Professional Documents
Culture Documents
Engenharia Aeroespacial
Jri
Presidente:
Orientador:
Vogal:
Outubro 2011
Abstract
The increasing demand for more efficient aircraft has boosted the development of lightweight
structures. However, due to lack of ability to predict damage evolution in composites, the certification
requirements imposed by the airworthiness authorities are still conservative representing an obstacle to energy
efficiency. Hence, along with the research for new composite materials, there has been an active investigation
into more accurate, efficient and cost-effective Non-Destructive Testing (NDT) techniques. These technologies
allow in-service structural health monitoring, better quality control during production and easier evaluation of
structural integrity during maintenance. As a result, it is possible to increase reliability and maintainability, and
to reduce the utilisation costs. Ultimately, NDT techniques help to move towards more damage tolerant
composite structures.
This work concerns the assessment of the suitability of the Lamb wave method, in particular of the two
zero-order Lamb modes (A0 and S0), to detect multiple barely-visible impact damage in composite material. Four
plates were produced with carbon-epoxy cured pre-preg, using a representative stacking sequence. Three
specimens were subjected to multiple impact damage at three different low-energy levels, and one was left as an
undamaged reference sample. Ultrasonic Lamb wave modes were selectively generated by surface-bonded
piezoceramic wafer transducers in two tuned configurations. A signal identification algorithm in the time-scale
domain based on the Akaike Information Criterion (AIC) was used to determine the group velocity of the Lamb
modes.
The effectiveness of the Lamb wave method was successfully verified on all damage scenarios, since
the 5 and 10 J damages were undoubtedly detected by the S0 mode configuration. The results were validated by
digital Shearography, ultrasonic C-scan, and optical microscope observations, revealing strong consistency. For
the material tested, the detection threshold of the three NDT methods was found to be between 3 and 5 J.
Keywords: Composite materials, Non-Destructive Testing (NDT), Lamb wave, multiple barely-visible impact
damage, piezoceramic transducers.
vi
Resumo
A crescente busca por aeronaves mais eficientes tem promovido o desenvolvimento de estruturas ultraleves. Porm, devido imprevisibilidade da evoluo de dano em materiais compsitos, os requisitos de
certificao impostos pelas autoridades de segurana area so ainda conservadores, o que acaba por representar
um obstculo eficincia energtica. Assim, a par de estudos sobre novos materiais compsitos, tem havido uma
forte actividade de investigao em tcnicas de inspeco no destrutivas (NDT) mais precisas, eficientes e
rentveis. Estas tecnologias permitem a monitorizao da sade das estruturas em plena operao, melhor
controlo de qualidade na fase de produo e uma avaliao mais fcil da integridade estrutural. Como resultado,
a fiabilidade e a capacidade de manuteno aumentam, e os custos de utilizao diminuem. Em ltima anlise, as
tcnicas NDT permitem o desenvolvimento de estruturas em material compsito com maior tolerncia ao dano.
Este estudo aborda a capacidade do mtodo das ondas de Lamb, e em particular dos dois modos
fundamentais (A0 e S0), para detectar dano de mltiplos impactos de baixa energia, em material compsito.
Quatro placas foram produzidas em tecido de fibra de carbono pr-impregnada, usando um empilhamento
representativo de uma aplicao aeronutica. Trs desses provetes foram danificados atravs de impactos
mltiplos, com trs nveis de energia diferentes, e outro foi usado como amostra de referncia no danificada. As
ondas de Lamb ultra-snicas foram geradas atravs de transdutores peizoelctricos finos, dispostos em duas
configuraes optimizadas para a excitao selectiva de cada um dos referidos modos. A determinao da
velocidade de grupo dos modos de onda de Lamb foi efectuada por um algoritmo de identificao de sinais no
domnio de tempo, baseado no Critrio de Informao de Akaike (AIC).
A eficcia do mtodo das ondas de Lamb foi comprovada com sucesso para todos os casos, tendo sido
possvel detectar claramente os danos de 5 e 10 J com a configurao para o modo S0. Os resultados foram
validados atravs de shearografia digital, C-scan e observaes microscpicas, revelando uma forte coerncia
entre todas as tcnicas. Para o material testado, o limiar de deteco encontrado para os trs mtodos NDT foi
entre 3 e 5 J de energia de impacto.
Palavras-chave: Materiais compsitos, tcnicas NDT, ondas de Lamb, dano de mltiplos impactos de baixa
energia, transdutores piezoelctricos.
vii
viii
Acknowledgements
First of all, I would like to express my gratitude to Dr. Roger Groves, head of the OptoNDT Laboratory,
who accepted me as his guest researcher, even though he knew about the difficulties that would lie ahead. The
successful web conferencing arranged by him greatly helped me to keep on schedule. He believed in my project,
providing me all the necessary means to carry out the investigation, and was always available to discuss
problems and new ideas. He encouraged my decisions, but never hesitated to see things critically, so that the best
results would always be achieved.
I would also like to thank my supervisor in IST, Professor Virgnia Infante, for her proactive guidance
throughout the thesis, especially regarding the possibility of submitting a conference paper. She was always
patient and played an important role in the review of the work by inviting Professor Jos Miguel Silva to be coadvisor of the thesis, to whom I also thank.
I am very grateful to students Eduardo Corso Krutul, for performing the digital Shearography tests,
Mathieux Gauthier, for his precious help in manufacturing the composite specimens, Freddy Moriniere, for
helping me in the application of impact damage, and Nick Miesen and Mariana Melo Mota, for teaching me the
procedure for the Lamb wave method. For all the pleasant and cheerful coffee breaks I thank all the students
from the Fish tank room.
Special thanks go to all the technicians in the Aerospace Structures and Materials Laboratory, and to
Mr. Karel Heller, who allowed me to use the equipment in the Applied Geophysics and Petrophysics Laboratory.
This project would not have been possible without my Portuguese friends Guilherme Trigo, Hugo
Lopes, Nuno Santos, Pedro Simplcio and Tiago Milhano, who provided me shelter in the last months of my stay
in The Netherlands. We had the honour and pleasure of sharing amazing moments, and overcoming the daily
obstacles together. To all the other international students thank you for making the sun shine in Marcushof.
A special thank to my friends in Portugal and France, whose memory is always with me.
Finally, I am deeply grateful to my family, especially my parents and my sister, who have opened my
eyes to the importance of being an active part of this world. Even from afar, they showed their love and
affection, supporting me through this transitional journey.
th
September 28 , 2011
ix
Contents
Abstract .................................................................................................................................................. v
Resumo ................................................................................................................................................. vii
Acknowledgements ............................................................................................................................... ix
List of figures ...................................................................................................................................... xiii
List of tables ....................................................................................................................................... xvii
List of acronyms ................................................................................................................................. xix
List of symbols .................................................................................................................................... xxi
1 Introduction ........................................................................................................................................ 1
1.1 Motivation ..................................................................................................................................... 1
1.2 Overview ....................................................................................................................................... 2
2 Composite materials: theory and applications ................................................................................ 3
2.1 Composite structures in aircraft industry ...................................................................................... 3
2.2 Theoretical models for composite laminates ................................................................................. 5
2.2.1 Classical Laminated Plate Theory (CLPT)............................................................................. 6
2.3 Damage Mechanisms in Composite Materials ............................................................................ 13
2.3.1 Fatigue damage..................................................................................................................... 13
2.3.2 Low-Velocity Impact Damage ............................................................................................. 14
3 Non-Destructive Testing (NDT) techniques ................................................................................... 17
3.1 Lamb wave method ..................................................................................................................... 19
3.1.1 Physics of Lamb waves ........................................................................................................ 19
3.1.2 Generation and acquisition of Lamb waves ......................................................................... 24
3.1.3 Lamb wave response optimization ....................................................................................... 26
3.1.4 Digital signal processing ...................................................................................................... 29
3.1.5 Algorithm for damage detection ........................................................................................... 30
3.2 Digital Shearography ................................................................................................................... 32
3.2.1 Fundamentals of digital Shearography ................................................................................. 32
3.2.2 Image processing .................................................................................................................. 37
3.3 Ultrasonic C-scan ........................................................................................................................ 38
4 Experimental procedure .................................................................................................................. 41
4.1 Phase 1 Preliminary approach .................................................................................................. 41
xi
xii
List of figures
Figure 2.1 Boeing aircraft wing skin, manufactures with Cytec prepreg. [6]...........................
Figure 2.2 Composite fraction of the structural weight for Boeing 787. [14]...........................
Figure 2.3 Stacking of plies with different fibre orientations to form a laminate. [16].............................
Figure 2.4 Unidirectional lamina, with the x1-axis parallel to the fibres. [16]..............................
Figure 2.5 The relation between local and global coordinate systems for an unidirectional lamina. [16]....
Figure 2.6 Matrix crack and debonding of composite lamina under off-axis cyclic loading. [19]...............
14
Figure 2.7 Typical trapezoidal distribution of low-velocity impact damage in composites laminates. [20]
15
19
20
Figure 3.3 Lamb wave particle motion: (a) symmetric motion, (b) anti-symmetric motion. [56]................
20
Figure 3.4 Simulated displacements field for the (a) S0 Lamb mode, and (b) A0 Lamb mode. [56]............
21
Figure 3.5 Phase velocity dispersion curves for an isotropic material with cl = 7199.55 m/s, ct = 3367.60
m/s, and a thickness of 2.24 mm ..............................
22
Figure 3.6 Group velocity dispersion curves for an isotropic material with cl = 7199.55 m/s, ct = 3367.60
m/s, and a thickness of 2.24 mm.......................................................................................................................
23
23
25
Figure 3.9 Possible actuator/sensor configurations for the Lamb wave method: a) pitch-catch, b) pulseecho. [54]......................................
26
26
Figure 3.11 Improvement of the Lamb mode selection by using rectangular PZT wafer transducers......
27
Figure 3.12 Improvement of the Lamb wave mode selection by using circular PZT wafer transducers.
27
Figure 3.13 - Time and frequency domain contents for pure sinusoidal bursts with a) 1 cycle, and b) 5
cycles............................................................................................................................................................
28
Figure 3.14 - Time and frequency domain contents for sinusoidal tone-bursts, with by a) 1 cycle and
modified by an amplitude increase, and b) with 5 cycles modified by a Hanning function windowing
process..........................................................................................................................................................
29
Figure 3.15 Typical Lamb wave response from a composite plate excited with a PZT wafer transducer...
31
Figure 3.16 Generation of two sheared images using the modified Michelson interferometer. [64]............
32
Figure 3.17 Difference in the laser light path between two object points, in the undeformed and
deformed states. [64]............................
33
34
xiii
35
39
39
Figure 4.1 - Steps of the manufacturing process: a) automatic cutting of the prepreg material, b) curing
process in the autoclave, c) cured laminated plate, and d) four 110 x 110 x 3.36 mm3 specimens.
42
43
44
Figure 4.4 Experimental setup for test sessions 1, 2 and 3: a) position of the actuator and sensors on the
specimen, b) detail of the adhesion of the sensors, and c) overall view of the experimental installation....
45
Figure 4.5 Panametrics V103 PZT actuator and the two HF-1.2 PZT sensors.............
46
Figure 4.6 C-scan system: a) overall view of the setup b) detail of the ultrasonic probes and the
alignment of the water jets................
47
Figure 4.7 Tools for the application of impact damage: a) impact tower, b) original clamping device, and
c) new clamping device................................
48
49
Figure 4.9 Application of BVID on the plates: a) steel impactor with a hemispherical heat, b) installation
of the specimen between the bolted aluminium frames................................
50
51
Figure 4.11 Detailed view of the electric circuit for the a) A0 configuration, and for the b) S0
configuration (upper surface)...............
53
Figure 4.12 - Distances between actuator and sensor, and between two sensors.................
53
Figure 4.13 Three levels of detail: a) setup for Lamb wave measurements in Phase 2, b) the two actuator
configurations and the two PZT sensors, and c) installation of one of the PZT sensors..............................
54
Figure 4.14 Excitation signal for the damaged specimens: 1 cycle-sinusoidal tone-burst at 500 kHz (the
real amplitude was 10 times higher).............................
55
58
Figure 5.2 Response of healthy sample for the A0 configuration, at 500 kHz, extracted a) from channel 1,
and b) from channel 2...............................
59
Figure 5.3 - Response of healthy sample for the S0 configuration, at 500 kHz, extracted a) from channel 1,
and b) from channel 2...............................
59
60
Figure 5.5 - Signals from channel 1, for the A0 configuration at 500 kHz, for impact energies of a) 3 J, b)
5 J, and c) 10 J..............................
61
Figure 5.6 Signals from channel 2, for the A0 configuration at 500 kHz, for impact energies of a) 3 J, b)
5 J, and c) 10 J..............................
62
Figure 5.7 - Signals from channel 1, for the S0 configuration at 500 kHz, for impact energies of a) 3 J, b) 5
J, and c) 10 J.............................
62
Figure 5.8 - Signals from channel 2, for the S0 configuration at 500 kHz, for impact energies of a) 3 J, b) 5
J, and c) 10 J.............................
xiv
63
Figure 5.9 Lag and attenuation coefficients for a) A0 configuration, channel 2, b) S0 configuration,
channel 1, and c) S0 configuration, channel 2......................................
64
Figure 5.10 - Shearograms for the undamaged specimen, for 5 seconds of heating, with a) x-shear, and b)
y-shear...................................
68
Figure 5.11 - Shearograms for the 3 J specimens, with x shear, loaded for a) 5s b) 10s, and c) 15 s..............
69
Figure 5.12 - Shearograms for the 3 J specimens, with y shear, loaded for a) 5s b) 10s, and c) 15 s..............
70
Figure 5.13 - Shearograms for the 5 J specimens, with x shear, loaded for a) 5s b) 10s, and c) 15 s..............
71
Figure 5.14 - Shearograms for the 5 J specimens, with y shear, loaded for a) 5s b) 10s, and c) 15 s..............
72
Figure 5.15 - Shearograms for the 10 J specimens, with x shear, loaded for a) 5s b) 10s, and c)
15s.............................
73
Figure 5.16 - Shearograms for the 10 J specimens, with y shear, loaded for a) 5s b) 10s, and c)
15s.................................................................................................................
74
79
80
Figure 5.19 Microscopic observations of the surface of the damaged specimen: a) 3 J impact, b) 5 J
impact, and c) 10 J impact........................................................................
83
Figure 5.20 Details of the 45 cracks of the 10 J impact: a) crack tip, b) middle of the crack...............
84
103
xv
xvi
List of tables
41
42
43
Table 4.4 Properties of the Physik Instrument PZT wafer actuators. [67]....................................
52
Table 4.5 Properties of Physical Acoustics Pico HF-1.2 PZT sensors. [68].............................
52
Table 4.6 Values of the distances indicated in figure 4.11, for each specimen.................
53
Table 4.7 Size of the moving-average filter as a function of the resolution enhancement. [69]...
56
Table 5.1 Shearography results: damage areas of the ten impact points for the 5 J specimen, with 5 s
heating...........................
75
Table 5.2 - Shearography results: damage areas of the ten impact points for the 5 J specimen, with 10 s
heating.......................
75
Table 5.3 - Shearography results: damage areas of the ten impact points for the 5 J specimen, with 15 s
heating.......................
76
Table 5.4 - Shearography results: damage areas of the ten impact points for the 10 J specimen, with 5 s
heating...........................
76
Table 5.5 - Shearography results: damage areas of the ten impact points for the 10 J specimen, with 10 s
heating...............................
77
Table 5.6 Shearography results: damage areas of the ten impact points for the 10 J specimen, with 15 s
heating...............................
77
Table 5.7 C-scan results: Damage areas of the ten impact points for the 5 and 10 J specimens...................
81
Table 5.8 Damage areas of the circular impact spots observed by optical microscope................
82
xvii
xviii
List of acronyms
AIC
AE
Acoustic Emission
BVID
CFRP
CLPT
ESL
Equivalent Single-Layer
ESPI
FBG
GFRP
MDF
Medium-Density Fibreboard
NDT
Non-Destructive Testing
NDE
Non-Destructive Evaluation
NDI
Non-Destructive Inspection
NRUS
NWMS
PZT
RTM
SEHIT
SHM
SPSI
TOF
Time-of-Flight
xix
xx
List of symbols
Greek symbols
(0)
(1)
xz
Poissons ratio
Material density
Roman symbols
A1, A2, ...
A d, A d
Ai,j
A0
[A]
Bi,j
[B]
cg
Group velocity
cl
cp
Phase velocity
ct
xxi
[C]
CV
Coefficient of variation
dx, dy
dL1, dL2
[d]
Di,j
[D]
{D}
Electric displacement
[e]
Dielectric permittivity
Epg
{E}
Electric field
Gravitational acceleration
g(i,j)
Shear modulus
Hanning function
ie
Inter-element distance
I0
Is
Wavenumber
ks
k(i,j)
Phase map filtering coefficients for the gray values of the pixels in a shearogram
Impactor mass
{M}
{N}
P1, P2
Rc
xxii
Rs
[R]
Inverse transformation matrix from global laminate to local lamina coordinate system
S0
SH0
Time
[T]
Direct transformation matrix from local lamina to global laminate coordinate system
vd, vu
(x, y, z)
Global laminate coordinate system, or position of the object in the Shearography setup
Superscripts
*
Transpose operation
(k)
Subscripts
1, 2, 3
1, 2, 3, 4, 5, 6
Quantity relative to the local lamina coordinate system, or quantity for the matrix material, or
mean value
x, y, z
xxiii
xxiv
Chapter 1
Introduction
1.1 Motivation
There is a growing concern in the aircraft industry to increase the ratio of the structure effectiveness to
the acquisition and utilization costs, which is called structure cost-effectiveness [1]. Assuming the acquisition
costs depicted in figure 1.1 are fixed, one of the major steps towards the reduction of utilization costs and the
increase of structure effectiveness has been the widespread use of composite materials. Their excellent strengthto-weight ratio maximizes the structure capability. Their corrosion and fatigue resistance increases the time to
failure, increasing reliability and reducing maintenance costs. Furthermore, their low density allows lower fuel
consumption, and therefore lower operation costs.
However, contrary to metallic materials, one of the most serious issues related to the use of composites
in airframes is their brittle behaviour in the presence of barely-visible impact damage (BVID), which may lead to
unexpected failure under fatigue loading [2]. Therefore, the Non-Destructive Testing (NDT) techniques, that
have already proven to be able to enhance safety, integrity and durability of aircraft structures over the last fifty
years, combined with the recently developed measuring and computational technologies, assume a central role in
the implementation of Structural Health Monitoring (SHM) systems. These systems continuously evaluate the
state of the structure, allowing the real-time identification of BVID, and the estimation of the remaining service
life according to the type of performance of the aircraft. If the damage severity is below a previously established
value, then the component is kept operating. Therefore, an effective SHM system minimizes the ground time for
inspections, increases the availability, and allows a reduction of the total maintenance cost by more than 30% for
an aircraft fleet [3]. The NDT methods for an SHM system should be capable of reliably detecting the damageinduced changes in local and global properties, which are encoded in the dynamic response of the structure.
Among them the Lamb wave method has been reported as one of the most encouraging tools for quantitative
identification of damage in composite structures [4].
Structure cost
effectiveness
Structure
effectiveness
Capability
Structure
efficiency
Acquisition
costs
Availability
Development
Production
Utilization
costs
Introduction
Maintenance
Reliability
Labour
Operation
Maintainabilit
y
Materials
Ecological
Equipment
Building
The main goal of this study was to assess the suitability of the Lamb wave method, in particular of the
fundamental Lamb modes, to detect three different levels of multiple BVID on carbon-epoxy composite plates,
and, if possible, to improve its diagnosis capabilities. Digital Shearography with thermal loading and ultrasonic
C-scan were used to substantiate the results from the Lamb wave tests. The comparison between these two
additional NDT methods is expected to yield important conclusions about their sensitivity to BVID, and
contribute to an improvement of the quality control capability, which is also a means to increase structure
reliability.
1.2 Overview
This thesis is divided in six chapters. After the introduction, Chapter 2 contains all the theoretical and
practical aspects related to composite materials that are relevant for this study. It includes some examples of
composite structures in the aircraft industry, the Classical Laminated Plate Theory, a simple mathematical model
used to estimate the mechanical properties of composite plates which are crucial to simulate the Lamb wave
propagation, and the mechanisms of low-velocity impact damage and their relationship with fatigue damage. In
Chapter 3, the fundamentals of the three NDT methods are thoroughly reviewed. The experimental procedures
for the two phases of non-destructive tests are described in Chapter 4. The experimental results are presented and
discussed in Chapter 5. Finally, Chapter 6 summarizes the main conclusions and gives recommendations for
future developments.
This thesis was a joint project between Instituto Superior Tcnico, Technical University of Lisbon, and
the Faculty of Aerospace Engineering, Delft University of Technology. The experimental part was performed in
the OptoNDT Laboratory, in the Faculty of Aerospace Engineering of TU Delft, and in the Applied Geophysics
and Petrophysics Laboratory, in the Faculty of Civil Engineering and Geosciences of TU Delft.
Chapter 2
et al. [5] refer that their composite fraction of the structural weight seems to be levelling off at 30%. In civil
aviation, the first applications were on the carbon-epoxy vertical surface of both the Airbus A300/A310 and
Lockheed L-1011. In 2001, Deo et al. [5] stated that composite usage for transport aircraft was around 20%. For
helicopter manufacturers, Megson [8] talks about significant service life extensions and efficient aerodynamic
profile introduction in rotor blades due to the use of carbon fibre reinforced plastics (CFRPs).
From the examples mentioned above, it should be noted that CFRPs are the most widely used advanced
composite materials in the aircraft industry. Their properties enable them to achieve great structural
performance. According to Megson [8], CFRP has a modulus of the order of three times that of glass fibre-
reinforced plastic (GFRP), one and a half times that of a Kevlar composite, and twice that of aluminium alloy.
Its strength is three times that of aluminium alloy, approximately the same as that of GFRP, and slightly less
than that of Kevlar composites. Hence, the good ability to withstand applied stresses without failure, the
excellent resistance to deformation, along with the low density and relative low cost make CFRP the best choice
for top performance aerospace structural applications.
However, their brittle nature poses some problems when it comes to withstand impulsive loads.
Therefore much research has been done regarding different CFRP solutions. Smeltzer et al. [9] have done a
numerical characterization of a wing-box made of composite sandwich panels, whose facings were manufactured
in T800/3900-2 carbon/epoxy unidirectional pre-impregnated composite (prepreg). In 1997 Masters [10]
reported a series of tests to evaluate the fracture toughness of AS4/3501-6 carbon/epoxy fabric designed by
McDonnel Douglas for the skin of a composite subsonic aircraft wing. Two years later Johnson, Kempe and
Simon [11] designed a composite wing access cover to sustain impact loads. They used Fiberite AS4/APC2
carbon/poletheretherketone unidirectional prepreg to manufacture an elliptical shell which was then subjected to
impact. Another approach was taken by Byers and Stoecklin [12] in the preliminary design of composite wing
panels. In their methodological study they set NarmcoT300/5208 carbon/epoxy unidirectional prepreg as the
default material. More recently, De Boer (from the National Aerospace Laboratory of The Netherlands) [13]
helped design and manufacture a composite wing-box for a small aircraft, establishing a series of procedures for
a more cost effective use of automated fibre placement. In this study, De Boer refers Hexcel AS4/8552
carbon/epoxy unidirectional prepreg as the material chosen for the wing skins, which was also used for the
Airbus 380 tail cone. In a review of composite materials and structures used in transport and military aviation,
Deo et al., [5] refer to Hexcel IM7, Hexcel 8552 and Fiberite 977-3 toughened epoxy systems as the most used at
the time of publication.
Through the years there have been improvements in the manufacturing processes, enabling more
accurate, faster fibre positioning and greater final quality in a more cost effective way, as well as progress in
materials science, which reveals new findings and possibilities. Thanks to these developments, material
properties and shapes can now be optimized and tailored according to the operational requirements of the
structure, as shown in figure 2.1.
Figure 2.1 Boeing aircraft wing skin, manufactures with Cytec prepreg [6]
After decades of research, Stewart [6] reports a clear tendency of the aircraft industry to increase the
number of high performance structural components made of carbon prepreg material, as a deliberate attempt to
reach the level of 50% of composite fraction. An example of that is the Boeing 787 Dreamliner airframe depicted
in figure 2.2. Currently carbon prepreg is used for primary and secondary structures (fuselage, wing-box, wing
panels, tail cone, spoilers, ailerons, elevators, rudder, stabilizers and flaps), interiors, engine cowls, thrust
reversers, nacelles and brakes, as shown in the official websites of Hexcel Corporation, Cytec Industries,
Advanced Composites Group, Gurit AG, Toray Industries and TenCate Advanced Composites, the leading
carbon prepreg suppliers for the aerospace industry. This growing tendency was confirmed in 2008, when
Hexcel was awarded a contract worth about US$4 billion through 2025 to supply primary structure prepreg
for the Airbus A350 XWB aircraft [6], proving that aircraft industry is finally considering composite materials
as widespread trustworthy solutions for primary structural applications.
Figure 2.2 Composite fraction of the structural weight for Boeing 787 [14]
a)
b) Layerwise theories
3 Multiple Model methods (2D and 3D)
According to Reddy [16], to estimate the properties of composite plates in an expeditious way, the
ESL models often provide a sufficiently accurate description of global response for thin to moderately thick
laminates. Thereby, the simplest ESL theory, the Classical Laminated Plate Theory (CLPT), is described in this
section.
Figure 2.3 Stacking of plies with different fibre orientations to form a laminate [16]
In the context of this work it is assumed that, for constant temperature, the material recovers its initial
shape after all loads are removed, showing linear elastic behaviour. Furthermore, it is also assumed that each ply
is a continuous medium [16]. Thus, in these conditions, it is valid to describe the constitutive model for an
individual lamina by the Generalized Hooks law (2.1), where the stress tensor, , is a linear function of the
strain tensor, , and C is a 4th order stiffness tensor with 34 = 81 material parameters.
(2.1)
Let (x1, x2, x3) be the local material coordinate system for each lamina. If pure moments are not applied,
then the conservation of angular momentum implies that the stress tensor is symmetric. Taking into account that
the strain tensor is symmetric by definition, it follows that the stiffness tensor must also be symmetric, with 6 + 5
+ 4 + 3 + 2 + 1 = 21 independent material parameters [16]. Thereby, equation (2.1) can be re-written as equation
(2.3), using the single-subscript notation [16] in (2.2).
(2.2)
(2.3)
The C tensor can be further simplified if it is assumed that all the fibres within each lamina have the
same orientation (unidirectional lamina), and that the material symmetry planes are parallel and transverse to the
fibre direction. In this case each ply behaves as an orthotropic material and only 9 independent material
parameters are necessary to define the constitutive model in equation (2.5), after sequentially applying the
transformation matrices defined in (2.4) to the C tensor.
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(2.5)
It is important to define the inverse relation ([S] = [C]-1) for orthotropic material (2.6), since the
compliance coefficients in (2.7) are defined directly in terms of engineering constants, therefore allowing the
correct determination of the stiffness coefficients in the C tensor.
(
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*
*
( &
( &
)
)
)
(
$
*
$
( &
(
)
)
)
(
$
$
$
(
(
+ + +
(2.7)
In the case of orthotropic material, the x1-axis is parallel to the fibres, the x2-axis is perpendicular to the
fibres in the lamina plane, and the x3-axis is perpendicular to the lamina plane, as depicted in figure 2.4.
Figure 2.4 Unidirectional lamina, with the x1-axis parallel to the fibres [16]
As previously mentioned, a laminate is composed of several plies, usually with different orientations
with respect to each other. Thus, it is necessary to establish another coordinate system in order to define the
constitutive lamina model with respect to the whole laminate. Let (x, y, z) be the global problem coordinate
system, such that the z-axis is parallel to the x3-axis, and the x1x2-plane is parallel to the xy-plane, as displayed in
figure 2.5. If the angle from the x-axis to the x1-axis is positive counter-clockwise when seen from above, then
the direct and inverse coordinate transformations are defined by equations (2.8) and (2.9), where the
transformation matrix is orthogonal ([ L]-1 = [L]T).
-
/01 2
,- . #& 134 2
-
%
/01 2
56 8 # 134 2
7
%
134 2
/01 2
%
& 134 2
/01 2
%
(2.8)
-
% -
%' ,- . 9:; ,- .
-
$ -
(2.9)
Having defined [L], it is possible to relate the stress components for each layer in both coordinate
systems by equations (2.10) and (2.11), where the subscripts m and p denote the local and the global coordinate
systems respectively.
==
9:< #=>
=?
=>
>>
>?
=?
>? '
9:@ #
??
'
(2.10)
(2.11)
According to Reddy [16], after performing the matrix operations, the direct and inverse transformations
can be re-written as equations (2.12) and (2.13), respectively.
==
/01 2
>> 134 2
??
%
%
>?
%
=?
=> 134 2 /01 2
134 2
/01 2
%
%
%
& 134 2 /01 2
%
%
%
%
%
$
% /01 2
% & 134 2
%
%
%
%
%
134 2
/01 2
%
& 134 2
134 2
%
A
%
%
/01 2 & 134 2
(2.12)
A BC< 9D:BC@
/01 2
134 2
%
%
%
&134 2 /01 2
134 2
/01 2
%
%
%
134 2 /01 2
%
%
$
%
%
%
%
%
%
/01 2
134 2
%
%
%
%
&134 2
/01 2
%
==
134 2
>>
&134 2
??
%
A
%
>?
%
=?
/01 2 & 134 2 =>
(2.13)
A BC@ 9E:BC<
Figure 2.5 The relation between local and global coordinate systems for an unidirectional lamina [16]
If the same coordinate system transformation [ L] is applied to the strain tensors, equations (2.14) and
(2.15) are obtained.
(2.14)
(2.15)
The stiffness coefficients tensor C can finally be transformed from the local material coordinate system
to the global problem coordinate system by combining expressions (2.1), (2.12) and (2.15) into equation (2.16).
(2.16)
So far, the general constitutive relations for an individual lamina have been presented. The next step is
to take into account the interaction of all the plies through the CLPT in order to describe the behaviour of the
laminate.
The basic premise is that a plate can be treated as a thin body as long as its thickness is small compared
to the in-plane dimensions. As stated by Reddy [16], in CLPT it is assumed that the Kirchhoff hypothesis
holds, which implies that the transverse normal strain zz is zero, as well as the transverse shear strains xz and
yz. In other words, in the CLPT the laminate is considered to be under a plane strain state. Consequently, the
transverse shear stresses xz and yz must also be zero. Since zz = 0, the transverse normal stress zz, although not
null, is automatically excluded from the equations of motion, leading to a case of both plane strain and plane
stress. [16] Therefore, the constitutive model for the kth orthotropic lamina with respect to the local material
coordinate system in (2.5) can be simplified into equation (2.17).
G!
% G! G!
, . # %' , .
% %
(2.17)
After applying the simplified coordinate transformation in expression (2.18), the stress-strain relation
th
for the k orthotropic lamina with respect to the global problem coordinate system can be written as in equation
(2.19).
/01 2
9DH : # 134 2
/01 2 134 2
134 2
/01 2
& /01 2 134 2
== G!
, >> . I
=>
J
== G!
, >> .
K=>
(2.18)
(2.19)
In order to define the lamina stiffness coefficients it is necessary to introduce the expressions in (2.7)
into the equality [C] = [S]-1 and compare the entries of [C] with the entries of [S]-1, resulting in the relations
(2.20).
10
)
* )
$ & * *
$ & * *
(2.20)
)
+
$ & * *
The above parameters are functions of 4 independent engineering constants that may be determined
through a theoretical approach. If it is assumed that fibres and matrix are perfectly bonded, that fibres are
uniformly distributed throughout the lamina, that the matrix is free of defects, and that the applied loads are
either parallel or perpendicular to the fibres [16], then the rule of mixtures based on the fibre and matrix
properties can be used to establish the micromechanical model shown in equations (2.21)
) )L ML N )@ M@
)
+
)L )@
)
* *L ML N *@ M@
* *
)L M@ N )@ ML
)
+L +@
)L
)@
+L
+@
+L M@ N +@ ML
$ N *@ !
O$ N *L P
(2.21)
\
\
R==
?YZ[ ==
?YZ[
QR>> S T U
,>> . 7 T U
I
=>
R=>
G] ?Y
G] ?Y
R==
^
F QR>> S #^
R=>
^
^
^
^
J
W!
^ ==
_
W!
^ ' V >>
X N #_
_
^
K=>W!
11
G!
_
_
_
==W! N 7==!
W!
!
V >> N 7>> X 7 F
K=>W! N 7K=>!
!
_ ==
!
_ ' V>>
X
_
!
K=>
(2.22)
\
\
`==
?YZ[
?YZ[ ==
`
Q >> S T U
, >> . 77 T U
I
=>
`=>
G] ?Y
G] ?Y
`==
_
`
F Q >> S #_
_
`=>
_
_
_
J
==W!
_
a
W!
_ ' V >>
X N #a
a
_
K=>W!
G!
a
a
a
==W! N 7==!
W!
!
V >> N 7>> X 77 F
K=>W! N 7K=>!
==!
(2.23)
a
!
a ' V >>
X
a
K=>!
In the above formulation, the strain was divided into membrane (0) and flexural (1) contributions. The
extensional stiffness A is associated with (0), the bending stiffness D is associated with (1), and the bendingextensional coupling stiffness B is associated with both (0) and (1). Hence, the three laminate stiffness matrices
can be calculated by equations (2.24), (2.25) and (2.26).
\
G! 7Gd & 7G !
^bc T bc
(2.24)
G]
_bc
$
G! 7Gd
T bc
& 7G !
(2.25)
G]
$
G! 7Gd
abc T bc
& 7G !
e
(2.26)
G]
These stiffness coefficients, however, do not allow the characterization of the laminate behaviour under
a certain load. For that, it is necessary to obtain the elastic constants of the body in the global problem coordinate
system. Therefore, by taking advantage of the fact that the compliance coefficients are written directly in terms
of engineering constants (see expression (2.6) and (2.7)), the derivation in (2.27) is performed in order to write
the global extensional S tensor.
BRC 9^:f
W!
g A 9^:h BRC f
$j)=
&*
W!
F V >> X =>j)
=
&k=j
K=>W!
)=
==W!
W!
g A f
&*>=
j)
>
$j
)>
&l>
j)
>
W!
g i9^:h BC F
&k=>
j+
=>
==
&l=>
j+ ,>> .
=>
=>
$j
+=>
(2.27)
Then, by simple comparison, relations (2.28) and (2.29) are deduced, allowing the calculation of the
Youngs moduli in x and y direction, Ex and Ey respectively. Appendix A.1 presents the MATLAB code used
to compute the laminate properties and wave velocities, which are taken as inputs for the calculation of the
dispersion curves by the code in Appendix A.2.
12
h
i9^:m
$
$
A )=
h
)=
i9^:m
(2.28)
i9^:h
m
$
$
A )>
)>
i9^:h
m
(2.29)
A composite plate is inherently an anisotropic body, since the material properties are directiondependent. However, it is possible to design a stacking sequence with many angle changes such that Ex and Ey
are sufficiently close. In this case, the laminate can be treated as quasi-isotropic.
component under cyclic loading. [17] This is a short definition of fatigue damage from the book Mechanical
Behavior of Materials, written by Meyers and Chawla. Although it is generally correct, fatigue behaviour in
composite materials is not a straightforward occurrence, where global damage accumulation takes place and
several damage mechanisms may occur simultaneously. According to Rouchon [18] most of the references
addressing fatigue of composite materials and structures (...) are providing material data rather than a rational
explanation of the physical phenomena which are involved. Unlike metals, the damage mechanisms vary
according to the internal architecture of the composite material, and they include matrix cracking, debonding
between fibres and matrix, delamination and fibre failure.
Most structural applications use angle-plied laminates with combinations of 0, 45 and 90 degree
laminae loaded along the 0 degree direction. For this type of laminated composite materials there is a
characteristic damage sequence, as explained by Talreja [19].
The strength of the fibres is much higher than that of the matrix, implying that a lamina is much
stronger along the fibres. Therefore, under cyclic loading, the matrix in the 90 degree plies experiences cyclic
strain and it starts to crack. Then those cracks grow and reach the interface, leading to debonding of the fibres
from the surrounding matrix, as depicted in figure 2.6.
13
Figure 2.6 Matrix crack and debonding of composite lamina under off-axis cyclic loading [19]
In laminates the loads are mainly carried by the fibres along their specific direction in each ply. Hence,
when the component is loaded there is a mismatch in load paths at the ply interface, inducing interlaminar stress.
The debonding cracks in the 90 degree plies act as stress raisers and, as they reach the ply interfaces, they
magnify the interlaminar stress, leading to delaminations of the 45 degree plies. At this stage the matrix is no
longer performing its load transferring function, causing the overstressing of the intact 0 degree plies and
consequent failure.
Composite materials are known to be less prone to fatigue damage than metals [8]. However, due to
their brittleness, composites can only absorb energy in elastic deformation and through damage mechanisms.
[20]
14
static loading and low-velocity impacts, and observed that, although quasi-isotropic plates endure higher loads
than cross-ply plates, they show more severe damage.
In their review article, Richardson and Wisheart [20] gathered the knowledge about BVID in
composites in a systematic way. They describe matrix cracking and debonding between fibres and matrix as the
first types of damages induced by low-velocity impact. Matrix cracks can have two different causes, depending
on their location in the laminate. Some occur in the upper and middle layers as a result of the high transverse
shear stresses induced by the impactor edges, and are inclined approximately at 45 degree, as shown in figure 2.7
shear cracks. Others take place on the bottom layer, due to the high tensile bending stresses induced by the
flexural deformation of the plates, and are characteristically vertical - bending cracks.
After a certain energy threshold is reached, delaminations take place. These are cracks that run in the
resin-rich area between plies of different fibre orientation [20], which are caused by the bending stiffness
mismatch between adjacent plies with different fibre orientations. All the described features constitute the typical
trapezoidal damage distribution depicted on figure 2.7, although it is practically imperceptible in thin
laminates [25].
Figure 2.7 Typical trapezoidal distribution of low-velocity impact damage in composites laminates [20]
However, the two types of low-velocity impact damage do not occur separately. Instead, there is a
strong interaction between them. Richardson and Wisheart reported that it has been observed that delamination
only occurs in the presence of a matrix crack. [20] When the matrix cracks reach the ply interfaces, they induce
very high out-of-plane normal stresses. So, due to the combination of those normal stresses with the interlaminar
shear stresses (due to fibre orientation mismatch) delaminations are initiated and forced to propagate between
layers.
Research has shown it is not possible to study isolated damage phenomena in composite structures,
because there is strong interaction between them. Furthermore, in actual operation, it is more likely that multiple
low-velocity impacts occur due to runway debris or hailstones [26], than one single impact. This raises the issue
of more serious interaction when damage sites are in close proximity. Nevertheless, only a few authors have
15
addressed multiple low-velocity impact damage. Paul et al. [27] tested graphite/epoxy specimens with two 30
mm diameter damage sites, one diameter apart. After concluding that there was little interaction between damage
sites, they developed a simple repair methodology for multiple impact damaged structures. From a different
perspective, Malekzadeh et al. [26] programmed a higher-order dynamic algorithm to analyse the low-velocity
impact response of composite sandwich panels. It proved to be a promising tool to further understand the
multiple BVID. Also in a computational approach, Galea et al. [28] used a 3D finite element model to study the
interaction effects in multiple impact damaged laminates subjected to uniaxial and bi-axial loading, as a function
of damage spacing. They analysed two 27.5 mm diameter (D) delaminations underneath 9.5 mm diameter holes,
in different configurations where the separation distance was measured between hole centres. They found that,
for the uniaxial loading case and a damage spacing of a/D = 1.25, the side-by-side configuration induced a
reduction of 30% in the predicted compressive load required for delamination growth (compared to the single
damage case). Recently, Appleby-Thomas et al. [29] studied the effect of multiple ice projectile impacts on
woven and unidirectional CFRP square plates. By testing cumulative impact energies, they were able to visually
establish six different damage severity categories, ranging from no apparent damage surface damage (type 1)
Needless to say that the contradictions between the conclusions of Paul [27] and Galea [28], and the
large number of possible untested combinations, prove that further research is needed in this field in order to
increase safety and reliability of composite aerospace structures.
16
Chapter 3
composite materials [33]. In 1992, Galea and Saunders [34] developed an in-situ C-scanning system to monitor
damage growth in composite specimens during fatigue tests, without removing the coupons from the loading
machine. In a manufacturing perspective, Kas and Kaynak [35] used C-scan to evaluate microvoids inside
Other common terms are Non-Destructive Inspection (NDI) and Non-Destructive Evaluation (NDE).
17
composite plates produced by resin transfer moulding (RTM). More recently, Hasiotis et al. [36] detected
artificial defects in laminates with ultrasonic C-scan.
Since the 1990s, many developments have been achieved in modern NDT techniques for composite
materials evaluation by trying to understand which technology is more suitable for each application. In 2009,
Polimeno and Meo [37] successfully identified BVID on carbon fibre composite plates, using two NDT
techniques based on the monitoring of the nonlinear elastic response of the damaged material: single-mode
nonlinear resonance ultrasound (NRUS) and nonlinear wave modulation spectroscopy (NWMS). The results
were then compared with C-scan measurements. Later on, Polimeno et al. [38] investigated BVID using a
second harmonic imaging technique (SEHIT), also based on the nonlinear elastic response of the damaged
material when the sample is periodically excited at one of its resonance frequencies [38]. The results
accurately identified and quantified the damage, and were validated by pulse thermography and thermosonics. In
order to assess the SHM capabilities, Takeda et al. [39] applied fibre Bragg grating (FBG) sensors to a
composite wing panel during durability tests which consisted of drop-weight impact and two periodic fatigue
tests. The measurements were compared with results from acoustic emission (AE), C-scan and pulsed heating
thermography. Recently, Garnier et al. [40] evaluated the efficiency of ultrasonic testing, infra-red thermography
and speckle shearing interferometry in the detection of BVID on three different composite specimens
manufactured by the aeronautical industry. At the end, they established the limitations and advantages of each
technique regarding accuracy of the results, feasibility and time spent for the experimental protocol.
According to Hung [41], digital Shearography has been receiving considerable industrial acceptance as
a laser-based NDT method for full-field inspection of composite structures. Therefore, some researchers have
explored its advantages and limitations, using several different approaches. Amaro et al. [42] compared the
performance of electronic speckle pattern interferometry (ESPI), ultrasonic C-scan and Shearography in the
detection of BVID in composite laminates. In a similar perspective, Ruzek et al. [43] assessed impact damage in
carbon sandwich panels from an all-composite aircraft wing using Shearography and ultrasonic C-scan. He
reported that, for the tested application, Shearography was the most suitable method. Steinchen [44] focused on
the advantages of using a small and mobile measuring device in conjunction with image processing software,
turning Shearography into an NDT method with online, full-field and non-contact capabilities that can be easily
employed in field/factory environments.
One NDT approach that is widely acknowledged as one of the most encouraging tools for quantitative
identification of damage in composite structures [4] is the Lamb wave method. In a quality and process control
perspective, Habeger et al. [45] studied the propagation of ultrasonic plate waves in order to evaluate their
capability in measuring paper strength. Also in a production monitoring orientation, Miesen et al. [46]
demonstrated it is possible to detect flaws in one sheet of unidirectional CFRP prepreg by capturing Lamb waves
with conventional piezoelectric sensors. To better understand the physical phenomena, Percival and Birt [47]
developed and validated a one-dimensional finite element model in order to solve the equations for the
propagation of Lamb waves in anisotropic laminates. Using the fundamental symmetric Lamb mode, Birt [48]
successfully evaluated delamination and impact damage in carbon-fibre laminates. Later, Grondel et al. [49]
developed a SHM system using Lamb waves and acoustic emissions to detect impact and debonding damages in
a composite wingbox. The extraction of signal characteristics can be hindered by the complexity of Lamb wave
propagation phenomena. Therefore, to make the identification process easier, Kessler et al. [50], Grondel et al.
18
[51], Su and Ye [52], Diamanti et al. [53], and Giurgiutiu and Santoni-Bottai [54] have designed several
different systems of multi-element piezoceramic transducers for optimal and selective generation of damagesensitive Lamb modes, enabling a more accurate damage detection in composite plates.
The current work focuses on improving the diagnostic capabilities of the Lamb wave method, namely in
the detection and severity quantification of multiple BVID. By using digital Shearography and ultrasonic C-scan
as additional NDT techniques, it is possible to validate the Lamb wave measurements and to establish relevant
conclusions regarding the application of the referred methods. Therefore, in this chapter a complete description
of the physical principles for each NDT method is provided.
The number of free surfaces determines the type of guided waves in a plate. With one free surface,
guided waves behave as Rayleigh. With two free surfaces, guided waves travel as Shear-Horizontal (SH) and as
Lamb waves. Rayleigh waves occur close to the free surface, with strong attenuation along the depth, having
their polarization in a plane perpendicular to that surface. Both SH waves and Lamb waves are threedimensional, having wave-fronts parallel to the z-axis in figure 3.2 and occurring across the entire thickness.
19
However, they have different natures. The particle motion induced by SH waves is polarized parallel
to the plate surface and perpendicular to the direction of wave propagation [56]. On the other hand, Lamb
waves generate particle displacements simultaneously along the x-axis and the y-axis, which correspond to
Pressure waves (P waves) and Shear-Vertical waves (SV waves), respectively. The effect of multiple reflections
on both free surfaces combined with interference phenomena creates a pattern of standing waves in the y-
direction behaving like travelling waves in the x-direction [56]. Therefore, it is this feature that gives Lamb
waves the ability to travel long distances, making them a very promising solution for SHM and NDT
applications.
First studied by Horace Lamb in 1917 [4], the Lamb wave equations have multiple solutions which
correspond to multiple modes occurring at the same time (multi-mode nature). Lamb wave modes are of two
types, symmetric (S0, S1, S2, ...) and anti-symmetric (A0, A1, A2, ...), depending on the particle motion across the
plate thickness, as depicted in figure 3.3.
Figure 3.3 Lamb wave particle motion: (a) symmetric motion, (b) anti-symmetric motion [56]
For the fundamental Lamb modes, the total symmetric displacement field is quasi-axial (figure 3.4a)
and it is sensitive to defects anywhere in the thickness, whereas the anti-symmetric displacement field is quasiflexural (figure 3.4b) and more sensitive to surface cracks [4, 56].
20
Figure 3.4 Simulated displacements field for the (a) S0 Lamb mode, and (b) A0 Lamb mode [56]
For isotropic materials, where the properties are not direction-dependent, the S and A Lamb wave modes
are described by equations (3.1) and (3.2), respectively [50].
(3.1)
no4O p$ & q P
q & $!
N
%
no4O pr & q P sq p$ & q pr & q
(3.2)
In the definition of the non-dimensional parameters (3.3), cl and ct are the longitudinal and transverse
wave velocities, respectively, cp is the phase velocity, is the angular frequency, and d is the half-thickness of
the plate. The velocities cl and ct depend on the density, , and on the Lams constants, and , which are
written in terms of material properties, such as the Youngs modulus, E, and the Poissons ratio, , as shown in
expressions (3.4) and (3.5).
tu tu
w
q
tu
t<
tv
(3.3)
y N l!
l
tv
x
x
(3.4)
)
)*
y
$ N *!
$ & *! $ N *!
(3.5)
r
tu
l
21
The wave relations (3.6) for the frequency, f, the wave number, k, the wavelength, w, and the phase
velocity, cp, enable the solving of the mathematical system.
w z{
|
z
t y} {
y} <
(3.6)
After combining equations (3.3) (3.6), determining the material properties and setting the thickness,
equations (3.1) and (3.2) can be numerically solved for and the phase velocity can be calculated as function of
the frequency (see figure 3.5). This algorithm was programmed in MATLAB for the S0 and A0 modes, and can
be found in Appendix A.2.
By looking at figure 3.5, two important characteristics can be observed. First, for small frequency
values only the zero-order Lamb modes, S0 and A0, occur. As the frequency increases, the number of Lamb wave
modes that can simultaneously exist also increases. Second, it is clear that the phase velocity varies with
frequency. Lamb waves are then said to possess a dispersive nature.
Figure 3.5 Phase velocity dispersion curves for an isotropic material with cl = 7199.55 m/s, ct = 3367.60 m/s, and a
thickness of 2.24 mm
22
Figure 3.6 Group velocity dispersion curves for an isotropic material with cl = 7199.55 m/s, ct = 3367.60 m/s, and a
thickness of 2.24 mm
t~ t< & y}
t<
t<
A t~ t< N |
A t~
y}
|
t<
{ t<
$&
t< {
23
(3.7)
Lamb waves are inherently beat patterns, because they result from a process of multiple constructive
and destructive interferences across the plate thickness. And each wave packet corresponds to a Lamb mode.
Therefore, they have a highly dispersive nature. Consequently the graph in figure 3.5 is called dispersion curve,
and it is the fundamental way to describe the Lamb wave propagation in a solid medium. The dispersive curve
can also be drawn in terms of group velocity, as in figure 3.6. The multimode and dispersive natures of Lamb
waves make their propagation a complex phenomenon.
However, Lamb wave propagation in composite materials is even more complicated. Their anisotropic
layered structure makes stiffness higher in the fibre direction. Thus, the maximum phase velocity occurs when
the wave propagates parallel to the fibres, and the minimum occurs when the wave propagates perpendicular to
the fibres [54]. Moreover, the larger number of interfaces within the material induces more reflections, making
the wave pattern more difficult to analyse. Therefore, Lamb wave propagation in anisotropic materials cannot be
analytically described by the solutions in equations (3.1) and (3.2). Its study strongly relies on the use of
predictive models. Currently, there are several approaches to calculate the dispersion curves for composite
materials, namely the Effective Elastic Constants method [45, 47], the Transfer Matrix method and the Global
Matrix method [54, 56]. Nevertheless, if the laminate is quasi-isotropic, it is acceptable to use equations (3.1)
and (3.2) to describe Lamb wave propagation [50, 58].
a
% % % % %
% % )
,a . I % % % % % J N #% %' ,) .
a
% % )
% % %
24
(3.8)
(
(
(
%
%
%
(
(
(
%
%
%
(
(
(
%
%
%
%
%
%
(
%
%
%
%
%
%
(
%
%
%
% %
% %
N
%
%
%
( %
%
%
%
%
%
)
,) .
% )
%
%
(3.9)
According to the actuation effect described in equation (3.9), the application of an electric field, E3,
parallel to the direction of polarization induces an expansion 3 = d33E3 along the x3-axis and contractions 1 = 2
= -d31E3 along x1 and x2 axis, respectively [56], as depicted in figure 3.8. The sensing effect can be described by
equation (3.8) in a similar but inverse way.
For the Lamb wave method there are two possible actuator/sensor configurations, as shown in figure
3.9. In the pitch-catch technique (figure 3.9a) the acquired signals are waves transmitted through the inspected
area. In the pulse-echo technique (figure 3.9b), the acquired signals are waves reflected from interfaces within
the material.
25
Figure 3.9 Possible actuator/sensor configurations for the Lamb wave method: a) pitch-catch, b) pulse-echo [54]
The selective generation of Lamb wave modes can be further improved by using a multi-element
approach. By mounting a pair of rectangular PZT transducers side by side, as in figure 3.11, it is possible to
enhance the amplitude of a specific mode if the inter-element distance, ie, is set as a multiple of the wavelength
[51]. This approach implies previous knowledge of the phase velocity in order to calculate the wavelength, and
therefore the inter-element distance.
26
Figure 3.11 Improvement of the Lamb mode selection by using rectangular PZT wafer transducers
An alternative approach is to mount a pair of circular PZT transducers on both specimen surfaces, as
depicted in figure 3.12. In this case, if the pair is excited in phase, symmetric modes are preferably generated. On
the contrary, if the pair is excited in anti-phase, the predominantly generated Lamb modes are anti-symmetric
[52, 56]. This approach depends only on the excitation frequency.
Figure 3.12 Improvement of the Lamb wave mode selection by using circular PZT wafer transducers
It is important to note that circular transducers generate circular crested Lamb waves. However, after a
radial distance equal to three wavelengths, the behaviour of such waves is already stable [56], and therefore it
can described by the straight crested Lamb wave equations (3.1) and (3.2).
Besides tuning the Lamb wave mode selection, it is also crucial to minimize the dispersion
phenomenon. For that, the actuation signal parameters, such as frequency, amplitude, number of cycles and pulse
shape, have to be optimized. The choice of the frequency has to take into account three aspects [51]:
These requirements can be addressed by looking at the dispersive curves for the group velocity. To
satisfy the first condition, only the zero-order modes, S0 and A0, should be generated. The second condition
implies that, at the driving frequency, the slope of the dispersion curves should be nearly zero, so that the group
velocity is less frequency dependent, and the dispersive effect of the propagation distance can be avoided. The
third aspect has a relative importance. In a real application, the size of the damage is one of the things to be
evaluated, and therefore it is unknown. However, when investigating the Lamb wave method itself, the damage
size is a controlled parameter, and thus it should be taken into account in order to achieve the best assessment of
27
the NDT technique. Either way, it is true that the smaller the wavelength, the higher the sensitivity of the Lamb
mode.
The signal amplitude is directly related to the magnitude of the Lamb wave strain. Therefore, higher
amplitude induces a higher signal-to-noise ratio, yielding a clearer signal. The voltage amplification should be
limited, because, at a certain point, the signal drift begins to deteriorate the resolution of the acquisition system
[50].
The number of cycles is one of the most important parameters, because it has direct influence on the
frequency content of the signal. Figure 3.13 presents the time-domain representations of a one-cycle sinusoidal
burst at 500 kHz and a five-cycle sinusoidal burst at 500 kHz, as well as their frequency-domain representations
calculated through the Fast Fourier Transform (FFT). The comparison between figures 3.13a and 3.13b clearly
demonstrates that the larger the number of cycles, the narrower the bandwidth, and therefore the less dispersive
is the Lamb wave propagation.
Figure 3.13 - Time and frequency domain contents for pure sinusoidal bursts with a) 1 cycle, and b) 5 cycles
The bandwidth can be further reduced if a Hanning function, H(t), is used to window the original
sinusoid, producing an N-cycle amplitude-modulated tone-burst at central frequency f, s(t), as defined in
equations (3.10) and (3.11). In figure 3.14b, where a five-cycle windowed sinusoidal tone-burst at 500 kHz is
represented in both time and frequency domains, it is clear that, although the windowing process reduces the
energy content of the signal, it eliminates the side frequencies almost completely.
$
z{
! $ & /01
R
(3.10)
! ! 134 z{!
(3.11)
28
Then, it is advantageous to use a higher number of cycles, because it reduces dispersion and increases
the energy dedicated to the desired frequency, implying a clearer and stronger Lamb wave response [50]. This
way, the group velocity calculation is more accurate, increasing the sensitivity and reliability of the damage
detection system.
Figure 3.14 - Time and frequency domain contents for sinusoidal tone-bursts, with by a) 1 cycle and modified by an
amplitude increase, and b) with 5 cycles modified by a Hanning function windowing process
However, in a short specimen, a burst with more cycles induces a more complicated reflection pattern,
which makes the Lamb wave response more difficult to interpret [4, 50]. Hence, an alternative solution can be to
increase the signal amplitude, while keeping a smaller number of cycles. Figure 3.14a shows the time and
frequency contents of the one-cycle sinusoidal burst from figure 3.13a amplified five times. It is possible to
observe that, instead of changing the frequency content of the excitation pulse, this operation increases the
energy dedicated to the desired frequency, enhancing the Lamb wave strain. Nevertheless, these principles
should always be confirmed by experimental testing.
As for the pulse shape, it has been proven [50, 51, 52, 53] that sinusoidal waveforms are able to excite
Lamb wave modes more efficiently, especially if used as windowed tone-bursts.
29
elaborate wavelet filter-banks. Nevertheless, filtering operations should be performed carefully, in order to
prevent the loss of data.
According to Vasilescu [60], noise is the result of the combination of several random physical
phenomena which are coupled with the data acquisition system. In that sense, each point of the captured signal is
just as noisy as its neighbour. Thus, a simple and reliable denoising method is the moving-average filter, which
is optimal for reducing random noise while retaining sharp step response [61] of time domain encoded
signals. The filtered output signal, y, is produced by equally averaging a set of M points from the input signal, x,
as described in equation (3.12).
h
$
6b T -bdc
`
(3.12)
c]W
The application of the moving-average filter allows a noise reduction equal to the square-root of the
number of points in the average.
30
packet. However, the determination of the TOF of a Lamb wave group is not always a straightforward task. If
the desired Lamb mode is the fastest, then it is the first group arriving at the sensor. Inside the green circle shown
in figure 3.15, it is possible to manually identify a time interval where the onset of the wave packet can surely be
found. On the other hand, if the desired Lamb mode is not the fastest, then it arrives later at the sensor and the
corresponding wave group occurs in the middle of the signal. In this case, even if the packet has higher
amplitude than the neighbourhood (see red circle in figure 3.1.5), it is much more difficult to manually pick the
onset time of the group, because there is not a clear separation from the rest of the signal. Therefore, a criterion
has to be established in order to make the detection of the TOF of a Lamb mode a reliable and automatic
operation.
Figure 3.15 Typical Lamb wave response from a composite plate excited with a PZT wafer transducer
The onset time is usually defined as the point where the amplitude first clearly differs from the noise.
Based on this concept, the Akaike Information Criterion (AIC) has been established, according to which a signal
is divided into two segments modelled as autoregressive processes, the data and the noise [63]. The AIC-picker
can determine the onset time by inspecting a pre-selected region of the signal (window) that contains the actual
starting point. Thus, the AIC function is defined in equation (3.13), where Rw denotes the portion of the signal
within the window, tw ranges through all the samples of Rw, and Tw is the last sample of Rw. The variances,
var(Rw(a,b)), are calculated from sample a to sample b according to equation (3.14), where N is the length of the
time series and Rm is the mean value of the entire signal R. When the AIC function reaches its global minimum
within the pre-selected interval, the two autoregressive segments are clearly separated, indicating the onset point.
The onset time for the desired group is then set equal to the TOF of the corresponding Lamb wave mode.
31
(3.13)
$
T Eb & E@ !
R&$
(3.14)
b]
If the Lamb mode of interest lies in the middle of the signal, the onset detection is more difficult,
because the definition of the time window is more ambiguous. Therefore the determination of the TOF is more
accurate for the S0 mode than for the A0 mode. Nevertheless, the AIC-picker definitely increases the accuracy of
the results, since Kurz et al. [63] state that the algorithm produces sufficiently reliable results for ultrasonic
signals, where the deviation from the manual picks varies between 2% and 4%.
The AIC-picker code was programmed in LabVIEW by Dr. Yoshihiro Mizutani. It was used by
Miesen [46] to perform the Lamb wave time-domain analysis, and can be found in Appendix B.
Figure 3.16 Generation of two sheared images using the modified Michelson interferometer [64]
32
As depicted in figure 3.16, each incident ray is first divided into two beams, one going straight to mirror
M1, other to mirror M2. The reflected beams are recombined at the beam splitter, forming an image which is
captured by a charge-coupled-device (CCD) camera. Because one of the mirrors is tilted at a small angle about
the x or y axis, a second wave front is generated, creating two laterally sheared images. It is possible to induce
shear along the x or y direction by tilting one of the mirrors about the y or x axis, respectively.
Due to the image shearing process, rays from neighbouring object points (P1 and P2) are superimposed.
So, because each one of those rays has different phase values (1 and 2), spatial interference occurs and an
interferometric speckle pattern is created [64]. This pattern is called interferogram, and it is formed by small
bright and dark grains, whose size depends on the viewing aperture. The intensity, I, of the interferogram is
defined in equation (3.15), and it depends on the terms I0, and , which denote the mean value of the intensity,
the modulation of the interference term, and the phase difference, respectively.
= 2 (1 + cos )
(3.15)
A single interferogram has a random phase distribution and no information about the object can be
extracted. However, when loading is applied, the object is deformed, and the surface points occupy new
positions, as shown in figure 3.17. So, the distances between the laser, the surface points and the CCD camera
are altered according to equations (3.16) and (3.17).
=
+ (
+ )
(3.16)
=
+ (
+ )
(3.17)
Figure 3.17 Difference in the laser light path between two object points, in the undeformed and deformed states [64]
33
In the deformed state, the phase distribution of the randomly scattered light is different from the phase
distribution in the undeformed state. Therefore, the new interferogram has a different intensity, I*, defined by
equation (3.19), whose value depends on the relative phase change, , [64] defined in equation (3.18).
= = ( ) ( )
(3.18)
= 2 (1 + cos( + ))
(3.19)
The digital subtraction of the two interferograms performed in equation (3.20) yields an image called
shearogram, whose intensity, Is, also depends on the phase change. The spatial variation of defines a pattern of
bright and dark areas called the fringe pattern, which is depicted in figure 3.18. Hence, the fringe lines are the
loci of points where the intensity is at a minimum or maximum. If the value = 2 is assigned to white pixels,
and = 0 to black pixels, then there are 256 phase levels for an 8-bit resolution system.
(3.20)
The phase change carries information about the deformation field. Therefore, the key step is to define
the relationship between them. The paths changes, dL1 and dL2, are functions of the positions of the object
points, the laser and the camera, (x, y, z), (xs, ys, zs) and (xc, yc, zc), respectively. Assuming that the displacements
are small [64], the phase change for an out-of-pane Shearography instrument can be written in equation (3.21) as
a function of the deformation w, and the sensitive coefficient, C.
2
( ) =
34
(3.21)
=
2
+
(3.22)
(3.23)
Then, considering that the object is small compared with the distances to the laser and camera, and that
the applied shear, dx or dy, is small, the phase change for each shearing case can be defined as a function of the
out-of-plane components of the strain tensor, as in equations (3.24).
$
!
$!
$
% =
"
$"
# =
(3.24)
The Shearography setup can be summarized in figure 3.19, where the sensitivity vector, ks, includes the
sensitivity coefficient, C. Then, it is possible to write the phase change in the vector form [64], transforming
equations (3.24) into equations (3.25).
$
& ' !
$! ,
$
% =
& ' "
$" ,
# =
(3.25)
Replacing the vector components by the angular relations, and setting the illumination direction in the
xz-plane, equations (3.25) are simplified into equations (3.26).
# =
2
$
-(1 + cos #, )
. !
$!
2
$
% =
-(1 + cos #, )
. "
$"
35
(3.26)
An out-of-pane Shearography instrument has the illumination direction normal to the object surface, xz
= 0, yielding equations (3.27) for the phase change.
4 $
!
$!
4 $
% =
"
$"
# =
(3.27)
The presence of fringes depicted in a shearogram can be interpreted as strain concentration areas [64].
Any discontinuity within the material changes the strain concentration field around it. So, the evaluation of the
distribution in a shearogram allows the quantification of the changes in strain concentration, enabling the
damage detection. The damage size that can be identified depends on the sensitivity, which can be enhanced by
increasing the shear amount. Furthermore, the fact that rigid-body motion does not produce strain makes
Shearography insensitive to vibrations and therefore a suitable NDT method for industrial applications.
Evaluation of a shearogram requires the determination of . Thus, it is first necessary to calculate the
phase distributions and *. This is a problem with three unknowns (I0, and ), which needs at least three
equations to be solved. One possible way to increase the number of equations is by capturing several different
interferograms for each deformation state. To do that, it is necessary to shift the interfering light waves, by using
the modified Michelson interferometer. A piezoelectric-induced linear movement of mirror M1 by a known
amount, dL, modifies the optical path by an amount of 2dL [64]. The change of the optical path induces the
known phase increment, , defined in equation (3.28).
/=
2
2
(3.28)
(3.29)
3
2
Then by solving the mathematical system, the phase distribution, , can be calculated using equation
(3.30).
= :;<>:?
8
7
36
(3.30)
The phase distribution in the new deformation state, *, can be calculated using the same phase-shifting
technique described above. After that, the phase change over a 2 range, , can finally be calculated according
to equation (3.31).
=@
, CD;
G
(3.31)
1
HI = J J &(K, L)M(K, L)
(3.32)
QP OP
This filtering operation smooths the image by removing the small gray peaks. However, if the window
is too large, the smoothing effect becomes too strong and relevant gray values may be erased. To increase the
accuracy of the filter, a smaller window can be used. Nevertheless, there will always be loss of information. So,
to mitigate this phenomenon, a modified approach can be applied, by transforming the gray values into a sine
and cosine functions. This way, the sharp peaks do not appear, and therefore they cannot be eliminated. The
mean value filter can then be applied. In the end, an exact, smooth phase map can be obtained by reconstructing
the filtered sine and cosine.
3.2.2.2 Demodulation
When the phase change, , is calculated by equation (3.31), 2 phase jumps may be introduced. Thus,
in order to obtain a continuous phase map, it is necessary to suppress those discontinuities through a
demodulation process.
One of the existing path-dependent demodulation techniques is the pixel queue algorithm [64]. The
starting pixel is fixed and four neighbouring pixels are listed in a counter-clockwise spiral, following the cardinal
directions [N, W, S, E]. For the central point, the phase value is analysed. If it is greater than +, or , it has to
37
be corrected. The next point to be executed is taken from the pixel queue, and the loop is repeated until all the
points in the list have been examined. This process is performed until there are no more valid pixels in the image
to be analysed. In the end, the unwrapped phase change distribution is a function of the gray level of each pixel,
g(i, j), and the integer part of the fringe order, n, as described by equation (3.33).
= 2 R? +
M(K, L)
T
255
(3.33)
It should be noted that the unwrapping process strongly depends on the correct identification of the
phase jumps. Therefore, the pixels must not be affected by noise, which implies that the demodulation can only
be applied after filtering the shearogram.
38
ultrasonic beam direction. Despite its limitations, the ultrasonic C-scan is one of the main techniques used for
the quality control of composite materials during fabrication and assembly. [34]
39
40
Chapter 4
Experimental procedure
This chapter is divided into two parts. Phase 1 describes the preliminary approach, where all the
methodology was learnt and improvements for the Lamb wave tests were identified. In Phase 2, the improved
procedure for the Lamb wave method is described, as well as the Shearography and C-scan tests. All the
experimental activity in this chapter is described in chronological order.
E11 (GPa)
155
E22 (GPa)
7.8
G12 (GPa)
5.5
12 (-)
0.27
Density (kg/m )
66
0.16
1760
For the preliminary approach it was decided to use a lay-up sequence composed of three 7-ply blocks,
[+45/-45/0/90/0/-45/+45]3, in order to produce a laminated plate (Laminate 1) with 250 x 250 x 3.36 mm3.
The prepreg layers were cut using the automatic GERBER machine DC2 2500, operated by the
CutWorks software (figure 4.1a). The quick dry industrial solvent PFQD/1L-GB/DE was applied to clean the
two plates of the aluminium mould, followed by seven coats of mould releasing agent Marbocote 227. After
carefully stacking the prepreg plies on the lower part of the mould, the vacuum bag was prepared (figure 4.1b).
41
First, plastic foil was placed on top of the upper plate of the mould. Then, the foil was covered by white breather
blanket and the vacuum valve was positioned on top of it. A new foil coat was placed on top of everything and
the mould was sealed with two-sided-high-temperature gluing tape. Finally, the laminate was cured in the
autoclave, at a pressure of 6 bar, heating up at a constant rate of +2C/min from room temperature to 120C,
maintaining that temperature for 90 minutes, and cooling down to 60C at a constant rate of -4C/min, according
to the material supplier recommendations. The cured composite plate (figure 4.1c) was then cut at 0.5 mm/s into
four 110 x 110 x 3.36 mm3 specimens (figure 4.1d), using the Struers 1312 Unitom machine.
a)
b)
c)
d)
Figure 4.1 - Steps of the manufacturing process: a) automatic cutting of the prepreg material, b) curing process in the
autoclave, c) cured laminated plate, and d) four 110 x 110 x 3.36 mm3 specimens
The mechanical properties of Laminate 1 listed in table 4.2 were calculated according to the CLPT
described in subsection 2.2.1, using the MATLAB code in Appendix A.1.
Ex (GPa)
63.514
Ey (GPa)
45.064
xy (-)
0.2988
yx (-)
0.4211
42
Although the ratio between Ex and Ey reveals a level of anisotropy of 29%, the laminate was considered
quasi-isotropic and the average of Ex and Ey was taken as the Youngs modulus of the material. With that value,
the velocities of longitudinal and transverse waves (table 4.3) were computed according to expressions (3.4).
Then the Lamb wave dispersion curves in figures 4.2 and 4.3 were calculated using the MATLAB code in
Appendix A.2.
Table 4.3 Approximate acoustic properties of Laminate 1
cl (m/s)
7199.55
ct (m/s)
3367.60
The assessment of the velocity range for the available frequencies (28, 50 and 108 kHz) showed that
although only the two zero-order Lamb modes exist, only the S0 mode presents a nearly non-dispersive
behaviour, which could make the identification of the A0 mode more difficult . Thus, four laboratory sessions
were scheduled in order to evaluate the feasibility of the Lamb wave method with the available equipment.
43
The first three test sessions were performed in the OptoNDT Laboratory, in the Faculty of Aerospace
Engineering of TU Delft. The conventional PZT transducers HEC-301002, HEC-30502 and HEC-45282, from
Honda Electronics, placed at of the length, were used to transform the 3 V amplitude and 20 s duration
square-wave signals, produced by a Philips PM5705 pulse generator, into mechanical waves at 108, 50 and 28
kHz, respectively. The signals were captured by two Physical Acoustics Pico HF-1.2 micro-miniature PZT
sensors, positioned at and of the length. To complete the experimental setup depicted in figure 4.4, the
signals were amplified by two 40 dB in-house-built pre-amplifiers, and then acquired by a digital oscilloscope
PicoScope 4424, from Pico Technology, operated by the PicoScope 6 software. The onset of the excitation
signal in channel A was defined as the repetitive trigger for capturing the two response signals in channels B and
C.
It should be noted that both actuators and sensors used in these tests were conventional PZT
transducers. Their operation is different from that of PZT wafer transducers described in subsection 3.1.2. PZT
wafers are completely bonded to the surface of the specimen, while conventional transducers use only a layer of
coupling medium (ultrasonic gel) to ensure the transmission of ultrasonic waves. Hence, for PZT wafers, the
generation or sensing of mechanical waves occur through surface pinching (in-plane strains), while
conventional transducers operate through surface tapping (normal stress) [59]. This allows PZT wafer to
follow the structural dynamics of the plate, whereas conventional transducers follow their own dynamics.
Therefore, adhesive tape was also used to hold the PZT sensors, improving the ultrasonic coupling properties.
Nevertheless, it should be mentioned that the Physical Acoustics Pico HF-1.2 micro-miniature PZT sensors
proved to have good sensitivity and integration capabilities, thanks to their low weight (see table 4.5).
44
a)
b)
c)
Figure 4.4 Experimental setup for test sessions 1, 2 and 3: a) position of the actuator and sensors on the specimen, b) detail
of the adhesion of the sensors, and c) overall view of the experimental installation
The signal analysis revealed that only the fastest mode, S0, could be identified in the Lamb wave
responses. The slower mode, A0, could not be discerned, due to three main reasons:
1) there were many reflections from the plate edges superimposed to the A0 Lamb mode response
2) the tension in the sensor cables induced slight movements which could not be prevented by the
pressure of the adhesive tape, deteriorating the amplitude of the acquired signals, and therefore
influencing the clarity of the response
3) the excitation waveform (square wave) was not able to efficiently excite the Lamb wave response
The first point strongly suggested that the specimens were probably too small for a clear identification
of the Lamb wave response. The slight movements of the sensors prevented the appropriate transmission of the
Lamb wave response from the specimen to the sensors, indicating that serious improvements regarding the
45
coupling properties would have to be achieved. So, for the fourth laboratory session, it was decided to excite the
A0 at a higher frequency, promoting a less dispersive propagation. Additionally, a sinusoidal tone-burst would be
used as a more efficient excitation waveform, as suggested in subsection 3.1.3.
The fourth test took place in the Applied Geophysics and Petrophysics Laboratory, in the Faculty of
Civil Engineering and Geosciences of TU Delft. A 1-cycle-500 kHz-sinusoidal tone-burst with 400 mVpp
amplitude was produced by an Aglient 33220A arbitrary waveform generator. The electrical signal was then
amplified by a E/N 2100L RF 50dB power amplifier, and transformed into a mechanical wave by a Panametrics
V103 conventional PZT actuator, placed on the specimen at of the length, as depicted in figure 4.5. The plate
response was captured by the Physical Acoustics Pico HF-1.2 PZT sensors positioned at and of the length,
amplified by the 40 dB pre-amplifiers, and acquired by a Yokogawa Dl4200 oscilloscope. The excitation signal
was transmitted from the power amplifier to channel A through a Yokogawa 700997 cable that reduces the
amplitude by ten times in order to protect the oscilloscope from overcharges.
Figure 4.5 Panametrics V103 PZT actuator and the two HF-1.2 PZT sensors
The signal transmission from the plate to the sensors was clearly improved by the use of a different
ultrasonic couplant, the Olympus Sonotech shear gel, which also had adhesive properties. Hence, the
combination of the Sonotech shear gel and a strong adhesive tape would solve the coupling problems. Although
it was possible to acquire a more clear Lamb wave response, still it was impossible to identify the A0 mode due
to the superimposing reflections. This confirmed that the samples were not large enough for an accurate
extraction of the two zero-order Lamb modes.
Therefore, at the end of Phase 1, it was possible to identify two major improvements to be implemented
in Phase 2:
By using larger samples the detrimental effect of reflections from the plate edges would be minimized.
Furthermore, it would also allow larger propagation distances, yielding a clearer separation of the Lamb modes,
and therefore a more accurate identification of the TOF of each mode. By using multiple PZT wafer transducers
instead of conventional ones, it would be possible to selectively generate the Lamb wave modes, as described in
subsection 3.1.3.
46
a)
b)
Figure 4.6 C-scan system: a) overall view of the setup b) detail of the ultrasonic probes and the alignment of the water jets
This measurement allowed the evaluation of the healthy condition of the specimens, which was crucial
for the choice of the reference undamaged plate. After analyzing the results, it was observed that the dB standard
deviation for the four samples was lower than for the C-scan standard panel. Furthermore, specimen 1 had the
lowest dB standard deviation among all the four plates, meaning it had the lowest signal attenuation, and
therefore less internal defects (better quality). For this reason, specimen 1 was chosen as the reference sample for
the undamaged condition of the material.
47
b)
a)
c)
Figure 4.7 Tools for the application of impact damage: a) impact tower, b) original clamping device, and c) new clamping
device
It was decided to apply ten impact points randomly distributed inside a 6 cm radius circle. So, ten
known random positions were generated by MATLAB, forming the pattern depicted in figure 4.8. The
multiple BVID was induced to specimens 2, 3 and 4, always using to the same impact pattern. The impactor in
figure 4.9a had a mass equal to 1.2 kg and its hemispherical head had a diameter of 12.7 mm.
In order to test different damage severities, impact energies of 3, 5 and 10 J were applied to specimens
2, 3 and 4, respectively. The energy level of each impact was set by adjusting the height from which the impactor
would be released, according to the definition of gravitational potential energy in equation (4.1). Thus, the 3, 5
and 10 J impact damages were applied by releasing the impactor from 25.5, 42.5 and 85 cm, respectively. It was
not possible to apply an impact energy lower than 3 J, because the impact tower could not release the impactor
from heights lower than 25 cm.
48
)<~ i A i
)<~
(4.1)
It is important to refer that, every time the location of the impact had to be changed, it was necessary to
unscrew the bolts, move the plate to appropriate position, and screw the bolts again, as shown in figure 4.9b.
a)
b)
Figure 4.9 Application of BVID on the plates: a) steel impactor with a hemispherical heat, b) installation of the specimen
between the bolted aluminium frames
49
x and y directions by adjusting the tilting of the mirrors of the modified Michelson interferometer. The Shearwin
software was used to filter and demodulate the captured images, allowing the evaluation of the shearograms.
50
Properties
Material
Rectangular PZT
Circular PZT
PIC 151
PIC 255
Length (L) = 20
Dimensions (mm)
Width (W) = 5
Diameter (D) = 10
Thickness (TH) = 1
Thickness (TH) = 1
f(L) = 100
Resonance frequencies (kHz)
f(W) = 400
f(D) = 200
f(TH) = 2000
f(TH) = 2000
Table 4.5 Properties of Physical Acoustics Pico HF-1.2 PZT sensors [68]
Diameter (D) = 5
Dimensions (mm)
Thickness (TH) = 4
Weight (g)
500 1850
550
51
Therefore, after pondering all the selection criteria, the chosen excitation frequency for damage
detection was 500 kHz. At that frequency, the group velocity curve in figure 3.6 shows that only the S0 and A0
Lamb modes exist, displaying nearly non-dispersive behaviour (plateau regions). According to figure 4.2, for the
A0 mode, the phase velocity at 500 kHz is 2555 m/s, yielding a wavelength of 5.11 mm. Having obtained this
estimate, the inter-element distance, ie, was set equal to 2 x 5.11 = 10.22 mm.
The pair of Physik Instrumente circular PZT wafers for the selective generation of the S0 Lamb wave
mode was named S0 configuration, and the pair of Physik Instrumente rectangular PZT wafers to predominantly
excite the A0 mode was termed A0 configuration. However, there were only seven rectangular transducers, which
posed a setback in the implementation of the A0 configuration for the four specimens. So, an alternative solution
was adopted. A pair of rectangular PZT wafers would be used on the reference healthy sample, because it was
crucial to have a reliable reference signal. Moreover, a pair of rectangular PZT wafers would also be used on the
3 and 5 J impact specimens, because those were the plates damaged with the lowest impact energies, and
therefore the most difficult to evaluate. For the 10 J impact specimen, only one rectangular PZT wafer was used
because that was the plate damaged with the highest impact energy, and thus the less difficult to evaluate.
The PZT wafers were bonded to the surface of the specimens, using silver-loaded-conductive epoxy, as
depicted in figure 4.11a and 4.11b. The actuators in the S0 and A0 configurations were positioned in opposite
ends of the composite plate, according to the distances defined in figure 4.12 and listed in table 4.6.
a)
b)
Figure 4.11 Detailed view of the electric circuit for the a) A0 configuration, and for the b) S0 configuration (upper surface)
Table 4.6 Values of the distances indicated in figure 4.11, for each specimen
Specimen
Distance
Reference (cm)
3 J (cm)
5 J (cm)
10 J (cm)
D(A,S)A
4.25
4.2
4.2
4.3
D(A,S)S
4.2
4.2
4.2
4.3
D(S,S)
14
14
14
14
52
Figure 4.12 - Distances between actuator and sensor, and between two sensors
a)
b)
c)
Figure 4.13 Three levels of detail: a) setup for Lamb wave measurements in Phase 2, b) the two actuator configurations
and the two PZT sensors, and c) installation of one of the PZT sensors
53
All the Lamb wave measurements of Phase 2 were performed in the Applied Geophysics and
Petrophysics Laboratory, in the Faculty of Civil Engineering and Geosciences of TU Delft. An Aglient 33220A
arbitrary waveform generator was used to produce a 1 cycle-sinusoidal tone-burst with 400 mVpp. The electrical
signal was then amplified by an E/N 2100L RF 50dB power amplifier and transformed into mechanical waves
by the PZT wafer actuators, either in the S0 or in the A0 configuration. The response of the specimen was
captured by two Physical Acoustics Pico HF-1.2 PZT sensors in the pitch-catch configuration, glued by
Olympus Sonotech shear gel and strong adhesive tape. To complete the setup depicted in figure 4.13, the signals
were amplified by the 40 dB pre-amplifiers, and acquired by the PicoScope 4424, which was operated by the
PicoScope 6 software. The excitation signal was transmitted from the power amplifier to channel A through a
Yokogawa 700997 cable that reduces the amplitude by ten times in order to protect the digital oscilloscope from
overcharges. The sensor closest to the active actuation unit was connected to channel B, which was then called
channel 1. The sensor further away from the actuators was connected to channel C, which was then denoted
channel 2. The active actuation unit was changed from S0 configuration to A0 configuration when the desired
dominant mode was changed from S0 to A0.
Figure 4.14 Excitation signal for the damaged specimens: 1 cycle-sinusoidal tone-burst at 500 kHz (the real amplitude was
10 times higher)
For the undamaged reference sample, Lamb wave measurements were performed with both actuator
configurations, at frequencies ranging from 100 kHz to 2000 kHz, with increments of 100 kHz. For the damaged
specimens, Lamb wave measurements were performed with both actuator configurations, only at a frequency of
500 kHz. There was no National Instruments card available for performing the windowing of a 500 kHz signal,
as suggested in subsection 3.1.3, because it would require a sampling frequency of 10 MHz (20 times the signal
54
frequency). Therefore, in all the tests, only 1 cycle (see figure 4.14) was used in order to make the Lamb wave
response easier to interpret, as justified in subsection 3.1.3.
For each measurement, at each frequency, the PicoScope 4424 acquired 32 waveforms for each channel.
The algorithm described in subsection 3.1.5 was used to compute the Lamb wave group velocity. The TOF
between the actuator and each sensor was extracted through the AIC-picked onset times of the acquired signals,
and then used to divide the corresponding known propagation distance, yielding the group velocity of the desired
Lamb mode. During the measurements, the noise in the acquired signals was reduced by using the PicoScope 6
resolution enhancement tool, which uses the moving-average filter defined in subsection 3.1.4. An effective
resolution of 14 bits was chosen. The difference between that number and the baseline 12-bit vertical resolution
of the PicoScope 4424 was automatically used to set the size, M, of the moving-average filter equal to 16 bits,
according to table 4.7.
Table 4.7 Size of the moving-average filter as a function of the resolution enhancement [69]
Enhancement (bits)
0.5
1.0
1.5
2.0
16
2.5
32
3.0
64
3.5
128
4.0
256
55
56
Chapter 5
57
The successful identification of the desired Lamb mode, and thus the successful damage detection, was
entirely dependent on the correct selection of the time window. Therefore, it was very important to carefully
observe the waveforms. According to theory [47, 52, 56], three wave groups are expected to occur at 500 kHz,
corresponding to the zero-order symmetric Lamb mode (S0), the zero-order shear-horizontal mode (SH0), and the
zero-order anti-symmetric Lamb mode (A0), respectively. Figure 5.2 shows the Lamb wave response of the
reference healthy sample after being excited by the A0 configuration at 500 kHz. For channel 1 (figure 5.2a),
although the clear onset of the signal yields the S0 mode, it is not possible to distinguish three isolated groups. At
about 0.06 ms there is a wave group which has slightly higher amplitude than the surrounding ones, probably
corresponding to the A0 mode, since the A0 actuator configuration was optimized for the predominant generation
of that mode. For channel 2 (figure 5.2b), three groups are undoubtedly observed. The third one, at
approximately 0.07 ms, clearly stands out from the rest, whereas the first one is diminished, confirming the
theoretical results, and proving that the A0 configuration was able to selectively excite the A0 Lamb mode at 500
kHz. It should be noted that a clearer separation of the different modes was achieved, because channel 2 was
further away from the actuation unit. This occurrence demonstrated the dispersion phenomenon in the Lamb
wave propagation
58
Figure 5.2 Response of healthy sample for the A0 configuration, at 500 kHz, extracted a) from channel 1, and b) from
channel 2
Figure 5.3 - Response of healthy sample for the S0 configuration, at 500 kHz, extracted a) from channel 1, and b) from
channel 2
59
Contrary to the A0 configuration, the Lamb wave response for the S0 configuration clearly shows a
predominant generation of the S0 mode and a suppression of the A0 mode, as can be seen by the first wave groups
in the signals depicted in figures 5.3a and 5.3b. After the waveform analysis, it is valid to say that the first wave
group is the S0 Lamb mode, and the third corresponds to the A0 mode. Therefore, the S0 mode was investigated in
both channels for the S0 configuration, and the A0 mode was investigated only in channel 2 for the A0
configuration.
Following the algorithm described in subsection 3.1.5, the TOF between the actuation unit and each
PZT sensor was set equal to the arrival time for each channel, and then used to divide the corresponding known
propagation distance, yielding the group velocity of the desired Lamb mode. The statistical analysis was
performed using the mean value, the standard deviation, and the coefficient of variation, CV (the ratio of the
standard deviation to the mean value) [70]. So, the group velocity at each tested frequency was established as the
mean value of the 7 extracted values. This procedure was applied to determine the experimental dispersion
curves. In figure 5.4, the experimental group velocities extracted from channel 2 for both configurations, plotted
as a function of frequency, are compared with the theoretical values.
The S0 velocities show good agreement with the theoretical results, whilst the A0 velocities show a
larger deviation from the predicted curve. This is probably related to the nature of each Lamb wave mode. As
referred in subsection 3.1.1, the S0 particle motion is quasi-axial, while A0 has a quasi-flexural displacement
field. Moreover, contrary to isotropic materials, group velocity is direction-dependent in composite plates. Thus,
the S0 mode energy can be more easily propagated than the energy of the A0 mode, because there are fibres in the
60
plane of propagation. The absence of fibres along the flexural displacement field yields an A0 group velocity
lower than in isotropic material. The CV for the velocity measurements varied between 0.07% and 0.38% for the
S0 configuration, the changes are more obvious. There is a clear amplitude reduction in the first group (S0 mode),
which gets stronger as the damage energy increases. In channel 2, the amplitude reduction for 5 and 10 J is
almost total, may indicate coalescing delaminations. In channel 1, the delay in the onset of the first group for the
5 and 10 J damage clearly reveals a group velocity reduction for the S0 mode.
Hence, the qualitative evaluation demonstrates that the multiple BVID is capable of inducing changes in
the Lamb wave response of the whole composite plate, since variations were captured by sensors ahead and
behind the damaged area
Figure 5.5 - Signals from channel 1, for the A0 configuration at 500 kHz, for impact energies of a) 3 J, b) 5 J, and c) 10 J
61
Figure 5.6 Signals from channel 2, for the A0 configuration at 500 kHz, for impact energies of a) 3 J, b) 5 J, and c) 10 J
Figure 5.7 - Signals from channel 1, for the S0 configuration at 500 kHz, for impact energies of a) 3 J, b) 5 J, and c) 10 J
62
Figure 5.8 - Signals from channel 2, for the S0 configuration at 500 kHz, for impact energies of a) 3 J, b) 5 J, and c) 10 J
It is important to mention one experimental occurrence, for the sake of experimental honesty. During
the tests, the excitation signal amplitude was set at 400 mVpp on the waveform generator, yielding a signal with
approximately 300 Vpp after amplification, as depicted in figure 4.14. All the Lamb wave measurements, for both
healthy and damaged specimens, were performed with that amplitude value, and only the frequency was varied
(when necessary). However, unexplainably, for the 5 and 10 J damage levels with the S0 configuration, the
excitation signal amplitude captured was approximately 3 times smaller, exacerbating the amplitude difference
between the pristine and the two damaged states. This occurrence reduces the validity of any conclusions
regarding the amplitude that may be drawn from those two measurements. The conclusions related to the group
velocity are unaffected, since the difference is only in signal amplitude. Thus, in order to make sense out of that
data, it was decided to multiply the signals extracted from those measurements (all three channels) by a factor.
The factor is equal to the ratio between the excitation signal amplitude at the pristine condition, and the
excitation signal amplitude at those two damage levels, yielding a value of 3.0487. This a valid approximation,
as shown by Su and Ye in their paper Selective generation of Lamb wave modes and their propagation
characteristics in defective composite laminates [52]: For a thin piezoelectric disc of thickness hPZT, the inplane strains, r-PZT and -PZT will be generated when an external voltage, V, is applied.
h; h; )
M
i;
(5.1)
The above relation shows it is valid to use the corrected signals to draw conclusions regarding the
amplitude, since the excitation strains transmitted to the laminates were multiples of the applied voltage, which
63
remained in the linear region of the PZT response. Therefore, the dynamic behaviour of the signals is totally
unaffected by the multiplication. The responses plotted in figures 5.7b, 5.7c, 5.8b and 5.8c are the corrected
signals.
The quantitative evaluation of the changes was done according to the Damage Index approach [3], by
defining the lag coefficient and the attenuation coefficient in equations (5.2) and (5.3). The lag is based on the
ratio between the damaged and undamaged group velocities, vd and vu, respectively. The attenuation uses the
ratio between the damaged and undamaged signal amplitudes, Ad and Au, respectively. Both coefficients are
dimensionless and between 0 and 1. This way, it was possible to relate the reduction in group velocity and
amplitude with damage severity.
$ &
$ &
a)
(5.2)
^
^
(5.3)
b)
c)
Figure 5.9 Lag and attenuation coefficients for a) A0 configuration, channel 2, b) S0 configuration, channel 1, and c) S0
configuration, channel 2
64
The group velocity and amplitude were determined using the statistical approach, according to which
the values are taken as the average of the 7 values extracted for each impact energy. So, for the A0 configuration
the lag and attenuation coefficients from channel 2 are plotted in figure 5.9a. For the S0 configuration, the
coefficients from channels 1 and 2 are plotted in figures 5.9b and 5.9c, respectively. The amplitudes used for
5.9a, 5.9b and 5.9c were measured in the 4th, 2nd, and 3rd peaks, respectively, of the groups of the desired Lamb
modes, because those were the highest peaks in the corresponding groups of the reference signals.
For the A0 configuration, the 3 and 5 J damages produced very small group velocity variations (3.1%
and 0.3%, respectively), but for 10 J a lag coefficient of about 30.9% was obtained. With the S0 configuration,
the 3 J level was practically not detected in both channels, because the lag coefficient remained approximately
zero. However, for 5 and 10 J, both channels detected clear reductions of S0 group velocity. In channel 1 the lag
coefficient was around 23.7% for both energies, while in channel 2 it was 9.9% and 11.7%.
Contrary to the group-velocity-based-detection, the evaluation of the attenuation coefficient allowed the
detection of the three damage levels with the A0 configuration, yielding 28.9%, 31.1% and 60.6% for 3, 5 and 10
J, respectively. For the S0 configuration, the 3 J impacts remained practically undetected, with 9.5% and 0.5% for
channel 1 and 2, respectively. Only the 5 and 10 J energies were detected, with 54.8% and 87.95% for channel 1
and 2, and 46.5% and 95.6% for channels 1 and 2, respectively. So, although all the damage energies are
detected with A0 configuration, the S0 configuration presents higher attenuation coefficients for 5 and 10 J, and a
clearer difference between levels. It is important to mention that for this quantitative evaluation, only channel 2
was used for the A0 configuration, because it was not possible to unambiguously identify the A0 mode in channel
1.
From the results of the S0 configuration, channel 1 shows more sensitivity to group velocity reductions
than channel 2, which means that the group velocities measured from channel 2 are lower. This fact is related to
the dispersive nature of Lamb waves. The signal captured by channel 2 travels a larger distance from the
actuation unit to the sensor, yielding more changes in the waveform, and therefore a detrimental effect on group
velocity. So, it seems more suitable to evaluate the lag coefficient in channel 1. Following this idea, if it had
been possible to identify the A0 mode in channel 1, group-velocity-based-detection for the A0 configuration
should also be done with that channel, which would probably yield higher lag coefficients. The comparison
between lag and attenuation coefficients shows that the amplitude-based-detection is more sensitive to the
presence of multiple BVID, for both configurations and channels, than the group-velocity-based-detection.
Theoretically, the A0 mode should be more sensitive to the presence of BVID, because its wavelength is
smaller than the S0 wavelength at the same frequency. Yet, the results for the A0 configuration are not as clear as
those for S0 configuration. This discrepancy between theoretical and experimental detection capabilities is most
likely due to the chosen optimization procedure for the generation of the Lamb wave modes. The configuration
for the selective generation of the S0 mode depends only on the correct alignment of the two circular PZT wafers
in opposite surfaces of the plate. On the other hand, the configuration for the predominant excitation of the A0
mode depends on the correct definition of the inter-element distance between rectangular PZT wafers, which
must be a multiple of the wavelength, as described in subsection 3.1.5. Thus, it is necessary to have previous
knowledge of the A0 phase velocity at the desired frequency. In this case, the wavelength was calculated using
the theoretical phase velocity at 500 kHz from the theoretical dispersion curve in figure 4.2. That theoretical
value differs from the actual phase velocity in the composite plate, because that curve is only entirely valid for
65
isotropic material. So, by using the theoretical value to tune the inter-element distance, the two rectangular PZT
wafers were not truly optimized for the predominant excitation of the A0 mode in the composite specimens,
yielding more complex waveforms. Therefore, it was more difficult to distinguish the boundaries of the A0 group
than those of the S0 group, and consequently the results for the A0 configuration are not as accurate as the one for
the S0 configuration.
Furthermore, it is much easier to pick the onset of the S0 mode (first group) than the onset of the A0
mode (third group), which also leads to more inaccuracies in the extraction of the A0 mode.
Thereby, it does not necessarily mean that the S0 Lamb wave mode is more sensitive to multiple BVID
than the A0 mode. It may also indicate that the A0 was not properly generated, nor extracted. Nevertheless, for the
experimental setup used, the S0 configuration proved to be more sensitive to multiple BVID.
Alternatively, the best results for the S0 to BVID may prove that it occurs deeper in the plate thickness,
since the S0 mode is expected to be more sensitive to in-depth damage, while the A0 is expected to be more
sensitive to surface damage, as stated in subsection 3.1.1. This would be a justification for the results obtained
with the A0 configuration.
An interesting fact to discuss is the difference between single and multiple BVID in composites, and the
effect of those differences in the detection results. According to Diamanti et al. [53], a single 8 J impact on a
plate with 2.3 mm of thickness, produced a damage area of approximately 225 mm2, and an amplitude ratio of
about 18%. Grondel et al. [51] were able to detect an almost totally attenuated Lamb wave signal, after inducing
a single 24 J impact on a plate with 4.78 mm of thickness. In this study, the multiple 5 J impacts yielded an
attenuation of 54.8% for channel 1 in the S0 configuration. Therefore, it seems valid to say that multiple BVID
has a more severe effect on the structural integrity of the composite plate than one single impact at slightly
higher energy.
The statistical approach in the Lamb wave measurements was used to take into account the
experimental variability, which was measured by the coefficient of variation, CV. For the measurements in the
damaged specimens, the CV varied between 0.03% and 0.74% for the group velocity, and between 0.31% and
14.86% for the signal amplitude. The experimental variability within the measuring process has several causes:
1) electronic noise
2) signal drift and offset
3) PicoScope inherent errors (DC accuracy is 1% of full scale, vertical resolution is 12 bits, according to
manufacturer [71])
4) PicoScope filtering error
5) sensor non-linearities
6) influence of temperature and humidity on the coupling properties between the sensors and the plates
(within the gel and the adhesive tape)
Additionally and more importantly, there are inaccuracies in the time window selection for the AICpicking process, especially for the A0 configuration, posing questions regarding the suitability of the AIC-picker
program to detect the onset time of the group of the A0 Lamb mode. Another source of error that has already
66
been addressed is the (in)efficiency in the selective generation of the A0 Lamb wave mode. Moreover, there are
also errors in measuring the distance between sensors, which induces errors in the calculated group velocity.
The results for the S0 configuration are coherent with the Shearography and C-scan results presented in
sections 5.2 and 5.3, respectively, since the 3 J level was not detected, and the 5 and 10 J damages were clearly
identified, with significant differences between energies.
67
the out-of-plane strain induced by the applied multiple BVID. This is a curious fact. The comparison between
figures 5.13c and 5.14c, shows that x shear generates shearograms where it is possible to observe the structure
details more clearly, and yet not all impacts can be identified. The existence of undetected damages also suggests
that there are impacts, namely points 1 and 3, which were less severely applied than others.
a)
b)
Figure 5.10 - Shearograms for the undamaged specimen, for 5 seconds of heating, with a) x-shear, and b) y-shear
For the 5 J damage, the average damage area for x and y shears remained approximately equal to 0.15
2
cm and 0.20 cm2, respectively, as the heating time increased. With x shear, the CV was 30.89%, 35.74%, and
38.37%, for 5, 10, and 15 s heating, respectively. With y shear, the CV was 40.16%, 36.59%, and 40.39%, for 5,
10, and 15 s heating. The average values and the CV were always higher for the y shear, which may have two
interpretations. Higher mean value may indicate that the y shear allows an evaluation of the real damage severity.
On the other hand, higher CV indicates more variability in the measuring process, and thus a less reliable
evaluation.
The 10 J impacts were all detected, with both x and y shears, and for all the heating times. In tables 5.4,
5.5 and 5.6, the yellow lines for points 4 and 5 indicate overlapping damage areas, which may imply coalescence
of internal delaminations. The average damage area increased with loading time. With x shear, the average
damage area was 0.41, 0.50, and 0.66 cm2, for 5, 10, and 15 s heating, respectively. With y shear, the average
damage area was 0.51, 0.74, and 0.75 cm2, for 5, 10, and 15 s heating, respectively. The CV had a similar
evolution. With x shear, the CV was 32.59%, 45.45%, and 28.08%, for 5, 10, and 15 s heating, respectively.
With y shear, the CV was 15.97%, 32.55%, and 23.34%, for 5, 10, and 15 s heating, respectively. So, in this
case, the trend was different from the 5 J case, because, although the average values were higher for the y shear,
the CV was lower for the y shear. Thereby, the evaluated damage severity is closer to reality and the variability
in the measuring process is lower, yielding a more reliable evaluation. Again, this seems to suggest that the y
shear is more sensitive to applied multiple BVID, especially if combined with moderate loading times.
68
a)
b)
c)
Figure 5.11 - Shearograms for the 3 J specimens, with x shear, loaded for a) 5s b) 10s, and c) 15 s
69
a)
b)
c)
Figure 5.12 - Shearograms for the 3 J specimens, with y shear, loaded for a) 5s b) 10s, and c) 15 s
70
a)
b)
c)
Figure 5.13 - Shearograms for the 5 J specimens, with x shear, loaded for a) 5s b) 10s, and c) 15 s
71
a)
b)
c)
Figure 5.14 - Shearograms for the 5 J specimens, with y shear, loaded for a) 5s b) 10s, and c) 15 s
72
a)
b)
c)
Figure 5.15 - Shearograms for the 10 J specimens, with x shear, loaded for a) 5s b) 10s, and c) 15 s
73
a)
b)
c)
Figure 5.16 - Shearograms for the 10 J specimens, with y shear, loaded for a) 5s b) 10s, and c) 15 s
74
Table 5.1 Shearography results: damage areas of the ten impact points for the 5 J specimen, with 5 s heating
5 J specimen, 5 seconds
x shear
y shear
2
Points
Diameter (cm)
Area (cm )
Diameter (cm)
Area (cm2)
0.00
0.00
0.00
0.00
0.31
0.08
0.00
0.00
0.00
0.00
0.00
0.00
0.51
0.21
0.63
0.31
0.48
0.18
0.51
0.21
0.46
0.16
0.54
0.23
0.51
0.21
0.46
0.16
0.48
0.18
0.51
0.21
0.34
0.09
0.26
0.05
10
0.48
0.18
0.48
0.18
Avg.
0.16
0.19
Std. Dev.
0.05
0.08
CV (%)
30.89
40.16
Table 5.2 - Shearography results: damage areas of the ten impact points for the 5 J specimen, with 10 s heating
5 J specimen, 10 seconds
x shear
y shear
Points
Diameter (cm)
Area (cm2)
Diameter (cm)
Area (cm2)
0.31
0.08
0.00
0.00
0.31
0.08
0.29
0.06
0.00
0.00
0.00
0.00
0.48
0.18
0.57
0.26
0.48
0.18
0.57
0.26
0.51
0.21
0.60
0.28
0.46
0.16
0.54
0.23
0.46
0.16
0.54
0.23
0.37
0.11
0.40
0.13
10
0.54
0.23
0.60
0.28
Avg.
0.15
0.22
Std. Dev.
0.06
0.08
CV (%)
35.74
36.59
75
Table 5.3 - Shearography results: damage areas of the ten impact points for the 5 J specimen, with 15 s heating
5 J specimen, 15 seconds
x shear
y shear
2
Points
Diameter (cm)
Area (cm )
Diameter (cm)
Area (cm2)
0.34
0.09
0.29
0.06
0.34
0.09
0.40
0.13
0.00
0.00
0.40
0.13
0.51
0.21
0.48
0.18
0.51
0.21
0.57
0.26
0.57
0.26
0.63
0.31
0.46
0.16
0.54
0.23
0.46
0.16
0.54
0.23
0.31
0.08
0.40
0.13
10
0.48
0.18
0.54
0.23
Avg.
0.16
0.19
Std. Dev.
0.06
0.08
CV (%)
38.37
40.39
Table 5.4 - Shearography results: damage areas of the ten impact points for the 10 J specimen, with 5 s heating
10 J specimen, 5 seconds
x shear
y shear
Points
Diameter (cm)
Area (cm2)
Diameter (cm)
Area (cm2)
0.60
0.28
0.74
0.43
0.60
0.28
0.74
0.43
0.54
0.23
0.83
0.54
0.88
0.61
0.71
0.40
0.74
0.43
0.91
0.65
0.68
0.37
0.83
0.54
0.86
0.57
0.83
0.54
0.80
0.50
0.88
0.61
0.63
0.31
0.83
0.54
10
0.77
0.47
0.77
0.47
Avg.
0.41
0.51
Std. Dev.
0.13
0.08
CV (%)
32.59
15.97
76
Table 5.5 - Shearography results: damage areas of the ten impact points for the 10 J specimen, with 10 s heating
10 J specimen, 10 seconds
x shear
y shear
2
Points
Diameter (cm)
Area (cm )
Diameter (cm)
Area (cm2)
0.63
0.31
0.80
0.50
0.57
0.26
0.74
0.43
0.60
0.28
0.77
0.47
1.08
0.92
1.11
0.97
0.97
0.74
0.88
0.61
0.63
0.31
1.03
0.83
0.91
0.65
0.97
0.74
0.74
0.43
1.17
1.07
0.77
0.47
0.97
0.74
10
0.91
065
1.17
1.07
Avg.
0.50
0.74
Std. Dev.
0.23
0.24
CV (%)
45.45
32.55
Table 5.6 Shearography results: damage areas of the ten impact points for the 10 J specimen, with 15 s heating
10 J specimen, 15 seconds
x shear
y shear
Points
Diameter (cm)
Area (cm2)
Diameter (cm)
Area (cm2)
0.86
0.57
0.97
0.74
0.68
0.37
0.77
0.47
0.74
0.43
0.86
0.57
0.97
0.74
1.08
0.92
0.97
0.74
0.97
0.74
1.03
0.83
0.97
0.74
1.05
0.87
0.94
0.69
1.00
0.78
1.17
1.07
0.77
0.47
0.91
0.65
10
1.03
0.83
1.05
0.87
Avg.
0.66
0.75
Std. Dev.
0.19
0.17
CV (%)
28.08
23.34
77
The number of undetected 5 J impact points is larger for shear in the y direction probably because that is
the orientation with the smaller number of fibres, and therefore the direction of lower thermal conductivity in the
composite plate [72]. The thermal load is better distributed along the x direction, inducing clearer changes in the
concentration of the out-of-plane strain. However, the coefficient of thermal expansion across the majority of the
fibres is higher than in the other directions [72]. So, it seems that, at 15 s heating, the load is high enough to
promote the thermal expansion along the y direction, and thus induce visible changes in the out-of-plane strain
concentration.
In a general way, for 15 s of loading it is possible to observe more impact details more clearly, namely
the small 45 degree surface cracks which were observed through the optical microscope (see section 5.4). This is
consistent with theory, because, according to equations (3.27), the phase change increases as the loading
increases. So, clearer changes in the out-of-plane strain concentrations are achieved when a longer heating is
applied, allowing a more reliable evaluation of the damage severity.
The small changes in the Lamb wave response for 3 J, and the clear increase in the lag and attenuation
coefficients for 5 and 10 J in the S0 configuration are in agreement with the Shearography results, for both shear
directions, pointing to the S0 configuration as a more accurate damage detection setup. Yet, the differences in
damage severity between 5 and 10 J are not identified by the Lamb wave method. The fact that the Lamb wave
method captures the dynamic behaviour of the structure allows a more accurate evaluation of the consequences
of damage for structural integrity.
An extensive comparison between the Shearography and C-scan results is made in section 5.3.
When evaluating the measured damage areas it is necessary to pay attention to the spatial resolution of
the shearogram. If a 1 x 1 mm2 surface area is considered, and a shear amount of 2.5 mm is applied (as in the
present study), then the signal in the shearing direction is the average strain of 2.5 areas of 1 x 1 mm2. In the
other direction, the resolution depends on the lens and pixel resolution of the CCD-camera. However, the image
processing described in subsection 3.2.2 induces a resolution loss, which is related to the number of pixels inside
the filter window.
The calculation of the phase change, , through the phase-shift also introduces errors. They are
generated by the inaccuracies in the piezoelectric-driven movement of the mirrors of the modified Michelson
interferometer, and by the existence of very small denominators when equation (3.30) is used to compute the
phase change.
For the Shearography tests performed in this project, eight lasers were used so that the light intensity
would be enough to generate clear shearograms. This unusual large number of lasers introduced more signal
noise, which may have slightly reduced the accuracy of the measurements.
78
are visible near the lower edge of the plate, the central part is not affected, and, in fact, the standard deviation of
the attenuation distribution in that area was lower than the standard deviation in the C-scan reference sample.
The damaged specimens were tested with the same C-scan configuration, and the obtained attenuation
maps are presented in figure 5.18. The colour code for the dB attenuation levels is light blue for nearly -55 dB,
and purple for nearly 108.4 dB. As with Shearography, the 3 J BVID was not detected and it is possible to
observe a clear distinction between the 5 and 10 J impact energies. Furthermore, for each of the detected
energies, there are some impact points more severe than others. In figure 5.18c, the 10 J impacts have a
characteristic purple ring of more severely damaged material around a small blue, less damaged region. This
occurrence was confirmed by the optical microscope observations of the plate surface in section 5.4.
In a quantitative analysis, the evaluation was done by measuring the approximately circular area around
each impact point, similarly to the approach used for Shearography. The C-scan results are summarized in table
5.7. Impact point 3 stands out from the others, because it has the smallest damage area, confirming it is the less
severe of all. That is why it was the most difficult point to identify in Shearography tests. The C-scan mean
values of the measured damage areas for 5 and 10 J, 0.33 cm2 and 1.03 cm2 respectively, are larger than the
corresponding values for all the Shearography tests. Additionally, the C-scan CV values for 5 and 10 J, 42.37%
and 17.44%, respectively, are very similar to the values obtained with Shearography. So, it is possible to
conclude that the C-scan allowed the detection of a more real damage severity, with the same level of reliability
as Shearography.
79
a)
b)
c)
Figure 5.18 Attenuation maps of the damaged specimens: a) 3 J, b) 5 J, and c) 10 J
80
Table 5.7 C-scan results: Damage areas of the ten impact points for the 5 and 10 J specimens
5 J specimen
10 J specimen
2
Points
Diameter (cm)
Area (cm )
Diameter (cm)
Area (cm2)
0.49
0.19
1.09
0.94
0.52
0.21
1.01
0.81
0.39
0.12
0.99
0.77
0.78
0.48
1.27
1.27
0.75
0.45
1.17
1.08
0.81
0.51
1.25
1.22
0.62
0.31
1.17
1.08
0.68
0.36
1.22
1.17
0.52
0.21
1.04
0.85
10
0.75
0.45
1.20
1.12
Avg.
0.33
1.03
Std. Dev.
0.14
0.18
CV (%)
42.37
17.44
Nevertheless, the relatively high coefficient of variation for the C-scan and Shearography measurements
denotes the existence of errors in the application of the impact energy. On one hand, there is approximately a 1
cm (0.12 J) inherent error when setting the height to apply a certain level of impact energy, because there is no
real ruler attached to the pulling system of the impact tower. So, naturally, not all the impacts of a certain level
had the same intensity. On the other hand, the application of BVID in multiple points required the specimens to
be moved between the aluminium frames, instead of the whole clamping device with the plates on it, because the
available space underneath the impact tower was limited. So, there were some positions of the plates inside the
clamping device that prevented some bolts to be screwed, allowing small movements of the composite plates
during the impacts. Thus, the energy was not entirely transmitted to the material, and all the impacts occurred
slightly to the left of the ink mark.
The relatively high CV may also indicate that the damage-area-measuring technique is not accurate
enough, since it is based on visual inspection of the acquired images.
The yellow lines in the 10 J column of table 5.7 denote impact points 4, 5 and 6, whose damage areas
are overlapped in figure 5.18c. This overlapping may be caused by the proximity of the small surface cracks, or
by the coalescence of internal delaminations. So when comparing the overlapping of points 4 and 5 in the 10 J
shearograms, with the overlapping of points 4, 5 and 6 in the 10 J C-scan images, attention should be paid to the
difference in the resolutions of the two NDT methods. The water jet of the C-scan system is approximately 6 mm
in diameter. So, if a 1 x 1 mm2 surface area is considered, the water jet captures the combined attenuation of
nearly 19 areas of 1 x 1 mm2 within its diameter. Therefore, contrary to what was previously described for
Shearography, the C-scan resolution is less fine, which may indicate that some features may not be actually
overlapped.
It is important to note that the Shearography results for y shear and 15 s heating are the closest to the Cscan results, showing good agreement between both NDT methods. Thus, it seems valid to say that, for the used
81
material, lay-up sequence, distance lamp-samples, and powers of the laser and lamp, Shearography is almost as
sensitive as C-scan, when proper loading is applied. The C-scan results confirm that the S0 configuration in the
Lamb wave tests was the most suitable for the detection of multiple BVID.
Table 5.8 Damage areas of the circular impact spots observed by optical microscope
E (J)
Diameter (cm)
Area (cm2)
0.23
0.041
10
0.26
0.054
82
a)
b)
c)
Figure 5.19 Microscopic observations of the surface of the damaged specimen: a) 3 J impact, b) 5 J impact, and c) 10 J
impact
83
a)
b)
Figure 5.20 Details of the 45 degree cracks of the 10 J impact: a) crack tip, b) middle of the crack
These small up lifting cracks probably conceal internal delaminations underneath, because they are not
confined to the surface layer. Hence, the growth of the small cracks seems to be the cause for the increase in the
measured damage area from 5 to 10 J in the Shearography and in the C-scan results.
84
Chapter 6
85
In the digital Shearography measurements, shear in the x and y direction was combined with three
different heating times, in order to study the effect of the loading time on the detection capabilities of the
shearograms. None of the configurations revealed the 3 J impacts. The 5 J multiple BVID was partially detected
by the x shear, and only with y shear and 15 s heating it was possible to identify all the 5 J damages. The 10 J
impacts were all detected, for both configurations and all the loading times, with the combination of y shear and
15 s heating having the best results.
The ultrasonic C-scan was able to detect the 5 and 10 J damages, and confirmed the higher reliability of
the results from the combination of y shear with 15 s loading. Both the Shearography and the C-scan images
showed some overlapped impact points, probably revealing subsurface delaminations. This suspicion was then
substantiated by microscopic observations of the plate surface, where small 45 degree cracks were identified. So,
it was concluded that, for the tested specimens and experimental setup, Shearography can be as reliable as Cscan, as long as appropriate loading is applied. At the end, the Lamb wave results for the S0 configuration,
together with the Shearography and C-scan images formed a coherent set of NDT results regarding multiple
BVID.
One of the big issues in the study of NDT is the quest for the detection threshold of each technology.
From this study it was possible to draw some conclusions that show the duality in this matter. The three
techniques seem to coherently point somewhere between 3 J and 5 J as the lowest detectable impact energy.
Nevertheless, it also appears that the detection threshold is not imposed by the measuring technology, but by the
material. The specimens used in this study had a 2.24 mm thickness, and the 5 J impacts were strong enough to
produce detectable damage. However, if a 20 mm thickness plate was impacted at 5 J, probably the induced
damage would not be severe enough to be identified. Therefore, a detection threshold can only be defined with
respect to a property of the material.
86
at a certain frequency, yielding a better tuning of the A0 configuration with the rectangular PZT wafers. On the
other hand, a better way to improve the A0 Lamb mode selective generation would be by using circular PZT
wafer actuators on opposite plate surfaces, excited in anti-phase, as described in subsection 3.1.3. This solution
would also save money, since the same circular wafers would be used for both the A0 and S0 configurations. To
optimize the acquisition of the Lamb wave response, the sensors should also be circular PZT wafers, instead of
conventional piezoelectric transducers. A better A0 configuration would help to minimize the errors in the
selection of the time-window for the AIC-picking of the onset time of the A0 group. Consequently, the errors in
the computation of the group velocity of the A0 Lamb mode would also be minimized. With the A0 excitation
properly tuned, it would be possible to conduct an unambiguous investigation in order to determine which Lamb
mode is actually the best one to detect BVID.
In order to reduce part of the experimental variability, the application of different impact energies
should be done by changing the impact mass instead of varying the dropping height. This way the changes in
impact energy would be more accurately quantified. It should be noted that an increase in mass has a direct,
more damaging effect upon the plate due to the momentum transmitted during the impact, while an
increase in height only increases the momentum p i times.
In a damage tolerance approach, it would be interesting to perform fatigue tests with a relevant load
spectrum, to evaluate the residual strength of the plates after the application of multiple BVID. It would be also
interesting to test more impact energies within the range 3 15 J, to have a better understanding of the
relationship between the detection parameters of the Lamb wave method and the actual damage severity,
yielding great progress towards the implementation of Structural Health Monitoring systems in aircrafts.
87
88
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96
Appendix A
MATLAB codes
A.1 Calculation of the laminate properties
function [E_med,rho_ply,niu_med,lam_t] = laminate
% MATERIAL - Toray M30SC-150/DT120-34F prepreg
% Fibre properties
Ef = 294e9; % fibre tensile modulus - Pa
v_f = 0.60; % fibre volume
rho_f = 1730; % fibre density - kg/m^3
niu_f = 0.3; % poisson's ratio of carbon fibre
Gf = Ef / (2 * (1 + niu_f)); % shear modulus of the fibre - Pa
% Resin properties
Em = 7.8e9; % resin compression modulus - Pa
v_m = 1 - v_f; % matrix volume
rho_m = 1270; % cured resin density - kg/m^3
niu_m = 0.4; % poisson's ratio of cured epoxy resin
Gm = Em / (2 * (1 + niu_m)); % shear modulus of the resin - Pa
% Prepreg properties
ply_t = 1.6e-4; % cured ply thickness - m
%rho_ply = (v_f * rho_f) + (v_m * rho_m); % ply density - kg/m^3
rho_ply = 1760; %property given
% LAMINA properties - lamina principal coordinates
% E1 = (Ef * v_f) + (Em * v_m);
% E2 = (Ef * Em) / ((Ef * v_m) + (Em * v_f));
E1 = 155e9; % property given
E2 = 7.8e9; % property given
%G12 = (Gf * Gm) / ((Gf * v_m) + (Gm * v_f));
G12 = 5.5e9; % property given
% niu_12 = (niu_f * v_f) + (niu_m * v_m);
niu_12 = 0.27; % property given
niu_21 = niu_12 * (E2 / E1);
Q11
Q12
Q22
Q66
=
=
=
=
E1 / (1 - (niu_12 * niu_21));
(niu_12 * E2) / (1 - (niu_12 * niu_21));
E2 / (1 - (niu_12 * niu_21));
G12;
97
A = zeros(3,3);
% Lamninate stiffness matrix in the global coordinate system
for i = 1:3
for j = 1:3
for k = 1:n
theta = lay_up(k) * (pi / 180);
c = cos(theta);
s = sin(theta);
T = [c^2 s^2 -2*c*s;s^2 c^2 2*c*s;c*s -c*s (c^2)-(s^2)];
Qg = T * Q * T';
A(i,j) = A(i,j) + Qg(i,j) * ply_t;
end
end
end
% Laminate mechanical properties
A_inv = inv(A);
Ex = (lam_t * A_inv(1,1))^-1
Ey = (lam_t * A_inv(2,2))^-1
thickness_mm = lam_t * 1000
niu_yx = -Ey*(lam_t*A_inv(1,2))
niu_xy = -Ex*(lam_t*A_inv(2,1))
% Averaged material approximated as isotropic
E_med = (Ex + Ey) / 2
niu_med = (niu_yx + niu_xy) /2
miu = E_med / (2* (1 + niu_med));
lambda = (E_med * niu_med) / ((1 - (2 * niu_med)) * (1 + niu_med));
% Velocities of transverse and longitudinal waves in the material
% considered as isotropic
c_t = sqrt(miu / rho_ply)
c_l = sqrt((lambda + (2 * miu)) / rho_ply)
end
98
=
=
=
=
if type == 1
res = (a / b) + (c / d);
else
res = (a / b) + (d / c);
end
end
clc
close all
clear all
opt = optimset;
opt.Display = 'off';
99
% Laminate properties
[E,rho,niu,t] = laminate;
% Frequency range - when f=0 there is no wave
f = 1 : 20e3 : 1500e3;
% Lam constants
miu = E / (2 * (1 + niu));
lambda = (E * niu) / ((1 - (2 * niu)) * (1 + niu));
ct = sqrt(miu / rho);
cl = sqrt((lambda + (2 * miu)) / rho);
csi = sqrt((ct^2) / (cl^2));
100
if i ==1
dcp_df(i) = (c_phase_2(i+1) - c_phase_2(i)) / (f(i+1) - f(i));
elseif i == length(f)
dcp_df(i) = (c_phase_2(i) - c_phase_2(i-1)) / (f(i) - f(i-1));
else
dcp_df(i) = (c_phase_2(i+1) - c_phase_2(i-1)) / (f(i+1) - f(i-1));
end
% group velocity
c_group_2(i) = c_phase_2(i) / (1 - ((f(i) / c_phase_2(i)) *...
dcp_df(i)));
end
% phase velocity
figure()
plot(f/1000,c_phase_1,'b',f/1000,c_phase_2,'r')
axis([0 650 0 7000])
title('Phase velocity')
%legend('A_0 mode','S_0 mode')
xlabel('Frequency (kHz)')
ylabel('Phase velocity (m/s)')
% group velocity
figure()
plot(f/1000,c_group_1,'b',f/1000,c_group_2,'r')
axis([0 650 0 7000])
title('Group velocity')
%legend('A_0 mode','S_0 mode')
xlabel('Frequency (kHz)')
ylabel('Group velocity (m/s)')
101
102
Appendix B
103
104
Appendix C
105