Professional Documents
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2009
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
Notice
This report was prepared as an account of work sponsored by Risiko Technik Gruppe (RTG). Reference
herein to any specific commercial product, process, or service by trade name, trademark, manufacturer, or
otherwise, does not necessarily constitute or imply its endorsement, recommendation, or favoring by the
Risiko Technik Gruppe, any agency thereof, or any of their contractors or subcontractors.
ACRONYMS
ADP
Automatic Data Processing
AFFF
Aqueous Film-Forming Foam
ASTM
American Society for Testing and Materials
EMCS
Energy Monitoring and Control System
ESFR
Early Suppression Fast-Response Sprinklers
FS
Flame Spread Rating
IBC
International Building Code
LED
Light Emitting Diode
LOX
Liquid Oxygen
NFPA
National Fire Protection Association
NIMA
National Imagery and Mapping Agency
NRTL
Nationally Recognized Testing Laboratory
P. E.
Registered Professional Engineer
POL
Petroleum Oil Lubricant
SD
Smoke Developed Rating
SFPE
Society of Fire Protection Engineers
UL
Underwriters Laboratories Inc.
USC
United States Code
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
CONTENT
Preface 7
Thermodynamics Fundamentals 11
Introduction 11
Thermodynamic Systems and Surroundings 11
Thermodynamic Process 12
Overall Mass Balance and Continuity Equation 13
Derivative Equation of a Function 13
Overall Mass Balance 16
Differential Equations of Continuity and Momentum Transfer 19
Diffusion in Gas 22
Principles of Steady State Heat Transfer 24
Heat Conduction Transfer 25
Convective Heat Transfer 26
Internal Heat Generation 27
Volumetric Coefficient of Expansion 28
Radiation Heat Transfer 28
Principles of Unsteady State Heat Transfer 35
Unstedy State Heat Conduction Transfer 35
Unstedy State Heat Convection Transfer 36
Unstedy State Heat Radiation Transfer 37
Combustion and Smoke 39
Smoke Production 39
Combustion 42
Bibliography 45
Atmospheric Dispersion Fundamentals 46
Introduction 46
Momentum Transfer 46
Energy Transfer 48
Atmospheric Mass Transfer 49
Atmospheric Diffusion Coefficients 52
Topography and Meteorological Conditions 54
Turbulent Eddy Diffusion 55
Potencial Temperature and Atmospheric Stability 55
Effective Height of an Emission 57
Smoke Transfer Film Theory 58
Bibliography 59
Fire and Explosion Risk 60
Introduction 60
Understand Fire Hazards 60
Hydrocarbon Substances and Their Properties 61
Sources of Oxygen 63
Ignition Sources 63
Natural Suppressants 65
Safety Analysis and Risk Management of Fires 66
Flame Emissive Power 66
Limiting Thermal Radiation Damage Criteria 67
Thermal Radiation Damage Probits 67
Safety Issues Related with Potential Damage Caused by Fires 69
Risk Assessment of Fire Hazards 73
Risk Analysis Elements of a Potential Hydrocarbon Spill 73
Potential Consequences from an Hydrocarbon Spill 74
Evaluation of Four Recent Hydrocarbon Spill Modeling Studies 76
Accidental Hydrocarbon Spill and Hazard Analyses 77
Intentional Hydrocarbon Spill and Hazard Analyses 79
FIRE AND EXPLOSION RISK ANALYSIS
PREFACE
Available methods to estimate the potential impact of fire can be divided into two categories: risk-based and
hazard-based. Both types of methods estimate the potential consequences of possible events. Risk-based
methods also analyze the likelihood of scenarios occurring and the safety level implied, whereas hazard-
based methods do not. The goal of a fire hazards analysis (FHA) is to determine the expected outcome of a
specific set of conditions called a fire scenario. The scenario includes details of the following issues:
(1) Space facility dimensions, contents, and materials of construction;
(2) Arrangement of facilities in the plant or building;
(3) Sources of combustion air;
(4) Position of escape pathways;
(5) Numbers, locations, and characteristics of occupants;
(6) And any other details that have an effect on the outcome of interest.
This outcome determination can be made by expert judgment, by probabilistic methods using data from past
incidents, or by deterministic means such as fire models. Fire models include empirical correlations,
computer programs, full-scale and reduced-scale models, and other physical models. The trend today is to
use models whenever possible, supplemented if necessary by expert judgment. Although probabilistic
methods are widely used in risk analysis, they find little direct application in modern hazard analyses.
Typically, when the potential impact of fire is estimated, a hazard basis is used. When probabilities or
frequencies are considered, it is usually in the context of determining whether or not a scenario is
sufficiently likely to warrant further analysis.
Hazard analysis can be used for one of two purposes. One is to determine the hazards that are present in an
existing or planned facility. The other use is for design, where trial design strategies are evaluated to
determine whether they achieve a set of fire safety goals. Hazard analysis can be thought of as a component
of risk analysis. That is, a risk analysis is a set of hazard analyses that have been weighted by their
likelihood of occurrence, frequency of exposure, criticality of event, and safety level implied. The total risk is
then the sum of all of the weighted hazard values. In the insurance and industrial sectors, risk assessments
generally target monetary losses, since these dictate insurance rates or provide the incentive for
expenditures on protection. In the nuclear power industry, probabilistic risk assessment has been the basis
for safety regulation. Here the risk of a release of radioactive material to the environment is commonly
examined, ranging from a leak of contaminated water to a core meltdown. Available fire hazard calculation
methods range from relatively simple equations that can be performed with a hand calculator to complex
methods that require powerful computers, and many methods that fall between.
(4) Critical process control or safety systems are not damaged by fire;
(5) Vital programs are not delayed by fire (mission continuity);
(6) Property damage does not exceed acceptable levels (e.g. 150 million Euro per incident).
An insurance company might want to limit the maximum probable loss to that on which the insurance rate
paid by the customer is based; a manufacturer might want to avoid failures to meet orders to avoid erosion
of its customer base; and some businesses might want to guard their public image of providing safe and
comfortable accommodations. Any combination of these outcomes could be selected as appropriate for an
fire hazard analysis.
(2) An ultrafast-developing fire in the primary means of egress, with interior doors open at the start of the
fire;
(3) A fire that starts in a normally unoccupied room or space that may endanger large numbers of
occupants;
(4) A fire that originates in a concealed wall or ceiling space adjacent to a large occupied room or space;
(5) A slowly developing fire, shielded from fire protection systems, in close proximity to a high-occupancy
area;
(6) The most severe fire resulting from the largest possible fuel load characteristic of the normal operation
of the building or facility;
(7) An outside exposure fire;
(8) A fire originating in ordinary combustibles with each passive or active fire protection system individually
rendered ineffective; this scenario is not required where it can be shown that the level of reliability and
the design performance in the absence of the system are acceptable to the Authority Having Jurisdiction
(AHJ).
Although only eight scenarios are listed in the performance option of NFPA 101, more than eight scenarios
will be developed and analyzed. For most building and facility designs, for example, there will usually be far
more than a single scenario that is representative of a typical fire in a given occupancy.
Bounding Conditions
During development of the fire scenarios and design fire scenarios, the allowable future changes in the
facility must also be considered. The extent of the changes that are considered by the design become
bounding conditions for the analysis and subsequent use of the building or facility. One can expect that a
design fire scenario is not exactly what will happen and that the building or facility as originally designed and
anticipated will not remain exactly as analyzed. Therefore, as one develops design fire scenarios and one
calculates the expected fire response, some amount of change in those scenarios must also be considered.
When conducting a hazard analysis, it is important to consider the types of changes that may occur. If the
hazard analysis only considered a specific set of initial conditions, then it would be necessary to revise the
fire hazard analysis any time changes were made in the future. The range of changes that will be considered
by the hazard analysis is a judgment call between the designers and the owner of the facility. Other
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
situations that might occur on a more general basis, for any occupancy, include the response of a fire
department and cutbacks in fire department funding or unwanted alarms causing deactivation of a system.
Some of these bounding assumptions can be addressed specifically—for instance, maximum fuel load or
occupant characteristics.
Implied Risk
Although this textbook addresses fire hazard analysis, there is some implied risk in any such analysis. The
primary risk factors involved are included in the design fire development. The design fires described for the
building or facility did not include such unsual accidents as gasoline tanker trucks crashing into the side of
the building (facility) or bombs ignited at the base of the facility. There is always the risk that these events
could happen, but the engineer must evaluate the likelihood of these events. For example, buildings and
facilities are typically not designed to survive the impact and ensuing fire of a missile strike. If this were to
occur, achievement of the design goals and objectives might not be expected. Similarly, it is conceivable that
simultaneous fires could occur, although prescriptive codes such as NFPA 101 explicitly exclude such an
event. These might be limitations described in the fire strategy report to clarify what is covered and what is
not. When proposing to exclude a scenario from further consideration, it is important to ensure that
stakeholders understand the implications of excluding the scenario. For example, if the fire scenario
associated with a gasoline tanker truck crashing into the side of the building or facility is dismissed, and the
building is located on a highway leading to a major oil refinery, stakeholders would need to understand and
accept that if a gasoline tanker truck did crash into the side of the building or facility, goals and objectives
might not be met.
Data Sources
In developing design fire scenarios, it is useful to have data on which to base future quantification. Members
of the NFPA Life Safety Code Technical Committees developed the design fire scenarios based on statistical
analyses prepared by the NFPA Fire Analysis and Research Division and also on past fires that have occurred
in different occupancy types. The NFPA One Stop Data Shop provides much information regarding fire
statistics and results. Other sources addressing typical fires in occupancies include Factory Mutual data, state
or local jurisdiction data for various occupancies, the National Fire Incident Reporting System, or past fire
history published in the NFPA Journal. Other possibilities include fire test results (many of which can be
found on the National Institute of Standards and Technology Fire Internet site), manufacturers’ data
regarding specific fire performance of materials, or listings of materials by recognized test labs. It can be
reasonably expected that the amount of data to develop a design fire will not be sufficient to exactly predict
what will happen in all cases.
FIRE AND EXPLOSION RISK ANALYSIS
Section 1
THERMODYNAMICS FUNDAMENTALS
INTRODUCTION
Thermodynamics is the study of energy changes accompanying physical and chemical processes such is the
fire phenomena. The energy changes associated with chemical reactions, such are those involving
combustion and fire reactions, are of considerable importance. In describing heat energy transfer problems
we often make the mistake of interchangeably using the terms heat and temperature. Actually, there is a
distinct difference between the two. Temperature is a measure of the amount of energy possessed by the
molecules of a substance. On the molecular scale it is known that the temperature is related to the average
translational energy of the molecules. It is a relative measure of how hot or cold a substance is and can be
used to predict the direction of heat transfer. The symbol for temperature is T. The common scales for
measuring temperature are the Fahrenheit (ºF), Rankine (R), Celsius (ºC), and Kelvin (K) temperature
scales. Heat is energy in transit. The transfer of energy as heat occurs at the molecular level as a result of a
temperature difference. Heat is capable of being transmitted through solids and fluids by conduction,
through fluids by convection, and through empty space by radiation. The symbol for heat is Q. Common
units for measuring heat are the British Thermal Unit (Btu) in the English system of units and the calorie
(cal) or joule (J) in the SI system (International System of Units). Heat is always transferred when a
temperature difference exists between two bodies. There are three basic modes of heat transfer: (1)
Conduction involves the transfer of heat by the interactions of atoms or molecules of a material through
which the heat is being transferred. (2) Convection involves the transfer of heat by the mixing and motion of
macroscopic portions of a fluid. (3) Radiation, or radiant heat transfer, involves the transfer of heat by
electromagnetic radiation that arises due to the temperature of a body. The amount of heat transferred
depends upon the path and not simply on the initial and final conditions of the system. The best way to
quantify the definition of heat is to consider the relationship between the amount of heat added to or
removed from a system and the change in the temperature of the system. Everyone is familiar with the
physical phenomena that when a substance is heated, its temperature increases, and when it is cooled, its
temperature decreases.
Thermodynamic Equilibrium
When a system is in equilibrium with regard to all possible changes in state, the system is in thermodynamic
equilibrium. For example, if the gas that comprises a system is in thermal equilibrium, the temperature will
be the same throughout the entire system.
Control Volume
A control volume is a fixed region in space chosen for the thermodynamic study of mass and energy
balances for flowing systems. The boundary of the control volume may be a real or imaginary envelope. The
control surface is the boundary of the control volume.
Steady State
Steady state is that circumstance in which there is no accumulation of mass or energy within the control
volume, and the properties at any point within the system are independent of time.
THERMODYNAMIC PROCESS
Whenever one or more of the properties of a system change, a change in the state of the system occurs.
The path of the succession of states through which the system passes is called the thermodynamic process.
One example of a thermodynamic process is increasing the temperature of a fluid while maintaining a
constant pressure. Another example is increasing the pressure of a confined gas while maintaining a
constant temperature.
Cyclic Process
When a system in a given initial state goes through a number of different changes in state (going through
various processes) and finally returns to its initial values, the system has undergone a cyclic process or cycle.
Therefore, at the conclusion of a cycle, all the properties have the same value they had at the beginning.
Steam (water) that circulates through a closed cooling loop undergoes a cycle.
Reversible Process
A reversible process for a system is defined as a process that, once having taken place, can be reversed,
and in so doing leaves no change in either the system or surroundings. In other words the system and
surroundings are returned to their original condition before the process took place. In reality, there are no
truly reversible processes; however, for analysis purposes, one uses reversible to make the analysis simpler,
and to determine maximum theoretical efficiencies. Therefore, the reversible process is an appropriate
starting point on which to base engineering study and calculation. Although the reversible process can be
approximated, it can never be matched by real processes. One way to make real processes approximate
reversible process is to carry out the process in a series of small or infinitesimal steps. For example, heat
transfer may be considered reversible if it occurs due to a small temperature difference between the system
and its surroundings.
Irreversible Process
An irreversible process is a process that cannot return both the system and the surroundings to their original
conditions. That is, the system and the surroundings would not return to their original conditions if the
process was reversed. For example, an automobile engine does not give back the fuel it took to drive up a
hill as it coasts back down the hill. There are many factors that make a process irreversible. Four of the most
common causes of irreversibility are friction, unrestrained expansion of a fluid, heat transfer through a finite
temperature difference, and mixing of two different substances. These factors are present in real,
irreversible processes and prevent these processes from being reversible.
Adiabatic Process
An adiabatic process is one in which there is no heat transfer into or out of the system. The system can be
considered to be perfectly insulated.
FIRE AND EXPLOSION RISK ANALYSIS
Isentropic Process
An isentropic process is one in which the entropy of the fluid remains constant. This will be true if the
process the system goes through is reversible and adiabatic. An isentropic process can also be called a
constant entropy process.
Polytropic Process
When a gas undergoes a reversible process in which there is heat transfer, the process frequently takes
place in such a manner that a plot of the Log P (pressure) versus Log V (volume) is a straight line. Or stated
in equation form PVn is a constant. This type of process is called a polytropic process. An example of a
polytropic process is the expansion of the combustion gasses in the cylinder of a water-cooled reciprocating
engine.
Throttling Process
A throttling process is defined as a process in which there is no change in enthalpy from state one to state
two; no work is done (W = 0); and the process is adiabatic (Q = 0). The theory states that an ideal
throttling process is adiabatic. This cannot clearly be proven by observation since a “real” throttling process
is not ideal and will have some heat transfer.
z Fu, v [1.1]
u x , y [1.2]
v x , y [1.3]
with parameters x and y. In this case, the function z is a composite function with variables x and y. we can
express z, directly, as a function of the parameters x and y,
z Fx , y , x , y [1.4]
If the variables u and v receive a small increase u and v for variable x, the function of Equation [1.1] will
increase by z for parameter x. Hence, we can write the increase z for parameter x as,
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
F F
z ux v x u ux v v x [1.5]
u v
If we divided both members of the Equation [1.5] by the increment in parameter x (x),
z F ux F v x ux v x
u v [1.6]
x u x v x x x
and if x approach to zero (x 0), then we can assume that u(x) and v(x) approach to zero,
u(x) 0 [1.7]
v(x) 0 [1.8]
because of continuity of functions represented by Equation [1.2] and Equation [1.3]. Also, parameters u and
v approach to zero when x approach to zero (x 0). Applying limits to Equation [1.6] when x approach
to zero (x 0), we can assume the following particular mathematical relations,
z z
lim [1.9]
x 0 x x
ux u
lim [1.10]
x 0 x x
v x v
lim [1.11]
x 0 x x
lim u 0 [1.12]
x 0
lim v 0 [1.13]
x 0
Hence, substituting Equation [1.9] through Equation [1.13] into Equation [1.6] we have the following
expression,
z F u F v
[1.14]
x u x v x
Conversely, if we have a increment y in the parameter y and maintaining the parameter x constant, and
using the same rationale as above, we would have an identical expression as Equation [1.14] for parameter
y.
z F u F v
[1.15]
y u y v y
z F x , y , u, v [1.16]
and both variables y, u, and v are dependent of on x variable. Thus, we can write the following
mathematical relationships,
FIRE AND EXPLOSION RISK ANALYSIS
y f x [1.17]
u x [1.18]
v x [1.19]
and we can say that Eqation [1.16] is a function of only one variable, the variable x. the derivative can be
determined by the following differential equation,
dz z x z y z u z v
[1.20]
dx x x y x u x v x
The variables y, u, and v are not interdependent but are solely dependent on variable x. In this case, we can
consider that the partial derivatives are, in fact, ordinary derivatives,
dz z z dy z du z dv
[1.21]
dx x y dx u dx v dx
Equation [1.21] is the expression of total derivative function of Equation [1.16]. Let us now consider a
domain and a function belonging to that domain (see Figure [1.1]),
u f x , y , z [1.22]
Vector S
M1
s
M0 y
Consider that we trace one vector S with origin in point M0 and with cosine directors: cos, cos, and cos.
Let us assume that over the vector S is a small distance s with origin in point M0 and ending in point
M1(x+x, y+y, z+z). Thus, s can be written as,
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
s x 2 y 2 z 2 [1.23]
u u u
u x y z x x y y z z [1.24]
x y z
where x, y, and z, are equal to zero when s approachs to zero. Hence, if we divided Equation [1.24] by
s then we obtain the following expression identical to Equation [1.6],
u u x u y u z x y z
x y z [1.25]
s x s v s z s s s s
Knowing that the cosine directors can be expressed by the following mathematical relations,
x
cos [1.26]
s
y
cos [1.27]
s
z
cos [1.28]
s
u u u u
cos cos cos x cos y cos z cos
s x v z
[1.29]
u
The limit of when s approach to zero (s 0) is called the derivative of a function in point (x,y,z), and
s
in the direction of vector S, and it is noted by,
u u
lim [1.30]
s 0 s s
Thus, substituting Equation [1.30] on Equation [1.29] and assuming that when s approach to zero (s
0), parameters x, y, and z, are equal to zero, the Equation [1.29] becomes,
u u u u
cos cos cos [1.31]
s x v z
[rate of mass output] + [rate of mass accumulated] = [rate of mass input] + [rate of mass generated]
[1.32]
Considering a control volume fixed in space, as such represented in Figure 1.2, and located in a fluid flow,
for a small element of of area, dA, on the control surface, the rate of mass efflux from this element is,
v dA cos [1.33]
where the quantity dAcos() is the area projected in the direction normal to the velocity vector (v), is the
angle between the velocity vector and the outward-directed unit normal vector (n) to dA, and is the
density (kgm3).
n
dA
v cos dA [1.34]
A
We should note that if mass is entering the control volume, i.e. flowing inward across the control surface,
the net efflux of mass is negative since < 90º and cos() is negative. The rate of accumulation of mass
within the control volume (V) can be expressed as follows,
dM
dV [1.35]
t
V
dt
where M is the mass (kg) of fluid in the volume (V). substituting Equation [1.33] through Equation [1.35]
into Equation [1.32], and assuming the generated mass is null, we can have the following expression for the
general form of the overall mass balance.
v cos dA t dV 0 [1.36]
A V
For a common situation for a steady state one-dimensional flow, where all flow inward is normal to surface
A1 and outward normal to surface A2, as shown in Figure 1.3, the general equation of the overall mass
balance is,
and
v cos dA v 2 2 A 2 v 1 1 A 1 [1.38]
A
dM
0 [1.39]
dt
A1 A2
v1, 1 v2, 2
If the velocity is not constant but varies across the surface area, na average bulk velocity is defined by,
1
v avg v dA [1.40]
A
A
for a surface over which the velocity (v) is normal to the surface area (A) and the density () is assumed
constant. In obtaining the kinetic energy velocity correction factor () it is necessary to integrate the kinetic
energy term,
v2
v cos dA [1.41]
2
A
v 3avg
[1.42]
v 3
avg
and
1
v 3
avg v 3 dA
A
[1.43]
A
r 2
v 2 v avg 1 [1.44]
R
1
R r 7
v v max [1.45]
R
where r is the radial distance from the center, and R is the area surface equivalent radius.
du u u dx u dy u dz
[1.46]
dt t x dt v dt z dt
Another useful type of time derivative is obtained if the observer floats along with the velocity (v) of the
flowing stream and notes the change in function with respect to time. This is called the substancial time
derivative, and is written as follows,
Du u u u u u
vx vy vz v u [1.47]
Dt t x v z t
where vx, vy, and vz are the velocity components of the stream velocity. For the derivation of the equation of
continuity, a mass balance will be made considering a pure fluid flowing through a stationary volume
element xyz which is fixed in space (see Figure 1.5). in the x direction the rate of mass entering
(kgs1) the face at x having an area (m2) of yz is,
v x x y z [1.48]
v x x x y z [1.49]
The density is denoted by (kgm3), and the term vx is a mass flux (kgs1m2). The rate of accumulation
in the volume xyz is,
x y z [1.50]
t
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
x
(x,y,z+z) (xx,y,z+z)
(x,y+y,z+z)
(x+x,y+y,z+z)
(x,y,z) (xx,y,z)
z x
y
(x,y+y,z) (x+x,y+y,z)
The mass balance for the fluid with a concentration is given by Equation [1.32], and if we substitute the
mass balance by Equation [1.48] through Equation [1.50] and also assume that ther is no rate of mass
generated, then Equation [1.32] becomes,
v x x v x x x v y y v y y y v z z v z zz
[1.51]
x y z t
Taking the limit as x, y, andz approach zero, we obtain the equation of continuity or conservation of
mass for a pure fluid,
v x v y
v z
[1.52]
t x y z
We can convert the Equation [1.52] into another form by carrying out the actual partial differentiation,
v v y v z
x v x vy vz [1.53]
t x y z x y z
v v y v z
v x vy v z x [1.54]
t x y z x y z
It is often convenient to use cylindrical coordinates. The relation between rectangular coordinates and
cylindrical coordinates are as following (see Figure 1.6),
x r cos [1.55]
FIRE AND EXPLOSION RISK ANALYSIS
y r sin [1.56]
zz [1.57]
r x2 y2 [1.58]
y
tan 1 [1.59]
x
For spherical coordinates the variables r, , and are related to rectangular coordinates by the following
expression as shown,
r x 2 y 2 z2 [1.63]
x2 y2
tan 1 [1.64]
z
y
tan 1 [1.65]
x
z z
(x,y,z) (x,y,z)
r
y y
r
Momentum flows in and out of the volume element by the mechanisms of convection and also by molecular
transfer. The rate at which the x component of momentum enters the face at x by molecular transfer is,
x ,x x y z [1.66]
x ,x x x y z [1.67]
y ,x y x z [1.68]
y ,x y y x z [1.69]
Note that y,x is the flux of x momentum through the face perpendicular to the y axis. For face z and z+z
something to what was developed for face x and face y is similar. The net fluid pressure force acting on the
element in the x direction is the difference between the force acting at face x and face x+x, and it is given
by the following expression,
p x p x x y z [1.70]
The gravitational force (g) acting on a unit mass in the x direction is multiplied by the mass of the element
to give,
g x x y z [1.71]
where gx is the x direction component of the gravitational vector (g). The rate of accumulation of the x
direction momentum in the element is given by,
v x
x y z [1.72]
t
Thus, for the x component of the differential equation of motion, and after divided by xyz, we have the
following momentum flow equation,
v x x ,x v y ,x z,x v x v x v x p
v x vy vz gx
t x y z x y z x
[1.73]
For direction components y and z, the differential equations of motion are identically the same.
DIFFUSION IN GAS
Molecular gas diffusion results from the linear motions of themolecules. At any instant, the individual
molecules in a gas are moving in random directions at speeds varying from zero to very large values. The
molecules move at random and so suffer frequent collisions with one another. Because of frequent collisions,
the molecular velocities are being continually changed in both direction and magnitude. Diffusion is more
rapid at higher temperatures because of the greater molecular activities. It is similarly more rapid at low
pressures because the average distance between the molecules is greater and the collisions are less
frequent. Small molecules diffuse rapially, primary due to their greater molecular speeds, and also because
FIRE AND EXPLOSION RISK ANALYSIS
the chance for collisions is not so great as for large olecules. Thus, in general, diffusion increases with an
increase in molecular weight and the size of the individual molecule. Using Fick’s law as the fundamental
relationship, many of the standard molecular diffusion equations may be derived. The Fick’s law states the
dependence of diffusional flow on concentration gradient, and is defined by the equation,
dC
dn D A dt [1.74]
dz
namely, that dn is the quantity of material diffusing in z direction, through an area (A), proportional to the
dC
time interval (dt), the area and the concentration gradient (dC) in the direction of diffusion . The
dz
proportionality factor (D) is the diffusivity,or diffusion coefficient, of te soute material through the bulk fluid.
The Fick’s law is the fundamental equation of diffusion, andit was developed from the kineic theory of gases.
Ulike the rate of transfer,the amount of material transferred across the interfaceis not dependent on the
concentration gradient, but rather on the equilibrium relationship. Equilibrium conitions will establish the
maximum amount of material which can be transferred, while the concentratin gradient driving force will
determine how fast the material will be transferred. It is also common practice to assume that the deal gas
law is applicable,
p V nR T [1.75]
where V is the total volume (m3), ni is the quantity (moles of component), pi is the partial pressure (atm), T
is the temperature (K), and R is the ideal gas constant (82.07 cm3atmg-mole1K1). Furthermore, the
concentration canbe expressed by,
ni pi
Ci [1.76]
V RT
and
pi
yi [1.77]
P
where yi is the fraction of a compoent in a gas mixture, and P is the total pressure of a system of gases. The
rate of diffusion per unit area of a gas component is given by,
C
ni D P [1.78]
R T C LN z
where z is the path of diffusion or the distance between the two points of concentration, and C is the
difference of concentration (concentration gradient) between two points, and is determined by the following
equation,
C LN
C 2 C1 [1.79]
C
LN 2
C1
For gases, the concentration is equivalent to the partial pressure and can be determined by the Equation
[1.76]. The gas diffusivity (diffusion coefficient) is a property of the system, and is dependent on the
temperature, pressure, and nature of the components or substances. The diffusion coefficient (D), in units
cm2s1, at a given temperature (T) and pressure (P) may be determined by the following expression,
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
b
273.15 T 1
D D0 [1.80]
273.15 T0 P
where T0 is temperature at initial conditions (ºC), P is the total pressure of the system (atm), and b is a
temperature coefficient. Table 1.1 presents a list diffusion coefficients for some pairs of gases.
[input rate of heat]+[rate of heat generated] = [output rate of heat] + [rate of heat accumulated]
[1.81]
and making an unsteady state heat balance for the x direction only on the element of volume (control
volume), in Figure 1.7, and with the cross-sectional area being A (m2), we have the following differential
thermal equation,
T
q x q G x A q x x c p x A [1.82]
t
where qG is the rate of heat generated per unit volume, qx is the rate of heat entering the element of volume
in the x direction, and qx+x is the rate of heat leaving the element of volume in the x direction. Heat transfer
may occur by any one or more of the three basic mechanisms of hat transfer: conduction, convection, and
radiation.
FIRE AND EXPLOSION RISK ANALYSIS
x
qx qx+x
x x+x
Figure 1.7 – Heat transfer in the x direction on an element volume.
qx dT
k [1.83]
A dx
where qx is the heat transfer rate in the x direction (W), A is the cross-sectional area normal to the direction
of flow of heat (m2), T is absolute temperature (K), x is the distance (m), and k is the thermal conductivity
q
(Wm1K1). The quantity x is called the heat flux (Wm2). Rearranging Equation [1.83] and integrating,
A
assuming that the thermal conductivity (k) is constant and does not vary with temperature, we have the
following expression,
x T
qx 2 2
dx k dT
[1.84]
A x T
1 1
qx T T2
k 1 [1.85]
A x 2 x1
For gases, thermal conductivity increases approximately as the square root of the absolute temperature and
is independent of pressure up to a few atmospheres. At very low pressures (vacuum) however, the thermal
conductivity approaches zero. The thermal conductivity of liquids varies moderately with temperature and
often can be expressed as a linear variation,
k ab T [1.86]
q h c A T s T f [1.87]
where q is the heat transfer rate (W), A is the area (m2), Ts is the temperature of the surface (K), Tf is the
average or bulk temperature (K) of the fluid flowing by, and hc is the convective heat transfer coefficient
(Wm2K1). The convective heat transfer coefficient (hc) is a finction of the system geometry, fluid
properties, flow velocity, and temperature difference (temperature gradient). To convert the convective heat
transfer coefficient from English units to Standard International units we must use the following relation,
In Table 1.3 some order-of-magnitude values of convective heat transfer coefficient for diferent convective
mechanisms of free or natural convection, forced convection, boiling, and condensation are given.
Heat conduction through a hollow sphere, using Fourier’s law for constant thermal conductivity with distance
gap (dr), where r is the radius of the sphere, and the cross-sectional area normal to the heat flow is,
A 4 r2 [1.89]
q dT
2
k [1.90]
4 r dr
r2 2 T
1
q 2 dr 4 k dT
[1.91]
r1 r T1
T T2
q 4 k r1 r2 1 [1.92]
r2 r1
q x q G x A q x x [1.93]
and the heat accumulated is null, where A is the cross-sectional area. Rearranging, dividing by x, and
letting x approach zero, we have the following expression,
q x x q x
qG A 0 [1.94]
x
or
dq x
qG A 0 [1.95]
dx
d2 T qG
2
0 [1.96]
dx k
q
T x 2 c1 x c 2 [1.97]
2k
where c1 and c2 are integration constants. At initial limits when x = 0, and T = T0 (T0 is the source heat
generation temperature), the constant c2 becomes,
x = 0 c2 = T0 [1.98]
and at final limits when x = L, and T = Ts (Ts is the temperature at the distance point from source heat
generation), the temperature profile is given by expression,
q
Ts L2 c 1 L T0 [1.99]
2k
1 q
c1 T s T0 L2 [1.100]
L 2k
q T 1
T
2k
L
x 2 L s T0 1
L
[1.101]
which is the temperature profile for a given point (x) between heat generation source and a given distance
(L) from the source heat generation.
1
[1.102]
T
b
[1.103]
T Tb
where Tb is the bulk temperature (K), T is the temperature predicted (K), is the density for the predicted
temperature, and b is the density for bulk temperature.
3.7418 10 16
E B , [1.104]
5
1.4388 10 2
exp 1
T
Also, for a given temperature, the emissive power reaches a maximum value at a wavelength that decreases
as the absolute temperature increases. For a given temperature, the wavelength at which a black body
emissive power is a maximum can be determined by differentiating Equation [1.104] with respect to
wavelength () at constant temperature and setting the result equal to zero. The result is known as Wien’s
displacement law,
The total emissive power is the total amount of radiation per unit area leaving a surface with temperature
over all wavelengths. For a black body, the total emissive power (Wm2) is given by,
E B E B , d
[1.106]
0
EB T 4 [1.107]
The result is the Stephan-Boltzmann law with = 5.676108 Wm2K. An important property in radiation is
the emissivity () of a surface and is defined as the total emitted energy of the surface divided by the total
emitted energy of a black body at the same temperature.
E E
[1.108]
EB T4
The Kirchhoff’s law states that at thermal equilibrium the absorptivity (a) is equal to the emissivity () of a
body,
E
a [1.109]
EB
When a body is not at equilibrium with its surroundings, the reslt is not valid. The absorptivity of a surface
actually varies with the wavelength of the incident radiation. The absorptivity (a) is assumed constant even
with a variation in the wavelength of the incident radiation. Also, in actual systems, various surfaces may be
at different temperatures, and the absorptivity for a surface is evaluated by determining the emissivity at the
temperature of the source of the other radiating surface or emitter since this is the temperature the
absorbing surface would reach if the absorber and emitter were at thermal equilibrium. The temperature of
the absorber has only a slight effect on the absorptivity.
E 1 T14 [1.110]
E 2 T24 [1.111]
to surface A1, which is also absorbed. Then for surface A1, the net radiation (q12) is from surface A1 to
surface A2, with a fraction (F12) of radiation leaving surface A1 that is intercepted by surface A2,
q12 F12 A 1 T14 T24 [1.112]
The factor F12 is called the geometric view factor. Hence, for surface A2, the net radiation (q21) that is
transferred is given by,
q12 F21 A 2 T14 T24 [1.113]
In the case of parallel surfaces, F12 = F21 = 1.0, and the geometric factor is simply omitted. F12 is the
fraction of radiation leaving surface A1 in all directions, and which is intercepted by surface A2. F21 is the
fraction of radiation leaving surface A2 in all directions, and which is intercepted by surface A1. If both of the
parallel surfaces (A1 and A2) are gray bodies with emissivities and absorptivities of 1 = 1 and 2 = 2,
respectively, the radiation energy absorbed by surface A2 is,
2 1 A 1 T14 [1.114]
q12 A 1
T 1
4
T24 [1.116]
1 1
1
1 2
q12 n
4
1 T1 T2
A
4
[1.117]
n 1 2
1
where n is the number of radiation surfaces or shields between original surfaces, and is the emissivity.
Hence, a great reduction in radiation heat loss is obtained by using these shields. Suppose that we consider
radiation between two parallel black surfaces of finite size like those represented in Figure 1.8. Since the
surfaces are not infinite in size, some of the radiation from surface A1 does not strike surface A2, and vice
versa. Hence, the net radiation interchange is less since some is lost to the surroundings. In the Figure 1.8,
the differential solid angle (d), a solid angle is a dimensionless quantity which is a measure of an angle in
solid geometry, is equal to the normal projection of dA2 divided by the square of the distance between the
point P and area dA2.
FIRE AND EXPLOSION RISK ANALYSIS
dA 2 cos 2
d [1.118]
r2
The intensity of radiation for a black body (IB) is the rate of radiation emitted per unit area projected in a
direction normal to the surface and per unit solid angle (steradin, sr) in a specified direction.
dq
IB [1.119]
dA 1 cos d
and IB is in Wm1sr1 units. The emissive power (EB) which leaves a black body plane surface is determined
by integrating Equation [1.119] over all solid angles subtended by a hemisphere covering the surface.
EB IB [1.120]
IB
dA2
d
r
d
dA1
Figure 1.8 – Heat radiation transfer between two finite parallel black surfaces.
The rate of radiant energy that leaves dA1 in the direction given by the angle 1 is,
The rate of radiant energy that leaves dA1 and arves on dA2 is given by,
where d is the solid angle subtended by the area dA2 as seen from dA1. Combining Equation [1.118]
through Equation [1.222] we have the following expression,
The radiant energy leaving dA2 and arriving at dA1 is given by,
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
Performing the double integration over surfaces A1 and A2 will yield the total net heat flow between the finite
areas.
dq12 T14 T24 cos cos dA
1 2
2
1 dA 2
[1.126]
A 2 A1 r
N2 dA2
N1
r
dA1
Figure 1.9 – Heat radiation transfer between two finite black surfaces.
q12 F12 A 1 T14 T24 F21 A 2 T14 T24 [1.127]
Values of the view factor can be calculated for a number of geometrical arrangements. The view factor from
a plane to a hemisphere can be interpreted as being represented by Fgure 1.10. since surface A1 sees only
surface A2, the view factor F12 is 1.0. using Equation [1.128] we can establish the relationship between F12
and F21,
A2 2 r2
F12 F21 F21 2 F21 [1.129]
A1 r2
Hence,
FIRE AND EXPLOSION RISK ANALYSIS
1 1 1
F21 F12 1.0 [1.130]
2 2 2
Because,
and substituting the relation resulted from Equation [1.130] in Equation [1.131] we have the following,
1 1
F22 1 [1.132]
2 2
A2
d=d d sin
d
L
A1
d
Figure 1.10 – Heat radiation transfer between a flat finite black surface and a hemisphere black surface.
dI a, I dL [1.133]
a , L
I I 0 e [1.134]
The constant a, depends on the particular gas, its partial pressure, and the wavelength of radiation. This
equation is called Beer’s law. Thick layers of a gas absorb more energy than do thin layers. For a black
differential receiving surface area (dA) located in te center of the base of a hemisphere of radius (L)
containing a radiant gas, the mean beam length is L. The mean beam length has been evaluated for various
geometries is given in Table 1.4. For other shapes, the mean beam length (L) can be aroximated by the
following relation between gas volume (V) and surface area (A) of the enclosure,
V
L 3.6 [1.135]
A
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
where volume is given in m3 units, and the surface area is in m2 units. Gas emissivity (G) is defined as the
ratio o the rate of energy transfer from the hemispherical body of gas to a surface element t the midpoint
divided by the rate of energy transfer from a black hemisphere surface of radius (L) and temperature (TG) to
the same element.
Table 1.4 – Mean beam length (L) for gas radiations to entire enclosure surface.
Mean Beam Length
Geometry
(m )
Sphere, diameter (D) 0.65D
Infinite cylinder, diameter (D) 0.95D
Cylinder, length = diameter (D) 0.60D
Infinite parallel plates, separation distance (D) 1.80D
Hmisphere, radius (R) R
Cube, side length (D) 0.60D
Volume surrounding bank of long tubes with centers on equilateral triangle, tube
2.80D
diameter (D) = clearence
G TG4 [1.136]
of receiving surface element, where the gas emissivity (G) is evaluated at gas temperature (TG). the net rate
of radiant transfer between a gas at TG and a black surface of finite area (A) at a given temperature (T1) is
then,
q A G TG4 G T14 [1.137]
where G is the absorptivity of the gas for a black body radiation from the surface at temperature T1. for the
case where the walls of the enclosure are not black, some of the radiation striking the walls is reflected back
to the other walls and into the gas. As an approximation when the emissivity of the walls is greater than 0.7,
an effective eissivity (ef) can be used,
1 ef
[1.138]
2
where is the actual emissivity of the enclosure walls. Then Equation [1.137] is modified,
q A ef G TG4 G T14 [1.139]
The case of radiation between parallel disks where we have a small disk of area A1 parallel to a large disk of
area A2, and both centered directly with each other, is shown in Figure 1.11. The distance between the
centers of the disks is denoted by R. From the geometry shown by Figure 1.11,
r2 R2 x2 [1.140]
and
R
cos 1 [1.141]
R2 x2
The differential area for disk A2 is taken as the circular ring of radius x so that,
FIRE AND EXPLOSION RISK ANALYSIS
dA 2 2 x dx [1.142]
x a
A2
r R
A1
Figure 1.11 – Heat radiation transfer between two centered parallel disks of different dimensions.
a
2 R 2 x a2
F12 dx [1.144]
2
0 R x
2 2
R 2 a2
Before steady state conditions can be reached in a process, some time must elapse after the heat transfer
process is initiated t allow th unstaeady state conditions to disappear. To derive the equation for unsteady
state cndition in one direction in a solid, we refer to Figure 1.7.
qx T
k [1.145]
A x
T
The term means the partial or derivative of temperature (T) with respect to x direction, and other
x
variables such y and z directions, and time (t) being held constant. Making a balance on the volume
element, the rate of heat input is given by,
T
q x k y z [1.146]
x x
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
T
q x x k y z [1.147]
x x x
The rate of accumulation of heat in the volume element in time is given by,
T
x y z c p [1.148]
t
The rate of heat generation (qG) in the volume element is given by,
q G x y z [1.149]
Substituting Equation [1.146] through Equation [1.149] in the energy balance to the volume element, and
dividing by the volume element (xyz), the energy balance for unsteady state heat conduction transfer
becomes,
T T
x x x x x c T
qG k p [1.150]
x t
T k 2T q 2 T q
G G [1.151]
t c p x 2 cp 2 cp
x
where is called the thermal diffusivity (m2s1). For conduction in three dimensions, a similar differential
equation gives,
T 2 T 2 T 2 T q
2 2 G [1.152]
t 2
z c p
x y
h c A Tf T c p V dT [1.153]
where A is the surface area (m2) of the heat transfer, T is the average temperature of the surroundings at
an instantant of time, is density (kgm3) of the surroundings (i.e. solid, gas, vapor, or liquid), and V is
volume (m3). Rearranging Equation [1.153] and integrating,
T t
dT hc A
dt [1.154]
T0
Tf T c p V 0
FIRE AND EXPLOSION RISK ANALYSIS
h A
c t
T Tf c p V
e [1.155]
T T0
This equation describes the time-tempearture history. At any time, the instantaneous rate of heat transfer,
neglecting internal resistances, can be calculated from equation,
qt h c A T Tf [1.156]
Substituting the instantaneous temperature from Equation [1.155] into Equation [1.156] becomes,
h A
c t
c p V
qt h c A T Tf e
[1.157]
To determine the total amount of heat (Q) transferred, wecan integrate Equation [1.157],
t
h A
c t
c V
Q qt dt c p V T0 Tf 1 e p
[1.158]
0
F A ef f Tf4 f T 4 c p V dT [1.159]
where F is view factor, ef is the effective emissivity, f is the fluid emissivity, f is the fluid absorptivity, A is
the surface area (m2) of the heat transfer, Tf is the average temperature of the fluid at an instantant of time,
T is the average temperature of the surroundings at an instantant of time, is density (kgm3) of the
surroundings (i.e. solid, gas, vapor, or liquid), and V is volume (m3). Rearranging Equation [1.159] and
integrating,
T t
dT F A ef
dt [1.160]
T0 f Tf4 f T 4 cp V 0
f 0.75 f 0.25 f
0f.25
f T
f Tf 0f.25 T
f f f F A ef
tan 1
3
LN t
2 1f.25 Tf 0.75
f Tf 0.25 f 0.25 cp V
f Tf f T
f
[1.161]
0.75 f 0.25 f
0.25
f T T T
1
f f f
f
f
F A ef 1f.25 Tf3
tan LN 2 t
0.75
f Tf f cp V
0.25
T 0.25
T
0.25 f
f f f f
f f
[1.162]
This equation describes the time-tempearture history. At any time, the instantaneous rate of heat transfer,
neglecting internal resistances, can be calculated from equation,
qt F A ef f Tf4 f T 4 [1.163]
Substituting the instantaneous temperature (T) obtained from Equation [1.162] into Equation [1.163] and
integrating gives the total amount of heat (Q) transferred,
t
Q qt dt
[1.164]
0
T 4 T 4
Qt F c i 1 2 t [1.165]
100 100
where F is the view factor for radiation source surface, ci is radiation coefficients (kJm2h1K4), T1 is the
average or bulk temperature (K) of the radiation source surface, T2 is the average or bulk temperature (K) of
FIRE AND EXPLOSION RISK ANALYSIS
the surface that receives radiation, and t is time. For some materials the radiation coefficients (ci) are
presented in Table 1.6.
SMOKE PRODUCTION
Smoke emission is one of the basic elements for characterizing a fire environment. The combustion
conditions under which smoke is produced – flaming, pyrolysis, and smoldering – affect the amount and
character of the smoke. The smoke emission from a flame represents a balance between growth processes
in the fuel-rich portion of the flame and burnout with oxygen (see Figure 1.12). While it is not possible at
the present time to predict the smoke emission as a function of fuel chemistry and combustion conditions, it
is known that an aromatic polymer, such as polystyrene, produces more smoke than hydrocarbons with
single carbon-to-carbon bonds, such as polypropylene. The smoke produced in flaming combustion tends to
have a large content of elemental (graphitic) carbon. Pyrolysis occurs at a fuel surface as a result of an
elevated temperature; this may be due to a radiant flux heating the surface. The temperature of a
pyrolyzing sample, around 600K to 900K, is much less than the gas phase flame temperature, which is
between 1,200K to 1,700K. The vapor evolving from the surface may include fuel monomer, partially
oxidized products, and polymer chains. As the vapor rises, the low vapor pressure constituents can
condense, forming smoke droplets appearing as light-colored smoke. Smoldering combustion also produces
smoke droplets, but in this case the combustion is self-sustaining, whereas pyrolysis requires an external
heat source. While most materials can be pyrolyzed, only a few materials, including cellulosic materials
(wood, paper, cardboard, etc.) and flexible polyurethane foam, are able to smolder. The temperature during
smoldering is typically 600K to 1,100K. The smoke conversion factor (SCF) is defined as the mass of smoke
produced (ms) per mass of fuel burned (mf).
ms
SCF [1.166]
mf
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
Smaller blobs
burning
Zone 1
Air entrainment
Fuel Vapor Rich Core
(Fire Base Diameter)
Size Distribution
Smoke particle size distribution, together with the amount of smoke produced, primarily determines the
properties of the smoke. A widely used representation of the size distribution is the geometric number
distribution,
N
[1.167]
Logd
versus Log(d), where d represents the particle diameter. The quantity N represents the number of particles
per cm3, with diameter between Log(d) and Log(d) + Log(d). It is seen that the logarithmic scale is
necessitated by the wide range in particle size and concentration. For many applications, the most important
characteristics of a size distribution are the average particle size and the width of the distribution. A widely
used measure of the average size is the geometric mean number diameter (dgn) defined by,
n
Ni Log
Log d gn
d i [1.168]
i1 N
where N is the total number concentration, Ni is the number concentration in the ith interval, and Log is to
the base 10. The corresponding measure of the width of the size distribution is the geometric standard
deviation (g),
Log g
n N Logd Log d
i i gni
2 2
[1.169]
i1 N
The smoke volume distribution (using an optical counter) is obtained from the number distribution, using the
following relation,
FIRE AND EXPLOSION RISK ANALYSIS
1
Vi Ni d i3 [1.170]
6
An optical particle counter is the preferred instrument for the number distribution measurement. To correlate
the smoke volume with particle size distribution, the geometric mean volume diameter (dgv) is a convenient
measure of average particle size,
n
Vi Log
Log d gv
d i [1.171]
VT
i1
where VT is the total volume concentration of the smoke aerosol. For a log-normal distribution, there is the
following relationship between the geometric mean volume diameter (dgv) and the geometric mean number
diameter (dgn),
Log d gv Log d gn 6.9 Log 2 g [1.172]
Smoke measurements posespecial problems because of the high concentration, wide particle size range, and
sometimes high temperature. In selecting an instrument to measure the smoke characteistics, it is important
to make the following considerations:
(1) Will the instrument respond to the smoke of interest? For example, the piezoelectric mass monitor does
not respond well to soot.
(2) Will dilution of the smoke be required?
(3) Is the measurement size range of the instrument adequate?
(4) Is a mass or number distribution measurement appropriate?
(5) What is the particle size resolution needed?
(6) Is real-time measurement capability needed?
(7) Will the instrument perform at the temperature of the smoke environment?
Smoke aerosols are dynamic with respect to their particle size distribution function. Smoke particles or
droplets undergoing Brownian motion collide and stick together. The result of this behavior is that, in a fixed
volume of smoke-laden gas, the number of particles decreases while the total mass of the aerosol remains
unchanged. This process is known as coagulation. The fundamental parameter for describing coagulation is
the coagulation coefficient (), the rate constant for the coagulation equation,
dN
N 2 [1.173]
dt
For smoke produced from incense sticks, the coagulation coefficient () was found to be about 41010
cm3s1 and about 1109 cm3s1 for smoke produced from flaming -cellulose. The coagulation process has
a more pronounced effect on the number distribution than the mass distribution as small particles collide to
form larger particles.
Smoke Properties
The smoke properties of primary interest to the fire community are light extinction, visibility, and detection.
The most widely measured smoke property is the light extinction coefficient. The physical basis for light
extinction measurements is Bouguer’s law, which relates the intensity (I0,) of the incident monochromatic
light of wavelength () and the intensity of the light (I) transmitted through pathlength (L) of the smoke,
I
e K E L [1.174]
I 0 ,
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
where KE is the light extinction coefficient. The extinction coefficient is an extensive property and can be
expressed as the product of an extinction coefficient per unit mass (KM) and mass concentration of the
smoke aerosol (mc).
K E K M mc [1.175]
COMBUSTION
Oxygen requirement for complete combustion of a material may be determined from a knowledge of its
constituents, assuming that carbon and hydrogen are oxidized to the ultimate end products: carbon dioxide
(CO2) and water (water vapor). The general formula of combustion at normal conditions becomes,
CaObHcNd (l) + (a+0.25c-0.5b)O2 (g) aCO2 (g) + (0.25c)H2O (v) + (0.5d)N2 (g)
[1.176]
where a, b, c, and d are the coefficients of combustion chemical reaction. The theoretical quantity of
airrequired will be 4.35 times the calculated quantity of oxygen because air is composed of 23% oxygen on
a weight basis. To ensure complete combustion, excess air amounting to about 50% of the theoretical
amount will be required.
Flame Speed
Flame speed depends on thermal diffusivity and temperature. A general solution of the energy and species
conservation equations leads to an equation of the form,
1
k 2
vf [1.176]
cp
where vf is the flame velocity (cms1), k is thermal diffusivity (Jm1s1K1), is the reaction rate
(gcm3s1), is density of the reacting gases (kgm3), and cp is the gases heat capacity (Jg1K1). Thus,
the flame speed is dependent on the thermal diffusivity, the reaction rate () and the density of the reacting
gases (). The pressure dependence is given by,
1
v f p n2 2 [1.177]
where p is the pressure of the system (Nm2), and n is the number of oxygen moles. The pressure
dependence of the mass burning rate (mb) is,
n
mb v f p 2 [1.178]
1
Ea 2
v f Exp [1.179]
R Tf
where Ea is the apparent energy of activation (Jmol1) of the chemical combustion reaction, R is the gas law
constant (8.31434 KPam3kgmol1K1), and Tf is the flame temperature (K). In Tabe 1.7 is shown some
values of flame speed for several gas combustible compounds.
FIRE AND EXPLOSION RISK ANALYSIS
Table 1.7 – Flame speed values for some gas combustible compounds.
O2 Tf Flame Speed
Gas
(moles) (K) (cm/s)
Carbon monoxide 0.5 2977 29
Methane 2.0 3054 43
Ethane 3.5 3086 44
Butane 6.5 3101 45
Propane 5.0 3096 46
Benzene 7.5 3136 48
Acetylene 2.5 3342 144
Hydrogen 0.5 3080 170
v d f n f R Tf [1.180]
i
where f is end products density, i is initial reagents density, nf is the number of moles of the end products,
R is the gas law constant measured at end products environmental conditions, and Tf is the end products
temperature (K). Detonation velocity is primarily a function of product conditions:
(1) Condensed (or high) explosive substances generate very high pressures (approximately greatr than 7
atm).
(2) Extremely high pressures generate extremely destructive shock waves.
(3) Detonation velocities are approximately 8,000 ms1 to 9,000 ms1.
at surface defects. Isotope, ignition temperatures and combustion trends are consistent with Seebeck
effects: ease of electron migration in unevenly heated areas. There are preliminary though not yet verified
indications that electrostatic charges on hot surfaces may facilitate combustion. Implications would then
involve fire mitigation and enhancement, and industrial manufacture of many important organic combustion
products. In selective (flameless) oxidations of hydrocarbons, CH bonds rupture with insertion or addition
of oxygen species to form combustion products. In total oxidation (with or without flame), the hydrocarbon
is completely oxidized to CO2 and water. Fuel flammability indices include flash points, i.e. the minimum
temperatures for liquid fuels to sustain sufficient vapor concentrations in air to produce ignition when an
open flame is passed over the surface, and hot surface ignition, or auto-ignition temperature (AIT) with no
open flame for a surface in contact with a given fuel causing self-sustained combustion. Currently accepted
hydrocarbon oxidation mechanisms involve free radical attack by oxygen species such as the atomic oxygen
radical anion on CH bonds, to yield propagating alkyl free radicals and hydroxide ion.
Adsorbed oxygen radical anions thermally react as strong Lewis bases with the hydrocarbon CH bonds to
form carbanionic incipient intermediates. These then undergo electron transfer to form corresponding
hydrocarbon free radicals, and proceed to form selective and total oxidations products. As oxidation ensues
with rising temperatures, the rate of formation of the free radical population also increases. When the rate
of free radical propagation exceeds the rate of flameless free radical depopulation processes, runaway flame
chemistry ensues. Fire reactions are commonly considered to be in the gas phase, and it is true that free
radical (and positively charged cationic) reactions tend to proceed with much less energy reqirements than is
the case for ionic reactions in the gas phase. However, pre-flame combustion reactions take place by
interaction with oxygen species adssorbed onto the solid phase surface of a hot target, and gas phase
arguments are not applicable.
A currently accepted mechanism for hot surface hydrocarbon oxidations involves a preliminary attack in
which a CH bond is severed by an attacking highly reactive species such as a hot surface energized
adsorbed atomic oxygen radical anion, producing two fragments. In one of these the hydrogen is transferred
to the attacking species, and the other is the hydrocarbon radical (less the hydrogen) remaining after the
CH bond rupture (see Equation [1.181]). The atomic oxygen radical anion has three non-bonding electron
pairs, and a seventh lone (free radical) electron. The three electron pairs impart strong Lewis basicity, in
addition to its free radical character. In the commonly accepted theory, the oxygen radical anions (O)
attacks via its lone radical electron in a high energy rate determining reaction pathway to afford energetic
propagating free radicals. These further engage in free radical propagations to yield a variety of selective
oxidation products. Accompanying energy releases can result in flame oxidation. From evidence gathered by
several studies, the much lower energy initial step involves attack by the very highly basic oxygen radical
anions (O), to form an alkyl carbanion and a hydroxyl free radical (HO). A high energy rate determining
electron transfer from the carbanion (R) to the hydroxyl free radical then results in an alkyl free radical (R)
and hydroxide anion (HO). The same products arise, but through a much lower energy ionic pathway
before proceeding into a higher energy free radical mechanism (see Figure 10); and the same isotope
effects apply for both free radical and ionic pathways.:
In the solvated state, hydrocarbon pKa values are about 62, but when unsolvated and at elevated
temperatures these are much stronger Brønsted acids with much lower pKa values; and, in the presence of a
strong base such as the unsolvated atomic oxygen radical anion adsorbed on a hot surface, an acid and
base interaction would be expected to occur.
FIRE AND EXPLOSION RISK ANALYSIS
BIBLIOGRAPHY
Faires, Virgel Moring and Simmang, Clifford Max, Thermodynamics, MacMillan Publishing Co. Inc., New York.
Finnerty, A. E., 1976. The physical and chemical mechanisms behind fire-safe fuels. BRL-1947, Ballistic Res.
Labs, Abderdeen Proving Ground, MD.
Hamilton, D. C. and Morgan, N. R., Radiant-interchange configuration factors, Tech. Note 2836, National
Advisory Committee for Aeronautics.
Holman, J. P., Heat transfer, 3rd Edition, McGraw-Hill, New York.
Knudsen, J. G. and Katz, D. L., Fluid dynamics and heat transfer, McGraw-Hill, New York.
Kreith, Frank, Principles of heat transfer, 3rd Edition, Intext Press, Inc., New York, ISBN 0-7002-2422-X.
McCracken, D. J., 1970. Hydrocarbon combustion and physical properties, Ballistic Research Laboratory
Report No. 1496, Aberdeen Proving Ground, Aberdeen, MD.
NFPA 325, 1994. Fire hazard properties, flammable liquids, gases and volatile solids. National Fire Protection
Association, Boston, pp. 4-5.
Pfefferle, L. D., Griffin,T. A., Winter, M., Crosley, D., Dyer, M. J., 1989. Combustion and flame 76, 325-8.
R. H. Perry, and C. H. Chilton, Chemical Engineer’s Handbook, 5th ed., New York, McGraw-Hill Book
Company, 1973.
Reynolds, W. C. and Perkins, H. C., Engineering thermodynamics, 2nd Edition, McGraw-Hill, New York, ISBN
0-07-052046-1.
Sparrow, E. M. and Cess, R. E., Radiation heat transfer, Brooks and Cole Publish. Co., Belmont, California.
VanWylen, G. J. and Sonntag, R. E., Fundamentals of classical thermodynamics, 2nd Edition, John Wiley and
Sons, New York, ISBN 0-471-04188-2.
Weibelt, J. A., Engineering radiation heat transfer, Holt, Rinehart and Winston Publish., New York.
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
Section 2
INTRODUCTION
The purpose of this section is to present equations describing the dispersion of substances in the
atmosphere. Physically, the concentration profile of these subsances is determined by the diffusive and
convective mechanism of the atmosphere and by various reactions affecting the substances. Mathematically,
the system is described by a set of partial differential equations, with variable coefficients, each term of
which corresponds to one of the basic mechanisms. The system is physically subjected to inputs of
momentum, energy, and mass. The solution to the describing equations can provide the temporal and
spatial distribution of the component in the atmosphere.
MOMENTUM TRANSFER
The equation of continuity describes the variation of density with position and time in a moving or stationary
fluid. The continuity equation (Equation [1.52]) is developed by applying the conservative law for mass to a
fixed volume element in a moving one-component, one-phase fluid. The result is te flowing equation for a
constant density fluid.
v x v y v z
0 [2.1]
x y z
The equation of momentum transfer, more commonly called the equation of motion or the Newton-Stokes
equation, is a differential equation that describes the velocity distribution and pressure drop in a moving
fluid. The y component in rectangular coordinates is given below,
where is density of the fluid, is viscosity of the fluid, t is time, p is the equation of state pressure, gc is a
gravitational conversion constant (32.174 lbmftlbf1s2), and gy is acceleration due to gravity in the y
direction. If the velocitycomponents and their derivatives are everywhere zero, the Navier-Stokes equation
(in the z direction) reduces to,
p g
0 [2.3]
z gc
since pressure (p) is solely a function of distance (z), then we can rewrite the Equation [2.3] as being,
dp g
[2.4]
dz gc
g
p z cons tan t [2.5]
gc
FIRE AND EXPLOSION RISK ANALYSIS
This is the equation describing the hydrostatic pressure in a system. If pressure (p) is ph when z is h, the
Equation [2.5] becomes,
g
p p h h z [2.6]
gc
Equation [2.3] may be used to describe pressure variations in the atmosphere. Where the fluid may no
longer be assumed incompressible, the decrease in the gravity force also produces a decrease in pressure.
The emperature is, of course, then dictated by the equation of state of the air. If ideal gas conditions are
assumed, the equation of state is given by,
p
y [2.7]
RT
so that
dp g p
[2.8]
dz gc R T
If the temperature of the air is constant (isothermal), the integrated form of Equation [2.8] becomes,
dp g 1
R T dz [2.9]
p gc
Simplifying Equation [2.9] and solving to pressure (p) and distance (z) becomes,
g z h
R T
gc
p ph e [2.10]
The variation of density with height under isothermal conditions is given by a similar expression.
g z h
R T
gc
h e [2.11]
1
T p
[2.12]
Th p h
dp dT
[2.13]
p 1 T
where
cp
[2.14]
cv
dT g
[2.15]
dz gc R 1
dT
0.00535º F ft 1 [2.16]
dz
dT
0.01º C m 1 [2.17]
dz
The wind profle can reasonably be approximated by the simple power law relationship normally applicable
for turbulent flow systems,
q
z
v y v y ,h [2.18]
h
with vy,h as the velocity of y component at a given distance (h), and constant q > 0. A corresponding
expression for the eddy viscosity is,
1 q
z
h [2.19]
h
An equivalent form of Equation [2.18] for the velocity gradient is given by,
dv y
z [2.20]
dz
ENERGY TRANSFER
The general conservation law for enegy on a rate basis is applied to obtain the equation of energy transfer.
In most engineering applications, the following assumptions are introduced in order to simplify the
describing equations:
(1) Viscous effects are negligible;
(2) Kinetic and potential energy changes are small;
(3) The fluid is incompressible;
(4) The heat capacity is constant.
T T T T k 2 T 2 T 2 T Q
v x vy vz
2
2
2 [2.21]
t x y z cP x v z c p
where k is the thermal conductivity, cp is the heat capacity, Q is the rate of energy generated per unit
volume.
FIRE AND EXPLOSION RISK ANALYSIS
j
i v i j
i1
v avg j
wi vi [2.22]
i1
i
i1
where i is the mass concentration (kgm3) of component, wi is mass fraction of component, and j is the
number of components in mixture. It is the velocity employed in the continuity equation and equation of
motion. The following enumerates the rate of mass (in units of moles) conserved within the moving fluid
contained in the volume element (V) at any time.
[rate of moles input by molecular diffusion][rate of moles output by molecular diffusion]+[rate of moles
input by convection][ rate of moles output by convection]+[rate of moles generated]=[rate of moles
accumulated]
[2.23]
where Ci is instantaneous concentration; vx, vy, and vz are the velocity components in x, y, and z directions;
Ri is the moles generated; and Ji is the molar flux of i component.
C i
J i,x D [2.25]
x
C i
J i,y D [2.26]
y
C i
J i,z D [2.27]
z
where D is the diffusion coefficient (m2s1). Substituting Equation [2.25] through Equation [2.27] on
Equation [2.24], then we have the following expression,
Due to turbulence, the turbulent diffusion coefficient for the system may not be isotropic, i.e. independent of
direction. If this coefficientis a function of direction, the effect is said to be anisotropic. Under these
conditions, the Equation [2.28] becomes,
where Dx, Dy, and Dz are the diffusion coefficients in the x, y, and z directions, respectively, and have been
assumed independent of position. If exists, chemical reaction effects in the atmosphere are often
represented by first order kinetics in the source term (Ri) in the describing equation, i.e. the rate of reaction
is proportional to the concentration of the substane in question. The vertical diffusion coefficient (Dz) is
generally assign a simple power law relation similar to,
1 q
z
D z D z ,h [2.30]
h
and q 0. horizontal diffusion in the direction of bulk flow is neglected since the convective effects far
outweigh diffusion. The variation of wind profile in the vertical direction is usually given by another power
law expression,
q
z
v y v y ,h [2.31]
h
1
although q is often assumed to be , q is an index of atmospheric stability. For unstable conditions q
7
1
approachs to zero, while for stable and inversion condtions q is greater than . In order to provide a better
7
understanding and appreciation of the describing equation for atmospheric dispersion system, considering
the case of any air component, initially present at uniform concentration (C0,i), or not present, at initial time
equal to zero (t = 0), the diffusion process is assuming to be commenced it is proposed to calculate the
concentration of component i as a function of position (y) and time (t) and to be obtain the mass flux at the
initial interface. The initial concentration profile is given by the following expression,
C i C i y , t [2.32]
C i 2Ci
Dy [2.33]
t y 2
e pt dt [2.34]
C i 2Ci
e pt dt D y e pt
dt [2.35]
0
t 0 y 2
FIRE AND EXPLOSION RISK ANALYSIS
y2
1 4D y t
C i y , t e
[2.36]
t
Note that the flux is a function of time and decreases with time. The total quantity of mass (ni) per unit area
(A) transferred with time is given by,
ni Dt
C 0 ,i [2.37]
A
Incorporating chemical kinetics, the partial differential equation describing the system becomes,
C i 2Ci
Dy k Ci [2.38]
t y 2
y2
1 4D y t
C i y , t e k t e
C i y' dy [2.39]
t
If the location of the source is changed from point zero (0) to point y = y’ the particle y2 becomes (yy’)2.
the partial differential equation describing the chemical reaction and convection combined system becomes,
C i C i 2Ci
v y Dy k Ci [2.40]
t y y 2
The equation describing the concentration due to an instantaneous source of mass of component i at initial
time (t = 0) and y = 0 is given by,
y2
dn i 4D y t
dC i y , t e
[2.41]
A 4 Dy t
dC i
k C i [2.42]
dt
with solution
C i C 0 ,i e k t [2.43]
where C0,i is the initial concentration of component i at any position y in the system. The solution to Equation
[2.40] is the followig,
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
y v y t y ' v y t
1 4 D y t
C i y , t e k t
e C i y' dy' [2.44]
4 D y t
where Ci(y’) is the initial concentration profile. The describing partial differential equation for a two-
dimensional system is,
C i 2C 2Ci
D 2i [2.45]
t y z 2
y ' z '
y y ' 2 z z ' 2
1 4Dt
C i y , t 4 D t e C i y' , z' dy'dz' [2.46]
y ' z '
where Ci(y’,z’) is the initial concentration profile, and Dy = Dz = D. For a three-dimensional system, the
describing partial differentia equation is,
2 2 D t [2.49]
which is identical in form to the equation proposed by Einstein for brownian (random or chaotic as in
turbulent flow) motion. If the above equation is referred to an coordinate system fixed in space, then we can
have the following expression,
2 D S
2 [2.50]
v
where S is displacement (m) of the fluid in the direction of bulk flow relative to the origin in time (t), v is
bulk (mean) windspeed (ms1) of the fluid, and D is diffusion coefficient in a plane perpendicular to the
direction of bulk motion. Thus,
FIRE AND EXPLOSION RISK ANALYSIS
2 Dx y
2x [2.51]
v x v y
2 Dz y
2z [2.52]
v z v y
If we consider the diffusion effect in the y direction of motion, the standard deviation is,
2 Dy y
2y [2.53]
v 2y
vy
z x
z z z x x x
y y
Figure 1.1 – Schematic three-dimensional concentration profile for air system components behavior.
In addiion to varying with downwind direction (y), x and z are strong functions of turbulence in the
atmosphere, meteorological conditions, and topography. The literature suggests equations for standard
deviations (x and z) of the form,
x bx ya [2.54]
z bz y a [2.55]
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
where the coefficients a, bx, and bz are empiracally determined constant that depend on the state (stability)
of the atmosphere. In addition, the systemis often assumed isotropic so that,
x z [2.56]
The usual procedure in applied meteorology is to write the solutions to the describing equations in terms of
standard deviations. For example, the equation for instantaneous point discharge at time equal to zero is,
2
1r
ni
2
Ci 3
e [2.57]
2
2 2
where ni is the moles discharged, and is he standard deviation calculated by Equation [2.49]. For an
anisotropic medium it becomes,
2 2 2
1 x y z
2 x z
ni
y
Ci e [2.58]
8 3 x y z
with the source located at the origin. For the continuous source, located in a medium moving with velocity
vy, with respect to time from zero to (infinite) gives,
2 2
1 x z
ni 2 x
z
Ci e [2.59]
2 x y z
where the diffusive effect in the direction of motion has been neglected. Since most continuous sources are
located at or near the earth’s surface, it is necessary to account for this effect. The result is the following,
2 1 z h 2 1 z h 2
1 x
exp exp
2 z
ni 2 x 2 z
Ci e [2.60]
2 x y z
where z is the levation of the source above the ground plane. If the receptor is locared at the ground level
(z = 0) we have the foowing mathematical relation,
2 2
1 x h
ni 2 x
z
Ci e [2.61]
2 x y z
which is the form of equation most often used in atmospheric dispersion prediction techniques.
produce turbulence and distortion of air motion, which cause gases and vapors to disperse downward
toward the ground more rapidly then upward. These will occur when fire stack heig and characteristics of
gases (and fumes) are not sufficient to carry the plume above the layer of strong turbulence.
becomes
P R T [2.63]
Therefore, heat transfer in the atmosphere is caused by radiative heating or by mixing due to turbulence
(convective transfer). If there is no mixing, an air parcel rises adiabatically (no heat transfer) in the
atmosphere. The air pressure at a fixed point is caused by weight of the air above that point. The change in
pressure is proportional to the change in height,
dP g dz [2.64]
This is a hydrostatic pressure distribution. Since the air is compressible, the density is also a decreasing
function of height. As the pressure drops, the parcel must expand adiabatically. The work done in the
adiabatic expansion (PdV) comes from the thermal energy of the air parcel. As the parcel expands, the
internal energy decreases and the temperature also decreases. The rate of expansion with altitude is fixed
by the vertical pressure variation establish by Equation [2.64]. The vertical temperature gradient in the
atmosphere is called the lapse rate. The dry adiabatic lapse rate (DALR) will be approximated as,
dT
0.00535º F ft 1 [2.16]
dz
or
dT
0.01º C m 1 [2.17]
dz
If the rising air contains water vapor, the cooling due to adiabatic expansion will result in the relative
humidity being increased and saturation may be reahed. Further ascend would then lead to condensation of
water vapor, and the latent heat thus released would reduce the rte of cooling of the rising air. The
buoyancy force on a warm air parcel is caused by the difference between its density and that of the
surrounding air. The temperature is normally used because it is easier to measure than the density. Once a
parcel of air is started moving up or down, it will continue to do so, causing unstable atmospheric conditions.
If the temperature decreases more slowly with increasing altitude than the adiabatic lapse rate, a dispaced
parcel of air experiences a net restoring force. The buoyancy forces cause stable atmospheric conditions.
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
dT
Stable conditions: 0.01º C m 1 [2.65]
dz
dT
Neutral conditions: 0.01º C m 1 [2.66]
dz
dT
Unstable conditions: 0.01º C m 1 [2.67]
dz
The potential temperature (T) is often more convenient to use than the measured than the measured
temperature (T). The potential temperature is the temperature a parcel of air would have if it were
compressed adiabatically to some reference pressure (approximately 1,000 mbar at ground level). The
relation between the potential temperature and the measured temperature is,
T T 9.8 10 3 z [2.68]
where z is the height (m) above the ground (reference pressure) and T is the absolute temperature (K). an
isothermal temperature gradient,
dT
0 [2.69]
dz
and
dT
0.01º C m 1 [2.70]
dz
represents a faily strongly stratified, stable condition. Large-scale unstable lapse rates seldom occur.
dT
0.01º C m 1 [2.67]
dz
and
dT
0 [2.72]
dz
If a such condition were occur, the buoyancy forces would cause the air to redistribute itself to form neutral
conditions. The only time unstable conditions are observed for extended periods of time is during strong
solar heating. Strongly stable lapse rates are commonly referrred to as inversion.
dT
0 [2.73]
dz
and
dT
0.01º C m 1 [2.74]
dz
The strong stability inhibits mixing across the inversion layer. Normally these conditions of strong stability
only extend for several hundred meters vertically, usually referred as the inversion depth. Ground-level
FIRE AND EXPLOSION RISK ANALYSIS
inversions inhibit the downward mixing of components emitted from smoke. This decreases the ground-level
concentrations of these components. With the advent of daylight, the ground begins to heat and the
inversion is gradually destroyed.
4.77 G vs
h v ,max [2.75]
v v
1 0.43
vs
where hv,max is maximum momentum rise of plume (ft), v is the wind velocity (fts1), vs is velocity at the
exit in fire stack (fts1), and G is gas flow rate from fire stack (ft3s1). The momentum rise of plume at a
distance downwind (x) from fire stack is given by,
h v ,max
h v ,x h v ,max 1 0.8 [2.76]
x
where distance downwind (x) must be greater than 2hv,max. The plume rise due to buoyancy is,
G T G T 2
h T 6.37 g 3 j
Ln j 2 2 [2.77]
v T
where hT is the maximum thermalrise of plume (ft), g is gravity acceleration constant (32.174 fts1), TF is
absolute temperature (K) of gas (smoke) at the interface with fire stack, and T is the absolute temperature
(K) at which density of gases equals the density of the ambient atmosphere.
v2 T v T
j 0.43 0.28 s 1 [2.78]
G vs g T g TF T
0.5
2 T G
v g [2.79]
TF T v s
Otherwise hT is eiminated from the summation for the effective height (hef) of emission,
h ef h s h v ,max h T [2.80]
where hs is the physical fire stack height (ft), and T is the gradient of potencial atmospheric temperature,
dT
T [2.81]
dz
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
For an adiabatic lapse rate, T = 0ºCft1; for an isothermal lapse rate, T = 0.003ºCft1; and for a strong
inversion, T = 0.006ºCft1. It is suggested a value of a gradient of potencial atmospheric temperature
(T) for normal atmospheric conditions as 0.001ºCft1. From Figure 1.1, we can obseerve that the plume
travels along or parallel to the y axis (in the mean wind direction). The concentration (Ci, gm3) of gas
(smoke) or aerosols at point (x,y,z) from a continuous source with an effective emission height (hef), in
metric units, is given by the following expression,
2 1 z h 2 2
1 x exp 1 z hef
exp ef
2 x 2 z 2 z
G
C i x , y , z, h ef e
[2.82]
2 v x z
where v is mean wind speed affecting the plume (ms1), G is emission rate of gas or components (gs1), x
and y are stability parameters in x and z directions (m). It is necessary to estimate concentrations from a
single source for the time intervals greater than few minutes; the best estimate is obtained from,
p
t
C i,s C i,k k
[2.83]
ts
where Ci,s is the desired concentration estimate for sampling time (ts), and Ci,k is the concentration for the
shorter sampling time (tk), and p is a constant between 0.17 and 0.20; the latter value is more commonly
used.
rg k g A C s C [2.84]
where rg is the rate of mass transfer, kg is the coefficient of diffusion, Cs is the saturation concentration of
smoke, and C is the ominal concentration. Under the conditions of mass transfer encountered,
dC
rg V [2.85]
dt
dC A
rg k g C s C [2.86]
dt V
A
In practice, the term k g is replaced by a proportionality factor that is related to existing conditions of
V
exposure. This factor is identified in literature as the overall mass transfer coefficient (km) in units s1. The
integrated form of Equation [2.86] is obtained by the following expression,
FIRE AND EXPLOSION RISK ANALYSIS
C t
dC A
k g dt [2.87]
C0 C s C V 0
Cs Ct
e k m t [2.88]
Cs C0
A
km kg [2.89]
V
In Equation [2.90], the terms CsCt and CsC0 represent the final and initial smoke saturation deficits.
BIBLIOGRAPHY
Bird, R. B., Stewart, W., Lightfoot, E., Transport phenomena, John Wiley and Sons, New York, 1960.
Pasquill, F., Atmospheric diffusion, Van Nostrand, Princeton, N. J., 1962.
Slattry, J., Momentum, energy, and mass transfer in continua, McGraw-Hill, New York, 1972.
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
Section 3
INTRODUCTION
Accidents such as at Bhopal (India) in 1984, where methyl isocyanine escaped from a storage facility causing
many deaths, have left the impression on the general public that storage of hazardous and toxic materials is
extremely dangerous to the public. In Malaysia, the fire and explosion incident at the Bright Sparklers
Factory at Baru Sungai Buloh on May 1991 had revealed many shortcomings and the lack of understanding
in handling the flammable and explosive materials. Flammable and explosive materials should be handled
and stored in the proper manner to avoid any adverse event occur. Fire and explosion are the two major
incidents, which could occur in mishandling and storage of flammable and explosive materials. Improper
handling found as the major causes in contributing the fire and explosion to occur. Due of that issue, the
need for risk assessment and analysis study for handling and storage flammable and explosive materials has
become exceedingly critical due to the increasing on the number of accidents. Moreover the potential
damage has been magnified by the proximity of many such operations have densely populated areas. The
need for risk assessment study concerning the application of hazardous and toxic materials has becomes
more important in recent years. It has been found that in many cases risk assessment study of handling
hazardous and toxic materials will show the storage area has the greater potential for risk to the public. This
is because of the much larger amount of hazardous material usually found in storage compared with process
areas, although process areas have accidents more often than storage areas.
There is always an element of risk associated with the use, storage and the handling of flammable and
explosive materials. Risk from fire and explosive events could be reducing if good design practices are
incorporated into process, facilities and building storage. The degree of risk of the fire and explosion hazards
is best compared to commonly accepted risk level. Thus, the Asian Development Bank in its Environment
Risk Assessment guidelines (Carpenter et al., 1990) suggested that for a project to be acceptable, its
potential cumulative risk must not exceed the commonly accepted individual voluntary risk, which is 4 to 10
fatalities per person per year for workers. In addition, if the risk of the operation extends to its neighbouring
population, such a risk shall not exceed the commonly acceptable risk level of 6 to 10 fatalities per person
per year for surrounding residents. The average individual voluntary risk for fatality to the workers at the
quarry industry is calculated to be 5.75 x 10-6 per person per year, which is much lower than the acceptable
level. For instance, eardrum rupture (one of the hazards derived from explosion danger) has been calculated
to be 3.15 x 10-6 per person per year. The risk had been estimated in term of fatalities.
Table 3.1 – Incidents assessed during IRP 18 review to onshore hydrocarbon exploration industry.
Incidents % Well Construction Operations %
Production operation incidents 27 Snubbing 5
Repair and maintenance incidents 21 Swabbing 3
Trucking operations incidents 21 Well testing and flowing 15
Well construction operations 32 Hydrocarbon pumping 5
Coiled tubing 3
FIRE AND EXPLOSION RISK ANALYSIS
The single most significant observation from the case studies was the overall lack of awareness of the fire
and explosion hazards. Committee members (IRP 18 Committee, University of Calgary) were consistently
surprised that the workers involved did not recognize and respond to obvious warning signs. The evidence
suggests that those involved in the planning and execution of oilfield operations must have a better
understanding of fire and explosion hazards to reduce the potential for similar events. The fire triangle in
Figure 3.1 is used to illustrate the three critical components required for combustion to occur.
1. Gases
2. Liquids and vapors
3. Chemicals
4. Solids
Figure 3.1 – The expanded fire triangle with expanded parameter lists.
It is widely understood that to eliminate the potential of a fire or explosion, one of the three sides of the fire
triangle must be eliminated. Given the nature of hydrocarbon industry and completion operations, this is not
as simple as it seems:
(1) There is always potential for flammable and combustible substances to be present. More importantly,
their properties can vary based on operating conditions.
(2) There is a wide range of oil and gas operations with an equally wide range of circumstances where air
(oxygen) can be combined with fuels. The accidental release of hydrocarbons or any other flammable
substance into a work area is an ongoing concern. The planned or accidental entry of air into a closed
system also requires attention.
(3) There are a wide range of ignition sources. Some ignition sources, such as static electricity and adiabatic
compression, are not well understood and are even more difficult to identify and control.
The ability to develop effective solutions for improving industry safety depends on developing a better
understanding of these elements.
Flammability Limits
The upper (rich) and lower (lean) flammability limits define the range of concentrations of a gas or vapour in
air that can be ignited and sustain combustion. Any composition outside of these limits cannot be ignited.
The lower flammability limit (LFL) decreases slightly as pressure is increased. However, the upper
flammability limit (UFL) can increase substantially as pressure increases. While these trends are consistent
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
for all hydrocarbons, each fuel or combustible has a different flammable range. Other factors that widen the
flammability range include:
(1) Increased temperatures widen the flammable range.
(2) Flammability limits are widened by the increased energy of the ignition source.
(3) If pure oxygen, instead of air, mixes with a hydrocarbon, the flammability limits may be widened.
Moisture and other contaminants will also affect the flammability range.
Auto-ignition Temperature
A fuel (or any other combustible) and air mixture can ignite without the introduction of an ignition source.
The minimum auto-ignition temperature (AITmin) is the lowest temperature at which the fuel (combustible or
flammable material) vapours spontaneously ignite. Hydrocarbons that have been heated can ignite if they
are exposed to air. Methane has the highest auto-ignition temperature (540ºC or 1004ºF). As the number of
carbon atoms present in the hydrocarbon substance increases, the auto-ignition temperature decreases. In
other words, heavier hydrocarbons tend to auto-ignite before lighter hydrocarbons. Increased pressures can
also reduce the auto-ignition temperature.
The minimum ignition energy values are usually given as the energy required to ignite the most reactive
mixture of hydrocarbon and air. A flammable mixture that is close to either the upper or lower limits may
require a higher amount of energy than the minimum ignition energy to ignite.
In unique circumstances, some solids used by the oil and gas industry may create explosive mixtures. As the
solid is heated it can undergo pyrolysis, a chemical degrading that occurs resulting in a release of vapours.
The vapours released have the ability to form an explosive atmosphere and can ignite. These can include:
(1) Lubricants;
(2) Sealants;
(3) Packings, “O” rings, diaphragms and valve seats;
(4) Paints and coatings.
FIRE AND EXPLOSION RISK ANALYSIS
SOURCES OF OXYGEN
It is widely understood that air (which contains approximately 21% oxygen by volume) when mixed in the
correct proportions with a hydrocarbon it forms an explosive mixture. This can occur when air is deliberately
used, or when it is inadvertently trapped in piping, vessels, and wellbores. There are several ways that
oxygen can form explosive mixtures with hydrocarbons:
(1) Planned air introduction during air-based operations or when piping and vessels are purged with air.
(2) Introduction of air during underbalanced operations or operations that create a vacuum (i.e. swabbing).
(3) Pockets of air created during the installation and servicing of equipment.
(4) The use of oxidizing chemicals (i.e. persulphates).
Table 3.2 shows the types of air-hydrocarbon mixtures identified during the IRP 18 review.
Table 3.2 – Hydrocarbon and air mixtures identified during IRP 18 review.
Mixture %
Air introduced thru swabbing 4
Air left in equipment 2
Hydrocarbons released into purged system 4
Air added as part of operation 2
System purged with air 9
Loading hydrocarbons into tank 7
Oxidized hydrocarbon fluid 7
Air allowed to enter in the system 11
System not totally purged 20
Hydrocarbon released to atmosphere 34
IGNITION SOURCES
Once the fuel and oxygen are present, an ignition source is needed to complete the fire triangle.
Hydrocarbons can be ignited in two ways. The first is if the temperature is raised above the auto-ignition
temperature then ignition will result. An example of this is the compression ignition of a diesel engine.
Forced ignition (i.e. external or piloted) is the most common form of accidental ignition. An external ignition
source is classified as anything that can deliver enough energy in the form of heat to ignite a substance.
This category includes such sources as open flames, electric arcs and sparks and mechanical sparks. Many of
the fires and explosions reviewed were attributed to ignition sources that are difficult to identify as shown in
Table 3.3. While some ignition sources are well understood and readily identified, others deserve further
discussion.
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
Static Electricity
Static electricity is the electrical charging of materials through physical contact and separation and the
positive and negative electrical charges formed during this process. A common source of static electricity is
the movement and transport of nonconductive liquids. When liquids are filtered, sprayed, pumped, mixed, or
flow through pipes, static electricity can be generated. This type of internal static charge cannot be
eliminated by bonding or grounding. If there is sufficient potential difference between the surface charge
and the metal shell, and an object is lowered into the tank or well, a static arc may occur. This is of
particular concern if there is a vapour space above the surface of a liquid. For example, the static arc
created by when well servicing tools contact the fluid in a well has ignited this type of air-vapour mixture.
Mechanical sparks occur when there is excessive friction between metals or extremely hard substances. As
the two substances rub against each other small particles are torn off of the surfaces. The tearing of these
small particles is due to the large amount of friction. For the metal to spark it must satisfy three conditions:
(1) The energy, which supplies the tearing off of the particles, must also be sufficient to heat the metal to
high temperatures. If it is a softer metal then it will usually deform before it will spark.
(2) For a metal to spark it must be able to oxidize and burn easily. Generally the temperature at which a
metal sparks is the same as its burning temperature.
(3) The specific heat of a metal is the last factor. A metal that has a low specific heat will reach a higher
temperature for the same amount of energy input.
FIRE AND EXPLOSION RISK ANALYSIS
Hot Surfaces
Surfaces that exceed the minimum autoignition temperature of a hydrocarbon have the potential to ignite
hydrocarbon vapours. Experience shows that hot surfaces must exceed the minimum auto-ignition
temperature by a substantial margin to cause ignition.
Compression Ignition
Pressure (compression ignition) can occur when gases are compressed. Heat is generated, or more
accurately, energy is transferred. If the rate of heat generation within a system exceeds the rate of heat loss
(energy transfer) to the surroundings, the temperature of the system will rise. If the rate of compression is
rapid enough such that the heat loss may be considered negligible, resulting in adiabatic compression, the
temperature rise will depend on the compression ratio.
Sudden Decompression
Sudden decompression of air and hydrocarbon mixtures, particularly air and liquid hydrocarbon mixtures, is
not well understood. Some of the compounds present are highly unstable especially when subjected to
sudden pressure and temperature changes. Decomposition of such products can yield significant energy
rapidly and may provide an ignition source for the air and hydrocarbon mixture. In addition, during sudden
decompression of air and hydrocarbon mixtures, the release of dissolved gases within the liquid
hydrocarbons may atomize the liquid hydrocarbons thus enhancing their reactivity.
NATURAL SUPPRESSANTS
Natural suppressants are frequently used in oilfield operations that affect the probability of ignition. These
include:
(1) Water (including formation water),
(2) Inert Gases;
(3) Thickening agents;
(4) Salts;
(5) Detergents.
These suppressants may unknowingly aid in the prevention of fire and explosions (i.e. during drilling and
completion operations). This may explain why fire and explosions do not occur more frequently. The total
avoidance of fire or explosion hazards is not always possible. However, there are steps that can be
introduced to decrease the overall risk of a fire or explosion. Based on the results of the investigative work
completed on behalf of the bove listed IRP 18, the first step is increasing the understanding of the hazards.
To prevent future incidents, an accurate assessment of the operational threats and the required barriers is
necessary for each dimension of the fire triangle. It is important to know the properties of the air and fuel
mixture as well as the range of potential ignition sources. With this knowledge it is possible to determine the
best steps to take to insure that the safest procedures are in place. Having all three parts of the fire triangle
does not guarantee that an explosion will occur. The complex mechanics involved in combustion never
guarantees that the same result happens every time. The probability of an explosion occurring in certain
situations can be very high; however it is never absolutely certain. Operations cannot be considered safe
based on the fact that there have been no previous incidents. Any time air and fuel are permitted to mix in
flammable proportions it should be assumed that the potential for ignition exists.
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
Only the outdoor population present within the flammable boundaries of the vapor cloud is assumed to be
injured due to (a) short exposure to very high thermal radiation fluxes from the vapor cloud fire, (b) direct
flame contact, (c) secondary fires of clothing, and (d) inhalation of hot combustion products. It is generally
assumed that people inside buildings at the time of the flash fire will not be injured. It is also assumed that
people inside buildings which are ignited by flash fire or a pool fire will be able to escape from the burning
structure without direct thermal impact injuries. This is because the flash fire will ignite buildings from the
outside and it will take some time for the fires to penetrate inside. Published thermal radiation damage
criteria often associate a level of damage with a heat flux value or an integrated heat flux value for short
duration events such as fireballs. Typical values used and their observed effects are provided by the
American Institute of Chemical Engineers Center for Chemical Process Safety (CCPS) and listed in Table 3.4.
radiation hazard footprints may be higher. In addition, in large scale pool fires field data such as the Montoir
field trials, emissive power values of approximately 300 kWm2 were reported. In general, the thermal
radiation flux experienced by an observer exposed to a fire decreases in proportion to the square of distance
from the fire source.
The National Fire Protection Association NFPA-59 standard for thermal radiation criteria should not be
confused with and considered as a risk acceptability criteria. Hazards are just one aspect of risk. Other
important aspects of risk management include operational, economic, social, political, and environmental
factors as well as the probability of the occurrence of the hazard itself. The 5 kWm2 limiting criterion does
not adequately represent the risks presented by an hydrocarbon facility to sensitive population and critical
areas or buildings. Dosage must be considered as mentioned in item 2 above. The most widely recognized
and used methods for establishing the impact of thermal radiation on people are those developed by TNO in
the Green Book. These methods are referred to as thermal radiation probits or vulnerability models.
Y 5
1 u2
du 1 1 erf Y 5
P
2
exp 2 2 2
2
[3.1]
For mortality response (Y) to a toxic exposure of concentration (C) and time duration (t) in seconds, the
probability unit (Y) is given by the following equation,
Y A B ln C n t [3.2]
where, A and B are the probit parameters established from measurements and represent the critically
evaluated scientific data (see Table 3.5). In Equation [3.1] the integral containing concentration represents a
dose factor. Probit analysis can also be applied to thermal radiation hazards,
4
Y A B ln t I 3 [3.3]
where I is the radiation intensity (Wm2) , and t is the exposure time in seconds. If concentration (C) varies
with time, then the probit analyysis response (Y) for thermal radiation hazards can be expressed as,
t
Y A B ln C n dt
[3.4]
0
The influence of running away from a location with high heat radiation to a location where the level of heat
radiation is safe (approximately 1 Wm2) can also be used for the assessment of injury and fatality from
heat radiation. Generally, we consider 1 kWm2 as the maximum heat flux the skin can absorb during a long
time without feeling pain. The probits presented in Table 3.5 can be modified to take that into account by
replacing the exposure time (t) in Equation [3.2] through Equation [3.4] by an effective exposure time (tef),
5
x v 3
t ef t r 0.6 1 1 t ev [3.5]
v x
where, tr is the reaction time ( 5 seconds, see Table 3.5), x is the safe distance to the radiadion intensity of
1 kWm2, v is the run velocity (ms1) depending on conditions presented in Table 3.6, and tev is the
necessary time to reach to a safe position where there is an minimum radiation intensity less than 1 kWm2.
The time to reach a safe position (tev) should be account from the first moment when fire event takes place
until the moment when a person gets a safe place, and can be determined by the following expression,
FIRE AND EXPLOSION RISK ANALYSIS
n L
t ev [3.6]
w v
where n is the number of persons in the vicinity of the fire event, w is the wide (m) of the path used by the
persons to get the safe place, is the circulation coefficient that varies from 1.0 persons per m1s1 to 2
persons per m1s1 used from Table 3.6, L is the length (m) of path to run away from the fire event, and v is
circulation velocity (ms1) for an average person used from Table 3.6.
The populational density in the vicinity of the fire event changes with the activity, e.g. industrial
environment, commercial environment, public environment, and so on. In the case of projects with high
populational density, we can use a restrict value of 1 person per 0.25 m2 (2.69 ft2); in general cases, it is
common to use a populational density ranging from 1 person per 2 m2 (21.53 ft2) to 1 person per 10 m2
(107.64 ft2) depending on the type of activity and facility. The minimum value to be used as the populational
density for warehouses, parking places, and open areas is 1 person per 40 m2 (430.56 ft2).
To illustrate the use of the thermal radiation probits, we present in Table 3.7 for the thermal radiation
dosage required to produce a 1% probability outcome, the heat radiation probit parameters used according
to Equation [3.3]. Note that you should not be extrapolated to values less than 1 kWm2. The probit
function (Equation [3.3]) reported below accounts for clothing protective influence on fatality for humans. It
assumes that 20% of the body area remains unprotected for an average population. As a result, the fatality
for protected bodies is about 14% of the fatality for unprotected bodies.
fire events. If hydrocarbon vapors do not ignite, vapor clouds could spread over distances greater than
1,600 m from a spill. For nominal accidental spills, the resulting hazard ranges could extend up to 1,700 m.
For a nominal intentional spill, the hazard range could extend to 2,500 m. The actual hazard distances will
depend on breach and spill size, site-specific conditions, and environmental conditions.
In modern risk analysis approaches, the risks associated with an event are commonly defined as a function
of the following four elements:
(1) The probability of the event such as an hydrocarbon tank breach and spill;
(2) The hazards associated with the event such as thermal radiation from a fire due to an hydrocarbon spill;
(3) The consequences of the event such as the thermal damage from a fire;
(4) The effectiveness of systems for preventing the event or mitigating hazards and consequences such as
any safety and security systems.
Risk prevention and mitigation techniques can be important tools in reducing both the potential for and the
hazards of a spill, especially in zones where the potential impact on public safety and property can be high.
However, what might be applicable for effective risk reduction in one location might not be appropriate at
another. The options identified for the implementation of different strategies concerning with hydrocarbon
risk reduction, alone or in combination, can be used to reduce certain threats, mitigate consequences of a
hydrocarbon spill, or reduce hazard analysis uncertainties.
size or hazard ranges, but the expected fire duration will increase. Hazard analysis and risk prevention and
mitigation strategies should consider this in assessing public safety and damage to property.
Table 3.8 – Models for improved analysis of an hydrocarbon spill in high hazard areas.
Application Improved Modeling Approaches
Finite element for modeling accidental ship collisions and shock
Breach Analysis
physics for modeling intentional breaches.
Coupled spill leakage, fluid flow and fracture mechanics for modeling
Structural Analysis Modeling
ship structural damage and damage o cargo tanks.
Spreading Modeling spread of cryogenic liquids on water.
Dispersion Modeling dispersion of dense gases.
Modeing fire phenomena, including combustion, soot formation, and
Fire
radiative heat transfer.
vary based on spill size, distance from the spill, and site-specific conditions. For small spills, the hazards
transition quickly to lower hazard levels.
(3) Beyond approximately 750 m for small accidental spills and 1,600 m for large spills, the impacts on
public safety should generally be low for most potential spills. Hazards will vary; but minor injuries and
minor property damage are most likely at these distances. Increased injuries and property damage
would be possible if vapor dispersion occurred and a vapor cloud was not ignited until after reaching this
distance.
Table 3.9 summarizes the results on expected hazard levels for several types of accidental and intentional
spills. While the analyses included evaluations of the size and number of breaches, spill rate and discharge
coefficient, burn rate, surface emissive power, and transmissivity, site-specific environmental conditions such
as wind speed, direction, waves, and currents, were not specifically considered. Therefore, the distances to
each of the different hazard zones are provided as guidance and will vary depending on site-specific
conditions and location.
Table 3.9 – Guidance for impacts on public safety from hydrocarbon breaches and spills.
Potential Impact on Safety Public
Zone Potential Hazard
High Medium Low
1 Small fire 250 m 250 m – 750 m > 750 m
2 Large fire 500 m 500 m – 1,600 m > 1,600 m
3 Vapor cloud dispersion with late ignition 500 m > 16,00 m > 2,000 m
Low impact signifies that we could have minor injuries and minor property damage. Medium impact consider
the potential for injuries and property damage. High impact is related to major injuries and significant
damage to property. Many of the hazard zones identified in Table 3.9 are based on thermal hazards from a
pool fire, because many of the events will provide ignition sources such that a fire is likely to occur
immediately. In some cases, the potential exists for a vapor cloud to be created without being ignited. A
vapor cloud from an hydrocarbon spill could extend to 2,500 m, if an ignition source is not available. The
potential thermal hazards within a vapor cloud could be high. Because vapor cloud dispersion is highly
influenced by atmospheric conditions, hazards from this type of event will be very site-specific. In addition,
latent or indirect effects, such as additional damage that could be caused by a damaged infrastructure (e.g.
a refinery or power plant) were not directly assessed. These types of issues and concerns are site-specific
and should be included as part of the overall risk management process.
The zone 1 areas are areas in which hydrocarbon spill events could occur in narrow harbors or channels,
under major bridges or over tunnels, or come within approximately 500 meters of major infrastructure
elements, such as military facilities, population and commercial centers, or national icons. Within this zone,
the risk and consequences of a large hydrocarbon spill could be significant and have severe negative
impacts. Thermal radiation poses a severe public safety and property hazard, and can damage or
significantly disrupt critical infrastructure located in this area. Risk management strategies for hydrocarbon
operations should address vapor dispersion and fire hazards. The most rigorous deterrent measures, such as
vessel security zones, waterway traffic management, and establishment of positive control over equipment
and facilities are elements of the risk management process. Coordination among all port security
stakeholders is essential. Incident management and emergency response measures should be carefully
evaluated to ensure adequate resources (i.e. firefighting, salvage) are available for consequence and risk
mitigation.
Zone 2 areas are areas in which hydrocarbon spills resulting from shipments, processing and deliveries occur
in broader channels or large outer harbors, within approximately 500 m to 1,600 m of major critical
infrastructure elements, such as population or commercial centers. Within zone 2, the consequences of even
a large hydrocarbon spill are reduced. Thermal radiation transitions to less severe hazard levels to public
safety and property. Risk management strategies for hydrocarbon handling operations that occur in this
zone should focus on vapor dispersion and fire hazards. The strategies should include incident management
and emergency response measures that ensure areas of refuge (enclosed areas, buildings) are available, the
development of community warning procedures, and education programs to ensure that communities are
aware of precautionary measures.
FIRE AND EXPLOSION RISK ANALYSIS
Zone 3 covers hydrocarbon shipments and deliveries that occur more than approximately 1,600 m from
major infrastructures, population and commercial centers, or in large bays or open water, where the risks
and consequences to people and property of a large hydrocarbon spill over water are minimal. Thermal
radiation poses minimal risks to public safety and property. Risk reduction and mitigation strategies can be
significantly less complicated or extensive than zone 1 and zone 2. Risk management strategies should
concentrate on incident management and emergency response measures for dealing with vapor cloud
dispersion. Measures should ensure that areas of refuge are available, and community education programs
should be implemented to ensure that persons know what to do in the unlikely event of a vapor cloud.
P E S
R i, t [3.7]
The safety level coefficient () represents the safety and security system implemented or existing for a
specific plant, facility or building under evaluated. Effectively evaluating the risks of a large hydrocarbon spill
over water, soil, or in the air requires that the potential hazards (results of events that are harmful to the
public and property) and consequences be considered in conjunction with the probability of an event, plus
the effectiveness of physical and operational measures of hydrocarbon transportation, handling and storage,
to prevent or mitigate a threatening event. For example, safety equipment, operational considerations and
requirements, and risk management planning can work together to reduce the risks of an hydrocarbon spill
by reducing both the probability of an event that could breach the hydrocarbon tanker and by reducing the
consequences of a spill. Because of the difficulty in assessing the effectiveness of fire safety measures and
operational safety and security strategies, many studies assume the probability of an event and a
vulnerability to be one; therefore, the concentration is on calculating expected consequences. This often
provides worst-case results with low probability and very high uncertainty, which can inappropriately drive
operational decisions and system designs. Therefore, for high consequence and low probability events, a
performance-based approach is often used for developing risk management strategies that will reduce the
hazards and risks to both public safety and property.
Other types of threats can be constantly changing and difficult to assess accurately, requiring more
robust approaches for prevention or mitigation and frequent re-evaluations of new threats.
The risk analysis, in turn, helps support a program for managing risks of hydrocarbon handling for site-
specific locations and conditions. The risk assessment and management process includes:
(1) Evaluating the potential for an event that could cause a loss of hydrocarbons;
(2) Establishing the potential damage to the system from these events and the potential hydrocarbon spills
that could occur;
(3) Estimating the volume and rate of a potential hydrocarbon spill based on the dimensions and location of
the breach, properties and characteristics of the hydrocarbon, system design, and environmental
conditions (e.g. wind, waves, currents, etc.);
(4) Estimating the dispersion, volatilization, and potential hazards of a hydrocarbon spill based on physical
and environmental conditions;
(5) When necessary, identifying prevention and mitigation approaches and strategies to meet risk
management goals.
If risks, costs, or operational impacts are deemed to be too high, the overall process cycles back through the
evaluation to identify alternative approaches for improving system performance. Safeguards could include a
range of risk management options: improvements protection system, modification of existing operational
and safety and security management procedures, improvements in emergency response coordination, or
changes in support operations or services. The risks are then re-evaluated according to the new approaches
to determine if they meet identified risk management goals. If not, then the evaluations can be repeated
with additional provisions or changes until the risk management goals are reached. The potential
alternatives, changes, and upgrades can be compared through the process to identify appropriate and
effective approaches for improving overall system safety and security.
Deciding on the sufficiency of protection measures to meet risk management goals is often aided by a
benefit-cost evaluation. In most locations and most operations, some level of risk is common and, therefore,
a residual risk often remains. For example, certain levels of safety equipment are standard features in
automobiles, such as seat belts, air bags, and antilock brakes. While they might be effective safety
measures, they do not provide total protection in all automobile accident scenarios. Therefore, the public
does have some level of risk associated with driving. How might risk management considerations apply to
hydrocarbon transportation and off-loading? While many potential safeguards might be identified for a given
location, the level of risk reduction and risk management required to be protective of public safety and
property for hydrocarbon transportation, processing, handling and storage will vary based on site-specific
conditions. The risk management goals for a given location should be determined in cooperation with all
stakeholders. Stakeholders include the general public, public safety officials and elected officials, facility
operators, port and transportation safety and security officials, underwriters, utility representatives,
regulatory agencies, and ship management companies.
Quantifying the size and likelihood of spills from different events drives the event tree. Following a spill
event, depending on the size and location, hydrocarbon can be expected to escape through a breach onto
the water surface, soil, and air or both. Depending on whether there is early or late ignition, hydrocarbon
dispersion can occur through either volatilization of the hydrocarbon into the air and transport as a vapor
cloud or transport as a liquid on the surface of the water. Several variables must be addressed in developing
an assessment of an hydrocarbon spill and its general dispersion, including potential ignition sources and
ignition times. These factors determine whether the LNG disperses without a fire, burns as a pool fire, or
burns as a vapor fire. Assumptions made in addressing or analyzing these variables can have a significant
impact on estimates of the potential hazards associated with an hydrocarbon spill.
Asphyxiation
Methane is considered a simple asphyxiant, but has low toxicity to humans. In a large-scale hydrocarbon
release, the cryogenically cooled liquid hydrocarbon would begin to vaporize upon release. If the vaporizing
FIRE AND EXPLOSION RISK ANALYSIS
hydrocarbon does not ignite, the potential exists that the hydrocarbon vapor concentrations in the air might
be high enough to present an asphyxiation hazard to persons in the vicinity, emergency response personnel,
or others that might be exposed to an expanding hydrocarbon vaporization plume. Although oxygen
deficiency from vaporization of an hydrocarbon spill should be considered in evaluating potential
consequences, this should not be a major issue because flammability limits and fire concerns will probably
be the dominant effects in most locations.
The National Fire Protection Association standard for the production, storage, and handling of liquefied
natural gas (standard NFPA-59A) recommends that an incident heat flux value of 5 kWm2 be the design
level that should not be exceeded at a property line or in areas where groups of more than 50 people might
assemble. Therefore, 5 kWm2 is a commonly used value for establishing fire protection distances for
people.
While structures might be able to withstand higher levels of incident heat flux, as shown in Table 3.11, heat
flux levels approaching 35 kWm2 will cause significant damage to structures, equipment, and machinery.
Generally, combustion of hydrocarbon vapor is controlled by two limiting factors:
(1) Whether the hydrocarbon vapor does not have enough time to mix with the air (called non-pre-mixed
combustion).
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
(2) Whether the ignition occurs after the fuel has time to mix with the surrounding air (appropriately called
pre-mixed combustion). Therefore, ignition time is important in spill scenarios to assess appropriately the
type and extent of thermal radiation from an hydrocarbon spill and fire. As noted in Table 3.11,
combustion and thermal damage from a fire can have severe consequences and should be carefully and
thoroughly analyzed.
Hydrocarbon Fireballs
Two types of combustion modes might produce damaging pressure: deflagration and detonation.
Deflagration is a rapid combustion that progresses through an unburned fuel and air mixture at subsonic
velocities; whereas, detonation is an extremely rapid combustion that progresses through an unburned fuel
and air mixture at supersonic velocities. For low reactivity fuels such as natural gas, combustion will usually
progress at low velocities and will not generate significant overpressure under normal conditions. Ignition of
a vapor cloud will cause the vapor to burn back to the spill source. This is generally referred to as a fireball,
which, by its nature, generates relatively low pressures, thus having a low potential for pressure damage to
structures.
An event tree of generic hydrocarbon spill scenarios was used to compare and contrast the analysis process
in each study. Table 3.12 presents a summary of the hydrocarbon spill and fire hazard predictions for each
of the studies. The distances between the fuel fire and specific thermal hazards are shown in the columns
labeled as “Skin Burn Distance” and “Paper Ignition Distance.” A secondary indicator of thermal hazard is
shown in the “Fire Duration” column. All the studies assumed ignition such that the fuel burns as a pool fire,
with no explosions.
FIRE AND EXPLOSION RISK ANALYSIS
Table 3.12 – Summary of results of the above four liquified natural gas (LNG) spill studies.
Combustion Fuel Spill Fuel Spill Skin Burn Paper Ignition Fire
Study
Mode Volume (m3) Area (m2) Distance (m) Distance (m) Duration (min)
Lehr 500 500 3.0
Diffusion
Fay 15,500 200,000 1,900 930 3.3
flame with no
Quest 12,500 9,503 490 281 28.6
explosion
Vallejo 14,300 120,000 1,290 660 9.0
Significant differences were observed among the studies in the thermal hazard distances calculated, due to
each analyst’s use of different fuel spill volumes and different approximations in the models for spill
spreading, fuel burning, and heat transfer. The Vallejo, Quest, and Fay reports addressed comparable large
spills; and the Lehr paper concentrated on spills that were twenty-five to fifty times smaller in volume. Each
of the studies differed in its use of models for fire and heat transfer. For example, if identical fuel spill areas
and fire thermal emission levels are used as inputs, the heat transfer models used in the Quest and Fay
studies predict thermal hazards that differ by 30%, due to the flame model and pool size assumptions. Each
of the studies assumed a source of ignition (required to start a fire), but excluded consideration of the
timing of ignition relative to the release and spreading of the hydrocarbon. The studies also differed in their
use of meteorological conditions, such as waves for the locations considered. Quest is the only study that
used an hydrocarbon spill dispersion model in which the impact of waves on the spill pool area was
considered. Many of the assumptions and parameters used in the calculations and analyses were not
specifically validated. While existing analytical models and techniques can be used to provide general
guidance on the potential hazards associated with a large hydrocarbon spill, the four studies do demonstrate
how differences in the assumptions of spill size, fire modeling parameters, and environmental factors can
have a significant impact on calculated hazard distances. Therefore, the studies show how important it is to
use appropriate assumptions, data, and models in trying to develop an accurate assessment of hazards from
an hydrocarbon spill. While each of the studies provides an example of the potential consequences of a large
scale hydrocarbon spill over water, none of the studies identified the probability of the postulated events and
assumptions, nor did any discuss mechanisms or strategies that could be implemented to reduce the
potential risks of such a spill. Therefore, they do not provide a characterization of how to manage the risks
to people and property of a large scale hydrocarbon spill over water.
transmissivity value of 0.8, and a burn rate of 3104 were also used. The volume of the spill assumed for
each breached hydrocarbon storage facility was approximately 12,500 m3 or about half the contents of the
average hydrocarbon tank. The fire duration was based on the hole size, associated spill rate and the
assumed burn rate. Several significant fire parameters have a range of values, thus a parameter variation
was performed to ascertain the result on thermal hazard distance. By grouping these parameters to result in
extremes of hazard distances, it can be shown that the ranges can vary by factors of five to ten. Such
groupings are not probable; therefore, it is more reasonable to choose a nominal case and conservatively
vary different factors individually to bounding values to obtain hazard distances. This general approach is
presented in Table 3.13 where we can find a summary of the results calculated using that approach for
potential accidental spills: the distance to 37.5 kWm2 and 5 kWm2 is from the center of the pool.
Table 3.13 – Summary of results of the above four liquified natural gas (LNG) spill studies.
Pool Distance to…
Hole Size Discharge Burn Rate Surface Emissive Burn Time
Diameter 37.5 5
(m2) Coefficient (m/s) Power (kW/m2) (min)
(m ) kW/m2 kW/m2
1 0.6 3104 220 148 3.0 177 554
2 0.6 3104 220 209 3.3 250 784
2 0.6 3104 220 362 28.6 398 1358
The results presented in Table 3.13 show that thermal hazards of 37.5 kWm2 from a potential accidental
breach and potential fire are expected to exist within approximately 150 m to 250 m of the spill, depending
on site-specific conditions. Thermal hazards of 5 kWm2 are expected to exist out to 500 m and 750 m from
the spill. The multi-hole spill scenario presented considers the potential for a failure due to a long-duration
fire that might occur in a smaller accidental spill.
Table 3.14 – Dispersion distances to lower flammability level (LFL) for accidental spills.
Hole Size Spill Duration Pool Diameter Distance to LFL
(m2) (min) (m ) (m )
1 40 148 1,536
2 20 209 1,710
Table 3.15 summarizes the estimated results of the impact on public safety and property for an accidental
breach and spill. In this table, high impact would include a thermal intensity in the range of 37.5 kWm2 and
low values would correspond to thermal intensities in the range of 5 kWm2.
Table 3.15 – Approximated impact of accidental breaches and spills on public safety and property.
Potential Impact on Safety Public
Potential Hazard
250 m 250 m – 750 m > 750 m
Small fire High Medium Low
Vapor cloud High High or medium Medium
Big fire High High Medium
Where very low impact signifies little or no property damage or injuries, low impact represents a minor
property damage and minor injuries, medium impact stands for potential for injuries and property damage,
and high impact reveals major injuries and significant damage to structures.
Table 3.16 – Summary of results of the above four liquified natural gas (LNG) spill studies.
Pool Distance to…
Hole Size Discharge Burn Rate Surface Emissive Burn Time
Diameter 37.5 5
(m2) Coefficient (m/s) Power (kW/m2) (min)
(m ) kW/m2 kW/m2
1 0.6 3104 220 148 3.0 177 554
2 0.6 3104 220 209 3.3 250 784
5 0.6 3104 350 330 8.1 529 1,652
12 0.6 3104 220 512 3.4 602 1,920
Because the heat radiated by the flamelets would be far less than the heat radiation calculated in the many
studies (based on a large pool fire), the amount of radiative heat flux that an adjacent object receives would
be less, thereby decreasing the size of the thermal hazard zone. The development of fire whirls might
increase the hazard zone. Therefore, this type of pool fire model should be carefully considered to improve
thermal hazards analysis from potential large spills. The results presented suggest that the potential thermal
hazards for large spills can vary significantly, based on the uncertainty associated with potential spill sizes,
dispersion variations, and threats. Based on the estimated pool size for large spills, even with the possibility
of reduction in effects for mass fires as opposed to single pool fires, high thermal hazards approaching 37.5
kWm2 could probably extend to approximately 500 meters. The thermal hazards between 500 meters and
1,600 meters decrease significantly. The hazards would be low, approximately 5 kWm2 beyond 1,600 m
from even a large spill. Based on these observations, approximate hazard zones seem to exist between 0 m
to 500 m, 500 m to 1,600 m, and over 1,600 m, and were used to develop guidance on managing risks for
hydrocarbon spills.
Table 3.17 – Dispersion distances to lower flammability level (LFL) for accidental spills.
Hole Size Spill Duration Pool Diameter Distance to LFL
(m2) (min) (m ) (m )
5 8.1 330 2,450
5 8.1 572 3,614
The analyses from the fire and vapor dispersion calculations suggest that high thermal hazards from
intentional events extend significantly from the spill location. Table 3.18 summarizes the general impacts on
both public safety and property for intentional breaches and spills. In this table, high impact would include a
thermal intensity in the range of 37.5 kWm2 and low values would correspond to thermal intensities in the
range of 5 kWm2 . These results should be used as guidance, bearing in mind that these distances will
vary, based on site-specific factors and environmental conditions.
Table 3.18 – Approximated impact of accidental breaches and spills on public safety and property.
Potential Impact on Safety Public
Potential Hazard
500 m 500 m – 160 m > 1600 m
Small fire High Medium Low
Fireball Medium Low Very low
Vapor cloud High High or medium Medium
Big fire High High Medium
Where very low impact signifies little or no property damage or injuries, low impact represents a minor
property damage and minor injuries, medium impact stands for potential for injuries and property damage,
and high impact reveals major injuries and significant damage to structures.
developed in this text to assess ways to enhance operations and reduce the potential risks to the public.
Hopefully, this will provide the reader with suggestions on how to consider various issues, including terminal
location and site conditions, operational conditions, environmental effects, and safety and security concerns
and measures. To be feasible, such a process must be effective from a surety standpoint, affordable,
possible to implement in a timely fashion, minimize environmental impact, and be otherwise amenable to
regulators and stakeholders. We are not intending to suggest a “cookbook” methodology for selecting new
sites; however, we want the reader to understand what type of issues should be considered and what
various measures should be applied to try to achieve appropriate levels of protection of public safety and
property for hydrocarbon imports.
In the risk management process the four attributes discussed are then evaluated to determine if the
protection system in place can effectively meet the risk management goals identified for a specific import
terminal site and operations. If so, then the safety and security measures and operations developed for the
hydrocarbon operations are adequate. Hydrocarbon operations should be reviewed on a regular basis to
assess whether changes in context, targets or threats, risk management goals or risk management systems
have changed such that a reassessment of risks is needed. If the initial risk assessment determines that the
identified risk management goals are not being met, then potential modifications in location and site
conditions, hydrocarbon operations, safety and security measures, emergency response and early warning
measures should be assessed to determine effective improvements in the overall risk management system
Below, we provide a summary of the elements that should be considered for hydrocarbon facility
applications for each step of the risk management process identified. These steps provide a context of how
the safety analysis and risk guidance provided in this report can be used to evaluate options to protect
property and public health and safety associated with hydrocarbon operations.
Characterize Assets – In this step, the context of the hydrocarbon facility such as location, site-specific
conditions, and nominal operations should be identified and developed. Information that should be collected
and considered includes:
(1) Type and Proximity of Neighbors – Distance to residential, commercial, and industrial facilities or other
critical infrastructures such as bridges or tunnels.
(2) Environmental Conditions – Wind-driven spill movement and dispersion (prevailing wind direction, speed,
and variability), severe weather considerations (hurricanes, storm surges), tidal-driven spill movement
and dispersion (height, current, and influence on spill movement and dispersion), seismic issues (ground
displacement, soil liquefaction), temperature issues (ice, thermal impediment to operations).
(3) Nominal Operational Conditions – Available storage, seasonal demands, percentage of regional or local
supply, additional traffic (near other large ships, pleasure boats) and distance to it, transit near critical
infrastructures (such as other terminals, commercial areas, or residential areas), number of critical
facilities along transit, and distance to critical facilities along transit.
Identify Potential Threats – In this step, the potential or likely threats expected for the facility, based on site
location and relative attractiveness of either an hydrocarbon facility or other nearby targets, should be
identified:
FIRE AND EXPLOSION RISK ANALYSIS
(1) Accidental Event Considerations – Patterns and frequency of other targets, major objects or abutments
to be avoided, warning systems, weather impacts on operations.
(2) Intentional Event Considerations – Threat levels identified by security, identified threats, past threats,
difficulty of potential harm scenarios for a given site.
(3) Attractiveness of Targets – Impact of potential hydrocarbon release accident, impact on facilities, impact
on other facilities near site not associated with hydrocarbon operations.
Determine Risk Management Goals and Consequence Levels – Identify risk management goals or
consequence levels for hydrocarbon operations, including potential property damage and public safety
(including injury limits). Setting of the goals and levels would be conducted in cooperation with stakeholders,
public officials, and public safety officials. Consideration should be given to evaluating a range of potential
risk management goals and consequence levels. In this way, an assessment of the range of potential costs,
complexity, and needs for different risk management options can be compared and contrasted. Common risk
management goals and consequence level considerations should include:
(1) Allowable duration of a loss of service, ease of recovery.
(2) Economic impact of a loss of service.
(3) Damage to property and capital losses from a spill and loss of service.
(4) Impact on public safety from a spill (i.e. potential injuries, deaths).
Define Safeguards and Risk Management System Elements – This step includes identifying all of the
potential safety and security elements and operations available on the hydrocarbon handling, at the process
plant or facilities, storage, terminal, or in transit. They include not only safety features but also safety and
security-related operations and emergency response and recovery capabilities. These include:
(1) Operational Prevention and Mitigation Considerations – Hydrocarbon safety and security features,
proximity and availability of emergency support (e.g. escorts, emergency response, fire, medical and law
enforcement capabilities), early warning systems, ship interdiction and inspection operations and security
forces, and ability to interrupt operations in adverse conditions (i.e. weather, wind, waves).
(2) Protective Design – Design for storm surges, blasts, thermal loading, security measures (i.e. fences,
surveillance, exclusion areas), effective standoff from residential, commercial, or other critical
infrastructures based on recommended hazard distances from an potential hydrocarbon spill (over water,
soil or into air), and redundant offloading capabilities.
Analyze System and Assess Risks – In this step, the defined risk management goals and consequence levels
should be compared to the existing system safeguards and protective measures. This effort would include
evaluation of each element of the event tree identified for each case for a potential spill that might occur for
the site-specific conditions, threats, and calculated hazard distances and hazard levels. If the system
safeguards in place provide protection of public safety and property that meet risk management goals, then
the overall risks of an hydrocarbon spill would be considered compatible with public safety and property
goals. The risk management process should be updated regularly to assess whether changes in threats or
threat levels, operations, hydrocarbon facility design, or protective measures have occurred that would
impact the ability of the system safeguards to meet identified or improved public health and safety goals.
Assess Risk Prevention and Mitigation Techniques – If the potential hazard distances and hazard levels
calculated exceed the consequence levels and risk management goals for the hydrocarbon facility (process
plant, terminal and transit operations), then the enhanced risk mitigation and prevention strategies should
be considered. While many of the options listed would be possible for a given site, developing approaches or
combinations of approaches should be considered that can be effectively and efficiently implemented and
that provide the level of protection, safety, and security identified for the LNG operations at each site.
minimize environmental impact, and be otherwise amenable to regulators and stakeholders. We are not
intending to suggest a “cookbook” methodology for selecting new sites; however, we want the reader to
understand what type of issues should be considered and what various measures should be applied to try to
achieve appropriate levels of protection (LOP) of public safety and property for hydrocarbon handling. Risk
management of an hydrocarbon facility should be viewed as a system that includes the hydrocarbon process
operations, terminal facilities and location, the transit path (including waterways), and the nearest neighbors
along the transit path and at the terminals. Four classes of attributes affect the overall risks. These include:
(1) The context of the hydrocarbon facility – Location, site specific conditions, importance to the region;
(2) Potential targets and threats – Potential accidental events, credible intentional events, and ship or
infrastructure targets;
(3) Risk management goals – Identification of levels of consequences to be avoided, such as injuries and
property damage, hydrocarbon supply reliability required;
(4) Protection system capabilities – Hydrocarbon facility safety and security measures, hydrocarbon
operations safety and security measures, and early warning and emergency response and recovery
measures.
In the risk management process, the four attributes discussed are then evaluated to determine if the
protection system in place can effectively meet the risk management goals identified for a specific
hydrocarbon facility site and operations. If so, then the safety and security measures and operations
developed for the hydrocarbon operations are adequate. Import operations should be reviewed on a regular
basis to assess whether changes in context, targets or threats, risk management goals or risk management
systems have changed such that a reassessment of risks is needed. If the initial risk assessment determines
that the identified risk management goals are not being met, then potential modifications in location and site
conditions, safety and security measures, emergency response and early warning measures should be
assessed to determine effective improvements in the overall risk management system.
POOL BOILING
Boe performed laboratory scale experiments with liquefied methane-ethane and methanepropane mixtures
boiling on water (Boe, 1998). The results indicated that addition of ethane or propane affects the boil-off
rate. High initial boil-off rates were observed for methane rich mixtures similar to that of typical liquified
natural gas (LNG) compositions. The boil-off rates increased by a factor of 1.5 to 2.0 from that of pure
methane, when either ethane or propane was added to methane to obtain a 97% methane mixture. It was
concluded that there is a breakdown of film boiling due to closer contact between the mixture and water,
causing a higher heat flux and lower surface temperature below that to maintain a continuous vapor film. On
laboratory scale experiments showed that liquified natural gas had a higher boiling rate than pure methane
on a bound-free surface. The rate of boiling increased with time and foaming of the liquified natural gas
occurred on the water surface.
Spreading based upon a gravitational-inertia balance, heat transfer, and vaporization pointed out that
preferential evaporation occurs and that boiling does not take place at a constant temperature. It was found
that a decrease in the rate of vaporization, due to the change in composition of the pool, occurs in the later
stages of the pool. The vaporization rate for liquified natural gas versus pure methane was found to be
different. For instantaneous spills, results indicate that neglecting evaporation while spreading is a
reasonable assumption. It was conclude that models should use the properties of liquified natural gas as
opposed to those of pure methane.
FIRE AND EXPLOSION RISK ANALYSIS
DISPERSION
Shell performed a series of six tests in which liquified natural gas (LNG) was jettisoned from the «Gadila», a
75,000 m3 capacity ship. The primary objectives of the tests were to determine the feasibility of emergency
jettison of fuel with high discharge rates while the ship is stationary, as well as low discharge rates while the
ship is moving. The flow rates tested ranged from 2.7 m3min1 to 19.3 m3min1, lasting a total of ten
minutes, and producing total volumes spilled that ranged from 27 m3 to 193 m3. Four tests were performed
while the ship was moving from 3 knots to 10.5 knots, and two stationary tests were performed, one of
which was with the highest volume spilled. The methane, ethane, and propane content by mole percent
were 87.11%, 9.05%, and 2.75%, respectively. Two different jet nozzle sizes were used (51 mm and 102
mm) located 18 m above the water. The relative humidity was between 80% and 85%, and wind speed
ranged from 1.9 ms1 to 5.1 ms1. Measurements were taken of the following parameters: ship speed, wind
speed and direction, air and seawater temperature, distance of liquid and vapor cloud from the ship, and
electrostatic field strength in the jet exiting the nozzle. Concentration measurements were not taken.
Infrared camera results indicated that, with the 51 mm nozzle, liquified natural gas (LNG) pools on the sea
surface did not form and only isolated patches formed for the 102 mm nozzle. This could be due to the
liquified natural gas evaporating before it reached the sea surface, because it was released from an elevated
horizontal jet. Thus, ice formation or rapid phase transition (RPT) explosion were not observed. It was
visually observed that the clouds completely dispersed within 15 to 20 minutes after the discharge was
completed for the 102 mm nozzle at a discharge rate of 19.3 m3min1. For the highest volume spilled, 193
m3 (3.9 ms1 wind velocity), the visible plume appeared to be uniform over its entire length and had a
height of 10 m to 12 m, maximum continuous width of 550 m, and length of 2,250 m. The length was
observed continuing to increase after the test.
Tests were conducted at Maplin Sands, England, by the National Maritime Institute and were sponsored by
Shell. These tests were performed to obtain dispersion and thermal radiation data on 20 spills of liquified
natural gas (LNG) and 14 spills of propane onto water. The spill point was surrounded by a 300 m diameter
dyke to retain the tide. For instantaneous spills, the spill volumes tested were 5 m3 to 20 m3, and for
continuous spills, the spill rates tested were 1.5 m3min1 to 4 m3min1. Tests were performed for average
wind speeds of 3.8 ms1 to 8.1 ms1. Results indicate that the lower flammability level (LFL) is reached
within the visible boundary of the vapor cloud for the humidity range of 50% to 100%. A rapid phase
transition (RPT) was observed in one of the instantaneous liquified natural gas spills. The maximum
overpressure was 18 mbar and damage to the barge used to carry out the instantaneous spill occurred. The
dispersion behavior of the cloud was affected by the method of liquified natural gas release. For an
underwater release, a more buoyant cloud resulted, whereas with an above water release, a lower and
longer downwind cloud resulted. A typical pool radius was roughly 10 m, and the evaporation rate was
calculated to be approximately 2104 ms1 (0.085 kgm2s1). Using a 3 second average measurement, the
maximum dispersion distance to lower flammability level (LFL) for a spill rate of 3.2 m3min1 and wind speed
of 5.5 ms1 was 190±20 meters downwind of the spill.
Dispersion Models
Dense gas dispersion models generally fall into the following categories: (1) Navier-Stokes based, (2)
Lagrangian nonlinear puff, (3) shallow layer or two-dimensional integral, (4) onedimensional integral, and
(5) simplified empirical. The following will describe these models and discuss various codes representative of
these model types.
(1) Navier-Stokes Based Models – The most complex models are those based on Navier-Stokes. These
models computationally solve time-averaged, three-dimensional, turbulent transport equations that come
from conservation of mass, species, momentum, and energy balances. Usually, turbulent transport is
modeled using a first order, eddy diffusivity approximation, in which eddy diffusion tensors are specified
by ad-hoc equations. The most well known code of this is FEM3 and its subsequent upgraded versions,
up to FEM3C. Developed by Lawrence Livermore National Laboratory, FEM3 uses a Galerkin finite
element scheme in space and a finite difference scheme in time. The latest version (FEM3C) flows over
variable terrain and objects, as well as complex cloud structures, such as vortices and bifurcation. Both
isothermal and non-isothermal dense gas releases, as well as neutrally buoyant vapor emissions, can be
modeled. FEM3C can model multiple simultaneous sources of instantaneous, continuous, and finite-
duration releases. FEM3C also incorporates a phase change model that accounts for water vapor
interaction in the cloud; and it has the option to use the k- (epsilon) turbulent transport equations,
FIRE AND EXPLOSION RISK ANALYSIS
which is a second order turbulence model. Limitations of these codes are in the approximations and
assumptions that are used to model turbulence and buoyancy effects. They are the most
computationally expensive among the model types, but with increasing computing power, this is not as
problematic as it was ten years ago or more.
(2) Lagrangian Nonlinear Puff Models – Gaussian puff models are typically for buoyant or neutrally buoyant
releases, such as from an elevated stack source. Recently, the code called SCIPUFF (Second-order
Closure Integrated Puff), developed by Titan Research and Technology, includes a dense gas release
model. SCIPUFF uses a Lagrangian puff dispersion model that captures nonlinear interaction among a
collection of Gaussian puffs to represent a three-dimensional, time-dependent concentration field. Dense
gas effects are captured by using the conservation of vorticity moment equation. Turbulent diffusion is
based on a second-order closure model. Finite duration, unsteady, and multiple sources can be modeled,
as well as flow over flat or complex terrain. Comparisons to dense gas field data on maximum
concentration over all sampling locations at a given distance and over the sampling period from Maplin
and Coyote tests show the model predicting concentration values within a factor of two.
(3) Shallow-Layer Models – Shallow-layer models use equations that assume the lateral dimensions are
much greater than the vertical dimension, which is representative of dense gas releases where low wide
clouds result. One such model, TWODEE, has been developed for dense gas releases. Depth-averaged
variables are solved in two dimensions (lateral) using the conservation equations. Empirical correlations
are used to determine the entrainment rate. The ability to model the effects of complex terrain and
phase changes can be incorporated into this model. It is a compromise between Navier-Stokes based
models and one-dimensional integral models, though it still requires an order of magnitude greater
computational time than onedimensional integral models.
(4) One-Dimensional Integral Models – One-dimensional integral models such as SLAB (Ermak, 1980),
HEGADAS and DEGADIS use similarity profiles that assume a specific shape for the crosswind profile of
concentration and other properties. The downwind variation of spatially averaged crosswind values is
determined by using the conservation equations in the downwind direction only. These models include
eddy diffusivity models for turbulent transport. The weakness of these models is that they cannot
capture flow around obstacles or over complex terrain. The DEGADIS and SLAB models are used widely
in the both public and private sectors. In addition to jet releases, both can model buoyancy-dominated,
stably stratified, or neutral releases. There are some models of this type, such as GASTAR, developed by
Cambridge Environmental Research Consultants (CERC), that incorporate the effect of terrain, such as
variable slopes and ground roughness and obstacles, including porous, into the integral formulation.
(5) Empirical Models – The simplest models are modified Gaussian puff or plume models that are principally
based upon the conservation of species equation. The downwind concentration profiles are represented
by ad-hoc equations. The cloud is assumed to have a specific shape with air entrainment occurring at
the cloud edges and the interior of the cloud is assumed to have a uniform composition.
The models SLAB, HEGADAS, DEGADIS, and GASTAR are able to predict maximum plume centerline
concentrations and plume width for these field tests to within a factor of two. It is noted that all of the
models are unable to reproduce the variation of concentration with averaging time from field data because
they assume that the cloud has a dense gas core that is unaffected by averaging time. An evaluation
protocol of dense gas dispersion models has been developed through a program called SMEDIS, a European
Union research project funded by the Environment and Climate Research Program (Daish, 2000). The
validated modern computational fluid dynamics (CFD) models performed better overall on statistical
measures of geometric variance, mean relative square error, and fraction within a factor of two. It was also
noted that more information is necessary from field experiments on sensor accuracy and data uncertainty in
order to define acceptable agreement with model predictions.
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
observed to begin near the center of the cloud and propagate radially outward, downwind and upwind
toward the spill source. Both visible yellow luminous and transparent flames were observed. Pool fires
occurred but measurements were not taken. It was found that the pre-ignition 5% gas concentration
contours are not indicative of the potential burn area and its location. The actual burn area was observed to
propagate further downwind and to the sides than indicated by the pre-ignition contours. The instantaneous
5% gas concentration contours closely coincided with the burn region when 2 seconds averaging of
concentration measurements were used. In the test with the highest flow rate or total volume spilled (17.1
m3min1 or 28 m3), rapid phase transition (RPT) explosion increased the distance to the downwind lower
flammability level (LFL) by about 65% and the total burn area by about 200%. The flame extended up to
280 m downwind and had a maximum width of 60 m. The authors note that the increase was caused by an
increased source rate and by enrichment in higher hydrocarbons. The puffs of vapor from the rapid phase
transition explosions cause momentary increases in concentration as they propagate downwind. The test
conducted in the lowest wind speed and most stable atmospheric conditions had the broadest vapor fire
cloud with a maximum width of 130 m and downwind distance of 210 m, and it displayed a bifurcated
structure. Flame heights appeared to vary directly with the pre-ignition height of the combustible mixture
near the ignition source. The ratio of flame height to cloud height varied from 5 to 10. The clouds were 3 m
to 8 m in height. Flame speeds with peak values of 30 ms1 were observed near weak ignition sources and
40 ms1 to 50 ms1 for strong ignition sources. Speed decreased as a function of distance from the source
and no flame acceleration was observed. Overpressures of only a few millibars were measured, not enough
to cause damage. Heat flux (radiative and convective) measurements inside the vapor cloud fires were
found to be in the range of 150 kWm2 to 340 kWm2. External radiative flux values for the bright yellow
portion of the flames were in the range of 220 kWm2 to 280 kWm2 using wide and narrow-angle
radiometers. These measurements were noted as being suspect because the sensors were not protected by
a heat sink or water-cooling. This resulted in the sensors heating up and the signal becoming distorted as
the heat load increased. This was true for all but one test that did not have the sensor engulfed by the
flame.
Tests sponsored by Shell were performed to measure the thermal radiation from 20 m diameter land-based
pool fires of liquified natural gas (LNG), liquified petroleum gas (LPG) and kerosene using both wide and
narrow-angle radiometers. The following were also measured: mass burning rate, fuel composition, wind
speed and direction, relative humidity, and metal surface temperatures close to the fire. The average surface
emissive power was determined by measurements made using wide-angle radiometers and the use of a
solid flame model representing the flame as a tilted cylinder. One test was performed for each fuel. The
flame appeared roughly cylindrical in shape and tilted due to a 6.15 ms1 wind. For the liquified natural gas
fire the production of black soot appeared much higher in the flame and was significantly less than that
produced by liquified petroleum gas or kerosene. The measured mean flame length using video recordings
for the liquified natural gas fire was 43 m with a flame length-to-diameter ratio of 2.15. The Thomas
correlation for flame length-to-diameter ratio predicts a value of 1.88, if the measured burning rate is used,
underestimating the observed mean flame length by 12.6%. The measured burning rate was 0.106
kgm2s1 (2.37104 ms1) for liquified natural gas, versus 0.130 kgm2s1 (2.17104 ms1) for liquified
petroleum gas. The average surface emissive power for the liquified natural gas pool fire was 153 kWm2,
while liquified petroleum gas had a much lower value of 48 kWm2, due to the greater smoke shielding. The
maximum measured value using narrow-angles radiometers for the liquified natural gas fire gave values up
to 219 kWm2.
Montoir tests (1979) were collaboration among many sponsoring companies: British Gas, British Petroleum,
Shell, Elf Aquitaine, Total CFP, and Gaz de France with tests performed by British Gas, Midlands Research
Station, Shell, and Thornton Research Center. Tests on 35 m diameter liquified natural gas (LNG) pool fires
on land were performed at a facility near the Montoir de Bretagne methane terminal. Three liquified natural
gas pool fire experiments over a wind speed range of 2.7 ms1 to 10.1 ms1 were performed. The maximum
volume of liquified natural gas poured into the 35 m diameter bund was 238 m3. The following were
measured: flame geometry, incident thermal radiation at various ground level positions, spot and average
flame surface emission, gas composition in pool, fuel mass burning rate, and flame emission spectra in both
the visible and infrared regions. Small regions of the flame were examined using a narrow-angle radiometer.
These measurements correspond to spot surface emissive power values, whereas average surface emissive
power measurements use wide angle radiometers and refer to an average over the flame surface and are
interpreted based upon the flame shape. Two types of average surface emissive powers were employed:
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
one based upon an idealized cylindrical flame shape that includes the smoky part of the flame, and the other
based from cine photographs that represent the actual areas of clear flame. A mass burn rate for a methane
fire was obtained as long as the methane concentration in the pool was above 40%, or when vapors above
the pool were measured to have at least 99 mole-percentage (mole-%) methane content. During the
methane pool fire burn time, the ethane content in the vapors above the pool was less 0.2 mole-%. Keeping
the methane content in the pool above 40% avoided the high smoke shielding that can occur from the
ethane or propane in the fuel and the decrease in the mass burn rate from the increased conduction into the
fuel due to higher boiling points of ethane or propane. It was observed that the fires had an intensely bright
region extending from the base to at least half of the total flame height, and the rest was obscured
intermittently by smoke, which was much more than that produced in a 20 m diameter liquified natural gas
(LNG) fire. The shape of the fire was observed to be complex and was noted as difficult to represent using
simple geometries. The average mass burning rate among the 3 fires was 0.14 kgm2s1. Flame drag ratios
up to 1.29 for high wind speeds, and 1.05 for low wind speeds were measured. Flame drag ratio is defined
as the flame base length in the direction of the wind divided by the pool diameter. At 140 m from the burn
center, the incident thermal flux was measured as approximately 15 kWm2 downwind, 5 kWm2 crosswind,
and 3 kWm2 upwind during a wind speed range of 7.0 ms1 to 10.1 ms1. In the lower 10 m of the flame,
typical time averaged spot surface emissive powers of 290 kWm2 to 320 kWm2 were measured in the
crosswind direction. Values up to 350 kWm2 averaged over 5 s to 10 s periods were measured. These
values are much greater than that of smaller pool fires where at comparable positions, values of 140 kWm2
to 180 kWm2 for a 6.1 m diameter fire and 170 kWm2 to 260 kWm2 for a 10.6 m diameter fire has been
observed. Average surface emissive power values in the range of 230 kWm2 to 305 kWm2 from individual
instruments were measured. Average values for each experiment were in the range of 257 kWm2 to 273
kWm2. These were based upon a flame shape using cine photographs. Values were also obtained by
utilizing a flame shape based upon a tilted cylinder with length calculated from the Thomas equation and tilt
angle from the Welker and Sleipcevich equation. The values obtained were much lower with a range of 130
kWm2 to 180 kWm2. With both methods, the average surface emissive power was plotted for pool
diameters of 6.1 m, 10.6 m, 20 m, and 35 m. The graph indicated that the rate of increase of the average
surface emissive power for increasing pool diameter is decreasing. The authors note that it is not expected
that a much greater value would be obtained for larger pool fires.
The most sophisticated models are the validated field models, commonly known as modern computational
fluid dynamics (CFD), that incorporate the equations that govern fluid flow (Navier-Stokes equations).
Because pool fires are turbulent for the scale of interest, turbulence models are used, typically the k-
(epsilon) model. Combustion models typically assume that combustion is mixing-controlled, rather than
controlled by the chemical reaction time. The radiant transport equation along with simplifying assumptions
is used to model thermal radiation. Soot models are also incorporated, which invoke empirical models.
Simplified models, such as the solid flame model, have been typically used for thermal hazard zones that
assume a circular pool. The point source model has also been used, which assumes that the fire originates
from a point, implying that the pool is uniform from the point. For a spill scenario with no object interaction,
this is a logical geometrical shape to assume for the pool. If there is object interaction, an oval or
rectangular configuration could occur; for example, a trench fire, which is a pool fire with a rectangular
configuration. It is of interest to compare the performance of the point source model and solid flame model
to such a configuration. The experiments showed the flame breaking up into flamelets, or individual fire
plumes. The disadvantage of field models is the computational running time compared to integral models
that represent the fire as cylindrical flame. Although, with the emergence of more powerful computers, this
is less problematic. These codes can now be run on personal computers and workstations, instead of super
computers. The advantage of field models is that complex flame shapes can be captured, such as that
arising from object and flame interaction as from an hydrocarbon source and a pool fire, for example. Vapor
cloud fires and fireballs can also be modeled with these programming codes. Various field models are
available, such as FLACS, CFX, Phoenics, Kameleon, and Vulcan. These codes vary in their capability to
model explosion, fireballs, flash fires, and pool fires.
DETONATION STUDIES
Tests were performed (United States Coastguard China Lake Tests, 1978) in a detonation tube and 5 m and
10 m radius hemispheres. Both explosive-initiated and spark-ignited tests were performed on methane-air
and methanepropane mixtures. For the detonation tube experiments, the methane-air mixture did not
detonate using a 5 g or 90 g booster, nor did it detonate with spark ignition. Methane and air mixtures did
not detonate with explosive charges up to 37 kg for the 10 m diameter hemisphere tests. Methane and
propane ratio mixtures of 60-40, 70-30, and 85-15 did detonate using a 1 kg high explosive booster for the
5 m hemisphere tests. Experiments were also performed to test a postulated accident scenario in which the
vapor formed during an hydrcarbon (LNG) spill mixes with air to form a flammable mixture and then diffuses
into a culvert system. The mixture in the culvert ignites and the combustion wave accelerates then
transitions to a detonation that exits the culvert and detonates the remaining unconfined vapor cloud. The
detonation charge used in the culvert was a 13 kg explosive. Detonations in the vapor mixture occurred
when propane concentrations were 6% or greater and the culvert measured 2.4 meters in diameter. From
these detonations, the shock wave was felt at a town 22 km from the test site. Experiments were performed
to measure the effect of ethane addition to methane air clouds on detonation. A stoichiometric mixture with
air was maintained for every mixture of methane and ethane tested. The ethane concentration ranged
between 0 and 5.66% by volume of the total methane-ethane-air mixture or, equivalently, 10% to 50% by
volume of the fuel mixture. The experiments were performed using a sectored shock tube of 147.6 cm
radius and 5 cm width to model a 20 degree pie shaped sector of a cylinder cloud. A stable detonation was
characterized as a wave propagating with a nondecaying constant velocity. For an ethane content of 1% by
volume in the methane-ethane-air mixture or a 10% ethane by volume content in the fuel, 5.5 grams of
condensed explosive or critical initiating blast energy of 25,000 Jcm1 was needed to result in a detonation.
There have been several reviews on detonations of hydrocarbon/air mixtures (Lee and Moen, 1980). It was
pointed out by Moen that weak ignition of vapor clouds in an unconfined and unobstructed environment is
unlikely to result in a deflagration-to-detonation transition (DDT), even for more sensitive fuel/air mixtures;
but it is likely with confinement and the presence of obstacles. The occurrence of deflagration to detonation
event depends upon the degree of confinement, obstacles configuration, ignition source, initial turbulence,
and the fuel and air mixture. The understanding of how confinement, temperature, pressure, and mixture
composition influence the initiation source and distance to deflagration to detonation is not complete.
Further work must be done before prediction can be made whether deflagration to detonation will occur for
any given spill scenario.
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
where a flammable mixture could develop. Another potential for an explosion is if hydrocarbon is spilled
without an ignition source, such as an intentional spill from premature offloading of hydrocarbon. In this
scenario, there could be extensive volumes of hydrocarbon that can be spilled either onto the ship or onto
the water surface without and ignition source. These type of approaches have been considered and used
and are very sensitive to environmental and meteorological conditions (Tieszen, 1991). Therefore, the
potential for this type of event exists, but actually getting an explosion can be difficult. Table 3.19 provides
flammability liquid for selected hydrocarbon fuels at 25ºC. Methane does not detonate as readily as other
hydrocarbons, making it a safer fuel. For these reason, refined liquified natural gas (LNG) has a high
percentage of methane at the wellhead compared to natural gas. Further, all fuels become less able to
detonate if they are not perfectly mixed to stoichiometric proportions. The level of refinement of natural gas
stored as liquified natural gas can have an effect on detonation sensitivity, with a less processed product
being more sensitive to detonation.
MAGNITUDE OF LIQUIFIED NATURAL GAS (LNG) AND AIR MISTURE EXPLOSION OVERPRESSURE
In order to estimate the overpressure at a given distance from a fuel-air explosion, several parameters must
be defined. First, the mass of fuel within the flammability limits must be determined. To find the energy
released, the mass of fuel within flammability limits is then multiplied by the heat of combustion. Finally, the
velocity of combustion, or flame Mach number (Mf), must be estimated. For explosively initiated detonations,
a value of 5.2 should be used for flame Mach number. Once the total energy release and combustion
velocity are known, the scaled overpressure versus scaled distance curve can be used to estimate an
overpressure at a specific distance.
Deflagrations differ in their consequences, depending on whether they occur in confined or unconfined
volumes. In large open areas, the hot combustion products are buoyant and will entrain the air into the fuel
mixture. The result is known as a fireball. In enclosed volumes, the combustion will result in pressure
generation due to confinement of the volume expansion of the hot gases. The result is usually the failure of
the enclosure. These events are loosely termed explosions. Propane leaks in houses are a typical example. If
ignition occurs sometime during mixing, not before mixing takes place and not at the end when the fuel is
completely mixed, then a mixture of combustion modes will result. Generally, a pre-mixed combustion event
will occur first, followed by a non-pre-mixed combustion event; and pre-mixed combustion occurs faster
than most mixing events. Thus, upon ignition, a pre-mixed flame will propagate from the ignition source to
the spill location. This phenomenon is known as a flashback. It can generate high pressures or result in a
slow burn or fireball. The flame will anchor on the spill source and a fire will result at the spill source for the
duration of the spill. The distance and thermal damage to structures from a range of different spills is
calculated based on a selection of nominal spill conditions (e.g. hydrocarbon volume of 25,000 m3 could be
expected to spill approximately 12,500 m3; an initial hydrocarbon liquid height above the breach of 15 m;
and a hydrocarbon density of 450 kgm3). The simplified continuity equation is given by the following
equation,
dm
A v in A v out [3.8]
dt
where m is the mass f hydrocarbon (kg), t is time (s), A is the cross-sectional area (m2), and v is the flow
velocity (ms1). If (Av)in is equal to zero, thus the Equation [3.8] becomes,
dm
A v out [3.9]
dt
The hydrocarbon mass flowing out can be written as a function of density () and volume (V),
d A h
A v out [3.10]
dt
where A is the cross-sectional area of the hydrocarbon enclosure or container (m2), h is the height of the top
hydrocarbon volume (m). The mass of hydrocarbon can be related with density and volume in the following
manner,
m V A h [3.11]
The velocity of the fluid coming out of the container or enclosure can be expressed as a function of height
through invoking Bernoulli’s equation,
1 1 2
v 2 p g h v hole p hole g h hole [3.12]
2 2
where p is the pressure (Nm2), and g is gravitational constant (9.8067 ms2 or 32.174 fts2). The subscript
«hole» refers to state conditions at the hole or breach of the hydrocarbon spill. Assuming the initial and final
conditions for the hydrocarbon, Equation [3.12] becomes,
1 2
gh v hole [3.13]
2
v hole 2 g h [3.14]
FIRE AND EXPLOSION RISK ANALYSIS
v hole C d 2 g h [3.15]
d A h
A hole C d 2 g h [3.16]
dt
h t
dh
C d dt
[3.17]
hi 2gh 0
and hi is the initial height of the top hydrocarbon volume (m) when the initial time is zero (t=0). Simplifying
Equation [3.18] and solving to time (t), then the height of hydrocarbon through time can be determined,
2 A 1
t
g A hole C d
h i h [3.18]
2 A 1
t hi [3.19]
g A hole C d
The flow rate will be greatest at the beginning of the spill, due to the hydrostatic head having a maximum.
The flow rate has a linear dependence on time, so an average flow rate can be determined by dividing the
maximum flow rate by 2. The maximum flow rate can be found by substituting Equation [3.15] into Equation
[3.10], and using Equation [3.11] to express in terms of volume per time. Then the average flow rate
(m3s1) that leaves the hole is given by,
dV A
C d hole 2 g h i [3.20]
dt avg 2
The diameter (d) of the spill is determined by assuming a steady state where the mass coming in is
balanced by the mass going out,
due to the heat flux from the heating of the water below and from the fire above, denoted by νtotal.
dV d2
v total [3.22]
dt avg 4
Thus, the diameter (d) of the spill is determined by the following expression derived from Equation [3.22],
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
4 dV
d [3.23]
v total dt avg
A cylinder, solid flame model was used to model the pool fire. The effect of wind on the flame was
considered negligible. The Moorehouse correlation was used to calculate flame height (Hf), found on Fire
Protection Engineering Handbook (2nd edition, 1995). The term vwind is a non-dimensional wind velocity taken
to be 1.0 for low wind speeds.
0.254
m 0.044
H f 6.2 d v wind [3.24]
a g d
where a is the air density in average conditions. The radiative flux (q) incident upon an object can be
determined by the following expression,
q E F [3.25]
where E is an average surface emissive power (kWm2), F is the view factor, and is transmissivity. The
non-dimensional distance from the flame axis as a function of view factor and fire height-to-radius ratio, can
be determined if we specified the radiantive flux (q), the surface emissive power (E), and the transmissivity
(); the view factor (F) can be determined by Equation [3.25], and height-to-radius ratio from Equation
[3.24]. Then the thermal hazard distance can be determined from Figure 3-11.13 of Fire Protection
Engineering Handbook (2nd edition, 1995) on page 3-210. Using the nominal conditions, an analysis was
performed that looked at the potential ranges of spill and fire conditions available from experimental
literature. Example results of this sensitivity analysis are presented in the Table 3.20.
Table 3.20 – Summary of results of the above four liquified natural gas (LNG) spill studies.
Pool Distance to…
Hole Size Discharge Burn Rate Surface Emissive Burn Time
Diameter 37.5 5
(m2) Coefficient (m/s) Power (kW/m2) (min)
(m ) kW/m2 kW/m2
Accidental Events
1 0.6 3104 220 148 40.0 177 554
2 0.6 3104 220 209 20.0 250 784
Intentional Events
2 0.6 3104 220 209 20.0 250 784
5 0.6 3104 220 330 8.1 391 1,305
5 0.9 220 405 5.4 478 1,579
10 0.6 3104 220 467 4.1 548 1,823
The results in Table 3.20 suggest that, for most of the credible accidental breach and spill scenarios, the
general distance for major structural damage (high hazards where the thermal intensity is about 37.5
kWm2) can occur, on average, up to 250 m from a spill. The results also suggest that, for most of the
credible intentional breach and spill scenarios, the general 145 distance for major structural damage (high
hazards) can occur, on average, up to 500 m from a spill. In general, the distance to low thermal hazard
levels, about 5 kWm2 is about 600 m to 750 m for accidental spills and approximately 1,600 m for
intentional spills. For a very large, cascading spill, high hazard zones could approach 2,000 m. These results
were used to help quantify the hazard zone identification and hazard level identification for various breach
and spill events.
into multiple flamelets. The heights of these flamelets are much less than the fuel bed diameter (Zukoski,
1986, 1995; Corlett, 1994). The break up into flamelets would result in a much shorter flame height than
that assumed by the reviewed studies, which are applying height correlations far out of the diameter range
for which they were developed. It is expected that the height-to-pool radius diameter would probably be
much smaller than that predicted by existing correlations. The correlations predict an height-to-pool
diameter ratio between 1.0 and 2.0, while a more realistic ratio for a mass fire would be under 0.5. The view
factor is very sensitive to flame height at distances not close to the fire, i.e. greater than 1 times the pool
diameter. View factors are used to determine how much radiative flux an object receives. Thus, if a more
realistic flame height is used, lower than that which is typically calculated, then the amount of heat flux that
an object receives would be less, thereby decreasing the thermal hazard zone. The zone could be decreased
by a factor of two to three, depending upon the damaging heat flux levels of interest. Various correlations
for flame height have been developed for a range of pool diameters up to 30 m. The height-to-pool diameter
ratio correlations are typically expressed in terms of a non-dimensional heat release rate (Zukoski, 1986,
1995). This study is based upon pool fire tests where fuel vaporization is not affected by a substrate (such
as water); therefore, this study should not be used for the determination of when a pool breaks up into
flamelets for hydrocarbon (LNG) pool fires on water. As pool diameter increases, the non-dimensional heat
1
release rate decreases because it is proportional to . Zukoski states that there are different transition
d
regions that occur. For very large pool fires, the flame breaks up into a number of independent flamelets as
the non-dimensional heat release rate decreases, and the flame height depends on the diameter and the
heat release rate. Several researchers presented several flame height correlations with the dimensionalness
burning rate (combustion Froud number) based on experimental information. The Froud number
(dimensionalness burning rate) is determined by,
m
F [3.26]
gD
where m is the mass burning rate (kgm2s1), is the hydrocarbon density (kgm3), g is the gravity
acceleration constant, and D is the pool diameter (m). Moorhouse (1982) have published that the flame
height has a correlation with the Froud number as given by the following expression,
L
6.2 F 0.254 [3.27]
D
On the other hand, Thomas (1965) established a fair approximation of the flame height correlation with the
combustion Froud number (using China Lake tests) given by,
2
L
55 F 3 [3.28]
D
For lower values of the non-dimensional heat release rate the height of the flamelets appears to become
roughly independent of the source-diameter and depends only on the local heat release rate per unit area
(or fuel flow per unit area). It is unknown what the limiting diameter for break up is for hydrocarbon (LNG)
pool fires on water. Using an estimate of approximately 100 m, the distance to the high and lower level
hazards was calculated for a range of spill conditions. The pool diameter and flame height suggested are
speculative because experiments for large pool fires have yet to be performed. Many researchers have
provided flame height correlations based on pool fires much smaller than those presently being considered
(Heskestad, 1998). These results suggest hydrocarbon pool fires of as much as 8,900 m in diameter before
breakup, based on results of laboratory testing on approximately 7 m by 7m wood fiberboards. Whether
their results can be extrapolated to very large pool fires remains to be determined. Furthermore, the
emissive power decreases with increasing fire size due to smoke shielding. Values significantly lower than
220 kWm2 are possible. Other phenomena, such as the occurrence of fire whirls, may increase the hazard
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
by generating large columnar flames with high emissive power. These structures most often form during non
circular pool shapes exposed to light winds and rarely last more than a few seconds.
s e 0.63k s C s D [3.29]
where ks is specific soot exinction area (m2kg1), Cs is soot concentration (kgm3), and D is pool diameter
(m).
HYDROCARBON DISPERSION
In most of the scenarios identified, the thermal hazards from a spill are expected to manifest as a pool fire,
based on the high probability that an ignition source will be available from most of the events identified. In
some instances, such as an intentional spill without a breach, an immediate ignition source might not be
available and the spilled hydrocarbon vapor could, therefore, disperse as a vapor cloud. For large spills, the
vapor cloud could extend to as much as 1,600 m or more, depending on spill location and site atmospheric
conditions. In congested or highly populated areas, an ignition source would be likely, as opposed to remote
areas, in which an ignition source might be less likely. If ignited close to the spill, the thermal loading from
the vapor cloud ignition might not be significantly different from a pool fire, because the ignited vapor cloud
would probably burn back to the source of liquid hydrocarbon and transition into a pool fire. If the cloud is
ignited at a significant distance from the spill, the thermal hazard zones can be extended significantly. The
thermal radiation from the ignition of a hydrocarbon vapor cloud can be very high within the ignited cloud
and, therefore, particularly hazardous to people. Experimental data and analytical estimates for hydrocarbon
vapor spreading suggest that a large vapor plume could extend to large distances, depending on
atmospheric conditions. Therefore, while the impact from a vapor cloud dispersion and ignition from a large
spill can potentially extend beyond 1,600 meters, the area of high impact might be reduced. This suggests
that hydrocarbon vapor dispersion analysis should be conducted using site-specific atmospheric conditions,
location topography, and hydrocarbon operations (i.e. transport, processing, handling and storage) to
adequately assess the potential areas and levels of hazards to public safety and property, and consideration
of risk mitigation measures, such as development of approaches and procedures to ignite a dispersion cloud
quickly if conditions exist that the cloud would impact critical areas.
To assess the extent of the potential dispersion from an hydrocarbon (LNG) spill, it is commonly used the
VULCAN programming code, a validated modern computational fluid dynamics (CFD) model. The VULCAN
fire field model under development at Sandia National Laboratories was derived from the KAMELEON Fire
model in collaboration with SINTEF and Computational Industry Technologies, AS (Norway). VULCAN was
developed for liquid and gaseous hydrocarbon fuels. The model has been used for a large number of heavy
hydrocarbon fuel fires. VULCAN uses a cartesian based geometry. The code runs on single or multi-
processor machines. It generally parallelizes best on six processors. It runs under LINUX and UNIX operating
systems. VULCAN is a validated computational fluid dynamics (CFD) fire model that uses a standard RANS
formulation of the equations of motion, where the turbulence is averaged across all time scales using a k-
turbulence model. A buoyant, vorticity generation sub-model of turbulence is included for turbulence length
scales below the scale of the grid. VULCAN uses Magnussen’s Eddy Dissipation Concept combustion model to
relate mechanistically the local fuel, oxygen, energy, and turbulence levels to consumption of species. Soot
is modeled using Magnussen’s soot model to describe mechanistically the soot formation and destruction
process. VULCAN uses Leckner’s model for gas band radiation. The transport of thermal radiation is
calculated using the Discrete Transfer Method of Shah to solve the radiative transport equation. Either the
evaporation of a liquid pool is modeled using a user-specified evaporation rate, or by allowing the code to
calculate its own evaporation rate based on heat transfer into the fuel pool. VULCAN also has a rudimentary
liquid spreading model based on lubrication theory. This model predicts spreading of fuel on a horizontal
surface, and is capable of modeling the dripping or draining of fuel vertically (i.e. from floor to floor in a
building). In order to obtain hydrocarbon dispersion distances to lower flammable limit (LFL) for accidental
events, a low wind speed and highly stable atmospheric condition were chosen because this has shown to
result in the greatest distances to lower flammable limit from experiment, and thus should be the most
FIRE AND EXPLOSION RISK ANALYSIS
conservative. As noted previously elsewhere, the chances of a large vapor dispersion from either an
accidental or intentional breach is rather unlikely because of the high probability that an ignition source will
be available for most of the events identified. Although, the significant distances though of potential vapor
dispersion, especially for a large intentional breach, suggest that hydrocarbon vapor dispersion analysis and
risk mitigation measures should be carefully considered. Location-specific environmental conditions should
be carefully evaluated and appropriate safety measures implemented to ensure that public health and
safety, and critical facilities and infrastructures, are adequately protected.
in which M is the fuel mass (in metric tons) and t is time duration of the fireballs (s). Similarly, the maximum
radius (rmax) of the fireball is given as,
in which the radius is given in meters. The thermal flux from the fireballs was also measured. Peak fluxes for
combusting gasoline were in the 150 kWm2 to 330 kWm2 range. Hydrocarbons would be expected to have
similar behavior. These flux levels are of the same order of magnitude as those from a pool fire. Unlike a
pool fire, however, the fireball is of short duration (in the order of seconds to tens of seconds), depending
upon the mass of fuel in the air. The fireball will entrain and burn all flammable vapors and provide an
ignition source to the underlying liquid spill. The overall threat from a fireball is typically not of primary
concern if a long duration pool fire follows it.
flame, as might occur in a breach with a resulting fire. Of greater importance, though, is that these foams
will begin to decompose at temperatures of about 550K. Because an hydrocarbon fire can be expected to
burn at temperatures of approximately 3,000ºF (1,650ºC), thermal loading on the hydrocarbon from an
engulfing fire, if sufficient in duration, could lead to heat transfer through the structure, decomposition of
the foam, and an increase in the hydrocarbon volatilization rate in an impacted structure. This could lead to
rupture or collapse of the structure, additional damage to the hydrocarbon vicinity, and greater hazards to
both the public and property. Foam used to insulate hydrocarbon is enclosed within a steel weather cover,
or within the inner wall of the hydrocarbon container. Extensive burning of the foam is not expected, given
the lack of sufficient air to support combustion in these regions, even in cases with limited damage to the
wall or weather cover. Based on the foam being located within an enclosure, thermal decomposition of the
hydrocarbon foam insulation is more likely. Heat transfer will result in thermal decomposition of the foam
insulation, the products of which will burn if vented to the air, or cause an increase in the pressure in the
region between the steel and the inner container. For accidental spills with general pool fire diameters of
200 m it might be possible that the flame height for such a spill might approach 150 m, high enough to
engulf the top of an hydrocarbon container. For this size of fire, at least some portions of adjacent
hydrocarbon containers would probably be exposed to the fire. As calculated in other sections of this
textbook, a fire from a spill could last from five to twenty minutes. We estimated the consequence of a fire
from an hydrocarbon spill on the insulation of an undamaged hydrocarbon container.
VG f v , m G,r , L , G , , , x [3.32]
wher VG is the volume of the explosive gas cloud (m3 or ft3), mG,r is the leak rate (kgs1), v is the mean wind
speed in the module (ms1) calculated by,
Qa
v [3.33]
L2
where Qa is the air ventilation rate in the module before the leak starts (m3s1), L is the mean dimension of
the module (m) and usually is related to the module volume (V, m3) through the following expression,
1
L V3 [3.34]
g is the leak gas density at release conditions of 1 atm (kgm3), is the wind direction, is the leak
direction, and x is the leak location. When the wind direction, leak direction and leak location is fixed, the
normalised cloud size can be written as a function of one non-dimensional variable (R) when performing a
dimensional analysis,
VG
f R , , , x [3.35]
V
m
Qg g
R [3.36]
Qa Q a ref
v
v ref
Q a ref
where v is the wind speed (ms1), is the reference ventilation rate normalised by the reference
v ref
wind speed (when buoyancy forces are small, the ventilation rate is proportional to the wind speed), Qa is
the air volume flowrate (m3s1) through the module before the leak starts, and Qg is the gas volume
flowrate (m3s1). These results from the dimensional analysis suggest that the variable R should be used
instead of the leakrate and the windspeed. When involved in fire and explosion, toxic fumes of carbon
monoxide, nitrogen oxides and ammonia may release. These combustion related substances have the
following exposure limits (Ditali et al., 2000; Faisal, 2001) listed in Table 3.21.
With the assumption, it is pessimistic to express the relationship between the weight of the explosive charge
(W), to the shockwaves effect at a distance (D). A common empirical formula which had been widely used to
estimate the blast effect of the explosive as follow,
D Z W 0.3333 [3.37]
where Z is the scale factor for overpressure, D is the distance from the centre of explosion, W is the weight
of charge in TNT equivalent (kg). The weight of charge (W) in TNT equivalent mass could be calculated by
the following equation,
W M Cf [3.38]
where M is the weight of explosive (kg), and Cf is the conversion factor for a particular flammable or
explosive material. Since Z is the scale factor for the overpressure value (P), the overpressure value can be
estimated by using this formula,
P Ps 101.3 10 3 [3.39]
where Ps is the scale overpressure, and P is the overpressure (N/m2). The overall risk arising from flammable
and explosive material accidents, which could result in fatalities and eardrum rupture at the incident area
and its surrounding area. The explosion overpressures depend on the peak overpressure that reaches the
person. Direct exposure to high overpressure levels may be fatal. The fatality is a result of the direct contact
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
with the explosion event even though the overpressure that caused the structure collapse or damage would
not directly result in a fatality if the person were in a open area. The load noise is evaluated by use the
following equation,
P
L P 20 Log10 6
[3.40]
20 10
DUST EXPLOSION
Some of the most destructive explosions have been caused by dust. There is more explosive energy in the dust
from grains such as wheat, barley and corn, than in an equal amount of TNT. While fires are far more common,
explosions are far more costly in terms of loss of life, injury and property damage. Dust explosions have been
quite common in the past. For example, there were 645 explosions in the coal mines of England from 1835 to
1850, in which coal dust was the major contributing factor. There were 1,085 dust explosions resulting in 351
fatalities, in the United States from 1900 to 1956. Also in the United States, among the 15,000 grain handling
facilities from 1958 to 1977, there were 220 dust explosions resulting in 48 deaths and 500 injuries. The potential
for a dust explosion has now become a well recognised hazard.
What is a dust explosion? A dust explosion is the very rapid combustion of a dust cloud, to produce a flame
and a pressure front. The flame front frequently causes loss of life, while the pressure front will often cause
extensive damage to buildings. With some dusts, there is sometimes only a flame front and the pressure
front is only minimal; with others, the flame spreads with the effect of an explosion. An explosion occurs as
the flame generates heat and combustion products, and expansion from both these sources causes an
immediate pressure rise which must then move out as a pressure wave and impact on the surroundings.
Pressures of up to 700 kNm2 to 800 kNm2 can be generated, and if it occurs in a confined space such as a
building, the effects can be devastating, since most buildings can only withstand 2 kNm2 at most.
Why so dangerous? Dust explosions are dangerous, because they can set off a chain reaction. The initial
explosion is usually small and localised, however it is often sufficient to disturb surrounding dust deposited
on floors, roofs, beams, and machinery to form a second much larger cloud, which in turn can lead to a far
more devastating explosion. Further explosions can follow in other parts of the building or even
neighbouring buildings. These explosions may occur seconds or even minutes apart, and have been
described by those who have survived a dust explosion, as sounding like «rolling thunder». A fire can then
follow from scattered burning particles, or from other small dust accumulations that have been ignited.
Dust is readily ignited and can burn fiercely or explode. Spontaneous combustion can occur, so dust should
be kept under control. Environments should be regularly cleaned to avoid the risk of fire. A wise solution can
prevent a loss of lives, money and downtime. Combustible particulate solids are defined as any combustible
FIRE AND EXPLOSION RISK ANALYSIS
solid material, composed of distinct particles or pieces, regardless of size, shape, or chemical composition.
Combustible dust can also be defined as a combustible particulate solid that presents a fire or deflagration
hazard when suspended in air or some other oxidizing medium over a range of concentrations, regardless of
particle size or shape. Why the distinction between a combustible particulate solid and combustible dust?
Even though a combustible particulate solid might not ignite readily or be capable of being suspended in air
in its particulate form (the pieces could be too large), the material can break down during such activities as
shipping, handling, conveying, mixing, and pulverizing. It will then become an immediate hazard in its dust
form if a source of ignition is available. Pneumatic conveying equipment and dust control exhaust systems
that transport combustible particulate solids need to be protected from fire and dust explosions. Combustible
particulate solids that have settled onto surfaces such as floors, platforms, suspended ceilings and building
structural members as well as inside pipes and ducts can burn if exposed to a source of ignition. If
combustible particulate solids are thrown into the workplace air during cleaning or by excessive drafts in the
plant, the resulting combustible dust can present a fire or deflagration hazard if exposed to an ignition
source. If the concentration of suspended combustible solids is above the Minimum Explosion Concentration
(MEC) and the source of ignition produces energy above the Minimum Ignition Energy (MIE), the dust will
ignite. If the combustible dust is in a confined space such as in a room, silo, bin, filter-receiver, dust
collector or cyclone, the burning dust can produce enough pressure for a deflagration to occur.
CONTRIBUTING FACTORS
The initial explosion need not necessarily be caused by dust. It may only be a small gas or vapour explosion,
or even a mechanical or man made disturbance sufficient to create a dust cloud. Dust clouds may be ignited
by the effects of mechanical friction such as overheated bearings, motors overheating from air cooling vents
being clogged with dust, particles of steel or stone caught up in grinding machinery producing sparks,
overheated dust coated light bulbs, static electricity, electrical arcing, welding sparks and naked flames. As a
general rule, dusts require 20 to 50 times more energy from an ignition source compared with a flammable
vapour, or they need direct contact with surface temperatures ranging from 300ºC (572ºF) to 600ºC
(1112ºF). The finer the dust the greater the hazard. Not only can it be more easily blown into the air, it will
stay suspended in air much longer. It has a greater surface area per unit volume so that it can burn all the
more rapidly, increasing the intensity of the flame front and the violence of the explosion. Dusts like
flammable vapours, have lower and upper explosive limits. The lower limit is the concentration of dust in air
to just sustain the flame front. The lower flammability limit ranges from about 10 gm3 (4.37 grft3) to 40
gm3 (17.48 grft3) depending on the type of dust. At these concentration it will be quite visible to the
naked eye as a fog or cloud. The upper limit is usually difficult to measure since there appears to be no clear
cut-off point. Instead it may, or may not, ignite at a given concentration. If it does ignite, it tends to leave
behind increasing amounts of charred residue. Concentrations of dust which are potentially explosive are
intolerable for people to remain in and are not likely to be found in the open, however they can be found
around machinery used for crushing, grinding, sanding, milling, filtering, blending, shredding, spray drying,
or conveying bulk quantities of solid materials. Additional elements needed for a combustible dust explosion
are:
(1) Combustible dust (fuel);
(2) Ignition source (heat);
(3) Oxygen in air (oxidizer).
(4) Dispersion of dust particles in sufficient quantity and concentration;
(5) Confinement of the dust cloud.
The addition of the latter two elements to the fire triangle (Figure 3.1) creates what is known as the
explosion pentagon. If a dust cloud (diffused fuel) is ignited within a confined or semiconfined vessel, area,
or building, it burns very rapidly and may explode. The safety of employees is threatened by the ensuing
fires, additional explosions, flying debris, and collapsing building components. An initial (primary event)
explosion in processing equipment or in an area were fugitive dust has accumulated may shake loose more
accumulated dust, or damage a containment system (such as a duct, vessel, or collector). As a result, if
ignited, the additional dust dispersed into the air may cause one or more secondary explosions. These can
be far more destructive than a primary explosion due to the increased quantity and concentration of
dispersed combustible dust. If one of the elements of the explosion pentagon is missing, a catastrophic
explosion can not occur. Two of the elements in the explosion pentagon are difficult to eliminate: oxygen
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
(within air), and confinement of the dust cloud (within processes or buildings). However, the other three
elements of the pentagon can be controlled to a significant extent.
The amount of heat generated during an explosion results in extremely high pressures damaging process
equipment, halting production, and placing personnel at risk of serious injury or worse. And if the explosion
is allowed to propagate, subsequent explosions can occur, often with catastrophic results. Preventing the
buildup of dust is one of the key means for controlling fire and explosion hazards. The principal engineering
control technology for control of dust is exhaust ventilation. The primary work practice control is good
housekeeping.
Ignition
Combustible
Oxygen
dust
The Bureau of Mines (USBM) of the United States Department of the Interior (USDI) developed an arbitrary scale
(see Table 3.22) based on tests using small amounts of dusts, as a guide to the degree of hazard of each type of
dust.
There are two terms used on the scale, the ignition sensitivity (how easy to ignite), and explosion severity
(how big a bang). The higher the number on each scale the greater the hazard that each dust represents
(see Table 3.23).
FIRE AND EXPLOSION RISK ANALYSIS
Finely dispersed airborne metallic dust can also be explosive when confined in a vessel or building. In
October 2003, an Indiana (United States) plant where auto wheels were machined experienced an incident:
1 killed, 1 injured. A story similar to the previously discussed organic dust incidents: aluminium dust was
involved in a primary explosion near a chip melting furnace, followed by a secondary blast in dust collection
equipment.
In the late 1970s a series of devastating grain dust explosions in grain elevators left 59 people dead and 49
injured. In response to these catastrophic events, Occupational Safety Health Administration (OSHA) issued
a “Grain Elevator Industry Hazard Alert” to provide employers, employees, and other officials with
information on the safety and health hazards associated with the storage and distribution of grain. The
lessons learned in the grain industry can be applied to other industries producing, generating, or using
combustible dust.
The primary factor in an assessment of these hazards is whether the dust is in fact combustible. Any
material that will burn in air in a solid form can be explosive when in a finely divided form. Combustible dust
is defined as any finely divided solid material that is 420 microns or smaller in diameter and presents a fire
or explosion hazard when dispersed and ignited in air. Different dusts of the same chemical material will
have different ignitability and explosibility characteristics, depending upon many variables such as particle
size, shape, and moisture content. Additionally, these variables can change while the material is passing
through process equipment. For this reason, published tables of dust explosibility data may be of limited
practical value. In some cases, dusts will be combustible even if the particle size is larger than that specified
in the definition, especially if the material is fibrous.
Dust collection is best accomplished at the source at the point of operation of the equipment, if feasible. For
many pieces of equipment, well-designed ducts and vacuum hoods can collect most of the dust generated
before it even reaches the operator. Very fine dust that manages to escape point-of-source collection can be
captured from above by general exhaust points located along the ceiling. These control technologies are
effective for most equipment, excepting machines that commonly produce the very finest dust or large
quantities of dust. The amount of dust accumulation necessary to cause an explosive concentration can vary
greatly. This is because there are so many variables like the particle size of the dust, the method of
dispersion, ventilation system modes, air currents, physical barriers, and the volume of the area in which the
dust cloud exists or may exist. As a result, simple rules of thumb regarding accumulation (such as writing in
the dust or visibility in a dust cloud) can be subjective and misleading. The hazard analysis should be
tailored to the specific circumstances in each facility and the full range of variables affecting the hazard.
Many locations need to be considered in an assessment. One obvious place for a dust explosion to initiate is
where dust is concentrated. In equipment such as dust collectors, a combustible mixture could be present
whenever the equipment is operating. Other locations to consider are those where dust can settle, both in
occupied areas and in hidden concealed spaces. A thorough analysis will consider all possible scenarios in
which dust can be disbursed, both in the normal process and potential failure modes. The following are
some recommendations for the control of dusts to prevent explosions:
FIRE AND EXPLOSION RISK ANALYSIS
(1) Minimize the escape of dust from process equipment or ventilation systems;
(2) Use dust collection systems and filters;
(3) Utilize surfaces that minimize dust accumulation and facilitate cleaning;
(4) Provide access to all hidden areas to permit inspection;
(5) Inspect for dust residues in open and hidden areas, at regular intervals;
(6) Clean dust residues at regular intervals;
(7) Use cleaning methods that do not generate dust clouds, if ignition sources are present;
(8) Only use vacuum cleaners approved for dust collection;
(9) Locate relief valves away from dust hazard areas;
(10) Develop and implement a hazardous dust inspection, testing, housekeeping, and control program
(preferably in writing with established frequency and methods). Good housekeeping extends to periodic
hand cleaning of your entire facility, as some dust will escape from even the best exhaust system and
will eventually accumulate on rafters and other out-of-the- way spots. Also, it is extremely important to
inspect and clean your exhaust ventilation system on a regular basis to maintain maximum efficiency.
(11) Regular cleaning frequencies shall be established for floors and horizontal surfaces, such as ducts,
pipes, hoods, ledges and beams to minimize dust accumulations within occupied and unoccupied areas
of the facility. Surfaces shall be cleaned in a manner that minimizes the generation of dust clouds.
Safe housekeeping methods to clean combustible dust that has settled onto the various surfaces in the
1
plant. Dust layers inch (0.794 mm) thick can be sufficient to require immediate cleaning of the area.
32
Workers are the first line of defence in preventing and mitigating fires and explosions. If the people closest
to the source of the hazard are trained to recognize and prevent hazards associated with combustible dust in
the plant, they can be instrumental in recognizing unsafe conditions, taking preventative action, and alerting
management. While standards require training for certain employees, all employees should be trained in safe
work practices applicable to their job tasks, as well as on the overall plant programs for dust control and
ignition source control. They should be trained before they start work, periodically to refresh their
knowledge, when reassigned, and when hazards or processes change. A qualified team of managers should
be responsible for conducting a facility analysis (or for having one done by qualified outside persons) prior to
the introduction of a hazard and for developing a prevention and protection scheme tailored to their
operation. Supervisors and managers should be aware of and support the plant dust and ignition control
programs. Their training should include identifying how they can encourage the reporting of unsafe practices
and facilitate abatement actions. Inspection and maintenance have various benefits. These benefits can
include:
(1) Less process downtime.
(2) Geater plant morale and productivity.
(3) Reduced maintenance costs.
(4) More effective dust control for a healthier environment and improved product quality.
(5) Good public relations.
BIBLIOGRAPHY
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Bartknecht, W., Dust explosions: Course, prevention, and protection, Springer Verlag, 1989.
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Toxicology, Volume 2C – Toxicology, George D. Clayton and Florence E Clayton, editors, Wiley Interscience,
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Berthoud, G., 2000. Vapor explosions, Annu. Rev. Fluid Mech., 32, 673-611.
Blevins, R. D., 1984. Applied fluid dynamics handbook, Van Nostrand Reinhold Company, Inc., pp. 136-141.
Boe, R., 1998. Pool boiling of hydrocarbon mixtures on water, Int. J. Heat Mass Transfer, Vol. 41, No. 8-9,
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FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
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Frank, Walter, Dust explosion prevention and the critical importance of housekeeping, Process Safety
Progress, vol. 23, No. 3, September 2004, pp. 175-184.
G. A. Melhem, A. S. Kalelkar, H. Ozog, and S. Saraf, Managing liquified natural gas risks: Separating the
facts from the myths, IoMosaic Corporation Whitepaper, 2006.
G. Opschoor, R. O. M. Van Loo, and H. J. Pasman. Methods for calculation of damage resulting from physical
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Process Safety, AIChE, 1992.
Guidelines for Chemical Process Quantitative Risk Analysis, 2nd Edition, American Institute of Chemical
Engineers Center for Chemical Process Safety (CCPS), 2000.
Hankin, R. K.S., 2003. Heavy gas dispersion: Integral models and shallow layer models, J. Haz. Mat., A102,
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Hatwig, M., and Steen, H. (eds.), Handbook of explosion prevention and protection, Wiley VCH, 2004.
Heskestad, 1998. Dynamics of the fire plume, Phil. Trans. R. Soc. Lond. A, 356, 2815-2833.
J. Wiklund and I. Fossan, 1999. Model for explosion risk quantification, Proceedings from 8th annual
conference on offshore installations Fire and Explosion Engineering.
Johnson, A. D., 1992. A model for predicting thermal radiation hazards from large-scale lng pool fires. Major
Hazards Onshore and Offshore, Institute of Chemical Engineers, Symposium Series No. 130, EFCE Event No.
470, EFCE Publication No. 93, Manchester, October 20-22, pp: 507-524.
K. Cassidy and M. F. Pantony, Major industrial risks: A technical and predictive basis for on and off site
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Lee, J. H. S., and Moen I. O., 1980. The mechanism of transition from deflagration to detonation in vapor
cloud explosions, Prog. Energy Combust. Sci., Vol. 6, 359-389.
McGraw Hill Encyclopedia of Science of Technology, 1987. New York, McGraw Hill, pp 521-528.
Mizner, G. A., and Eyre, J. A., 1983. Radiation from liquefied gas fires on water, Combustion Science and
Technology, Volume 35, pp. 33-57.
National Fire Protection Association (NFPA). Industrial fire hazards handbook, 3rd Edition. NFPA, Inc.,
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National Materials Advisory Board (NMAB) Publications.
Nelson, P., Dust explosions: The forgotten killer. Australian Safety News, 65(1994):51-55.
O. Talberg, O. R. Hansen and J. R. Bakke, 1999. Explosion risk analysis using flacs, Proceedings from 8th
annual conference on offshore installations Fire and Explosion Engineering.
Occupational Safety and Health Administration (OSHA), the Massachusetts Office of the State Fire Marshall,
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Occupational Safety Health Administration (OSHA) Standards, Interpretations, and Publications.
Parnarouskis, M.C. et al., 1980. Vapor cloud explosion study. Six. Congr. Int. Gaz. Natl. Liq., v. 2, Sess 3,
paper 12.
Porteous, W.M., and Blander, M., 1975. Limits of superheat and explosive boiling of light hydrocarbons,
halocarbons and hydrocarbon mixtures, AIChE Journal, 1975, 31(3), 560-566.
Pritchard, M. J., and T. M. Binding, 1992. FIRE2: A new approach for predicting thermal radiation levels from
hydrocarbon pool fires, IChemE Symposium Series, No. 130, pp. 491-505.
R. P. Claever, S. Burgess, G. Y. Buss, C. Savvides, S. Connolly, R. E. Ritter, 1999. Analysis of gas build-up
from high pressure natural gas releases in naturally ventilated offshore modules, Proceedings from 8th
annual conference on offshore installations Fire and Explosion Engineering.
Tieszen, 1991. Gaseous hydrocarbon-air detonations, Combustion and Flames, Vol 84, pp 376-390, 1991.
United States Chemical Safety and Hazard Investigation Board.
Vander Molen, R., Nicholls, J. A., 1979. Blast wave initiation energy for detonation of methane-ethane-air
mixture, Comb. Sci. Tech., Vol. 21, 75-78.
Zukoski, E. E., 1986. Fire safety science, Proc. First Int. Sym., pp 7.
Zukoski, E. E., 1995. Properties of fire plumes, in Combustion Fundamentals of Fire (ed. G. Cox), pp. 101-
219. Academic Press, London.
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
Section 4
Smoke Cloud
(obscured flames)
Flame Height
Luminous Luminous
Band Band
Fire Pool
Depending on the fuel and the size of the fire, up to 20% of the fuel mass is converted to smoke particulate
in the combustion process (Society of Fire Protection Engineers, 1999). This smoke shields much of the
luminous flame region from the viewer, and it is this luminous flame region that is the source of most of the
thermal radiation. This shielding effect is most pronounced for fires that are tens or hundreds of meters in
diameter because of the decreased efficiency of combustion at these scales. A schematic diagram is shown
in Figure 4.1. The methodology to be described in the present chapter is not dramatically different from
those in the SFPE Engineering Guide. However, in order to maintain the simplicity of the original model
methodology, it has been necessary to adopt a slightly different approach that emphasizes global energy
conservation as a way of minimizing errors in radiation flux predictions due to uncertainties in the
measurements upon which the flux calculations are based. Hence, part of the goal in this fire engineering
risk analysis textbook is to produce a methodology for estimating the thermal radiation flux from fires
burning either combustible liquids or gases. A partial listing of these combustible liquids and gases is given in
Appendix I to Subpart C of 24 CFR Part 51, siting of Department of Housing and Urban Development –
Assisted Projects Near Hazardous Operations Handling Conventional Fuels or Chemicals of an Explosive or
Flammable Nature. A partial listing of hazardous liquids includes crude oil, diesel fuel, gasoline, jet fuel,
kerosene and toluene. A partial listing of hazardous gases includes butane, hydrogen, liquified natural gas
(LNG), liquified petroleum gas (LPG) and propane. The analysis of hazardous liquid fires is relatively
independent of the type of liquid; burning rates and heat release rates do not vary significantly from fuel to
fuel, nor does the nature of the fire. However, hazardous gases stored under pressure, especially liquified
natural gas (LNG) and liquified petroleum gas (LPG), are not as predictable. There are a number of
references to fires involving hydrocarbons fuels in which a cloud of combustible gas ignited to form fireballs
on the order of 100 m in diameter. The radiation from fires fueled by gases leaking from storage tanks can
cause a Boiling Liquid Expanding Vapor Explosion (BLEVE) within a tank or reservoir that not only produces a
tremendous amount of thermal radiation, but also often causes parts of the tank or reservoir to be thrown
tens or hundreds of meters. In particular, liquified petroleum gas (LPG) is so volatile that it is more likely to
vaporize than form a liquid pool, thus much of the research into large liquid fuel fires may not be applicable
to liquified petroleum gas fires.
Smoke Cloud
(obscured flames)
Luminous
Band
Fire Pool
Predicting the thermal radiative flux from a fire of leaking combustible gases is more complicated than that
of a liquid fuel fire because there are a number of potential fire scenarios to consider. With a liquid fuel fire,
the dynamics of the fire is more understood and predictable than with a gaseous fuel. Rather than develop a
separate methodology for estimating thermal radiation for each potential gaseous fire scenario, it is
preferable to employ a simple procedure which encompasses a wide variety of scenarios, removes most of
the geometrical parameters from the calculation, and remains conservative. Such a method is known as the
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
“point source” radiation model. All that it requires is an estimate of the total heat release rate of the fire, and
the fraction of that energy that is emitted as thermal radiation. These data are available based on far-field
radiometer measurements (K. S. Mudan et al., 1995). The point source method is accurate in the far-field,
but is considered overly conservative within a few fire diameters because it assumes that all of the radiative
energy from the fire is emitted at a single point rather than distributed over an idealized shape (usually a
cone or cylinder) meant to represent the fire. For liquid fuel fires, however, the point source model may be
too conservative because these fires are more predictable and there is much more experimental data
available to validate a more detailed model. A popular method of estimating radiation flux from large liquid
pool fires is the “solid flame” radiation model (see Figure 4.2). In this case, the fire is idealized as a solid
vertical cylinder emitting thermal radiation from its sides. This model is relatively simple, but it does require
estimates of the diameter and height of the cylinder, plus an estimate of the emissive power. Determining
the height and width of the idealized cylinder is discussed in the next section.
q F E [4.1]
where F is a geometric view factor that defines the fraction of energy radiated by the fire that is intercepted
by the receiving object; is the atmospheric transmissivity to thermal radiation, mainly a function of
humidity and distance between the radiation source and the receiver; is the effective emissivity of the
flame, generally expressed as,
1 exp d [4.2]
where is an attenuation coefficient, and d is the width of the fire pool; and, E is the total emissive power
of the flame at the flame surface. For fires greater than a few meters in diameter, the effective emissivity of
the flame can be taken as one. Also, to be on the conservative side, the transmissivity is taken as one ( =
1.0). What remains to be computed are the view factor (F) and the emissive power of the flame (E).
Measurement of the emissive power of large fires is difficult and subject to considerable uncertainty.
Computation methods of the past, considered the view factor and the emissive power independently, which
for some fire scenarios led to estimates of radiative emission from the fire in excess of the total energy of
the fire. What was missing from these analyses was an overall accounting of energy. This problem has been
remedied in the last few decades because it is now generally recognized by the field of fire protection
engineering that a fire’s total heat release rate (HRR) is the best measure of its potential to do harm.
Moreover, the heat release rate of a fire is easier to estimate than its temperature or physical size because
the heat release rate is proportional to its rate of fuel consumption, a quantity that is relatively easy to
measure. The Building and Fire Research Laboratory at the National Institute of Standards and Technology
(NIST) has performed on the order of 100 large scale fire experiments in the past two decades with a
variety of combustible liquids and gases, and one of the more reliable measurements is that of the mass
burning rate from which the fire’s total heat release rate (HRR) can be estimated (W. D. Walton, 1993). A
fraction of the fire’s total heat release rate is emitted in the form of thermal radiation. For fires up to roughly
four meters in diameter, the ratio of the rate of energy radiated to the surroundings to the total heat release
rate of the fire (r) is between 0.30 and 0.40, and this value decreases with increasing fire diameter due to
smoke obscuration (K. S. Mudan et al., 1993; J. C. Yang et al., 1994; Society of Fire Protection Engineers,
1999). Much of the thermal radiation from a large, sooty fire is emitted from the luminous “wall” of flame
encircling the base of the fire. The flames above this luminous wall are obscured from view by the smoke
formed due to incomplete combustion. Air is entrained into the fire at its base, and soot quickly forms in the
combustion process, creating a thermal barrier higher up in the fire that traps radiant energy from escaping
the fire’s interior. An idealized picture of a fire used in most analyses of thermal radiation is one in which the
fire is assumed to be cylindrical or conical in shape with a height (H) and diameter (d) with a total heat
FIRE AND EXPLOSION RISK ANALYSIS
release rate (Q). More generally, the fire can be assumed to be of arbitrary shape with a perimeter length
(P). The radiated energy from the fire can be expressed as,
Q r P H E [4.3]
Radiometer measurements from large fire experiments (J. C. Yang et al., 1994; H. Koseki et al., 1988)
suggest that the total heat release rate of the fire (r) decreases with increasing fire diameter (d) according
to the following expression,
where r,max is equal to 0.35 and is equal to 0.05 m1. These values are based on a curve fit to
experimental data involving a range of different combustible liquids. The total heat release rate of fire (Q)
can be expressed as the product of the heat release rate per unit area (q) and the area (Ab) of the base of
the fire,
Q q Ab [4.5]
For a given fuel, the heat release rate per unit area (q) is relatively constant because the fuel mass burning
rate per unit area is relatively constant (W. D. Walton, 1993). The two remaining parameters in Equation
[4.3] are the emissive power (E) and the height (H) of the idealized cylinder. Alternatively, we can use a
conical shape. The reported values of the emissive power for flammable liquids and gases vary widely from
source to source (K. S. Mudan et al., 1995). The variation in reported values of emissive power has to do
with the definition of the height of the idealized cylinder that represents the fire. When viewed from a
distance, the actual fire appears smokey, with occasional bursts of luminous flame emerging from the
smoke. The flame height of the actual fire is defined as the vertical extent of the combustion region (see
Figures 4.1 and 4.2), and it can be thought of as the maximum height above the ground at which these
luminous bursts can be seen. Taking an idealized cylindrical fire with height equal to the flame height of the
actual fire, on average about 20% of the surface area of the cylindrical fire consists of visible flames and
80% is smoke (K. S. Mudan et al., 1995). Most of the visible flame is at the base of the fire, although
periodically luminous flames burst through the smokey plume higher up. The reported values of emissive
power are most often average values for the entire flame height, and will be significantly less than the
emissive power of the luminous flames. If the relatively low average emissive power is applied to the surface
area of the idealized cylinder whose height is equal to the flame height of the actual fire, then the estimate
of the radiative flux at distances greater than a few fire diameters away will be accurate. However, at closer
distances the radiative flux estimates will typically be under-estimated because the radiant energy is
assumed to be distributed over the entire height of the fire, rather than concentrated near the base as it is
in reality (see Figure 4.2). For example, for fires larger than 30 m in diameter, the average emissive power
reported by many researchers is less than 31.5 kWm2 (10,000 Btuh1ft2), the threshold value used by
Housing and Urban Development (HUD) for determining the acceptable separation distance (ASD) for
facilities, buildings and combustible structures (K. S. Mudan et al., 1995).
Both the method of Shokri and Beyler and the method of Mudan and Croce use an emissive power averaged
over the flame height of the fire (Society of Fire Protection Engineers, 1999; K. S. Mudan et al., 1995). Both
correlations fall below 31.5 kWm2 for fires larger than 30 m in diameter. These correlations can wrongly be
interpreted to mean that buildings can be built right next to sites of potentially large fires simply because the
predicted flux would never exceed 31.5 kWm2 regardless of its distance from the fire. Because the Housing
and Urban Development (HUD) guidelines have to account for both near-field and far-field targets, and
because of the importance of assessing the effectiveness of thermal barriers, the methodology for predicting
radiative flux has to be applicable over the entire range of fire sizes and separation distances. The
methodology adopted here yields roughly the same product of the height by the emissive power (HE) as the
other methods (Society of Fire Protection Engineers, 1999), however will be regarded as the emissive power
of the luminous flame zone (higher than the average emissive power often reported in the literature), and
height will be the height of this luminous zone (lower than the flame height predicted by engineering
correlations). For simplicity, a constant emissive power of 100 kWm2 is adopted here because it has been
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
cited as the emissive power of the luminous spots in gasoline and kerosene fires (K. S. Mudan et al., 1995).
The height of the luminous flame zone (HLZ) can be found from Equation [4.3]. To simplify the analysis, the
fire area is assumed circular,
P d [4.6]
2
d
Q q [4.7]
2
but this is not a restrictive assumption. Substituting expressions for the total heat release rate of the fire (r)
and the total heat release rate of fire (Q) into Equation [4.3] yields an expression for the height (H),
d q
H r ,max exp d [4.8]
4 E
The height (H) is plotted as a function of the diameter (d). Because of the scarcity of data about the total
heat release rate of the fire (r) and the total heat release rate of fire (Q) for very large fires, it is assumed
that for fires with diameters greater than 20 m, the height of the luminous flame zone remains at its
maximum value. The maximum value of the height (H) is found by substituting the diameter (d) by 20 m,
the total heat release rate of the fire (r) by 0.35, the attenuation coefficient () by 0.05 m1, and the total
emissive power of the flame at the flame surface (E) by 100 kWm2 into Equation [4.8]. What remains of
calculating the thermal radiation flux using Equation [4.1] is determining the view factor (F) from the fire to
a target. The view factor calculation can be simplified by assuming the fire is surrounded by a vertical wall of
height (H) emitting radiation energy (E) at a constant rate, and that the wall is composed of circular or linear
elements for which analytical recipes of the view factor are available. The presence of man-made or natural
thermal barriers can be incorporated into the view factor calculation. Although the methodology presented in
this text is designed to be conservative, it is not conservative in one regard. Because the radiative energy
output is concentrated near the base of the fire rather than distributed over the entire height of the fire, the
effectiveness of a thermal barrier in blocking thermal radiation might be exaggerated. Recent measurements
in Japan (N. Takahashi et al., 1999) of a 20 m diameter crude oil fire showed that 85% of the radiant energy
of the fire was emitted at heights lower than 20 m. The remaining 15% of the radiant energy was emitted
mainly by hot black smoke at higher levels, and by occasional luminous bursts of flame. The total heat
release rate (HRR) per unit area, for crude oil is approximately 2,000 kWm2, thus according to Equation
[4.8], the luminous flame height for a 20 m diameter pool fire is between 12.5 m and 13 m. In this context,
a thermal barrier 13 m in height would be expected to block all of the thermal radiation. To remedy the
situation, it is suggested that for the purpose of evaluating a thermal barrier, the emissive power of the
flame be reduced by a half, from 100 kWm2 down to 50 kWm2. Energy conservation will be preserved by
noting that the height of the luminous zone will double as a result of the lower estimate of the emissive
power. The quantity HE remains the same, thus the prediction of radiative flux in the far-field remains the
same. The range of emissive powers between 50 kWm2 and 100 kWm2 is not arbitrary. Many researchers
have made emissive power measurements of large pool fires that fall in this range as seen previously in this
textbook. It is a difficult measurement to make because in reality the emissive power is both spatially and
temporally varying. The choices of 100 kWm2 for near-field hazard calculations and 50 kWm2 for the
evaluation of thermal barriers are intended to yield conservative estimates of acceptable separation distance
(ASD).
Fire scenarios involving combustible gases vary widely, from a pool fire of a liquified gas, like liquified natural
gas (LNG) or liquified petroleum gas (LPG), to a flare formed by burning vapors escaping a storage tank, to
a fireball following the release of a large amount of gas that subsequently ignites. Because it is difficult to
predict the structure of the fire, it is important to employ a methodology for predicting the thermal radiation
flux from the fire. The simplest method of calculating the thermal radiation, known as the “point source”
model, is to estimate the heat release rate of the fire, assume a fraction of the total energy is released in the
FIRE AND EXPLOSION RISK ANALYSIS
form of thermal radiation, and then divide this radiated energy over the surface area of a sphere whose
radius is the distance from the center of the fire to the target.
1
q r Q
2
[4.9]
4 r
Essentially, this method assumes that all of the thermal radiation emanates from a point. For targets greater
than several fire diameters away, this assumption is reasonably good. However, at closer distances, the
assumption is not valid, but it is conservative because it assumes all of the energy is concentrated at a point
rather than spread over the height and width of the fire, as was assumed by the “solid flame” model above.
Equation [4.9] requires two pieces of information: the radiative fraction (r) and the total heat release rate
(Q). Because gaseous fires are often in the form of flares, it is not appropriate to assume that the radiative
fraction decreases with fire diameter as in the case of liquid fires above. Flares are substantially more
luminous than liquid pool fires because the oxygen is better able to penetrate the combustion region and
thus the combustion is more efficient and less smoke is formed in the process. A conservative estimate of
the radiative fraction is 0.20, appropriate for a wide range of gaseous fuels (K. S. Mudan et al., 1995). The
estimate of the the total heat release rate is not as easy as it is for liquids because more often than not
there is no fire «diameter» because there is no liquid pool, even for liquified gaseous fuels. It is more
appropriate in this case to estimate a mass burning rate (m, kgm2s1) and then multiply this by a heat of
combustion (Hc, kJkg1).
Q m H c [4.10]
Because of the uncertainty inherent in predicting the hazard associated with pressurized storage of gases,
the consideration of thermal barriers as a means of lessening the radiation flux to distant targets is difficult.
Liquified gases may form a pool that erupts in fire, or the gases may vaporize so quickly that a fireball or
turbulent jet fire forms. In the former case, a wall surrounding the fire may block a substantial fraction of
the radiation energy, whereas in the latter case, a wall will do little to lessen the impact of thermal radiation
on surrounding targets. Consequently, consideration should not be given to thermal barriers when assessing
the thermal radiation hazard from fires of pressurized storage tanks or pipelines of combustible gases.
4A
d [4.11]
can be assumed. Otherwise, a combination of either vertical circular arcs or vertical flat plates can be used
as surrogates for the actual fire shape. A schematic diagram is shown in Figure 4.3 to illustrate the point.
The irregularly shaped region indicates the fire area. Rather than calculate the view factor for the actual fire,
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
a circular cylinder of equal height can be drawn that completely obscures the view of the fire from the
target. The view factor from the cylinder will be greater than that from the actual fire. If more than one
target location is to be evaluated, the cylinder has to be redrawn for each location unless the cylinder is
drawn so that the actual fire is completely enclosed by the boundary of the cylinder. If the actual fire region
is elongated, drawing one cylinder may produce a result that is overly conservative. In cases such as these,
the analysis can include more than one cylinder or a direct calculation of the thermal radiation flux can be
performed based on adding the view factors of a collection of vertical plates and cylinders.
d
(diameter)
Smoke Cloud
(obscured flames)
Luminous
Band
Fire Pool
Target
Figure 4.3 – A schematic diagram showing how a cylinder can be used to simplify a view factor calculation.
Once the equivalent fire diameter has been determined, the acceptable separation distance (ASD) for people
and facilities can be obtained. Note that the acceptable separation distance is measured from the leading
edge of the fire. Noted that there are maximum separation distances from a fire beyond which the thermal
radiation flux impinging on a structure or person is less than the acceptable separation distance threshold
values regardless of the fire size. Table 4.1 lists these maximum values for the different fuels considered.
These maximum acceptable separation distance values can be used as “screening” values because distances
greater than the “Screen Acceptable Separation Distance (SASD)” meet the criteria for thermal radiation flux
regardless of fire size. Another useful application of “Screen Acceptable Separation Distance (SASD)” is in
cases where the fuel spill is unconfined. The Department of Housing and Urban Development guidelines
(Department of Housing and Urban Development, Report 0050137, 1975) and the SFPE Handbook (K. S.
Mudan et al., 1995) discuss methods of estimating the diameter of an unconfined spill fire. The simplest
method of obtaining a spill diameter (dspill) is using the following expression,
d 10 V [4.12]
where V is the volume of spill in cubic meters. Equation [4.12] asserts that the liquid will continue to spread
until it is about 1 cm in depth. However, given the wide variety of potential spill scenarios and the number of
assumptions that have to be made in order to apply the correlations, it is preferable to apply the “Screen
Acceptable Separation Distance (SASD)” distances in cases of unconfined spills rather than relying on the
spill diameter correlations.
FIRE AND EXPLOSION RISK ANALYSIS
q F E [4.13]
The view factor (F) can be calculated by assuming the fire perimeter to be made up of circular arcs or
straight lines. If the fire perimeter is irregularly shaped, cylinders or vertical plates can be used as surrogates
for the perimeter as long as they completely block the view of the fire from the observer. Some methods of
calculating radiation flux from large fires take into account the “tilting” of the fire due to the wind (K. S.
Mudan et al., 1995). Essentially, a more complicated calculation of the view factor from a tilted plate or
cylinder is performed. The results are only marginally different than those obtained for vertical plates and
cylinders when the target is beyond a few fire diameters away. The difference in results is well within the
factor of safety inherent in the calculation procedure resulting from the conservative estimates of the
principal parameters. A common way to mitigate the thermal flux from a large fire is to build a barrier
between the site of a potential fire and the site to be protected. Assuming the barrier remains intact during
the fire, it will serve to reduce the view factor whose calculation was described above. In the simplest case,
H
it can be assumed that a barrier of height Hb will reduce the thermal flux to a target by a factor of b if the
H
target is at ground level and the barrier is long enough to block the view of the fire at each end. If the
barrier only partially obscures the width of the fire, then the view factor can be obtained by adding the view
factors of the exposed sections of the luminous wall of flames. In other words, only those sections of the
luminous wall of flames visible to the potential target need to be considered in the radiation flux calculation.
If these sections of the luminous wall of flame are not connected, the radiation flux at the target can be
obtained by adding the view factors of each of the exposed sections together.
at which the liquid or gas is escaping the tank or container. The total heat release rate (Q) of the fire is
estimated by multiplying the mass burning rate by the heat of combustion (Equation [4.10]). Then, Equation
[4.9] is applied to predict the thermal radiation flux at a target.
Ignition
The design fire curve starts at ignition. A simple approach to developing a design fire curve is to assume that
an ignition source of sufficient intensity is available to instantaneously ignite the initial fuel package to
establish burning. However, if the heat transfer to a combustible object or the temperature of the object is
known, calculations can be performed to predict whether the object will ignite. Calculations to determine
whether ignition occurs depend on the state of the fuel: solid, liquid, or gas. Ignition can be divided into two
categories: piloted and non-piloted. In the case of piloted ignition, a “pilot” such as a spark or flame initiates
flaming. For nonpiloted ignition, flaming occurs spontaneously as a result of heating in the absence of flame
or spark. Except for piloted ignition of gases and liquids that are at a temperature above their flashpoint, all
materials must first be heated before ignition can take place.
Solid Combustibles
With the exception of smoldering combustion, for a solid to ignite it must first be heated sufficiently to
release flammable vapors. Flammable vapors can be given off either by pyrolysis or by melting and
subsequent vaporization. Pyrolysis occurs when a material is heated and decomposes, releasing vapors
known as pyrolyzates. Unlike melting and vaporization, in which no molecular changes occur, the vapors
given off are different from the material that was originally heated. The process of pyrolysis can be viewed
as “thermal cracking,” in which larger molecules are broken into smaller molecules. Piloted ignition occurs if
the concentration of pyrolysis gases is above the lower flammable limit and a “pilot” is present. For
nonpiloted ignition to occur, the pyrolysis gases must be at a concentration above the lower flammable limit
and they must be above their autoignition temperature. Because of this, it requires less energy for piloted
ignition to occur than for nonpiloted ignition. Methods of predicting ignition of solid materials exposed to
thermal radiation differ depending on whether a solid is thermally thin or thermally thick. A thermally thick
material is one in which a temperature rise will not be perceived on the unexposed surface when the
material is heated. Wood is a typical example of a thermally thick material, whereas sheet metal is a good
example of a thermally thin material. An engineering guide published by the Society of Fire Protection
Engineers (SFPE) focusing on piloted ignition contains six methods for predicting the piloted ignition of solid
materials under radiant exposure as follows. For thermally thin materials, the method of Mikkola and
Wichman can be used to predict the time to ignition as given by expression,
FIRE AND EXPLOSION RISK ANALYSIS
Tig T0
t ig l c p [4.14]
q q
ext crit
where tig is time to ignition (s), Tig is the ignition temperature (ºC), T0 is the initial temperature (ºC), is
the density of the material (kgm3), cp is specific heat of material (kJkg1ºC1), l is the thickness of material
(m), qext is esternal heat flux (kWm2), and qcrit is critical heat flux to ignition (kWm2). For thermally thick
materials, an method of Mikkola and Wichman can be used to predict the time to ignition value,
Tig T0 2
t ig k cp [4.15]
4 q ext q crit 2
where k is thermal conductivity (Wm1K1). Janssens proposed the following method to predict the time to
igniton value,
1.83
k cp q
t ig 0.563 ext 1 [4.16]
h2 q crit
ig
where hig is heat transfer coefficient at ignition, which incorporates both radiative and convective
components (Wm2ºC1). See Society of Fire Protection Engineers’ engineering guide for additional
information on applying these methods as well as the appropriateness of these methods for different
situations.
Liquids Combustibles
For a liquid to ignite, it must be at a temperature that is equal to or greater than its flashpoint. National Fire
Protection Association NFPA 30 standard (Flammable and Combustible Liquids Code) defines flashpoint as
the minimum temperature of a liquid at which sufficient vapor is given off to form an ignitable mixture with
air, near the surface of the liquid or within the vessel used. A number of test methods can be used to
measure the flashpoint of a liquid. Flashpoint is not a physical property and is instead a model of physical
phenomena associated with vaporization of a sufficient quantity of fuel to establish a gaseous mixture that is
at the lower flammable limit at a distance above the fuel surface and therefore can change with the test
method employed. Ignition of a liquid at its flashpoint is analogous to piloted ignition of a solid, in that for
ignition to occur, a pilot must be present. The analogy for nonpiloted ignition of liquids would be ignition at
the autoignition temperature. Values for flashpoints and autoignition temperatures for some common
materials can be found in NFPA 497 standard – Recommended Practice for the Classification of Flammable
Liquids, Gases, or Vapors and of Hazardous (Classified) Locations for Electrical Installations in Chemical
Process Areas. Gases. For ignition of a flammable gas to occur, it must be mixed with a sufficient quantity of
oxygen for a reaction to take place. Concentrations where this occurs are represented by a flammability
range, which corresponds to gas-to-air concentrations that are at or above the lower flammable limit and not
exceeding the upper flammable limit. Flammability limits for a variety of gases can be found in NFPA 497.
For mixtures of flammable gases, Le Chatelier’s principle can be used to determine the lower flammable
limit. Le Chatelier’s law states the following,
100
LFL m [4.17]
n p
i
i1 LFL i
where LFLm is lower flammability of the mixture, pi is the volume fraction of each gas present in the gas
mixture, and LFLm is lower flammability of each gas present in the gas mixture.
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
Fire Growth
Following ignition, a fire might grow as it develops on the first item ignited or spreads to additional items. To
determine whether spread would occur to adjacent items, the problem can be approached from the
perspective of whether or not these items would ignite. For growth involving a single item, the fire could
spread to unignited portions of the item. This could either lead to the entire item burning, or earlier ignited
portions might burn out before the fire spreads to involve the entire item, such that the entire item is never
fully involved.
Q If tn [4.18]
where If is fire intensity coefficient (kWsn), t is time (s), and n is growth rate coefficient (n=1,2,3,...).
Later, it was shown that for most flaming fires (except flammable liquids and some others) growth rate
coefficient (n) is equal to 2, the so-called t-squared growth rate. A set of specific t-squared fires labeled
slow, medium, and fast, with fire intensity coefficients such that the fires reached 1,000 Btus1 (1,055 kW)
in 600, 300, and 150 seconds, respectively, were proposed for design of fire detection systems. Later, these
specific growth curves and a fourth called “ultrafast”, which reaches 1,055 kW in 75 seconds, gained favor in
general fire protection applications. The low growth (n 1) curves are appropriate for fires involving thick,
solid objects (e.g., solid wood table, bedroom dresser, or cabinet). The medium growth curve (1 < n 2) is
typical of solid fuels of lower density (e.g., upholstered furniture and mattresses). Fast fires are thin,
combustible items (e.g., paper, cardboard boxes, draperies) and have high growth curves (n 2). Ultrafast
fires are some flammable liquids, some older types of upholstered furniture and mattresses, or materials
containing other highly volatile fuels. These t-squared curves represent fire growth starting with a
reasonably large, flaming ignition source. With small sources, there is an incubation period before
established flaming, which can influence the response of smoke detectors. During this incubation period, the
fire may not significantly grow in size, although smoke would still be produced in quantities potentially
sufficient to activate smoke detectors. This specific set of fire growth curves has been incorporated into
several design methods, such as that for the design of fire detection systems in NFPA 72 (National Fire
Alarm Code). They are also referenced as appropriate design fires in several international methods for
performing alternative design analyses in Australia and Japan and in a product fire risk analysis method
published in this country. Although in the Australian methodology the selection of growth curve is related to
the fuel load (mass of combustible material per unit floor area), this is not justified, since the growth rate is
related to the form, arrangement, and type of material and not simply its quantity.
Steady Burning
Where a fire scenario involves a fire in an enclosure, fire growth might continue until all the combustible
items within the room are involved. Once this occurs, the rate of burning is influenced by one of two factors:
(1) The available ventilation;
(2) The available fuel.
Calculation of fire temperatures within the room is easily accomplished by use of simple algebraic equations.
Although computer models are frequently used in hazard analyses, they are generally no more accurate (and
indeed may be less accurate) than simple hand calculations for prediction of temperature and burning rate
during fully developed burning.10 For example, for postflashover fires, hand calculation methods are
generally used to estimate compartment temperatures. SFPE’s engineering guide on fire exposures of
structural elements provides calculation methods for predicting fire temperatures and burning rates in fully
developed compartment fires. Some of these methods are based on an assumption of ventilation-limited
burning, and others model fuel-controlled conditions. For most cases, the method developed by Law was
FIRE AND EXPLOSION RISK ANALYSIS
found to provide bounding predictions when the factor was not used and the predicted burning duration
was increased by a factor of 1.4. Law’s method is as follows,
T Tgm 1 e 0.05 [4.19]
where Tgm is maximum compartment temperature (ºC), and factor is given by,
mf
[4.20]
As A0
where mf is mass of fuel (kg), As is surface area of interior of enclosure (m2), Ao is area of ventilation
opening (m2). The maximum compartment temperature (Tgm) is determined by the following expression,
As
1 Exp 0.1
A 0 H0
Tgm 6000 [4.21]
As
A 0 H0
where H0 is height of ventilation opening (m). Law reports that the correlation for predicting burning rate is
valid for condition,
0.5
mb D
60 [4.22]
A 0 H0 W
where mb is mass burning rate of fuel (kgs1), W is the width of wall containing ventilation opening (m), and
D is depth of compartment (m). The mass burning rate of fuel (mb) is given by,
As
0.036
W
A 0 H
0
m b 0.18 A 0 H 0 1 e [4.23]
D
In some cases, it may only be desired to predict whether flashover is possible for a given fire scenario
involving a fire in an enclosure. In such cases, the approach described in the section Prediction of Flashover
can be used.
Fire Decay
All fires eventually decrease in size. A fire can decay for one of three reasons: consumption of available fuel,
oxygen depletion, or suppression. Because the hazards posed during the decay phase are typically
insignificant in comparison to the hazards posed during the fully developed phase, decay is typically omitted
from analysis. An exception is in calculations involving structural fire resistance of concrete or insulated
steel. Where test data are available, they might include decay. For fires with a predicted duration of less
than 60 minutes, a decay rate of 10°C per minute can be used. In other case, a decay rate of 7°C per
minute can be used. Decay could also occur in the event that a sprinkler system is present and activated. A
simple assumption is that the fire immediately goes out, but this is not conservative. A National Institute of
Standards and Technology (NIST) study documents a conservative exponential diminution in burning rate
under the application of water from a sprinkler. Since the combustion efficiency is affected by the application
of water, the use of values for soot and gas yields appropriate for post-flashover burning would represent
the conservative approach in the absence of experimental data.
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
Prediction of Flashover
Flashover occurs when a fire grows to such a size that it involves all combustible items within an enclosed
room or space. Although occurrence of flashover is not a hazard in itself, flashover would affect the
occurrence of other hazards. Several correlations are available to predict the minimum heat release rate
necessary for flashover to occur in a room. The time at which flashover occurs can be estimated by
determining when the fire is predicted to reach this minimum size. The following methods can be used to
predict the minimum heat release rate necessary for flashover. The method of Babrauskas states that,
where Qmin is minimum heat release rate required for flashover (kW). On other hand, the method of
McCaffrey, Quintiere, and Harkleroad consider that the minimum heat release rate required for flashover
(Qmin) is given by,
0.5
k
Q min 610 A T A 0 H 0 [4.25]
x
PREDICTION OF HAZARDS
Fire is a dynamic process of interacting physics and chemistry, so predicting what is likely to happen under a
given set of circumstances is daunting. The simplest predictive methods are algebraic equations. Computer
models are used to automate fire hazard calculations and are particularly useful where many repeated
calculations must be performed.
As was the case with the stages of design fire curves, it is not always necessary to quantify all of the
hazards that result from a design fire scenario. The hazards that are quantified are a function of the goals of
the analysis. For example, if the purpose of the analysis is to determine whether a thermally activated
detection or suppression system activates, only the plume and ceiling jet temperatures and velocities might
be determined. For analysis of a smoke control system, only the smoke production rate might be
determined. A structural analysis might only require calculation of the heat transfer to the structure. An
evacuation analysis might require quantification of all of the hazards listed.
q A ef G TG4 G T14 [1.139]
Smoke Production
When calculating smoke production rates, smoke is usually defined as the products of combustion and the
air entrained into the fire plume. Therefore, the amount of smoke produced is a function of the height above
the fire.
2
x 16.9 Q 3
When 0.18 we have T 5
[4.26]
H
H3
2
Q3
5.38
x x
When 0.18 we have T [4.27]
H H
1
x Q 3
When 0.15 we have U 0.96 [4.28]
H H
1 1
x Q 3 H2
When 0.15 we have U 0.195 [4.29]
H 5
x 6
H
Where ΔT is temperature rise over ambient (°C), U is ceiling jet velocity (ms1), H is height above fire (m), x
is horizontal distance from fire centerline (m), and Q is total heat release rate (kW). When using these
equations, it must be cautioned that they are only valid for horizontal, unobstructed ceilings where there is
no smoke layer present. In cases where a layer forms, higher temperature rises can be expected.
Species Production
Fires can create a number of products of combustion that can be toxic or corrosive, including carbon dioxide
(CO2), water vapor (H2O), carbon monoxide (CO), and many others that vary with the fuel and burning
conditions. Species production rates can be calculated from the following equation,
Q
Gj y j [4.30]
H c
where
Gj is smoke production rate of species j (kg/sec), yj is yield fraction of species j, Q is heat release rate (kW),
and Hc is heat of combustion of fuel (kJkg1). Yield fractions for several fuels are available in the Handbook
of Fire Protection Engineering from Society Fire Protection Engineers (SFPE).
production rate of smoke is not constant, since as the layer descends, the smoke production rate decreases
due to the reduced vertical distance available to entrain air into the plume.
Toxicity
Toxic gases produced by a fire can incapacitate or kill people who are exposed to them. A commonly used
approach to determine whether the fire-induced environment is potentially harmful to people exposed is the
fractional effective dose (FED) model developed by Purser. This can be expressed as follows,
where Fg,inc is the fraction of an incapacitating dose of all asphyxiating gases, FCO is the fraction of an
incapacitating dose of carbon mooxide (CO), FCN is the fraction of an incapacitating dose of HCN, Firr is the
fraction of irritant dose, fCO2 is the multiplication factor for carbon dioxide (CO2) induced hyperventilation,
and FO2 is the fraction of an incapacitating dose of low-oxygen hypoxia. The fraction of an incapacitating
dose of all asphyxiating gases (Fg,inc) can be replaced by the fraction of an incapacitating dose of carbon
dioxide (FCO2). Purser gives the following equations for calculation of the individual fractional effective doses,
8.2925 10 4 C 1CO
.036
FCO [4.32]
30
where CCO is the concentration of carbon monoxide (CO) expressed in parts per million,
C CN
1 43
FCN e [4.33]
220
where CCN is the concentration of HCN in parts per million added to the concentration of other nitriles minus
the concentration of NO2. Firr is the fraction of the incapacitating dose from all incapacitating products (HCl,
HBr, etc.),
CO2
5
f CO2 e [4.34]
FO2 e
8.13 0.54 20.9 C O 2
[4.35]
FCO2 e
6.1623 0.5189C O 2 [4.36]
where CCO2 is the concentration of carbon dioxide (CO2) in percent. It should be noted that the above
equations for fractional effective dose (FED) are based on a one minute exposure. For exposures to constant
concentrations of fire products, the fractional effective dose can be determined by multiplying the value
determined using the previous equations by the exposure time in minutes. For exposures where the
concentrations vary with time, the total fractional effective dose can be calculated by discretizing the
exposure (determining the average exposure at each one minute interval and summing the fractional
effective dose determined for each one minute interval). It should be noted when applying the previous
correlations that some populations are more susceptible than others to fire products (e.g. asthmatics, the
old, and the young). Additionally, no single fractional effective dose (FED) value for design has been widely
agreed on event for «average» populations. A report by the National Institute of Standards and Technology
investigates this subject in detail.
FIRE AND EXPLOSION RISK ANALYSIS
Egress Models
The prediction of the time needed by the facility occupants to evacuate to a safe area can be performed and
compared to the predicted available safe egress time. Whether the evacuation calculation is done by model
or hand calculation, it must account for several crucial factors. First, unless the occupants see the actual fire,
time is required for detection and notification before the evacuation process can begin. Next, unless the
information is compelling (such as seeing the actual fire), it takes time for people to decide to take action.
The action they choose may or may not be evacuation. Finally, the movement begins. All of these factors
require time, and that is the critical factor. No matter how the calculation is done, all of the factors must be
included in the analysis to obtain a complete picture.The process of emergency evacuation of people follows
the general concepts of traffic flow. A number of models perform such calculations and may be appropriate
for use in certain occupancies. Most of these models do not account for behavior and the interaction of
people (providing assistance) during the event. The literature reports incidents of providing assistance to
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
disabled persons, again especially in office settings. If such behavior is expected, it should be included, as it
can result in significant delays in evacuating a building. Crowded conditions, as well as smoke density, can
result in reduced walking speeds. A person’s walking speed decreases in dense smoke until he or she moves
as if blindfolded. Care should be exercised in using models relative to how they select the path (usually the
shortest path) that the person travels. Some models are optimization calculations that give the best possible
performance.
Final Review
If a model or calculation produces a result that seems counter-intuitive, there is probably something wrong.
Cases have been seen in which the model clearly produced a wrong answer (e.g. the temperature predicted
approached the surface temperature of the sun), and there have been others in which it initially looked
wrong but was not (e.g. a dropping temperature in a space adjacent to a room with a growing fire was
caused by cold air from outdoors being drawn in an open door). Conversely, if the result is consistent with
logic, sense, and experience, it is probably correct. This is also a good time to consider whether the analysis
addressed all of the important scenarios and likely events. Were all the assumptions justified and were
uncertainties addressed sufficiently to provide a comfort level similar to that obtained when the plan review
shows that all code requirements have been met?
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FIRE AND EXPLOSION RISK ANALYSIS
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Society of Fire Protection Engineers, Bethesda, Maryland. Engineering guide for assessing flame radiation to
external targets from pool fires, June 1999.
Tewarson, A., Generation of heat and chemical compounds in fires, SFPE Handbook of Fire Protection
Engineering, 3rd ed., P. J. DiNenno et al. (Eds.), National Fire Protection Association, Quincy, MA, 2002.
W. D. Walton. In-situ burning of oil spills: Meso-scale experiments and analysis. In Proceedings of the 16th
Arctic and Marine Oil Spill Program (AMOP) Technical Seminar, pages 679–734. Environment Canada,
Emergencies Science Division, Ottawa, Ontario, Canada, June 1993.
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
Section 5
per fire area. Small amounts of flammable liquids may be exposed as required by normal operations. This
classification includes but is not limited to the following occupancies:
(1) Commissaries;
(2) Exchanges;
(3) Aviation Depots;
(4) Boiler rooms;
(5) Electrical maintenance shops;
(6) Engine and generator rooms;
(7) Laboratories;
(8) Refrigeration and air compressor rooms;
(9) Switchgear rooms;
(10) Machine rooms;
(11) Printing shops (using inks having flash points above 44ºC (110ºF);
(12) Libraries;
(13) Piers and wharves;
(14) Vehicle repair garages;
(15) Woodworking shops.
SPECIAL OCCUPANCIES
Special occupancies are facilities or areas that cannot be assigned a specific classification because of special
protection requirements. This classification includes but is not limited to the following occupancies:
(1) Flammable and combustible liquids;
(2) Aircraft hangars;
(3) Engine test cells;
(4) Missile assembly;
(5) Ordnance plants;
(6) Rubber tire storage;
(7) Warehouses (piled or rack storage);
(8) Foam rubber or plastic storage.
CLASS I AREAS
These are locations where flammable gases or vapors are or may be present in the air in quantities sufficient
to produce an explosive or ignitable mixture. In Class I areas that utilize the division concept methodology,
two distinct divisions are predicted on the operational interpretation of normal versus abnormal and frequent
versu infrequent. Division I locations where ignitable concentrations of flammable gases r vapors can exist
sre due to:
(1) Under normal operating conditions.
(2) Frequently because of maintenance or repair.
(3) Frequent leakage.
(4) Below grade where adequate ventilation does not exist.
(5) When releases from faulty process equipment operations result in the simiultaneous failure of equipment
and machinery.
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
Division II locations here ignitable concentrations of flammable gases or vapors can exist are:
Failure of closed containment systems.
Abnormal operation or failure of processing and ventilation equipment.
Area is adjacent to a Division I location.
In Class I areas that utilize the division concept methodolog, four distinct groups are based solely on the
liquid or gas ease of ignitability and its corresponding range of flammability or explosivity (ER, range of
explosivity in volume percent):
(1) Group A – Atmospheres that contain acetylene (2.5% UER 100%).
(2) Group B – Fammable gas (eg. hydrogen) or vapor atmospheres having either a maximum experimental
safe gap (MESG) less than orequal to 0.4 mm or a minimum ignition current (MIC) ratio less than or
equal to 0.40 mm (4.0% ER 75.0%).
(3) Group C – Fammable gas (eg. ethylene) or vapor atmospheres having either a maximum experimental
safe gap (MESG) greater than 0.45 mmm and less than orequal to 0.75 mm or a minimum ignition
current (MIC) ratio greater than 0.40 mm and less than or equal to 0.80 mm (2.7% ER 36.0%).
(4) Group D – Fammable gas (eg. propane) or vapor atmospheres having either a maximum experimental
safe gap (MESG) greater than 0.75 mmm or an minimum ignition current (MIC) ratio greater than 0.80
mm (2.1% ER 9.5%).
The explosive ranges are base on normal atmospheric pressure and temperature. As the mixture
temperature increases, the flammable range shifts downward. As the mixture temperature decreases, the
flammable range shifts upward. It can be easily determined from examining the above statements that the
mixture volatility is much greater for Group A mixtures compared to Group D. Classes of combustible liquids
include Class II which is any liquid with a flash point greater than 100ºF (37.8ºC) and less than 140ºF
(60ºC). Class III liquids are liquids with a flash point greater than 140ºF (60ºC). Class III liquids are further
divided as either Class III-A liquids or Class III-B liquids. Class III-A liquids have flash point greater than
140ºF ()60ºC and less than 200ºF (93.3ºC). Class III-B liquids have a flash point greater than 200ºF
(93.3ºC).
CLASS II AREAS
These are hazardous locations because combustibledust is present. Combustible dust is defined as any solid
material 420 microns or less in diameter that present a fie or an explosion hazard when dispersed in air. Like
Class I areas, Class II areas are also divided into two distinct divisions that again depend on operational
interpretation of normal versus abnormal conditions. Division I is a location where combustible dust is
present in the air:
(1) Under normal operating conditions, in quantities sufficient to produce an explosive or ignitable mixture.
(2) The dust is electrically conductive. Dusts are considered to be electrically conductive if the electrical
resistivity of the solid material from which the dust is formed has a value of less than 105 cm.
(3) Releases from faulty operation of process equipment result in the simultaneous failure of the electrical
equipment, causing the electrical equipment to become a source of ignition.
In Class II areas three distinct goups are based primarily on the physical characteristics of the dust:
(1) Group E – Atmospheres that contain combustible metal dusts, including aluminium, magnesium, and
their commercial alloys, or other combusible dusts whose particle size, abrasiveness and conductivity
present similar hazards in the use of electrical equipment.
FIRE AND EXPLOSION RISK ANALYSIS
(2) Group F – Atmospheres that contain combustible carbonaceous dusts that have more than 8% total
entrapped volatiles or that have been sensitized by other materials so that they present an explosion
hazard. Representative combustible dusts that fall into this grouping are coal, carbon black, charcoal and
coke.
(3) Group G – Atmospheres containing other combustible dusts, including flour, grain, wood flur, plastic and
chemicals.
Explosion severity is a measure of the damage potential of the energy release by a dust explosion. The
United States Bureau of Mines (USBM) has defined the equation for calculating explosion severity (Sexp) as,
Pmax P II
S exp [5.1]
Pmax P I
where Pmax is the maximum explosion pressure (bar), and P is the maximum rate od pressure rise (bars-1);
subscript I refers to the values used for Pittsburgh seam coal (Pmax is 8.1 bar, P is 214 bars-1), and subscript
II refers to the values for the specific dust in question.
Ignition sensitivity is a measure of the ease by which a cloud of combustible dust can be ignited. The United
States Bureau of Mines has defined the equation for calculating ignition sensitivity (Isen) as,
(4) Step IV – Develop the composite area classification plan drawing that embellishes the contribution of all
point sources.
(5) Step V – Develop elevation drawingsto provide clarity where here are emission sources located in
multilevel process structures. A lan view will be required for each level in the process structre.
(6) Step VI – Conduct the compliance audit.
(7) Step VII – Create a detailed assessment report that documents the following informaton: the rationale
used to classify the areas; the critical process material information usuall obtained from the material
safety data sheets (MSDS); a detailed listing of all point sources of emissions that appear on the
drawings; special out-of-the-ordinary exceptions that were taken when classifying a particular location;
the results or findings obtained from the compliance audit; a vapor dispersion modeling graph.
All area classification documentation should be placed under the protection of the facilities management of
change process control. As modifications are made to the facility, these documents should be reviewed to
verify the impact of these modifications.
In Class III areas are employed the same methods that were utilized for Class II areas. The basic
requirement is to make use of dust-tight enclosures for all normal arc-producing electrical devices and
electrostatic producing devices.
FIRE AND EXPLOSION RISK ANALYSIS
BIBLIOGRAPHY
NFPA 30, Flammable and combustible liquids code, 2000 Ed., NFPA, Quincy, Massachusetts, 2000.
NFPA 496, Standard for purged and pressurized enclosures for electrical equipment, 1998 Ed., NFPA, Quincy,
Massachusetts, 1998.
NFPA 497, Recommended practice for the classification of flammable liquids, gases or vapors and of
hazardous (classified) locations for electrical installations in chemical process areas, 1997 Ed., NFPA, Quincy,
Massachusetts, 1997.
NFPA 499, Recommended practice for the classification of combustible dusts and of hazardous (classified)
locations for electrical installations in chemical process areas, 19997 Ed., NFPA, Quincy, Massachusetts,
1997.
ANSI / API PR5000, Recommended practice for classification of locations for electrical installations at
petroleum facilities classified as Class I, Division I and Division II, 2nd Ed., API Publishing Services,
Washington, DC, 1997.
ISA-12.10, Area classification in hazardous (classified) dust locations, ISA, Research Triangle Park, North
Carolina, 1988.
Cashdollar, K. M. Hertzberg and R. Conti, RI-8988 Bureau of Mine Report of Investigations – 1985, Electrical
ignition energies and thermal autoignition temperatures of evaluating explosion hazards of dusts, United
States Department of the Interior, 1985.
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
Section 6
ENGINEERING ECONOMICS
INTRODUCTION
Engineering economics is the application of economic techniques to the evaluation of design and engineering
alternatives. The role of engineering economics is to assess the appropriateness of a given project, estimate
its value, and justify it from an engineering standpoint. This section discusses the time value of money and
other cash-flow concepts, such as compound and continuous interest. It continues with economic practices
and techniques used to evaluate and optimize decisions on selection of fire safety strategies. The final
section expands on the principles of benefit-cost analysis. An in-depth treatment of the practices and
techniques covered in this compilation is available in the ASTM compilation of standards on facility
economics. The ASTM compilation also includes case illustrations showing how to apply the practices and
techniques to investment decisions. A broader perspective on the application of engineering economics to
fire protection engineering can be found in The Economics of Fire Protection by Ramachandran. This work is
intended as being part of this textbook for fire protection engineers.
CASH-FLOW CONCEPTS
Cash flow is the stream of monetary values – costs (inputs) and benefits (outputs) – resulting from a project
investment.
Of these, the cost of money is the most predictable, and, hence, it is the essential component of economic
analysis. Cost of money is represented by (1) money paid for the use of borrowed money, or (2) return on
investment. Cost of money is determined by an interest rate. Time value of money is defined as the time-
dependent value of money stemming both from changes in the purchasing power of money (inflation or
deflation) and from the real earning potential of alternative investments over time.
Cash-Flow Diagrams
It is difficult to solve a problem if you cannot see it. The easiest way to approach problems in economic
analysis is to draw a picture. The picture should show three things:
(1) A time interval divided into an appropriate number of equal periods;
(2) All cash outflows (deposits, expenditures, etc.) in each period;
(3) All cash inflows (withdrawals, income, etc.) for each period.
Unless otherwise indicated, all such cash flows are considered to occur at the end of their respective periods.
Notation
To simplify the subject of economic analysis, symbols are introduced to represent types of cash flows and
interest factors. The symbols used in this chapter conform to ANSI Z94; however, not all practitioners follow
this standard convention, and care must be taken to avoid confusion when reading the literature. The
following symbols will be used here:
(1) P is present sum of money;
(2) F is future sum of money;
(3) N is number of interest periods;
(4) i is interest rate per period (%).
FIRE AND EXPLOSION RISK ANALYSIS
INTEREST FACTORS
Interest factors are multiplicative numbers calculated from interest formulas for given interest rates and
periods. They are used to convert cash flows occurring at different times to a common time. The functional
formats used to represent these factors are taken from ANSI Z94.
Interest Calculations
Interest is the money paid for the use of borrowed money or the return on invested capital. The economic
cost of construction, installation, ownership, or operation can be estimated correctly only by including a
factor for the economic cost of money.
1 in [6.1]
F
is referred to as the compound amount factor, represented by the functional format , i, n . Thus,
P
F
F P , i, n [6.2]
P
Present Worth
Present worth (P) is the value found by discounting future cash flows to the present or base time.
Discounting is the inverse of compounding is determining a present amount which will yield a specified
future sum. This process is referred to as discounting. The equation for discounting is found readily by using
the compounding equation to solve for present worth in terms of future value,
n
P F 1 i [6.3]
Interest Periods
Normally, but not always, the interest period is taken as 1 year. There may be subperiods of quarters,
months, weeks, and so forth. It is generally assumed that interest is compounded annually. However,
interest may be compounded more frequently. When this occurs, there is a nominal interest (in) or annual
percentage rate and an effective interest (ie), which is the figure used in calculations. For example, a savings
bank may offer 5 percent interest compounded quarterly, which is not the same as 5 percent per year. A
nominal rate of 5 percent compounded quarterly is the same as 1.25 percent every three months or an
effective rate of 5.1 percent per year. If in is the nominal interest rate and m is number of periods per year,
then the effective interest rate (ie) is given by,
m
i
i e 1 n 1 [6.4]
m
Series Payments
Life would be simpler if all financial transactions were in single lump-sum payments, now or at some time in
the future. However, most situations involve a series of regular payments, for example, car loans and
mortgages. Given a series of regular payments, what will they be worth at some future time? Let A being
the amount of a regular end-of-period payment. Then, note that each payment (A) is compounded for a
different period of time. The first payment will be compounded for a number of periods greater than periods
of one year,
n1
F A 1 i e [6.5]
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
n 2
F A 1 i e [6.6]
F A
1 in 1 [6.7]
ie
The interest expression in this equation is known as the series compound amount factor.
ie
A F [6.8]
1 in 1
Capital Recovery Factor
It is also important to be able to relate regular periodic payments to their present worth; the interest
expression is known as the capital recovery factor, since the equation defines a regular income necessary to
recover a capital investment. The symbolic equation becomes,
i 1 in
A P e [6.9]
1 in 1
1 in 1
P A [6.10]
i e 1 in
Factors for calculating present or future worth of a series of annual amounts, representing the total of a
continuous cash flow throughout the year, may be derived by integrating corresponding continuous interest
factors over the number of years the flow is maintained. Continuous cash flow is an appropriate way to
handle economic evaluations of risk, for example, the present value of an annual expected loss.
Capitalized Costs
Sometimes there are considerations, such as some public works projects, which are considered to last
indefinitely and thereby provide perpetual service. For example, how much should a community be willing to
FIRE AND EXPLOSION RISK ANALYSIS
invest in a reservoir which will reduce fire insurance costs by some annual amount? Taking the limit of the
series present worth factor as the number of periods goes to infinity gives the reciprocal of the interest rate.
Thus, capitalized costs are just the annual amount divided by the interest rate. When expressed as an
amount required to produce a fixed yield in perpetuity, it is sometimes referred to as an annuity.
Beginning-of-Period Payments
Most returns on investment (cash inflows) occur at the end of the period during which they accrued. For
example, a bank computes and pays interest at the end of the interest period. On the other hand, most
disbursements (cash outflows) occur at the beginning of the period (e.g. insurance premiums). When
dealing with beginning-of-period payments, it is necessary to make adjustments. One method of adjustment
for beginning-of-period payments is to calculate a separate set of factors. Another way is to logically
interpret the effect of beginning-of-period payments for a particular problem, for example, treating the first
payment as a present value. The important thing is to recognize that such variations can affect economic
analysis.
Gradients
It occasionally becomes necessary to treat the case of a cash flow which regularly increases or decreases at
each period. Such patterned changes in cash flow are called gradients. They may be a constant amount
(linear or arithmetic progression), or they may be a constant percentage (exponential or geometric
progression).
COMPARISON OF ALTERNATIVES
Most decisions are based on economic criteria. Investments are unattractive, unless it seems likely they will
be recovered with interest. Economic decisions can be divided into two classes:
(1) Income-expansion, that is, the objective of capitalism.
(2) Cost-reduction, the basis of profitability.
Fire protection engineering economic analysis is primarily concerned with cost-reduction decisions, finding
the least expensive way to fulfill certain requirements, or minimizing the sum of expected fire losses plus
investment in fire protection. There are four common methods of comparing alternative investments: (1)
present worth, (2) annual cost, (3) rate of return, and (4) benefit-cost analysis. Each of these is dependent
on a selected interest rate or discount rate to adjust cash flows at different points in time.
Discount Rate
The term discount rate is often used for the interest rate when comparing alternative projects or strategies.
During the selection of discount rate, if costs and benefits accrue equally over the life of a project or
strategy, the selection of discount rate will have little impact on the estimated benefit-cost ratios. However,
most benefits and costs occur at different times over the project life cycle. Thus, costs of constructing a fire-
resistive building will be incurred early in contrast to benefits, which will accrue over the life of the
investment. The discount rate then has a significant impact on measures such as benefit-cost ratios, since
the higher the discount rate, the lower the present value of future benefits. In view of the uncertainty
concerning appropriate discount rate, analysts frequently use a range of discount rates. This procedure
indicates the sensitivity of the analysis to variations in the discount rate. In some instances, project rankings
based on present values may be affected by the discount rate. A comparison of benefits and costs may also
be used to determine the payback period for a particular project or strategy. However, it is important to
discount future costs or benefits in such analyses. Once future benefits are discounted.
Present Worth
In a present worth comparison of alternatives, the costs associated with each alternative investment are all
converted to a present sum of money, and the least ofthese values represents the best alternative. Annual
costs, future payments, and gradients must be brought to the present. Converting all cash flows to present
worth is often referred to as discounting. A significant limitation of present worth analysis is that it cannot be
used to compare alternatives with unequal economic lives. That is, a ten-year plan and a twenty-year plan
should not be compared by discounting their costs to a present worth. A better method of comparison is
annual cost.
Annual Cost
To compare alternatives by annual cost, all cash flows are changed to a series of uniform payments. Current
expenditures, future costs or receipts, and gradients must be converted to annual costs. If a lump-sum cash
flow occurs at some time other than the beginning or end of the economic life, it must be converted in a
two-step process: first moving it to the present and then spreading it uniformly over the life of the project.
Alternatives with unequal economic lives may be compared by assuming replacement in kind at the end of
the shorter life, thus maintaining the same level of uniform payment. The full system is slightly more
economically desirable. When costs are this comparable, it is especially important to consider other relevant
decision criteria, for example, uninsured losses.
Rate of Return
Rate of return is, by definition, the interest rate at which the present worth of the net cash flow is zero.
Computationally, this method is the most complex method of comparison. If more than one interest factor is
involved, the solution is by trial and error. Microcomputer programs are most useful with this method. The
calculated interest rate may be compared to a discount rate identified as the “minimum attractive rate of
return” or to the interest rate yielded by alternatives. Rate-of-return analysis is useful when the selection of
a number of projects is to be undertaken within a fixed or limited capital budget.
BENEFIT-COST ANALYSIS
Benefit-cost analysis, also referred to as cost-benefit analysis, is a method of comparison in which the
consequences of an investment are evaluated in monetary terms and divided into the separate categories of
benefits and costs. The amounts are then converted to annual equivalents or present worths for comparison.
The important steps of a benefit-cost analysis are:
(1) Identification of relevant benefits and costs.
(2) Measurement of these benefits and costs.
(3) Selection of best alternative.
(4) Treatment of uncertainty.
considerably greater than those faced by a property owner. However, the community may ignore some
external effects of fire incidents. For example, the 1954 automobile transmission plant fire in Livonia,
Michigan, affected the automobile industry in Detroit and various automobile dealers throughout the United
States. However, there was little incentive for the community to consider such potential losses in their
evaluation of fire strategies, since they would pertain to persons outside the community. It might be
concluded, therefore, that the more comprehensive the decision unit, the more likely the inclusion of all
relevant costs and benefits, in particular, social costs and benefits.
TREATMENT OF UNCERTAINTY
A final issue concerns the treatment of uncertainty. One method for explicitly introducing risk considerations
is to treat benefits and costs as random variables which may be described by probability distributions. For
example, an estimate of fire losses might consider the following events: no fire, minor fire, intermediate fire,
and major fire. Each event has a probability of occurrence and an associated damage loss. The total
expected loss (ELf) is given by,
n
EL f p 0 L 0 p i L i [6.11]
i1
where p0 is the probability of no fire, pi is the probability of having a fire and is independent of the fire size,
L0 is the associated damage loss in the case of no fire, and Li is the associated damage loss in the case of
fire and also independent of the fire size. Expected losses may be computed for different fire protection
strategies. A comparison of expected losses from alternative strategies may then be used to determine the
optimal strategy.
FIRE AND EXPLOSION FUNDAMENTAL ANALYSIS
BIBLIOGRAPHY
American National Standards Institute Standard Z94.0-1982, Industrial engineering terminology, Chapter 5,
Engineering Economy, Industrial Engineering and Management Press, Atlanta, GA (1983).
C. S. Park, Contemporary engineering economics, 2nd ed., Addison-Wesley, Menlo Park, CA (1997).
D. G. Newnan and J. P. Lavelle, Engineering economic analysis, 7th ed., Engineering Press, Austin, TX
(1998).
E. L. Grant, W. G. Ireson, and R. S. Leavenworth, Principles of engineering economy, 8th ed., John Wiley and
Sons, New York (1990).
J. L. Riggs, D. D. Bedworth, and S. U. Randhawa, Engineering economics, 4th ed., McGraw-Hill, New York
(1996).
L. G. Anderson and R. E. Settle, Benefit-Cost analysis: A practical guide, Lexington Books, Lexington, MA
(1977).
L. P. Clark, A Life-Cycle cost analysis methodology for fire protection systems in new health care facilities,
NBSIR 82-2558, National Bureau of Standards, Washington, DC (1982).
R. T. Ruegg and S. K. Fuller, A Benefit-Cost model of residential fire sprinkler systems, NBS Technical Note
1203, National Bureau of Standards, Washington, DC (1984).
W. G. Sullivan, J. A. Bontadelli, and E. M. Wicks, Engineering economy, 11th ed., Prentice Hall, Upper Saddle
River, NJ (2000).
W. J. Fabrycky, G. J. Thuesen, and D. Verma, Economic decision analysis, 3rd ed., Prentice Hall International,
London (1998).
FIRE AND EXPLOSION RISK ANALYSIS
APPENDIX A
VOUME AND AREA FORMULAE
r
l h
r
r
L
h
r r r
L=r
r
Sector Area
A = r2) (/360)
L = 0.5 r