10. Exposure

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Standard Practices Advanced Properties
10.1 Planned Exclusions

  • Short fixed exclusion periods after major blasts
  • Exclusion areas and re-entry times based on engineering judgement
  • Simple spatial assessments and typical seismic responses reviewed
  • Exclusions are influenced by broader seismic hazard assessments of the area
  • Exclusion areas and re-entry times are specified based on seismic response modelling
  • Real-time re-entry assessment
  • 10.2 TARP Exclusions

  • Evacuations are a decision for underground supervisors and operators
  • No pre-defined rules for evacuation, exclusion or re-entry time
  • Operators are trained to ‘read the ground’ and respond if necessary
  • Pre-defined TARP process for operators, shift supervisors, mine control operators and geotechnical personnel
  • Evacuations may be triggered based on seismic data at either a certain threshold or due to other seismic hazard indicators
  • 10.3 Layout and Timing

    (Hills 2012)

  • Mining layout and timing reviewed by geotechnical personnel only in the short term, limited influence on the wider mine plan
  • Geotechnical review of mining layout and timing considered for the long term mining plan
  • Layouts adjusted to increase standoff to major seismic sources
  • Timing of excavations adjusted to limit exposure of personnel where possible
  • 10.4 Remote Equipment

  • Remote operations are used onsite but generally not part of seismic management plan
  • May switch to remote operations sooner than planned if seismic hazard is elevated
  • Remote operations an active part of the seismic management plan
  • Remote operations may include any part of the mining cycle
  • 10.5 Automated Processes

  • No automated processes onsite or, if there are, not used for seismic management reasons
  • Automated processes used to limit exposure to seismic hazard
  • Automated processes may include any part of the mining cycle
  • 10.6 Communication and Training

  • Seismic reports are distributed to underground supervisors and operators
  • All underground personnel receive ground awareness training upon induction and refreshers at least once a year
  • Noteworthy seismicity is discussed during the shift meeting
  • Operators are made aware of the general seismic behaviour in the mine, where the higher hazard areas are and where the good places are to retreat to refuge
  • Seismic hazard is elevated following abrupt stress changes which result in periods of increased seismicity which cluster in space with the activity rate decaying over time (seismic response). These responses can be highly variable in nature and their influencing factors are not well understood. Seismic responses routinely occur following blasting and large seismic events. The vast majority of seismically-active mines aim to limit exposure during periods of heightened seismicity to reduce risk (re-entry protocols). The focus of seismic response analysis is driven by re-entry protocols which aim to reduce risk due to seismic response as much as practically possible within the context of site-specific production and economics.

    A significant contrast exists between the standard management of simple responses with low seismic hazard (e.g. development blasting resulting in few events associated with localised failure) and the relatively more advanced management of complex responses with high seismic hazard, (e.g. production blasting resulting in many events generated by geological structures).

    10.1 Planned exclusions

    10.1.1 Standard

    The most standard approach to planned exclusions are used by sites with relatively unambiguous seismic responses; that is, responses characterised by low seismic hazard, immediately after and close to blasting, and strongly clustered in space and time.

    Exclusions are developed from site experience and qualitative analysis of time series and spatial plots. These exclusions are often fixed, blanket-style rules that are limited by operational considerations; for example, limiting access within 100 m of fired stope for a shift (12 hours). Blanket rules may be different based on geotechnical domains, type of blast, etc. Site experience and geotechnical judgement is relied on to extend or shorten these exclusion rules. The effectiveness of re-entry protocols in reducing seismic risk is not assessed.

    10.1.2 Advanced

    High seismic hazard responses may require increased spatial and temporal exclusions, but may have broader implications for mining operations. These include the management of future mining sequences that may result in similar seismic responses, planning of operations to account for longer re-entry restrictions, and optimising ground support requirements. Sites with complex and/or high seismic hazard responses aim to develop an understanding of the underlying rock mass failure processes and/or quantify seismic responses to inform the planned exclusions.

    Sites using advanced methodologies will have blanket rules as guidelines which may be refined or extended based on subsequent assessment. Site experience and geotechnical judgement still play a large role in aspects such as:

    • identifying anomalous seismic responses; • selecting relevant historical data for comparison; • inferring sources of seismicity contributing to the response; and • incorporating other data/information sources (numerical modelling, extensometers, underground stress observations, etc.).

    Historical responses are routinely reviewed to ensure current applicability of advanced exclusions (e.g. every six months). This assessment will usually determine currently applicable blanket rules for a set of conditions. IMS STAT performs real time assessment of re-entry times and considers background and current rates of events within a volume (converted to Traffic Light States, figure below). This plot also includes cumulative event count and potency over time (left axis) and the event distance from a reference point (right axis).

    Figure: Time series for IMS STAT assessment which considers background and current rates of events within a volume (Traffic Light States shown top). Also plotted is the cumulative event count and potency over time (left axis) and an events spatial distance from a reference point (right axis)

    Vallejos and McKinnon (2010) proposed a real-time re-entry decision method that is not commonly used. These measures along with the current response and historical background rates are considered in a time series. Exclusion enforcements are lifted once the current response meet criteria with respect to the isoprobability curves, time of maximum curvature, and background rates of seismicity. The following figure shows an example of this style of re-entry assessment following a large seismic event.

    Figure: Vallejos and McKinnon (2010) re-entry assessment following a large seismic event. Cumulative event count is plotted with respect to isoprobability curves, time of maximum curvature, and background rates of seismicity

    10.2 TARP exclusions

    10.2.1 Standard

    Trigger Action Response Plan (TARP) exclusions can be triggered when underground operators feel or hear anomalous seismicity. What is regarded as anomalous varies greatly based on the site, but can be a large event or many smaller events (cracking, popping, etc.).

    The response level of the TARP enacted is proportional to the perceived hazard level; for example, report noise but continue work, operators withdrawing from the work area, evacuating to refuge chambers, mine wide evacuation. In the case of underground observations, the decision about the response level of the TARP to be enacted is often left to the discretion of the shift boss.

    The perceived hazard dictates the level of geotechnical engineer input such as reviewing of any seismicity recorded and advising on further exclusions. Exclusions are similar to blanket rules which are enforced following blasting and can be extended or shortened based on the geotechnical review. The methods of assessing the seismic response are the same as for post-blast responses.

    TARPs will often include provision for damage inspection which is typically conducted by a shift boss or geotechnical engineer following the detection of a large event.

    In many cases, the trigger of the response plan is informal and left to subjective decision-making by the work force. At many mines where the rules are formalised these rules are not derived from historical data. Exceeding a Peak Ground Velocity (PGV) thresholds at sensors may also be used as a TARP exclusion. TARP exclusions are also triggered when seismic monitoring detects large seismic events and/or event rates which surpass pre-set thresholds.

    10.2.2 Advanced

    Advanced practices have formalised the triggers for the TARP and quantify these based on historical data. Although it is recognised that back-analysis should be performed to statistically quantify the reliability of the TARP rules and update these accordingly, such back-analysis is not commonly performed.

    10.3 Layout and timing

    10.3.1 Standard

    Mining layout and timing is used as a seismic risk control measure and is generally only considered for tactical, short term decisions (e.g. per stope basis). This takes the form of a geotechnical review of factors that may influence short-term exposure, including previous performance of stopes, historical seismicity and stand-off to unfavourable geology/structures. A standard geotechnical review will have little influence on the layout and timing of future mine activities.

    10.3.2 Advanced

    In adition to short term reviews, advanced use of mining layout and timing control measures will be integrated into medium- to long-term planning processes. Longer term geotechnical reviews will also be conducted and influence future mining (e.g. yearly review).

    A review of anticipated geotechnical and seismic conditions may influence aspects such as excavation layout with respect to structures, orebody access, pillar dimensions, bogging strategy (in caving mines) and overall stoping sequence.

    10.4 Remote equipment

    10.4.1 Standard

    Standard practice for remote equipment is to switch to remote bogging if an area is seismically-active. The switch to available remote bogging is at the discretion of the geotechnical engineer; although, this may be limited by practical constraints.

    10.4.2 Advanced

    The use of remote equipment can have a significant detrimental impact on productivity. Advanced practice is to place a greater emphasis on remote bogging in seismically hazardous conditions (e.g. a stope is seismically active). While less common, remote drilling, bolting and/or charging equipment may be also used.

    The implementation of remote equipment during the development cycle tends to focus on reducing exposure to strain bursting driven by local conditions, rather than remotely triggered falls of ground.

    Advanced practice may also consider moving operators further away from active areas (e.g. moving ‘line of sight’ controls to centres underground or on surface).

    10.5 Automated process

    10.5.1 Standard

    Automated processes are not regarded as a “standard” control measure.

    10.5.2 Advanced

    Automated processes are likely to become more viable in the future, but currently they are advanced and rarely used to reduce exposure. The main driver for these processes is not only to reduce exposure but also to improve productivity. Automated processes are particularly suited for bulk mining methods.

    10.6 Communication and training

    10.6.1 Standard

    Standard practice in communication is the generation of routine reports on seismicity. These reports tend to summarise the seismicity that occurred with limited interpretation and usually take the form of summary tables, time series and 2D/3D spatial plots. Large events are often highlighted.

    Standard practice in training is limited to standard underground inductions and training.

    10.6.2 Advanced

    Advanced practice in communication includes the generation of routine reports on seismicity and their source mechanisms with respect to mining activities and geotechnical factors. These reports are actively communicated to the workforce at all levels and focus on providing context for different safety and production decisions.

    This includes daily two way communication:

    1) geotechnical department communications with crews and shift bosses to increase awareness of zones with high seismic hazard, current exclusions, etc.; and, 2) formalised communication processes from crews and shift bosses to the geotechnical department concerning seismic noise heard underground, minor damage noticed, etc.

    Ad hoc communication may be used for notable large events and/or damage. These are reports that capture the geotechnical and operational context for these occurrences.

    Advanced practice in training is for the workplace to receive ground awareness and seismic training which has been tailored for all levels of the organisation. The El Teniente mine, for example, displays seismic risk matrices in the office/meeting areas underground to inform mine workers of the status of the seismic risk at their workplaces.