Latest Standards, Engineering Specifications, Manuals and Technical Publications

Collection of latest documents from ISO, IEC, CEN, CENELEC, ETSI, and SIST.

This document defines the purpose, governance and functional requirements of the eInvoicing Registry for CIUS and Extension Specifications. This document is not to be confused with other business / project focused Technical Specifications. It follows CEN rules and will be published as a CEN document with normative statements.
A key part of this document is to provide a functional specification, which will describe the various functions of eInvoice Registry Services.
The Registry is intended to serve as a structured, transparent and publicly accessible repository that facilitates the discovery, registration and management of eInvoicing Specifications that either restrict the conditional elements of the Core Invoice Model and/or extend it in conformance with Part 5 Extension Methodology.
The scope of this document includes:
- Definition of Registry Services - the structure and capabilities of the Registry including the types of artefacts it stores or references, e.g. CIUS, Extension Specifications, Validation Artefacts and Services, and Code Lists;
- Governance Model - the roles and responsibilities of entities involved in managing and maintaining the Registry;
- Submission and Verification Processes - how Specifications are submitted, reviewed and verified for inclusion in the Registry;
- Functional Specification - the required functionality, processes and procedures that enable the Registry to operate efficiently.

  • Technical specification
    51 pages
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This document specifies a method for the determination of the resistance of coatings to one of four defined cycles of wet (salt fog)/dry/humid conditions using specified solutions.

  • Standard
    24 pages
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The CEN/TS 18212 series specifies a generic framework for the establishment of requirements and their evaluation methodology for biometric products. The requirements depend on the biometric mode considered and are adapted to each scenario, through the definition of a variety of application profiles.
The CEN/TS 18212 series specifies the evaluation methodology, the individual tests and the application profiles (with their particular requirements).
This document specifies:
—   The different kind of evaluations to be performed.
—   The terms used during the description of the tests to be applied.
—   The parameters used, whose values are defined by each application profile, for each of the individual tests.
—   Test data used, and considerations dealing with personal data protection.
—   How to perform technology evaluations.
—   Execution flow for functionality scenario evaluations.
—   Execution flow for attack resistance evaluations.
NOTE 1   Future parts of the CEN/TS series are planned to address the specifics of each biometric mode.
For each of these modalities, this document specifies application-independent tests, as well as a set of application profiles, that detail the applicable tests, the evaluation parameters and the passing criteria.
The CEN/TS 18212 series can be taken by any certification body and/or sector, to define and evaluate the requirements for their biometric products within their selected applications.
NOTE 2   National regulations and requirements can apply.
NOTE 3   Regarding biometrics for public sector applications, see also BSI TR-03121 [8] which can apply.
NOTE 4   For an overview of sectors addressed in the Cybersecurity Act, see Regulation (EU) 2019/881 [2].

  • Technical specification
    30 pages
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This document describes the transaction information requirements of the transactions used in the basic
collaborations described in EN 17015-1 Electronic Public Procurement – Catalogue – Choreographies.
For each transaction there is an overview, the transaction business requirements and the transaction information requirements model containing definitions of terms, usage descriptions and cardinality of the information elements.
The document describes the following transactions:
1) Catalogue;
2) Catalogue Response
3) Pre-award Catalogue Request
4) Pre-award Catalogue
5) Shopping Cart
How to claim compliance to a transaction is described in paragraph 6.
How to claim conformance to a transaction is described in paragraph 6.

  • Standard
    144 pages
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IEC 60947-6-1:2026 applies to transfer switching equipment (TSE), to be used in power systems for ensuring the continuity of the supply and allowing the energy management of the installation, by transferring a load between power supply sources, the rated voltage of which does not exceed 1 000 V AC or 1 500 V DC. Specific requirements for bypass/isolation transfer switch equipment are given in Annex C, ATSE having closed transition capability are given in Annex D, stand-alone ATS controllers are given in Annex E, and TSE for electric driven fire pump controllers are given in Annex F.
It covers:
- manually operated transfer switching equipment (MTSE);
- remotely operated transfer switching equipment (RTSE);
- automatic transfer switching equipment (ATSE), including the controller;
- stand-alone ATS controllers;
- bypass/isolation transfer switch equipment (BTSE);
- ATSE having closed transition capability;
- fire pump TSE.
It does not cover:
- TSE configurations that are not fully manufacturer type tested or marked according to this document as a complete transfer switch;
- auxiliary contacts (for guidance, see IEC 60947-5-1);
- transfer switches used in explosive atmospheres (for guidance, see IEC 60079 (all parts));
- embedded software design (for guidance, see IEC TR 63201);
- cybersecurity aspects (for guidance, see IEC 63208);
- TSE rated for direct-on-line starting asynchronous motor of design NE and HE, according to IEC 60034-12. (for guidance, see AC-3e utilisation category according to IEC 60947 4 1);
- other types of TSE under consideration including overlapping neutral TSE, multi-source TSE (i.e. TSE with more than two sources of supply), TSE with load-shedding functions, bus-tie TSE, and hybrid TSE;
- static transfer switches covered by IEC 62310 series.
This fourth edition cancels and replaces the third edition published in 2021. This edition constitutes a technical revision.
This edition includes the following significant technical changes with respect to the previous edition:
- clarification of scope;
- clarification of terms and definitions;
- Annex C for Bypass/Isolation Transfer Switch Equipment;
- Annex D for ATSE having closed transition capability;
- Annex E for Stand-alone ATS controller;
- Annex F for TSE used with electric driven fire pump control equipment.

  • Standard
    102 pages
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This document specifies water jet cleaning methods for the removal of the existing coatings and rust during surface preparation of steel surfaces before application of paints and related products. It provides information on the effectiveness of the individual methods and their fields of application. It also describes the equipment and the procedures to follow.

  • Standard
    25 pages
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1.1        General
This document specifies methods for determining the sound power level of a noise source from sound pressure levels measured on a surface enveloping the noise source (machinery or equipment) in an environment that approximates to an acoustic free field near one or more reflecting planes. The sound power level produced by the noise source, in frequency bands or with A-weighting applied, is calculated using those measurements.
NOTE   Differently shaped measurement surfaces can yield differing estimates of the sound power level of a given noise source which are accounted for in the uncertainty associated with this test method. An appropriately drafted noise test code (see ISO 12001) gives detailed information on the selection of the surface.
1.2        Types of noise and noise sources
The methods specified in this document are suitable for all types of noise (steady, non-steady, and fluctuating) as defined in ISO 12001, except for short duration, impulsive events.
This document is applicable to all types and sizes of noise source (e.g. stationary or slowly moving component or sub-assembly), provided that the conditions for the measurements can be met.
NOTE   It is possible that the conditions for measurements given in this document are impracticable for very tall or very long sources such as chimneys, ducts, conveyors and multi-source industrial plants. A noise test code for the determination of noise emission of specific sources can provide alternative methods in such cases.
1.3        Test environment
The test environments that are applicable for measurements made in accordance with this document can be located indoors or outdoors, with one or more sound-reflecting planes present on or near which the noise source under test is mounted. The ideal environment is a completely open space with no bounding or reflecting surfaces other than the reflecting plane(s), such as that provided by a qualified hemi-anechoic chamber, but procedures are given for applying corrections (within limits that are specified) in the case of environments that are less than ideal. Annex A or ISO 26101-2 specifies methods for determining the adequacy of the test environment and for determination of corrections to be applied to account for the effect of the test environment.
1.4        Measurement uncertainty
Information is given on the uncertainty of the sound power levels determined in accordance with this document, for measurements made in limited bands of frequency and with frequency A-weighting applied. Annex I specifies procedures for testing laboratories that can be used to reduce measurement uncertainty. The uncertainty conforms to ISO 12001, accuracy grade 2 (engineering grade). General information on measurement uncertainty is provided in this document and additional information can be found in ISO 5114-1[8].

  • Standard
    74 pages
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This document establishes the fundamental concepts and principles of quality management which are universally applicable to the following:
organizations seeking sustained success through the implementation of a quality management system (QMS);
customers seeking confidence in an organization’s ability to consistently provide products and services conforming to their requirements;
organizations seeking confidence in their supply chain that product and service requirements will be met;
organizations and interested parties seeking to improve communication through a common understanding of the vocabulary used in quality management;
organizations performing conformity assessments against the requirements of ISO 9001;
providers of training, assessment or advice in quality management;
developers of related standards.
This document defines terms that apply to all quality management documents and QMS standards developed by ISO/TC 176.
This document is applicable to all organizations, regardless of size, complexity or business model.

  • Standard
    65 pages
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This document establishes a framework for the implementation of a sharing economy. It specifies requirements for and gives guidance on the operational economic, social, environmental, legal and other considerations and factors associated with implementation of sharing economy applications and approaches in sharing economy contexts. This document is applicable to all actors participating in the sharing economy ecosystem, including platform operators, providers, users and other stakeholders. This document is applicable to all types and sizes of organization (e.g. commercial enterprises, government agencies, not-for-profit organizations).

  • Standard
    12 pages
    English language
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This document specifies the requirements and test methods applicable to factory applied ceramic epoxy lining for ductile iron pipes conforming to ISO 2531, ISO 7186 and ISO 16631, excluding potable water, for operating temperature up to 50 °C.

  • Standard
    12 pages
    English language
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This document establishes required practices for the safe use of bridge and gantry cranes. It is intended to be used in conjunction with ISO 12480-1. This document applies to the bridge and gantry cranes as defined in ISO 4306-1 and ISO 4306-5.

  • Standard
    3 pages
    English language
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This document specifies the determination of aldehydes and ketones content in polyether polyols and polymer polyols by high performance liquid chromatography (HPLC). This document is applicable to the determination of formaldehyde (HCHO), acetaldehyde (CH3CHO), acrolein (CH2=CHCHO) and acetone (CH3COCH3) in polyether polyols and polymer polyols.

  • Standard
    8 pages
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This document specifies the conditions for determining the tensile properties (including tensile modulus, Poisson’s ratio, strength, strain at maximum force and fracture strain) of ceramic matrix composite materials with continuous fibre reinforcement at room temperature. This document applies to all ceramic matrix composites with a continuous fibre reinforcement, including unidirectional (1D), bi-directional (2D), and multi-directional (xD, with x > 2), reinforcement, loaded along a principal axis of reinforcement. NOTE In most cases, ceramic matrix composites to be used at high temperature in air are coated with an antioxidation coating.

  • Standard
    15 pages
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IEC 61753-021-03:2026 defines minimum initial test and measurement requirements and severities which single-mode fibre optic connectors terminated as a pigtail or a patchcord satisfy in order to be categorized as meeting the IEC standard category OP (outdoor protected environment), as defined in IEC 61753-1. If tests are performed on the connectors terminated as pigtails or patchcords for category OPHD, OP+ or OP+HD and the product passes these tests, the product will be automatically qualified or categorized as meeting the IEC standard for category OP. If tests are performed on the connectors terminated as pigtails or patchcords for category OP, and the product passes these tests, the product will be automatically qualified or categorized as meeting the IEC standard for category C or CHD. This first edition cancels and replaces the first edition of IEC 61753-021-3 published in 2012. This edition constitutes a technical revision. This edition includes the following significant technical changes with respect to the previous edition: a) update of environmental categories (from U to OP), tests and their severities in accordance with IEC 61753‑1; b) changes in the terms and definitions of the different types of test samples (pigtail test samples and patchcord test samples) used in the various tests to avoid confusion; c) update of fibre naming conventions in accordance with IEC 60793‑2‑50 and addition of provisions for B‑657 fibres; d) addition of all the attenuation and return loss grades defined in IEC 61753‑1; e) deletion of the static side load test; f) addition of provisions for rectangular ferrule connectors; g) addition of the fibre optic connector proof test with static load – side pull; h) update of the flexing of the strain relief test to use change of attenuation instead of transient loss; i) addition of Annex B for visual examination of the outer cable sheath movement of reinforced cables as an additional requirement for change of temperature, cable retention and flexing of the strain relief tests.

  • Draft
    22 pages
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IEC 60794-1-126:2026 defines the test procedures used to establish uniform requirements for mechanical performance - galloping. It applies to optical fibre cables like ADSS, OPGW or OPPC that can be exposed to galloping phenomena. See IEC 60794-1-2 for general requirements and definitions and for a complete reference guide to test methods of all types. This first edition cancels and replaces Method E26 of the first edition of IEC 60794‑1‑21 published in 2015. This edition constitutes a technical revision. This edition includes the following significant technical changes with respect to the previous edition: a) Addition of "for ADSS" and "for OPGW and OPPC" in 4.7, a); b) Addition of "L4" in Figure 1 and in 4.7, b); c) Change of the specified static sag angle to ≤ 1,5±0,5°; d) Improvement of Figure 1;

  • Draft
    9 pages
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This document specifies a method for sampling and handling earthworms from field soils as a prerequisite for using these animals as bioindicators (e.g. to assess the quality of a soil as a habitat for organisms). This document is applicable to all terrestrial biotopes in which earthworms occur. This document does not apply to semi-terrestrial soils (i.e. soils that are partly aquatic, such as bogs, beaches, marshes, stream margins) and it can be difficult to use under extreme climatic or geographical conditions (e.g. in high mountains). Methods for other soil organism groups, such as micro-arthropods and enchytraeids (mesofauna), are covered in other parts of the ISO 23611 series.

  • Standard
    14 pages
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  • Standard
    15 pages
    French language
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Shall be according to EN 15502-2-1:2022+A1:2023, Clause 1 with the following modifications:
Replace:
“This document covers gas-fired central heating boilers from the types C1 up to C(11) and the types B2, B3 and B5:”
By:
“This document covers gas-fired central heating boilers from the types C1, C3 up to C9 and the types B2, B3 and B5 :”
b) is replaced by:
b) that use combustible gases of gas group 4Y at the nominal pressure of 20 mbar;
Appliance category   Pn   Pmin   Pmax
4th family   20   17   25
k) is not applicable.
Add at the end of the list, after k), following:
l) which are fully premixed appliances equipped with a Pneumatic Gas/Air Ratio controller (PGAR) or an Adaptive Combustion Control Function (ACCF) that are intended to be connected to hydrogen gas grids where the quality of the distributed hydrogen gas is likely expected to stay within a Wobbe index range of 42 to 46 MJ/m3.
Replace in the list following
“This document does not cover all the requirements for:”
ab), ag), ah) and al) by:
ab) appliances that are intended to be connected to gas grids where the quality of the distributed hydrogen gas is likely to vary outside the Wobbe index range of 42 to 46 MJ/m3;
ag) C(10) boilers;
ah) C(11) boilers;
al) Partially premixed appliances equipped with an adaptive combustion control function (ACCF).
and add an) and ao);
an) The conversion from natural gas to hydrogen.
ao) The risk of aeration of the gas supply to the appliance.

  • Technical specification
    75 pages
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This document establishes a standardized notation with consistent design requirements for the results of business reporting, including written reports, presentations and dashboards. The notation specifies requirements for the visual appearance of: recurring visual aspects, such as the layout of charts, tables and text; their characteristics; the labelling of content. This document is applicable to business reporting regardless of an organization’s type, size, location or the nature of products and services delivered. For further guidance on accessibility requirements, refer to Web Content Accessibility Guidelines 2.2 and ISO/IEC 23859:2023.

  • Standard
    26 pages
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IEC TS 62607-6-36:2026, which is a Technical Specification, establishes a standardized method to determine the key control characteristic
• reduction status
for graphene oxide (GO) and reduced graphene oxide (rGO) by
• ultraviolet-visible spectroscopy (UV-Vis).
The reduction status is not a quantitative value, but rather a compilation (table) of six parameters extracted from UV-Vis absorption spectra. These six parameters can be obtained from GO and rGO as follows:
(1) the peak location of GO, (2) the shoulder peak of GO, (3) the full width at half maximum (FWHM) of the main absorption peak of GO, (4) the peak location of rGO, (5) FWHM of the main absorption peak of rGO and (6) the spectral peak shifts between GO and rGO.
• The method is applicable to the characterization of GO and rGO materials (where rGO is obtained from the corresponding GO) produced by different reduction techniques, as well as to commercial products in solution or film form.
• Individual GO or rGO materials can also be characterized, but only partial parameters can be obtained. Specifically, peak location, FWHM, and shoulder peak can be measured from each GO or rGO material, while peak shift requires both GO and its corresponding rGO for comparison.
• The method is suitable for quality assurance and for monitoring the reduction process during the production of rGO.
• The method does not provide full chemical analysis. Complementary techniques can be required beyond the UV-Vis spectral features.

  • Technical specification
    30 pages
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IEC TS 62565-4-3:2026, which is a Technical Specification, establishes a blank detail specification (BDS) for quantum dot enabled light emitting diodes (QLEDs) used for printed light emitting diodes (LEDs).
This document is intended to be used for display applications.
The relevant key control characteristics (KCCs) include optical, physical, chemical, and structural properties of colloidal quantum dots (QDs). For each KCC listed, methods and existing standards for their measurement are reported. The applicability of such methods and standards to different material categories (physical forms) of QDs, for example colloidal solution, inks, films, is indicated.
Numeric values for the KCCs are left blank as they will be specified between customer and supplier in the detail specification (DS). In the DS, KCCs can be added or removed if agreed between customer and supplier.

  • Technical specification
    35 pages
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This document specifies a general concept for provenance information of biological material and data, organizational roles, and requirements for provenance information management. The provenance information covers any information relevant to the traceability, quality and fitness for purpose of the biological material and data generated throughout the life cycle of the biological material from collection to analysis, including data originating from analytical procedures applied to the biological material and further processing of the data. This document is applicable to organizations, authorities and industries that are: acquiring, collecting, processing, testing, analysing, storing, or distributing biological material in biotechnology and biomedicine (e.g., biobanks, laboratories, biomedical research as well as biotechnological development or production); generating, collecting, analysing, processing, or storing data on and related to biological material (e.g., biobanks, laboratories, developers, manufacturers, or other institutions and commercial organizations in biotechnology or biomedicine); generating, collecting, analysing, processing, or storing data or digital objects in biotechnology and biomedicine (e.g., in vitro/in vivo/in silico diagnostics developers and manufacturers, or other institutions and commercial organizations in the domain); manufacturing devices or software for the aforementioned tasks or providing facilities for these tasks. This document is also applicable to providers of services related to provenance information management (e.g., provenance information generation, storage, provision, or validation). This document can be used by customers, regulatory authorities, organizations and schemes using peer-assessment, accreditation bodies, and others for confirming or recognizing the competence of the aforementioned parties. This document does not apply to biological material and data used for medical diagnosis, treatment and therapy. NOTE 1 This document can be applied by organizations performing laboratory or research activities as well as other activities in biotechnology and biomedicine. NOTE 2 International, national, or regional regulations, standards, or requirements can apply to specific topics covered in this document, e.g., for organizations handling human materials procured and used for diagnostic and treatment purposes.

  • Standard
    15 pages
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IEC 63522-46:2026 is used for testing along with the appropriate severities and conditions for measurements and tests designed to assess the ability of DUTs to perform under expected conditions of transportation, storage and all aspects of operational use.
This document defines a standard test method for impulse voltage test.

  • Standard
    9 pages
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  • Standard
    18 pages
    English and French language
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IEC 63474:2026 specifies methods of measurement of electrical power in networked standby mode and the reporting of the results for edge equipment.
The measurement of power and energy use in non-active mode, other than networked standby mode, is covered by IEC 62301, including the input voltage range.
This document applies to edge equipment that is powered by:
– low voltage mains AC power (LV ≤ 1 000 V AC), or
– an external power supply that provides low voltage (LV ≤ 1 000 V) or extra low voltage (ELV ≤ 50 V) AC or DC power, or
– a separate source of extra low voltage DC power (ELV ≤ 50 V DC), or
– an internal main battery
Conditions that are outside the scope of this document are as follows:
– active modes (primary function)
– other non-active modes (which are either covered by IEC 62301 or by specific product group standards),
– conditions where main batteries are being charged other than in maintenance mode,
– disconnected condition of the equipment.
This document applies to the following product groups where a networked standby mode present:
– edge equipment with a network reactivation function, such as household appliances, information technology equipment, audio, video and multimedia systems and equipment,
– digital radio receivers with an emergency warning function,
– gas burning equipment with electrical components.
NOTE 1 The measurements of power, energy use and performance of products during their intended use (when performing their primary functions) are generally specified in product standards and are not covered by this document.
NOTE 2 Interconnecting equipment (equipment that provides network infrastructure and function) is outside the scope of this document. Measurement of electrical power in networked standby mode for interconnecting equipment is the subject of ETSI standard EN 303 423.
This document also provides a method to test power management and to test whether it is possible to deactivate wireless network connection(s).
NOTE 4 Edge equipment can also include auxiliary batteries.
This document has the status of a horizontal publication in accordance with IEC GUIDE 108.
This second edition cancels and replaces the first edition published in 2023. This edition constitutes a technical revision. This edition includes the following significant technical changes with respect to the previous edition:
- the scope and the measurement method were extended to battery operated products;
- terms and definitions, and measurement conditions have been updated and aligned for both IEC 62301 (ED3) and this document, IEC 63474 (ED2)

  • Standard
    40 pages
    English language
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IEC TS 62607-12-3:2026, which is a Technical Specification, establishes a standardized method to determine the key control characteristic
• Schottky barrier height (SBH)
from the temperature-dependent current–voltage characterization results obtained from two-dimensional (2D) material-based electronic devices.
This document
• defines the Schottky barrier formed from the interface between a 2D material and a metal;
• specifies a 2D device sample for the measurement of the Schottky barrier;
• specifies the measurement procedure for the Schottky barrier formed at the interface within 2D devices;
• provides proper mathematical formulas used to extract the Schottky barrier formed from 2D-materials-based devices;
• provides relevant case studies; and
• provides relevant references

  • Technical specification
    18 pages
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IEC 61514:2026 specifies tests designed to determine the static and dynamic performance of single-acting or double-acting analogue positioners. The tests apply to positioners which receive standard analogue input signals (as specified in IEC 60381-1, IEC 60381-2 and IEC 60382) and have a pneumatic output. Positioners with pulsed or digital input signals, positioners with digital controllers and positioners with pulsed outputs are outside the scope of this document. Testing is conducted either on a positioner alone, independently of an actuator, or on a positioner mounted and connected to a specific actuator, as a combined unit. The text makes clear where different approaches are required. The methods of evaluation given in this document are intended for use by manufacturers to determine the performance of their products, and by users, or independent testing establishments, to verify manufacturers' performance specifications. The closest liaison between the evaluating body and the manufacturer is indispensable during the tests, including the possibility for the manufacturer to influence the test programme based on the manufacturer's specifications for the instrument and comment on both the test programme and the results. This document is intended to provide definitions of positioner elements, actions, and characteristics, to specify uniform methods of measuring performance errors and effects of influence quantities on those characteristics, and to describe methods of reporting and evaluating the results of the measurement data obtained. The test conditions described in this publication (for example range of ambient temperatures and power supply) relate to conditions which commonly arise in use. Consequently, the values specified are used where no other values are specified by the manufacturer or user. If other values are used, they will be stated. It is recognized that the manufacturer's specifications and instructions for installation and operation apply during all steps. The tests specified in this document are not necessarily sufficient for instruments specifically designed for unusually arduous conditions. Conversely, a reduced series of tests can serve adequately for instruments designed to perform within a more limited range of conditions. When a full evaluation, in accordance with this document, is not required or possible, only the tests which are required are performed and the results reported in accordance with the relevant parts of this document. In such cases, the test report will state that it does not cover the full number of tests specified herein. This second edition cancels and replaces the first edition published in 2000. This edition constitutes a technical revision.
This edition includes the following significant technical changes with respect to the previous edition:
a) in 6.6.8 and Table 5, the magnetic field has been changed from 100 A/m to of 30 A/m (Mean Root Square);
b) 6.10.4 and Figure 9 have been modified for better understandability;
c) in 7.4, the reference to IEC 61187 has been deleted and replaced with a new Table 4: Document information.

  • Standard
    92 pages
    English language
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  • Standard
    92 pages
    English and French language
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  • Standard
    92 pages
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IEC 61298-3:2026 specifies general methods and procedures for conducting tests and reporting on the functional and performance characteristics of process instrumentation except process measurement transmitters (PMT) which are standardized by IEC 62828 series. The tests are applicable to any such devices characterized by their own specific input and output variables, and by the specific relationship (transfer function) between the inputs and outputs and include analogue and digital devices. For devices that require special tests, this document can be used, together with any product-specific standard specifying special tests. This document covers tests for the effects of influence quantities. This third edition cancels and replaces the second edition published in 2008. This edition constitutes a technical revision.
This edition includes the following significant technical changes with respect to the previous edition:
a) process measurement transmitters (PMT) have been removed from the scope of this document;
b) contents of subclauses referring to EMC and electrical safety have been deleted, only leaving reference to the IEC standards.

  • Standard
    54 pages
    English language
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  • Standard
    49 pages
    English and French language
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  • Standard
    49 pages
    English and French language
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IEC 61298-2:2026 specifies general methods and procedures for conducting tests and reporting on the functional and performance characteristics of process instrumentation except process measurement transmitters (PMT) which are standardized by IEC 62828 series. The tests are applicable to any such devices characterized by their own specific input and output variables, and by the specific relationship (transfer function) between the inputs and outputs and include analogue and digital devices. For devices that require special tests, this standard can be used, together with any product specific standard specifying special tests. This document covers tests made under reference conditions.
This third edition cancels and replaces the second edition published in 2008. This edition constitutes a technical revision.
This edition includes the following significant technical changes with respect to the previous edition:
a) Process measurement transmitters (PMT) have been removed from the scope of this standard

  • Standard
    50 pages
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  • Standard
    24 pages
    French language
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  • Standard
    47 pages
    English and French language
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IEC 61298-1:2026 specifies general methods and procedures for conducting tests and reporting on the functional and performance characteristics of process instrumentation except process measurement transmitters (PMT) which are standardized by the IEC 62828 series. The tests are applicable to any such devices characterized by their own specific input and output variables, and by the specific relationship (transfer function) between the inputs and outputs and include analogue and digital devices. For devices that require special tests, this document can be used together with any product specific standard specifying special tests. This document covers general principles which apply to the IEC 61298 series.
This third edition cancels and replaces the second edition published in 2008. This edition constitutes a technical revision.
This edition includes the following significant technical changes with respect to the previous edition:
a) Process measurement transmitters (PMT) have been removed from the scope of this standard.

  • Standard
    35 pages
    English language
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  • Standard
    35 pages
    English and French language
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  • Standard
    35 pages
    English and French language
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IEC TR 62908-1-3:2026, which is a technical report, provides general information on pen touch technology with the aim toward standardization. This document includes an overview of the pen touch technology, critical performance characteristics, issues of characteristics measurements, and other information. The purpose of this document is to provide an overview of the different products available in pen touch technology. The companies and products named in this document do not constitute an endorsement by IEC of these products. This second edition cancels and replaces the first edition published in 2021. This edition constitutes a technical revision.
This edition includes the following significant technical changes with respect to the previous edition:
a) add writing characteristics as physical properties of interaction between a pen and a surface of a screen;
b) add example of frictional response between paper and pencil, AGL and touch pen, and glass and touch pen;
c) add example of touch display used in the classroom regarding writing and optical characteristics.

  • Technical report
    32 pages
    English language
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  • Technical report
    64 pages
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IEC 62397:2022 describes the requirements for resistance temperature detectors (RTDs) suitable for applications in I&C systems important to safety of nuclear power plants. The requirements of RTDs include design, materials, manufacturing, testing, calibration, procurement, and inspection. RTDs used for safety applications in Nuclear Power Plants can be categorized into direct-immersed and thermowell-mounted RTDs. This standard describes the requirements for the design, material selection, procurement, construction, and testing of resistance temperature detectors (RTDs) used in nuclear power plants (NPPs). These RTDs may be used in both the nuclear safety I&C systems and/or in the non-safety-related instrumentation systems. This second edition cancels and replaces the first edition, published in 2007; it also cancels and replaces the first edition of IEC 61224:1993. This edition includes the following significant technical changes with respect to the previous edition.

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See the scope of IEC/IEEE 62582-1:2024. Adoption is to be implemented without modification.

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IEC 62705:2022 gives requirements for the lifecycle management of radiation monitoring systems (RMS) and gives guidance on the application of existing IEC standards covering the design and qualification of systems and equipment. The purpose of this document is to lay down requirements for the lifecycle management of RMSs and give application guidance. This document is intended to be consistent with the latest versions of International Standards dealing with radiation monitors, sampling of radioactive materials, instruments calibration, hardware and software design, classification, and qualification. This document is applicable to RMSs installed in nuclear facilities intended for use during normal operation, anticipated operational occurrences (AOO), design basis accidents (DBA) and design extension conditions (DEC), including severe accidents (SA). This second edition cancels and replaces the first edition published in 2014. This edition includes the following significant technical changes with respect to the previous edition: - modification of the title. - to be consistent with the categorization of the accident condition. - to update the references to new standards published since the first edition. - to update the terms and definitions.

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IEC 60730-2-5:2026 applies to automatic electrical burner control systems for the automatic control of burners for oil, gas, coal or other combustibles intended to be used - for household and similar use; - in shops, offices, hospitals, farms and commercial and industrial applications; NOTE 1 Throughout this document, where it can be used unambiguously, the word "system" means "burner control system" and "systems" means "burner control systems". - for equipment that is used by the public, such as equipment intended to be used in shops, offices, hospitals, farms and commercial and industrial applications; NOTE 2 Throughout this document, the word "equipment" means "appliance and equipment." EXAMPLE 1 Controls for commercial catering, heating and air-conditioning equipment. - that are smart enabled controls; EXAMPLE 2 Remote interfaces/control of burner operations. - that are AC or DC powered controls with a rated voltage not exceeding 690 V AC or 600 V DC; - used in, on, or in association with equipment that use electricity, gas, oil, solid fuel, solar thermal energy, etc., or a combination thereof; - utilized as part of a control system or controls which are mechanically integral with multifunctional controls having non-electrical outputs; - using NTC or PTC thermistors and to discrete thermistors, requirements for which are contained in Annex J; - that are mechanically or electrically operated, responsive to or controlling such characteristics as temperature, pressure, passage of time, humidity, light, electrostatic effects, flow, or liquid level, current, voltage, acceleration, or combinations thereof; - as well as manual controls when such are electrically and/or mechanically integral with automatic controls. NOTE 3 Requirements for manually actuated mechanical switches not forming part of an automatic control are contained in IEC 61058-1-1. This document is applicable - to a complete burner control system; - to a separate programming unit; - to a separate electronic high-voltage ignition source; - to a separate flame detector, and - to a separate high-temperature operation (HTO) detector. - to a burner control system intended to be used in warm air heating appliances (furnaces) where the appliance is equipped with an electromechanical differential pressure control to monitor the difference of the combustion air pressure (Type 2.AL). This pressure control provides a switch as an alternative to one of the two switching elements to directly de-energize the safety relevant terminals. This document does not apply to thermoelectric flame supervision controls; thermoelectric flame supervision controls are covered by ISO 23551-6:2021. This document also applies to electrical burner control systems intended exclusively for industrial process applications e.g. those applications covered by ISO TC 244 (ISO 13577 series). This document applies to controls powered by primary or secondary batteries, requirements for which are contained within the standard. This document applies to - the inherent safety of automatic electrical burner control systems, and - functional safety of automatic electrical burner control systems, - automatic electrical burner control systems where the performance (for example the effect of EMC phenomena) of the product can impair the overall safety and perfo

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IEC 62683-1:2026 establishes the reference dictionary of the general description of classes of low-voltage switchgear and controlgear and their assemblies based on defined properties. This dictionary is used to facilitate the exchange in electronic format of data describing low voltage switchgear and controlgear, their accessories and their assemblies. This document provides clear and unambiguous definitions of a limited number of properties and classes which are mainly used for presentation, selection and identification of products particularly in electronic catalogues. Each property has an unambiguously defined meaning and name, and where relevant, a defined value list, a defined format, and a defined unit. Manufacturer specific features are not covered. This second edition cancels and replaces the first edition published in 2017. This edition constitutes a technical revision. This edition includes the following significant technical changes with respect to the previous edition for reflecting the content of the IEC CDD 62683DB which has been updated with the change requests C00073, C00074, C00081, C00087, C00089, C00098, C00100, C00107, C00111, C00116, C00119, C00122, C00146, C00148, C00159, C00167, C00174 and C00135: a) New device class descriptions: ACC304, ACC305, ACC413, ACC417, ACC503, ACC504, ACC505, ACC512, ACC516, ACC536, ACC537, ACC538, ACC540, ACC541, ACC542, ACC543, ACC544, ACC545, ACC546, ACC547, ACC548. b) New associated properties. c) New assembly class structure: ACC101, ACC102, ACC103, ACC104, ACC106, ACC110, ACC111, ACC112, ACC113, ACC114, ACC115, ACC116, ACC117, ACC118, ACC119, ACC120, ACC121, ACC123, ACC124, ACC125, ACC126, ACC127, ACC131, ACC132, ACC133, ACC135, ACC141, ACC142, ACC143, ACC144, ACC145, ACC146, ACC147, ACC148, ACC150, ACC151, ACC152, ACC153, ACC154, ACC155, ACC156, ACC157, ACC158, ACC159, ACC160, ACC161, ACC162, ACC163, ACC164, ACC165, ACC166, ACC167, ACC170, ACC171, ACC172, ACC173, ACC174, ACC175.

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See the scope of IEC/IEEE 62582-3:2024. Adoption is to be implemented without modification.

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IEC 61753-022-13:2026 defines the minimum initial test and measurement requirements, and severities which multimode fibre optic connectors terminated as a pigtail or a patchcord satisfy in order to be categorized as meeting the IEC standard category OP+HP (Extended outdoor protected environment with additional heat dissipation), as defined in IEC 61753-1. If tests are performed on the connectors terminated as pigtails or patchcords for category OP+HP, and the product pass, the product will be automatically qualified or categorized as meeting the IEC standard for categories OP+, OP, OPHD, C and CHD.

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IEC 60444-11:2026 defines the standard method of measuring load resonance frequency fL at the nominal value of CL, and the determination of the effective load capacitance CLeff at the nominal frequency for crystals with the figure of merit M > 4. This edition includes the following significant technical changes with respect to the previous edition: a) key content of withdrawn IEC TR 60444-4 is reproduced as Annex A; b) some formulae in the first edition have been corrected.

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This document specifies the requirements and methods for the clinical investigation of medical electrical (ME) equipment used to measure the body temperature in indirect measurement mode.
This document covers both intermittently and continuously measuring clinical thermometers.
NOTE 1        This document does not apply to clinical thermometers measuring the body temperature in direct measurement mode.
NOTE 2        For clinical thermometers in direct measurement mode determining the technical accuracy in accordance with ISO 80601-2-56:—1) is considered sufficient.
This document is applicable to clinical thermometers with claimed measurement time shorter than 60 seconds (for methods such as oral or rectal measurement), or shorter than 5 minutes (for methods such as axillary measurement), and which are treated as predictive type thermometers and fall under the scope of this document.
This document specifies additional disclosure requirements.
This document does not apply to the clinical investigation of a screening thermographs for human febrile temperature screening whose laboratory accuracy requirements are described in IEC 80601-2-59.
This document does not apply to pulmonary artery catheter for the determination of cardiac output by thermodilution.
NOTE 3        ISO 80601-2-56:—1) does include pulmonary artery catheter for the determination of cardiac output by thermodilution.

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This document specifies requirements for oropharyngeal airways.
This document is not applicable to metal oropharyngeal airways, nor to requirements concerning flammability of oropharyngeal airways.
This document is not applicable to supralaryngeal airways, which are covered by ISO 11712[1].
The requirements that are also applicable to other airway devices have been removed from this document as they now appear in the general airway device standard (ISO 18190).
The requirements in this device-specific standard take precedence over any conflicting requirements in the general standard for airway devices (ISO 18190).

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This document provides to ELT recyclers and producers of ELT derived materials an approach
to the compliance with the European CPL and REACH regulations.
This document provides a guidance to:
 Identify the relevant hazardous substances expected in ELT derived rubber (granulates and powders),
 Assess the hazardous classification of the material according the CLP regulation based on the expected concentration range of these substances,
 Support the REACH compliance of the materials.

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This document specifies the maximum mass content of alloying elements and impurities in aluminium and aluminium alloy cast materials and articles designed to be in contact with foodstuff. It contains provisions for the demonstration of conformity of products with the present document.
NOTE   Materials include ingots and liquid metal. Articles are finished goods.

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This document defines and describes the concept of on-boarding of person identification data (PID) within a Wallet. The scope of this document includes cases where a natural person is the User in control of a Wallet. This includes a natural person who is in control of their own information, as well as natural persons who control information to represent another natural person or a legal person. This document considers a single set of PID attributes linked to a single Wallet Unit. This does not exclude the issuance of multiple PIDs representing the same set of PID attributes, e.g. batch issuance.
It also provides the general workflow, the roles and responsibilities at stake, and links the on-boarding with the Level of Assurance concept underpinning eIDAS [1];
The scope of this document includes cases where a natural person is the User in control of a wallet. This includes a natural person who is in control of their own data as well as natural persons who control data to represent another natural person or legal person.
EXAMPLE     If a natural person represents a legal person, the PID provider can issue a "representation PID" in an own Wallet Unit for representation purposes controlled by the natural person Wallet User. The "representation PID" is a kind of attestation which contains PID about the natural person (representative) and about the legal person (representee).
This document is limited to the on-boarding of an unique set of person identification data, complying with the legal provisions of eIDAS [1], in particular (1) issued in accordance with Union or National laws, and (2) conformant with the relevant implementing act [5].
The following aspects are out of scope of this document:
—   the on-boarding of person identification data within a Wallet where the User is a legal person;
—   other types of on-boarding, such as:
—   provisioning of person identification data after revocation, expiration or deletion;
—   addition of other Attributes (under the shape of attestations) in accordance with the requirement of Level of Assurance “High” which are not part of the set of person identification data but are part of the legal identity under National’s laws;
—   management of person identification data (deletion, update, etc.);
—   provisioning of person identification data which is not compliant with the relevant implementing act [5];
—   provisioning of a partial set of person identification data;
—   provisioning of supplemental set(s) of person identification data (multiple PIDs);

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This document specifies the minimum requirements for the contents of the user manual for Automotive LPG propulsion systems fitted in road vehicles.
This document does not cover the user manual for forklift trucks or other industrial machinery.

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This document provides the information needed to assess the condition over time of a unionid population, and the level of information for assessing whether a plan or project may be detrimental to their future prospects. It provides guidance on methods for survey and monitoring unionid mussel populations and the environmental characteristics important for maintaining populations in favourable condition. The document is based on best practice developed and used by unionid mussel experts in Europe, and describes approaches that individual countries have adopted for survey, data analysis and condition assessment.
Standard methods for restoring populations are not within the scope of this document.

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This document provides a workflow comprising experimental procedures and flaw detection algorithms aimed at locating flaws in parts produced during the powder bed fusion-laser-based (PBF-LB) process of metals. It emphasizes the use of coaxial photodiode-based in-situ monitoring and statistical and clustering machine learning algorithms, particularly for detecting lack of fusion-induced flaws. The workflow delineates setting thresholds for statistical detection and determining the number of clusters for machine learning algorithms, utilizing intentional seeded flaws in parts. Validation procedures are provided through computed tomography scanner data. Hardware limitations and considerations for multi-laser processes are addressed, with attention to potential issues.

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This document specifies the characteristics of grooved pins with half-length centre oval grooves (with closed ends), in steel and stainless steel, and with nominal diameter 1 mm to 25 mm.
These grooved pins are designed to fulfil the main following functions:
relative rotation of the assembled parts, and
positioning or guiding,
with an easy installation (due to its symmetrical shape) and a high level of pull-out resistance (due to the elastic fit behaviour of the pin).
The general requirements (including functional principles for grooved pins and assembly) are specified in ISO 13669.

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This document specifies performance requirements for alternative core laminates intended for interior use, the core layer compositions of which are not covered by EN 438-3 [1], EN 438-4 [2], EN 438-5 [3], EN 438-6 [4] and EN 438-8 [5]. The core layer types (coloured core layer and metal reinforced core layer) are specified in this part of the EN 438 series.
NOTE   Regarding the test methods relevant to this document, see EN 438-2.

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DEN/ERM-TG28-561

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The present document specifies technical requirements, limits and test methods for Short Range Devices in the non-
specific category operating in the frequency range 25 MHz to 1 000 MHz.
The non specific SRD category is defined by the EU Commission Decision 2019/1345/EU [i.3] as:
"The non-specific short-range device category covers all kinds of radio devices, regardless of the application or the
purpose, which fulfil the technical conditions as specified for a given frequency band. Typical uses include telemetry,
telecommand, alarms, data transmissions in general and other applications".
These radio equipment types are capable of transmitting up to 500 mW effective radiated power and operating indoor or
outdoor.
NOTE: The relationship between the present document and the essential requirements of article 3.2 of
Directive 2014/53/EU [i.2] is given in Annex A

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REN/MSG-TFES-15-3

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ABSTRACT
This specification covers grades of fuel oil intended for use in various types of fuel-oil-burning equipment under various climatic and operating conditions. These grades include the following: Grades No. 1 S5000, No. 1 S500, No. 2 S5000, and No. 2 S500 for use in domestic and small industrial burners; Grades No. 1 S5000 and No. 1 S500 adapted to vaporizing type burners or where storage conditions require low pour point fuel; Grades No. 4 (Light) and No. 4 (Heavy) for use in commercial/industrial burners; and Grades No. 5 (Light), No. 5 (Heavy), and No. 6 for use in industrial burners. Preheating is usually required for handling and proper atomization. The grades of fuel oil shall be homogeneous hydrocarbon oils, free from inorganic acid, and free from excessive amounts of solid or fibrous foreign matter. Grades containing residual components shall remain uniform in normal storage and not separate by gravity into light and heavy oil components outside the viscosity limits for the grade. The grades of fuel oil shall conform to the limiting requirements prescribed for: (1) flash point, (2) water and sediment, (3) physical distillation or simulated distillation, (4) kinematic viscosity, (5) Ramsbottom carbon residue, (6) ash, (7) sulfur, (8) copper strip corrosion, (9) density, and (10) pour point. The test methods for determining conformance to the specified properties are given.
SCOPE
1.1 This specification (see Note 1) covers grades of fuel oil intended for use in various types of fuel-oil-burning equipment under various climatic and operating conditions. These grades are described as follows:  
1.1.1 Grades No. 1 S5000, No. 1 S500, No. 1 S15, No. 2 S5000, No. 2 S500, and No. 2 S15 are middle distillate fuels for use in domestic and small industrial burners. Grades No. 1 S5000, No. 1 S500, and No. 1 S15 are particularly adapted to vaporizing type burners or where storage conditions require low pour point fuel.  
1.1.2 Grades B6–B20 S5000, B6–B20 S500, and B6–B20 S15 are middle distillate fuel/biodiesel blends for use in domestic and small industrial burners.  
1.1.3 Grades No. 4 (Light) and No. 4 are heavy distillate fuels or middle distillate/residual fuel blends used in commercial/industrial burners equipped for this viscosity range.  
1.1.4 Grades No. 5 (Light), No. 5 (Heavy), and No. 6 are residual fuels of increasing viscosity and boiling range, used in industrial burners. Preheating is usually required for handling and proper atomization.  
Note 1: For information on the significance of the terminology and test methods used in this specification, see Appendix X1.
Note 2: A more detailed description of the grades of fuel oils is given in X1.3.  
1.2 This specification is for the use of purchasing agencies in formulating specifications to be included in contracts for purchases of fuel oils and for the guidance of consumers of fuel oils in the selection of the grades most suitable for their needs.  
1.3 Nothing in this specification shall preclude observance of federal, state, or local regulations which can be more restrictive.  
1.4 The values stated in SI units are to be regarded as standard.  
1.4.1 Non-SI units are provided in Table 1 and Table 2 and in 7.1.2.1/7.1.2.2 because these are common units used in the industry.
Note 3: The generation and dissipation of static electricity can create problems in the handling of distillate burner fuel oils. For more information on the subject, see Guide D4865.  
1.5 This international standard was developed in accordance with internationally recognized principles on standardization established in the Decision on Principles for the Development of International Standards, Guides and Recommendations issued by the World Trade Organization Technical Barriers to Trade (TBT) Committee.

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SIGNIFICANCE AND USE
5.1 The carbon residue value of burner fuel serves as a rough approximation of the tendency of the fuel to form deposits in vaporizing pot-type and sleeve-type burners. Similarly, provided alkyl nitrates are absent (or if present, provided the test is performed on the base fuel without additive) the carbon residue of diesel fuel correlates approximately with combustion chamber deposits.  
5.2 The carbon residue value of motor oil, while at one time regarded as indicative of the amount of carbonaceous deposits a motor oil would form in the combustion chamber of an engine, is now considered to be of doubtful significance due to the presence of additives in many oils. For example, an ash-forming detergent additive may increase the carbon residue value of an oil yet will generally reduce its tendency to form deposits.  
5.3 The carbon residue value of gas oil is useful as a guide in the manufacture of gas from gas oil, while carbon residue values of crude oil residuums, cylinder and bright stocks, are useful in the manufacture of lubricants.
SCOPE
1.1 This test method covers the determination of the amount of carbon residue (Note 1) left after evaporation and pyrolysis of an oil, and is intended to provide some indication of relative coke-forming propensities. This test method is generally applicable to relatively nonvolatile petroleum products which partially decompose on distillation at atmospheric pressure. Petroleum products containing ash-forming constituents as determined by Test Method D482 or IP Method 4 will have an erroneously high carbon residue, depending upon the amount of ash formed (Note 2 and Note 4).  
Note 1: The term carbon residue is used throughout this test method to designate the carbonaceous residue formed after evaporation and pyrolysis of a petroleum product under the conditions specified in this test method. The residue is not composed entirely of carbon, but is a coke which can be further changed by pyrolysis. The term carbon residue is continued in this test method only in deference to its wide common usage.
Note 2: Values obtained by this test method are not numerically the same as those obtained by Test Method D524. Approximate correlations have been derived (see Fig. X1.1), but need not apply to all materials which can be tested because the carbon residue test is applied to a wide variety of petroleum products.
Note 3: The test results are equivalent to Test Method D4530, (see Fig. X1.2).
Note 4: In diesel fuel, the presence of alkyl nitrates such as amyl nitrate, hexyl nitrate, or octyl nitrate causes a higher residue value than observed in untreated fuel, which can lead to erroneous conclusions as to the coke forming propensity of the fuel. The presence of alkyl nitrate in the fuel can be detected by Test Method D4046.  
1.2 The values stated in SI units are to be regarded as standard. No other units of measurement are included in this standard.  
1.3 WARNING—Mercury has been designated by many regulatory agencies as a hazardous substance that can cause serious medical issues. Mercury, or its vapor, has been demonstrated to be hazardous to health and corrosive to materials. Use caution when handling mercury and mercury-containing products. See the applicable product Safety Data Sheet (SDS) for additional information. The potential exists that selling mercury or mercury-containing products, or both, is prohibited by local or national law. Users must determine legality of sales in their location.  
1.4 This standard does not purport to address all of the safety concerns, if any, associated with its use. It is the responsibility of the user of this standard to establish appropriate safety, health, and environmental practices and determine the applicability of regulatory limitations prior to use.  
1.5 This international standard was developed in accordance with internationally recognized principles on standardization established in the Decision on Prin...

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SIGNIFICANCE AND USE
4.1 The force required to separate a metallic coating from its plastic substrate is determined by the interaction of several factors: the generic type and quality of the plastic molding compound, the molding process, the process used to prepare the substrate for electroplating, and the thickness and mechanical properties of the metallic coating. By holding all others constant, the effect on the peel strength by a change in any one of the above listed factors may be noted. Routine use of the test in a production operation can detect changes in any of the above listed factors.  
4.2 The peel test values do not directly correlate to the adhesion of metallic coatings on the actual product.  
4.3 When the peel test is used to monitor the coating process, a large number of plaques should be molded at one time from a same batch of molding compound used in the production moldings to minimize the effects on the measurements of variations in the plastic and the molding process.
SCOPE
1.1 This test method gives two procedures for measuring the force required to peel a metallic coating from a plastic substrate.2 One procedure (Procedure A) utilizes a universal testing machine and yields reproducible measurements that can be used in research and development, in quality control and product acceptance, in the description of material and process characteristics, and in communications. The other procedure (Procedure B) utilizes an indicating force instrument that is less accurate and that is sensitive to operator technique. It is suitable for process control use.  
1.2 The tests are performed on standard molded plaques. This method does not cover the testing of production electroplated parts.  
1.3 The tests do not necessarily measure the adhesion of a metallic coating to a plastic substrate because in properly prepared test specimens, separation usually occurs in the plastic just beneath the coating-substrate interface rather than at the interface. It does, however, reflect the degree that the process is controlled.  
1.4 This standard does not purport to address all of the safety concerns, if any, associated with its use. It is the responsibility of the user of this standard to establish appropriate safety, health, and environmental practices and determine the applicability of regulatory limitations prior to use.  
1.5 This international standard was developed in accordance with internationally recognized principles on standardization established in the Decision on Principles for the Development of International Standards, Guides and Recommendations issued by the World Trade Organization Technical Barriers to Trade (TBT) Committee.

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SIGNIFICANCE AND USE
5.1 The edgewise compressive strength of short sandwich construction specimens provides a basis for judging the load-carrying capacity of the construction in terms of developed facing stress.  
5.2 This test method provides a standard method of obtaining sandwich edgewise compressive strengths for panel design properties, material specifications, research and development applications, and quality assurance.  
5.3 The reporting section requires items that tend to influence edgewise compressive strength to be reported; these include materials, fabrication method, facesheet lay-up orientation (if composite), core orientation, results of any nondestructive inspections, specimen preparation, test equipment details, specimen dimensions and associated measurement accuracy, environmental conditions, speed of testing, failure mode, and failure location.
SCOPE
1.1 This test method covers the compressive properties of structural sandwich construction in a direction parallel to the sandwich facing plane. Permissible core material forms include those with continuous bonding surfaces (such as balsa wood and foams) as well as those with discontinuous bonding surfaces (such as honeycomb).  
1.2 The values stated in either SI units or inch-pound units are to be regarded separately as standard. Within the text the inch-pound units are shown in brackets. The values stated in each system are not exact equivalents; therefore, each system must be used independently of the other. Combining values from the two systems may result in nonconformance with the standard.  
1.3 This standard does not purport to address all of the safety concerns, if any, associated with its use. It is the responsibility of the user of this standard to establish appropriate safety, health, and environmental practices and determine the applicability of regulatory limitations prior to use.  
1.4 This international standard was developed in accordance with internationally recognized principles on standardization established in the Decision on Principles for the Development of International Standards, Guides and Recommendations issued by the World Trade Organization Technical Barriers to Trade (TBT) Committee.

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SIGNIFICANCE AND USE
5.1 Since the information provided by this test method is largely qualitative in nature, specific limits covering the following characteristics are required in referring to this test method in specifications for kerosene:  
5.1.1 Duration of the test: 16 h is understood, if not otherwise specified;  
5.1.2 Permissible change in flame shape and dimensions during the test;  
5.1.3 Description of the acceptable appearance of the chimney deposit.
SCOPE
1.1 This test method covers the qualitative determination of the burning properties of kerosene to be used for illuminating purposes. (Warning—Combustible. Vapor harmful.)
Note 1: The corresponding Energy Institute (IP) test method is IP 10 which features a quantitative evaluation of the wick-char-forming tendencies of the kerosene, whereas Test Method D187 features a qualitative performance evaluation of the kerosene. Both test methods subject the kerosene to somewhat more severe operating conditions than would be experienced in typical designated applications.  
1.2 The values stated in SI units are to be regarded as standard. No other units of measurement are included in this standard.  
1.3 This standard does not purport to address all of the safety concerns, if any, associated with its use. It is the responsibility of the user of this standard to establish appropriate safety, health, and environmental practices and determine the applicability of regulatory limitations prior to use. Specific warning statements appear throughout the test method.  
1.4 This international standard was developed in accordance with internationally recognized principles on standardization established in the Decision on Principles for the Development of International Standards, Guides and Recommendations issued by the World Trade Organization Technical Barriers to Trade (TBT) Committee.

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ABSTRACT
This specification covers emulsified asphalt suitable for use as a protective coating for built-up roofs and other exposed surfaces with specified inclines. The emulsified asphalts are grouped into three types, as follows: Type I, which contains fillers or fibers including asbestos; Type II, which contains fillers or fibers other than asbestos; and Type III, which do not contain any form of fibrous reinforcement. These types are further subdivided into two classes, as follows: Class 1, which is prepared with mineral colloid emulsifying agents; and Class 2, which is prepared with chemical emulsifying agents. Other than consistency and homogeneity of the final products, they shall also conform to specified physical property requirements such as weight, residue by evaporation, ash content of residue, water content flammability, firm set, flexibility, resistance to water, and behavior during heat and direct flame tests.
SCOPE
1.1 This specification covers emulsified asphalt suitable for use as a protective coating for built-up roofs and other exposed surfaces with inclines of not less than 4 % or 42 mm/m [1/2 in./ft].  
1.2 The values stated in either SI units or inch-pound units are to be regarded separately as standard. The values stated in each system are not necessarily exact equivalents; therefore, to ensure conformance with the standard, each system shall be used independently of the other, and values from the two systems shall not be combined.  
1.3 This standard does not purport to address all of the safety concerns, if any, associated with its use. It is the responsibility of the user of this standard to establish appropriate safety, health, and environmental practices and determine the applicability of regulatory limitations prior to use.  
1.4 This international standard was developed in accordance with internationally recognized principles on standardization established in the Decision on Principles for the Development of International Standards, Guides and Recommendations issued by the World Trade Organization Technical Barriers to Trade (TBT) Committee.

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SIGNIFICANCE AND USE
5.1 The honeycomb tensile-node bond strength is a fundamental property than can be used in determining whether honeycomb cores can be handled during cutting, machining and forming without the nodes breaking. The tensile-node bond strength is the tensile stress that causes failure of the honeycomb by rupture of the bond between the nodes. It is usually a peeling-type failure.  
5.2 This test method provides a standard method of obtaining tensile-node bond strength data for quality control, acceptance specification testing, and research and development.
SCOPE
1.1 This test method covers the determination of the tensile-node bond strength of honeycomb core materials.  
1.2 The values stated in either SI units or inch-pound units are to be regarded separately as standard. The values stated in each system may not be exact equivalents; therefore, each system shall be used independently of the other. Combining values from the two systems may result in non-conformance with the standard.  
1.3 This standard does not purport to address all of the safety concerns, if any, associated with its use. It is the responsibility of the user of this standard to establish appropriate safety, health, and environmental practices and determine the applicability of regulatory limitations prior to use.  
1.4 This international standard was developed in accordance with internationally recognized principles on standardization established in the Decision on Principles for the Development of International Standards, Guides and Recommendations issued by the World Trade Organization Technical Barriers to Trade (TBT) Committee.

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SIGNIFICANCE AND USE
5.1 Research O.N. correlates with commercial automotive spark-ignition engine antiknock performance under mild conditions of operation.  
5.2 Research O.N. is used by engine manufacturers, petroleum refiners and marketers, and in commerce as a primary specification measurement related to the matching of fuels and engines.  
5.2.1 Empirical correlations that permit calculation of automotive antiknock performance are based on the general equation:
Values of k1,  k2, and k3 vary with vehicles and vehicle populations and are based on road-O.N. determinations.  
5.2.2 Research O.N., in conjunction with Motor O.N., defines the antiknock index of automotive spark-ignition engine fuels, in accordance with Specification D4814. The antiknock index of a fuel approximates the Road octane ratings for many vehicles, is posted on retail dispensing pumps in the U.S., and is referred to in vehicle manuals.
This is more commonly presented as:
5.2.3 Research O.N. is also used either alone or in conjunction with other factors to define the Road O.N. capabilities of spark-ignition engine fuels for vehicles operating in areas of the world other than the United States.  
5.3 Research O.N. is used for measuring the antiknock performance of spark-ignition engine fuels that contain oxygenates.  
5.4 Research O.N. is important in relation to the specifications for spark-ignition engine fuels used in stationary and other nonautomotive engine applications.
SCOPE
1.1 This laboratory test method covers the quantitative determination of the knock rating of liquid spark-ignition engine fuel in terms of Research O.N., including fuels that contain up to 25 % v/v of ethanol. However, this test method may not be applicable to fuel and fuel components that are primarily oxygenates.2 The sample fuel is tested using a standardized single cylinder, four-stroke cycle, variable compression ratio, carbureted, CFR engine run in accordance with a defined set of operating conditions. The O.N. scale is defined by the volumetric composition of PRF blends. The sample fuel knock intensity is compared to that of one or more PRF blends. The O.N. of the PRF blend that matches the K.I. of the sample fuel establishes the Research O.N.  
1.2 The O.N. scale covers the range from 0 to 120 octane number but this test method has a working range from 40 to 120 Research O.N. Typical commercial fuels produced for spark-ignition engines rate in the 88 to 101 Research O.N. range. Testing of gasoline blend stocks or other process stream materials can produce ratings at various levels throughout the Research O.N. range.  
1.3 The values of operating conditions are stated in SI units and are considered standard. The values in parentheses are the historical inch-pound units. The standardized CFR engine measurements continue to be in inch-pound units only because of the extensive and expensive tooling that has been created for this equipment.  
1.4 For purposes of determining conformance with all specified limits in this standard, an observed value or a calculated value shall be rounded “to the nearest unit” in the last right-hand digit used in expressing the specified limit, in accordance with the rounding method of Practice E29.  
1.5 This standard does not purport to address all of the safety concerns, if any, associated with its use. It is the responsibility of the user of this standard to establish appropriate safety, health, and environmental practices and determine the applicability of regulatory limitations prior to use. For specific warning statements, see Section 8, 14.4.1, 15.5.1, 16.6.1, Annex A1, A2.2.3.1, A2.2.3.3 (6) and (9), A2.3.5, X3.3.7, X4.2.3.1, X4.3.4.1, X4.3.9.3, X4.3.11.4, and X4.5.1.8.  
1.6 This international standard was developed in accordance with internationally recognized principles on standardization established in the Decision on Principles for the Development of International Standards, Gu...

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  • Standard
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SIGNIFICANCE AND USE
5.1 Often the most critical stress to which a sandwich panel core is subjected is shear. The effect of repeated shear stresses on the core material can be very important, particularly in terms of durability under various environmental conditions.  
5.2 This test method provides a standard method of obtaining the sandwich core shear fatigue response. Uses include screening candidate core materials for a specific application, developing a design-specific core shear cyclic stress limit, and core material research and development.
Note 3: This test method may be used as a guide to conduct spectrum loading. This information can be useful in the understanding of fatigue behavior of core under spectrum loading conditions, but is not covered in this standard.  
5.3 Factors that influence core fatigue response and shall therefore be reported include the following: core material, core geometry (density, cell size, orientation, etc.), specimen geometry and associated measurement accuracy, specimen preparation, specimen conditioning, environment of testing, specimen alignment, loading procedure, loading frequency, force (stress) ratio and speed of testing (for residual strength tests).
Note 4: If a sandwich panel is tested using the guidance of this standard, the following may also influence the fatigue response and should be reported: facing material, adhesive material, methods of material fabrication, adhesive thickness and adhesive void content. Further, core-to-facing strength may be different between precured/bonded and co-cured facings in sandwich panels with the same core and facing materials.
SCOPE
1.1 This test method determines the effect of repeated shear forces on core material used in sandwich panels. Permissible core material forms include those with continuous bonding surfaces (such as balsa wood and foams) as well as those with discontinuous bonding surfaces (such as honeycomb).  
1.2 This test method is limited to test specimens subjected to constant amplitude uniaxial loading, where the machine is controlled so that the test specimen is subjected to repetitive constant amplitude force (stress) cycles. Either shear stress or applied force may be used as a constant amplitude fatigue variable.  
1.3 The values stated in either SI units or inch-pound units are to be regarded separately as standard. The values stated in each system are not necessarily exact equivalents; therefore, to ensure conformance with the standard, each system shall be used independently of the other, and values from the two systems shall not be combined. Within the text, the inch-pound units are shown in brackets.  
1.4 This standard does not purport to address all of the safety concerns, if any, associated with its use. It is the responsibility of the user of this standard to establish appropriate safety, health, and environmental practices and determine the applicability of regulatory limitations prior to use.  
1.5 This international standard was developed in accordance with internationally recognized principles on standardization established in the Decision on Principles for the Development of International Standards, Guides and Recommendations issued by the World Trade Organization Technical Barriers to Trade (TBT) Committee.

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ABSTRACT
This specification covers the testing and requirements for two types and two classes of asbestos-free asphalt roof cement consisting of an asphalt base, volatile petroleum solvents, and mineral and/or other stabilizers, mixed to a smooth, uniform consistency suitable for trowel application to roofing and flashing. Type I is made from asphalts characterized as self-healing, adhesive, and ductile, while Type II is made from asphalt characterized by high softening point and relatively low ductility. Class I is used for application to essentially dry surfaces, while Class II is used for application to damp, wet, or underwater surfaces. The roof cements shall comply with composition limits for water, nonvolatile matter, mineral and/or other stabilizers, and bitumen (asphalt). They shall also meet physical requirements such as uniformity, workability, and pliability and behavior at given temperatures.
SCOPE
1.1 This specification covers asbestos-free asphalt roof cement suitable for trowel application to roofings and flashings.  
1.2 The values stated in either SI units or inch-pound units are to be regarded separately as standard. The values stated in each system may not be exact equivalents; therefore, each system shall be used independently of the other. Combining values from the two systems may result in nonconformance with the standard.  
1.3 The following precautionary caveat pertains only to the test method portion, Section 8 of this specification: This standard does not purport to address all of the safety concerns, if any, associated with its use. It is the responsibility of the user of this standard to establish appropriate safety, health, and environmental practices and determine the applicability of regulatory limitations prior to use.  
1.4 This international standard was developed in accordance with internationally recognized principles on standardization established in the Decision on Principles for the Development of International Standards, Guides and Recommendations issued by the World Trade Organization Technical Barriers to Trade (TBT) Committee.

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DEN/ERM-TGAERO-31-2

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  • Standard
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  • Standard
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