colengineer
Structural
- May 7, 2019
- 1
Looking for some guidance on the 2015 IEBC as it relates to what would amount to be a Level 2 alteration to a URM building in a high seismic region (New Madrid).
IEBC Section 807.5 is the focus of my question, specifically the calculation of demand-capacity ratio.
IEBC states that demand shall consider applicable load combinations with design lateral loads or forces in accordance with IEBC Section 1609 (wind) and 1613 (seismic; with ASCE7 provisions invoked). Calculation of seismic demand is itself obviously a function of a number of things, including the response modification coefficient (R) of the building's SFRS. That's easy to understand. But what if the URM building in question resides in a seismic design category C or worse as would be the case with NW Tennessee? Are we to take this to mean that, regardless of R, the fact that the URM building has a "not permitted" limitation results in a non-starter?
IEBC does seem to try to throw the designer a bone by allowing for some increase in D/C ratio (10% or less) before retrofit/remediation is imposed, as well as allowing the designer to use "reduced" IBC level seismic forces. But again, is the designer even in a position to carry out the demand-related calculations that would potentially benefit from these provisions if the building itself, as it sits, carries the NP scarlet letter? How does one determine whether the D/C ratio increase is below the 10% threshold if the demand component is contingent upon system attributes that are prohibited from use?
A big thanks in advance for your help.
IEBC Section 807.5 is the focus of my question, specifically the calculation of demand-capacity ratio.
IEBC states that demand shall consider applicable load combinations with design lateral loads or forces in accordance with IEBC Section 1609 (wind) and 1613 (seismic; with ASCE7 provisions invoked). Calculation of seismic demand is itself obviously a function of a number of things, including the response modification coefficient (R) of the building's SFRS. That's easy to understand. But what if the URM building in question resides in a seismic design category C or worse as would be the case with NW Tennessee? Are we to take this to mean that, regardless of R, the fact that the URM building has a "not permitted" limitation results in a non-starter?
IEBC does seem to try to throw the designer a bone by allowing for some increase in D/C ratio (10% or less) before retrofit/remediation is imposed, as well as allowing the designer to use "reduced" IBC level seismic forces. But again, is the designer even in a position to carry out the demand-related calculations that would potentially benefit from these provisions if the building itself, as it sits, carries the NP scarlet letter? How does one determine whether the D/C ratio increase is below the 10% threshold if the demand component is contingent upon system attributes that are prohibited from use?
A big thanks in advance for your help.