperatures
may be taken from Figures 7.1, 7.2 and 7.3. Sea temperature also varies with depth. The local
air temperature may be higher as a result of sun radiation. During fabrication of the structure,
all dimensions should be related to a reference temperature.
Eriksrd and dlandsvik (1997) give data for sea temperatures at the sea floor that can be used
in an early design phase.
7.2 Actions due to fabrication
During design, reasonable tolerances shall be assumed, and account shall be taken for possible
actions that may arise from forces introduced to compensate geometrical mismatch, shrinkage
forces of concrete or welding. The effects of errors, e.g. geometric deviations or defects
exceeding the tolerance limits, should be considered by the person responsible for the design.
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Figure 7.1 Highest and lowest air temperature with an annual probability of exceedance of
10
-2
. The temperatures are given in degrees Celsius
7.3 Actions due to settlement of foundations
Effects of uneven settlements of the foundation shall be considered. Actions on the structure
from risers and drillstring as a result of foundation settlements should be considered. Local
reaction actions on the structure during installation due to uneven seabed or boulders shall be
considered, cf. Sections 23 and Section 24 of the NPD Regulations.
-30
-30
15
15
20
25
-20
-15
-20
20
-5
25
-5
-10
-10 -15
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Figure 7.2 Highest surface temperature in
the sea with an annual
probability of exceedance of 10
-2
.
The temperatures are given in
degrees Celsius.
Figure 7.3 Lowest surface temperature in
the sea with an annual
probability of exceedance of 10
-2
.
The temperatures are given in
degrees Celsius.
+17.5
+20
+15
+12.5
+10
+10
+7.5
+5
+2.5
+2
0
-2
-2
0
+2
+4
+6
+4
+2
0
+6
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8. ACCIDENTAL ACTIONS
8.1 General
Accidental actions are actions caused by abnormal operation or technical failure. They include
for instance fires and explosions, impacts from ships, dropped objects, helicopter crash and
change of intended pressure difference.
Accidental actions should be determined with due account of the factors of influence. Such
factors may be personnel qualifications, operational procedures, the arrangement of the
installation, equipment, safety systems and control procedures.
In the design phase particular attention should be given to layout and arrangement of the
structure and equipment in order to minimise the adverse effects of accidental events.
The ALS design check should be carried out with a characteristic value of each accidental
action which corresponds to an annual exceedance probability of 10
-4
per installation. This
probability level is meant to be an indication of an order of magnitude since the data basis for
accurate determination of this small exceedance probability rarely exist.
If the accidental action is described by a single variable, the characteristic accidental action may
be determined from an action exceedance diagram for the structure.
The characteristic accidental action on different components of a given installation, could be
determined as follows:
- establish exceedance diagram for the action on each component
- allocate a certain portion of the reference exceedance probability (10
-4
) to each component
- determine the characteristic action for each component from the relevant action exceedance
diagram and reference probability.
Alternatively, the following, more refined consideration of risk may be used to determine the
accidental action:
- component i is assumed to be designed for an accidental action with an exceedance
probability of p
i
for that component
- estimate the probability of total loss due to failure of component (i) implied by the
residual risk associated with the accidental action
- estimate the total probability of failure (p
f
) associated with the given accidental action on all
components
- compare p
f
with the target level
- reallocate p
i
s in order to get a more optimal design, while complying with the target level
If the accidental action is described by several parameters (e.g. heat flux and duration for a fire;
pressure peak and duration for an explosion) design values may be obtained from the joint
probability distribution by contour curves (See Section 6.2.2.3). However, in view of the
uncertainties associated with the probabilistic analysis, more pragmatic approach would
normally suffice.
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Relevant accidental actions and their magnitude should be determined on the basis of risk
analyses and relevant accumulated experiences. With regard to the planning, implementation,
use and updating of such analyses, reference is made to the NPD Regulations for risk analyses.
Since a large amount of scenarios associated with each type of accidental action can be
envisaged, a focus on those that may have impact on design is necessary.
Model tests or in-service observations may be necessary to study the accidental actions.
8.2 Fires and explosions
8.2.1 General
The principle fire and explosion events are associated with hydrocarbon leakage from flanges,
valves, equipment seals, nozzles etc.
The following types of fire scenarios should among others be considered:
a) burning blowouts in wellhead area
b) fire related to releases from leaks in risers; manifolds, loading/unloading or process
equipment, or storage tanks; including jet fire and fire ball scenarios
c) burning oil on the sea
d) fire in equipment or electrical installations
e) fire on helicopter deck
f) fire in living quarters
g) pool fires on deck or sea
The following types of explosions should be considered:
a) ignited gas clouds
b) explosions in enclosed spaces, including machinery spaces and other equipment rooms as
well as oil/gas storage tanks.
Structural layout should be selected so as to limit the effect of fire and explosion, e.g. by using
appropriately located and sized fire and blast walls.
8.2.2 Fires
The fire action intensity may be described in terms of thermal flux as a function of time and
space or, simply, a standardised temperature-time curve for different locations (cfr. NPD
Regulations relating to explosion and fire protection).
The fire thermal flux may be calculated on the basis of the type of hydrocarbons, release rate,
combustion, time and location of ignition, ventilation and structural geometry, using simplified
conservative semi-empirical formulae or analytical/numerical models of the combustion
process.
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The first step in determining heat flux actions is to establish the geometry of the flame to check
whether the object is engulfed by the flame or not. Prediction of heat flux for engulfed
structures is difficult.
The heat flux may be determined by empirical, phenomenological or numerical method (SCI,
1993).
Empirical models with reasonable accuracy exist for pool fires, cloud fires and fireballs. For
some types of fires in topside areas and on sea, direct data for heat fluxes on relevant target
surfaces are available (e.g. SCI, 1993) Their shortcomings outside the validation range should
be observed.
In principle the numerical methods provide a rigorous description of the relevant turbulence and
combustion processes as well as flame radiation. Limitations in current models however, make
it necessary carefully validate them against experimental data.
The effect of each fire scenario should be determined on the basis of
- heat balance (incident radiant and convective heat flux is balanced by heat radiated,
convected and conducted away from the surface)
- heat flow characteristics of the structure
- mechanical and thermal properties at elevated temperatures and, where applicable
- properties of active and passive fire protection systems
For objects engulfed by the flame the heat convected away can be neglected. For non-engulfed
objects the incident convection is usually negligible.
The temperature in the structure may be calculated by finite difference method or analytical
methods. The latter is limited to one-dimensional passage of the heat into the structure.
More detailed information about emissivity constants and thermal parameters may be found in
Eurocode ENV 1991-2-2: 1995 and associated specific standards for different materials.
Fire mitigation should be considered by a detection, warning and shut-down system as well as
fire protection systems. Fire protection may be obtained by passive fire protection materials
and a fire protection such as water deluge, foam or, in some instances, fire suppressing gas.
Extinguishing fires may lead to use of large quantities of water. The consequences of the
corresponding increase of weight should be taken into account.
Further details about determination of action effect (damage) may be found in NORSOK design
standards for the relevant type of material.
8.2.3 Explosions
Explosions can cause two types of action, namely overpressure and drag.
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The overpressure action due to expanding combustion products may be described by the
pressure variation in time and space. It is important to ensure that the rate of rise, peak
overpressure and area under the curve are adequately represented. The spatial correlation over
the relevant area that affects the action effect, should also be accounted for. Equivalent
constant pressure distributions over panels could be established based on more accurate
methods.
Drag action is caused by blast generated wind, and is a function of gas velocity squared, gas
density, coefficient of drag, and the exposed area of the object. Drag action may affect piping,
equipment and other items.
The explosions pressure and wind drag depend upon the type of gas, ratio of gas in mixture,
degree of mixing, location and time of ignition, the size and geometry of the room or
confinement as well as size and location of vent and relief area. The latter two features can be
influenced by design and provide means of mitigation.
Overpressure may be determined by semi-empirical methods established by experiments or
theoretical models of the combustion and venting process (SCI, 1993).
Caution should be exercised in applying empirical methods outside the parameter range of
underlying experimental data.
Numerical models solve the underlying equations describing gas flow, turbulence and
combustion processes. The complexity of the explosion phenomenon requires the numerical
methods to be validated by experimental results and used with caution.
The damage due to explosion should be determined with due account of the dynamic character
of the action effects. Simple, conservative single degree of freedom models may be applied.
When necessary nonlinear time domain analyses based on numerical methods like the finite
element method should be applied.
8.2.4 Combined fire and explosion effects
Accidental actions which are combinations of fire and explosion events should be considered,
with an annual probability of 10
-4
for the joint event.
Fire and explosion events that result from the same scenario of released combustibles and
ignition should be assumed to occur at the same time, i.e. to be fully dependent. The fire and
blast analyses should be performed by taking into account the effects of one on the other.
The damage done to the fire protection by an explosion preceding the fire, should be
considered.
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8.3 Impact actions
8.3.1 General
Impact actions are characterised by kinetic energy, impact geometry and the relationship
between action and indentation. Impact actions may for instance be caused by:
a) vessels in service to and from the installation; including supply vessels
b) tankers loading at the field;
c) ships and fishing vessels passing the installation;
d) floating installations, such as flotels;
e) aircraft on service to and from the field;
f) falling or sliding objects;
g) fishing gear;
h) icebergs or ice.
Structural layout should be selected so as to limit the effect of impacts. Particular attention
should be paid to protecting critical component such as risers.
ALS design checks should be made with impact events corresponding to exceedance
probabilities of 10
-4
.
8.3.2 Vessel collisions
The collision energy can be determined on the basis of relevant masses, velocities and
directions of ships or aircraft that may collide with the installation. When considering the
installation, all traffic in the relevant area should be mapped and possible future changes in
vessel operational pattern should be accounted for. Design values for collisions are determined
based on an overall evaluation of possible events.
Experience has shown that the design should take into account collisions by vessels intended
for regular service inside the safety zone. The velocity can be determined based on the
assumption of a drifting ship, or on the assumption of erroneous operation of the ship.
In the early phases of platform design, the mass of supply ships should normally not be selected
less than 5000 tons and the speed not less than 0.5 m/s and 2 m/s for ULS and ALS design
checks, respectively. A hydrodynamic (added) mass of 40 % for sideways and 10 % for bow
and stern impact can be assumed. Further information about collision analysis may be found in
NORSOK N-004 and Veritec (1988).
The most probable impact locations and impact geometry should be established based on the
dimensions and geometry of the structure and vessel and should account for tidal changes,
operational sea-state and motions of the vessel and structure which has free modes of
behaviour. Unless more detailed investigations are done for the relevant vessel and platform,
the impact zone for supply vessels should be considered to between 10 m below LAT and 13 m
above HAT.
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Impact scenarios should be established representing bow, stern and side impacts on the
structure as appropriate. If a central impact (impact action through the vessels centre of
gravity) is physically possible, this impact situation should be analysed.
The possibility of a second, less intensive impact on the damaged structure should be assessed.
In this connection the possible change of floating position caused by the initial damage, should
be assessed.
If a flotel or other installation is to be positioned close to the structure, special evaluations shall
be carried out as to whether these installations may inflict collision actions on the other
installation.
When the duration of the collision is short compared with the periods governing the motion, the
damage caused in the collision in structures with free modes (see Section 10.1) may be
determined in two steps, as described below.
First the distribution of impact energy between kinetic rotation and translation energy and
deformation energy, can be determined by momentum and energy considerations. Then local
damage to vessel and installation can be determined so that the energy absorbed by the two
structures corresponds to the energy that is to be absorbed as deformation energy.
If the impact duration is long compared with the relevant local or global periods of structural
vibration, structural analysis to determine the energy absorption and damage, can be done by a
quasi-static method of analysis. Otherwise, a dynamic structural analysis should be carried out.
This analysis can be based on action - indentation curves obtained by laboratory tests and
analysis.
8.3.3 Dropped objects
Actions due to dropped objects should for instance include following types of incidents:
a) dropped cargo from lifting gear
b) falling lifting gear
c) unintentionally swinging objects
d) loss of valves designed to prevent blow-out or loss of other drilling equipment.
The impact energy from the lifting gear can be determined based on lifting capacity and lifting
height, and on the expected weight distribution in the objects being lifted.
Unless more accurate calculations are carried out, the action from falling objects on to the deck
may be based on the safe working action for the lifting equipment. This action should be
assumed to be falling from the lifting gear from the highest specified lifting height and at the
most unfavourable place. Sideways movements of the dropped object due to possible motion
of the structure and the crane hook, should be considered.
The trajectories and velocity of objects dropped in water should be determined on the basis of
the initial velocity, impact angle with the water, effect of water impact, possible current velocity
and the hydrodynamic resistance. It is nonconservative for impacts in shallow water depths to
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neglect the effect of water impact. A typical trajectory for barline objects (pipes) is straight
motion until it has reached the maximum horizontal excursion. Then it starts to fall, exhibiting
horizontal oscillations. The possibility of a straight trajectory for pipes with a rotation about the
longitudinal axis, should be considered.
The impact effect of long objects such as pipes should be subject to special consideration.
Relevant impact situations can be determined by the operating area of the lifting equipment and
the relevant lifting arrangement.
Whether the equipment on deck may fall down should be considered. Damage caused by
subsequent actions should also be considered.
Similarly it should be considered what damage possible fender systems would cause if they
should fall down.
NORSOK standard U-CR-001 provides values for accidental actions on subsea installations.
These values may be used in evaluations during an early design phase.
8.3.4 Helicopter impacts
If specific information about the weight distribution of the undercarriage of a helicopter is not
available, the helicopter deck should be designed on the presumption that any point on the deck
may be subjected to a single action equal to 75 % of the total weight of the heaviest helicopter
used. The single action can be assumed evenly distributed over an area of 0.09 m
2
. Reference is
made to regulations relating to commercial aviation to and from helicopter decks on fixed and
mobile offshore installations, issued by the Norwegian Civil Aviation Administration 28
December 1992, including also sub-section 1.1, last paragraph (scope).
The main structure below the helicopter deck should be designed for an action equal to 3 times
the total weight of the heaviest helicopter used. The normal weight distribution of the helicopter
on the undercarriage may be used. It should be assumed that the helicopter is placed in the most
unfavourable position.
8.4 Buoyancy loss due to subsea gas blow-out
For floating structures it should be considered whether a subsea gas blow-out can cause loss of
buoyancy or a displacement of significance to the stability , or motions of significance to the
anchoring system or to possible contact with other installations.
8.5 Abnormal variable actions
Changes in intended pressure differences or buoyancy caused for instance by defects in or
wrong use of separation walls, valves, pumps or pipes connecting separate departments as well
as safety equipment to control or monitor tank pressure, shall be considered.
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Unintended distribution of ballast due to operational or technical faults should also be
considered.
8.6 Actions on a floating structure in damaged condition
Floating structures which experience buoyancy loss will have an abnormal floating position.
The corresponding abnormal variable and environmental actions should be considered.
Adequate global structural strength (according to the second step of the ALS check) should be
documented for abnormal floating conditions considered in the damage stability check.
8.7 Combination of accidental actions
When accidental actions occur simultaneously, the probability level (10
-4
) applies to the
combination of these actions. Unless the accidental actions are caused by the same
phenomenon (like hydrocarbon gas fires and explosions), the occurrence of different accidental
actions can be assumed to be statistical independent. While in principle, the combination of
two different accidental actions with exceedance probability of 10
-2
or one at 10
-3
and the other
at a 10
-1
level, correspond to a 10
-4
event, individual accidental actions at a probability level of
10
-4
, commonly will be most critical.
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9. ACTION COMBINATIONS
9.1 Normal operation
9.1.1 General
Table 9.1 shows which actions that should be combined in different limit states.
Combinations of environmental actions is given in Section 6.7, and combination of accidental
actions is given in Section 8.7.
TABLE 9.1 Characteristic actions and action combinations
TEMPORARY CONDITIONS NORMAL OPERATIONS
Accidental limit state Accidental limit state Serviceability
limit state
Fatigue
limit state
Ultimate
limit state Abnormal
effect
Damaged
conditions
Serviceability
limit state
Fatigue limit
state
Ultimate limit
state Abnormal
effect
Damaged
condition
Permanent
actions EXPECTED VALUE
Variable
functional
actions
SPECIFIED VALUE
Environ-
mental
actions
Dependant on
operational
requirements
Expected
action
history
Value dependent on measures taken
Dependent on
operational
requirements
Expected
action
history
Annual
probability of
exceedance
= 10
-2
Annual
probability of
exceedance
= 10
-4
Annual
probability of
exceedance
= 10
-2
Deformation
actions EXPECTED EXTREME VALUE
Accidental
actions
Not applicable Dependent
on
measures
taken
Not applicable
Annual
probability of
exceedance
= 10
-4
Not applicable
9.1.2 Static and dynamic pressures in tanks
When combining static and hydrodynamic tank pressures, appropriate account of relevant tank
filling and acceleration levels for different tanks should be accounted for.
The pressure height h
D
and pressure p
0
associated with pumping operations (given in Section
5.4.1) could be neglected if such operations are documented not to occur at the same time as
extreme sea actions.
9.1.3 Variable and environmental actions in combination with accidental actions
Account shall be taken of the permanent and variable actions that might reasonably be present
at the time of the accidental event.
When environmental and accidental actions occur simultaneously, the given probability level
applies to the combination of these actions. Unless environmental actions contribute to the
occurrence of accidental actions these two actions can be assumed to be statistically
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independent. The expected environmental action occurring together with the 10
-4
accidental
can be neglected unless the accidental action is initiated by the environmental action.
The damaged structure, resulting form an accidental action event, shall be able to resist relevant
permanent and variable actions in an environmental condition corresponding to annual
exceedance probability of 10
-2
.
9.2 Temporary conditions
Temporary conditions may refer to conditions during fabrication, installation or use.
Environmental and accidental actions in temporary phases depend upon the measures taken.
Precautions may be taken to ensure that maximum tank pressures, associated with pressure
testing, don't occur during maximum environmental conditions.
Precautions may be taken in connection with environmental actions, by carring out the
operation during a period when the environmental conditions is ensured to be acceptable.
If no precautions can be taken with respect to environmental conditions the characteristic action
should be defined by the Normal operation in Table 9.1. For operations performed in a
particular season, the exeedance probability could be taken to refer to the particular season.
For operations lasting more than the time (3 days)for reliable weather forecast, and there is no
danger of injury or damage to people or to the environment or of major economic
consequences, an environment condition corresponding to a one year return period may be
used.
For operations lasting more than 3 days, but where it is possible, within 24 hours to bring the
installation into a condition which will resist actions specified according to the procedure given
above, may be designed for a smaller environmental action. The operation shall be
discontinued if the weather forecasts for the next 3 days indicate values in excess of the planned
environmental condition.
For operations with duration up to 3 days can be planned with a smaller environmental action
than given above. The operation may then be commenced when forecasts provide adequate
certainty that the planned condition is not exceeded.
Accidental actions and possible abnormal operational conditions in temporary phases are to be
determined by risk analysis.
In temporary phases of short duration, controls may be normally implemented to ensure that
accidental actions are of neglible magnitude.
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10. ACTION EFFECT ANALYSES
10.1 General
Action effects, in terms of motions, displacements, or internal forces and stresses of the
structure, should be determined with due regard for:
the spatial and temporal nature including
- possible non-linearities of the action
- dynamic character of the response,
the relevant limit states for design check, and
the desired accuracy in the relevant design phase.
While permanent - , functional - , deformation - and fire actions generally can be treated by
static methods of analysis, environmental (wave and earthquake) actions and certain accidental
actions (impacts, explosions) may require dynamic analysis. Inertia and damping forces, are
important when the frequency of steady-state actions are close to eigenfrequencies or when
transient actions occur.
The global behaviour of offshore structures may be characterised by the motion characteristics
for each rigid body mode under wave frequency actions. Restrained modes of behaviour
typically have an eigenfrequency above the wave frequency, and free modes have an
eigenfrequency below the wave frequency. Table 10.1 characterises some concepts.
TABLE 10.1 Characterisation of global behaviour:
F - free; R - restrained mode of motion
Type of structure Translation Rotation
Vertical
Heave)
Horizontal
(Surge)
Horizontal
(Sway)
Vertical
plane
(Pitch)
Vertical
plane
(Roll)
Horizontal
plane
( Yaw )
Fixed steel (jacket,
jack-up, subsea,
template)
R R R R R R
Fixed concrete
(framed)
R R R R R R
Tension-leg, with 3 or
more legs
R F F R R F
Semi-submersible
1)
F F F F F F
Ship
1)
F F F F F F
Spar buoy
1)
F F F F F F
Articulated tower R (F) (F) F F (R)
1)
with cautionary mooring or DP system
A global wave motion analysis is necessary for structures with at least one free mode. For fully
restrained structures a static or dynamic wave-structure-foundation analysis is required.
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Uncertainties in the analysis model are expected to be taken care of by the partial safety factors.
If uncertainties are particularly high, conservative models shall be selected.
Simplified methods may be applied if they are properly documented and they provide
conservative results.
If analytical models are particularly uncertain, the sensitivity of the models and the parameters
utilised in the models shall be examined. If geometric deviations/imperfections have a
significant effect on safety, conservative geometric parameters shall be used in the calculation.
In the final design stage theoretical methods for prediction of important responses of any novel
system should normally be verified by appropriate model tests. (See Section 10.2.6).
Earthquake actions need only be considered for restrained modes of behaviour.
10.2 Global motion analysis
10.2.1 Purpose
The purpose of a motion analysis of structures with at least one free mode according to Table
10.1, is to determine displacements, accelerations, velocities and hydrodynamic pressure
relevant for the action on the hull, superstructure , riser and mooring system, as well as relative
motions (in free modes) needed to assess airgap and green water requirements. Excitation by
waves, current and wind should be considered.
10.2.2 Environmental and Operational Conditions
The response analysis shall be carried out with due regard for combined environmental
conditions (e.g. wave, current and wind intensity and direction). Attention should be paid to the
fact that current actions may dominate the hydrodynamic actions for some concepts. If joint
statistical data for the site or area is not availables, conservative assumptions shall be made,
including consideration of unidirectional versus multidirectional environment.
Design actions and action effects may depend on operational practice. The assumptions made
in the analysis regarding operations shall be consistent with relevant instructions and limitations
for safe operation. This involves the magnitude and distribution of deck action. For buoyant
structures the ballast condition, the floating position (draught, tilt) and mooring tension, are of
concern. For ships, heading direction is also an important issue. The margin to cover the
variability of ship heading with respect to the direction of wind, current, wind waves and
swell, should depend on the directional control (active, passive) used.
Possible lack of directional stability of ships or barges that may cause excessive yaw motions
(fish-tail behaviour) and, hence, roll and heave motions should be noted in connection
operational control.
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When calculating the action effects due to waves, floating platforms may be assumed to be
ballasted to an even keel in a 100 years mean wind condition.
This is conditional upon availability of necessary equipment, adequate procedures and
sufficient time for correcting the floating condition during change of the environmental
condition (direction and speed of wind).
Operational precautions of the station-keeping system (e.g. mooring lines, and thrusters) may be
assumed in design analyses if such operations can be carried out with adequate reliability
during operations. Design calculations should not be based on operational actions assumed to
be initiated under emergency situations (line failure) to reduce the consequences.
10.2.3 Static and mean response analysis
Static analyses are carried out to determine
the static equilibrium position of the platform under gravity and buoyancy actions in still
water. A static analysis should be performed for each action condition to be analysed,
considering the total platform weight, ballast, buoyancy (displacement), riser and mooring
tensions, and hook actions
the position of the platform under mean wind force, current force and steady wave drift
force, based on the static equilibrium condition, mentioned above and
overturning moment acting on (floating) platforms with six free modes subject to sustained
wind actions in connection with stability check.
The determination of a mean or equilibrium position due to steady environmental actions is the
basis for proceeding with a dynamic analysis. The mean position should be determined with
appropriate values of the sustained actions, in view of their correlation with the fluctuating
actions in the dynamic analysis.
10.2.4.Dynamic analysis
10.2.4.1 Dynamic model
The dynamic equation of equilibrium is formulated in terms of
excitation actions
inertia actions
damping actions
restoring actions
relating to the hull, positioning system and risers.
Possible excitation, inertia, damping and restoring actions by the riser and mooring system
could be introduced in a simplified fashion for 6 degrees of freedom system models (uncoupled
analysis) or more exactly in a coupled platform/mooring/riser analyses with more degrees of
freedom. (See Section 10.2.5).
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In connection with dynamic response analyses excitation actions may conveniently be
categorised as
wave frequency actions (WF) (affecting all 6 degrees of freedom)
high frequency (HF) wave actions (affecting restrained modes of motion)
low frequency (LF) (or, slow drift) actions (affecting primarily horizontal motions but
sometimes also vertical modes)
wind gust actions (affecting roll, pitch as well as horizontal motions)
transient wave slamming, run-up and ringing actions
HF or LF wave actions are normally an order of magnitude smaller than wave frequency
actions. Their effect may be significant if wave frequency actions are minimised by design, or
when they are close to fundamental frequencies of vibrations of the system.
Example of resonance of (lightly damped) modes of motion may for instance include:
roll of a barge/ship or a spar with a low metacentric height, GM (free mode)
heave of a Spar buoy (free mode)
vortex induced vibration for deep draught buoys
surge, sway and yaw motion of a catenary moored FPS (free mode)
internal U tube resonances (local dynamic mode)
ballast or cargo tank sloshing modes (local dynamic mode)
heave/pitch/roll resonance of TLPs (restrained mode)
moonpool motion
The transient response caused by slamming actions would generally be associated with
structural dynamic effects.
Inertia actions are related to the hull, mooring and riser mass, variable mass (e.g. ballast), and
added mass due to of the surrounding water.
Damping has linear contributions from wave radiation and wave drift damping. Viscous
damping actions are associated with the hull, risers, and mooring systems.
The effect of possible thrusters in terms of restoring actions and possible damping should be
included. Also, the damping effect of free surface in tanks must be included in this connection.
Viscous drag actions on slender bodies can be estimated by Morisons equation, and should be
estimated separately or combined (by using relative velocity) for wave - and low frequency
motions by using a proper drag coefficient.
The current gives rise to damping as well as excitation actions. For resonant motion behaviour
it is recommended that analyses are carried out with different values of current velocity,
spanning from zero up to design values and that the most conservative results are designed for.
Restoring forces are contributed by the buoyancy effect on the vessel, and by the catenary or
taut mooring system as well as by the riser systems. Long-term change of restoring properties of
synthetic ropes should be accounted for. The effect of catenary mooring on heave restoring
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actions is normally negligible. Tether elastic deformations can also normally be neglected in
determining the behaviour of free modes of TLPs.
10.2.4.2 Frequency domain analysis for a short term period
A frequency domain analysis for a short term period may be carried out to determine wave
frequency motions and mooring actions as a function of wave frequency at a suitable mean
condition. The response spectrum obtained together with the assumption of Gaussian process
may be used to estimate the response statistics valid for the actual condition.
The commonly used frequency domain solution techniques require linear equations of motion.
This is inconvenient when modelling velocity squared drag actions, time varying geometry,
horizontal restoring actions and variable water surface elevation, since these effects are
nonlinear. In many cases, these nonlinearities can be satisfactorily linearized about some
operating point or by using an equivalent linearization technique.
When determining extreme values for cases where nonlinear actions or action effects could be
important, linearized solutions should be used with care.
10.2.4.3 Time domain analysis for a short-term period
Time domain analysis means numerical integration of the equations of motion allowing the
inclusion of all system nonlinearities, using direct step-by-step integration techniques.
Time domain solution methods should generally be used in case of significant nonlinear effects.
Time domain analysis is also normally required to determine the transient response after
slamming, ringing events, as well as mooring component failure. Such analysis allows
handling for instance of drag actions which are nonlinear functions of the fluid velocity, finite
amplitude and finite wave amplitude effects, and nonlinear geometrical and material effects
associated with the station keeping system.
Time domain methods are usually used for extreme condition analysis, but are normally not
required for fatigue analysis or analysis of more moderate conditions where the more efficient
linearized analysis provide sufficient accuracy. However, time domain analysis of fatigue
action effects may be required in connection with local splash zone actions.
Time domain analysis may be done for some sea-states and generalised to other conditions e.g.
by using an equivalent as sea state dependent transfer function.
Periodic analysis must be carried far enough to achieve steady state. Irregular analysis must be
carried far enough to achieve stationary statistics.
When the analysis is performed in a random sea consideration should be given to the frequency
dependency of the added mass and damping coefficients.
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A wave spectrum is used to generate random time series when simulating irregular wave
kinematics. The linear and nonlinear wave exciting actions are both represented in the form of
time histories derived from the wave time history. If time-domain simulations are carried out to
determine air gap or green water or other action effects which are sensitive to the non-Gaussian
character of real extreme seas, this feature should be accounted for.
The time series resulting from the time domain analysis of nonlinear systems will generally be
non-Gaussian. To limit the statistical uncertainty, sufficiently long time series should be
generated, and statistical fitting techniques should be used to determine the expected maximum
response.
A strategy to improve the computational efficiency in time domain simulation of a complex
model exposed to irregular excitation is to simulate critical events (i.e. slam, ringing events)
with the refined model for a time duration identified by a simplified approach. A fundamental
requirement is that the relevant events must be captured by the identification procedure. This
technique should therefore be applied with care.
Guidelines for implementation of time series analyses can be found in Technical and Research
Bulletin 5.5 Chapter 7 Guideline for site specific assessment of Mobile Jack-up units.
(SNAME 1991).
The short term time domain analysis may be used in conjunction with a scatter diagram to
generate the long-term distribution of action effects.
10.2.4.4 Low-frequency analysis
A low-frequency dynamic analysis is to be carried out to determine the actions and motions due
to combined actions such as:
Second-order wave actions
Current viscous actions
Fluctuating and sustained wind actions
Non-linear mooring restoring actions
Appropriate methods of analysis are to be used.
All relevant sustained horizontal actions including current, as well as the effect of wave
frequency motions are to be included in the analysis.
Frequency range is to include all low-frequency cyclic actions that may excite platform resonant
motions.
Appropriate methods for estimation of damping of the low frequency motion analysis are to be
used. If important, coupled wave-and low frequency motions must be considered.
The extreme low frequency (LF) wave- and wind-response should therefore be determined with
due consideration of wave-frequency (WF) response. This may be conveniently achieved by a
time-domain approach with a sufficiently long time period. Alternatively, especially in an early
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design stage, the WF- and LF-responses may be determined separately in the frequency domain,
and combined, as for instance described in the following sections.
The low-frequency wind-induced forces can be modelled as a Gaussian process when the
sustained wind dominates over gust wind. If the wind-induced motion response is
approximated by a Gaussian process, the characteristic largest motion amplitude for this
process may be calculated as X N
LF LF LF 1 1 1
2 ln where
LF1
= standard dev., N
LF1
- mean
value of zero-upcrossings in the period considered (N
LF1
number of motion cycles in the
period).
Low-frequency wave-induced motions are generally non-Gaussian due to the inherent non-
linearities, and dependent upon the wave-frequency motions. The largest LF-motion amplitude
should be estimated based on a suitable method. The motions follow a Rayleigh or an
exponential distribution for the case of low and high system damping, respectively. Normally
the actual distribution is between the two special cases. The characteristic maximum may be
conservatively estimated by assuming an exponential distribution: X
LF2
=
LF2
. ln N
LF2
. A
more realistic estimate can be obtained by Stansbergs method (1992).
Motion-induced tension in mooring lines will in general be non-Gaussian due to nonlinear load-
displacement relationship of mooring lines.
The ratio between the maximum value and standard deviation of motions or mooring line
tension used in final design should be documented by time series analysis, model tests or field
measurements, or by calibrated, simplified methods.
Low-frequency wind- and wave-induced motions in the same direction can be assumed to be
independent and combined by a square root of sum of square approach.
X X X
LF LF LF
+
1
2
2
2
(10.1)
The maximum combined wave frequency (X
WF
) and total low frequency motions in the same
direction depends upon the relative magnitude of low frequency wind- and wave-induced
actions, and system characteristics. If the mean action effect X
mean
is included, the total action
effect may be expressed as:
X X X X X X
WF LF WF LF mean
+ + +
2 2
2
(10.2a)
where is a correlation coefficient. For horizontal motions of semi-submersibles, will
typically be between 0.2 and 0.4.
An alternative way of combining WF and LF action effects to obtain the total effect is:
( ) mean sign WF max LF sign LF max WF
X X X X X max X + + + )] ( ); [(
.) ( ) ( .) (
(10.2b)
where the indices max and sign. refers to expected maximum and significant value,
respectively. Eq. (10.2b) may be used for motion and mooring tension effects in catenary
moored floating platforms.
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10.2.4.5 Slamming, wave breaking and green water
If slamming or green water is likely to occur, calculation or model tests should determine the
corresponding pressure actions. Slamming effects should be calculated by applying an
appropriate dynamic structural model.
Slamming effects are of significance in combination with extreme first order wave frequency
effects and should be evaluated in the time domain with due consideration of first order wave
action effects.
Slamming actions may especially be of significance for ultimate and accidental limit states.
10.2.4.6 Fluid sloshing in tanks
Translational and angular motions, especially of ships, and floating platforms will generate
motions within tanks. Depending upon the size of the tanks, the amount of water or oil and the
motions of the structure at the resonant oscillation period of the fluid in the tank, a dynamic
amplification of static pressure occurs, possibly combined with local impact actions. These
sloshing actions may be significant from an ultimate strength and a fatigue standpoint.
A sloshing analysis shall be carried out in accordance with recognised calculation procedures,
possibly combined with model tests. For ships the simplified methods given in the rules of
recognised classification societies may be applied.
10.2.5 Dynamic system analysis for a short term period
Hull, risers and station-keeping system is an integrated dynamic system responding to
environmental actions from wind, waves and current. This system may be analysed as a
decoupled or coupled system.
10.2.5.1 Decoupled analysis
A decoupled analysis is carried out in two steps.
In the first step rigid body floater motions are computed considering static-, low frequency
(LF)- and wave frequency (WF) environmental actions. Some of the six degrees of freedom in
this analysis may, however, be coupled between themselves. Risers and mooring system are
represented by the static restoring force characteristics and a constant LF viscous damping.
Assessment of the LF damping is crucial for the floater motion analysis. Contribution from
current action on mooring lines and risers may be represented by a constant external action.
In the second step the floater motions and forces in case of TLP tension, computed in first step
are applied as forced boundary displacements and forces, respectively on the slender structures.
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Wave and current actions on the slender structure can also be included. Forced WF floater
motions are considered as dynamic excitation while LF and WF floater motions can
alternatively be applied as forced dynamic excitation if considered to be of importance to the
slender structure dynamics. A typical example is catenary mooring lines where WF line
dynamics can be significantly influenced by the quasistatic LF tension variation. In addition,
dynamic effects associated with LF as such should be considered for deepwater system.
The second step is the time consuming part of the decoupled analysis and is normally carried
out for critical mooring lines and risers one by one. The computational flexibility contributes to
efficient analyses and is the major advantage of the decoupled analysis.
10.2.5.2 Coupled analysis
Coupling effects between floater motions and slender structure response can be accounted for
by including the floater force model in the slender structure model of the complete system
including all mooring lines and risers.
The coupled approach requires significant computational efforts. As a compromise it can be
proposed to apply a rather crude slender structure model in the coupled analysis still catching
the main coupling effects (restoring, damping, mass). Detailed slender structure analysis can
then be performed as in step two in the decoupled analysis based on the floater motions
predicted in the coupled analysis. It can also be suggested to use a rather short coupled
simulation for estimation of LF damping form mooring lines and risers. Damping estimate can
then be used in a decoupled analysis.
10.2.5.3 Mooring and riser analysis
Mooring lines and risers are commonly termed slender marine structures to emphasise
similarities in system topology and global static- and dynamic behaviour. The main difference
in mechanical properties affecting the global analysis is that risers are influenced by bending
stiffness while mooring lines are not. It is therefore convenient to apply the same methodology
for global analysis of risers and mooring lines. A finite element approach is normally applied
using beam and bar elements for efficient modelling and analysis of mooring lines and risers.
For increased computational efficiency bar elements may also be used e.g. for flexible risers.
More detailed analyses of bending response close to the support is then calculated with the
response obtained in the first analysis appropriately used as boundary condition.
An important feature of the analysis of slender structures is the treatment of nonlinearities due
to hydrodynamic (drag) action and wave elevation variation effects, geometric stiffness,
possible material nonlinearities and contact problems in terms of contact between slender
structure and seafloor as well as hull.
The relative importance of these nonlinearities are strongly system and excitation dependent,
the first two nonlinearities will, at least to some extent, always be present; the latter ones are
more system specific nonlinear effects. Material nonlinearities will for example normally not be
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relevant for metallic tensioned risers while it is most important for nonbonded flexible pipes
and synthetic mooring lines.
It should be noted that external and internal pressures in tubular members are not considered to
be nonlinear effect, as hydrostatic pressure will be handled by the effective tension concept in
the analyses.
The response may be calculated by a (completely) linearized frequency or time domain
approach.
An attractive approach when hydrodynamic action is the major nonlinear contributor, would be
to linearize inertia, damping and stiffness at the static position while including the nonlinear
hydrodynamic action according to the Morison equation.
Analysis of catenary mooring systems can be carried out according to the technical
requirements in DNV Rules for Classification of Mobile Offshore Units. Parts 6, Chapter 1
(Det Norske Veritas 1989) or the ISO Techn. report. Recommended Practice for Design,
Analysis of Station-keeping systems for Floating Structures (1997).
10.2.5.4 Airgap analysis
Wave impact may, be permitted to occur on any part of a structure provided that it can be
demonstrated that such actions are properly accounted for in the design and that the water does
not threaten personnels life, or damage pipes and other equipment which may lead to
environmental damage. This means for instance that ULS and ALS strength requirements
should be fulfilled for events with annual probabilities of 10
-2
and 10
-4
, respectively. The
characteristic actions for such design checks then need to be determined. There is currently no
airgap requirement as such.
However, due to the complexity and uncertainty associated with determining actions associated
with waves hitting the platforms decks, e.g. in semi-submersibles, from below, and the
nonlinear relation between wave height and action effect, an airgap margin of 1.5 m on the 10
-2
wave event, is recommended for fulfilling ULS criteria. The ALS criterion may be fulfilled by a
positive airgap or by demonstrating survival of the platform subject to a 10
-4
event . The deck
structure adjacent to platform columns, however, needs to be designed to resist the possible
pressure actions due to run-up along columns.
Airgap considerations are also relevant for SWATH and catamaran ships as well as topside
structures, located on platforms above the hull of a ship-shaped structure. For monohull ships
freeboard requirements relating to the hull, should be adhered to.
When assessing air gap the following listed effects shall, when relevant, be considered;
waterlevel (including storm surges, astronomical tides, settlement, subsidence; and set-down
for TLP)
maximum/minimum operating draughts
static mean offset and heel angles
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first order sea surface elevation including wave/structure interaction effects, i.e. wave
enhancement
wave crest elevation including wave asymmetry (crest to through ratio)
wave frequency motions (in all 6 degrees of freedom)
low frequency motion in heave, pitch and roll
effects of interacting systems (e.g. mooring and riser systems) (for buoyant structures)
Wave asymmetry may be accounted for by using a factor on first order wave response based on
Gaussian sea states (or a higher order wave theory which is documented to yield reliable
predictions). In absence of a detailed analysis, the crest height may be taken to be 0.6 times the
wave height. The analysis of wave/structure interaction effects should be made according to
Section 6.2.
Combination of different wave action effect can be carried out according to Section 10.2.4.4.
Analysis of interaction between hull and e.g. mooring and riser system is described in Section
10.2.5.1-3.
If the airgap analysis is subjected to significant uncertainties, it should be verified by model
tests.
10.2.6 Long-term response analysis
The long-term distribution of action effect, x: f
x
(x) can be combining the short-term action
effects, f
x|E
(x|e), (in which E is the spectral parameters describing a sea-state) according to their
probability of occurrence, as given by a scatter diagram, f
E
(e), as follows
E
E E X X
e d e f e x f e w x f ) ( ) | ( ) ( ) (
|
(10.3)
where w(e) is a weight function defined as the average period in the long-term divided by
average period of the given short-term sea-state.
10.2.7 Model testing
10.2.7.1 Purpose
In the conceptual design phase the primary objective of model tests in e.g. wave basin or wind
tunnel, would be to confirm that no important feature (e.g. ringing, slamming or, cork-screw
motion of spar buoys with strakes) has been overlooked for temporary and in-place conditions.
In the final design phase the purpose would be to determine the responses (motions, mooring
line tension, run-up, slamming ...) of a particular design. In this case it is important to predict
the full-scale response of the actual system.
In general model tests may be used to verify methods for predicting systems response.
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An important value of model tests is that the results are obtained without requiring many
assumptions about the nature of the responses. This is generally not true of numerical models.
However, model testing has its limitations too. There are numerous sources that can cause
errors in model test results. Numerical predictions and model experiment results should be
considered as being complimentary to one another. Through careful interpretation, each of
these results may be used to partially circumvent the limitations of the other.
10.2.7.2 Implementation of model test results
When implementing experimental test results into design, all relevant deviations between the
model test and reality shall be considered. Such deviations may include;
scaling effects
model simplifications
limitations in testing facilities (finite dimensions; quality of waves, current and wind; wave
absorption)
simplifications and uncertainties regarding the data acquisition and processing
uncertainties with regard to long-term effects
the failure mode
Statistical uncertainties with respect to limited sample maxima of test results are to be included
in the determination of model responses.
Extreme values of action effects due to stochastic actions should be determined with due
consideration of all information contained in the sample, with particular emphasis on the largest
values of the sample. Extrapolation based on fitted distribution should be used.
The model test shall be planned, executed and documented in such a manner that they are
repeatable.
NMD guidelines for wind tunnel tests shall be applied.
10.2.8 Full-scale measurements
Full-scale measurements may be used to update the response prediction of the relevant structure
and to validate the methods for analysis of action effects for future design or redesign.
The updated analysis of the actual structure may have implications on operational requirements.
Such measurements tests should especially be devoted to actions and action effects which are
difficult to simulate in model scale, i.e. associated with soil conditions and structures subjected
to hydrodynamic actions involving both potential and viscous effects, as well as nonlinear
effects such as ringing and airgap.
It is crucial to ensure adequate instrumentation to monitor environmental conditions during full-
scale measurements.
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10.3 Action effects in structures and soil/foundation
10.3.1 General
Displacements, forces or stresses in the structure and foundation, shall be determined for
relevant combinations of actions by means of recognised methods, which take adequate account
of the variation of actions in time and space, the motions of the structure and the limit state
which is to be verified. Characteristic values of the action effects are to be determined.
Nonlinear and dynamic effects associated with actions and structural response, shall be
accounted for whenever relevant.
The stochastic nature of environmental actions should be adequately accounted for.
10.3.2 Action processes
10.3.2.1 Waves
Wave-frequency action effects may be determined by
stochastic long-term set of sea-states
a set of stochastic short-term sea states
a design wave approach, specified by a regular long-crested wave with given height
and length
For structural design purpose, a combination of these approaches may be necessary to
determine characteristic action effects for ULS design checks. In such a case, for example, the
stochastic approach may be used to determine the design wave parameters which make the
design wave approach give the same extreme response for representative response variables as
the stochastic approach, with due consideration of wave steepness, as indicated in Section 6.2.
For fully restrained structures maximum action effects are obtained by considering design
waves with different headings and with extreme wave height and appropriate wave period
which is varied within an appropriate interval. If structural dynamic effects are significant,
this approach should be used with caution.
For monohull ships the hull actions and their effects can be appropriately calculated by a
hierarchical set of models. The overall behaviour may be investigated by a relatively coarse
finite element mesh. This model may be used together with stochastic wave models to
determine relevant action conditions for more detailed structural analyses. More detailed 3-D
models may have to be used for particular hull sections like the turret area.
For floating space frame structures the analysis should include conditions with split forces (in
transverse and longitudinal direction), torsion, horizontal shear, vertical shear due to
acceleration of deck masses; as well as vertical acceleration of deck masses. By using the
design wave approach the simultaneity of global and local action effects may most easily be
accounted for. The design wave approach for floating space frame structures may be calibrated
by a stochastic approach by means of the sectional forces (heave, split, transverse shear etc.)
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However, for platforms with restrained modes that are affected by ringing, springing, whipping
(slamming) a stochastic analysis of action effects would normally be necessary. See Sections
10.2.4.2 and 10.2.4.3.
Wave actions due to low frequency excitation can normally be neglected for the hull, except for
the fairlead, turret or other areas with mooring attachment.
Stress ranges for fatigue design should be determined for a representative set of sea-states using
the long-term stochastic approach. A linear frequency domain approach is normally applicable
to determine the response in each sea-state. Particular attention to nonlinear wave effects (e.g. a
wave attenuation variation, and slamming) in the splash zone as well as possible sloshing in
tanks, is, however, necessary.
Simplified approaches to determine fatigue action may be used if properly validated.
10.3.2.2 Wind
The fluctuating component of wind velocity is specified by a wind spectrum.
Stochastic wind analysis is described in Section 10.3.6.
10.3.2.3 Earthquake
Seismic actions may be described by ground response spectrum or time domain motion
histories.
10.3.2.4 Accidental actions
Accidental actions are described in Section 8.
10.3.3 Modelling of structure or foundation
10.3.3.1 General
The model, or, models, of the structure and soil/foundation shall be selected to adequately
represent the simultaneous global and local action and provide the action effects needed for
different limit states. For instance, the simultaneous effect of hydrostatic or - dynamic local
pressures and the integrated (global) effect of stillwater and wave actions need to be
accommodated.
The effects of secondary and/or non-structural components are to be considered in an
appropriate manner. As a minimum such components need to be modelled to account for the
hydrodynamic forces and inertia forces due to motions.
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Adequate structure/foundation interaction is to be included in global analyses. Catenary
mooring may be represented by horizontal and vertical springs (or actions).
Tether forces may be determined in the motion analysis. A nonlinear skirt/or pile/soil
interaction should normally be adopted for ULS analysis.
Risers may be represented by forces, as determined by motion analysis for free modes of
behaviour or by static considerations for constrained modes of behaviour.
Ultimate strength criteria typically require calculation of the average stress level over an area,
while fatigue criteria depend upon the local stress levels, e.g. in welded joints.
Linear elastic structural models are normally applicable for determination of response for
ultimate and fatigue design checks. Nonlinear structural effects may be accounted for in
accidental limit state checks, as outlined in Section 10.6.
For space frame structures consisting of slender members a three-dimensional frame model may
be used to calculate internal member forces and moments. The effect of joint eccentricity and
flexibility, where significant, should be accounted for joint flexibility. Also, possible shear-lag
and shear deformations should be accounted for. For space frames integrated with plated
structures (e.g. deck) care should be exercised in modelling their interaction with beam
elements.
For large volume thin-walled structures, three-dimensional finite element membrane, plate or
shell models should be used, possibly in combination with frame models.
Solid finite elements may be required to be applied to represent stresses where three-
dimensional stress conditions occur.
The structural response may often be considered as being divided into two broad categories as
follows:
- global structural response, which requires global structural models that simulate, with
sufficient accuracy, the effects of global actions on the structure, and,
- local structural response, which normally requires local structural models that simulate with
sufficient accuracy the effect of local actions on the structure. Such local actions may be, for
example hydrostatic pressures, tank pressures, point forces, etc.
Hence, a hierarchical set of models may be used in analysis. First, a global model based on a
relatively coarse finite element shell model or a frame model may be used. Critical
substructures may then be analysed by a three-dimensional finite element model using
appropriate boundary conditions and local actions. The effect of secondary structural
components (if not included in the space frame model) and local actions should be included in
detailed local analyses.
Considerations of global action effects in local models may be undertaken using one of the
methods listed below:
- mapping of actions (or responses) from global model to local model (sub-modelling), by e.g.
using displacement or force boundary conditions obtained form the global analysis,
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- integration of local model into global model,
- superimposing responses from the global model on the local model responses
The extent of detail in a structural model is normally a balance between the need for accurate
results with limited resources. Model extent, finite element type, element size, and level of
detail shall be consistent with the intended purpose of the structural model. The model extent
should however be defined such that boundary conditions and actions can be imposed at well-
defined, or well-understood, interfaces.
Boundary conditions should be defined which do not significantly effect the results of the
analysis (e.g. artificially constrain support, or stiffen the structural model). Model boundaries
should be located sufficiently far from the area of interest so that imposed boundary conditions
do not significantly alter results in the area of interest.
Supplementary manual calculations for members subjected to local actions may be adequate in
some cases, based on empirical formulas or basic engineering principles. The actions used for
these calculations should come from the global FE analysis and from local actions acting on the
structure.
Finite element analyses should be carried out with verified computer codes and finite element
models should be chosen with appropriate consideration of type of element, mesh size, and
mesh shapes. Transition between different types of elements or sharp transitions in element
size may distort the stress flow through a structural component, hence transitions should be
placed away from the area of interest in structural analysis models. Mesh quality shall be
reviewed to verify that distorted (and/or elongated) elements are not in areas of high stress
concentration. Stresses should be interpreted with due consideration of the variation in
discretization error (i.e. points with minimum uncertainty in stresses), stress extrapolation to
boundaries and use of stress averaging techniques. The specific finite element model
(geometry, material properties, actions and boundary conditions) and the results should be
verified.
10.3.3.2 Structural dynamic effects
Structural analysis may be performed quasistatically when dynamic effects (inertia and
damping) due to structural vibrations are small.
The rigid body motions of a floating structure induced by waves are to be adequately accounted
for by procedures specified in Section 10.2.
Relevant dynamic effects shall be considered in evaluation of the structural design: Dynamic
response shall be considered when the period of steady-state action is close to some natural
period of the structure or when the structure (or part thereof) is exposed to transient type of
action. Dynamic effects may be important for example in connection with:
wave frequency actions if the natural (structural) period exceeds 2-3 seconds
sum frequency effect of wave actions (springing, ringing)
wave slamming, sloshing in tanks and other transient wave actions
wind action
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earthquake action
mechanical impacts due to ships, icebergs or dropped objects
explosion action
Dynamic response is obtained in the frequency or time domain. The linear response to a steady
state action may conveniently be determined in the frequency domain. Transient response is
most easily determined in the time domain.
If appropriately calibrated, the structural dynamic effects due to continuous wave action may be
accounted for by a dynamic amplification factor in conjunction with the design wave approach.
See Section 10.3.4.
Dynamic effects of impulse-type action may similarly be accounted for by using recognised
charts or formulas for the dynamic amplification.
10.3.3.3 Stochastic effects
Wave, wind and seismic actions are stochastic of nature. In general procedures outlined in
Sections 10.2.4.2 and 10.2.4.3 can be used to determine action effects in the structure,
foundation or mooring systems under stochastic actions.
10.3.3.4 Structural non-linear effects
Relevant considerations shall be given to non-linear action and response in the evaluation of the
structural design.
Amplification of bending response (P- effects) resulting from axial forces caused by rigid
body motions or elastic deformations, should be accounted for.
Nonlinear analyses may be based on engineering theories such as yield hinge or other theories
of plastic mechanism, or finite element models.
Nonlinear finite element analyses may be applied to determine the ultimate capacity of
structural components, substructure or the total structure.
The method should include an appropriate model of all significant non-linear effects, including
complete elasto-plastic behaviour, large strains and criteria for rupture. Geometrical
imperfections and residual stresses should also be modelled, when they have a significant effect
on the response. When using non-linear calculation models, adequate consideration shall be
given to the fact that results depend on the action history. It shall be demonstrated that the least
favourable action history is utilised. Generally it will be necessary to undertake parametric
studies to evaluate different action histories in order to cover all modes of failure and structural
elements.
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The finite element methods/computer codes applied to carry out nonlinear analyses, should be
verified against test results or observed behaviour of full-scale structures, as well as known
analytical solutions or other well-documented finite element solutions.
The structure shall have sufficient ductility to develop the relevant failure mechanisms.
For structural parts that are subjected to cyclic actions, it shall be demonstrated that the
structure can shake down, that repeated yielding does not lead to low cycle fatigue, incremental
collapse or other failure modes. If linear elastic global analyses are carried out to check that the
component strength is not exceeded, a demonstration that repetitive action does not cause
failure, can be omitted.
Appropriate considerations shall be exercised in choosing finite element type and mesh and
ensuring that fabrication tolerances have been adequately accounted for in the analyses.
When applying nonlinear analyses as design basis it is important to take into account the
engineering experience inherent in traditional design approaches. This implies that the ultimate
capacity of components obtained by nonlinear FE analyses should be consistent with that given
in the relevant design code. This would normally require that the computer method to calculate
ultimate strength of components subjected to compressive action be calibrated by adequate
choice of theoretical model and geometrical imperfections.
10.3.4 Structural dynamic wave action analysis of bottom supported platforms
For fully constrained (bottom supported) platforms dynamic effects shall be accounted for when
the natural period is above 3.0 and 2.0 s for determining steady wave action effects for ULS and
FLS, respectively.
Such action effects may be determined by a static analysis if an adequate dynamic amplification
factor (DAF) is applied. This DAF is obtained by stochastic wave analysis as the ratio between
the dynamic and quasistatic extreme action effect for ULS. For FLS the DAF is calculated as
the ratio of the standard deviation of the dynamic and quasi-static action effects of axial force
and moments in braces.
The dynamic amplification will vary over the structure. Horizontal accelerations of the topside
and structural masses may be introduced to calibrate the quasi-static method of analysis. This
simplified method could be used for a DAF up to 1.5. For larger DAFs a direct dynamic
analysis should be applied.
10.3.5 Extreme high frequency response including, springing, ringing and whipping
Various types of higher order, interrelated high frequency wave actions may occur and cause
extreme or repetitive action effects if the action frequencies coincide with natural frequencies of
the structure, i.e. restrained modes of behaviour. Since the theoretical knowledge of these
phenomena is limited, it is important to assess them jointly.
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More specifically higher order actions that cause a transient action effect (ringing) may occur
when steep, high waves encounter vertical components of structures with eigenperiods in the
range from about 2 up to 8 seconds.
Ringing effects is of significance only in combination with extreme first order wave frequency
effects and ringing should be evaluated in the time domain with due consideration of first order
wave action effects. The magnitude of the first response cycles is governed by the magnitude
of force and its duration relative to the magnitude of the resonance period. The first ringing
response cycles is not sensitive to the damping.
The ringing response is primarily of importance for Ultimate and Accidental Limit State (in
some cases for Fatigue Limit State) and Serviceability Limit State. Particular care is needed to
establish the steep, unsymmetrical sea states that cause ringing.
Ringing action effects may be combined with low-frequency effects, by methods used for
combining wave- and low frequency action effects.
Whipping is induced by bottom slamming or bow flare actions in ships and should be combined
with the continuous wave action by properly accounting for the phase.
The significant uncertainties in current theoretical methods for predicting high frequency wave
actions, make it necessary to combine theoretical and experimental methods in order to
determine characteristic action effects for design.
10.3.6 Stochastic dynamic wind action analysis
The effects of dynamic wind actions may be determined by a frequency domain analysis. One
alternative is to use a modal formulation in this connection. The modal action effects may be
combined with the Square Root -of-Sum of-Squares (SRSS) method if the modes are not too
close to each other. In case of modes having periods close to each other, the Complete-
Quadratic-Combination (SQC) method can be applied.
The extreme action effect due to wind can be determined by
S S
S S +
where
S
s
- the static response due to the mean wind
s
- the standard deviation of the dynamic structural action effect
- wind response peak factor
10.3.7 Seismic action effects
10.3.7.1 Action effects by response spectrum approach
The effect of earthquake actions for strength check of a soil-structure system may be obtained
by a linear elastic model and use of modal superposition. An appropriate number of relevant
modes to represent the action effect in question shall be included. Particular care is required to
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model local effects (i.e. subassemblies). The maximum of a given action effect in each mode
can be obtained using the modal amplitude of the action effect and response spectrum in Fig.
6.5.3, corresponding to the relevant modal period, T and damping value, . The damping in
modes which do not involve soil deformation, or hysteric losses due to cracking or plasticity in
the structure, should be carefully estimated because it may be less than the reference value of
5 %.
Deck, appurtenances, derricks, flare booms, critical piping and equipment need special
consideration of global platform dynamics as well as possible local dynamic amplification.
An appropriate method should be used for combining modal responses for different directions.
The complete quadratic combination (CQC) method may be used for combining modal
responses in a given direction and the square approach root of sum of squares (SRSS) may be
used for combining the directional responses. See e.g. Der Kiureghian (1980).
10.3.7.2 Global nonlinear strength analysis
If strength criteria are not fulfilled by action effects determined according Section 10.3.7.1, it is
to be demonstrated that the global structure-foundation system remains stable, without
excessive deformations during the 10
-4
earthquake, by taking into account system redundancy
and force redistribution by inelastic deformations. A simplified approach based on a static
nonlinear, or a dynamic nonlinear analysis may be used for this purpose.
In the simplified approach the action factor (of 1.3) for strength check is reduced depending on
ductility and residual strength capability of the structure-foundation system demonstrated by a
static nonlinear pushover analysis.
Direct nonlinear dynamic analysis should be carried out in the time domain, considering three
standardised time histories, and using adequate models of the structure, foundation and soil as
well as the surrounding water.
10.3.7.3 Other effects of earthquakes
Consideration should be given to the question whether earthquakes in the relevant area could
have other effects, such as:
a) landslide
b) critical pore pressure build-up in soil
c) major soil deformations with subsequent deformations of foundation slabs, piles, skirts and
pipes
d) Low frequency waves in water.
e) Acoustic wave effects on submerged, non-flooded structural parts
10.4 Extreme action effects for ultimate limit states
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Most ultimate limit states occur when the structure has reached a state of nonlinear behaviour.
However, the ULS check is normally performed by carrying out a linear elastic response
analysis of the structure to determine forces or stresses in the individual components and by
checking that the ultimate capacity is adequate component by component, using structural
resistance formulations that incorporate nonlinear effects occurring at component collapse.
Ultimate strength control typically considers average stress levels over an area which cause
buckling. For the evaluation of buckling strength, mid-plate (membrane) element stress data
should be used. For panels with large stress gradients, the variation of stress shall be
considered in the buckling evaluation.
Component resistance is normally based upon experimental methods and generalised by
parametric or by nonlinear structural analyses (see 10.3.3.4). When multiple stress/force
components affect the component strength, the strength may be expressed by interaction
equations. The characteristic environmental action effect for ULS checks refers to a maximum,
and in special cases, a minimum action effect corresponding to an annual exceedance
probability of 10
-2
. Various sets of combined response variables should be checked to ensure
that the most critical set of characteristic response values is applied in the evaluation of the
structure.
In nonlinear structural analyses for ULS care should be exercised in application of partial
resistance factors to cover uncertainties in the model as well as material and geometrical
parameters.
Commonly used design methods are based upon the assumption that design values for action
effect and resistance can be defined separately by introducing partial safety factors on the
characteristic action effect and resistance. In cases where integrated, non-linear analyses are
used, care should be taken to ensure that equivalent levels of safety to those implicit in this
standard are obtained.
10.5 Repetitive action effects for fatigue limit states
Dynamic, principal stress ranges (or amplitudes) shall be used in the evaluation fatigue
strength. The stress ranges should consider the variation and orientation of the principal stress
vector components throughout the particular cycle being evaluated (wave, etc.). Extreme fiber
stress (e.g. top/bottom surfaces in shell elements) shall be used based on the location of the
material or weld being evaluated for fatigue performance.
The repetitive action for fatigue limit states is described by the distribution of stress ranges for
welded structures. For basic (rolled, cast) basic material the joint distribution of mean stress
and stress range is required. The stress may be expressed by a nominal hot spot or hot spot
notch value. The latter stress includes the notch effect of weld geometry. It is crucial that the
SN-curves applied are based on stresses defined in a consistent manner.
Stress concentration factors for fatigue analysis should be determined by appropriate detailed
finite element analysis, by physical models, by other rational methods of analysis, or by
published formulas. If the relevant hot spot (notch) stress is obtained by finite element analysis
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using solid or shell elements it may be necessary to determine the relevant stress by
extrapolation procedure.
The main contribution to fatigue actions is normally from the local and global effect of waves
and comes from moderate stress ranges. Fatigue design requires a description of the long-term
variation of local stresses due to wave - as well as possible sum-frequency wave actions,
variable buoyancy, slamming, wave- or current-induced vortex shedding, or, mechanical
vibration. The effect of local (pressure) and global actions shall be properly accounted for.
Account should be made of repetitive actions during fabrication, tow-out, installation as well as
temporary and permanent, in-place conditions. For structures with oil storage, the repetitive
effects of loading and unloading should be considered.
A linear elastic model of the structure is generally adequate. When significant, dynamic effects
associated with structural vibration, shall be taken into account.
Miscellaneous hull appurtenances associated with risers, riser guides, anodes, mooring
equipment should be evaluated for fatigue resistance, using local analyses. The calculation of
actions on such components should be generated using water particle velocities and
accelerations from diffraction analyses of the system that may possibly affect the mentioned
components.
Stress ranges due to wide-band Gaussian or non-Gaussian response processes should be
determined by an appropriate method of cycle counting e.g. the rainflow method. Simple,
conservative methods for combining e.g. wave, - high- and low frequency responses may be
applied.
Screening in order to identify joints with high dynamic stresses and stress concentration, which
require more detailed fatigue analyses, may be undertaken using the nominal member stress for
the extreme event, an appropriate stress concentration factor and preliminary estimates of the
Weibull stress range parameters describing the long-term stress distribution.
Detailed fatigue analyses should be performed using conservative deterministic analyses,
spectral techniques, and in particular situations, by time domain analysis. Accurate analyses of
local responses in the splash zone, would require time domain analyses. Frequency or time
domain stochastic approaches should be applied for dynamic sensitive structures.
10.6 Accidental damage limit state analyses
The accidental limit state design check requires evaluation of :
the structural damage caused by accidental actions
the ultimate capacity of structures with damage
The large uncertainties associated with determining the accidental actions, normally justify the
utilisation of simplified nonlinear analyses methods both to calculate the damage and the global
ultimate strength of the damaged structure. Such methods may be based on plastic
mechanisms (yield hinge or line methods) with due recognition of possible premature rupture.
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Nonlinear finite element analyses may also be applied on similar conditions as mentioned in
Section 10.3.3.4.
Further details about such analyses may be found in the design standards for each type of
material (steel, concrete, aluminium etc.).
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ANNEX A - BIBLIOGRAPHY
NORSOK G-001 Soil investigation (presently numbered G-CR-001).
NORSOK N-001 Structural design
NORSOK N-002 Collection of metocean data
NORSOK N-005 Condition monitoring of loadbearing structures
NORSOK S-001 Technical safety
NORSOK U-001 Subsea structures and piping systems (presently numbered U-DP-
001)
NORSOK U-001 Documentation for operation (DFO)
NS 3479, 1981: Prosjektering av bygningskonstruksjoner, dimensjonerende laster (Design of
structures. Design loads.) Norges Byggstandardiseringsrd (Norwegian Council for Building
Standardization), Oslo.
NS 3420 Descriptions for construction and building
NS-ENV 1991-1 Basis for Structural Design
NS 2128 Weights engineering, Terminology
NS 2129 Weights engineering, requirements for weight reports
NS 2130 Weights engineering, Specification for weighing of major
assemblies
ISO, 1997: Mooring of Mobile Offshore Drilling Units, Draft Technical Report TR 13637,
International Organisation for Standardisation.
ISO 3010 Basis for design of structures - seismic actions on structures
(1988).
ISO 3010 Basis for design of structures - seismic action of structures
API RP 2A-LRFD Recommended practice for planning, designing and constructing
fixed offshore platforms - load resistance factor design (1993).
API RP 2N Recommended practice for planning, designing and constructing
fixed offshore structures in ice environments (1988).
API RP 2T Recommended practice for planning, designing and constructing
tension leg platforms (1987).
ENV 1991-2-1: 1995 Eurocode 1: Part 2-1: Densities, self-weight and imposed actions
ENV 1991-2-3: 1995 Eurocode 1: Part 2-3: Snow actions
ENV 1991-2-4: 1995 Eurocode 1: Part 2-4: Wind actions
ENV 1991-2-5 Eurocode 1: Part 2-5: Thermal actions
ENV 1991-2-6 Eurocode 1: Part 2-6: Actions and deformations imposed during
execution
ENV 1991-2-7 Eurocode 1: Part 2-7: Accidental actions
ENV 1991-5 Eurocode 1: Part 5: Actions induced by cranes and machinery
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NMD Regulations of 4 September 1987 No. 856 concerning
construction of mobile offshore structures (issued with
amendments 1997).
Andersen, O.J and Lvseth, J., 1992: The Maritime Turbulent Wind Field. Measurements and
Models Final Report for Task 4 of the Statoil Joint Industry project, ALLFORSK, Norwegian
University of Science and Technology.
Bungum, H and Selnes, P B, 1988: Earthquake loading on the Norwegian Continental Shelf.
Summary report, NORSAR/ NGI, Oslo..
Der Kiureghian, A., 1980: Probabilistic Modal Combination for Earthquake Loading, Proc.
7
th
World Conf. On Earthquake Engng., Istanbul, Turkey.
Veritec, 1988: Handbook of Accidental Loads, Oslo.
Det Norske Veritas, 1981: Recommended practice RP D205 Impact from boats TN A202,
Oslo.
Det Norske Veritas, 1998: Classification note no. 30.5. Environmental conditions and
Environmental loads, Oslo.
Det Norske Veritas, 1989: Rules for the classification of fixed offshore installations, Oslo.
Det Norske Veritas, 1996: Rules for Planning and Execution of Marine Operations
Det Norske Veritas, 1994: Rules for Classification of Mobile Offshore Units, Oslo.
Det Norske Veritas, Rules for Classification of Ships, Oslo.
Eriksrd, G. and dlandsvik, B., 1997: Bottom Temperature along the Mid-Norwegian Shelf,
Havforskningsinstituttet, Bergen.
Gjevik B, Nst E. and Straume T., 1990: Atlas of tides on the shelves of the Norwegian and
the Barents Seas, Department of mathematics, Oslo.
Gudmestad, O.T. and Haver, S., 1993: Uncertainties in Prediction of Wave Kinematics in
Irregular Waves, Society for Underwater Technology, Vol. 29: Wave Kinematics and
Environmental Forces, Kluwer Academic Publisher, pp 75-99.
Haver, S., Gran, T.M. and Sagli, G., 1998: Long-term response analysis of fixed and floating
structures, Statoil Report 97 - 4715, Stavanger.
Herfjord, K. and Nielsen, F. G. 1991: Motion response of floating production units: results
from a comparative study on computer programs, OMAE, Stavanger.
Kaplan, P., Murray, J.J. and Yu, W.C., 1995: Theoretical Analysis of Wave Impact Forces on
Platform Deck Structures, Proc. OMAE Conf., Vol. I-A, pp 189-198.
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Krokstad, J.R, Stansberg, C. T, Nestegrd, A, and Marthinsen, T, 1996: A new non-slender
load approach verified against experiments, Proc. 15
th
OMAE, ASME, New York.
OCIMF, 1994: Prediction of Wind and Current Loads on VLCCs Oil Companies
International Marine Forum, Second Ed.
Oppen, A. N., 1996: Vortex induced vibrations evaluation of design criteria, Statoil report
95337, Stavanger.
NFR/NORSAR, 1998: Seismic Zonation for Norway, Norwegian Council for Building
Standardization (NBR), Oslo.
Ridley J.A., 1982: A study of some theoretical aspects of slamming, NMI report R 158, OT-
R-82113, London.
Sarpkaya T and Isaacson M., 1981: Mechanics of wave forces on offshore structures, New
York.
SCI, 1993: Interim Guidance Notes for the Design and Protection of Topside Structures
against Explosion and Fire, Steel Construction Institute, Document SCI-P-112/503.
Stansberg, C.T., 1992: Model Scale Experiments on Extreme Slow-drift Motions in Irregular
Waves, Proc. Sixth Boss Conf., BPP Technical Services Ltd., London.
SNAME, 1991: Guideline for site specific assessment of Mobile Jack-up units, Technical
and Research Bulletin 5-5, Soc. of Naval Arch.
Torsethaugen, K., 1996: Model for a Doubly-peaked Spectrum, SINTEF, STF22A96204,
SINTEF, Trondheim.
Vefsnmo, S. Mathiesen, M., Lvs, S. M. 1990: IDAP 90 - Statistical analysis of sea ice data,
Norges Hydrodynamiske Laboratorier, Trondheim.