Basic Design Policies
Basic Design Policies
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when bicyclists and pedestrians perceive an increase in safety due to lower design speeds. Where a reason for limiting speed is obvious to approaching drivers or bicyclists, they are more apt to accept a lower operating speed than where there is no apparent reason for it. A highway carrying a higher volume of traffic may justify a higher design speed than a lower classification facility in similar topography, particularly where the savings in user operation and other costs are sufficient to offset the increased cost of right of way and construction. A lower design speed; however, should not be assumed for a secondary road where the topography is such that drivers are likely to travel at higher speeds. Subject to the above discussion, on high-speed facilities as high a design speed as feasible should be used. Highway context in terms of area place type, land use, types of users, etc. need to also be considered when determining the appropriate design speed for lower speed facilities. It is preferable that the design speed for any section of highway be a constant value. However, during the detailed design phase of a project, special situations may arise in which engineering, economic, environmental, or other considerations make it impractical to provide the minimum elements established by the design speed. See Index 82 for documenting localized exception to features preventing the standard design speed. The cost to correct such restrictions may not be justified. Technically, this will result in a reduction in the effective design speed at the location in question. Such technical reductions in design speed shall be discussed with and documented as required by the Design Coordinator. Local streets or roads within the State right of way, including facilities which will be relinquished after construction (such as frontage roads), shall have minimum design speeds conforming to AASHTO standards, as per the functional classification of the facility in question. If the local agency having jurisdiction over the facility in question maintains design standards that exceed AASHTO standards, then the local agency standards should apply.
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Where the local facility connects to a freeway or expressway (such as ramp terminal intersections), the design speed of the local facility shall be a minimum of 35 miles per hour. However, the design speed should be 45 miles per hour when feasible. Every effort should be made to avoid decreasing the design speed of a local facility through the State's right of way, and all due consideration should be given to local plans to upgrade or improve the facility in the near future.
Arterial streets, Non-Main 40-60 Streets Arterial streets, Main Streets 30-40 in Community Centers and Downtown Cores LOCAL FACILITIES (Within State right of way) Facilities crossing a freeway or expressway, connecting to a conventional highway or traversing a State facility Facilities connecting to a freeway or expressway AASHTO (1)
(1) If outside of State right of way and no specific local standards apply, the minimum design speed shall be 30 miles per hour. (2) For conventional highways eligible or designated as State scenic highways, see Index 109.2
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For conventional highways and expressways, District Planning and Traffic Operations should be consulted. Automobile traffic volumes can be adjusted for the effect of grades and the mix of automobiles, trucks, and recreational vehicles if a more refined calculation is desired. In those cases, consult the "Highway Capacity Manual", published by the Transportation Research Board.
ESAL = 4 500 000 TI20 = 11.0 CLIMATE REGION = Desert The notation above is explained as follows: ADT (2015) -- The average daily traffic, in number of vehicles, for the construction year. ADT (2035) -- The average daily traffic for the future year used as a target in design.
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CLIMATE REGION Climate Region as defined in Topic 615. In addition to establishing design requirements for the project, this information is used by the Resident Engineer during construction to determine which clauses in the Standard Specifications apply to the project. DHV -- The two-way design hourly volume, vehicles. D -- The percentage of the DHV in the direction of heavier flow. ESAL The equivalent single axle loads forecasted for pavement engineering. See Topic 613. T -- The truck traffic volume expressed as a percent of the DHV (excluding recreational vehicles). TI20 Traffic Index used for pavement engineering. The number in the subscript is the pavement design life used for pavement design. See Index 613.3(3). V -- Design speed in miles per hour. Within a project, one design designation should be used except when: (a) The design hourly traffic warrants a change in the number of lanes, or (b) A change in conditions dictates a change in design speed. (c) The design daily truck traffic warrants a change in the Traffic Index. The design designation should be stated in Project Initiation Documents and Project Reports and should appear on the typical cross section for all new, reconstructed, or rehabilitation (including Capital Preventative Maintenance) highway construction projects.
Safety, Resurfacing, Restoration, and Rehabilitation (RRR), and operational improvement projects should be designed on the basis of current ADT. Complimentary to the design period, various components of a project (e.g., drainage facilities, structures, pavement structure, etc.) have a design life that may differ from the design period. For pavement design life requirements, see Topic 612.
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Provide or restore continuity of the local street or road systems. Provide for bicycle and pedestrian traffic that might otherwise need to use the freeway.
frontage road. In such cases, if access to remainders of land on the side of the freeway or expressway right of way opposite the old road cannot be provided by other means, a frontage road must be constructed to serve the landlocked remainders or the remainders must be purchased outright. The decision whether to provide access or purchase should be based on considerations of cost, right of way impacts, street system continuity and similar factors (see (1) above). (4) Railroad Crossings. Frontage roads on one or both sides of a freeway or expressway on new alignment, owing to safety and cost considerations, frequently are terminated at the railroad right of way. When terminating a frontage road at the railroad crossing, bicycle and pedestrian traffic still needs to have reasonable access through the community. Any new railroad grade crossings and grade separations, and any relocations or alterations of existing crossings must be cleared with the railroad and approved by the PUC. (5) Frontage Roads Financed by Others. Frontage roads which are not a State responsibility under this policy may be built by the State upon request of a local political subdivision, a private agency, or an individual. Such a project must be covered by an agreement under which the State is reimbursed for all construction, right of way, and engineering costs involved.
(b) Economic Considerations--In general, a frontage road is justified on freeways and expressways if the costs of constructing the frontage road are less than the costs of providing access by other means. Right of way considerations often are a determining factor. Thus, a frontage road would be justified if the investment in construction and extra right of way is less than either the severance damages or the costs of acquiring the affected property in its entirety. Frontage roads may be required to connect parts of a severed property or to serve a landlocked parcel resulting from right of way acquisition. (c) Access Openings--Direct access to the through lanes is allowable on expressways. When the number of access openings on one side of the expressway exceeds three in 1,600 feet, a frontage road should be provided (see Index 104.2). (2) New Alignment. Frontage roads generally are not provided on freeways or expressways on new alignment since the abutting property owners never had legal right of access to the new facility. They may be provided, however, on the basis of considerations mentioned in (1) above. (3) Existing Alignment. Where a freeway or expressway is developed parallel to an existing highway or local street, all or part of the existing roadway often is retained as a
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Most local agencies in California have adopted varying design standards for urban and rural areas, as well as more specific requirements that are applicable to residential settings, downtowns, special districts, and other place types. These standards are typically tied to zoning requirements for land use established by local agencies. These land use decisions should take into account the ultimate need for public right of way, including the transportation needs of bicyclists and pedestrians. The minimum width of a sidewalk should be 8 feet between a curb and a building when in urban and rural main street place types. For all other locations the minimum width of sidewalk should be 6 feet when contiguous to a curb or 5 feet when separated by a planting strip. Sidewalk width does not include curbs. See Index 208.4 for bridge sidewalks. Using the minimum width may not be enough to satisfy the actual need if additional width is necessary to maintain an acceptable Level of Service (LOS) for pedestrians. Note that street furniture, buildings, utility poles, light fixtures and platoon generators, such as window displays and bus stops, can reduce the effective width of sidewalks and likewise the LOS of the walkway. Also, adequate width for curb ramps and driveways are other important accessibility considerations. See Index 205.3(6) and the Standard Plans for sidewalk requirements at driveways. See Index 208.6 for information on pedestrian overcrossings and undercrossings and Index 208.4 for sidewalks on bridges. A Policy on Geometric Design of Highways and Streets, issued by AASHTO, and the Highway Capacity Manual, published by the Transportation Research Board contain pedestrian LOS criteria. These are means of measuring the ability of the existing pedestrian facilities to provide pedestrian mobility and to determine the need for improvements or expansions. If adequate capacity is not provided, pedestrian mobility may be seriously impeded. Traffic volume-pedestrian warrants for sidewalks or other types of walkways along highways have not been established. In general, whenever the roadside and land development conditions are such that pedestrians regularly move along a highway, those pedestrians should be furnished with a
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sidewalk or other walkway, as is suitable to the conditions. Sidewalks are typically within public right of way of the local agency or the State. When within the State highway right of way, the need for sidewalks becomes a shared interest, since the zoning, planned development, and growth are under the local agencys purview. The State may assume financial responsibility for the construction of sidewalks and walkways under the conditions described below. See the Project Development Procedures Manual for further discussion of the State's responsibility in providing pedestrian facilities. (1) Replacement in Kind. Where existing sidewalks are to be disturbed by highway construction, the replacement applies only to the frontages involved and no other sidewalk construction is authorized except: (a) As part of a right of way agreement. (b) Where the safety or capacity of the highway will be improved. (2) Conventional Highways. The roadway cross section usually provides areas for pedestrians. If the safety or capacity of the highway will be improved, the State may contribute towards the cost of building a pedestrian facility with a local agency project or fund it entirely with a State highway project. The city, county, or property owner whose adjacent development generated the pedestrian traffic may build sidewalks on State right of way under a permit in accordance with the route concept report. (3) Freeway and other Controlled Access Facilities. Sidewalks should be built across the freeway right of way on overcrossings and through undercrossings where necessary to connect with existing or planned sidewalks. Construction of planned sidewalks should be imminent. Within the foregoing criteria, sidewalks can be part of the original project or added later when the surrounding area develops. (4) Overcrossing and Undercrossing Approaches. Where sidewalks are planned on overcrossing structures or under a structure, an area should be provided to accommodate future sidewalks.
(5) School Pedestrian Walkways. School pedestrian walkways may be identified along a route used by school pedestrians that is not limited to crossing locations, but includes where physical conditions require students to walk in or along rural or suburban roadways. (6) Frontage Roads. Sidewalks may be built along frontage roads connecting local streets that would otherwise dead end at the freeways. Such sidewalks can be new or replacements of existing facilities. Sidewalks may not be needed on the freeway side of frontage roads except where connections must be made to pedestrian separations or other connections where appropriate. (7) Separated Cross Streets. Sidewalks may be built on separated cross streets where reconstruction of the cross street is made necessary by the freeway project and where the criteria of paragraph (3) above apply. (8) Transit Stops. Sidewalks should be built to connect transit stops to local streets. (9) Vehicular Tunnels. Sidewalks and pedestrian facilities may be built as part of vehicular tunnels which do not require ventilation as part of the tunnel structure. Contact the Division of Engineering Services - Structure Design (DES-SD), regarding allowable conditions. (10) Maintenance. The State is responsible for maintaining and replacing damaged sidewalks within the right of way except: (a) Where the sidewalk was placed by a private party under encroachment permit that requires the permittee to maintain the sidewalk, but only if the original permittee still owns the abutting property. (b) Where the city or county has placed nonstandard sidewalks with colored or textured surfaces, or meandering alignment. See Maintenance Manual for additional discussion on State's maintenance responsibilities regarding sidewalks.
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These grade separations are suitable for crossing freeways, rivers, railroads, canyons and other obstacles for which no other crossing opportunities exist. See Index 208.6 for design guidance for pedestrian and bicycle overcrossings and undercrossings. The need for a pedestrian grade separation is based on a study of the present and future needs of a particular area or community. Each situation should be investigated and considered on its own merits. The study should cover pedestrian generating sources in the area, pedestrian crossing volumes, type of highway to be crossed, location of adjacent crossing facilities, circuity, zoning, land use, sociological and cultural factors, and the predominant age of persons expected to utilize the facility. Pedestrian patterns should be maintained across freeway routes where these patterns have been previously established. Where vehicular crossings are inadequate for pedestrians, separate structures should be provided. In general, if a circuitous route is involved, a pedestrian separation may be justified even though the number of pedestrians is small. State participation in the financing of pedestrian separations at ramp terminals is not normally justified because of the crash history at these locations. Exceptions to this general policy should be considered only in special circumstances where no less expensive alternative is feasible. Where a pedestrian grade separation is justified, an overcrossing is preferred. Undercrossings tend to provide less visibility which provides more opportunities for vandalism and criminal activity. Consideration may be given to an undercrossing when specifically requested in writing by a local agency. Unobstructed visibility should be provided through the structure and approaches. See Index 105.4 for discussion of provisions for persons with disabilities.
(2) Financing. (a) Freeways--Where the pedestrian grade separation is justified prior to award of the freeway contract, the State should pay the full cost of the pedestrian facility. In some cases, construction of the separation may be deferred; however, where the need has been established to the satisfaction of the Department prior to award of the freeway contract, the State should pay the entire cost of the separation. Local jurisdictions have control (by zoning and planning) of development that influences pedestrian traffic patterns. Therefore, where a pedestrian grade separation is justified after the award of a freeway contract, the State's share of the total construction cost of the separation should not exceed 50 percent. The State must enter into a cooperative agreement with the local jurisdiction on this basis. (b) Conventional Highways--Grade separations are not normally provided for either cars or pedestrians on conventional highways. However, in those rare cases where pedestrian use is extensive, where it has been determined that placement and configuration of the grade separation will result in the majority of pedestrians using it, and where the local agency has requested in writing that a pedestrian separation be constructed, an overcrossing may be considered. The State's share of the total construction cost of the pedestrian facility should not exceed 50 percent. The State must enter into a cooperative agreement with the local jurisdiction on this basis.
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took effect on January 26, 1992, and Section 4450 of the California Government Code. (a) Americans Highlights. with Disabilities Act
Title II of the ADA prohibits discrimination on the basis of disability by state and local governments (public entities). This means that a public entity may not deny the benefits of its programs, activities and services to individuals with disabilities because its facilities are inaccessible. A public entitys services, programs, or activities, when viewed in their entirety, must be readily accessible to and usable by individuals with disabilities. This standard, known as program accessibility, applies to all existing facilities of a public entity. Public entities are not necessarily required to make each of their existing facilities accessible. Public entities may achieve program accessibility by a number of methods (e.g., providing transit as opposed to structurally accessible pedestrian facilities). However, in many situations, providing access to facilities through structural methods, such as alteration of existing facilities and acquisition or construction of additional facilities, may be the most efficient method of providing program accessibility. Where structural modifications are required to achieve program accessibility, a public entity with 50 or more employees is required to develop a transition plan setting forth the steps necessary to complete such modifications. In compliance with the ADA, Title 28 of the Code of Federal regulations (CFR) Part 35 identifies all public entities to be subject to the requirements for ADA regardless of funding source. It further states that the Uniform Federal Accessibility
Standards (UFAS) and the Americans with Disabilities Act Accessibility Guidelines for Buildings and Facilities (ADAAG) are acceptable design guidelines that may be used. However, FHWA has directed Caltrans to use the ADAAG as the Federal design guidelines for pedestrian accessibility. (b) California Government Code 4450 et seq. Highlights. Sections 4450 (through 4460) of the California Government Code require that buildings, structures, sidewalks, curbs, and related facilities that are constructed using any State funds, or the funds of cities, counties, or other political subdivisions be accessible to and usable by persons with disabilities. Section 4450 says that facilities are to be constructed in conformance with the California Building Code. The California Building Code is part of Title 24 of the California Code of Regulations. The Department of General Services (DGS), through the Division of the State Architect, and Caltrans have the authority to review and approve plans for facilities covered under Section 4450. California Building Code has been revised to generally conform to the ADAAG. In most cases, the accessibility standards in Title 24 are more stringent than those in ADAAG, but in some cases they are less so.
(2) Policy. It is Caltrans policy to: Comply with the ADA and the Government Code 4450 et seq. by making all State highway facilities accessible to people with disabilities to the maximum extent feasible. In general, if a project on State right of way is providing a pedestrian facility, then accessibility must be addressed.
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Follow the requirements of both the ADAAG and Title 24 for new construction and alterations of existing facilities. Both requirements should be reviewed to determine if differences exist. Where there are differences between Title 24 and the ADAAG, the guidelines that provide the higher accessibility may be used as long as at least the ADAAG is satisfied. The ADAAG allows the use of other design standards, i.e., a local agencys adopted accessibility standard, where the standard used will provide substantially equivalent or greater access to and usability of the facility. The decision to identify and use an equivalent or higher accessibility standard than the ADAAG or Title 24 should be documented for projects on the State highway system. (3) Procedures. (a) The engineer will consider pedestrian accessibility needs in the Project Initiation Documents (PSRs, PSSRs, etc.) for all projects where applicable. (b) All State highway projects administered by Caltrans or others with facilities subject to the ADA and Title 24 must be designed in accordance with the requirements in Design Information Bulletin 82, Pedestrian Accessibility Guidelines for Highway Projects. (c) The details of the pedestrian facilities and their relationship to the project as a whole should be clearly depicted and submitted as described in DIB-82. ADA compliance must be noted in PS&E Transmittal, Attachment A, on Stateadministered projects. Appropriate project records should document the fact that necessary review and approvals have been obtained as required above.
disabilities are to be provided across curbs that are constructed or replaced at pedestrian crosswalks. This includes all marked and unmarked crosswalks, as defined in Section 275 of the Vehicle Code. Access should also be provided at bridge sidewalk approaches and at curbs in the vicinity of pedestrian separation structures. Where a need is identified at an existing curb on a conventional highway, a curb ramp may be constructed either by others under encroachment permit or by the State. (2) Location Guidelines. When locating curb ramps, designers must consider the position of utilities such as power poles, fire hydrants, street lights, traffic signals, and drainage facilities. On new construction, two curb ramps should be installed at each corner as shown on the Standard Plans. The usage of the one-ramp design should be restricted to those locations where the volume of pedestrians and vehicles making right turns is low. This will reduce the potential frequency of conflicts between turning vehicles and persons with disabilities entering the common crosswalk area to cross either street. Ramps and/or curb openings should be provided at midblock crosswalks and where pedestrians cross curbed channelization or median islands at intersections. Often, on traffic signalization, channelization, and similar projects, curbs are proposed to be modified only on portions of an existing intersection. In those cases, consideration should be given to installing retrofit curb ramps on all legs of the intersection. (3) Ramp Design. Curb ramp designs should conform to current Standard Plans. See Index 105.4(3) for review procedures.
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A choice among cost reducing alternatives should be made only after weighing the benefits and disadvantages of each, particularly as they apply to interchange designs, which have a substantial effect on cost. See Index 502.3(2) for design considerations regarding freeway interchanges.
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CTC must precede State financing and construction of the proposed improvements. When a local facility is adopted as a traversable route, the Department is responsible for all maintenance costs of the local facility unless otherwise provided for under the terms of a cooperative agreement. The Department normally would not assume maintenance until the road is in use as a connection or, when necessary, until the award of an improvement contract. Formal concurrence of the local agency must be obtained before an adoption action is presented to the CTC. If the local agency wants more improvements than are needed to accommodate all users during the period when the local road is used as a State highway connection, betterments are to be financed by the local agency. In such cases a cooperative agreement would be necessary to define the responsibilities of each party for construction and maintenance. (2) Local Roads Used as Detours. In lieu of temporary adoption by the CTC, a local road may be designated a detour to serve as a connection between the end of State highway construction and the old State highway following completion of a State highway construction unit and pending completion of the next unit. Local road detours are useful if the adjoining construction unit is scheduled in a few years or less and the local road connection is short and direct. Adoption by the CTC is not required when a local road is designated as a temporary detour. Under Section 93 of the Streets and Highways Code, the Department can finance any needed improvements required to accommodate the detour of all users during the period the local road is utilized to provide continuity for State highway users. A cooperative agreement is usually required to establish terms of financing, construction, maintenance, and liability. If the local agency wants more than the minimum work needed to accommodate users on the local road during its use as a State highway, such betterments are to be financed by the local agency.
Section 93 also makes the Department responsible for restoration of the local road or street to its former condition at the conclusion of its use as a detour. The Department is responsible for all reasonable additional maintenance costs incurred by local agencies attributable to the detour. If a betterment is requested by the local agency as a part of restoration it should be done at no cost to the Department.
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outside the state right of way through an access gate or a maintenance trail within the state right of way is not feasible. Where frequent activity of field personnel can be anticipated, such as at a signal control box (See Index 504.3 (2)(j)) or at an irrigation controller, the MVP should be placed upstream of the work site, so that maintenance vehicles can help shield field personnel on foot. If the controller or roadside feature is located within the clear recovery zone, relocating it outside the clear recovery zone should be considered (See Index 309.1). The shoulder adjacent to MVPs should be wide enough for a maintenance vehicle to use for acceleration before merging onto the traveled way. If adequate shoulder width is unattainable, sufficient sight distance from the MVP to upstream traffic should be provided to prevent maintenance vehicles from disrupting traffic flow. When considering drainage alongside a MVP, it is preferable to provide a flow line around the MVP rather than along the edge of shoulder to collect the drainage before the MVP. This will prevent ponding between the MVP and edge of shoulder. See Standard Plan H9 for a typical MVP layout plan and section detail.
Board of Supervisors having jurisdiction over said roads or streets. The provisions of Section 144.5 of the Streets and Highways Code are considered as not applying to freeway construction, or to temporary barriers for the purpose of controlling traffic during a limited period of time, as when the highway is undergoing repairs, or is flooded. As to freeway construction, it is considered that the local agency receives ample notice, by virtue of the freeway agreement, of the manner in which all local roads will be affected by the freeway, and that the special notice would therefore be superfluous. When the notice is required, a letter should be prepared and submitted to the appropriate authorities at least 60 days before road revision will occur. Prior to the submittal of the letter and before plans are completed, the appropriate authorities should be contacted and advised of contemplated plans. The timing of this notice should provide ample opportunity for consideration of any suggestions or objection made. In general, it is intended that the formal notice of intent which is required by law will confirm the final plans which have been developed after discussions with the affected authorities. The PS&E package should document the date notice was given and the date of reply by the affected local agencies. The Division of Design must be notified by letter as soon as possible in all cases where controversy develops over the closures to crossing traffic.
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(a) During the early phases of the design process, the District must send to the PUC, governing bodies of local jurisdictions, and common carriers or transit authorities operating in the vicinity, a map showing the proposed location and type of interchanges, with a request for their comments regarding transit loading facilities. The transmittal letter should state that transit loading facilities will be constructed only where they are in the public interest and where the cost is commensurate with the public benefits to be derived from their construction. It should also state that if the agency desires to have transit loading facilities included in the design of the freeway that their reply should include locations for transit stops and any supporting data, such as estimates of the number of transit passengers per day, which would help to justify their request. (b) Public Meeting and Hearings. No public meeting or hearing is to be held when all of the contacted agencies respond that transit loading facilities are not required on the proposed freeway. The freeway should be designed without transit loading facilities in these cases. Where any one of the agencies request transit loading facilities on the proposed freeway, the District should hold a public meeting and invite representatives of each agency. Prior to the public meeting, the District should prepare geometric designs of the transit loading facilities for the purpose of making cost estimates and determining the feasibility of providing the facilities. Transit loading facilities must be approved by the District Director with concurrence from the Design Coordinator (see Topic 82 for approvals). (c) Justification. General warrants for the provision of transit loading facilities in terms of cost or number of passengers have not been established. Each case should be considered individually because the number of passengers justifying a transit
loading facility may vary greatly between remote rural locations and high volume urban freeways. Transit stops adjacent to freeways introduce security and operational concerns that may necessitate relocating the stop at an off-freeway location. These concerns go beyond having a facility located next to high speed traffic, but also entail the pedestrian route to the facility through a low density area removed from the general public. It may be preferable for patrons to board and leave the bus or transit facility at an off-freeway location rather than use stairways or ramps to freeway transit stops. Where existing highways with transit service are incorporated into the freeway right of way, it may be necessary to make provisions for bus service for those passengers who were served along the existing highway. This may be accomplished either by providing freeway bus and/or transit loading facilities or by the bus leaving and re-entering the freeway at interchanges. See "A Policy on Geometric Design of Highways and Streets", AASHTO, and Guide for Geometric Design of Transit Facilities on Highways and Streets, AASHTO for a discussion of transit design and bus stop guidelines. (d) Reports. On projects where all the agencies contacted have expressed the view that transit stops are not needed, a report to the Division of Design is not required. However, a statement to the effect that the PUC, bus companies, and local governmental agencies have been contacted regarding transit stops and have made no request for their provisions should be included in the final environmental document or the PS&E submittal, whichever is appropriate. For projects where one or more of the agencies involved have requested transit loading facilities either formally or informally during public meeting(s), a
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complete report should be incorporated in the final environmental document. It should include: A map showing the section of freeway involved and the locations at which transit loading facilities are being considered. A complete discussion of all public meetings held. Data on type of transit service provided, both at present and after completion of the freeway. Estimate of cost of each facility, including any additional cost such as right of way or lengthening of structures required to accommodate the facility. Number of transit trips or buses per day and the number of on and off passengers per day served by the transit stops and the number estimated to use the proposed facilities. District's recommendation as to the provision of transit loading facilities. If the recommendation is in favor of providing transit loading facilities, drawings showing location and tentative geometric designs should be included.
surface, and must include curb ramps, marked aisles and crosswalks, and other features as required to facilitate use of the facility by individuals using wheelchairs, walkers or other mobility aids. The Department of General Services, Division of the State Architect, as well as the California Department of Transportation enforce the California Building Code (Title 24) for the various on-site improvements. (f) A cooperative agreement should be used to document the understanding between the Department and any local agency which desires a transit facility. The agreement covers items such as funding, ownership, maintenance, and legal responsibility. (g) Detailed design requirements can be obtained from the transit authority having jurisdiction over the transit facility. See Index 504.3(6) for design standards related to bus loading facilities on freeways. (2) Conventional Highway Application. This guidance is applicable to projects involving transit loading facilities on conventional highways as authorized in Section 148 of the Streets and highways Code. Instructions pertaining to the provisions for Bus Rapid Transit (BRT) in conventional highway corridors are covered in other Departmental policy and directives. (a) The selection of transit facilities on conventional highways should follow the general outline as noted above for transit facilities on freeways. Transit facilities shall be approved by the District Director as part of the authorizing document (PSR/PP, PR, PSSR, etc.). (b) A cooperative agreement should be used to document the understanding between the Department and any local agency which desires a transit facility. The agreement covers items such as funding, ownership, maintenance, and legal responsibility. (c) Detailed design requirements can be obtained from the transit authority having jurisdiction over the transit facility.
(e) The DES-Structure Design has primary responsibility for the structural design of transit loading facilities involving structures. See Index 210.7. See also DIB 82 for instructions on submitting rail and transit station plans to the Department of General Services Division of the State Architect (DSA) for review and approval of pedestrian facilities with regard to accessibility features. Accessible paths of travel must be provided to all pedestrian facilities, including shelters, tables, benches, drinking fountains, telephones, vending machines, and information kiosks. The path of travel from designated accessible parking, if applicable, to accessible facilities should be as short and direct as practical, must have an even
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(d) See also DIB 82 for instructions on submitting rail and transit station plans to the Department of General Services Division of the State Architect (DS) for review and approval of pedestrian facilities with regard to accessibility features. Accessible paths of travel must be provided to all pedestrian facilities, including shelters, tables, benches, drinking fountains, telephones, vending machines, and information kiosks. The path of travel from designated accessible parking for persons with disabilities, if applicable, to accessible facilities should be as short and direct as practical, must have an even surface, and must include curb ramps, marked aisles, and crosswalks, and other features as required to facilitate use of the facility with wheelchairs, walkers and other mobility aides. See Topic 404 for guidance regarding the Design Vehicle, and Index 626.4(3) for structural section guidance for bus pads.
(3) Parallel Rail Facilities. Rail facilities may be sited within Department right of way when feasible alternatives do not exist for separate facilities. As necessary, rail facilities may be located within the median. If rail facilities are located in the median, they must not impact the ability of the Department to reasonably operate and maintain its facilities, which includes the ability to expand the existing transportation facilities in the foreseeable future. All parallel rail facilities are to be approved by the District Director. (4) Design Standards. Transit facilities are to be designed and constructed per the standards contained elsewhere in this manual and exceptions are to be documented as discussed in Chapter 80. (5) Cooperative Agreements. The design and construction of rail facilities within the Department right of way should be covered in a cooperative agreement. Subsequent maintenance and operations requirements should be addressed in a maintenance agreement or encroachment permit as necessary.
108.3 Commuter and Light Rail Facilities Within State Right of Way
(1) General. These facilities may cross or operate parallel to a highway or other multi modal facility owned and operated by the Department. The following guidance covers all rail facilities, and all transportation facilities owned and operated by the Department. See the Project Development Procedures Manual for additional information and procedures regarding encroachments within State right of way. See Index 309.1(4) for high speed rail guidance. (2) Rail Crossings. Ideally, rail crossings of transportation facilities should be grade separated. Grade separations must not impact the ability of the Department to operate and maintain its facilities, which includes the ability to expand the existing transportation facilities in the future. All rail crossings are to be approved by the District Director. See the California MUTCD for guidance regarding traffic controls for grade crossings.
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AASHTO, for guidance on the selection and design of transit loading facilities. (3) Cooperative Agreements. Close coordination with the transit provider(s) is required for the successful design and operation of bus stops and other transit facilities.
of the California Transportation Commission. The HOV Guidelines are to be consulted when considering the design and operation of these facilities. (2) Design Standards. HOT and Express Toll Lane facilities are to comply with the standards contained elsewhere in this manual. Exceptions are to be documented as discussed in Chapter 80. Therefore, caution must be exercised when using other Department publications such as the HOV Guidelines if conflicts in design standards are identified. (3) Cooperative Agreements. A cooperative agreement is to be used to document the understanding between the Department and any local agency which will operate the HOT or Express Toll Lane Facility. The agreement must cover items such as funding, design, construction, ownership, maintenance, and legal responsibility.
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for projects which are on the Interstate System. See Index 82.2. (c) Changes in access control lines, changes in locations of connection points, adding connection points, or deleting connection points on the Interstate System (even when no Federal money is involved). (d) Addition of or changes in locked gates under certain conditions See Index 701.2. (e) Partial interchanges on the Interstate system. See Index 502.2. (f) Design-life on Interstates System projects. Normally, major nonparticipating items are identified at the time of design approval. Approximately twelve months prior to PS&E submittal, a project review should be arranged by the District with the Design Coordinator and the FHWA representative to discuss nonparticipating items and unusual or special design features to resolve any differences or to determine if additional FHWA approvals are necessary. The importance of early contact is emphasized to avoid delays when final plans are prepared. For additional information, see the Project Development Procedures Manual.
well the highway blends into the landscape. Scenic values, particularly in areas of natural scenic beauty must play a part along with the other factors set forth under Index 101.1 in selecting a design speed.
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design process so that appropriate conservation and revegetation measures are incorporated. (e) Existing vegetation such as trees or large brush may be selectively thinned or removed to open up scenic vistas or provide a natural looking boundary between forest and cleared areas. Vegetation removal for aesthetic purposes should be undertaken only with the concurrence of the District Landscape Architect. (f) Vista points should be provided when views and scenery of outstanding merit occur and feasible sites can be found. (See Topic 904 for site selection criteria.) (g) Whenever feasible, wide medians and independent roadways should be provided on multilane facilities as these features add scenic interest and relieve the monotony of parallel roadways. (h) Bridges, tunnels, and walls merit consideration in lieu of prominent excavation and embankment slopes when costs of such alternates are not excessive. (i) Slopes should be flattened and rounded whenever practical and vegetation provided so that lines of construction are softened. (j) Structures should be located and designed to give the most pleasing appearance. (k) Scars from material sites should be avoided. Planting compatible with the surroundings should be undertaken to revegetate such scars when they are unavoidable. (l) Drainage appurtenances should be so located that erosion, sumps, and debris collection areas are hidden from view or eliminated when site conditions permit. (m) Interchange areas should be graded as flat as reasonable with slope rounding and contouring to provide graceful, natural looking appearance. The appearance can be further enhanced by planting a vegetative cover appropriate to the locality, being careful to maintain driver visibility. (n) In locations where graffiti has been excessive, concepts such as limiting accessibility,
planting, and surface treatments should be considered to deter graffiti. (o) Roadsides should be designed to deter weed growth along the traveled way, and to provide for mechanical litter collection.
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The design of structures for overloads will normally be governed by one of the following categories: (1) Category 1. Structures definitely planned to carry overloads. This category should be used only when the structures are to be constructed under a separate contract prior to a grading contract and the estimated savings in grading costs exceed the extra structure costs. The District must request the DES - SD to design for the permissible overloading. (2) Category 2. Structures which are designed to allow the contractor the option of strengthening to carry overloads. The contract plans will include alternative details for strengthening the structure and the contractor can decide at the time of bidding whether to haul around the structure, build his own haul road structures, use "legal load" equipment on the unstrengthened structure, or construct the structure in accordance with the strengthened alternative design. The District should notify the DOS regarding structures to have optional designs. Undercrossings, overheads, separations, and stream crossings are most likely to be in this category. (3) Category 3. Structures which will not be designed to carry overloads. Most overcrossing, ramp, and frontage road structures are in this category. The District should consult with the DOS early in the design phase when determining the design overload category of each bridge in the project. Each case where hauling of overloads is permitted must be specifically described in the Special Provisions. Each structure designed under Categories 1 and 2 must also be designated in the Special Provisions. The design load must not exceed the weight limitation of Section 7-1.02, "Weight Limitations", of the Standard Specifications. The District Director or designated representative must approve the overload category for each structure.
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Recommendations for mitigation measures or construction and operational controls contained in the project's Storm Water Data Report should receive full consideration in the development of the project. The Department is legally bound to comply with the appropriate permits as outlined in the California Permit Handbook. The Department is also legally bound to comply with any water quality mitigation measures specified in the projects environmental document. Plans and specifications should reflect water quality protection measures in a manner that is enforceable in contracts. On almost all projects, early contact should be established between the District project development personnel, Landscape Architecture, biologists, geologists, and other specialists available in the Headquarters Environmental Program, the Division of Engineering Services (DES) Office of Structural Foundations, FHWA, or other Districts, to ensure optimum development of water quality control measures. Because siltation resulting from erosion is recognized as a major factor in water pollution, continuous efforts should be made to improve erosion control practices. (1) Project Planning Phase. When project planning studies are started, consideration should be given to the items in the following list: (a) Identify all waters in the vicinity of a highway project which might affect construction, maintenance and operational activities. The environmental factors that might affect preconstruction activities should be looked into for the benefit of the resident engineer and contractor. An example would be relocation of drilling of pile foundations in a sensitive stream to prevent possible impacts. (b) Identify for each project all waters, both fresh and saline, surface and underground, where water quality may be affected by the proposed construction.
(c) Determine if any watersheds, aquifers, wells, reservoirs, lakes, or streams are sources for domestic water supplies. (d) Determine if any sensitive fishery, wildlife, recreational, agricultural, or industrial aquatic resources are located in the vicinity of the project. (e) Consider possible relocation or realignment that could be made to avoid or minimize the possibility of pollution of existing waters. (f) Identify variations in the erosive characteristics of the soils in the area, and consider relocation or grade changes that would minimize erosion. (g) Where possible, avoid unstable areas where construction may cause future landslides. (h) Identify construction season preference of regulatory agencies. (i) Evaluate the need for additional right of way to allow for flatter, less erosive slopes. (2) Design Phase. During the design phase, the items listed above should again be considered. More specific items for consideration are presented in the following checklist: (a) Provide for the preservation of roadside or median vegetation beyond the limits of construction by special provisions and depiction on the plans. (b) Design slopes as flat as is reasonable with slope rounding, landforming/geomorphic grading, contouring, or stepping to minimize erosion and to promote plant growth. Consider retaining walls when practical to reduce slope length and steepness. Include standard special provisions or approved special provisions which will require the contractor to remove or excavate, stockpile, and apply topsoil and/or duff on the final slope to promote plant growth. For information on landforming/geomorphic grading see:
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http://www.dot.ca.gov/hq/LandArch/webi nars/index.htm and work with district landscape architecture. (c) Provide erosion control to all soil areas to be disturbed by construction activities. Consider the need to require the contractor to apply permanent erosion control in phases, as slopes become substantially complete, instead of allowing all erosion control to be applied at the end of the construction project. Prior to winterizing the project, the designer must plan for temporary erosion control on slopes not substantially complete. Native plants should be considered for all plantings. If a highway planting project is anticipated immediately following roadway construction, disturbed soil areas cannot be left unprotected. The use of mulch could be considered as an erosion control method during the interim. Contact the District Landscape Architect for assistance. (d) When planning for temporary erosion control, consider the use of vegetation, mulches, fiber mats, fiber rolls, netting, dust palliatives, crust forming chemicals, silt fences, plastic sheets or any other procedure that may be necessary to prevent erosion. The District Storm Water Coordinator, District Landscape Architect, and the District Storm Water Unit can assist in the selection and design of temporary erosion control measures. (e) Design overside drains, surface, subsurface, and cross drains so that they will discharge in locations and in such a manner that surface and subsurface water quality will not be affected. The outlets may require aprons, bank protection, desilting basins, or energy dissipators. (f) Provide for adequate fish passage through highway culverts or under bridges when necessary to protect or enhance fishery resources.
(g) Provide bank protection where the highway is adjacent to rivers, streams, lakes, or other bodies of water. (h) Where required, provide slope protection or channel lining, energy dissipators, etc. for channel changes. (i) Where the State has made arrangements for materials, borrow, or disposal sites, grading plans should be provided and revegetation required. Special provisions should require the contractor to furnish plans for grading and replanting of sites. (j) Check right of way widths for adequate space to reduce slope gradients and minimize slope angles, for rounding at tops of cuts and bottoms of fills, for adequate slope protection ditches and for incorporation of treatment control measures (e.g., infiltration basins, detention basins, traction sand traps). Also consider right of way or encroachment rights for temporary work such as desilting basins, stream diversion, or stream crossing protection. (k) All ditches should be designed to minimize erosion. These treatments include but are not limited to grass lining, fiber mats, rock lining (with or without geotextile underlayment), and paving. The District Hydraulics Unit can assist with the selection and design of ditch treatment. Consideration should be given to using soil stabilization materials in median ditches or other wide drainage areas that cannot be vegetated. (l) Temporary construction features for water pollution control that can be predicted should be made a part of the plans, specifications, and contract pay items. Such items as mulching and seeding of slopes, berms, dikes, ditches, pipes, dams, silt fences, settling basins, stream diversion channels, slope drains, and crossings over live streams should be considered. Since all contingencies probably cannot be foreseen, supplemental work funds should be set up for each project. Pay items for temporary
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erosion control should not be adjusted for increased or decreased quantity. (m) Special consideration should be given to using vegetated ditches to remove highway runoff pollutants. The District Hydraulics and Landscape Architecture Units can provide assistance in designing and constructing vegetated ditches. (n) Mandatory order of work clauses sometimes result in increased costs or longer time limits, but they must be considered where their use would eliminate the expense of temporary construction or where they result in earlier protection of erodible areas, or improved handling of site runoff. (3) Abandonment and Destruction of Water Wells. The abandonment and destruction of water wells within the highway right of way must be handled in accordance with requirements established by statute and by agreement with the Department of Water Resources (DWR) to avoid pollution of underground water and ensure public safety. Sections 13700 to 13806 of the California Water Code deal, in general, with the construction and destruction of wells. Section 24400 to 24404 of the Health and Safety Code require that abandoned wells be covered, filled, or fenced for safety reasons. Statewide standards for construction, maintenance and destruction of water wells, monitoring wells and cathodic protection wells have been issued by the California DWR in Bulletin 74 - 81, "Water Well Standards: State of California", dated December, 1981, and Bulletin 74 - 81", dated January, 1990. Pursuant to these standards and interagency agreement with DWR, the following procedures are to be followed to determine requirements for abandonment and destruction of wells within State highway rights of way. (a) Before producing water wells within the highway right of way are abandoned, a determination should be made of the possible future uses of the wells. Such future uses include landscape irrigation, roadside rests, vista points, maintenance
facilities, truck weighing facilities, and others. Also see Index 706.4. (b) The District Project Development and Right of Way Branches determine the location of water wells that will be affected by highway construction on a project basis. (c) The District submits a letter to the Director, Department of Water Resources, 1416 Ninth Street, Sacramento, CA. 95814 Attention: Water Resources Evaluation Section, Division of Resources Development, listing the wells to be abandoned and any information that may be known about them. The letter should include the scheduled PS&E date and the anticipated advertising date for the project. Two copies of a map, or maps, showing the location of each well accurately enough so it can be located in the field should be included with the letter. A copy of this package should also be provided to Headquarters Construction. (d) DWR will investigate the wells and write a report recommending procedures to be used in destruction of the wells within the highway right of way. The interagency agreement provides for reimbursement of the DWR's cost for these investigations and reports. (e) DWR will forward its report to the District. (f) Provisions for destruction of abandoned wells occasioned by highway construction and planting projects must be included in the District PS&E report. The work, usually done by filling and sealing, normally should be included in the contract Special Provisions. Steps must be taken to insure that wells are left in a safe condition between the time the site is acquired by the State and the time the well is sealed. (g) In some cases, local ordinances or conditions will require the filling and sealing of the well prior to the highway contract in order to leave the well in a safe condition.
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(h) The contractor who does the work to abandon the well must file the Notice of Intent (Form DWR 2125) and the Water Well Drillers Report (Form DWR 188) required by the Department of Water Resources. (i) Also, under California Water Code Section 13801, after January 15, 1990, all cities and counties are required to have adopted ordinances that require prior acquisition of permits for all well construction, reconstruction and destruction and requiring possession of an active C-57 contractors license as the minimum qualification for persons permitted to work on wells. (4) Summary. To prevent pollution of all waters that could be affected by a highway construction project, it is desirable to avoid involvement with the water or avoid the construction of erodible features. Since it is seldom possible to avoid all such features, the design of effective erosion and sediment control measures should be included with the project. Material resulting from erosion should either be discharged in locations where no negative environmental impacts will occur, or be deposited in locations that are accessible to maintenance forces for removal. District Landscape Architecture can provide technical assistance in assessing the impacts of erosion and in designing erosion control features. Project Development personnel should ensure that all aspects of erosion control and other water quality control features considered during design are fully explained to the Resident Engineer. Such data is essential for review of the contractor's water pollution control program. Judgment must be used in differentiating between planned temporary protection features and work which the contractor must perform in order to fulfill their responsibility to protect the work from damage. To reduce contract change orders and ensure erosion control goals are met, important protection should not be left to the contractor's judgment. It is desirable that all predictable
temporary protection measures be incorporated in the plans and specifications and items for payment included in the contract items of work. Topsoil should be stripped, stockpiled, and restored to disturbed slopes because existing soil nutrients and native seeds contained within the topsoil are beneficial for establishing vegetative cover and controlling erosion. In addition, the abandonment of water wells must be given special attention in accordance with Section (3) above.
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temporary haul roads to a condition such that their potential as sources of blowing dust or other pollution is no greater than in their original condition. Work for this purpose that can be predicted should be made a part of the PS&E, which should require submission of the contractors plan for grading, seeding, mulching or other appropriate action. (f) Stockpiling and respreading topsoil may speed revegetation of the roadside and reduce wind erosion. (2) Control of Burning. Health and Safety Code provisions and rules issued by Air Pollution Control Boards will preclude burning on most highway projects. Off-site disposal of debris must not create contamination problems and should not be specified simply as an expedient resolution of the problem without imposing adequate controls on how such disposal site is to be handled. Designers should seek disposal site locations within the right of way where it will be permissible to dispose of debris. Proper procedures, including compaction and burial, should be specified. Debris should not be disposed of within the normal roadway. Burying within the right of way should be done in such a fashion that the layers of debris will not act as a permeable layer or otherwise be detrimental to the roadway. Acceptable alternates based on economic, aesthetic, safety, and other pertinent considerations should be included in the contract if possible. On projects where burning will not be permitted and disposal of debris within the right of way is not possible, optional disposal sites should be made available. Information on such site arrangements should be made available in the "Materials Information" furnished to prospective bidders. Reference is made to the applicable portion of Index 111.3 and 111.4 for handling this requirement. Special requirements for disposal of debris and final appearance of the disposal site should be covered in the Special Provisions. The intent of this instruction is that the designer should make sure that prospective bidders have adequate information on which
to make a realistic bid on clearing and grubbing. When feasible, tree trunks, branches, and brush should be reduced to chips and incorporated with the soil, spread on fill slopes, used as a cover mulch or disposed of in other ways compatible with the location. In forest areas where they will not look out of place, limbs and trunks of trees that are too large for chipping may be limbed and cut to straight lengths and the pieces lined up at the toes of the slope. An earth cover may be necessary for aesthetic reasons, or to reduce fire hazards. Under certain conditions salvage of merchantable timber may be desirable, or may be required by right of way commitments. Whenever merchantable timber is to be salvaged, appropriate specifications should be provided. Stumps and unsightly clumps of debris should be chipped or buried in areas where they will not create future problems. Care should be taken not to block drainage or to interfere with maintenance operations. Before proposing chipping as the method of disposal, the designer should investigate to determine if plant disease or insect pests will be spread to disease-free or insect-free areas. Procedures to decontaminate such chips before use should be included in the contract if necessary. Designers should seek advice from local experts and County Agricultural Extension Offices to determine the extent of such problems and the procedures and chemicals to be specified. The U.S. Forest Service and the State Division of Forestry should be contacted during the design stage to ascertain the requirements that these agencies will make upon any disposal methods to be used in areas under their control. It will be noted that under certain limited conditions the prohibition against burning may be eliminated from the Special Provisions. There will be some areas of the State where Air Pollution Control Boards may consider issuing a permit for open burning where the effect on air quality is expected to be
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negligible and few if any residents would be affected. The individual situation should be studied and appropriate special provisions prepared for each project to fully cover all possible methods of disposal of debris that will be available to the contractor. The local Air Pollution Control Board should be contacted to determine the current regulations. (3) Summary. Special consideration should be given to the direction of prevailing winds or high-velocity winds in relation to possible sources of dust and downwind residential, business, or recreational areas. Every practical means should be incorporated in the design of the highway and in the provisions of the contract to prevent air pollution resulting from highway construction and operation.
Executive Order 13112 was signed, which directs Federal Agencies to expand and coordinate efforts to combat the introduction and spread of non-native plants and animals. Grading, excavation, and fill operations during construction may introduce invasive species or promote their spreading. Because of this, the FHWA implemented guidance for State Departments of Transportation for preventing the introduction and controlling the spread of invasive plant species on highway rights of way on transportation improvement projects. District Environmental Unit and Landscape Architecture can provide assistance in identifying invasive or exotic species which should be controlled, and in recommending mitigation or control methods to be included in appropriate highway improvement projects.
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minimize high cuts, fills, and bridge structures in the area. Slopes should be made as flat as possible both for embankment stability and to reduce slide potential in cuts. Buttress fills can be constructed to improve cut stability. The DOS and the Office of Structural Foundations, should be consulted early when considering various alternatives to obtain recommendations for mitigating earthquake damage. When subjected to an earthquake, fills may crack, slump, and settle. In areas of high water table, liquefaction may cause large settlement and shifting of the roadway. It is not economically feasible to entirely prevent this damage. One possible mitigation for existing soils would be to have the contract Special Provisions provide for removal of loose and compressible material from fill foundation areas, particularly in canyons, sidehill fills, and ravines and for foundation preparation on existing hillsides at the transition between cut and fill. No modification is necessary in the design of the pavement structural sections for the purpose of reducing damage due to future earthquakes. Normally it is not possible to reduce this damage, since the structural section cannot be insulated from movements of the ground on which it rests. In active fault areas, consideration should be given to the use of flexible pipes or pipes with flexible couplings for cross drains, roadway drainage and conduits. Additional expenditure for right of way and construction to make highways and freeways more earthquake resistant in a known active fault area should be kept in balance with the amount of impact on the traveling public if the facility may be put out of service following a disastrous earthquake. Loss of a major interchange, however, may have a tremendous influence on traffic flow and because of the secondary life-safety and economic impacts some additional expenditure may be justified.
through the work zone is also necessary when they are not prohibited. A detailed plan for moving all users of the facility through or around a construction zone must be developed and included in the PS&E for all projects to assure that adequate consideration is given to the safety and convenience of motorists, transit, bicyclists, pedestrians, and workers during construction. Design plans and specifications must be carefully analyzed in conjunction with Traffic, Construction, and Structure personnel (where applicable) to determine in detail the measures required to warn and guide motorists, transit, bicyclists, and pedestrians through the project during the various stages of work. Starting early in the design phase, the project engineer should give continuing attention to this subject, including consideration of the availability of appropriate access to the work site, in order that efficient rates of production can be maintained. In addition to reducing the time the public is exposed to construction operations, the latter effort will help to hold costs to a minimum. The traffic control plans should be consistent with the California MUTCD, and the philosophies and requirements contained in standard lane closure plans developed by the Headquarters Division of Traffic Operations for use on State highways and should cover, as appropriate, such items as: Signing. Flagging. Geometrics of detours. Methods and devices for delineation and channelization. Application markings. and removal design of of pavement and traffic
barriers
Separation of opposing vehicular streams (See 23 CFR 630J). Maximum lengths of lane closures. Speed limits and enforcement.
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Use of pilot cars. Construction scheduling. Staging and sequencing. Length of project under construction at any one time. Methods of minimizing construction time without compromising safety. Hours of work. Storage of equipment and materials. Removal of construction debris. Treatment of pavement edges. Roadway lighting. Movement of construction equipment. Access for emergency vehicles. Clear roadside recovery area. Provision for disabled vehicles. Surveillance and inspection. Needed modifications of above items for inclement weather or darkness. Evaluate and provide for as appropriate the needs of bicyclists and pedestrians (including ADA requirements; see Index 105.4). Provisions to accommodate continued transit service. Consideration of complete facility closure during construction. Consideration of ingress/egress requirements for construction vehicles. Any other matters appropriate to the safety objective.
construction details to be performed, and the traveled way to be used by all modes of traffic during each construction phase. Sufficient alignment data, profiles, plan dimensions, and typical sections should be shown to ensure that the contractor and resident engineer will have no difficulty in providing traffic-handling facilities. In some cases, where the project includes permanent lighting, it may be helpful to install the lights as an early order of work, so they can function during construction. In other cases, temporary installations of high-level area lighting may be justified. Temporary roadways with alignment and surfacing consistent with the standards of the road which has just been traveled by the motorist should be provided if physically and economically possible. Based on assessments of safety benefits, relative risks and cost-effectiveness, consideration should be given to the possibility of including a bid item for continuous traffic surveillance and control during particular periods, such as: (a) When construction operations are not in progress. (b) When lane closures longer than a specified length are delineated by cones or other such nonpermanent devices, whether or not construction operations are in progress. (c) Under other conditions where the risk and consequences of traffic control device failure are deemed sufficient. Potentially hazardous working conditions must be recognized and full consideration given to the safety of workers as well as the general public during construction. This requirement includes the provision of adequate clearance between public traffic and work areas, work periods, and lane closures based on careful consideration of anticipated vehicle traffic volumes, and minimum exposure time of workers through simplified design and methods. If a Transportation Management Plan (TMP) is included in the project, the traffic control plans (TCP) may need to be coordinated with the public information campaign and the transportation demand management elements. Any changes in TMP or TCP must be made in harmony for the
Normally, not all the above items will be pertinent to any one traffic control plan. Depending on the complexity of the project and the volume of traffic affected, the data to be included in the traffic control plan can vary from a simple graphic alignment of the various sequences to the inclusion of complete construction details in the plans and special provisions. In any event, the plans should clearly depict the exact sequence of operation, the
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plans to succeed. The TMP Guidelines, available from HQ, Traffic Operational Systems Branch, should be reviewed for further guidance. Traffic control plans along with other features of the design should be reviewed by the District Safety Review Committee prior to PS&E as discussed in Index 110.8. The cost of implementing traffic control plans must be included in the project cost estimate, either as one or more separate pay items or as extra work to be paid by force account. It is recognized that in many cases provisions for traffic control will be dependent on the way the contractor chooses to execute the project, and that the designer may have to make some assumptions as to the staging or sequence of the contractor's operations in order to develop definite temporary traffic control plans. However, safety of the public and the workers as well as public convenience demand that designers give careful consideration to the plans for handling all traffic even though a different plan may be followed ultimately. It is simpler from a contract administration standpoint to change a plan than to add one where none existed. The special provisions should specify that the contractor may develop alternate traffic control plans if they are as sound or better than those provided in the contract PS&E. See Section 2-30, Traffic, of the Construction Manual for additional factors to be considered in the preparation of traffic control plans.
appropriate project initiation document (PSR, PSSR, NBSSR, etc.). During design, each major project with an estimated cost over the Minor A limit must be reviewed by the District Safety Review Committee. Any project, regardless of cost, requiring a Traffic Control Plan must be reviewed by the District Safety Review Committee. During construction, the detection of the need for safety-related changes is the responsibility of construction personnel, as outlined in the Construction Manual. Safety concepts that are identified during these safety reviews which directly limit the exposure of employees to vehicular and bicycle traffic shall be incorporated into the project unless deletion is approved by the District Director. (2) Procedure. Each District must have a Safety Review Committee, composed of at least one engineer from the Construction, Design, Maintenance, and Traffic functions and should designate one of the members as chairperson. Committee members should familiarize themselves with current standards and instructions on highway safety so that they can identify items in need of correction. The Committee should conduct at least two design safety reviews of each major project. The Design Project Engineer has the basic responsibility to notify the committee chairperson when a review is needed. The chairperson should schedule a review and coordinate participation by appropriate committee members. Reviews, evaluating safety from the perspectives of the motorists, bicyclists, and pedestrians, should include qualitative and/or quantitative safety considerations of such items as: Exposure of employees to vehicular and bicycle traffic. Traffic control plans. Transportation Management Plans.
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Traversability of roadsides. Elimination or other appropriate treatment of fixed objects. Susceptibility to wrong-way moves. Safety of construction and maintenance personnel. Sight distance. ADA design. Guardrail. Run off road concerns. Superelevation, etc. Roadside management and maintenance reduction. Access to facilities from off of the freeway. Maintenance vehicle pull-out locations.
such proprietary items is discouraged in the interest of promoting competitive bidding. If three or more products or materials are called out for one contract item, they are not considered proprietary. When proprietary items are needed and beneficial to the State, their use must be approved by the District Director or by the Deputy District Director of Design (if such approval authority has been specifically delegated by the District Director). The Deputy Division Chief of Engineering Services, Structure Design, approves the use of proprietary materials on structures and other design elements under their jurisdiction. The use of proprietary items requires approval (i.e., Public Interest Finding) by the Federal Highway Administration (FHWA) Division Office if the project is on the National Highway System (NHS), including the Interstate Highway System. The Departments policy and guidelines on the use of proprietary items are covered in the Office Engineers Ready to List and Construction Contract Award Guide (RTL Guide) under Trade Names. This policy is based on Public Contract Code, Division 2, Chapter 3, Article 5, Paragraph 3400. It is also consistent with FHWA regulatory requirements. The use of proprietary materials, methods, or products will not be approved unless: (a) There is no other known material of equal or better quality that will perform the same function, or (b) There are overwhelming reasons for using the material or product in the publics interest, which may or may not include cost savings, or (c) It is essential for synchronization with existing highway or adjoining facilities, or (d) Such use is on an experimental basis, with a clearly written plan for follow-up and evaluation. If the proprietary item is to be used experimentally and there is Federal participation, the request for FHWA approval must be submitted to the Chief, Office of Resolution of Necessity, Encroachment Exceptions, and Resource Conservation in the Division of Design. The request must include a Construction Evaluated Work Plan (CEWP), which indicates specific functional managers, and units, which have been assigned responsibility for
The objective is to identify all elements where safety improvement may be practical and indicate desirable corrective measures. Reviews should be scheduled when the report or plans are far enough along for a review to be fruitful, but early enough to avoid unnecessary delay in the approval of the report or the completion of PS&E. A simple report should be prepared on the recommendations made by the Safety Committee and the response by the Design Project Engineer. The reports should be included in the project files.
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objective follow-up, evaluation, and documentation of the effectiveness of the proprietary item. See Section 3-404 Scope of Work (ConstructionEvaluated Research) of the Construction Manual for further details on the work plan and the approval procedure.
and Game Code requires notification to the California Department of Fish and Game (DFG) prior to construction of a project that will result in the disposal or deposition of debris, waste, or other material containing crumbled, flaked, or ground pavement where it can pass into any river, stream, or lake designated by the DFG. The first step is to determine whether there are waters of the State in proximity to the project that could be affected by the reuse of flexible pavement. Waters of the State include: (1) perennial rivers, streams, or lakes that flow or contain water continuously for all or most of the year; or (2) intermittent lakes that contain water from time to time or intermittent rivers or streams that flow from time to time, stopping and starting at intervals, and may disappear and reappear. Ephemeral streams, which are generally exempt under provisions developed by the Department and DFG, are those that flow only in direct response to rainfall. The reuse of flexible pavement grindings will normally be consistent with the Fish and Game Code and not require a 1601 Agreement when these materials are placed where they cannot enter the waters of the State. However, there are no set rules as to distances and circumstances applicable to the placement of asphaltic materials adjacent to waters of the State. Placement decisions must be made on case-by-case basis, so that such materials will be placed far enough away from the waters of the State to prevent weather (erosion) or maintenance operations from dislodging the material into State waters. Site-specific factors (i.e., steep slopes) should be given special care. Generally, when flexible pavement grindings are being considered for placement where there is a potential for this material to enter a water body, DFG should be notified to assist in determining whether a 1601 Agreement is appropriate. DFG may require mitigation strategies to prevent the materials from entering the Waters of the State. When in doubt, it is recommended that the DFG be notified.
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If there is the potential for reused flexible materials to reach waters of the State through erosion or other means during construction, such work would normally require a 1601 Agreement. Depending on the circumstances, the following mitigation measures should be taken to prevent flexible grindings from entering water bodies: The reuse of flexible pavement grindings as fill material and shoulder backing must conform to the California Department of Transportation (Department) Standard Specifications, applicable manuals of instruction, contract provisions, and the MOU described below. Flexible chunks and pieces in embankment must be placed above the water table and covered by at least one foot of material.
The Department will notify the DFG pursuant to Section 1601 of the Fish and Game Code when a project involving the use of asphaltic materials or crumbled, flaked, or ground pavement will alter or result in the deposition of pavement material into a river, stream, or lake designated by the DFG. When the proposed activity incorporates the agreements reached under Section 1601 of the Fish and Game Code, and is consistent with Section 5650 of the Fish and Game Code and this MOU, the DFG will agree to the use of these materials. There may be circumstances where agreement between the DFG and the Department cannot be reached. Should the two agencies reach an impasse, the agencies enter into a binding arbitration process outlined in Section 1601 of the Fish and Game Code. However, keep in mind that this arbitration process does not exempt the Department from complying with the provisions of the Fish and Game Code. Also it should be noted that this process is time consuming, requiring as much as 72 days or more to complete. Negotiations over the placement of flexible pavement grindings, chunks, and pieces are to take place at the District level as part of the 1601 Agreement process.
A Memorandum of Understanding (MOU) dated January 12, 1993, outlines the interim agreement between the DFG and the Department regarding the use of asphaltic materials. This MOU provides a working agreement to facilitate the Departments continued use of asphaltic materials and avoid potential conflicts with the Fish and Game Code by describing conditions where use of asphalt road construction material by the Department would not conflict with the Fish and Game Code. Specific Understandings contained in the MOU are: Asphalt Use in Embankments The Department may use flexible pavement chunks and pieces in embankments when these materials are placed where they will not enter the waters of the State. Use of flexible pavement grindings as Shoulder Backing The Department may use flexible pavement grindings as shoulder backing when these materials are placed where they will not enter the waters of the State. Streambed Alteration Agreements
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to review and classify tunnels and shafts for the potential presence of flammable gas and vapors prior to bidding. The intent of the TSO regulations are to protect workers from possible injury due to exposure to hazardous conditions. Failure to comply is punishable by fine. The complete TSO regulations are available at the following website: (http://www.dir.ca.gov/title8/sub20.html), with Sections 8403 and 8422 containing information most applicable to project design. The TSO regulations require classification whenever there is human entry into a facility defined as a tunnel or entry into, or very near the entrance of, a shaft. Some of the common types of activities where human entry is likely and that will typically require classification include: Pipe jacking or boring operations Culvert rehabilitation Large diameter pile construction, as described in the following text Pump house vaults Cut-and-cover operations connected to ongoing underground construction and are covered in a manner that creates conditions characteristic of underground construction Well construction Cofferdam excavations Deep structure footings/shafts/casings, described in the following text as
conducted prior to covering the facility with soil. Connecting new pipe to existing buried pipe or structures does fall under the TSO regulations unless the existing pipe system is physically separated by a bulkhead to prevent entry into the buried portion. Designers must either incorporate requirements for such separation of facilities into the PS&E or they must obtain the required classification from Cal-OSHA. For any project that requires classification, specifications must be included that alert the Contractor to the specific location and classification that Cal-OSHA has provided. The TSO regulations should be viewed as being in addition to, and not excluding, other requirements as may apply to contractor or Department personnel covered in the Construction Safety Orders (see CCR, Title 8, Subchapter 4, Article 6 at http://www.dir.ca.gov/title8/sub4.html), safety and health procedures for confined spaces (see Chapter 14 of the Caltrans Safety Manual), or any other regulations that may apply to such work. Prior to PS&E submittal on a project that includes any work defined in CCR Section 8403, a written request must be submitted for classification to the appropriate Mining and Tunneling (M&T) Unit office. Each M&T Unit office covers specific counties as shown on Figure 110.12. Classification must be obtained individually for each separate location on a project. For emergency projects or other short lead-time work, it is recommended that the appropriate M&T Unit office be contacted as soon as possible to discuss means of obtaining classification prior to the start of construction activities. The request must include all pertinent and necessary data to allow the M&T Unit to classify the situation. The data specified under paragraph (a) of Section 8422 (complete text of Section 8422 reprinted below) is typical of new construction projects, however for culvert rehabilitation and other type of work affecting an existing facility, not all of the indicated items are typically available or necessary for submittal. The appropriate M&T Unit office should be contacted for advice if there is any question regarding data to submit. In many instances it may not be known during design if there will be human entry into facility
Virtually any project that will lead to construction or rehabilitation work within a pipe, caisson, pile or underground structure that is covered by soil is subject to the TSO regulations. This typically applies to underground structures of 30 inches or greater diameter or shaft excavations of 20 feet or more in depth. Since a shaft is defined as any excavation with a depth at least twice its greatest cross section, the regulations will apply to some structure footing or cofferdam excavations. Cut and cover operations (typical of most pipe, junction structure and underground vault construction) do not fall under the TSO regulations as long as worker entry to the pipe or system (usually for grouting reinforced concrete pipe, tightening bolts on structural plate pipe, etc.) is
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types that would meet the definition of a tunnel or shaft. If there is any anticipation that such entry is likely to occur, classification should be requested. As permit acquisition is typically the responsibility of the District, it is imperative that there be close coordination between District and Structures Design staff regarding the inclusion of any facilities in the structures PS&E that could be defined as a tunnel or shaft and have potential for human entry. The following text is taken directly from Section 8422: 8422 Tunnel Classifications
(a) When the preliminary investigation of a tunnel project is conducted, the owner or agency proposing the construction of the tunnel shall submit the geological information to the Division for review and classification relative to flammable gas or vapors. The preliminary classification shall be obtained from the Division prior to bidding and in all cases prior to actual underground construction. In order to make the evaluation, the following will be required: (1) Plans and specifications; (2) Geological report; (3) Test bore hole and soil analysis log along the tunnel alignment; (4) Proximity and identity of existing utilities and abandoned underground tanks. (5) Recommendation from owner, agency, lessee, or their agent relative to the possibility of encountering flammable gas or vapors; (6) The Division may require additional drill hole or other geologic data prior to making gas classifications. (b) The Division shall classify all tunnels or portions of tunnels into one of the following classifications: (1) Nongassy, which classification shall be applied to tunnels where there is little likelihood of encountering gas during the construction of the tunnel. (2) Potentially gassy, which classification shall be applied to tunnels where there is a possibility flammable gas or hydrocarbons will be encountered.
(3) Gassy, which classification shall be applied to tunnels where it is likely gas will be encountered or if a concentration greater than 5 percent of the LEL of: (A) flammable gas has been detected not less than 12 inches from any surface in any open workings with normal ventilation. (B) flammable petroleum vapors that have been detected not less than 3 inches from any surface in any open workings with normal ventilation. (4) Extrahazardous, which classification shall be applied to tunnels when the Division finds that there is a serious danger to the safety of employees and: Flammable gas or petroleum vapor emanating from the strata has been ignited in the tunnel; or (A) A concentration of 20 percent of the LEL of flammable gas has been detected not less than 12 inches from any surface in any open working with normal ventilation; or (B) A concentration of 20 percent of LEL petroleum vapors has been detected not less than three inches from any surface in any open workings with normal ventilation. (c) A notice of the classification and any special orders, rules, special conditions, or regulations to be used shall be prominently posted at the tunnel job site, and all personnel shall be informed of the classification. (d) The Division shall classify or reclassify any tunnel as gassy or extrahazardous if the preliminary investigation or past experience indicates that any gas or petroleum vapors in hazardous concentrations is likely to be encountered in such tunnel or if the tunnel is connected to a gassy or extrahazardous excavation and may expose employees to a reasonable likelihood of danger. (e) For the purpose of reclassification and to ensure a proper application of classification, the Division shall be notified immediately if a gas or petroleum vapor exceeds any one of the individual classification limits described in subsection (b) above. No underground works
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shall advance until reclassification has been made. (1) A request for declassification may be submitted in writing to the Division by the employer and/or owner's designated agent whenever either of the following conditions occur: (A) The underground excavation has been completed and/or isolated from the ventilation system and/or other excavations underway, or (B) The identification of any specific changes and/or conditions that have occurred subsequent to the initial classification criteria such as geological information, bore hole sampling results, underground tanks or utilities, ventilation system, air quality records, and/or evidence of no intrusions of explosive gas or vapor into the underground atmosphere.
(b) Factual information obtained from such investigations should be made readily available to prospective bidders and contractors. (c) The responsibility for interpreting such information rests with the contractor and not with the State. (d) Generally, the designation of optional material sites or disposal sites will not be included in the special provisions. Mandatory sites must be designated in the special provisions or Materials Information Handout as provided in Index 111.3 of this manual and Section 2-1.03 of the Standard Specifications. A disposal site within the highway right of way (not necessarily within the project limits) should be provided when deemed in the best interest of the Department as an alternative to an approved site for disposal of water bearing residues generated by grinding or grooving operations, after approval is obtained from the Regional Water Quality Control Board (RWQCB) having jurisdiction over the area. (e) Material agreements or other arrangements should be made with owners of material sites whenever the absence of such arrangements would result in restriction of competition in bidding, or in other instances where it is in the State's interest that such arrangements be made. (f) The general policy of Caltrans is to avoid specifying mandatory sources unless data in support of such sources shows certain and substantial savings to the State. Mandatory sources must not be specified on Federal-aid projects except under exceptional circumstances, and prior approval of the FHWA is required. Supporting data in such cases should be submitted as early as possible. This policy also applies to disposal sites. (g) It is the policy of Caltrans to cooperate with local authorities to the greatest practicable extent in complying with environmental requirements for all projects. Any corrective measures wanted by the local authorities should be provided through the permit process. Any unusual requirements, conditions, or situations should be submitted to the Division of Design for review (see Indexes 110.2 and 110.3).
NOTE: The Division shall respond within 10 working days for any such request. Also, the Division may request additional information and/or require specific conditions in order to work under a lower level of classification.
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(h) The use of any materials site requires compliance with environmental laws and regulations, which is normally a part of the project environmental documentation. If the need for a site occurs after approval of the project environmental document, a separate determination of environmental requirements for the materials site may be required. (i) If the materials site is outside the project limits and exceeds 1-acre in size, or extraction will exceed 1,000 cubic yards, it must comply with the Surface Mining and Reclamation Act of 1975 (SMARA) and be included on the current AB 3098 List published by the Department of Conservation before material from that site can be used on a State project. There are limited exceptions to this requirement and the District Materials Engineer should be consulted.
List. Sufficient sampling of sites must be performed to indicate the character of the material and the elevation of the ground water surface, and to determine changes in the character of the material, both laterally and vertically. Sampling must be done in such a manner that individual samples can be taken from each horizon or layer. Composite samples of two or more different types of material are unsatisfactory, as there is no assurance that the materials would be so combined if the materials source were actually used. Testing of blends of two or more types of materials is permissible, provided the test report clearly indicates the combination tested. The test report must clearly indicate the location of the sample and the depth represented. The fact that materials sites are not designated in the Special Provisions does not reduce the importance of thorough exploration and testing. As tabulations of test data for local materials will be furnished to prospective bidders, and the test reports may be examined by bidders if they so request, it is important that only factual data be shown on the test report and that no conclusions, opinions, or interpretation of the test data be included. Under "Remarks", give only the pertinent factual information regarding the scalping, crushing, blending, or other laboratory processing performed in preparing samples for testing, and omit any comments as to suitability for any purpose. Any discussion of the quality, suitability, or quantity of material in local materials sites necessary for design purposes should be included in the Geotechnical Design Report or Materials Report, and not noted on the test reports. For any potential materials source explored or tested, all boring and test data must be furnished, including those tests which indicate unsuitable or inferior material. Materials information to be furnished bidders may include data on a materials source previously investigated for the same project or some other project provided all of the following conditions are met:
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(a) There has been no change in test procedures subsequent to the time the earlier tests were made. (b) The materials source has not been altered by stream action, weathering, or other natural processes. (c) The material sampled and represented by the tests has not been removed. (d) There has been no change in SMARA status, or inclusion or exclusion on the AB 3098 List. It will be necessary for each District to maintain a filing system such that all preliminary test reports for potential materials sites are readily accessible. This will necessitate preparation of test reports covering all preliminary tests of materials. It will also be essential to maintain some type of materials inventory system, whereby sites in the vicinity of any project can be readily identified and the test reports can be immediately accessible. Filing only by numerical or chronological order will not be permissible.
(b) A vicinity map showing the location of investigated materials sites and disposal sites in relation to the project. (c) A map of each material site showing the location and identification of boring or test pits. (d) A tabulation of the test data for each material site, showing complete information on the location, depth, and processing of each sample tested, together with all test results. (e) Copies of all options or agreements with owners of the material sites, if such arrangements have been made. (f) Soil survey sheets or suitable terrain maps showing borings and tests along the highway alignment. (g) A tabulation of which sites comply with environmental laws and regulations and are included on the current AB 3098 List. (h) Material site grading and reclamation plan and disposal site grading plans, if they have been prepared. (i) Copies of local use permits and clearances (when they have been obtained by the State) such as environmental clearances, mining permits, Forest Service Fire Regulations, water quality control clearances, etc. If documents are of unusual length, a statement should be included that they have been obtained and are available for inspection at the District office or Sacramento Plans Counter. Maps, test reports, and other data included in the "Materials Information" must be factual, and should not include any comments, conclusions, or opinions as to the quality, quantity, suitability, depth, or area of the materials in any material site or along the highway. Reproducible copies of all material to be included in the "Material Information" package should be submitted to the Office Engineer.
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The Office Engineer will reproduce the "Materials Information," and copies will be available to prospective bidders upon request in the same manner that plans and special provisions are furnished.
The location and description of the property, zoning, and site restoration/reclamation proposals including necessary vicinity and site maps. The amount and quality of material estimated to be available in the site and amount needed for the project or projects, or amount of excess material to be disposed of and the capacity of the site or sites. An economic analysis using the estimated purchase price and value of land after removal of material or deposit of excess material. The total estimated savings over other possible alternatives must be clearly demonstrated. Alternatives must be shown from the standpoint of what would have to be done if the site was not purchased. Alternatives could be changes in location or grade as well as alternative sources of material. A statement as to whether or not the use of the site should be mandatory, with a separate statement regarding the effect for each proposed project for which mandatory use of the site is considered necessary, including complete justification for the mandatory specification (see Index 111.6). Three copies of each map or other attachment, folded letter size, are required for mandatory sites on all Federal-aid projects. A statement of the type environmental documentation. Other justification. of
Send one copy to the Division of Design and one copy to DES Materials Engineering and Testing Services for information. (b) If the project or projects are to have Federal aid, the District will prepare a request, with supporting environmental clearance, for FHWA approval to specify the source as mandatory. One copy of this request should be sent to the Office
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Engineer and one copy to Division of Design. (c) If the estimated purchase price is over $300,000, the District should include the item in the STIP and corresponding budget. (d) When the proposed purchase has been approved, the Project Engineer should notify the District Division of Right of Way, District Environmental Division and the District Materials Unit and request that Right of Way purchase the site (or obtain a Materials Agreement; the Materials Unit should assist in the development of the agreement) and the Environmental Division obtain environmental authorization to proceed. (e) The District must include the cost of purchase in the proper fiscal year program and/or budget as part of the District targets. (f) After budgeting, the District must submit an expenditure authorization to cover purchase of the site. This could be concurrent if the project is added to the budget during a fiscal year. The expenditure authorization request should be processed through the District Project Management and Administration Units and obtain District Director approval. (g) After issuance of an expenditure authorization, the District Division of Right of Way will complete purchase of the site. (2) Material and Disposal Sites in Federal Lands. The applicable sections of the Federal Highway Act of 1958 for procurement of borrow or disposal sites, Sections 107(d) and 317, are set forth in Section 8.18.02.00 of the Right of Way Manual; Section 107(d) applies to the Interstate System while Section 317 applies to other Federal-aid highways. Whenever Federal public lands are required for a material or a disposal site, and after preliminary negotiations at the local level with the Federal agency having jurisdiction, the District must submit a letter report to the
FHWA. This report should observe the requirements of Index 111.5 of this manual and Section 8.18.02.03 of the Right of Way Manual. Following submittal of the proposal by the District to the FHWA, the latter, acting on behalf of the State transmits the proposal with a favorable recommendation to the Federal agency having control of the site. See Section 8.18.02.03 of the Right of Way Manual.
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113.2 Content
The GDR is to conform to the Guidelines for Geotechnical Reports which is prepared by the Office of Structural Foundations.
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Corrosion studies Materials disposal sites Side prone areas with erosive soils
114.3 Content
All Materials Reports must contain the location of the project, scope of work, and list of special conditions and assumptions used to develop the report. Materials Reports must contain the following information when the applicable activity is included in the scope of the project. (1) Pavement. The Materials Report must document the design designation and climate zone or climate data used to prepare the report and recommendations. Document studies, tests, and cores performed to collect data for the report. Include deflection studies for flexible pavement rehabilitation projects (see Index 635.1). Also include pavement structure recommendations. The report should also outline special material requirements that should be incorporated such as justifications for using (or not using) particular materials in the pavement structure. (2) Drainage Culverts or Other Materials. The Materials Report must contain a sufficient number of alternatives that materially meet or exceed the culvert design life (and other drainage related) standards for the Project Engineer to establish the most maintainable, constructable, and cost effective alternative in conformance with FHWA regulations (23 CFR 635D). (3) Corrosion. Corrosion studies are necessary when new culverts, culvert rehabilitation, or culvert extensions are part of the scope of the project. Studies should satisfy the requirements of the Corrosion Guidelines. Copies of the guidelines can be obtained from the Corrosion Technology Branch in DES Materials Engineering and Testing Services or on the DES Materials Engineering and Testing Services website. (4) Materials or Disposal Sites. See Topic 111 Material and Disposal Sites for conditions when sites need to be identified and how to document.
The Materials Report may be either a single report or a series of reports that contains one or several of the components listed above. Materials Reports are prepared for Project Initiation Documents, Project Reports, and PS&E. Materials Report(s) are signed and stamped with an engineers seal by the engineer in responsible charge for the findings and recommendations. The District Materials Engineer will either prepare the Materials Report or review and accept Materials Report(s) prepared by others. The Material Report is signed by the Registered Engineer that prepared the report.
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tests and studies necessary for a final Materials Report during the planning/scooping phase. In these instances, a Preliminary Materials Report may be issued using the best information available and good engineering judgment. Accurate traffic projections and design designations are still required for the Preliminary Materials Report. Preliminary Materials Reports should not be used for project reports or PS&E development. When used, Preliminary Materials Reports must document the sources of information used and assumptions made. It must clearly state that the Preliminary Materials Report is to be used for planning and initial cost estimating only and not for final design. The Department Pavement website contains supplemental guidance for developing preliminary pavement structures.
destinations, etc. Therefore, designing for bicycle traffic and designing for motor vehicle traffic are similar and based on the same fundamental transportation engineering principles. The main differences between bicycle and motor vehicle operations are lower speed and acceleration capabilities, as well as greater sensitivity to out of direction travel and steep uphill grades. Design guidance that addresses the safety and mobility needs of bicyclists on Class II bikeways (bike lanes) is distributed throughout this manual. See Chapter 1000 for additional bicycle guidance for Class I bikeways (bike paths) and Class III bikeways (bike routes). All city, county, regional and other local agencies responsible for bikeways or roads except those freeway segments where bicycle travel is prohibited shall equal or exceed the minimum bicycle design criteria contained in this and other chapters of this manual (see the Streets and Highways Code, Section 891). The decision to develop bikeways should be made in consultation and coordination with local agencies responsible for bikeway planning to ensure connectivity and network development. Generally speaking, bicycle travel can be enhanced by bikeways or improvements to the right-hand portion of roadways, where bicycles are required to travel. When feasible, a wider shoulder than minimum standard should be considered since bicyclists are required to ride to as far to the right as possible, and shoulders provide bicyclists an opportunity to pull over to let faster traffic pass. All transportation improvements are an opportunity to improve safety, access, and mobility for the bicycle mode of travel.
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bicycle or pedestrian use if it is determined to be incompatible. The Headquarters Traffic Liaison and the Design Coordinator must approve any proposals to open freeways to bicyclists, pedestrian or other non-motorized use. See the California MUTCD and CVC Section 21960. When a new freeway segment is to remain open or existing freeway segment is to be reopened to these modes, it is necessary to evaluate the freeway features for their compatibility with safe and efficient travel, including: Shoulder widths Drainage grates; see Index 1003.5(2) Expansion joints Utility access covers on shoulders Frequency and spacing of entrance/exit ramps Multiple-lane entrance/exit ramps Traffic volumes on entrance/exit ramps and on lanes merging into exit ramps Sight distance at entrance/exit ramps Freeway to freeway interchanges The presence and design of rumble strips Longitudinal edges and joints
If a freeway segment has no suitable non-freeway alternative and is closed because certain features are considered incompatible, the feasibility of eliminating or reducing the incompatible features should be evaluated. This evaluation may include removal, redesign, replacement, relocation or retrofitting of the incompatible feature, or installation of signing, pavement markings, or other traffic control devices. Where no reasonable, convenient and safe nonfreeway alternative exists within a freeway corridor, the Department should coordinate with local agencies to develop new routes, improve existing routes or provide parallel bicycle and pedestrian facilities within or adjacent to the freeway right of way. See Project Development Procedures Manual Chapter 1, Article 3 (Regional and System Planning) and Chapter 31 (Nonmotorized Transportation Facilities) for