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Compliance Versus Risk in Assessing Occupational Exposures

Author

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  • Rogelio Tornero‐Velez
  • Elaine Symanski
  • Hans Kromhout
  • Rong C. Yu
  • Stephen M. Rappaport

Abstract

Assessments of occupational exposures to chemicals are generally based upon the practice of compliance testing in which the probability of compliance is related to the exceedance [γ, the likelihood that any measurement would exceed an occupational exposure limit (OEL)] and the number of measurements obtained. On the other hand, workers’ chronic health risks generally depend upon cumulative lifetime exposures which are not directly related to the probability of compliance. In this paper we define the probability of “overexposure” (θ) as the likelihood that individual risk (a function of cumulative exposure) exceeds the risk inherent in the OEL (a function of the OEL and duration of exposure). We regard θ as a relevant measure of individual risk for chemicals, such as carcinogens, which produce chronic effects after long‐term exposures but not necessarily for acutely‐toxic substances which can produce effects relatively quickly. We apply a random‐effects model to data from 179 groups of workers, exposed to a variety of chemical agents, and obtain parameter estimates for the group mean exposure and the within‐ and between‐worker components of variance. These estimates are then combined with OELs to generate estimates of γ and θ. We show that compliance testing can significantly underestimate the health risk when sample sizes are small. That is, there can be large probabilities of compliance with typical sample sizes, despite the fact that large proportions of the working population have individual risks greater than the risk inherent in the OEL. We demonstrate further that, because the relationship between θ and γ depends upon the within‐ and between‐worker components of variance, it cannot be assumed a priori that exceedance is a conservative surrogate for overexposure. Thus, we conclude that assessment practices which focus upon either compliance or exceedance are problematic and recommend that employers evaluate exposures relative to the probabilities of overexposure.

Suggested Citation

  • Rogelio Tornero‐Velez & Elaine Symanski & Hans Kromhout & Rong C. Yu & Stephen M. Rappaport, 1997. "Compliance Versus Risk in Assessing Occupational Exposures," Risk Analysis, John Wiley & Sons, vol. 17(3), pages 279-292, June.
  • Handle: RePEc:wly:riskan:v:17:y:1997:i:3:p:279-292
    DOI: 10.1111/j.1539-6924.1997.tb00866.x
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    References listed on IDEAS

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    1. Robert C. Spear & Steve Selvin, 1989. "OSHA's Permissible Exposure Limits: Regulatory Compliance Versus Health Risk," Risk Analysis, John Wiley & Sons, vol. 9(4), pages 579-586, December.
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    Cited by:

    1. Paul Hewett, 1998. "Comments on Relating to Tornero‐Velez et al: Compliance Versus Risk in Assessing Occupational Exposures," Risk Analysis, John Wiley & Sons, vol. 18(6), pages 665-667, December.
    2. S. M. Rappaport & Rogelio Tornero‐Velez & Elaine Symanski & Hans Kromhout & Rong C. Yu, 1998. "Response to Paul Hewett's “Comments Relating to Tornero Velez et al.: Compliance Versus Risk in Assessing Occupational Exposures”," Risk Analysis, John Wiley & Sons, vol. 18(6), pages 669-671, December.

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    1. Paul Hewett, 1998. "Comments on Relating to Tornero‐Velez et al: Compliance Versus Risk in Assessing Occupational Exposures," Risk Analysis, John Wiley & Sons, vol. 18(6), pages 665-667, December.

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