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TECHNICAL REFERENCE
TR 26 : 2010
(ICS 93.020)

TECHNICAL REFERENCE FOR

Deep excavation

Published by
SPRING Singapore
2 Bukit Merah Central
Singapore 159835
SPRING Singapore Website: www.spring.gov.sg
Standards Website: www.standards.org.sg
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TECHNICAL REFERENCE
TR 26 : 2010
(ICS 93.020)

TECHNICAL REFERENCE FOR

Deep excavation

All rights reserved. Unless otherwise specified, no part of the Technical


Reference may be reproduced or utilised in any form or by any means,
electronic or mechanical, including photocopying and microfilming, without
permission in writing from SPRING Singapore at the address below:

Head
Standardisation Department
SPRING Singapore
2 Bukit Merah Central
Singapore 159835
Telephone: 62786666 Telefax: 62786667
Email: stn@spring.gov.sg

ISBN 978-981-4278-44-7
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First published, 2010

NOTE

1. Users of this Technical Reference should refer to the relevant professional or experts for any technical
advice on the subject matter. SPRING Singapore shall not be liable for any damages whether directly
or indirectly suffered by anyone as a result of reliance on this Technical Reference.

2. Compliance with this Technical Reference does not exempt users from legal obligations.

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Contents
Page

Foreword 7

CLAUSES

Section One – General


1.1 Scope 8
1.2 Normative references 8
1.3 Terms and definitions 9

Section Two – Site Investigations


2.1 General 9
2.2 Extent of investigation 10
2.3 Determination of wall toe-in 11
2.4 Presence of boulders 11
2.5 Investigation for tie-back design 12
2.6 Sampling and in-situ tests 12
2.7 Existing building conditions 13
2.8 Geotechnical model 13

Section Three – Design requirements


3.1 General 13
3.2 Water pressures 13
3.3 Basis for design 14
3.4 Design considerations 14
3.5 Ultimate limit state 16
3.6 Unplanned excavation 17
3.7 Design checks 17
3.8 Serviceability limit states 19
3.9 Computer software using numerical methods 19
3.10 Structural design 20
3.11 Material traceability and reusability of strutting materials 25

Section Four – Ground treatment


4.1 General 25
4.2 Methods of ground treatment 26
4.3 Ground treatment for specific requirements 26

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Page

Section Five – Ground anchors


5.1 General 29
5.2 Terms and definitions 29
5.3 Factor of safety 30
5.4 Design situations and actions 31
5.5 Design of the anchorage 32
5.6 Checking of earth retaining wall movement 33
5.7 Investigative tests 33
5.8 Suitability tests 33
5.9 Acceptance tests 34
5.10 Tests on anchors 34
5.11 Pre-loading 34
5.12 Supervision and monitoring 34
5.13 Corrosion protection of steel components of anchorage 34
5.14 Maintenance of anchorages during service life 34

Section Six – Impact assessment


6.1 General 35
6.2 Prediction of ground deformation 35
6.3 Damage assessment 35
6.4 Masonry structures 37
6.5 Reinforced/pre-stressed concrete structures 37
6.6 High-rise buildings 38
6.7 Piled foundations 38
6.8 Utilities 38
6.9 Protective measures 38
6.10 Limiting values of structural deformation and foundation movement 38

Section Seven – Instrumentation and monitoring


7.1 General 39
7.2 Considerations for instrumentation 39
7.3 Instrumentation and monitoring of structures 40
7.4 Monitoring the performance of excavations 41
7.5 Reading frequency of monitoring instruments 42
7.6 Review levels and interpretation of monitoring results 42
7.7 Multi-tier level monitoring and reviews 43
7.8 Full design reviews 43

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Page

Section Eight – Safety of construction


8.1 Risk assessment 44
8.2 Risk registry 44
8.3 Permit-to-excavate 44
8.4 Site inspection 45
8.5 Verification of site findings with designer 45
8.6 Training and supervision 46

ANNEXES

A Guidance on descriptions and weathering classifications 47


B Classification of brickwork or masonry building damage 53
C Informative references 54

TABLES

1 Sampling and in-situ tests 12


2 BS 8002 mobilisation factors for soil parameters (γm) 16
3 Load combination factors for limit states design of structures 20
4 Minimum safety factors recommended for design of individual anchorages 30
5 Recommended number of field tests 34
6 Damage category for masonry buildings 37
7 General guidelines for instrumentation and monitoring 41
A.1 Description of soil and rock types 48
A.2 Rock weathering classification 49
A.3 Bukit Timah granite and Gombak norite 50
A.4 Jurong formation 51
A.5 Old alluvium 52
B.1 Classification of visible damage to walls with particular reference to ease of repair of
plaster and brickwork or masonry 53

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Page

FIGURES

1(a) Walls not penetrating into competent soil 18


1(b) Walls penetrating into competent soil 18
2 Stability against hydraulic uplift 18
3 (a) DPL diagrams for sand 21
3 (b) DPL diagrams for stiff clay 21
3 (c) DPL diagrams for soft clay 22
4 (a) Example of excavation with stable base 22
4 (b) Example of excavation with “unstable” base 22
5 Considering the forces due to eccentricity in the design of strut and waler 24
6 Length of stiff bearing for strut-to-waler connection 25
7 (a) Treatment for utility gap 28
7 (b) Treatment for TBM entry 28
8 Monitoring zone (minimum 2H) for buildings, structures, roads or utilities 40

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Foreword

This Technical Reference was prepared by the Working Group on Deep Excavation appointed by the
Technical Committee on Civil and Geotechnical Works under the direction of the Building and
Construction Standards Committee (BCSC). The BCSC endorsed the Technical Reference on 3
February 2010.

Deep excavations are complex due to the following:

a) There is always an element of uncertainty concerning in-situ conditions because the ground
is a product of nature;

b) Limitations in sampling and testing;

c) The intrinsic soil and rock behaviour is complex;

d) Limitations in modelling, e.g. on interfaces;

e) Methods of construction can be varied and difficult to anticipate;

f) Predicting building response is complex;

g) Nature and condition of existing foundations and structures;

h) Complex soil-structure interaction problems.

All deep excavations should be structurally safe and robust. The planning, design and construction
processes in deep excavation projects are often not straightforward, involving many project parties
and specialists. It is associated with higher risks, especially when implemented in urban built-up
areas and in difficult ground conditions.

While this Technical Reference is not meant to be a design guide or manual on deep excavation, it
aims to draw attention and provide references to the key aspects of design, construction and practices.

This Technical Reference is not to be regarded as a Singapore Standard; it is made available for
provisional application over a period of two years but does not have the status of a Singapore
Standard. The aim is to use the experience gained to modify the Technical Reference so that it can
be adopted as a Singapore Standard. Users of the Technical Reference are invited to comment on its
technical content, ease of use and any ambiguities or anomalies. These comments can be submitted
using the feedback form provided at the end of the Technical Reference and will be taken into account
in the review of the publication. At the end of two years, the Technical Reference will be reviewed by
the WG to discuss the comments received and to determine its suitability as a Singapore Standard.
Submission for approval by the Standards Council as a Singapore Standard will be carried out only
upon agreement after review.

Acknowledgement is made to CIRIA for permission to reproduce in this TR, Figure 7.12 of CIRIA 517
– Temporary propping of deep excavations – Guidance on design (London, 1999), www.ciria.org.

At the time of publication, this Technical Reference is expected to be used by parties involved in deep
excavation works, including designer, developer, owner and builder.

Attention is drawn to the possibility that some of the elements of this Technical Reference may be the
subject of patent rights. SPRING Singapore shall not be held responsible for identifying any or all of
such patent rights.

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Technical Reference for deep excavation

Section One – General

1.1 Scope
The Technical Reference is specific to the design and construction of deep excavations.

Deep excavation refers to any excavates which has a retained height or excavation depth of 6 m or
more. This includes shafts, trenches, cofferdams, marine or land retaining structures with walls, both
temporary and permanent, ranging from free-standing gravity walls to multi-braced or anchored
embedded walls. For a sloping ground behind the retaining wall, the height is taken to be from the
excavated level to the top of slope. The excavation depth includes smaller but separate excavations
or holes which extend beyond the main excavation level for construction of pile caps, pump sumps, lift
pits etc.

This Technical Reference is also applicable to situations where the excavation depth or retained
height is less than 6 m if any of the following conditions is met:

a) There are adjacent structures within a horizontal distance of less than the excavation depth
from the excavation face that are vulnerable to or likely to be adversely affected by the
excavation works;

b) Ground conditions are poor; or

c) Lowering of groundwater table will likely lead to significant consolidation settlements in


surrounding ground.

1.2 Normative references


The following referenced documents are indispensable for the application of this Technical Reference.
For dated references, only the edition cited applies. For undated references, the latest edition of the
referenced document (including any amendments) applies.

1.2.1 Code of practice for site investigations

BS 5930 : 1999 Code of practice for site investigations

1.2.2 Laboratory and field tests

BS 1377 : 1990 Methods of test for soils for civil engineering purposes
BS 4019 : 1993 Rotary core drilling equipment
BS ISO 14686 : 2003 Hydrometric determinations – Pumping tests for water wells –
Considerations and guidelines for design, performance and use

1.2.3 Geotechnical structures or elements or processes

1.2.3.1 Codes of practice

BS 5950-1 : 2000 Structural use of steelwork in building


Part 1: Code of practice for design – Rolled and welded sections
BS 8002 : 1994 Code of practice for earth retaining structures
BS 8081 : 1989 Code of practice for ground anchorages

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BS EN 1997-1 : 2004 UK National Annex to Eurocode 7: Geotechnical design


Part 1: General rules
CP 4 : 2003 Code of practice for foundations

1.2.3.2 Standards and Execution of special geotechnical works

BC1 : 2008 Design guide on use of alternative steel materials to BS 5950, BCA
Sustainable Construction Series - 3
BS 5400-2 : 2006 Steel, concrete and composite bridges. Specification for loads
BS EN 1536 : 2000 Execution of special geotechnical work. Bored piles
BS EN 1537 : 2000 Execution of special geotechnical work. Ground anchors
BS EN 1538 : 2000 Execution of special geotechnical works. Diaphragm walls
BS EN 12063 : 1999 Execution of special geotechnical work. Sheet pile walls
BS EN 12699 : 2001 Execution of special geotechnical work. Displacement piles
BS EN 12715 : 2000 Execution of special geotechnical work. Grouting
BS EN 12716 : 2001 Execution of special geotechnical works. Jet grouting
BS EN 14199 : 2005 Execution of special geotechnical works. Micropiles
BS EN 14475 : 2006 Execution of special geotechnical works. Reinforced fill
BS EN 14679 : 2005 Execution of special geotechnical works. Deep mixing
BS EN 14731 : 2005 Execution of special geotechnical works. Group treatment by deep
vibration
BS EN 15237 : 2007 Execution of special geotechnical works. Vertical drainage
BS EN 10025-1 : 2004 Hot rolled products of structural steels. General technical delivery
conditions
Pr EN 14490 Execution of special geotechnical works. Soil nailing

The informative references for the application of this Technical Reference are listed in Annex C.

1.3 Terms and definitions


For the purpose of this Technical Reference, the terms and definitions are given under the respective
sections where applicable.

Section Two – Site investigations

2.1 General
Proper and adequate site investigations should be carried out for the design and construction of deep
excavations so as to gain a thorough understanding and enable determination of the type and
character of the ground conditions and groundwater conditions.

2.1.1 Site investigations in a wider sense refers to activities ranging from exploration of the ground,
to testing and acquiring knowledge of the characteristics of the site that may affect the design and
construction of deep excavation work and the security of neighbouring land and property.

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2.1.2 Guidance on the site investigation and geotechnical data for the design is given in Section 2
of BS 8002.

2.1.3 Desk study should include information from existing boreholes, geological map of Singapore
(PWD, 1976; DSTA, 2009), site inspections and observations. Based on the information available
and the intended purposes, a site investigation programme is carried out to obtain the essential field
and geotechnical data to be used in design and construction.

NOTE – See also Annex A

2.2 Extent of investigation

2.2.1 The extent and number of exploration or investigation points including boreholes, in-situ tests,
geophysical means etc should provide the information required to adequately establish the ground
conditions and water regime, and their variability along the length of the proposed retaining wall or
excavation boundaries and within the influence zones of excavation work for the purposes of design
and construction of deep excavations.

2.2.1.1 Site investigations for deep excavation work normally proceed in stages as follows:

a) A desk study and site reconnaissance;

b) Ground investigation should be carried out in stages, i.e. preliminary and detailed
investigation stages to obtain field and geotechnical data for design and construction
purposes;

c) Verification, and, if necessary, follow-up investigations during construction.

2.2.1.2 The site investigation should be planned to address the following:

a) The probable ground conditions at site;

b) Significant design and construction issues to be considered e.g. values of geotechnical


parameters, permeability conditions and adequacy of data;

c) Potential areas of design and construction risks;

d) Selection of appropriate investigation methods, tools and techniques.

2.2.2 In general, investigation points or boreholes should be located along each excavation
boundary according to the complexity of the site. At critical areas and excavation in difficult ground,
the spacing and location of investigation points/boreholes should be more closely related; and
additional boreholes and/or cone penetration tests should be conducted between boreholes to
establish any ground variability and to delineate the penetration depth of the retaining walls. The
number of boreholes for each design section is dependent on the size of the excavation and should
increase according to the variation of subsoil strata between boreholes and the complexity of
geological formation.

2.2.3 For most embedded walls, particularly for cast-in-place concrete walls e.g. diaphragm walling,
secant or contiguous bored piles, site investigations should consider the following:

a) The investigation points should be spaced as evenly as practicable around the full periphery
of the wall.

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b) Sufficient boreholes should extend to at least 5 m below the level that meets the design
criterion for wall toe. For example, if the wall toe is designed to penetrate 3 m into a layer
with SPT-N ≥ 50, the boreholes have to be taken to at least 5 m beyond that level. This
criterion is not intended to prevent the designer from specifying deeper boreholes as he may
consider it necessary.

2.2.4 Use of cone penetration tests (CPT)

Cone penetration tests (CPT) are useful for soil profiling and evaluation of engineering soil properties.
Owing to the limitations of CPT e.g. in getting deeper, particularly in relatively harder materials or
limited by presence of boulders, their use is usually restricted to supplementing investigative
boreholes. Sufficient boreholes should be carried out to confirm that the CPT/CPTU (CPT with
measurement of pore pressure) are being pushed to or beyond the interface level as appropriate,
such as interface between Kallang formation and old alluvium.

2.2.5 Additional site investigations

During construction, ongoing analysis and interpretation of excavated ground conditions, and
construction observations and monitoring data should be carried out to check or verify the design
assumptions which are derived from previous investigations. Additional site investigation during
construction is usually necessary for verifying the design assumptions e.g. thickness of soil strata.
Any uncertainty in the site investigation results need to be factored into the design. Where necessary,
redesign and rectification should be undertaken to comply with the relevant codes, standards and
statutory requirements to ensure that the recommended safety margins are present throughout the
excavation.

2.2.6 Quality of site investigation

Site investigations, including field and laboratory works, should be undertaken with due care and
diligence as they have a direct impact on the reliability of all test results, which in turn can affect the
design and construction works.

2.3 Determination of wall toe-in

2.3.1 Wall penetration is typically specified either as a penetration below final excavation level or as
penetration into a particular stratum or material (e.g. SPT-N ≥ 50). It is not possible to accurately or
reliably identify the interface between different strata or SPT simply by inspecting the spoils from
bored piles or diaphragm walling. It is generally possible to identify the difference between soil and
rocks by inspecting the spoils as the excavation progresses. However, the vertical continuity of such
rocks cannot be reliably ensured in an environment of tropical weathering.

2.3.2 The design toe levels of an embedded wall should be determined by investigative boreholes
which should be spaced relatively closely so that the design requirements for the embedded wall
depth in the specified soil or rock stratum is fulfilled in the wall installation or construction work. This
is especially so for cast-in-place concrete embedded walls/piles e.g. diaphragm walling, and secant or
contiguous bored piles. In difficult or erratic soil layering, it is a good practice to have at least an
investigative borehole at each diaphragm wall panel.

2.4 Presence of boulders


The depth of investigative holes should be such that they can appropriately establish the boulders,
rock head, or competent strata. The depth of boreholes should go beyond the expected depth of the
retaining system or embedded walls, kingposts or soldier piles. It is common practice to drill into rock
for a depth of at least 5 m to establish whether a boulder or bedrock is present. In some cases where
investigation requires the determination of socketing into rocks, it is necessary to drill deeper than 5 m.

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2.5 Investigation for tie-back design


For use of soil nails, tie-backs or ground anchors, the investigation points should be extended laterally
from the alignment at critical sections so that sectional interpretations can be made for design. The
investigation should also cover the area of the expected fixed anchor zone.

2.6 Sampling and in-situ tests (see Table 1)

2.6.1 Sampling

To ensure the quality of undisturbed soil samples, sampling procedures, techniques, methods and
tools, e.g. thin-walled tube sampler, piston sampler and Mazier sampler, should be selected based on
the type and stiffness of soil.

2.6.2 In-situ tests

In-situ tests include standard penetration tests (SPT), field vane tests (FVT), cone penetration tests
(CPT), permeability tests, packer tests and pressuremeter tests (PMT). The tests should be
appropriate for the soil types. Test results should not be derived from extrapolated data. Section 4 of
BS 5930 provides detailed test procedures and their limitations.

Table 1 – Sampling and in-situ tests

Type of ground Sampling Techniques In-situ tests


methods/tools
Fill / Reclaimed Thin-walled tube sampler Hydraulic pressing Standard penetration
sand / F1 test
Block sample Trial pit and soil Cone penetration
trimming test
Field permeability
test
Marine deposits Thin-walled tube sampler Hydraulic pressing Standard penetration
(Ka - E, M & F2) test (F2)
Piston sampler Hydraulic pressing Cone penetration
with suction test
Field vane shear test
Pressuremeter test
OA / Residual soil Thin-walled tube sampler Hydraulic pressing Standard penetration
(JF & BT) test
Mazier sampler Rotary drilling Pressuremeter test
Field permeability
test
Bouldery clay Triple-tube core barrel Diamond coring Standard penetration
(FCBB) test (Clay matrix)
Pressuremeter test
Rock (JF & BT) Triple-tube core barrel Diamond coring Pressuremeter test
Field permeability
test

2.6.3 Groundwater conditions

Water levels encountered during boring operations or from records of boreholes are known to be
unreliable and they seldom represent equilibrium conditions. Standpipes and piezometers should be
installed to determine the groundwater conditions and pore water pressures at the excavation site.
Where seepage is crucial, in-situ testing should be conducted to establish the field permeability.

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2.7 Existing building conditions


Pre-construction surveys should be carried out to establish the condition of adjacent properties,
including obtaining the plans of existing buildings and structures. Special attention should be paid to
buildings or structures that are sensitive to settlements.

2.8 Geotechnical model

2.8.1 One of the end-products of site investigation should be one or more geotechnical models.
Such geotechnical models, which may be in two-dimensional or three-dimensional representation of
the excavation site, shows how the stratigraphic units, geotechnical characteristics and the
groundwater conditions relate to the deep excavation, the structure being designed and constructed,
and the surroundings. The appropriate sections to be used for the detailed design of the excavation
work may be derived from the geotechnical model taking full consideration of the variability and
uncertainty involved in modelling. The design should consider the case with the most adverse or
worst anticipated ground conditions.

2.8.2 The geotechnical models should be updated and verified during construction as and when
additional information becomes available. This includes:

a) Additional site investigation results;

b) Logs from installation of walls, kingposts, piles, dewatering/pressure relief wells, monitoring
instruments and any grouting or other geotechnical processes;

c) Mapping of exposed ground during excavation.

Section Three – Design requirements

3.1 General

3.1.1 The support system for deep excavations should be safe and robust to ensure stability and to
control ground and wall deformations. It should be designed and constructed with appropriate factors
of safety and load factors that are not less than those required for permanent works in accordance
with the relevant standards, codes of practice and statutory requirements.

3.1.2 The excavation support system should be designed for appropriate forces obtained from
analysis which considers the full construction sequence through to the removal of the supporting
elements for the excavation or construction works. The analysis should consider appropriate
boundary conditions and progressive changes in pore water pressures throughout the excavation and
construction stages.

3.2 Water pressures


3.2.1 The water pressure regime used in the design should be the most onerous that is considered
to be reasonably possible for active pressure and passive resistance. The design groundwater level
should be considered at the ground level as loading for each stage of construction unless alternative
levels are adequately justified, taking into account tidal and probable flooding conditions. Where
artesian condition exists, additional water pressure should be considered.

3.2.2 The groundwater flow pattern around an excavation can affect water pressures and earth
pressures on the active and passive sides of the wall, and piping as well as heave potential of the
excavation. The most adverse groundwater condition that can reasonably be anticipated should be
used in the estimation of passive resistance, taking into consideration the influence of upward
seepage and potentially high pore water pressure within the passive zone of the soil.

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3.3 Basis for design


The design of the deep excavation wall system should consider both the ultimate limit states (ULS)
and the serviceability limit states (SLS). As a minimum, the following limit states should be
considered:

a) Loss of overall stability;

b) Failure of a structural element e.g. anchor, waler, strut or connection between such elements;

c) Combined failure in the ground and structural element whereby behaviour of one, when it fails,
has an adverse effect on the other which leads to progressive failure;

d) Failure in basal heave, toe kick-in, hydraulic heave and piping;

e) Movements of the retaining structure or surrounding ground which may cause collapse, partial
or otherwise, or affect the appearance, serviceability or functionality of the structure, nearby
structures or services;

f) Failure due to rotation or translation of the wall or parts thereof;

g) Failure due to lack of vertical equilibrium;

h) Any combination of the above.

3.4 Design considerations

3.4.1 The design of retaining structure and its supporting structural elements for deep excavations
should take into account the following key design considerations:

a) Adequate site investigation;

b) Proper selection of the soil parameters for design;

c) Effects due to onerous water pressures and seepage forces, on both active and passive sides
of the wall, unless justified otherwise;

d) Effects of soil permeability (drained and undrained conditions), drainage boundary, rain water
infiltration and time rate of construction (consolidation).

e) Effects of surcharge loads, including incidental loads, construction loads, vehicular traffic etc;

f) Varying load conditions and movement conditions during stages of construction or excavation;

g) Design robustness and redundancy considerations which should include one-strut failure,
accidental loads, thermal loads, eccentricity etc;

h) Construction material deficiencies and construction imperfections or tolerances;

i) Adequacy of wall embedment;

j) Overall wall stability, basal heave, toe kick-in, hydraulic heave and piping;

k) Structural adequacy of supporting system e.g. walers, struts, anchors, including provision of
adequate stiffeners;

l) Provisions of restraints in structural members’ connections, ties and bracings;

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m) Sensitivity analyses on the performance of retaining structures;

n) Effects due to groundwater lowering;

o) Effects of ground deformation on neighbouring properties;

p) No allowance for any material overstress in the design;

q) Factors of safety for designing retaining structures and all supporting structural members for
deep excavations should not be less than those for permanent works;

r) Unplanned excavation;

s) Preloading of struts/anchors.

3.4.2 Factors of safety

The retaining structures for deep excavations should be designed with an adequate safety factor that
is not less than that required of permanent works and the calculations should take full account of the
material deficiencies, construction imperfections and tolerances adopted. No allowance for any
material overstress should be made in the design. Among other considerations, the factor of safety
should take into account abnormal risks, unusual/difficult ground, loading conditions, soil
characteristics, extreme soil and groundwater conditions, the need to restrict deformation,
consequence of failure and impact on surrounding properties.

3.4.3 Robustness of design

As a minimum, all types and conditions of loading on retaining structure for deep excavations should
be identified for design. The retaining structure has to be robust and sufficient redundancy should be
provided to avoid catastrophic collapse resulting from an isolated case of overloading or failure of any
particular element.

3.4.4 In addition to the earth pressures under all identifiable conditions and surcharge/building
loads, the design should consider the following:

a) Accidental load;

b) One-strut or one structural member failure;

c) Material deficiencies and construction imperfections;

d) Abnormal loads, particularly from construction surcharges, and exceptionally high


groundwater levels caused by flooding or prolonged heavy rainstorms, or water-filled tension
cracks;

e) Eccentric loads or out-of-balance forces and reactions from the support systems, both
temporary and permanent e.g. due to inclined anchors or struts;

f) Temperature effects.

3.4.5 Soil parameters

In assessing the shear strength, influence due to factors such as stress level imposed on the soil,
strain rate effects, large strain situation, time effects, and sensitivity should be considered. The
representative strength values should make due allowance for the influence of sampling and the
method of testing as well as for possible softening during excavation.

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3.4.6 Design drainage conditions

Soils with field permeability greater than 10-6 m/s can be considered as free draining. Drained
conditions should be adopted for these materials. Soils with permeability less than 10-8 m/s can be
considered as undrained in most cases. If the rate of construction is very low or there is a long idling
period, consolidation analysis may be more appropriate. For soils with permeability between 10-6 and
10-8 m/s, two options should be considered. The first option is to conduct a consolidation analysis.
The second option is to conduct two analyses, i.e. drained and undrained.

3.4.7 Sensitivity analyses

For deep excavations, especially those in difficult or poor ground conditions, the designer should not
rely merely on ‘one-off’ analysis, in which a single set of geotechnical parameters is used, and the
results of the analysis then taken as ‘the prediction’ of deformations, loads and stresses. The
analyses should include variations in the input parameters within a reasonable range corresponding to
those determined from site investigation and ground conditions, and to critically examine the effects of
such variations on the computed deformations, loads and stresses.

Sensitivity analyses should be performed as part of the design to demonstrate that the design and
models are not unduly sensitive to variations in any of the input parameters such as shear strength,
soil stiffness and reduced wall stiffness due to cracking. It should also cover the effect of time on the
soil conditions and its impact on the performance of retaining structures.

3.5 Ultimate limit state

3.5.1 Design factors

Mobilisation factors are to be used in the ultimate limit state (ULS) design of the excavations system.
The design values of the geotechnical parameters Xd should be derived using

Xd = Xk / γm Equation (3a)

where Xk is the moderately conservative estimate of the soil parameter; and


γm is the reduction factor for the parameter.

The mobilisation factors based on BS 8002 are shown in Table 2.

Table 2 – BS 8002 mobilisation factors for soil parameters (γm)

Soil parameter Symbol Min value


Angle of shear resistance (tan φ) γφ’ 1.2
Effective cohesion γc’ 1.2
Undrained shear strength γcu 1.5
Unconfined strength γqu 1.5
Weight or density γγ 1.0

3.5.2 The term “moderately conservative” is taken to mean the “cautious estimate” of the value
relevant to the occurrence of the limit state as specified in CIRIA C580. It is also considered to be
equivalent to “representative value” as specified in BS 8002.

3.5.3 “Worst credible” value is the worst value which is reasonably believed to occur. It is
considered to be equivalent to “conservative” value as specified in BS 8002.

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3.5.4 The ULS design should be based on the more onerous of the following approaches:

a) Approach 1: Earth pressures derived from design values as defined in this section in which
the mobilisation factors γm in Table 2 are appropriately applied to the moderately conservative
parameters;

b) Approach 2: Earth pressures derived from the worst credible parameters.

3.6 Unplanned excavation


The design for excavations should consider an additional depth of 0.5 m of unplanned excavation in
front of the wall.

The minimum values should be reviewed for each design and more adverse values adopted in
particularly critical or uncertain circumstances. The requirement for an additional or unplanned
excavation as a design criterion is to provide for unforeseen and accidental events. Foreseeable
excavations such as for waler support brackets, services or drainage trenches in front of a retaining
wall, which may be required at some stage, should be treated as planned excavation.

3.7 Design checks


As a minimum, design checks should be carried out for, but not limited to, the following.

3.7.1 Against toe kick-in

The design of the retaining wall for deep excavations should demonstrate that the system is safe
against toe kick-in. For the system shown in Figure 1 (a), which has adequate factor of safety against
basal heave (i.e. FS ≥ 1.5), it may not be necessary to check toe stability. For walls penetrating into
the competent stratum [(see Figure 1 (b)], the toe stability has to be checked using the equation below.

PP LP + Mp
FS = --------------------- ≥ 1.5 Equation (3b)
PA LA

where Pp is the total passive resistance, inclusive of the water force, in front of the wall;
LP is the distance from the lowest strut level to Pp;
PA is the total active force, inclusive of the water force, behind the wall;
LA is the distance from the lowest strut level to PA;
Mp is the ultimate moment capacity of the wall.

PP and PA should be determined based on unfactored strength parameters. The interface wall friction
angle and adhesion should be taken into consideration. A competent stratum may consist of very stiff
to hard clay or silt and medium dense to dense sand.

3.7.2 Against base heave failure

The retaining wall for deep excavations should be designed with appropriate adequate precautions
against base heave for every stage of the construction.

In cases of long and wide excavations where excavation width (B) is greater than excavation depth
(H), i.e. B > H, methods proposed by Terzaghi (1943), Goh (1994), or Wong and Goh (2002) may be
used to check against base heave. For narrow excavations, i.e. H ≥ B and/or excavations of finite
length, the methods of Bjerrum and Eide (1956), NAVFAC DM-7.2 (1982) or Eide et al. (1972) may be
used to check against base heave. For the design check against base heave of an excavation, the
minimum factor of safety is 1.5.

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Figure 1 (a) – Walls not penetrating into Figure 1 (b) – Walls penetrating into
competent soil competent soil

3.7.3 Against base failure due to hydraulic uplift and seepage

Hydraulic uplift check should be carried out to ensure that the base of the excavation will not blowout.
This check should be carried out in accordance with Figure 2. The minimum factor of safety as
defined in Equation (3c) is 1.2.

Factor of safety = (γ DB + factored side resistance)/ U Equation (3c)

where γ is the saturated unit weight of the soil;


D is the silt or clay thickness;
B is the width of excavation; and
U is the hydraulic uplift force.

The prerequisites for blowout are as follows:

a) The permeability k2 is much higher than k1 such as marine clay above F1 sand;

b) Ample water supply in the k2 soil layer.

Where the factor of safety is less than 1.2, the wall needs to be deepened to cut off the water supply
else relief wells should be provided. The reduction factor on side resistance has to be correctly
determined.

Standpipe

Figure 2 – Stability against hydraulic uplift

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Where necessary and appropriate, hydraulic uplift has to be checked at intermediate levels to ensure
that there is adequate factor of safety. The design should also check for piping and quick conditions,
where appropriate; this check should be based on seepage analysis.

3.7.4 Against one-strut/anchor/structural member failure

The design for deep excavations should accommodate possible failure of any individual strut, tie rod,
ground anchor, structural member or connection at each stage of the construction works. The wall
and remaining supporting members, including walings and connections, should be capable of re-
distributing the load from the failed member. The remaining structural system and wall should
continue to be safe without causing any danger to surrounding adjacent structures and properties.

3.8 Serviceability limit states

3.8.1 The retaining wall system for deep excavations should be designed to keep deformation of
the wall and surrounding ground to a minimum to prevent damage to neighbouring structures, utilities
and properties.

3.8.2 Wall deflection is commonly adopted as a performance indicator for serviceability limit state
consideration. The limit depends on soil condition, depth of excavation and proximity to surrounding
structures and utilities.

3.8.3 For reinforced concrete retaining walls, the effect of cracking on wall deflection should be
checked. This can be achieved by using a reduced wall stiffness equal to 70 % of the full stiffness, i.e.
0.7EoI where Eo is the short-term Young's modulus of concrete and I is the second moment of area of
the reinforced concrete wall section. The bending moment envelopes of the walls obtained from
1.0Eo and 0.7Eo should be used for the ultimate limit state design.

For sheetpile walls utilising U-shape sheetpile such as FSP-III, there is a possibility of slippage at the
clutches between sheetpile resulting in a reduction in wall stiffness. If no action is taken to prevent
such slippage, analyses should be conducted to assess the effect of using full and reduced stiffness
on bending moment and wall deflection.

3.8.4 Seepage analysis

In cases where changes in groundwater conditions could be expected from excavation activities,
seepage analysis should be performed with sensitivity study of the results to variations in permeability
values, to demonstrate that the ground deformation would not damage surrounding buildings and
properties.

3.9 Computer software using numerical methods


Computer software using numerical methods in geotechnical analysis and design for deep
excavations should be able to model soil-structure interaction problems in staged construction, pore
pressures, ground stresses and strains, and perform both total and effective stress analyses. Where
numerical modelling is used, e.g. finite element methods in geotechnical design, experienced users
with fundamental understanding of geology and soil mechanics, and clear understanding of numerical
modelling, particularly the limitations, should supervise the use of such analyses. Regarding use of
computer software, users are advised to follow the guidelines in:

1) The use of computers for engineering calculations published by The Institution of Structural
Engineers, UK (Mar 2002);

2) Guidelines for the use of advanced numerical analysis edited by David Potts, Kennet
Axelsson, Lars Grande, Helmut Schweiger and Michael Long, published by Thomas Telford
(2002);

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3) “CIRIA C580: Embedded retaining walls – Guidance for economic design” AR Gaba, B
Simpson, W Powrie and DR Beadman, published by CIRIA London (2003);

4) Numerical analysis: A virtual dream or practical reality? Rankine lecture by David Potts,
Geotechnique 53, No.6, pp 535-573 (2003).

For undrained analysis involving soil of low permeability such as clays and silts, there are several
ways to analyse this problem depending on the soil model adopted and whether total or effective
stress is used. When using any finite element or finite difference software it is essential that the
inherent assumptions of the program are fully understood, particularly for the modelling of soft clays
with the Mohr-Coulomb model.

3.10 Structural design

3.10.1 The strutting system should be designed to ensure lateral stability of the excavation and
assist in limiting wall and ground deformations. The design should ensure that the structural failure of
the strutting and its connections will not occur and that deflections are restricted so as to avoid
damage to any structure and adjacent property.

3.10.2 Minimum load factor and load combinations

The strutting system and the retaining wall should be designed with a minimum load factor of 1.4
applied to excavation load which includes earth, water and surcharge load using the results of the
most onerous design based on moderately conservative soil parameter. The design values of the
geotechnical parameter should be derived from Equation (3a) assuming γm = 1.0. Table 3 shows the
typical load combination factors for use in the design of strutting and retaining wall structure.

Table 3 – Load combination factors for limit states design of structures

Load factor
Load
combination Excavation Temperature
Dead load Live load Impact load
load load
Normal working
1.4 1.4 1.6 1.2 -
condition

One strut
1.05 1.05 0.5 - -
failure

Accidental
1.05 1.05 0.5 - 1.05
impact

3.10.3 Kingposts and decking structures

Kingposts and decking structures should be designed with the appropriate loads and load factors in
accordance with the relevant codes of practice to achieve robustness and adequate factor of safety
such that no disproportionate catastrophic collapse would occur. Where appropriate, anticipated
retaining wall movements under the most onerous conditions should be considered in the design and
detailing of kingposts and decking structures.

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3.10.4 Excavation loadings

Loading from earth pressure can readily be estimated from the apparent pressure diagrams
developed by Terzaghi and Peck (1967). These are maximum envelopes from field measurements.
In 1999, CIRIA updated these diagrams with more case records. The results are a series of revised
diagrams which are termed characteristic diagrams of the distributed prop loads (DPL) method.
These diagrams are not maximum envelopes. They are cautious estimate of the distributed strut
loads and have approximately a 5 % chance of being exceeded. These diagrams (see CIRIA, 1999)
are reproduced in Figures 3 (a) to 3 (c).

Figure 3 (a) shows the DPL diagrams for excavations in granular soil. If the water table is below the
final excavation depth, the total unit weight is to be used to compute the earth pressure. If the water
table is above the excavation level, the total and buoyant unit weights should be used above and
below the water table respectively. In this case, the hydrostatic water pressure above the formation
level has to be taken into consideration.

Figure 3 (b) is for excavations in stiff to very stiff clay. The earth pressure on the wall is inversely
proportional to the amount of wall displacement. Since a flexible wall deflects more than a stiff wall, the soil
behind the flexible wall is given more freedom to expand and hence a greater reduction in soil pressure.

Figure 3 (c) shows the DPL diagrams for excavations in soft to firm clay. A stable base refers to an
excavation with adequate factory of safety against basal heave. In the computation of safety factor,
Terzaghi’s method for wide excavation and Bjerrum and Eide’s method for narrow excavation should
be used. These methods do not consider the contribution from wall penetration below the formation
level. It should be noted that the FS value has to be satisfactory at all stages of excavation, not only
at the final level of excavation. Unstable base refers to situations where the wall needs to penetrate
into the competent layer (the depth to which the slip surface would not exceed) to improve the basal
heave stability. Figure 4 shows examples of excavations with stable and “unstable” base.

The struts are the most important element in an excavation. It is wise to err on the safe side hence be
conservative in choosing an appropriate DPL diagram in the design.

It should be noted that the DPL diagrams are derived from case studies involving mainly flexible walls.
Chang and Wong (1996) highlighted that the apparent earth pressure on “rigid” walls such as
diaphragm wall can be higher than those indicated in the DPL diagrams. Therefore the application of
these DPL diagrams is limited to flexible wall systems without soil improvement.

An alternative to the DPL diagrams is to conduct finite element analysis (FEM). If done correctly, the
FEM will generally produce more realistic strut load magnitudes and distributions.

No ground water High ground water table Flexible wall Stiff wall
Figure 3 (a) – DPL diagrams for sand Figure 3 (b) – DPL diagrams for stiff clay

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Firm clay with stable base Soft clay with stable base Soft clay with unstable base

Figure 3 (c) – DPL diagrams for soft clay

Figure 3 is reproduced from CIRIA C517, 1999

Figure 4 (a) – Example of excavation with Figure 4 (b) – Example of excavation with
stable base “unstable” base

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3.10.5 Additional design considerations

In addition to the excavation load under all identifiable conditions, the following loads also have to be
considered in the design of the excavation support system:

a) Abnormal loads, particularly from loads caused by flooding and construction loads, for
example construction cranes, heavy vehicles etc, which are considered to be in excess of
minimum surcharge of 10 kPa. Where there is vehicular traffic, a design surcharge load of 20
kPa should be used. Higher surcharge load (> 20 kPa) may be required if heavy construction
equipments are employed.

b) Change of strut force due to temperature difference of ± 10 °C should be considered.

c) Change of strut force due to the installation and removal of struts at any level.

d) Change of strut force induced by wall rotation and relative displacements between the
supported ends.

e) Accidental load of 50 kN to be applied normal to the strut at any point in any direction, unless
otherwise demonstrated by risk assessment.

f) Axial force on the waler due to the inclined struts (in plan) imposing force along, rather than
orthogonal to, the waler.

Besides the loading, the design of the support system should also consider the following:

a) Material deficiencies, construction imperfections and tolerances;

b) Robustness of connection to avoid brittle failure;

c) Accidental removal or failure of one strut/anchor or its connections.

3.10.6 Temperature effects

An increase or decrease in the temperature of a strut from its installation temperature will cause a
change of strut force according to the relationship:

ΔP=kαΔtEA Equation (3d)

where E is Young's modulus of the strut material;


A is the cross-sectional area of the strut;
Δt is the change in temperature from the installation temperature force;
α is the thermal coefficient of expansion for the strut material, typically 1.2 x10-5 per °C for
steel; and
k is reduction factor due to the degree of end restraint.

In Equation (3d), k = 1.0 is for a fully restrained strut where both ends are prevented to expand freely.
If the degree of restraint of the strut allows some expansion, lesser strut loads due to temperature
effects will result. In the absence of rigorous analysis, k = 0.6 is recommended for flexible sheet pile
walls and k = 0.8 for stiff wall with stiff soil condition. Temperature effects are normally added to the
predicted strut loads after the analysis is completed.

A rigorous soil-structural interaction analysis may be used to evaluate the strut force by considering
the temperature effects, wall movement and soil condition. However, the best way to observe the
temperature effect on strut force is to monitor the strut force together with the temperature variation
and make comparison with the predicted results.

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3.10.7 Struts, walers, kingposts and connections

The axial load capacity of strut may be reduced due to loss of end fixity or when the loss of an
intermediate support results in an increase in the effective length of the strut over that assumed in
design.

3.10.8 The design of struts, walers and strut/waler connections should take into account eccentricity
of load transfer from the waler to the strut. The eccentricity (e) should be taken as 0.1d but not less
than 30 mm, where d is the depth of the strut. Figure 5 shows the forces due to the eccentricity for
the design of the strut and waler. For strut supported by a single waler beam, both the strut and the
waler’s web should be designed to resist additional moment, M = Fe, where F is the applied strut
force. For strut acting on double waler beams, each waler should be designed to resist additional
force of magnitude 0.5Fe/D where D is the spacing between the two walers. If necessary, stiffener(s)
should be provided to prevent side sway of the waler beam(s).

3.10.9 Buckling and bearing checks should be carried out for all strut-to-waler connections and the
effect due to load eccentricity should be considered as specified in 3.10.8. Suitable stiffeners should
be provided to prevent brittle failure of waler connection. Where the waler flange through which the
load is applied, including the effect of eccentricity, is not effectively restrained against lateral
movement relative to the other flange, proper effective length considering the effect of side sway
should be used to check the buckling capacity of the stiffened web.

3.10.10 All restraints to axially compressed struts should be capable of resisting a force of not less
than 1.0 % of the axial force in the strut and transferring it to the adjacent points of positional restraint.
A restraint should have adequate strength and stiffness to inhibit movement of the restrained point in
position or direction, as appropriate. Positional restraints should be connected to an appropriate
shear diaphragm or system of triangulated bracing.

3.10.11 A bracing system that provides positional restraint to more than one member should be
adequately designed to resist the restraint forces from each member restrained.

Single waler

0.5F+Fe/D
D

0.5F-Fe/D

Double waler

Figure 5 – Considering the forces due to eccentricity in the design of strut and waler

3.10.12 Kingposts should be designed as an unbraced column if no triangulated bracings are


provided. The effective length of an embedded kingpost should be determined from analysis to derive
the position of fixity below the ground. The analyses should also include construction stages when
the temporary support members or struts are removed.

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3.10.13 In calculating the bearing capacity of the beam web, the length of stiff bearing to be
considered should be taken as b1 = t + 2T, where t = thickness of the web of strut and T = thickness of
end plate, as shown in Figure 6.

Web of strut

End plate t
T
Flange of
waler

b1 = t +2T
Web of
waler

Concrete packing

Figure 6 – Length of stiff bearing for strut-to-waler connection

3.11 Material traceability and reusability of strutting materials


A quality assurance plan has to be established to ensure material traceability and the use of reusable
strutting materials in construction. Guidelines to establish a quality plan for material traceability and
reusability of steel strutting system in accordance with BC1 : 2008: Annex A (2009). Steel materials
other than class 1 and class 2 are not to be used.

Section Four – Ground treatment

4.1 General
Although ground treatment is not required in excavation projects, there are situations where ground
treatment becomes an essential part of the excavation support system for stability, ground movement
control or water flow control purposes.

4.1.1 In excavation works, ground treatment may be used to:

a) Enhance passive support to the retaining wall;

b) Provide adequate resistance against base heave;

c) Prevent boiling at the excavation base;

d) Retain earth behind wall openings;

e) Enhance trench stability of a diaphragm walling;

f) Form gravity mass for shallow excavations;

g) Prevent soil and water ingress between wall members in case of contiguous bored pile wall;

h) Form water cut-off;

i) Make up for ground movement and loss as compensation grouting;

j) Minimise settlement in the ground adjacent to excavation.

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4.2 Methods of ground treatment

4.2.1 Ground treatment related to deep excavations is done either by grouting or mechanical mixing.
Depending on the type of ground and purpose of the treatment, grouting may take the form of
permeation, fracture, displacement (compaction) or replacement (jet) grouting. Some of the common
methods listed below or a combination of them may be used:

a) Single or double packer grouting;

b) Tube-A-Manchette (TAM);

c) Mechanical deep mixing;

d) Jet grouting.

4.2.2 Methods of grouting depend on the ground conditions and requirements of the treated ground.
Ground treatment to reduce permeability and control water flow is mainly done by permeation grouting
whereas strength applications are mainly done either by mechanical deep mixing, jet grouting or a
combination of both.

4.2.3 In the case of high pressure grouting (permeation, fracture or jet grouting), the effects of
applied pressure and possible ground movement have to be assessed and kept within safe limits to
avoid damage to the retaining wall, buildings, structures and utilities in the vicinity.

4.2.4 When mechanical deep mixing is used, guidelines given in BS EN 14679 : 2005 should be
followed.

4.2.5 When mechanical deep mixing is employed to enhance passive support below the final
excavation level, the upper part of the ground is weakened. Unless a certain amount of hardening
agent is used to restore in-situ shear strength, the design has to consider a weakened soil for the
disturbed zone within the excavation depth.

4.2.6 When jet grouting is used, installation and testing should follow ‘BS EN 12716 : 2001 –
Execution of special geotechnical works – Jet grouting’ and the design may follow the
recommendations in ‘Jet grout’ (Column jet – Technique materials) of the Japan Jet Grout Association
or equivalent guide document.

4.2.7 Although extreme pressures are used in jet grouting, they are meant to generate the high
velocity fluid jets required to disintegrate soil into particles but not to subject the surrounding ground to
such high pressures. The pressure in the grouting space is governed by the back pressure offered by
the escaping effluent in the chamber. Therefore, unobstructed flow of effluent in the annulus between
the drill rods and the soil has to be ensured at all times during grouting to minimise ground
movements, including ground heave.

4.3 Ground treatment for specific requirements

4.3.1 The design and methods of ground treatment depend very much on the existing soil and
requirements of the treated ground.

4.3.2 Passive support to retaining wall

4.3.2.1 Deep excavations in soft ground often require some form of ground treatment to improve
passive support to the wall. Usually jet grouting or deep mixing is done to enhance passive support
below the final excavation level. It may also be done at intermediate levels and excavated away as
the excavation proceeds and structural supports are put in place.

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4.3.2.2 The treated ground can only be considered as an improved soil and not as a structural prop in
excavations. The design also has to consider the ‘brittle’ nature and rapid strain softening of the
treated ground as opposed to the ‘ductile’ behaviour of naturally occurring soils. The strength
adopted in the design needs considerations such as field variability and possible voids in parts of the
grouted mass and should be based on adequate trials.

4.3.2.3 The design and design checks of all supporting structural members and walls for deep
excavations should include the full consideration of the transfer of forces under the most onerous
conditions if the treated material is excavated away or removed, partially or wholly, at any excavation
stage. Analyses and design checks should be done with strength and stiffness at the upper end of
measured values of treated material as this would yield higher forces on the structural members.

4.3.2.4 The grout pile size adopted to form mass treatment needs to be substantiated adequately
based on all trial measurements and tests. Allowances have to be made for positioning and drilling
inaccuracies, e.g. where drilling tolerances cannot be achieved, usually within 1:100.

4.3.2.5 The required thickness of treated soil has to be evaluated based on its strength and stiffness
properties and the design requirement of the wall with the proposed support system. As a guide,
owing to construction tolerances, the thickness of the treatment should not be less than 2 m.

4.3.3 Support against base heave

Ground treatment to resist base heave should have sufficient thickness or depth to resist and transfer
the up-heave forces to the wall or supporting piles without developing significant tensile forces within
the grouted mass. The thickness also has to be checked with the bond strength developed between
the treated ground and the wall as well as foundation piles. The treatment may be done in a manner
to form an inverted arch to minimise bending moments within the treated mass.

4.3.4 Prevent boiling at excavation base

Permeation grouting may be required to prevent boiling at the base of an excavation in saturated
granular soils. The grout holes have to be evenly spaced, preferably in a hexagonal arrangement to
achieve uniform treatment. The spacing among grout holes depends mainly on the permeability of
the ground, type of grout, grout flow rate, setting time, grout volume and grout pressure. Since
numerous grouting parameters are involved and the selected combination may affect the results, the
success of treatment needs to be determined by field permeability tests. However, it is important to
remember that in saturated granular soils, ground treatment against boiling usually increases the
potential for base blow up.

4.3.5 Retaining earth behind wall openings

It is sometimes not possible to relocate utilities away from the proposed excavation. The construction
of a retaining wall directly below the pipes or cables of utilities becomes unfeasible. Under these
circumstances, ground treatment may be considered to bridge the gap in the wall to prevent soil and
water inflow during excavation. Figure 7 (a) illustrates one possible application involving both vertical
and inclined grout piles and Figure 7 (b) illustrates another possible application for the entry of a
tunnel boring machine (TBM).

4.3.6 Prevent localised collapse during wall trenching

In the installation of cast-in-place concrete walls such as diaphragm walls, contiguous or secant piled
walls, it is usually inevitable that slurry is needed to maintain stability during trenching or boring
operations. Trench stability design calculations need to be done to determine the required slurry level
to safeguard against potential trench collapses. It may be necessary to prevent localised collapses by
using ground treatment on either side of the trench. The slurry level has to be controlled and
maintained at all times throughout wall trenching or boring operations.

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Figure 7 (a) – Treatment for utility gap Figure 7 (b) – Treatment for TBM entry

4.3.7 Prevent soil and water ingress behind CBP walls

When contiguous bored piles (CBP) are used as retaining walls, it is often required to seal the gaps
between the piles to prevent soil or water inflow. The clear distance between the piles is usually set
between 75 mm to 100 mm. However, the true gap may be wider or narrower depending on pile
installation process. In firm soils, the water ingress is initiated first, followed by the weakening of soil
due to water absorption which eventually leads to soil slumps through gaps between piles. Loss of
soil behind the wall may lead to cavities which eventually form sink holes at the surface where heavy
machines operate. In firm soils, ground treatment to prevent water flow, i.e. permeation grouting, may
be sufficient whereas in weak soils strength may be required additionally to prevent material squeeze.
Jet grouting, pre-installed deep mixing piles or other pre-drilled ‘soft’ piles may serve as barriers
preventing water and soil inflow between bored piles.

4.3.8 Water cut-off

4.3.8.1 When an excavation is carried out with a non-water tight retaining wall and/or there exists a
permeable soil layer, the pore pressure drop could result in consolidation settlement and damage to
nearby structures. Ground treatment to form water cut-off in the permeable layer becomes necessary.
This treatment is usually done by permeation grouting. However, jet grouting or grouting with the
overlapping insertions of a steel I-section is common in forming cut-off grouting. The effectiveness of
cut-off grouting can be tested by forming enclosed space or cells with cut-off grouting and performing
pumping tests within the cells.

4.3.8.2 When a permeable layer is present at a short depth below the final excavation level beneath
an impermeable layer, the potential for base heave is high during excavation. Water cut-off of this
permeable layer along the perimeter of the excavation is required to avoid the risk of base heave.
Relief wells may also be used to reduce heave potential.

4.3.9 Make up of volume loss

Compensation grouting is done to make up for the volume loss associated with wall displacement
during an excavation to protect tunnels, structures and utilities. Compensation of lost volume is
achieved either by compaction or fracture grouting. Fracture grouting done with thin seams of grout in
impermeable soft soils may show initial increase in volume but part of the increase may reduce
subsequently with time. Field trials are required to assess the performance of compensation grouting
done with thin grouts in soft ground.

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4.3.10 Minimise ground settlement


Compensation grouting is done as an ‘observe-and-do’ process during excavation, whereas overall
ground treatment in the active side of the wall may be done in advance to control ground settlement
during deep excavation. Evenly spaced jet grout piles, grout mixed piles of mechanical deep mixing
are most suited for this application. Such an overall treatment not only decreases the ground
settlement but also decreases the active pressure on the retaining wall and thus the wall displacement.

Section Five – Ground anchors

5.1 General
This section applies to the design of temporary and permanent ground anchorages used for deep
excavations to:

a) Support a temporary earth retaining structure;

b) Support a permanent earth retaining structure;

c) Provide the stability of slopes or cuts.

This is achieved by transmitting a tensile force to a load-bearing formation of competent soils or rocks.

The following standards should be referred to:

a) BS EN 1537 : 2000 Execution of special geotechnical works – Ground anchors;

b) BS 8081 : 1989 British standard code of practice for ground anchorages;

c) BS EN 1997-1 : 2004 Eurocode 7: Geotechnical Design – Part 1: General Rules.

5.2 Terms and definitions

5.2.1 The main terms are used in common with BS 8081 : 1989 or Eurocodes, where applicable.

5.2.1.1 Permanent anchorage

Anchorage with a design life of more than two years.

5.2.1.2 Temporary anchorage

Anchorage with a design life of up to two years.

5.2.1.3 Removable anchorage

Anchorage system that allows its components, i.e. strands, to be removed after its service life.

5.2.1.4 Acceptance test

Load test on site to confirm that each anchorage meets the design requirements.

5.2.1.5 Suitability test

Load test on site to confirm that a particular anchor design is adequate in particular ground conditions.

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5.2.1.6 Investigative test

Load test to establish the ultimate resistance of an anchor at the grout/ground interface and to
determine the characteristics of the anchorage in the design working load range.

5.2.1.7 Proof load

The maximum test load to which an anchor is subjected.

5.2.1.8 Working load

Safe load of an anchor.

5.2.1.9 Lock-off load

The load transferred to an anchor head immediately on completion of a stressing operation.

5.2.1.10 Anchor holding piece

Used in a removable anchorage. Component of anchor that is bonded directly to the grout and
capable of transmitting the applied tensile load.

5.2.1.11 Unit anchors

Term used in a removable anchorage to denote a pair of strands which loops around an anchor
holding piece.

5.3 Factor of safety

5.3.1 The factor of safety to be used should not be less than those given in Table 4.

Table 4 – Minimum safety factors recommended for design of individual anchorages

Minimum safety factor Proof load


factor to
Anchorage category Tendon Ground/ Grout/ working
failure grout tendon or load (WL)
interface grout/
encapsulation
interface
Temporary anchorage 1.6 2.5 2.5 1.25
with a service life of, say,
up to two years where
although the
consequences of failure
are quite serious, there is
no danger to public safety
without adequate
warning*
Permanent anchorages 2.0 3.0 3.0 1.5
and temporary
anchorages where
corrosion risk is high
and/or the consequence
of failure is serious*
* NOTE – There has to be adequate proper instrumentation and monitoring of wall movements and
anchor loads.

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5.4 Design situations and actions

5.4.1 When selecting design situations, consideration should be given to:

a) All circumstances during the construction of the structure.

b) All anticipated circumstances during the design life of the structure.

c) All pertinent limit states, both individually and in their combinations including, but not limited to,
the following:

i) Structural failure of the tendon caused by applied stresses;

ii) Distortion or corrosion of the anchor head;

iii) Failure at the interface between the body of grout and the ground;

iv) Failure of the bond between the steel tendon and the grout;

v) For temporary anchor, failure by insufficient resistance of the holding piece;

vi) Loss of anchorage force by excessive displacements of the anchor head or by creep
and relaxation processes;

vii) Failure or excessive deformation of parts of the structure due to the applied
anchorage force;

viii) Loss of overall stability of the retained ground and the retaining structure;

ix) Interaction of groups of anchorages with the ground and adjoining structures.

d) The groundwater and water pressures.

e) The consequences of failure of any anchorage.

f) The possibility that the forces applied to the anchorage during pre-stressing (anchorage load)
may exceed the forces required for the design of the structure.

5.4.2 Design and construction considerations

5.4.2.1 The design of the anchorage and the specification for its execution should take into account
any adverse effects of tensile stresses transmitted to ground beyond the vicinity of the anchorage.

5.4.2.2 The zone of ground into which tensile forces are to be transferred should be included in site
investigations.

5.4.2.3 The anchor head should allow the tendon or rod to be stressed, proof-loaded and locked-off
and, if required by the design, released, de-stressed and re-stressed.

5.4.2.4 For all types of anchorage, the anchor head should be designed to tolerate angular deviations
of the anchor force (see BS EN 1537 : 2000) and be able to accommodate deformations which may
occur during the design life of the structure.

5.4.2.5 Where different materials are used in an anchorage, their design strengths should be
assessed with due account of the compatibility of their deformation performance.

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5.4.2.6 The only anchorage systems that should be used are those assessed by investigative tests
(see BS EN 1537 : 2000) or for which successful comparable experience is documented in terms of
both performance and durability.

5.4.2.7 The direction of the tendon should normally be such as to provide self-stressing with
deformations due to potential failure mechanisms. In case this is not feasible, adverse effects should
be taken into account in the design.

5.4.2.8 The characteristic resistance of anchor should be determined and verified on the basis of
suitability tests. The design resistance should be checked by acceptance tests after execution.

5.4.2.9 The performance of the tendon free length of pre-stressed ground anchorages should be
checked in accordance with BS 8081 : 1989 and BS EN 1537 : 2000.

5.5. Design of the anchorage

5.5.1 The design of the anchorage should satisfy both the structural and geotechnical requirements.
The structural capacity of the anchorage should be designed to support its design load. The number
of strands should be calculated using Equation (5a), as follows:

N = (Fs x WL) / (UTS) Equation (5a)

where N = number of strands;


Fs = factor of safety, structural;
UTS = Ultimate tensile strength of strand, kN;
WL = working load of anchor, kN.

Fs should be no less than the factor of safety given in Table 4.

5.5.2 The fixed length for the anchorage should be calculated using Equation (5b).

Lfix = (Fg x WL) / (π x D x fs) Equation (5b)

where Lfix = required fixed length for each anchorage, m;


D = diameter of borehole, m;
Fg = factor of safety, geotechnical;
fs = ultimate skin friction, kPa.

Fg should be no less than the factor of safety given in Table 4.

5.5.3 For temporary anchors which are to be removed after their service life, the strands are usually
in loops. The bending of the strand at the end of such loop will result in reduction of strength of the
strands. This reduction should be taken into account when calculating the number of strands required.
The number of strands for removable anchor using loop system should be calculated as follows:

N = (Fs x WL) / (UTS x Rd) Equation (5c)

where N = number of strands;


Fs = factor of safety, structural (see Table 4);
UTS = Ultimate tensile strength of strand, kN;
Rd = reduction factor due to bending of strand;
WL = working load of anchor, kN.

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5.5.4 Rd should not be more than 0.8. This value should be verified by appropriate tests on site for
every batch of strand delivered to site.

5.5.5 The removable anchor using loop system usually consists of one or more unit anchors. The
fixed length for each of this unit anchor should be calculated using Equation (5d).

Lfix,i = (Fg x WLi) / (π x D x fsi) Equation (5d)

where Lfix,i = required fixed length for each unit anchorage, m;


D = diameter of borehole, m;
Fg = factor of safety, geotechnical (see Table 4);
fsi = ultimate skin friction at the location of the anchor holding piece, kPa;
WLi = working load of each unit anchor.

5.5.6 As skin friction may not be uniformly mobilised, the design of the fixed length of the unit
anchor should take into consideration efficiency factor and should generally be not more than 10 m as
recommended in BS 8081 : 1989.

5.5.7 For good practice, the investigative test anchor should be representative of the actual length
of working anchors to be used in similar ground condition.

5.6 Checking of earth retaining wall movement

5.6.1 The most adverse combination of the minimum or maximum anchorage stiffness and
minimum or maximum pre-stress should be selected when analysing the design situation.

5.6.2 When considering a non-prestressed anchorage as a (non-prestressed) spring, its stiffness


should be selected to achieve compatibility between calculated displacements of the retained
structure and the displacement and elongation of the anchorage.

5.6.3 Account should be taken of the effects of any deformations imposed on adjacent foundations
by the anchorage pre-stress force.

5.7 Investigative tests


Investigative tests should be specified for anchorages and should be carried out before the installation
of any working anchor. The size, depth and angle of borehole should be representative of the
designed working anchor.

5.8 Suitability tests

5.8.1 Suitability tests should be specified for anchorages. The performance of the test should
comply with BS 8081 : 1989 and BS EN 1537 : 2000, as appropriate.

5.8.2 At least three suitability tests should be performed for each distinct condition of ground and
structure to determine or verify the characteristic resistance of the anchor for design.

5.8.3 The proof load of a suitability test of anchor should comply with BS 8081 : 1989 and BS EN
1537 : 2000, as appropriate.

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5.9 Acceptance tests

5.9.1 It should be specified in the design that all grouted anchorages should be subjected to
acceptance tests prior to lock-off and before they become operational.

5.9.2 The procedure for acceptance tests should follow the rules given in BS 8081 : 1989 and BS
EN 1537 : 2000.

5.9.3 The proof load of an acceptance test of anchor should comply with BS 8081 : 1989 and BS
EN 1537 : 2000, where relevant.

5.9.4 Where groups of anchorages cross with tendon bond lengths at spacing of less than 1.5 m,
random control tests should be made after completion of the lock-off action.

5.10 Tests on anchors


Depending on the number of ground anchors and site conditions, the number of tests to be carried out
should not be less than those indicated in Table 5:

Table 5 – Recommended number of field tests

Type of test Frequency


Investigative test Minimum 2
Suitability test Minimum 3 for each distinct ground condition
Acceptance test Every working anchor

5.11 Pre-loading
Pre-loading for the anchorages should be based on the design value of pre-load assumed in the earth
retaining wall analysis. The anchor lock-off load should be increased by 10 % of the design pre-load
value to allow for losses. Consideration has to be given to the verification or confirmation of the actual
lock-off load at the site.

5.12 Supervision and monitoring


Supervision and monitoring should follow the rules given in BS 8081 : 1989 and BS EN 1537 : 2000,
where appropriate.

5.13 Corrosion protection of steel components of anchorage


The tendon of anchorages used for permanent earth retaining structure should be provided with at
least two protective barriers to corrosion such that if one barrier is damaged during installation or
anchor loading, the second barrier would remain intact. The anchor head and bearing plate of
permanent anchor should be coated with anti-corrosion paint. The anchor head should be protected
by a protective cap secured to the bearing plate with suitable seal. The void in the cap should be
infilled with corrosion protection compound.

5.14 Maintenance of anchorages during service life


Provision, e.g. instruction manuals, should be made for the maintenance of the anchorages to verify
and ensure that its structural capacity is not affected throughout its design service life. The anchor
head and its components should be accessible at all times for maintenance, e.g. necessary re-
stressing, periodic inspections and monitoring.

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Section Six – Impact assessment

6.1 General
Pre-construction building or condition surveys should be carried out to establish the condition of
surrounding properties including obtaining the plans of existing buildings, structures, foundations and
buried utilities where available.

6.2 Prediction of ground deformation

6.2.1 Each soil or rock type has its own problems and assessing the problems requires knowledge
and understanding of the soils, soil profile and groundwater conditions. Movements in soils can be
time-dependent. The prediction of the deformation of surrounding ground due to excavation should
consider, but not limited to, the following:

a) All stages of work including wall construction or installation, and installation and removal of
the support system;

b) Construction tolerances;

c) Potential loss of fines through the walls e.g. arising from flow of water;

d) Movements during excavation;

e) Drained, undrained and consolidation deformation;

f) Effects of grouting, soil improvement, drilling, piling, or any other construction activities which
may cause or induce ground movements.

6.2.2 Determining ground and wall movement is complex. Even advanced numerical methods such
as finite element or finite difference may give misleading results for the development of ground
movements outside the excavation. The predictions are likely to remain only approximate until further
numerical analyses are validated and calibrated against field experience. It is not prudent to step
outside the bounds of experience without full justification and careful observation of performance.

6.2.3 All buildings, structures, utilities, roads and any properties that may be or are likely to be
affected by the excavation should be assessed for damage.

6.3 Damage assessment

6.3.1 A three-stage damage assessment may be adopted.

6.3.1.1 Stage 1 Assessment

For preliminary assessment, a very simple approach may be adopted based on consideration of both
maximum slope and maximum settlement of the ground surface at the location of each building. This
approach uses ground surface rather than foundation level, displacements, and neglects any
interaction between the stiffness of the buildings and the ground. According to Rankin (1988), a
building which experiences a maximum slope of 1/500 and a settlement of less than 10 mm has
negligible risk of damage. As such, no further assessment is required. However, this approach is not
applicable for building/structure under mixed foundations or building/structure/utility or any property
sensitive to ground deformation. They warrant more stringent movement criteria and a Stage 3
assessment should be carried out.

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6.3.1.2 Stage 2 Assessment

The building or any structure is assessed based on “greenfield” assumption, i.e. the building or
structure is assumed to have no stiffness so that it deforms with the ground or conforms to the
“greenfield” ground deformation profile.

For masonry structures, the building is represented by a simple beam whose foundation is assumed
to follow the displacement of the ground in accordance with the “greenfield site” assumption. The
maximum resultant tensile strains are calculated for both hogging and sagging settlements. The
potential category of damage is then obtained from Table 6.

6.3.1.3 Stage 3 Assessment

Detailed evaluation is carried out, taking into account building/structure stiffness and foundation.

Stage 3 assessment is carried out for cases including:

a) Those buildings or structures on mixed foundations;

b) Buildings/structures/utilities or any property that is unusually sensitive to ground deformation


e.g. old masonry structures;

c) Those deemed unsatisfactory as a result of Stage 2 assessment.

6.3.2 The approach is a refinement of the Stage 2 assessment in which the particular features of
the building and the excavation and construction scheme are considered in detail. Each case is
different and has to be treated on its own merits. Factors that should be taken more closely into
account include:

a) Detailed approach: In the detailed evaluation in Stage 3 or in a structural appraisal of a


building. Where applicable, the negative skin friction on the piles should be evaluated in the
assessment. The framing of the superstructures, layout of the foundations and tie beams,
reinforcement details in the structural members and connection details should be considered
as a whole.

b) Excavation or construction sequence: the sequence and method of excavation and


construction should be given detailed consideration.

c) Structural continuity: Buildings with structural continuity such as those of steel and concrete
frame construction are less likely to suffer damage than those without structural continuity, e.g.
masonry buildings or load-bearing masonry walls.

d) Orientation of buildings: Deformation of a building oriented at a significant skew to the main


ground may be subjected to warping or twisting effects.

e) Soil-structure interaction: The predicted greenfield movements will be modified by the


stiffness of the building. The detailed analysis of the problem should include soil-structure
interactions. Analysis can include established procedures such as those published by the UK
Institution of Structural Engineers.

f) Previous movements: The building may have undergone or is still undergoing movements
due to various causes. These effects should be assessed as they may reduce the tolerance
of the building to future deformation. This is particularly so when the buildings or parts of its
structures have cracks or exhibit signs of deformation.

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6.4 Masonry structures

6.4.1 The classification of damage to masonry structures or buildings should be based on the work
of Boscardin and Cording (1989), Mair, Taylor and Burland (1996) and Boone et al. (1999) in
accordance with Table 6.

Table 6 – Damage category for masonry buildings

Normal degree Limiting tensile strain (εlim)


of severity (%)
Negligible 0 - 0.05
Very slight 0.05 - 0.075
Slight 0.075 - 0.15
Moderate 0.15 - 0.3
Severe to > 0.3
very severe

6.4.2 The description of the damage associated by degrees of severity by Burland, Broms and De
Mello (1977) is given in Annex B.

6.4.3 It should be noted that the classification in Annex B and Table 6 was developed for brickwork
or blockwork and stone masonry. It may be adapted for other forms of cladding. It should not be
applied to reinforced/pre-stressed concrete, steel or composite elements.

6.5 Reinforced/pre-stressed concrete structures

6.5.1 For reinforced/pre-stressed concrete structures, such as underpasses, underground


structures, bridges and structural members of a building, the procedures outlined in 6.3.1 may be
adopted. In addition, a serviceability performance review may be carried out.

6.5.2 Each building differs and has to be considered on its own merits. The existing condition of
the building should be considered and the following factors included in the serviceability performance
review:

a) Basement configuration;

b) Cladding system;

c) Construction sequence;

d) Foundation system;

e) Orientation to alignment;

f) Soil-structure interaction;

g) Structural continuity.

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6.6 High-rise buildings


Where foundation movement occurs, a building may suffer from both distortion and tilt. With high-rise
buildings, however, the relatively large ratio of height to length of the structure usually ensures a
predominantly rigid body rotation. High-rise buildings should be assessed on an individual basis to
determine whether the tilt affects the serviceability of the building, which depends on purpose of the
building, type of building superstructure and the type of foundation system.

6.7 Piled foundations


The construction of an excavation adjacent to existing piles requires consideration of the pile
response to the ground movements as a result of the works, and an assessment of the consequential
axial movement, lateral deflection, bending moment and rotation of pile head. The horizontal soil
movement induced by the works will in turn induce additional lateral deflection and bending moment in
the piles (Finno et al. 1991; Goh et al. 1996; Poulos and Chen 1997; Ong et al. 2002; Goh et al. 2003;
see Annex C). Such effects should be appropriately considered and assessed.

6.8 Utilities

6.8.1. A damage assessment for every utility that may be affected should be carried out. The
allowable values for settlement, deformation, joint rotation, joint slip or other such criteria as agreed
with the utility agency should be established. The allowable values should be such that the utility can
be kept fully functional during and after the works.

6.8.2 Particular attention should be given to the junction of pipes and spurs of pipes, as outlined by
Attewell, Yeates and Selby (1996). For cast iron pipes, reference may be made to the methodology
by Bracegirdle et al (1996).

6.9 Protective measures

6.9.1 Protective measures should be designed and installed with the aim to prevent damage and to
satisfy the serviceability or functionality or acceptance criteria. Protective measures include
underpinning, ground improvements, compaction or compensation grouting, jacking or building
strengthening or some combination of these or other such means. Care should be taken to ensure
that the selected method of protection does not do more harm than the original movements to the
building.

6.9.2 Where there is presence of a layer of peat (soft and compressible peaty clay or soft soils with
peat), judiciously designed water recharge wells should be put in place and operationally tested
before any excavation work commences. This is particularly so where there are nearby buildings or
surrounding structures which are on shallow foundations e.g. timber piles, footings or of mixed
foundations, or any property which is sensitive to ground movements.

6.10 Limiting values of structural deformation and foundation movement

6.10.1 The components of foundation movement which should be considered include total
settlement, relative or differential settlement, rotation, tilt, relative deflection, relative rotation and
horizontal displacement.

6.10.2 Limiting values should be established for the foundation movements of neighbouring
structures. Any differential movements of foundations leading to deformation in the supported
structure should be limited to ensure that they do not lead to a limit state in the supported structure.
The differential settlement should take account, among others, of the occurrence and rate of
settlements and ground movements.

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6.10.3 The maximum acceptable relative rotations for open-framed structures, in-filled frames and
load-bearing or continuous brick walls are unlikely to be the same. For such structures which deform
in a sagging mode, they are likely to range from about 1/2000 to about 1/500, to prevent the
occurrence of a serviceability limit state. A maximum relative rotation of 1/500 is acceptable for many
structures. For a hogging mode, where the edge is settling more than other parts of the structure, the
acceptable values should be half of those in sagging mode, i.e. less than 1/1000.

Section Seven – Instrumentation and monitoring

7.1 General

7.1.1 The instrumentation and monitoring scheme for the excavation works should be properly
designed, supervised, coordinated and reviewed continuously by qualified and competent personnel
who understand the objective of the monitoring and underlying principles for the purposes, including:

a) Verifying the assumptions made in the design;

b) Providing confirmation of the predicted behaviour of the support system for the excavation
and surrounding ground during excavation and construction works;

c) Providing information and enabling assessment of the effects of the works on buildings
including its own and other surrounding structures, utilities and other structures like roads;

d) Providing a record of the performance of the works;

e) Providing early warning, and to enable excavation and construction to be carried out safely
without causing damage to any property at all stages as long as the excavation remains;

f) Enabling appropriate protective and precautionary measures to be implemented in time so as


to prevent any settlement or movement which may impair the stability of or cause damage to
the whole or part of any surrounding premises or building, structures, roads and other
properties.

7.1.2 The instrumentation and monitoring scheme should be appropriate to the objective and
purposes of monitoring, particularly to safeguard the safety of persons such as workers within the site,
persons like the public outside the site, and surrounding structures, and prevention of damage to any
surrounding premises or buildings, structures, utilities, roads and other properties. The monitoring
should extend around all sides of the excavation.

7.1.3 The choice of instruments should take into account the required accuracy of the
measurements, reliability of the instruments and site conditions. Some allowance needs to be made
for instrumentation failures during construction. Detailed guidance on geotechnical instrumentation is
given in literature such as Hanna (1985) and Dunnicliff (1988).

7.1.4 Timely evaluation of results and assessments should be carried out at all appropriate stages,
particularly where the data are required to provide an indication of safety. Changes in values between
consecutive measurements should be examined.

7.2 Considerations for instrumentation

7.2.1 The accuracy and reading range of all monitoring instruments should be specified as part of
the design of the retaining system for the excavation works.

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7.2.2 The depth of inclinometers should extend beyond the influence zone of the excavation to a
position where negligible ground movement is anticipated to occur throughout the excavation and to
where fixed toe conditions are expected to be achieved. The coordinates of the top of the
inclinometer casing should be regularly surveyed as a check.

7.2.3 For monitoring the changes in ground water table, the depth of water standpipes/piezometers
should extend beyond the expected drawdown level. In order to monitor the hydraulic uplift stability,
some piezometers should be installed in the pervious soil layers beneath the final excavation depth
within the excavation area. In areas where there is soft clay underlain by a pervious soil layer,
piezometers should be installed in this layer to monitor the water drawdown which can potentially lead
to consolidation settlement of the soft clay.

7.2.4 Tiltplates should be properly bonded to the surface of structural members on which they are
installed after the removal of paint, tiles and plaster.

7.2.5 All instruments should be properly calibrated. Generally, instruments undergo a three-stage
calibration, namely factory calibration, acceptance test and re-calibration. The factory calibration
provides only a quality check for products in the manufacturing process which needs to be verified by
acceptance test prior to installation in view of possible disturbance involved in the shipment works.
Re-calibration will help to minimise possible instrument errors attributed to changes in instrument
properties, e.g. misalignment of sensor, deviation in reference gauge reading (e.g. zero gauge
reference) and elongation of measuring tape and cable.

7.2.6 The as-built condition of instruments including the co-ordinates, especially inclinometer casing
and levels, e.g. piezometer tip level, of the installed instruments and any change which may be
created to the installed instruments during monitoring period, such as change of top level of water
standpipe and inclinometer, etc. should be properly captured, adjusted and considered in the
monitoring and interpretation of results.

7.2.7 The design should include protection for all instruments to ensure that they are suitably
protected against accidental damage, vandalism, and adverse climatic conditions.

7.3 Instrumentation and monitoring of structures

7.3.1 All buildings, structures, roads, utilities and any other property where any part thereof falls
within the minimum monitoring zones defined in Figure 8, should be monitored.

≥ 2H ≥ 2H

H Base of
excavation

Figure 8 – Monitoring zone (minimum 2H) for buildings, structures, roads or utilities

7.3.2 In addition to instrumentation, monitoring of properties should include inspections, site


observations, tests and records. Although the measurements usually include tiltmeters and precise
levelling, for a building or structure which is more sensitive or subject to protective works, electro-level
beam systems may also be used to monitor movements in the building or structure. Crack monitoring
is carried out on the development of existing cracks and new cracks which may occur during the
works, and on movement joints.

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7.3.3 For existing buildings, the pre-existing tilt and cracks in the structure, where appropriate,
should be determined before the start of any construction and excavation activity.

7.3.4 All gas, water mains and sewer pipes which fall within a horizontal distance of less than the
excavation depth from the excavation face should be more closely monitored. For more sensitive
utilities, settlement points at closer intervals should be used, e.g. for electrical cables with voltage
higher than 22kV and fibre optical systems.

7.4 Monitoring the performance of excavations

7.4.1 Excavations and their impacts on adjacent structures/utilities should be considered through
monitoring of embedded retaining walls, ground and structural movements/deformations, basal heave,
strut/anchor loads, groundwater table and piezometric pressures, etc. so as to provide data for design
and review on the field performance shown in Table 7 as follows:

Table 7 – General guidelines for instrumentation and monitoring

Measurement of parameters Instruments


Deformation of the ground (including any • Inclinometers in the ground
slope), retaining wall movements and and/or in the wall
supporting members • Settlement points
• Magnetic extensometers
• Rod extensometers
• Prisms
Deformation of structure • Tiltmeters
• Settlement markers with precise
levelling
• Crackmeters
• Electrolevel beams
• Prisms
• Tape extensometers
• Vibration sensors
Groundwater levels and pore pressures • Piezometers
• Water standpipes
Loads on supporting structural members • Load cells
(struts), and anchors where appropriate • Strain gauges

7.4.2 Control sections for excavation works should be identified and adequately instrumented with
the validation or calibration between the design/predicted and actual values to be verified as early as
possible during the construction and excavation stage.

7.4.3 Piezometers or water standpipes at active sides should be installed to monitor changes of
pore water pressure or water level. Piezometers should be also installed on the excavation side to
ensure toe stability, hydraulic uplift stability and piping stability etc when there are permeable soil
layers below the excavation level.

7.4.4 When ground improvement is used to strengthen the earth retaining system for a deep
excavation, heave and compression of the ground improvement layer should be monitored.

7.4.5 Struts and ground anchors should be monitored for load, preferably by using load cells. If
struts are monitored with strain gauges only, the monitored struts should also be checked using load
cells. Where strain gauges are used, a minimum of two strain gauges coupled with temperature
monitoring should be installed at each monitoring location.

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7.4.6 There are several pitfalls for the load measurement in steel struts. The strain gauges for
member forces should be properly installed, calibrated and checked for meaningful interpretation and
monitoring as the readings could be affected by many factors such as non-uniform stresses,
temperature, joints, strut installation and pre-loading.

7.4.7 Caution should be exercised when evaluating strut force by hydraulic jacking. In addition to
the use of calibrated jacks, the loads should be independently confirmed by calibrated load cell.

7.4.8 The layout of the settlement markers should be able to reflect the differential settlement of the
building.

7.5 Reading frequency of monitoring instruments


The design of the retaining system for the excavation works should include tables giving reading
frequencies of all instruments. The frequency of reading the instruments may be varied, depending
on the type of instrument and the relationship between the instrument and areas of current activity.
Criteria for increasing the frequency of reading should also be given.

7.6 Review levels and interpretation of monitoring results

7.6.1 Instrumentation monitoring is provided to verify the design assumptions by comparing the
actual response to excavations against predicted values. It also protects the functionality and safety
of surrounding surfaces, roads, utilities, structures and any property by having preset acceptable limits
on the stresses, loads, deformations, water levels and pressures measured.

7.6.2 Prior to the commencement of excavation, preset acceptable levels should be assigned to
selected critical instrument as follows:

a) Check Level (CL) – 50 % of the Suspension Level;

b) Alert Level (AL) – 70 % of the Suspension Level;

c) Suspension Level (SL) – the limiting value allowed in the design.

7.6.3 Separate AL and SL values should be set for both positive and negative readings, where
appropriate. These should include appropriate allowances for background reading fluctuations,
tolerances etc.

7.6.4 The following should be taken into consideration when establishing the SL:

a) Limits as given in relevant codes and regulations;

b) Limiting loads and/or deflections in structural members;

c) Limits on movement of the ground, surfaces, utilities or structures;

d) Limits on water levels and/or pressures.

7.6.5 A limit on the lowering of water table outside the excavation should be set to minimise
consolidation which, alone or in combination with other expected movements, could result in a
settlement SL being exceeded.

7.6.6 Upper limits should be set for water pressures below the base of the excavation for each
excavation stage such that design assumptions or parameters including hydraulic uplift, toe stability
and piping should not be invalidated or stability in any other mode impaired.

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7.7 Multi-tier level monitoring and reviews

7.7.1 In addition to the SL values based on the most critical construction stage, preset limits should
be determined for each stage of excavation and backfilling. These limits should be assigned to
selected critical instruments that measure wall deflections, ground and building movements, loads or
stresses in structural members and water pressures. The preset limits should usually be assigned at
each stage of excavation, e.g. immediately prior to installation of struts, anchors or the base slab, and
after removal of struts, immediately prior to backfilling.

7.7.2 Excavation and strut removal should only proceed if the monitored performance for the
current stage is within established preset limits. Otherwise, the design should be reviewed with new
analyses to estimate the final performance during all remaining stages and to establish that the SL will
not be breached.

7.7.3 All the monitoring results should be reviewed in a timely manner to ensure that there is a
reasonable agreement between the predicted and actual performance. At each review, the values,
trends and patterns of readings and results should be compared against design predictions. All
anomalous readings should be investigated and their significance evaluated and assessed. Where
significant changes occur between readings, the reading frequency should be increased.

7.8 Full design reviews

7.8.1 If at any time before reaching an alert level or the alert level is breached and it becomes
apparent from monitoring instrument readings that SL is likely to be exceeded, the instrumentation
data, retaining wall and its supporting system design should be reviewed in detail and the works
should be inspected on site for condition and compliance with the design intent. Remedial or
protective measures should be implemented in time to ensure that the works are safe and that no
breach of an SL will arise. In particular, the review should consider whether the site conditions are
more onerous than those assumed in the design and whether the materials, specifications and
workmanship in the earth retaining system fully satisfy all the design requirements. The review should
also consider the likely trend of the readings to the end of the works and whether any SL is likely to be
exceeded.

7.8.2 If the SL is reached, the related part of the works should immediately be made safe and all
other works in that area stopped, pending the outcome of review. Construction should not proceed
until proper remedial actions and all necessary measures are put in place. These have to fully ensure
safety and robustness and entirely remove the possibility of exceeding the SL. Methods to
compensate present and future excess loads or movements should be part of the remedial and
protective measures undertaken.

7.8.3 The review should include full analyses with justifications and design validation with actual
monitored behaviour to assess and check on requirements for stability of the excavations and
construction works, and to ensure that all minimum mobilisation factors, load factors and safety
factors, including robustness considerations of supporting system, are adequately met.

7.8.4 The back-analysis should be carried out to reflect the actual construction sequence and
monitored behaviour. It should not be limited to curve-fitting of wall deflections.

7.8.4.1 The review of the design assumptions should include the appropriateness of the models
used, soil parameters, wall stiffness, construction sequences, actual soil layering, drainage conditions,
recorded pore water pressures, actual surcharges and applied preloads etc. Any changes or
revisions made in the back-analysis should not be arbitrary. There should be a clear rationale,
justification and substantiation of all changes adopted in the model and computation such as the
results of field or laboratory tests or evidence from construction records.

7.8.4.2 If a back-analysis is carried out for one area of a site that results in major changes being
made to any aspect of the modelling then the same changes have to be made to the analyses for all
other areas of the site where the similar conditions apply.

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Section Eight – Safety of construction

Safety of construction personnel is of paramount importance and should be prioritised when planning
any excavation works.

The management of risks and hazards of excavation works should not be left to the builder or the
Workplace Safety and Health Officer (WSHO) but should be addressed right at the beginning of the
design stage.

8.1 Risk assessment


In accordance with the Workplace Safety and Health (Risk Management) Regulations, a risk
assessment should be conducted to assess the risk posed by the excavation works.

Starting from the design stage, a risk assessment specific to excavation works should be done and
the control measures determined to reduce the risk. The obligation to reduce the risk should be upon
the person who creates the risk.

The hazards identified should include, but not be limited to, the possible worst case scenarios such as:

− Collapse of excavated slope;

− Failure or damage of soil retaining structure;

− Damage of supporting structure;

− Flooding;

− Damage to surrounding structures.

In assessing the risks of the hazards identified, the risk should be reduced to an acceptable level
through proposed control measures and these control measures should be implemented in the course
of the work.

The Risk Assessment should be reviewed in the event of a change of the design or in the scope of
works.

8.2 Risk registry


The risk assessment should be kept in a risk register and the information made available to the
builder. Vital information on safety, design and construction should be included in the risk register to
enable effective communication of risks and hazards to the parties involved.

8.3 Permit-to-excavate
In accordance with the Workplace Safety and Health (Construction) Regulations: Clause 10, a permit-
to-excavate system should be implemented before the commencement of the excavation to ensure
that:

a) The excavation work can be carried out with due regard to the safety and health of the
workers;

b) The workers are informed of the hazards associated with such work and the precautions they
have to take;

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c) The necessary safety precautions are taken and enforced when such work is being carried out.

8.4 Site inspection


Before any work commences, the site should be examined for signs of cave-ins, failure of earth
retaining systems, toxic or hazardous substances or atmospheres.

Inspections should be carried out as follows:

− Daily and before work commences;

− When there are tension cracks, sloughing, undercutting, water seepage or bulging, or when
the soil is disturbed;

− When the size, location or placement of the spoil heap changes;

− When any movement of the adjacent structures is noticed;

− When movement of the retaining structure is beyond expected reading;

− After every rainstorm or seismic activity.

Any possible signs of cave-ins, failure of earth retaining systems, toxic or hazardous substances or
atmospheres should be thoroughly investigated before any work can commence.

Site personnel responsible for the daily site inspections should be adequately trained to identify
possible signs of slope failure or failure of structural support.

8.5 Verification of site findings with designer


Often, site personnel are endangered in excavation works because the design intent, assumptions
and excavation methods are not verified with the designer. This could lead to a failure of the
excavation site, resulting in accidents.

To ensure a safe excavation, the person in charge of excavation should:

− Confirm design intent with the designer.

− Confirm assumptions to be verified on site with the designer.

The verification of the assumptions is usually done through instrumentation readings which
should be obtained on a regular basis and submitted to the designer for verification.

− Confirm excavation method with the designer.

The person in charge of excavation should follow the step-by-step procedure as agreed with
the designer for excavation to ensure safety of the site and hence construction personnel.

− Confirm inspection findings with the designer if any sign of soil or structure failure is observed.

− Confirm instrumentation readings with designer to ensure they are within the allowable limits.

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8.6 Training and supervision


All workers on an excavation site should be trained and supervised during their course of work.

The training programme should include, but not be limited to:

− Safe methods of excavation;

− Identification of hazards related to the use of excavation plant and equipment;

− Use of personal protective equipment (PPE);

− Emergency procedures.

Employers have to take reasonably practicable steps to ensure a safe working environment for their
workers and that workers are adequately prepared for their course of work.

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Annex A

Guidance on descriptions and weathering classifications

A.1 General

A.1.1 This Annex provides guidance on the various ways of describing and classifying weathered
rocks as outlined in BS 5930 : 1999. It is intended to ensure consistent application of BS 5930, but not
to change any requirement of the Standard. Reference should also be made to ‘The description and
classification of weathered rocks for engineering purposes’, Quarterly Journal of Engineering Geology,
28, 207 – 242 (1995), for further details of the working party report that was used in the preparation of
BS 5930 :1999.

A.1.2 All site investigation work should comply with the current version of BS 5930.

A.1.3 Personnel: The soil and rock descriptions which appear on final bore logs should be prepared
by a geologist, engineering geologist or geotechnical engineer and based on inspection of the
samples retrieved, driller’s logs, site supervisor’s records, in-situ tests, laboratory tests and laboratory
descriptions. See also Section 17 on Personnel for Ground Investigation, BS 5930 : 1999.

A.2 Background

A.2.1 Before the Mass Rapid Transit (MRT) projects in 1983, the weathering classification system in
Singapore closely followed Public Works Department (PWD) standards which were based on the BS
standards and proposals made by the Geological Society Engineering Group Working Party in 1970
(Anon 1970). However, a simplified weathering classification system was developed in 1983 for the
first Phase of MRT and became general use. At the end of 2001/early 2002, weathering
classifications based on BS 5930 :1999 came into use.

A.3 Description and classification of rocks

A.3.1 All samples of rocks have to be fully described and classified as outlined in Section 6 of BS
5930. It provides different approaches for classifying material scale weathering in rocks. These are
Approach 2 (for rocks that are moderately strong or stronger in a fresh state), Approach 4 (rocks that
are moderately weak or weaker in a fresh state) or Approach 5 (special cases such as karst).

A.3.2 The factual description of the material, including comments on weathering, in Approach 1 in
Table 19 of BS 5930 :1999 should be followed in all cases.

A.3.3 Weathering grade classifications at a material scale should be shown on the borelog. These
classifications should be based on Approach 2 (Bukit Timah granite, Gombak norite and Jurong
formation) and Approach 4 (Old alluvium), as seen in Table 19 of BS 5930. There should be no
attempt to assess heterogeneous mass classifications (Approach 3) on the borehole records.

A.4 Basis for assessing material scale weathering classifications for rocks
in Singapore

A.4.1 Table A.1 gives a description of the soils and rock types in relation to their geological origins.

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Table A.1 – Description of soil and rock types

Notations Soil and rock General description Geological formation


types (PWD, 1976)
B Beach Sandy, sometimes silty, with Kallang Littoral, possibly also
(Littoral) gravels, coral and shells part of all other members &
Tekong

E Estuarine Peats, peaty and organic Kallang Transitional, possibly


(Transitional) clays, organic sands part of Alluvial and Marine

F Fluvial Sands, silty sands, silts and Kallang Alluvial, possibly part
(Alluvial) clays of all other members and
Tekong

F1 Predominantly granular soils Bed of Alluvial Member of


including silty sands, clayey Kallang
sands and sandy silts

F2 Cohesive soils including silty Bed of Alluvial Member of


clays, sandy clays and clayey Kallang
silts

M Marine Very soft to soft blue or grey Kallang Marine Member.


clay

O Old alluvium Very weak to weak beds of Old alluvium


sandstone and mudstone.
See Table A.5 for weathering
classification

FC Fort Canning A colluvial deposit of boulders Not shown in Geology of


boulder bed in a soil matrix. The matrix is Singapore, PWD (1976)
(also known as typically a hard silty clay but
S3, bouldery can be granular. The material
clay or boulder is largely derived from the
bed) rocks and weathered rocks of
the Jurong formation.

S Sedimentaries Sandstones, siltstones, Jurong, Tengah, Rimau, Ayer


(rocks & mudstones, conglomerate and Chawan and Queenstown
associated limestone. The rock has been Facies (and Pandan
soils) subjected to a varying degree Limestone, which was not
of metamorphism. See Table identified in Geology of
A.4 for weathering Singapore, PWD (1976))
classification.

G Granite (rock Granitic rocks, including Bukit Timah granite


and associated granodiorite, adamellite and
residual soils) granite. See Table A.3 for
weathering classification.

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A.4.2 Table A.2 gives rock weathering classification. Over the past decades, various systems for
the classification of the weathering of the old alluvium have been in use. Reference should be made
to the corresponding reports for the basis of the classification systems.

Table A.2 – Rock weathering classification

Geological Grade/ Class Classification Characteristics


notations
SI & GI I Fresh Unchanged from original state
SII & GII II Slightly weathered Slight discoloration, slight weakening
SIII & GIII III Moderately Considerably weakened, penetrative
weathered discoloration, large pieces cannot be
broken by hand
SIV & GIV IV Highly weathered Large pieces cannot be broken by hand,
does not readily disaggregate (slake) when
dry sample is immersed in water
SV & GV V Completely Considerably weakened, slakes, original
weathered texture apparent
SVI & GVI VI Residual soil Soil derived by in-situ weathering but
retaining none of the original texture or
fabric
OA A Unweathered Original strength, colour, fracture spacing
OB B Partially weathered Slightly reduced strength, slightly closer
fracture spacing, weathering penetrating in
from fractures, brown oxidation
OC C Distinctly weathered Further weakened, much closer fracture
spacing, grey reduction
OD D Destructured Greatly weakened, mottled, ordered
lithorelics in matrix becoming weakened
and disordered, bedding disturbed
OE E Residual soil Matrix with occasional altered random or
‘apparent’ lithorelics, bedding destroyed.
Classed as re-worked when foreign
inclusions are present as a result of
transportation

A.4.3 Tables A.3 to A.5 for classifying weathered rocks provide the basis for establishing
weathering descriptions under BS 5930 : 1999. However, it is not necessarily the case that all of the
weathering grades will be present at a particular location.

A.5 Bukit Timah granite and Gombak norite

A.5.1 Approach 2 follows the system originally devised by Moye in 1955 for granite in Australia, and
which has been used for many years for granite in Hong Kong. The igneous rocks of Bukit Timah
granite and Gombak norite should be described using Approach 2 for classification.

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A.5.2 The Geotechnical Engineering Office (GEO) in Hong Kong produced a list of simple indicators
for the assessment of weathering grades in Hong Kong. A slightly amended version is given in Table
A.3. These indicators may also be used in the igneous rocks of Singapore, which have a similar
strength when fresh.

A.5.3 It is particularly important to distinguish between grades III, IV, V and VI, where present, as
there is a significant difference in the engineering behaviour of each of these grades. Typically, the
weathered granite in Singapore has a thick mantle of residual soil, with only limited Grade V and/or
Grade IV materials below the residual soil. In order to identify these during site investigation, careful
and closer sampling has to be carried out once the SPT value reaches 30 blows/300 mm. The
‘Classifiers’ are provided in BS 5930 (see Table A.2).

Table A.3 – Bukit Timah granite and Gombak norite

Weathering classification for Bukit Timah granite and Gombak norite

Grade Basis for assessment


I Intact strength, unaffected by weathering. Not broken easily by hammer –
rings when struck. No visible discolouration.

II Not broken easily by hammer – rings when struck. Fresh rock colours
generally retained but stained near joint surfaces.
III Cannot be broken by hand. Easily broken by hammer. Makes a dull or
slight ringing sound when struck with hammer. Stained throughout.
IV Core can be broken by hand. Does not slake in water. Completely
discoloured.
V Original rock texture preserved, can be crumbled by hand. Slakes in
water. Completely discoloured.
VI Original rock structure completely destroyed. Can be crumbled by hand.

A.6 Jurong formation

A.6.1 The Jurong formation includes a variety of sedimentary rocks that have been subjected to a
variable degree of metamorphism. Where observed, such evidence of metamorphism has to be
described on the borehole record. In some cases, it is appropriate to use a term indicating a
metamorphic rock, rather than a sedimentary rock, in the Jurong formation i.e. quartzite rather than
sandstone.

A.6.2 The engineering properties are affected by factors such as lithology, stress history, degree of
cementation/lithifaction and degree of metamorphism or silicification. The degree of weathering is
therefore only one factor in assessing the engineering properties of the ground. It is essential that the
description of the material covers all observable features, as required in the BS 5930 : 1999, and not
just weathering.

A.6.3 The rocks of the Jurong formation exhibit a wide range of strength in the fresh state, and
weather in different ways. The generally weak mudrocks weather in a way that is best described by
Approach 4, while the stronger sandstones and conglomerates weather in a way similar to Approach
2. Where the rock is thinly bedded, which is the case in much of the formation, it is considered
impractical to apply different approaches. Approach 2 will thus be used for the classification of Jurong
formation wherever it is thinly bedded, and in all cases to sandstone, quartzite, siltstone, shale and
conglomerate. The formation also includes the pandan limestone. Where mudstone or pandan
limestone is predominant in an area, then Approach 4 may be used for the mudstone and Approach 5
for the limestone. The methods for assessing the weathering grade under Approach 2 are given in
Table A.4.

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A.6.4 For Approaches 4 and 5, reference should be made to BS 5930.

Table A.4 – Jurong formation

Weathering classification for Jurong formation


Grade Basis for assessment
I Intact strength, unaffected by weathering
II Slightly weakened, slight discolouration, particularly along joints.
III Considerably weakened & discoloured, but larger pieces cannot be broken
by hand. (Rock Quality Designation, RQD is generally >0, but RQD should
not be used as the major criterion for assessment).
IV Core can be broken by hand or consists of gravel size pieces. Generally
highly to very highly fractured, but majority of sample consists of lithorelics.
(RQD generally = 0, but RQD should not be used as the major guide for
assessment). For siltstone, shale, sandstone, quartzite and conglomerate,
the slake test can be used to differentiate between Grade V (slakes) and
Grade IV (does not slake).
V Rock weathered down to soil-like material, but bedding intact. Material
slakes in water.
VI Bedding destroyed

A.7 Old alluvium

A.7.1 The old alluvium is an alluvial deposit that has been variably cemented, often to the extent
that it has the strength of a very weak or weak rock. The upper zone of the old alluvium has typically
been affected by weathering, and it is important that this weathering is described and classified. The
use of Approach 4 of BS 5930 is recommended. However, although weathering of feldspars and
mottling may be observed in borehole samples, it is generally difficult to assess the weathering grade
from the visual inspection of samples obtained from boreholes.

A.7.2 It is common practice in Singapore to use the blow count from SPT testing as an indicator of
weathering classification. It has to be understood that the SPT result is influenced by factors other
than weathering. These other factors would include depositional environment, degree of cementation
and the equipment and method used for the testing. Table A.5 gives guidance on the typical SPT
values for different weathering grades, although the final classification should be based on an
assessment of both SPT and careful inspection of the samples recovered. Where possible, the
correlation with SPTs should be confirmed by comparing with any nearby large scale exposures of the
old alluvium. Care has to be taken in the SPT testing to ensure a representative test result, and
classification should not be based on SPT alone. It should be noted that layers of hardpan can be
found in the weathered old alluvium, and very high SPT values or refusal of the CPT may be due to
hardpan rather than a change in weathering grade. Conversely, there may be a sudden drop in SPT
blow count if a layer of uniform sand is encountered in a borehole which is not full of stabilising fluid.
Unlike the Bukit Timah granite or the Jurong formation, there is little evidence of joints in the old
alluvium. As a result, the weathering has typically penetrated as a discernible front from the surface.
It is therefore unlikely that there will be more weathered beds under less weathered beds. Other
factors, such as those given above, are likely to be the cause of a sudden drop in SPT as the hole is
advanced.

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Table A.5 – Old alluvium

Weathering classification for old alluvium


Class Classifier Characteristics Indicative SPT,
blows/300 mm*
A Unweathered Original strength

B Partially weathered Slightly reduced strength


C Distinctly weathered Further weakened 30 to 50

D Destructured Greatly weakened, often 10 to 30


mottled, bedding disturbed
E Residual Bedding destroyed <10

* NOTE – The SPT values should not be used in isolation to assess weathering.

A.8 Fort Canning boulder bed

A.8.1 The material underlying much of the southern parts of Singapore in the city area has variously
been termed ‘Singapore boulder bed’, ‘bouldery clay’ and ‘S3’. It has traditionally been included as
part of the Jurong formation, hence the use of the ‘S3’ classification. It is now generally agreed that
this deposit is of colluvial origin and is therefore not in-situ Jurong formation rock. Samples from this
deposit should be described, as appropriate, using the methods outlined for soils and rocks in BS
5930 : 1999. Samples obtained from the boulders should include a description of the weathering of
the rock. The use of the term ‘S3’ should be discontinued, as should the use of alternating ‘S2’ and
‘S4’. The material is termed as ‘Fort Canning boulder bed’. The Formation name (Fort Canning
boulder bed) should be inserted in brackets and in capital letters under the descriptions, where the
Formation can be identified with confidence.

A.8.2 S4a and b were terms originally introduced to classify materials which were similar to the
residual soil of the Jurong formation, but which were encountered above the Fort Canning boulder
bed. In some locations the material so described may be part of the boulder bed, but without the
characteristic quartzite boulders. In other locations, it may be part of the old alluvium. Where hard or
dense materials are encountered above what is clearly identifiable as Fort Canning boulder bed
material, then the samples should be examined carefully to determine whether the material is colluvial
or alluvial. If the material is clearly colluvial, it can be classified as ‘Fort Canning boulder bed’. If it is
alluvial, it can be classified as old alluvium. If no clear classification can be made, the material should
be described following Approach 1 stipulated in BS 5930 : 1999.

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Annex B

Classification of brickwork or masonry building damage

Table B.1 – Classification of visible damage to walls with particular reference to ease of repair
of plaster and brickwork or masonry

Normal Description of typical damage


degree of (Ease of repair is in italics)
severity
NOTE – Crack width is only one factor in assessing ‘normal degree of severity’
or establishing the ‘category of damage’ and should not be used on its own as
a direct measure of it.

Negligible Hairline cracks less than about 0.1mm.


Very slight Fine cracks which are easily treated during normal decoration. Damage
generally restricted to internal wall finishes. Close inspection may reveal
some cracks in external brickwork or masonry. Typical crack widths up to
1mm.
Slight Cracks easily filled. Re-decoration probably required. Recurrent cracks can
be masked by suitable linings. Cracks may be visible externally and some
re-pointing may be required to ensure weathertightness. Doors and
windows may stick slightly. Typical crack widths up to 5mm.
Moderate The cracks require some opening up and can be patched by a mason.
Repointing of external brickwork and possibly a small amount of brickwork to
be replaced. Doors and windows sticking. Service pipes may fracture.
Weathertightness often impaired. Typical crack widths are 5 to 15mm or
several greater than 3mm.
Severe Extensive repair work involving breaking-out and replacing sections of walls,
especially over doors and windows. Windows and door frames distorted,
floor sloping noticeably1. Walls or building leaning1 noticeably, some loss of
bearing in beams. Service pipes disrupted. Typical crack widths are 15 to
25mm but also depend on the number of cracks.
Very severe This requires a major repair job involving partial or complete rebuilding.
Beams lose bearing, walls lean badly and require shoring. Windows broken
with distortion. Danger of instability. Typical crack widths are greater than
25mm but depend on the number of cracks.

* NOTE – Local deviation of slope, from the horizontal or vertical, of more than 1/100 will normally be clearly
visible. Overall deviations in excess of 1/150 are undesirable.

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Annex C

Informative references

1) Attewell, Yeates and Selby (1996). Soil movements induced by tunnelling and their effects
on pipelines and structures. Blackie and Sons, London.

2) Batten, M., Powrie, W., Boorman, R., Yu, H.T. and Leiper, Q. (1999). Use of vibrating wire
strain gauges to measure loads in tubular steel props supporting deep retaining walls.
Proceedings of the Institution of Civil Engineers – Geotechnical Engineering, 137, No. 1, 3-
13.

3) Bjerrum, L., and Eide, O. (1956). Stability of strutted excavations in clay. Geotechnique,
6(1), 32-47.

4) Bolton, M.D. (November 1996). Geotechnical design of retaining walls. The Structural
Engineer, Volume 74, No. 21.

5) Boone, S.J., Westland, J. and Nusink, R. (1999). Comparative evaluation of building


responses to an adjacent braced excavation. Can. Geotech. J. 36: 210–223.

6) Boscardin, M.D. and Cording, E.G. (1989). Building response to excavation-induced and
settlement. Journal Geotechnical Engineering, ASCE, vol 115.

7) Bracegirdle, A., Mair, R.J., Nyren, R.J. and Taylor, R.N. (1996). A simple methodology for
evaluating the potential damage to buried cast iron pipes from ground movement arising
from tunnelling. International Symposium on Geotechnical Aspects of Underground
Construction in Soft Ground, London.

8) Burland, J.B., Broms, B.B. and De Mello, V.F.B. (1977). Behaviour of foundations and
structures. Proceedings of the 9th Int Conference of Soil Mechanics and Foundation
Engineering, Tokyo.

9) Chang, J.D. and Wong, K. S. (April 1996). Apparent pressure diagram for braced excavation
in soft clay with diaphragm wall. Proceedings of Conference on Geotechnical Aspects of
Underground Construction in Soft Ground, London.

10) CIRIA C580 (2003) – Embedded retaining walls – Guidance for economic design.

11) CIRIA 104 (1984) – Design of retaining walls embedded in stiff clay.

12) Dunnicliff, J. (1988). Geotechnical instrumentation for monitoring field performance. John
Wiley.

13) Defence Science and Technology Agency (2009), Geology of Singapore, 2nd Edition.

14) Eide, O., Aas, G., and Josang, T. (1972). Special applications of cast-in-place walls for
tunnels in soft clay in Oslo. Pub. 91. Norwegian Geotechnical Institute, Oslo, 63-72.

15) Finno, R. J., Lawrence, S. A., Allawah, N. F., and Harahap, I. S. (1991). Analysis of
performance of pile groups adjacent to deep excavations. Journal of Geotechnical
Engineering, ASCE, 117(6), 934-955.

16) GCO Publication No. 1/90 Review of design methods for excavations. Geotechnical
Engineering Office, Civil Engineering Department, Hong Kong.

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17) Goh, A. T. C. (1994). Estimating basal-heave stability for excavations in soft clay. J.
Geotech. Eng., 120(8), 1430-1436.

18) Goh, A. T. C., Wong, K. S., Teh, C. I., and Wen, D. (2003). Pile response adjacent to braced
excavations. Journal of Geotechnical and Geoenvironmental Engineering, ASCE, vol.
129(4), 383-386.

19) Goh, A. T. C., Teh, C. I. and Wong, K. S. (1996). The response of vertical piles to ground
movements from adjacent braced excavations. Proceedings of the 12th Southeast Asian
Geotechnical Conference, Kuala Lumpur, May 1996, vol. 1, 403-409.

20) Guidelines for the use of advanced numerical analysis. Thomas Telford (2002). Edited by
Potts, D., Axelsson, K., Grande, L., Schweiger, H. and Long, M.

21) Hanna, T. H. (1985). Field instrumentation in geotechnical engineering. Trans Tech


Publications, Clausthal-Zellerfeld, Federal Republic of Germany.

22) Holmes, G., Roscoe, H. and Chodorowski, A., (2005) Construction monitoring of cut and
cover tunnels. Proceedings of the Institution of Civil Engineers – Geotechnical Engineering,
158, No. 4, 187-196.

23) Japan Jet Grout Association (August 1997). Jet grout (Column jet – Technique materials),
6th edition.

24) Long, M. (2001). Database for retaining wall and ground movements due to deep
excavations. Journal of Geotechnical Engineering, American Society of Civil Engineers, Vol
127, No. 3 pp 203-224.

25) Mair, R.J., Taylor, R.N. and Burland, J.B. (1996). Prediction of ground movements and
assessment of risk of building damage due to bored tunnelling. International Symposium on
Geotechnical Aspects of Underground Construction in Soft Ground, London.

26) Mana, A.I. & Clough, G.W. (1981). Prediction of movements for braced cuts in clay. Journal
of Geotechnical Engineering, American Society of Civil Engineers, Vol 107, pp 759-777.

27) NAVFAC DM-7.2 (1982). Foundations and earth structures. U.S. Navy Naval Facilities
Engineering Command.

28) Ong, D. E. L., Leung, C. F. and Chow, Y. K. (2002). Pile behavior due to excavation-induced
soil movements in clay. I: Stable wall. Journal of Geotechnical and Geoenvironmental
Engineering, ASCE, 132(1), 36-44.

29) Poulos, H. G. and Chen, L. T. (1997). Pile response due to excavation-induced lateral soil
movements. Journal of Geotechnical and Geoenvironmental Engineering, ASCE, 123(2), 94-
99.

30) Potts, D. (2003). Numerical analysis: A virtual dream or practical reality? Rankine lecture.
Geotechnique 53, No.6, pp 535-573.

31) Public Works Department (1976), Geology of the Republic of Singapore.

32) Puller, M. (2003). Deep excavations – A practical manual. Thomas Telford, London, 2nd
Edition.

33) Quarterly Journal of Engineering Geology, 28, 207 - 242 (1995).

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34) Rankin, W.J. (1988) Ground movements resulting from urban tunnelling: Predictions and
effects. In engineering geology of underground movements. Edited by F.G. Bell, M.G.
Colshaw, J.C. Cripps, and M.A. Lovell. Geology Society, London, pp.79 – 92.

35) Richards, D.J., Holmes, G. and Beadman, D.R., (1999) Measurement of temporary prop
loads at Mayfair car park. Proceedings of the Institution of Civil Engineers – Geotechnical
Engineering, 137, No. 3, 165-174.

36) Terzaghi, K. (1943). Theoretical soil mechanics. John Wiley & Sons, New York.

37) Terzaghi and Peck (1967) Soil mechanics in engineering practice by John Wiley.

38) The Institution of Structural Engineers (2004). Design and construction of deep basements
including cut-and-cover structures.

39) The Institution of Structural Engineers, UK (Mar 2002) The use of computers for engineering
calculations.

40) Twine, D and Roscoe H, (1999), Temporary propping of deep excavations – Guidance on
design. CIRIA publication C517, CIRIA, London.

41) Wong, K. S., and Goh, A.T.C. (2002). Basal heave stability for wide excavations. Proc. 3rd
Int. Symp. Geotech. Aspects of Underground Construction in Soft Ground, Toulouse, 699-
704.

42) Workplace Safety and Health (Construction) Regulations (2007).

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Feedback Form

To : Head
Standardisation Department
SPRING Singapore
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Singapore 159835

E-mail : stn@spring.gov.sg

Fax : (65) 62786990

Technical Reference for deep excavation

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