Beruflich Dokumente
Kultur Dokumente
Vo l u m e N o . 3 3
December 2009
First International Seminar on the Reduction of Risk in the Management of Tailings and Mine Waste
29 September 1 October 2010, Perth, Western Australia Mine Waste 2010 will tackle the full range of issues that constitute risks in the management of mining wastes, particularly tailings and waste risk. This forum will encourage debate amongst practitioners, researchers and regulators about the key shortcomings in industrys current understanding of the performance of mining waste storage facilities and associated risks faced by owners and operators of these facilities. Abstracts due 1 March 2010
by William Hustrulid, University of Utah; and the Colorado School of Mines, USA, and Rudolph Kvapil, USA
and rational way, there are good possibilities of developing a mining method which can be applied, technically as well as economically, on any orebody of suitable size, location and rock mechanical properties. In spite of some searching, the modern origins of todays version could not be clearly identified. Possibly it was developed in the iron mines of Sweden. Janelid (1972) indicates, For a long time, sublevel caving was the predominant mining method at Grngesberg. During the last ten years (since about 1960), however, block caving has given 70% of the production. In 1960, the sublevel caving technique was being used by 19 Swedish mines with a Continued page 2
www.minewaste2010.com
The views expressed in this newsletter are those of the authors and may not necessarily reflect those of the Australian Centre for Geomechanics.
Continued from page 1 total yearly production of about 9.5 Mton (Ohlsson, 1961). Figure 1 is a sketch of the method as practiced at LKABs Kiruna Mine at about that point in time.
Figure 1 Composite section view of the sublevel caving mine at Kiruna in 1957
The scale was small, certainly by todays standards, with a sublevel spacing of 9 m, a drift size of 5 x 3.5 m, and a sublevel drift spacing of 10 m centre-to-centre. As Janelid (1961, 1972) pointed out, Sublevel caving is in many respects simple. It can be used in orebodies with very different properties and it is easy to mechanize. However, from other points of view such as recovery, dilution and similar, the method is unfavorable.The designs which are used and the measures which can be taken to eliminate the disadvantages are poorly understood. In the end of the 1950s, model tests regarding gravity flow in material resembling broken rock were started at the Division of Mining, the Royal Institute of Technology (KTH) in Stockholm.The purpose was to study how the geometrical design of various parameters in sublevel caving are influenced by the motion which is induced in the material when ore is loaded in a sublevel drift. Some of these model tests were performed as a part of senior theses and others by assistants and research engineers. Model tests and extensive literature studies on sublevel caving have also been carried out in Kiruna together with conducting practical tests underground.The results achieved have been so encouraging that continued research work is well justified since
LKAB being a leader in this regard. Figure the economic benefits which can be achieved 3 provides a comparison of the sublevel through the development of the correct caving mining geometries appropriate method are extraordinarily large. for the years 1963, 1983 and 2003 at In Czechoslovakia in 1950, Rudolf the Kiruna Mine. Some of the important Kvapil was given the task of determining parameters are tabulated in Table 1. the causes of problems in bins and silos and, based on this new understanding, to develop ways of improving their performance. It was evident to him that it would first be necessary to determine the basic gravity flow principles for granular and coarse materials since they must be completely different from principles describing the flow of liquids which were then available for use. He decided that Figure 3 The sublevel caving geometry at the Kiruna the only realistic way to proceed was Mine at three different points in time (Marklund and to construct and test a large number of Hustrulid, 1995) models and to make in situ observations. Many of these models and the knowledge At the Kiruna Mine today the sublevel gained are described in his recent book spacing is 28.5 m. Inat the Kiruna Mine of three different points certain sectors at Figure 3 The sublevel caving geometry (Kvapil, 2004). In 1965, Kvapil joined Janelid LKABs Malmberget Mine, the sublevel time (Marklund and Hustrulid, 1995) at KTH and began applying the gravity flow spacing is as high as 30 m. At today the sublevel principles gained in the study of binsthe Kiruna Minethe sublevel spacingspacing is 28.5 m. In certain sectors of LKABs and Malmberget Mine, is as high as 30 m. silos to sublevel caving. Table 1 Summary of some important Table Figure 2 shows the application of this1 Summary of some important design parameters (Marklund and Hustrulid design parameters (Marklund and 1995) type of model to a sublevel cave design. In Hustrulid, 1995) this particular case, the sublevel spacing is Year Parameter 1963 1983 2003 12.5 m, the drift dimension is 5 x 3.5 m, Drift width (m) 5 5 7 the sublevel drift spacing is 12 m and the Drift height (m) 3.5 4 5 burden is 2 m. These closely resemble the Sublevel height (m) 9 12 27 Sublevel drift spacing sublevel dimensions used by the Kiruna (m) 10 11 25 Mine in the early 1980s. It is interesting Blasthole diameter to note that the design is based on a (mm) 45 57-76 115 Burden (m) 1.6 1.8 3 drawbody width (WT) to drawpoint width Holes/ring 9 9 10 (WD) ratio of 1.7. Tons/ring (t) 660 1080 9300
Tons/metre of drift (t/m) 400 600 3100
principles which served as the design basis for the small-scale sublevel caving mine designs of the past can be applied at much larger scales or whether some other approach is required. This article will Figure 2 Application of gravity flow principles to provide some thinking in that regard. sublevel caving design (Kvapil,1982, 1992) Mine marker studies Over the past few years, the scale of sublevel caving has increased markedly with
Today, with the continuing push to Today, with the continuing push to increase mining scale, a fundamental question is wheth the gravity flow principles which served as thea fundamental small-scale sublevel increase mining scale, design basis for the caving mine designs of the past can be applied at much larger scales or whether some othe question is will provide some thinking in that approach is required. This article whether the gravity flow regard.
Copyright 2009. Australian Centre for Geomechanics (ACG), The University of Western Australia (UWA). All rights reserved. No part of this newsletter may be reproduced, stored or transmitted in any form without the prior written permission of the Australian Centre for Geomechanics, The University of Western Australia. The information contained in this newsletter is for general educational and informative purposes only. Except to the extent required by law, UWA and the ACG make no representations or warranties express or implied as to the accuracy, reliability or completeness of the information contained therein. To the extent permitted by law, UWA and the ACG exclude all liability for loss or damage of any kind at all (including indirect or consequential loss or damage) arising from the information in this newsletter or use of such information.You acknowledge that the information provided in this newsletter is to assist you with undertaking your own enquiries and analyses and that you should seek independent professional advice before acting in reliance on the information contained therein.
Caving
Mine marker studies
It is one thing to study flow principles in a laboratory setting and quite another to show that they apply in the reality of a mine setting. One way of doing this is through marker studies. Figure 4 shows some results from the first marker studies conducted as part of the overall KTH sublevel caving research programme conducted at the Grngesberg iron mine in central Sweden in the early 1970s. area. It was decided to install markers in the fans so one could estimate the ellipsoid of extraction. Figure 5 shows the fan geometry and Table 3 summarises some of the important parameters. the sides of the fan indicating that the ore flow was small. On the other hand, a large number of markers were recovered from the central part of the fan indicating that the predominant ore flow pattern was in the center. This type of flow behavior will result in early dilution. Figure 7 shows the results in Figure 6 in the form of a contour plot.
e thing to study flow principles in a laboratory setting and quite another to show that ply in the reality of a mine setting. One way of doing this is through marker studies. 4 shows some results from the first marker studies conducted as part of the overall ublevel caving research programme conducted at the Grngesberg iron mine in central n in the early 1970s.
Figure 5 Table 3 .
Figure 5 Fan geometry for the Kiruna sublevel cave Fan geometry for the Kiruna sublevel cave
Table 3 Summary of some important Summary of some important factors concerning the Kiruna marker tests factors concerning the Kiruna marker tests
Recently, comprehensive marker studies have been carried out at the Perseverance and Ridgeway sublevel caving mines in Figure 4 Results of the Grngesberg marker tests Australia. At the Perseverance Mine, the (Janelid, 1972) overall flow pattern as demonstrated using 4 Results of the Grngesberg marker tests (Janelid, 1972) the markers is shown in Figure 8. Some of Some of the relevant parameters are of the relevant summarised in Table 2. in Table 2. parameters are summarised the important parameters are presented in Table 4. Figure 6 shows the results of the 2 Design parameters at Grngesberg Figure 6 shows the results of the recovered markers expressed as a percentage of the total recovered markers expressed as a Table 2 Design parameters at Grngesberg number of markers installed at each particular location. of markers percentage of the total number
Parameter Sublevel drift spacing (m) Sublevel spacing (m) Hole diameter (mm) Burden (m) Sublevel drift width (m) Sublevel drift height (m) Front inclination (degrees) Value 7 13 41 1.5 3.0 slashed to 3.5 3 90
Parameter Sublevel drift spacing (m) Sublevel spacing (m) Hole diameter (mm) Burden (m) Sublevel drift width (m) Sublevel drift height (m) Front inclination (degrees)
Value 25 27 114 3 7 5 80
Figure 7 Contour plots showing the percent recoveries at the different marker positions
Figure 4, it appears that Figure 4, it appears that the 5 m. Since the drift width is From the flow width is of the order of flow the flow width to drift width ratio is 1.43. Due to the roof curvature, the effective width is of the order of 5 m. Since the ion width is somewhat less and the ratio would be corresponding slightly larger.
drift width ratio is of mine marker tests to be quite a long time for the next group 1.43. Due to the roof performed. As noted by iro et al (2001) curvature, the effective extraction width is somewhat less and the ratio would be
Figure 8 Section showing the rings with the draw pattern superimposed. Perseverance Mine
ublevel caving layout used at Kiruna has reached dimensions that are far beyond those rmed the basiscorresponding slightly larger.design guidelines. Thus, there was a for the development of the early It took quite a long time for sublevel caving area. It was decided verify the gravity flow pattern for this very large the all markers in the fans so one could estimate the ellipsoid of extraction. next group of mine marker tests to be
Figure 6 Percentage of the recovered 5 shows the fan geometry and Table 3 summarises some of the important parameters.
performed. As noted by Quinteiro et al. markers at a particular position It is one thing to study flow (2001), The sublevel caving layout used at Kiruna has reached dimensions that arethat only a Figure small number the recovered markersrecovered from the sides of the laboratory principles in a It can be seen far very 6 Percentage of of markers were at a beyond those that formed the basis for the the oreparticular position On the other hand, a large number of markers were another to setting and quite fan indicating that flow was small. development of the early design guidelines. central part of the fan indicating that the predominant ore flowthat they apply in the recovered from the show pattern was Thus, there was a need to verify the gravity It can be seen that only a very small reality of a mine setting. flow pattern for this very large sublevel caving number of markers were recovered from
omprehensive marker studies have been carried out at the Perseverance and Sublevel drift height At 4.8 ublevel caving mines in Australia. (m) the Perseverance Mine, the overall flow emonstrated usingFront inclination the markers is shown in Figure 8. Some of the important (degrees) 75 are presented in Table 4.
Figure 10 Silo type of flow pattern. Kvapil (1955), Janelid and Kapil (1965)
esult from the Ridgeway Mine marker studies is shown in average Table 5 flow width/drift width ratios (W /W ) for the four cases are The Figure 9. primary f d s some of the important parameters. summarised in Table 6.
Section showing the rings with the draw pattern superimposed (Perseverance
Table A comparison of the the marker flow patterns Table 6 6 A comparison of marker flow patterns Table 4 Summary of some important factors concerning the Perseverance ummary of some important factors concerning the Perseverance marker testsDrift width Level Flow width marker tests
Parameter Sublevel drift spacing (m) Sublevel spacing (m) Hole diameter (mm) Burden (m) Sublevel drift width (m) Sublevel drift height (m) Front inclination (degrees) Value 14.5 25 102 3 5.1 4.8 75
interval (Wf) Wf/Wd (Wd) (m) (m) (m) Grngesberg 3.5 13 4.9 1.4 Kiruna 7 27 10.3* 1.5 Perseverance 5 25 7.1 1.4 remnants. Its mobility varies 25 - 30 with location and with time (it changes with the Ridgeway 5.9 10.0 1.7 geometry). * Arbitrarily taken as the 30% contour Mine
The W for ratioscale sublevel caving it is the sublevel driftsublevel thethe geometries of 50%. of 1.4 1.7 seems of swell space for located at ring. As to applyf/Wdsmall In sublevel caving,to apply for small scale the ore in caving bottom endas th An example Table 5 summarises some of theat the Ridgeway as very(Afterscale. large scale. swell space forTableore inavailable sublevel caving Table showing marker recovery well mine. well as provider of shown in the 7, the the ring. As shown in geometries as large very These results are in agreement with the early free swell is the primary esult marker studies 2009)from the Ridgeway Mine concerning the is shown in Figure 9.swell is highly mining scale dependent.used 1.7. geometryfree Table 5 by with recommended highly mining scale dependent. These results are in agreement Kvapil (see Figure 2) which important parameters s some of the important parameters. the early sublevel caving geometry Ridgeway marker tests. In retrospect, there are three reasons Table 7 Available free swell recommended by Kvapil (see Figure 2) why this is a very logical result: for the Table 7 Available free swell for the different LKAB designs ummary of Table 5 parameters design the Ridgeway Mine 1.used 1.7. design Summary of from parameters different LKAB designs which The middle holes of the ring are fired first and can make first use of the swell volume In retrospect, there the underlying sublevel drift. from the Ridgeway Mine offered by are three reasons Design "Free" Swell why this is a very logical result: drilled subvertical, fairly parallel, and relatively close to one Parameter Value 2. The central holes are 1. The middle holes of the ring is a fired 1963 24.0 Sublevel drift spacing (m) 14 another. The result are relatively high and uniform specific charge compared to the first and can make firstthe round. Thus, one would expect the best, 17.9 uniform Sublevel spacing (m) 30 1983 other holes in use of the most swell volume offered by the underlying Hole diameter (mm) 102 fragmentation. 2003 5.5 sublevel drift. material in the central part of the round can make the best use of the effect of Burden (m) 2.6 3. The ore 2. The central holes are drilled subvertical, Sublevel drift width (m) 6 gravity in directingincreased As the relatively it to the drawpoint. the scale the quest to reduce As fairly parallel, andscale hasclose to one over the years inhas increased over the the specific de Sublevel drift height (m) 4.7 As indicated earlier,free swell has correspondinglyresults have historically played LKAB d small-scale physical model test decreased. With the current a very years in the quest to reduce the specific another.available is a relatively high The result Front inclination important role in the charge compared to and uniform specific Since it is located at development, the the fan, free swellin the near vicin (degrees) 80 about 5%. dimensioning of sublevel caves. Inof available the ore these models, the the bottom the construction of has sand or other material round. Thus, one into the forms. As decreased. With the are uniform is simply poured correspondingly the chance to bulk. the other holesmuch greater access to this volume and such, the properties The ore at th the has a in are and the mobilities best,the same current would expect the on most uniform has little chance design the model. In a sublevel cave, Inthe markerthe results of the marker reviewing tests from the Grngesberg, Kiruna, Perseverance and the other independent of position within it is only about 5%. is very low g the results of the fan, All of the material in the fan is LKAB toand blasted. Because of the fan hand, this is not the flow drilled bulk and its mobility Since it is located at the bottom of the fragmentation. tests from the Grngesberg, Kiruna, mines, it is interesting to note that they all basically reveal a type of silo case.mobility alone, one would expect significant differences in the mech material geometry, the amount central part of fan, the ore in the near vicinity of the varies 3. The the silo. Perseverance and Ridgeway mines, it is wn in Figure 10, even if the drilling pattern extends far outside ofore material in theof explosive/unit volume and hence the fragmentation drift between the sand use of theand realitymuch greater fan the sublevel scale the fan throughout can makeThe best material in the centre particularly asand the lower part ofis incre the fan. the ore models has a part of the access to this volume the round interesting to note that they all basically has a much higher directing it to the than thatandthe boundaries of the ring.at the at the chance to bulk. The ore Furthermore, the effect ofmarker test results have very high significance. gravity in specific charge reveal a type of silo flow such as shown cave which lies in front of the blasted slice is an eclectic mixture of other hand, and ore extremities of the fan, on the waste rock drawpoint. in Figure 9 even if the drilling pattern
extends far outside of the silo.
Finally, most 1.7 seems The Wf /Wd ratio of 1.4 rock materials
uponthe fan which is the primary provider (swell) of of being blasted would like to bulk
Figure 9 Silo type of flow pattern. Kvapil (1955), Janelid and Kapil (1965)
The average primary flow width/drift width ratios (Wf /Wd) for the four cases are summarised in Table 6.
has little chance to bulk and its mobility is As indicated earlier, small-scale layout rules based upon marker test input Sublevel cave physical very low. Based on material mobility alone, model test results have historically played one would expect significant differences a very important role in the dimensioning in the mechanics of flow between the of sublevelBased upon the results of the four marker tests, it appears that the Wf can be e caves. In the construction of constant times the width is Wd As a first approximation, these models, the sand or other materialof the sand. models and reality, particularly as the sublevel scale is increased. Hence, simply poured into the forms. As such, the properties are uniform and the mobilities Wf = (1.4 1.7) Wthe marker test results have very high d significance. are the same independent of position within the model. In a sublevel cave, this is Some preliminary design rules Sublevel cave layout rules based below: for initial planning are summarised not the case. All of the material in the fan upon ) and height input Sublevel of the size (width (Wdmarker test (Hd): determined based on e drift fan is drilled and blasted. Because Sublevel interval geometry, the amount of explosive/unit (HS): the theoretical maximum value is based on the Based upon the results of the four volume and hence the fragmentationholes. This, in turn, is based on the hole can be marker tests, it appears that the Wf diameter (D). T long, straight varies throughout the fan. based on recovery and dilution considerations whichwidthdue to manag The ore material in the expressed as a constant times the are of centre part of the fan and the lower part the Wd. As a first approximation, pulsation. of the fan has a much higher specific charge Hole diameter (D): based on the available drilling equipment and the a than that at the boundaries of the ring. Wf = (1.4 1.7) Wd (1) long holes. Furthermore, the cave which lies in front Spacing of the sublevel drifts (Sd): of the blasted slice is an eclectic mixture of Some preliminary design rules for initial waste rock and ore remnants.Sd = (2.4 2.7) planning are summarised below: Its mobility Wd varies with locationRing spacing (burden (B)): baseddrift size (width (Wd) radius (R ) concep Sublevel upon the damage and and with time (it d changes with the extraction geometry). height Hustrulid and Johnson (2008): (Hd): determined based on Finally, most rock materials upon being equipment. blasted would like to bulk (swell) of the Sublevel interval (HS): the theoretical B = 2 Rd order of 50%. In sublevel caving, it is the maximum value is based on the ability Where bottom end sublevel drift located at the
Rd / rh = 20
4
Australian Centre for Geomechanics December 2009 Newsletter
Pe Exp Pe ANFO
2.65
rock
available free swell has correspondingly decreased. With the current LKAB design it is only about 5%. Since it is located at the bottom of the fan, the ore in the near vicinity of the drift has a much greater access to this volume and the chance to bulk. The ore at the extremities of the fan, on the other hand, has little chance to bulk and its mobility is very low. Based on material mobility alone, one would expect significant differences in the mechanics of flow between the sand models and reality particularly as the sublevel scale is increased. Hence, the marker test results have very high significance.
Implications for future sublevel to drill long, straight holes. This, in turn, is based on of the four marker(D). The appears that the W can be expressed as a the hole diameter tests, it caving designs Based upon the results f actual width based W . As a first approximation, constant times the limit is of the ondrecovery and dilution considerations which are due to The results of the marker studies would managing ore/waste pulsation. suggest that modifications in (1) of the some Wf = (1.4 1.7) Wd Hole diameter (D): based on the current, very large scale sublevel caving available drilling equipment and the designs should be Some preliminary design rules for initial planning are summarised below:considered. Assuming ability to charge long holes. and height (H ): determined based on equipment. the that the drift width is not changed, Sublevel drift size (width (Wd) d Spacing of the(H ): the drifts (Sd): maximum resultsis based that the sublevel drift sublevel theoretical Sublevel interval S value suggest on the ability to drill spacing should be reduced. Presumingis long, straight holes. This, in turn, is based on the hole diameter (D). The actual limit Sd = (2.4 2.7) Wd (2) that are due to change in ore/waste based on recovery and dilution considerations which there is no managing the sublevel height, this means that the overall mining pulsation. Ring spacing (burden (B)): based scale would Hole diameter (D): based on the available drilling equipmentdecrease ability to charge and the and the specific upon the damage radius (Rd) concept development would increase. One way of long holes. discussed by Hustrulid and Johnson maintaining the current scale is to increase Spacing of the sublevel drifts (Sd): (2008) the width of the sublevel drift. Figure 10 Sd = (2.4 2.7) Wd (2) shows one possibility. Ring spacing (burden (B)): based upon the damage radius (Rd) concept discussed by B = 2 Rd (3)
Hustrulid and Johnson (2008):
Where:
Caving
caving. However, it is very important that the undercut be completely formed. The marker studies would indicate that the flow stream is much narrower than previously thought. If rock mass flow does not occur over the full drilled width, the remaining portions could form remnants and transmit loads to the production level with catastrophic consequences. This means that current undercut designs based upon front caving will have to be re-evaluated.
Where
B = 2 Rd
(3)
Rd / rh = 20
Pe Exp Pe ANFO
2.65
rock
(4)
(4)
RR ==damage radius (m) d damage radius (m) d rhr == holeradius (m) hole radius (m) h PP Exp = explosion pressure for the explosive e = explosion pressure for the e Exp Pexplosive e ANFO = explosion pressure for ANFO = 1600 MPa rock = rock density (g/cm3) Pe ANFO = explosion pressure for ANFO = Figure 10 Silo design with super-scale extraction 1600 MPa drifts, patterned after Kvapil (1992) rock = rock density (g/cm3) 3 2.65 = density of typical rock (g/cm ) This has advantages with respect to the Hole toe spacing (ST): based upon the silo shape and the parallel hole drilling. burden However, one must be concerned with ST = 1.3 B geomechanics issues (drift and brow stability). Furthermore, the draw must be Spacing for parallel holes (SP): based well controlled over the entire face. upon the burden If one wants to preserve the specific development ratios in place today, one SP = B (5) would need to increase the sublevel height. However, this has problems with Front inclination: 7080 degrees hole deviation, maintenance of long holes, (forward) charging of very long holes, and dealing If it is assumed that: with ore/waste pulsation over a much D = 115 mm longer draw duration. This seems like a Drift dimensions: 7 m wide by 5 m high very difficult alternative to achieve on a Explosive: emulsion (Pe Exp = 3900 MPa) day-to-day basis. On this basis, it would Rock density = 4.6 g/cm3 seem that in the future mining companies Sublevel interval: 25 m based on drilling will be looking toward smaller scale designs ability and control of pulsation than today and not larger. The current very One finds that the remaining dimensions large-scale designs may actually be too are: large-scale. Sublevel drift spacing: 1719 m Burden: 2.7 m Front caving implications Toe spacing (fanned): 3.5 m Toe spacing (parallel): 3 m This article has only dealt with standard Front inclination: 80o selected sublevel caving. There are a number of variants, however. Front caving is a variety It is noted that the new sublevel drift of the sublevel caving technique which is spacing rule has very limited basis and must quite often used. It is, for example, a very be carefully complemented with further interesting technique for the creation of testing. the undercut required in block and panel
The results of the marker studies would suggest that modifications in some of the current, very large scale sublevel caving designs should be considered.
5
Figure 11 New possibilities for large-scale sublevel caving
th
2010
Future studies
In closing, the authors believe that it is time to seriously revisit the recommendation made by Janelid (1961) nearly 50 years ago with regard to smallscale sublevel caving,The results achieved have been so encouraging that continued research work is well justified since the economic benefits which can be achieved through the development of the correct method are extraordinarily large. In spite of their obvious value, field studies are few and far between in the mining business. In addition, if conducted, it is very difficult for others to access the results and perhaps gain and offer new insights. This must change if the mining business is to meet the technical, economic and safety challenges the future has to offer. There is a real danger that todays sublevel caving designs are far from optimum due to a poor understanding of the fundamental processes involved. In the past, the application of sublevel caving has primarily been to iron ore, particularly magnetite, which because of its very forgiving magnetic property, permits easy and inexpensive separation from the waste. The same is not true with other minerals, for example copper porphyry and gold ores. For these, it is very expensive to separate ore and waste. It would appear that prior to fully committing to any sublevel caving design, a pilot project should be run with a carefully planned and executed program of data collection. One very important piece of information to be extracted is the draw width. It is also very important to develop the required draw control techniques to be applied in the mine. Ore/waste pulsation, which is inherent in very high draw designs, makes practical draw control very difficult.Visual viewing of the cave front is not enough.
Acknowledgement
This edited article is from the paper entitled, Sublevel caving - past and present featured in the proceedings of the 5th International Conference and Exhibition on Mass Mining, Lulea, Sweden, 911 June 2008.
Pontificia Universidad Catlica de Chile, in collaboration with the Australian Centre for Geomechanics, the University of Toronto, and the University of Witwatersrand, is organising an International Seminar on Deep and High Stress Mining. As the mining industry faces new challenges to extract mineral resources at increasing depths, the Deep Mining International Seminar series provides a forum for the industry, academics and researchers to share information, experience and ideas on deep and high stress mining. For more details contact deepmining2010@ing.puc. cl or visit http://web.ing.puc. cl/~deepmining2010/
William Hustrulid University of Utah; and the Colorado School of Mines, USA
CAVING
2010
Collaborating Organisations
www.caving2010.com
Open pit
Introduction
Risk, risk assessment and risk analysis have a number of meanings across a range of disciplines. At the most fundamental, risk is simply a combination of uncertainty in an outcome and consequences for that outcome. Risk analysis or risk assessment is the process of identifying, quantifying, and communicating those uncertainties and outcomes. In geological engineering, risk has traditionally been tied to the calculation of a factor of safety of a slope, or potential failure geometry, and has historically been a qualitative assessment of a calculated value. Advances in the computational power of stability analysis software programs have set the stage for more quantitative assessments. Depending on the scale of the slope under evaluation, and given the variation inherent in earth materials in general, almost every input can be considered to vary over a range of potential values. As such, risk assessment in geological engineering often considers both aleatory uncertainty - the variability inherent to natural materials, and epistemic uncertainty - the variability related to the ability to model a phenomenon. It is uncommon, however, that risk assessment considers a temporal element, i.e. how the inputs, and therefore the associated risk, change with time. To an extent this is to be expected as many inputs do not significantly change over the course of a project life. However, elements such as pore pressure, the surface topography of an excavation, the weight distribution on a potential failure plane, the probability of a seismic event and the properties of low strength materials can all change to a magnitude that materially affects the outcome of a risk analysis. No attempt has been made in this assessment to look at equipment or personnel temporal exposure. To evaluate the effect of the aleatory, epistemic and temporal variation, research was conducted at the Rio Tinto Minerals Boron Operations open pit mine near Boron, California. The purpose of this
article is to discuss the background to that work, the nature of the risk analysis and assessment, and to present preliminary results. Background and site characterisation The Boron open pit mine is located near the town of Boron, California in the Mojave Desert Geologic Province. The mining operation extracts borates from a lenticular orebody that was deposited as an evaporite and is encased in layers of low permeability claystone. The clay and borate sequence is bounded on the bottom by a layer of basalt, which is in turn underlain by feldspar-rich sandstone (arkose) with interbeds of clayey sand (the Tropico Formation). Poorly to moderately consolidated and cemented arkose covers the borate and clay sequence. An intrusive body, composed primarily of quartz monzonite, bounds the deposit to the south. The sequence of Tropico-basaltevaporites-sediments has been tilted and dips moderately; 5 to 15 to the south. Faulting has offset the orebody into three primary components and a number of sub-blocks. The open pit operation was initiated in the late 1950s in the northwestern portion of the deposit where the borate layer was generally closest to the surface. Over the past 60 years, the pit has expanded to the south and east and has deepened as the higher elevation ores have been mined out. Slope failures that have occurred during open pit mining operations typically form due to a combination of pore pressure, high-angle faults (which act as a back plane) and low-strength beds of clayey sand or claystone. All of the open pit slopes are designed in recognition of these variables. The design of the north wall, however, is also governed by the orientation of the orebody. As offset on most faults is relatively minimal, the overall slope of the wall generally follows the overall orientation of the orebody. The overall slope angle of the wall, in conjunction with the strength of the
foundation material (basalt), generally results in factors of safety well in excess of industry required limits. Furthermore, the mineralised zone at the site is confined to a single geologic unit. Extraction of the borate layer represents complete extraction of the resource, so dumping over mined out areas does not present any risk of covering potentially economic mineralised zones. The north slope of the pit was therefore an attractive option for overburden disposal given that it was stable, composed of a higher strength unit, and close to active mining operations. A risk assessment was conducted prior to the large-scale placement of overburden on the slope. Structure of the risk assessment and input variables Mining in the most general sense, balances two basic elements benefits realised against the potential for loss. In this case, they have been incorporated into the risk assessment. Benefits are realised if the ground and overburden dump remain stable throughout the project life and costs are incurred if they do not. Evaluating risk in this case is therefore a matter of determining the potential for slope instability along with the values of the benefits and costs. Stability is a function of the geology, the potential for a seismic event, the pore pressure, the size of the dumped volume and the slope configuration. While some of these variables remain constant over the project life, most of them change to a large enough degree that they affect the probability of a slope failure. A thorough risk assessment therefore requires an evaluation of conditions through the full time line of the project. The risk assessment was structured to evaluate the potential for slope failure. The risk through time was quantified via a series of steps to establish a probability of failure, determine the magnitude of potential negative outcomes and model the expected values. Specific tasks included:
1) Estimating the probability of an outcome (a slope failure) through the use of limit equilibrium analysis and statistical sampling of analysis inputs. 2) Estimating the likely extent of negative results (failure clean-up) through the use of numerical and empirical methods to develop a model of post-failure topography. 3) Estimating the likely extent of positive results (savings associated with dumping near the area of extraction as opposed to ex-pit dumps) through an evaluation of equivalent tonne miles (ETM). 4) Using the probability of an outcome and the estimated costs and benefits to establish expected costs and benefits with time. 5) Adjusting the timing of benefits and costs (benefits are expected to be realised early while costs are expected to be realised later) with a discount rate. 6) Estimating a net expected sum of benefits at distinct points. Once these values were estimated, the risk was determined as the net sum of expected benefits and costs. A value greater than zero implied that the outcome had a positive expected economic value, while a net sum of less than or equal to one implies that the outcome had a negative expected economic value and a negative risk. The evaluation was repeated at appropriate time increments for a range of in-pit dump volumes to determine if, and how much, waste could be economically placed in the pit. Results To illustrate the interplay of the various inputs to the risk assessment, the start and end points of one of the analyses are presented in Figure 1, from the limit equilibrium analysis through empirical modelling, to the final economic assessment for a 30 million t in-pit waste dump.
Probability of failure 5.0% (with seismic load). Probability of failure 0.55% (without seismic load). Failure volume (in section) 28,350 m3 (with seismic load). Failure volume (in section) 28,700 m3 (without seismic load). Probability of seismic event 5.0%.
At this beginning stage, ore (blue and green units) is close to the toe of potential failure and subject to burial should failure occur. Failure volume is relatively high, but the probability of failure is relatively low. The probability of a seismic event occurring is relatively low.
Probability of failure 81.20% (with seismic load). Probability of failure 41.60% (without seismic load). Failure volume (in section) 39,500 m3 (with seismic load). Failure volume (in section) 39,250 m3 (without seismic load). Probability of seismic event 70.0%.
At this final stage, failure volume increased by approximately 40%, but the probability of failure increased, on average, to approximately 60%. The potential for a seismic event has increased as well, but the ore zone is farther away from the toe of slope and is less likely to be covered by a slope failure. Modelling post-failure runout A combination of numerical modelling and empirical evaluation was used to develop potential post-failure topography. Post-failure profiles were developed for all sections with a probability of failure greater than 0.01% regardless of the factor of safety. The configuration of the runout was based on an assessment of historical slope failures at the site. At Boron this was the angle of repose of the failed material relative to the dip angle of the underlying failure plane, and adjusted for the geometry of the runout area.
Risk in the most general sense, balances two basic elements benefits realised against the potential for loss.
The ratio of the clean-up area to the post-failure area is 18.5%. The runout was contained to some extent by the concave geometry of runout area resulting in a low overall angle of repose.
horizontally. By determining the total ETMs necessary to move a quantity o ex-pit location versus an in-pit location, a difference in the hauling effort co determined. That difference, along with a unit cost of an ETM, obtained by total haul costs for a unit time period by the total ETMs for that time period be used to determine a total value. That total value divided by the quantity o tonnes) was used as the estimate for the unit ton value of in-pit dumping. Th below illustrates the concept for the difference between hauling 100 million a northern dump versus an in-pit dump.
Open pit
At the other end, the clean-up costs [(ETMnorth ETMin-pit) * $/ETM]/100 a can include those charges along with million t = average unit value realisedassociated within-pit dump versus north d range of fees by hauling to consulting,
additional equipment, accelerating stripping To establish the cost of failure clean-up, records from the the to continue mining in other parts of 1997-1998 slope f reviewed. Despite extensive documentation, there is still considerable variat Figure 4 Topography for failure at ultimate pit for 30 million tonne dump site, overtime costs, contracting and leased constitutes clean-up costs. On one endon the previous two costs can be m equipment. Based of the spectrum, the laborof material and equipment charges associated with removing the portion of failure assessments, a range of values was obtained The ratio of the clean-up area to the post-failure area is 22.5%. The removal necessary to re-establish accessthe unitmining area or to uncover buried ore into a cost of cleaning up a for both below the toe of failure has allowed considerable runout. The overall angle of repose has the other end, the clean-up costs can include those charges along with a rang tonne of failure debris and the unit value of increased. associated with consulting, additional equipment, accelerating stripping to c dumping a tonne of overburden in the pit. Benefits and costs mining in other parts of the site, overtime costs, contracting and leased equi Economics of range of values Assessing benefits and costs began with establishing values for dumping a on the previous two assessments, a in-pit dumping was obtained for both th unit of waste in cleaning up a tonne of failure debris and the unit value of dumping a tonne o the pit and for cleaning up a unit of failure debris from the pit. The value of dumping tonnes The final step was to use weighted (by in the pit. in the pit is a function of reducing both horizontal and vertical haul distances. Reducing the probability of a seismic event) average the haul distance generally means that additional truck hours are available. These truck values for the expected volume of failure Economics of In-Pit Dumping hours are either used to haul additional waste, or, if enough truck hours are offset by the debris, the expected value of the volume short hauls, a truck(s) could be parked. The difference in either case is reflected by overall of material that would have to be cleaned The final step was of a lower haulage costs. The problem lies in translating these lower overall costs into what the to use weighted (by the probabilitycosts seismic event) av up, and the associated expected and for the expected specific unit cost difference is for dumping a portion of the waste in the pit versus hauling volume of failure debris, the expected value of the volume benefits with time.Values of benefits and that would have to be cleaned up, and the associated expected costs and ben all waste outside of the pit. costs were shifted with time by using a time. Values of benefits and costs were shifted with time by using a discoun discount/interest rate of 7%. To accomplish this, it was necessary to evaluate haul costs with a unit that accounted of 7%. for both the difference in horizontal and vertical travel distances associated with hauling Table 1 Summary of benefits and costs to a site outside of the pit, versus hauling to a site inside the pit. The value used was the Table 1 Summary of benefits and costs shifted with time shifted with time ETM, which assumes a difference in hauling effort for moving a unit of waste vertically versus horizontally. By determining the total ETMs necessary to move a quantity of waste DIFFERENCE DUMP SIZE to an ex-pit location versus an in-pit location, a difference in the hauling effort could be YEAR (TONNES) H/L L/H determined. That difference, along with a unit cost of an ETM, obtained by dividing the total 2010 30,000,000 positive positive haul costs for a unit time period by the total ETMs for that time period, could then be used 2015 30,000,000 positive positive to determine a total value. That total value divided by the quantity of waste (in tonnes) was 2020 30,000,000 positive positive used as the estimate for the unit ton value of in-pit dumping. The formula below illustrates 2032 30,000,000 positive positive the concept for the difference between hauling 100 million t of waste to a northern dump 2036 30,000,000 negative negative versus an in-pit dump. The negative values in the final row The negative values in the final row indicate that for the difference between indicate that costs difference case), and [(ETMnorth ETMin-pit) * $/ETM]/100 million t = expected benefits and low expectedfor the(H/L) (bestbetween the low exp the high expected benefits and low average unit value realised by hauling to in-pit dump versus north dump expected costs L/H (worst case), the dump size of 30 million t is no and high design in this case. expected costs (H/L) (best case), and the low expected benefits and high expected To establish the cost of failure clean-up, records from the 1997-1998 slope failure were costs L/H (worst case), the dump size of 30 reviewed. Despite extensive documentation, there is still considerable variation in what million t is not a feasible design in this case. constitutes clean-up costs. On one end of the spectrum, the costs can be merely the labor This method of risk assessment has and equipment charges associated with removing the portion of failure debris necessary to helped Rio Tinto to understand the re-establish access into a mining area or to uncover buried ore reserves. interplay of a number of variables that influence the risk associated with placing overburden on the north slope of the open pit. While the 30 million t dump option proved to not be an economically feasible option, other volumes evaluated in the course of research do have positive values throughout the mine life. The methodology described here has allowed Rio Tinto Minerals to identify those cases and proactively manage risk in the present and throughout the life of the project.
Katy Andrews, The AusIMM Phone: +61 3 9658 6125 Fax: +61 3 9662 3662 kandrews@ausimm.com.au
PUBLISHING
innovative mining geomechanics research with best practice he said. The book outlines for todays practitioners what works best in different situations and why, what doesnt work and why not, and what is the best approach to satisfy best practice in a range of situations. Guidelines For Open Pit Slope Design is available from CSIRO publishing for AU$195. www.publish.csiro.au/
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Mine closure
Mine closure planning in South America
by Hugo Rojas,Teck Resources, Chile; and Roger Higgins, Teck Resources, Canada
The Chilean town of Andacollo and Teck's Carmen de Andacollo mine are close neighbours.This leads to a very close relationship between the community, for both operations and closure planning
Introduction
Mining is an important activity in the economy of many South American countries. It is predominantly a formal sector, regulated and facilitated by laws and regulations; it is also a leading contributor of export earnings that is integrated into the global economy. The contribution of the mining sector can represent up to 10% of the gross domestic product and over 50% of the value of all exports of a country with a strong and predominant mining sector. Mining has a multiplier effect - generating synergies with other economic and social sectors in the community and region where it was developed. However, society does not always have a good perception of the mining industry. In part, this may be due to the environmental liabilities left behind by legacy mining sites that date back to times when there was neither awareness of the impact that mining can have, nor a modern legal and supervising framework. Until recently, regulations requiring companies to prepare abandonment and closure plans were largely absent. The world has changed and the requirements for mining projects are evolving. Compliance with international agreements, such as those of biological diversity, community engagement, climate change, and the struggle against
desertification and new environmental standards have demanded a new way of mining. This includes social and environmental impact studies and closure plans that are developed from the time when a mining project commences. This article presents for comparison the most important elements of mine closure standards in Chile, Argentina and Peru.
started operations before the Base Law of the Environment Nr. 19300 (1997) and Regulations of the Environmental Impact Assessment System were enacted. With respect to financial guarantees, mining companies have to provide these in annual instalments, over a period of five years, or during the period of remaining mine life (if this is shorter). Argentina The law on environmental protection for mining activity and its supplementary regulations does not contain specific regulations for mining companies to submit abandonment and closure plans for the approval of authorities. This matter is open to different interpretations. According to the Second Section of the Complementary Title, the following must be considered: a) Environmental impact: modification of the environment, whether beneficial or detrimental, direct or indirect, temporary or permanent, reversible or irreversible, may be potentially caused by mining activity. b) Environmental impact report: a document that describes a mining project, the environment where it is developed, the environmental impact it will cause and the environmental protection measures proposed for
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adoption. The EIR must address measures and actions for prevention and mitigation of environmental impact, and rehabilitation, restoration or recomposition of the altered environment. c) Environmental impact declaration: an administrative act based on the mining environmental standards in force, approving an EIR, passed by the application authority, and in which are set the specific conditions that the holder company must comply with during all stages of the mining project. An aspect that is not regulated in Argentina is community involvement in the approval process of an EIR. Peru Peru applies regulations for mine closure to every mining activity, with the purpose of preventing, minimising and controlling its potential risks and effects to human health, safety, the environment, the surrounding ecosystem and property. The regulations were passed in 2005, and the articles clearly specify when and what details must be presented to the Director General of Mining Environmental Affairs of the Ministry of Energy and Mines. The mine closure plan complements the study of environmental impact and the programme of environmental management corresponding to a sites operations. The filing of the mine closure plan is an obligation for every owner of mining activity that is in operation, beginning mining operations or resuming mining operations after having been suspended or stopped by the validity of the law, or where there is no an approved mine closure plan. The approval of a mine closure plan leads to the constitution of guarantees through which assurance is given that the owner of a mining activity can comply with the obligations stated in the mine closure plan. In the event of a breach, the Ministry of Energy and Mines can execute the closure tasks. An important aspect of the regulations is the provision that allows citizen involvement. Every stakeholder can present their observations and make contributions. Once the closure plan is approved, it is to be executed in a progressive manner during the life of the mining operation. At operation end, the remainder of the areas, works and facilities that, due to operational reasons had not been closed during the production stage must be closed. The regulations also establish mechanisms
Observations
The legal norms of closure plans in South America differ in their scope, depth and citizen involvement. This leads to different requirements for mining operations of similar characteristics. The review and update of closure plans is a matter of interest for governments, as well as for organised communities and mining companies. Even where there is a deficiency in the law regarding mine site closure, there are companies that progressively design and apply high quality closure plans. The design of closure plans in engineering stages prior to the construction of projects and their application from the beginning of the operations, represent an advantage for companies and should be seen as an opportunity to prevent, minimise and control risks and negative effects that might occur after the end of the operations. The globalisation of markets, the requirement to comply with international norms and standards, the exchange and development of technical knowledge, together with open communication channels worldwide, will result in the further evolution of mine closure regulations, both legal and self-imposed. This will improve mining processes and practices, environmental stewardship and the efficient use of resources. The voices and actions of communities that feel affected by mining will continue to grow, and constructive relationships with communities will be vital. A good closure plan will contribute to obtaining and maintaining the social licence to operate.
These proceedings are a hard-bound, black and white publication featuring 53 papers, comprising 622 pages.
www.acg.uwa.edu.au/shop
www.mineclosure2010.com
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The student chosen to undertake the project was Natalie Kari, a 3rd year mining engineering student at Laurentian University. While Marty provided supervising guidance from afar, a site based introduction to the use of MS-RAP was provided by Johan Wesseloo, ACG. Natalie was technically an employee of Allstate Explorations NL during her time at Beaconsfield, and as such she technically reported to myself. Natalie provided the Beaconsfield Gold Mine with a substantial analysis of its seismic data,
Underground
particularly that collected over the Resources (Operations) NL by Peter Hills,Tasmania Mine Joint Venture, BCD 18 month period to June 2009 when stoping had
recommenced in earnest following the 2006 accident. The database remained live for much of her stay, allowing Natalie to observe and understand all the aspects of data capture through the ISSI system, its software MS-RAP offered the opportunityas an immediate tool Management Plan. The ACG transfer to MS-RAP, and its analysis to enhance the through Omori Analysis after stope blasts, and as a longer term management tool in updating management of seismicity in the day-to-day operation of the mine. EVP maps. She expended a significant effort in analysing data to assist in the refinement of Following an accident at the formed the 2006, all aspects of the A synopsis of that report re-entry protocols, and the lattermine in earlybasis of her final report. mining operation were redesigned under The key to of a Case to Manage Underground Safety (or Case for follows this article. the umbrella understanding the basis of a detailed data analysis such as Safety). The Case for Safety was developed in four the environment Mining, and the data Natalie performed can only be gained by observingtranches by Coffey from which covered is obtain. of capital and operating access development (Pfitzner, 2006), sill driving (Sidea, Scott mining Consequently, she went underground to inspect the geotechnical environment regularly, and2007), stoping inwas generally aseismic east her to as many(King, Thomas and Reeves, every effort the made to introduce zone of the mine facets of mining geomechanics at Beaconsfieldin the seismically active westthe report she ultimately produced and Scott, 2007), and stoping as possible. As a result, zone where the most significant has real practical application in the ongoing management of seismicity at the mine.
changes were required (Scott and Reeves, 2007). A key requirement of the Case for Safety was the establishment of protocols to manage seismicity, and MS-RAP was a key tool in that The experience of hosting a project focused summer vacation student was a positive one for endeavour. the Beaconsfield Gold Mine. Our continued use of MS-RAP as a tool in the management of Hills and Penney (2008) describe the management of seismicity at the Beaconsfield seismicity has been enhanced as a result. The fact that the summer vacation student came in Gold Mine when vacation wasparticular utility within staff was is the ability to implement the winter in some detail. Of not the focus of mine MS-RAP a significant factor in ensuring Omori Analysis (Figure 1) be obtained by all parties concerned. In areas excluded after that maximum benefit couldto monitor and manage re-entry times intoparticular, the benefit to the students ofSeismic analysis is coupled experience cannot be over-emphasised. Hills stope blasts. early career international with intensive monitoring (Figure 2) (Penny, and Walton, 2008), including stress change using H1 cells, and the impact of that change Article references are available onsupport using SMART instruments. Stope blasting is a on the rock mass and the installed request key trigger for stress change (Figure 3), and as a consequence it is the primary trigger for seismic activity.
Figure 1 Omori Analysis following stope Figure 1. Omori analysis following a stopeablast blast
Figure 2 Intensive monitoring at Beaconsfield showing the SMART cables (grey) and stress monitoring (HI cells) (yellow)
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the aspects of data capture through the ISSI system, its transfer to MS-RAP, and its analysis as an immediate tool through Omori Analysis after stope blasts, and as a longer term management tool in updating EVP maps. She expended a significant effort in analysing data to assist in the refinement of re-entry protocols, and the latter formed the basis of her final report. A synopsis of that report follows this article. The key to understanding the basis of a detailed data analysis such as Natalie performed can only be gained by observing the environment from which the data is obtained. Consequently, Natalie went underground to inspect the geotechnical environment regularly, and every effort was made to introduce her to as many facets of mining geomechanics at Beaconsfield Figure2. A plot of raw micro-strain change data illustratingillustratingof stope blasting (and non blasting (and as possible. As a result, the report she 3 A plot of raw micro-strain change data the impact the impact of stope Figure blast-related seismicity) on the local the field ultimately produced has real practical non blast-related seismicity) on stresslocal stress field Figure 2. A plot of raw micro-strain change data illustrating the impact of stope blasting (and application in the ongoing management of non blast-related seismicity) on the local stress field seismicity at the mine. The experience of hosting a project focused summer vacation student was a positive one for the Beaconsfield Gold Mine. Our continued use of MS-RAP as a tool in the management of seismicity has been enhanced as a result. The fact that the summer vacation student came in the winter when vacation was not the focus of mine staff was a significant factor in ensuring that maximum benefit could be obtained by all parties concerned. In particular, the benefit to the students of early career international experience cannot be over-emphasised.
Article references are available on request. Figure 4 A plot of energy index/cumulative apparent volume
Figure A plot of energy index/cumulative apparent volume Figure 3.3. A plot ofenergy index/cumulativeapparent volume
This is especially in the west zone of the mine where mining is conducted remotely (Hills, Mills, Penney and Arthur, 2008), and exclusion zones of at least 50 m are enforced. Other features within the MS-RAP package are also regularly interrogated to assist in the management of seismicity, including the various graphical analyses such as energy index/cumulative apparent volume (Figure 3) and apparent stress history, and mapping features such as excavation vulnerability potential. Real management decisions were being made and influenced by the use of MS-RAP, but the potential of the package was not fully realised because a significant database of seismic data had not been collectively reanalysed recently. A project was ready made, provided somebody could be dedicated to the task for a period of a few
months. The student chosen to undertake the project was Natalie Kari, a 3rd year mining engineering student at Laurentian University. While Marty provided supervising guidance from afar, a site based introduction to the use of MS-RAP was provided by Johan Wesseloo, ACG. Natalie was technically an employee of Allstate Explorations NL during her time at Beaconsfield, and as such she technically reported to myself. Natalie provided the Beaconsfield Gold Mine with a substantial analysis of its seismic data, particularly that collected over the 18 month period to June 2009 when stoping had recommenced in earnest following the 2006 accident. The database remained live for much of her stay, allowing Natalie to observe and understand all
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Underground
Understanding mining-induced seismicity at Beaconsfield Gold Mine
by Natalie Kari, Laurentian University, Canada
A project was undertaken at the Beaconsfield Gold Mine to investigate the current mining-induced seismicity at the operation. The objectives of the project were to identify all of the main seismic sources currently active in the mine and to rate the seismic sources with regards to: Seismic source mechanism (the rock mass failure mode causing the seismic events). Seismic hazard (the largest expected seismic event that would be expected). How mining activities (particularly stope blasting) affects the rate of seismicity from each of the seismic sources. The ability for seismic monitoring to be used as a re-entry tool for each of the seismic sources. The seismic analyses in this project were all conducted using the ACGs MS-RAP program (Mine Seismicity Risk Analysis Program). The complex geology and geological structures of the Beaconsfield Gold Mine, including faults, contact zones, shears, bedding and splays, contribute to the challenges of mining within the Tasmanian reef. More than 8500 seismic events were recorded at the Beaconsfield Gold Mine between March 2008 and February 2009, including nine events larger than local magnitude +1.0. A cluster analysis identified 56 groups of seismic events during this period, of which 23 were particularly active and investigated in detail. Each group was analysed to determine the seismic source mechanism, seismic hazard and the rock mass response to production blasting in the mine. This analysis helped to describe the character of each seismic source and highlight the seismic sources most likely to cause operational issues at the mine. When higher hazard seismic sources can be identified, a range of seismic risk mitigation techniques can be used to manage the hazard. Ten of the seismic sources were found to have a qualitative seismic hazard rating of moderate-high to high. The seismic hazard rating is a good indicator of the likelihood of larger magnitude events. having a disproportionately intense seismic The seismic source mechanism at each response to distant mine blasts. Identifying seismic source, for the one year time seismic sources that do not follow period March 2008 February 2009, expected trends is often an indicator of was compared to the seismic source locations which have a strong geological mechanism over the last four years (June control. These locations require particular 2005 June 2009). In almost all cases, the vigilance with respect to monitoring and analysis showed that the seismic source underground inspections. mechanism remained constant over time. Post blast re-entry times were estimated This is an important conclusion, as it for 73 production blasts, using 90% of the means that it is the local rock mass failure total seismic energy as a re-entry criterion. mechanism that is controlling the nature The overall distribution of re-entry times is of the seismicity, irrespective of the nearby shown in Figure 1. Using this 90% of total mining influences. When the current seismic energy re-entry criterion, 59 of the seismic response to mining is similar to the production blasts had a possible re-entry past seismic response to mining, it gives time of less than 12 hours, with 14 blasts greater confidence in using the current requiring a re-entry time of more than 12 seismicity to understand future seismicity. hours. Figure 2 shows that re-entry times Overall, the majority of seismic source are somewhat controlled by local seismic mechanisms at the Beaconsfield Gold Mine sources and vary spatially in the mine. It are related to the volumetric fracturing was concluded that for the Beaconsfield associated with mining-induced stresses as Gold Mine, a 24 hour re-entry period is a direct response to mine blasting. Post blast re-entry times were estimated for 73 production blasts, using 90% of the total seismic usually conservative, although at times it An investigation of how mining activities, energy as a re-entry criterion. The overall distribution of re-entry times is shown in Figure 1. particularly stope total seismic the rate Using this 90% ofblasting, affectsenergy re-entry may be required. It is suggested that othera criterion, 59 of the production blasts had tools, such as the re-entry time of more than of seismicity from each of the main hours, possible re-entry time of less than 12 seismicwith 14 blasts requiring aseismic hazard mapping 12 hours. Figure 2 shows thatproximity tool in MS-RAP, be by local seismic sources sources was conducted. The re-entry times are somewhat controlledused in conjunction and varyof the seismic sources It was concluded that for there-entry analysis when making hour with the Beaconsfield Gold Mine, a 24 a of each spatially in the mine. to the re-entry period is usually conservative, although at times it may be required. It is suggested that final decision be used in following with stope blasts was considered. As expected, other tools, such as the seismic hazard mapping tool in MS-RAP, on re-entryconjunctioneach the blast. In addition, it is blast. In addition, seismic analysis when making a final decision on re-entry following each important that it is re-entry sources in close proximity to important that this analysis procedure be continued toanalysis procedure be continued to this monitor future changes in seismological mine blasts have a higher rate of induced patterns and their potential effect on re-entry times. monitor future changes in seismological seismicity than stopes located at further patterns and their potential effect on redistances. However, two particular seismic entry times. sources did not follow this trend; often
Figure 1 Distribution of re-entry times for 73 production blasts at Beaconsfield in 2008 and 2008 Figure 1. Distribution of re-entry times for 73 production blasts at Beasonsfield Gold MineGold Mine in2009 and 2009.
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limitations to all of the analyses undertaken in this study. Sound judgment should be undertaken when utilising the information provided. Focus should be placed on minimising personnel exposure to areas of the mine where seismic hazard is greatest. It is important that all available data and tools continue to be utilised in order to minimise the seismic risk.
Acknowledgments
This project would not have been possible without the support, insights and direction of several people. I would like to express my gratitude to Marty Hudyma, Laurentian University, and Peter Hills, Beaconsfield Gold Mine for providing me with this opportunity and whose supervision and direction played an invaluable role in this project. I would like to thank Johan Wesseloo for conducting a site visit and help in using MAP3D. I am also grateful to Tim Parkin, Toby Collins and Jerome Paterson, Beaconsfield Gold Mine for providing me with guidance during the course of my project. Notable thanks to Roger Hill for helping me understand the geology of the mine.
Figure 2 Location of the blasts for which the re-entry analysis was conducted
An excavation vulnerability potential (EVP) map was built for the Beaconsfield Gold Mine. The EVP map identifies regions of the mine that need particular attention with regard to seismic risk management procedures such as re-entry times, enhanced ground support, etc. Other key points have also come to light during the course of this project: 1. The Beaconsfield Gold Mine data is well behaved. It provides good source parameters and locations and follows standards and expected trends in seismic data. 2. The seismic data gives a clear indication of where the seismic problems are located within the mine and where there are no seismic problems. This is important for future planning, and shows that seismic monitoring is a key tool for forecasting future problems. 3. The back-analysis shows that seismic data identifies the areas with higher
seismic hazard, or which sources are more prone or likely to have large events. It is apparent that some seismic sources are more active than others; the seismic system shows this clearly. It is important to note that the most seismically active sources do not necessarily have the highest seismic hazard. 4. Daily analysis and management of seismic data is fundamental to understanding seismic risk. 5. At this time, the analysis did not show any acceleration of event rate or increased seismic hazard with depth indicating that there are no obvious problems with incrementally deepening the mine. 6. It is recommended that one person at the mine be dedicated to analysing the seismic data and familiar with MS-RAP, using it to its maximum potential. It is important to note that there are
Natalies project, undertaken between May and August 2009, was a joint effort between Beaconsfield Gold NL, Laurentian University and the ACG. Similar student summer undergraduate projects have been organised each year, for the last ten years, for sponsors in the ACGs Mine Seismicity and Rockburst Risk Management project.
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Tailings
The risk of tailings disposal
the runout distances and consequences of failure need careful consideration. These considerations also apply to in-pit storages. if there are underground workings below them. Low strength Strength influences runout distances and the assessed consequences of failure. In addition, it also relates directly to bearing capacity and the safe access over the tailings for activities including raising and capping. The strength of geotechnical materials is tricky to define. It varies with time and is dependent on the rate of loading. Almost all tailings start out as slurries, i.e. liquid. After deposition, some tailings progress towards the solid state faster than others. But this does not mean that any tailings dam can be treated like a waste dump. Geochemistry/acid potential Many types of tailings contain a proportion of sulphur, which may oxidise to form sulphuric acid. This in turn has the potential to mobilise trace heavy metals, and make even small amounts of seepage a very undesirable consequence. Little can be done to eliminate this basic hazard; the geochemistry of the orebody is not open to negotiation. However, in the future possibly more attention will be given to attempts to remove sulphides as part of the process, and reduce the residual hazard in the tailings. The potential for acid production impacts both on operations and on closure requirements for a storage. It needs to be evaluated during the design of all tailings dams, and may need to be monitored routinely over the mine life. Process chemistry The tailings solids may prove to be relatively benign, but it is necessary to consider the process and how this influences the chemistry of the decant water. This includes processes that use cyanide (gold tailings), high pH (bauxite red-mud), and low pH (laterite nickel), and elevated levels of salinity should also be included. Many of the decisions relating to process chemistry are fundamental to the feasibility and design of the whole mine and concentration / beneficiation process, and may be considered as constraints to the tailings dam designer. However, when these conditions occur, they are likely to be powerful drivers of the subsequent design. The author is looking forward to the day
Introduction
In September 2010, the ACG will host the First International Seminar on the Reduction of Risk in the Management of Tailings and Mine Waste in Perth. The purpose of this article is to reflect on some of the issues that contribute to that risk. It is written from the perspective of a consultant. A well known website (www.wiseuranium.org/mdas.html) catalogues tailings dam failures. In the (nearly) 30 years since 1980, it lists 52 incidents, spread across 20 different countries, and all continents. An incident is broadly defined and includes everything from contaminated seepage into groundwater, and (relatively minor) spills from broken pipes, all the way through to overtopping during storm events, catastrophic failure and collapse. The list is by no means complete. Additionally, inspection of the list shows an overrepresentation of events from North America, mostly related to small leaks and spills. Are the North Americans worse at managing their operations than the rest of the world? Or, is it more likely that they are simply subject to greater scrutiny and higher standards? These questions aside, what can we learn from this list about the risks of tailing storages? Incidents occur across all mineral types. Incidents occur across the full range of company size and status. Incidents occur in both developed and under-developed countries. The frequency of incidents does not appear to be decreasing. If you have a tailings dam on your site, it is a risk.
Management of risk
Tailings storage and disposal does not rank high on the scale of overall mine production costs. But it does weigh heavily in terms of the overall risk to an operation, both initially with permits and approvals, and in relation to ongoing operations. There is nothing like a well publicised tailings dam incident to damage a companys license to operate. So, increasingly we see that management of mine tailings is about understanding and management of risk. The risk based approach is not unique to tailings storages. It is also widely used for management of water dams and other activities. Two examples demonstrate the trend with respect to dam safety. The NSW Dams Safety Committee is currently in the process of a comprehensive re-casting of its requirements in order to integrate a risk based approach. And, the ANCOLD tailings dam guidelines (originally issued in 1999) are being updated with increased emphasis on risk. For this approach to be effective, a core requirement for management is to be fully committed to the process, through adequate support and resources.
Fundamental hazards
There are at least four fundamental hazards that need to be considered for all tailings storages. Potential energy [Gravity is a bitch] All above ground storages place tailings in an elevated location relative to some position around the storage. In the event of a breach, this potential energy may convert to kinetic energy. This means that
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that a laterite nickel process co-locates with a bauxite refinery, and the two waste streams are combined to neutralise each other.
and what can be done with the storage in the future. This is typically something like changing the method of raising, or the previous water management procedures, or the method and location of tailings discharge. It is not always a fully informed or considered decision. It may be taken under the stress of requirements to reduce costs in the short term, or delay the requirement for a raise, without regard to longer term consequences. So if anyone ever has a decision like this to make, please put your guns back in their holsters, discuss it with your consultant, and think through the long term consequences, and the implications for safety. Water management [Soil particles and water are natural enemies.With tailings you have both together] Many operational problems associated with tailings dams, and many of the recorded incidents can be traced directly to water issues. Excessive water can affect dam safety in a number of independent ways: Overtopping (followed by erosion and breach). Increased seepage leading to piping or internal erosion. High seepage (phreatic) surfaces in embankments, resulting in reduced stability. Water balance and storm water management in a tailings storage is usually addressed as part of the design. Either appropriate freeboard levels are set to ensure that there is an adequate void space left in the storage to retain decant and storm water at safe levels, or a high level emergency spillway is incorporated into the design. Some believe that if tailings dams contain deleterious substances (solids and/or process water) then provision of a spillway is incompatible, in that it admits that there may be discharge events, however infrequent these may be. Alternatively, it is a far better thing to accept that in an extreme event there may be a discharge of some water (most likely highly diluted by all the storm runoff), rather than put the security of the whole storage at risk of overtopping and failure. At least two major failures of tailings dams (Baia Mare, Romania in 2000, and Merriespruit, South Africa in 1994) could have been avoided by the inclusion of emergency spillways. Excess water in a dam may be the result of a single, isolated, extreme rainfall event. However, it is more likely to be a combination of events relating to
accumulated water over an extended wet period. Either extreme rainfall occurs on top of already high pond levels, or the mine simply has too much water on the site. If excess water is accumulating in a tailings dam, it may be that the original water balance, for the site as well as just the tailings dam, needs to be re-evaluated. In addition, if water balance is an issue, provisions for monitoring to include records of all water flows associated with the tailings storage (i.e. flow meters on the pumps, and records of storage volumes) should be included in the design and the OM, and should be assessed either as part of routine surveillance, or as a specially commissioned study. Capacity problems [Were running out of space in the tailings dam and have to do something fast] This situation that shouldnt happen, but frequently does. The problem is that existing safe design, construction and operating procedures may be compromised in the process. The cause is basically a lack of planning, and oversight of the development of the storage. Underlying reasons may include: An increase in the mine resource without any commensurate adjustment to storage capacity. Increase in throughput without recognising that this will fill the storage faster. Incorrect density of deposited tailings in the storage used in design (this should always be checked during production). Raise construction delayed (as a cost saving measure), for too long. Failure to appreciate the length of time required for the sequence of investigation, design, approvals, tendering, mobilisation and construction that may be associated with works to raise a storage, or start a new one. Whole of life planning Development (and periodic updating) of a whole of mine life plan for tailings storage is an excellent way of focusing on the forward requirements for tailings storage. Site selection and investigation There is no doubt that some tailings dams are built on sites that are less than ideal. This includes sites with poor foundation conditions, locations where seepage quality is a risk to groundwater, and sites where excessively high embankments are required to achieve the necessary storage volume. In many
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Tailings
cases these sites are dictated by existing topography and/or lease boundaries, and are often the result of choosing the least bad option. It is important to appreciate that even if the starter dam is relatively modest, the final storage may grow to be a major structure. A full and comprehensive geotechnical and hydrogeological investigation should be carried out as part of the initial feasibility studies to enable the viability of the final structure to be established. Construction issues Construction control, or the lack of it, can have a major impact on the adequacy of tailings dams. This applies particularly to raises, where both the construction and supervision may be largely undertaken by the mine. The design will have been prepared on the expectation of certain standards of foundation preparation, material selection and placement etc. It is important that these standards should be achieved, and close and continued involvement by the designer throughout construction is essential. Many regulatory authorities recognise this and include a requirement for an acceptable sign off of construction, and also of design changes during construction. Other operational issues Other items that impact on safety and risk are: Tailings deposition management: this is often integrally linked to pond locations and beach development, and has major implications for the ongoing safe operation of the storage. Monitoring and surveillance: monitoring is the collection of data that relates to the performance of a dam, e.g. seepage flows, water levels, filling rate and storage levels, settlement and movement etc. There needs to be provision for these data to be reviewed at appropriate intervals, and the significance of the readings evaluated. Surveillance is the ongoing process of evaluation and assessment of the safety of a dam based on data obtained from inspections and monitoring, and is seen as a very valuable contribution to risk identification and reduction. Many regulatory authorities now require regular surveillance reports to be prepared on tailings dams with significant or high failure consequences. Some mining companies have similar internal requirements. Dust: dust from a tailings storage is sometimes a major environmental headache. One of the perceived fixes for this is to pond water on the tailings. This should not be attempted without consideration of the consequences. Closure planning Eventually, all tailings storages have to be closed, and the costs of closure can be significant, especially when the time is now, not still 10 years down the track.
Keith Seddon, ATC Williams
Why is there a risk associated with this? Primarily because of a failure to plan. Many of the things that are needed for closure should have already been done well before. What are the revegetation requirements? What cover is required to get things to grow (schedule cover trials)? What is the final landform and capping design? Where is the material for this going to come from? Planning for closure should be incorporated in initial design, and should continue throughout operations. Corporate memory Site personnel often take valuable knowledge with them when they do go. In some cases the consultant has better records of a site history than the mine, but no mine should rely on them. All sites should maintain a library/archive that contains copies of all reports, records etc., relating to each of its tailings storages. If a site is ever sold, these documents should be required by the new owner as an integral part of due diligence.
Article references are available on request.
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The EIGG laboratories provide a full range of mine waste characterisation and environmental geochemical analysis
Together, the ACG and EIGG can provide operations with a comprehensive analytical support to tailings and mine waste management combining all aspects of mechanical, structural and geochemical security.
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Paste
Increasing value in mining operations through the application of paste
by Nick Slade and Stephen Wilson, Golder Paste Technology (Europe) Ltd; Florencio Felipe, Xstrata Copper, Mount Isa Copper Operations; Frank Palkovits, Golder Paste Technology Ltd Introduction
Mineral waste The creation of mineral waste by metaliferous mining is inevitable and in most situations leads to 90 to 99% of the amount of material extracted from the ground requiring disposal. Many years ago waste may have been disposed of without controls, creating what we would describe as environmental and health hazards. Mining companies face a range of factors which form a very different environment in which to manage the same waste today. These include more ethical operating practices towards the environment and local communities, increasing regulation with respect to the environment, scarcity and cost of water and a realisation that longer term liabilities are therefore higher than they once were for remediation of a mining project. More recently, waste has been disposed of in a fashion aimed at reusing whatever can be beneficial to the mine. Examples include reusing process water and using tailings to form backfill in underground mines. Scientific and engineering advances have lent themselves to helping manage the mining waste streams more efficiently and productively. Drivers for change Drivers for change are always ultimately financial. The recognition of costs as much as opportunities presented by not requiring as much fresh water in a mine, or the benefits added by using the tailings waste as backfill for the mining process, lead to changes in attitude, operations and the financial position of a business. Influences on the decisions mining companies make with regard to managing waste are driven by the business characteristics and culture of the company. These can include: how its business goals relate to the short or longer term value of the company, what approach it chooses to take to manage financial risk, and its cash flow status. It is not uncommon that mining companies focus managing costs rationally on the parts of the business which lead to the beneficiation of the ore into a saleable product beyond the mill. This often means more effort and money is spent on analysis and investment in the process of getting the ore out of the ground and through the mill, with less emphasis and consideration of the waste management options. Often capital cost constraints can limit the resources available to develop or improve an operation. Consequently, it is not uncommon that management of a milled waste is often undertaken by conventional slurries tailings disposal and where it is used as backfill is often through conventional cemented hydraulic fill. This is the simpler and more conventional option but does not necessarily afford the best value for the business. Financial analysis Given that discounted cash flow and Net Present Value (NPV) are the most commonly used indicators of a projects financial strength, a thorough financial examination of waste management solutions for a project should be undertaken. This is important as the lowest capital cost option may not be the most value adding option to the project or operation. The merits of analysing a project over its lifecycle can be said to be a more strategic assessment than that purely focused on operating cost or technical simplicity. A financially favourable alternative to conventional slurry disposal and hydraulic backfill is to engineer the material to a paste for both applications.
Slurry Figure 1 shows what the slump looks like for the differing natures of material and as this is the most simple and common test for evaluation it is worthy of note.
Slurry no slump
Figure 1 Examples of the slump cone test for differing tailings slumps
For a typical metaliferous tailings the main differences in solids and water content are indicated in Table 1.
Table 1 Indicative solids and water parameters for slurry and paste materials
For a typical metaliferous tailings the main differences in solids and water content are indicated in Table 1.
Table 1 Indicative solids and water parameters for slurry and paste materials
Material Type Slurry Paste Paste application benefits Surface disposal benefits mining companies and regulators today are looking at more holistic waste management approaches. Solids Content (%wt) 40 70 Free Water (ltr/100 tonnes) 50,000 5,000
Recent technology development has supported the application for tailings disposal as a paste. Some respo 21 Australian Centre for Geomechanics December 2009 Newsletter
to almost all methods utilising backfill: Reduction in the volume of material placed as waste on surface in a deposition facility. Permits the generation of a larger size ore reserve in the underground mine. An increase in productivity as a result of reduced production cycle time. These elements can lead to significant operational cost savings and revenue enhancements. Paste application as backfill yields opportunities to reduce risk and add value by: Increased mining productivity. Reduced cycle time and cement consumption. Full range of plant tailings can be utilised. Simplified stope preparation. Improved underground mining conditions (less water, slimes, pumping). Reduced surface disposal volume.
Conclusions
As indirect and direct costs to mining operations become greater and the focus on delivery of sustainable projects is linked to business success, the case for paste applications is clear in a variety of situations. Consideration of a range of key internal and external factors clearly suggests whether the application of paste is warranted for analysis and study on a new project or existing operation. Strategic perspectives of the project and business must also be examined to ensure value is maximised.
Principal Sponsor
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Mine closure
Corporate (ir) responsibility: what is it really worth when times are tough?
This question was posed as part of a break-out session during the ACG and Centre for Land Rehabilitations (CLR) Fourth International Mine Closure Conference held in Perth in September 2009. This session provided delegates with a forum to explore corporate responsibility in relation to mine closure, using a hypothetical mining project as a case study. The hypothetical project comprised a remote greenfields gold mine owned by a mid-sized mining company. It was proposed that the mine would have a fly in fly out workforce of about 300 employees and an operational life of 50 years. A technical panel provided perspectives from different groups of stakeholders. The panel comprised Darren Murphy (SKM), Graham Cobby (WA Department of Minerals and Petroleum), Mark Batty (Western Australian Local Government Association), Kado Muir (Aboriginal Heritage Consultants and Traditional Owner), and Cathy Gupanis (Paladin Energy). The session was facilitated by Sonia Finucane with assistance from Don Burnside (URS Australia) and Talitha Santini (CLR). The first part of the break-out session examined corporate responsibility during the permitting phase of the hypothetical project. Initial discussion examined the type of closure commitments that would be reasonable for the proponent to make at this early stage of the project life. Key topics included what should take priority in making closure commitments and how the company should balance the need of regulators and other stakeholders for certainty in closure outcomes with the need for continual improvement for a project with a long mine life. It was concluded that there was a need for proponents to agree with their stakeholders on mine closure targets for both environmental and social factors, but that gaining alignment on priorities could be difficult. There was also discussion about the role of government and other stakeholders in on closure objectives and procedures during the environmental permitting stage, it could be even more difficult to obtain alignment when unexpected or unplanned closure occurs. Consequently, companies needed to manage this process carefully. A consistent theme throughout the break-out session was how to address the socio-economic aspects of mine closure. It was felt that the social conversation is still an externality, with little or no consideration of the socio-economic aspects in closure planning and cost estimates. This was even more evident when unexpected closure occurred, as many of the social and community benefits of a mining project often took a number of years to be realised and these opportunities were reduced or lost altogether when a mine ceased operations prematurely. Where community assets (such as health or recreational facilities) were in development, when unexpected closure occurred there was concern about who would be responsible for completing and maintaining these assets. Often, this responsibility falls to local government authorities acting on behalf of the community. Therefore, it was suggested that life-cycle costing be undertaken when a mining company first proposed development of community assets so that local government and the community understood the cost of completing and maintaining these assets in the event of unexpected or unplanned mine closure.
A meeting was held in October 2009 in Tasmania on Ground vibrations blasting and seismicity, and its effect on ground support. The meeting was well attended by more than 65 members and Dr Phil Dight, ACG Winthrop Professor Geotechnical Engineering presented a talk on microseismicity and the influence of rock fracturing on deep open pits. For details regarding the next meeting, please visit www.eagcg.org Ground Control Group (WA) The group met last month at the WA School of Mines, Kalgoorlie to discuss paste fill. A survey on the future of the group is being undertaken and can be obtained from the GCGWA secretary via emjones@barrick.com
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Perth, 2425 March 2010 Perth, 19 April 2010 Perth, 2022 April 2010 Perth, 811 June 2010 Perth, 2223 June 2010 Perth, 2930 July 2010 Perth, 2526 August 2010 Perth, 28 September 2010 Perth, 29 September 1 October 2010 Perth, 1719 November 2010 Perth, 89 December 2010 Perth, 48 April 2011
ACG Underground Drilling and Blasting A safety training DVD for underground metalliferous mine workers
All underground mine workers will be exposed to drilling and blasting processes. The aim of this new DVD is to provide workers with the critical knowledge on drilling and blasting to aid appreciation of the importance of these mining processes and their related hazards. The DVD will feature an introduction to the rock breaking process in mining and a description of explosives and how they work. The second part of the DVD will cover development drilling and blasting practices; while the third part will cover production drilling and blasting. The ACG acknowledges the project sponsors generous support.
The ACG invites your organisation to sponsor this new training DVD. Contact the ACG for more information. For many mining companies, ACG training products have become an integral and essential component of their training programmes. For the full list of the ACGs successful suite of geotechnical mine worker training DVDs, please visit www.acg.uwa.edu.au/training_products.
Festive Greetings
The ACG team wishes you and your family a very merry Christmas and a happy New Year. We thank you for your support and encouragement during 2009 and look forward to an exciting 2010. Our office will be closed from Wednesday 23rd December 2009, reopening on Wednesday 6th January 2010.
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Australian Centre for Geomechanics PO Box 3296 Broadway, Nedlands, Western Australia, AUSTRALIA 6009 Ph + 61 8 6488 3300 Fax +61 8 6488 1130 acginfo@acg.uwa.edu.au www.acg.uwa.edu.au
Australian Centre for Geomechanics December 2009 Newsletter
U.S. Army Corps of Engineers (USACE), 1995, Introduction to Probability and Reliability Methods for Use in Geotechnical Engineering, Department of the Army, Washington D.C., Technical Letter No. 1110-2-547 U.S. Army Corps of Engineers (USACE), 1999, Risk-Based Analysis in Geotechnical Engineering for Support of Planning Studies, Department of the Army, Washington, D.C., Technical Letter No.1110-2-556 Vanmarcke, E. H. 1980, Probabilistic Stability Analysis of Earth Slopes, Engineering Geology, vol. 16, pp. 29-50. Zavodni, Z. M., 2001, Time-Dependent Movement of Open Pit Slopes, Slope Stability in Surface Mining, Society for Mining, Metallurgy and Exploration, pp. 81-87.
Australian National Committee on Large Dams Guidelines on Tailings Dam Design Construction and Operation October 1999. Safety of Tailings Dams http://www.wise-uranium.org/mdas.html Standards Australia AS/NZS 4360:2004 Risk Management.