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Employing Asset Management to Control Costs and Sustain Highway Levels of Service: Volumes I and II

机译:运用资产管理控制成本并维持高速公路服务水平:第I卷和第II卷

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摘要

This project investigated the impact of varying two elements of pavement, bridge, and mobility asset management on the long term network-level performance of those assets. The first element was the condition at which restorative treatments are triggered. The second element was the budget available to implement these treatments.For each of the pavement, bridge and mobility assets, three different management strategies in the form of treatment trigger values were investigated: a standard treatment trigger strategy, an early treatment trigger strategy, and a late treatment trigger strategy. For the pavement and bridge assets, the standard treatment trigger strategy simulates INDOT’s current treatment trigger policy. The early treatment trigger strategy simulates performing treatment at a better condition level than the standard treatment trigger strategy, while the late treatment trigger strategy simulates deferring treatment to a worse condition level than the standard treatment trigger strategy.For bridge assets, each treatment trigger strategy had six different treatments that can be applied to different bridge components. It was discovered that the standard (current) treatment trigger strategy outperforms other strategies.For pavement assets, the treatment trigger strategies pertained to pavement rehabilitation treatments. It was found that the long-term pavement roughness condition at the network-level is highly influenced by the policy being used to trigger pavement rehabilitation. The higher the trigger standard, the higher the percentage of miles in good condition and the lower the percentage of miles in poor condition.For mobility management, the treatment trigger strategies pertained to lane additions. It was discovered that neither restricting nor expanding the lane addition project candidate list (corresponding to the late and early treatment trigger strategies, respectively) provides more cost efficiency in the long-term for reducing the percent of road miles or VMT experiencing peak hour congestion.The report consists of two volumes; the first volume reports the analysis results for the bridge asset class and the second volume reports the analysis results for the pavement and mobility asset classes.
机译:该项目研究了路面,桥梁和移动资产管理这两个要素的变化对这些资产的长期网络级性能的影响。第一个要素是引发恢复治疗的条件。第二个要素是可用于实施这些处理的预算。对于人行道,桥梁和流动性资产中的每一项,研究了三种以处理触发值形式的不同管理策略:标准处理触发策略,早期处理触发策略和晚期治疗触发策略。对于人行道和桥梁资产,标准的处理触发策略可以模拟INDOT当前的处理触发策略。早期治疗触发策略模拟的治疗条件要比标准治疗触发策略的条件水平更好,而晚期治疗触发策略模拟的治疗条件要比标准治疗触发策略的条件条件差。对于桥梁资产,每个治疗触发策略都有可以应用于不同桥梁部件的六种不同处理方式。发现标准(当前)处理触发策略优于其他策略。对于路面资产,处理触发策略与路面修复处理有关。结果发现,网络层面的长期路面粗糙状况受到触发路面修复的政策的强烈影响。触发标准越高,处于良好状态的里程百分比越高,处于较差状态的里程百分比越低。对于移动性管理,处理触发策略与添加车道有关。从长远来看,无论是限制还是扩展车道增加项目候选列表(分别对应于晚期和早期治疗触发策略),都无法提供更高的成本效益,从而降低了道路行驶里程或高峰时段拥堵的VMT的百分比。该报告分为两卷。第一卷报告桥梁资产类别的分析结果,第二卷报告路面和移动资产类别的分析结果。

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