| Quality
Assurance/Quality Control Philosophy |
The following document
summarizes the WVDOH quality assurance and quality control philosophy.
Note: This is a lengthy report.
You may wish to save the report to your hardrive and read it at a later
time.
This paper was originally presented
to the 1996 Road Builders Clinic Coeur dAlene, Idaho March 11-13,
1996.
A Systems Approach to
Insuring Quality
Gary L. Robson, West Virginia Division of Highways
We have heard many
times about the need to do more with less. Because of budget restraints,
personnel cuts, or whatever, there is just not enough money or people
available to do everything we need to do in our industry. While the
reasons may be different, the problem is the same as it was some 30
years ago; The need to do more with less.
In the early 1960s we
recognized that the traditional approach to construction inspection and
to prescription specifications would not be manageable with the
projected construction schedules involving the building of our
Interstate System. We decided to consider the methods that had been
successfully developed by the Defense Industry and the Federal
Government during the second World War.
Because of the massive
industrial expansion at the beginning of our involvement in World War
II, American industry and the various military Departments faced
essentially this same dilemma, that is, how do we inspect and test such
massive production using traditional acceptance techniques and still not
seriously impede necessary production.
Industry and government
combined their effort to develop the concept of shared responsibility.
Industry developed the ability,
sometimes with prodding, to control their production process to provide
a high probability of compliance with requirements and still produce on
a massive scale.
The buyers could then provide
on the spot checks of this process to insure themselves that the risk of
an inferior product was minimized.
We decided these concepts could be easily adapted to the production of
construction materials and to certain elements in the highway
construction process itself.
These concepts were defined and
identified in various ways , but ultimately evolved into a system
designed to assure the quality of a unit of material or work.
This system consisted of a
quality control function, which was the domain of the producer or
manufacturer or contractor, and a responsibility to make the decision to
accept or reject the work, which was the right and responsibility of the
buyer.
This system of assuring quality
would require that suitable materials be used in the work, that the
appropriate equipment be used to perform the work, that standard
procedures be used to control the equipment and materials, and that
methods be devised to adequately measure the quality of the work and
materials used.
It soon became apparent to us
in West Virginia that the foremost requirement would be that both
parties to this system be staffed by qualified technicians. Trained,
qualified technicians must carry out the process control or quality
control functions and equally qualified people must carry out the
acceptance function.
These designed experiments
produced thousands of test samples and sufficient data to not only
measure the variability of each of the materials and processes involved
but also allowed us to measure the components of variance so that we
could concentrate our training efforts toward reducing the major
contributors to the overall variance.
Once these parameters were
defined for all of the materials we selected to study, we could begin to
write the specifications in terminology that recognized variability and
still provided the assurance of quality that we wanted.
An application of some of the
knowledge gained could be very simply worded as follows. We determined
that compressive strength test results from good concrete produced
for bridge abutments (a design strength of 3000 pounds per square inch
is specified for this type of work) averaged 4200 psi and produced a
standard deviation of 650 psi.
This information together with
a knowledge of statistics led to the conclusion that a specification for
strength, therefore, should recognize that more than 97% of all concrete
used in bridge abutments would have strength values greater than 3000
psi, but almost 3% of the concrete could have strength values less than
3000 psi. In this case the bridge abutment would still be judged as
good. The bottom line was that we should not expect 100% of all
concrete produced to have strength values greater than 3000 psi, unless
we wanted to demand production of concrete that had an average strength
value in excess of 5000 psi.
This same knowledge could be
used to write process control requirements that were dependent upon the
variability of the process itself. If a contractors process control
produced concrete strength values with a standard deviation of 1000 psi,
then the average strength value needed to be 5000 psi. If the process
produced strength values with a standard deviation of 200 psi, then the
average strength value needed only to be 3400 psi.
The specification developed for
portland cement concrete is a good example of the statistically based
specifications developed as a result of this research.
Based on our new knowledge of
process variability and the criticality of structural members, we
defined a poor lot of concrete as one that the strength averaged only 4
standard deviations above the defined stress. The designer defines the
design stress of a concrete. A good lot is one that has a strength
requirement that minimizes both the sellers and buyers risks.
These definitions of good and
poor Lots of concrete were used to assess the risks to both the state,
the buyer, and the contractor who is the seller.
Compressive strength
requirements for portland cement concrete pavement were arrived at using
these same statistical concepts.
Statistical comparison techniques were developed to allow us to compare
acceptance test data with quality control test data to insure that both
systems were accurately measuring the product characteristics. We still
use this comparison technique today to compare our acceptance samples to
contractor QC tests.
The specification for portland
cement concrete for structures, which is based on the knowledge gained
in these studies plus an equitable use of probability concepts, includes
the following:
- The contractor must have
trained, certified technicians,
- The contractor must prepare
a Quality Control Plan,
- The contractor must conduct
tests and inspections to document that his process is in control.
- The contractor must develop,
test and submit his own mix design,
- The contractors process
control variability dictates the degree of over design required in
the mix design,
- The contractor must provide
QC test results to DOH,
- The contractors quality
control compressive strength test results, developed as a part of
his quality control process, can be used by DOH as a part of the
acceptance decision documentation,
- The contractors production
process variability dictates the level of inspection of the DOH,
- The contractors production
process variability dictates the cement factor of the approved mix
design,
- The DOH acceptance
techniques which allow for a reduction of traditional DOH test
frequencies by up to 90%,
- The DOH acceptance
techniques require a statistical comparison of contractor and DOH
test results to insure compatibility,
- The DOH acceptance
techniques require that the compressive strength test results used
to substantiate acceptance be analyzed statistically. The
specifications establish that 93% of all of the concrete involved in
the analysis be expected to have a compressive strength greater than
the design strength specified and that 99.87% be greater than the
design stress plus one sigma, and
- The acceptance specification
provides for reduced payment for non-specification lots of material.
The specification for Portland
Cement Concrete (PCC) pavement includes these same Quality Control or
Process Control requirements, however, acceptance is based upon cores
used for measurement of strength and thickness and on ride quality. The
strength and thickness measurements are analyzed statistically and
probability concepts are applied.
I would like to digress for a
few minutes to tell you about the systems that go along with such a QA
based specification. As I mentioned earlier, our Quality Assurance
system requires both the state and the contractor to make measurements
of the process and the products produced from that process. This means
that a lot of data are produced. This data are used to feed the systems
that make our (quality Assurance system work. For example, we designed
our systems to require that the actual standard deviation of the
production process be used in assessing the acceptability of the
contractors mix design. Our QA system also includes a plant rating
system.
The data that drives this
system comes from concrete batch tickets, project site test results, a
contractor/producer laboratory, the States district laboratory and our
Materials Testing Laboratory. Database parameters for the PCC database
include identifying the class of concrete, the cement factor, the target
air content and the measure air content, the target slump and the
measured slump, and identifiers to make the connection between the batch
information and compressive strength test documents.
The data entry procedures have
evolved from the use of forty-column IBM port a punch cards, to mark
sensing forms, to the entry of data through an on-line system at the
district level.
Once the data are submitted it
is processed and collated to provide data integrity.
If the coefficient of variation
of data developed on concrete slump, air content, strength and
aggregate/cement solids content are within the highest prescribed limits
and the physical plant has met inspection requirements we classify the
plant A1. If the process control is not quite as tight but still
acceptable, we classify the plant A2. If the process is not in control
or the physical plant is not acceptable we classify the plant B. We do
not allow competitive production from a B plant, we require full time
DOH inspection in an A2 plant and we only require inspection in an A1
plant 10 times a month.
The evaluation of this data is
conducted monthly using the main frame and software written internally.
A summation of data for the last two years is separated into three time
frames. Statistical parameters of average, standard deviation,
coefficient of variation and range are produced for the last two years,
the last year and the last three months. A subsystem that is used to
evaluate the sources ability to maintain a satisfactory level of
compressive strength is a part of this system. Each class of concrete
produced is evaluated using the cement factor and compressive strength
as variables. If the average strength deviates from a specified strength
level for the class of concrete and cement factor, an adjustment in the
cement content is required.
When a mix design is submitted,
either at the start of a project or when some component of an existing
mix is changed, the strength level and other parameters of the proposed
mix are compared to the statistics generated from production. The
variation of the production process dictates the amount of overdesign.
We require that the laboratory strengths be 2 standard deviations higher
than the design strength requirement.
There are numerous support
programs that aid in the collation and analysis of the data from the
various sources while others complement the plant evaluations. A few of
the support programs are for the following: analysis of wheel load
carrying capacity of rigid pavements, thickness evaluation, certified
cement mill analysis, all test data input by item and project and
operation of an independent assurance sampling program.
All of these programs extract
data from the database of field and laboratory testing.
Now back to examples of other
specifications we have developed. Our first statistically based asphalt
concrete specifications were developed from data obtained during our
initial studies of variability of gradation and asphalt content and of
in place density tests using a nuclear density gauge.
The same concepts of shared
responsibility were included. The contractor must have trained
personnel, must submit a quality control plan (and live with his own
process control commitment), must develop his own mix proportions and
conduct quality control tests. Since our studies indicated that an
acceptable process exhibited considerable variation in test data we
designed our sampling programs for both process control and acceptance
to recognize this variation. We determined that any decision of control
or acceptance of asphalt content or gradation should be based on the
average of four tests. Since it was an extreme burden to develop this
amount of data daily we decided to base these decisions on the moving
average of multiple, consecutive sublots.
Our current specifications for
Asphalt Concrete are an end result specification. Process control is
also very important in this updated specification because the producer
is required to reproduce his mix design every day in production and we
accept on in place density, thickness and ride quality.
There is always an interest in
what we perceive to be the advantages and disadvantages of the system we
have been using for the past 25 years. Obviously, since we have
continued to subscribe to these concepts, we believe that the advantages
far exceed the disadvantage, if there is one.
There are advantages to the
contractor. Selection of materials proportions for mixtures allows some
savings. Process control allows the contractor to minimize variation and
therefore reduce probability of rejection or reduced payment. The cement
concrete specifications allow for the reduction of the target cement
factor for any given mix if the strength level and variability of
strength is controlled; this can be a direct savings to a quality
conscious producer. All of these specifications allow, even require, the
contractor to control his work schedule. There is no waiting for the DOH
inspector to show up or to finish his tests.
The advantages to the DOH include the fact that we can do more with
less. Rather than concentrate significant jobsite manpower to sampling
and testing activities, we can concentrate on inspection. Rather than
assign two or more inspectors to a cement concrete plant or an asphalt
concrete plant or to an aggregate production facility, we can
concentrate our inspection so that those that have trouble controlling
their process can receive the most of our attention. Those that control
their process and meet our high standards require less of our efforts.
There are fewer disagreements over the quality of test data.
Since the contractor/producer
conducts tests at a frequency the same as DOH acceptance frequency
requirements, we can use his data to assist in our acceptance decisions.
We have reduced our testing on jobsites to almost 10 percent of the
testing required prior to implementing these quality assurance
specifications.
It is estimated that we have
accepted more than 20,000,000 tons of asphalt concrete using these
concepts of shared responsibility. 4,000,000 plus cubic yards of
portland cement concrete have been accepted using the process control
system as a part of the evidence of compliance and some 150,000,000
cubic yards of embankment material have been accepted without 100
percent DOH testing and inspection.
We know that the quality of the
materials used in construction of a bridge pier, as an example, is
higher. The last time we had to assess a penalty for nonspecification
strengths was so long ago that our people have to look for the records;
memory fails them.
I trust that most of you will
remember the 1990 European Asphalt Study Tour in which some of our
federal, state and contractor personnel participated. That tour
immediately produced a rather concise report on what the participants
saw on their European trip. When AASHTO released this report coincident
with the Michigan demonstration project on Stone Mastic Asphalt there
was an accompanying news release. This news release reported that the
trip participants believed that Europes major pavements are better
than those in the US; a fact that some of us do not subscribe to.
One of the reasons cited for
this perceived superiority is that The contractor has much more
control over the work .
The report discusses what we
have learned to call shared responsibility. We believe we have better
construction because we have allowed, even required, the contractor to
decide how to produce his product with minimal DOH intervention as long
as the product can be demonstrated to meet our standards.
If these experts believe, as we
do, that allowing the contractor more control over his work will result
in better roadways, what are we waiting for?
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