This document provides guidance on applying the set of user accessibility needs (UANs) to the procurement, development and evaluation of ICT products and services. This includes guidance on documenting the application of user accessibility needs. Applying user accessibility needs helps improve accessibility for all users and in particular for users with special needs that might otherwise be overlooked.
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This document specifies the syntax, semantics, and decoding for visual volumetric media using video‑based coding methods. Furthermore, this document specifies processes that can be needed for reconstruction of visual volumetric media, and can also include additional processes such as post‑decoding, pre-reconstruction, post‑reconstruction, and adaptation.
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This document specifies the presentation of lexicographic entries in general language dictionaries, whether monolingual, bilingual or multilingual, following a lexicographic lemma-oriented approach, and intended for human end-users. Concerning the modelling of the underlying data, this document follows the ISO 24613 series. The document provides recommendations for addressing the heterogeneous structures of data presentation in lexicographic entries, both in printed and digital dictionaries. This document also establishes core concepts related to the broader scope of lexicographic work.
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This document specifies the requirements for dehydrated tarragon (Artemisia dracunculus Linnaeus) (methylchavicol type; also called “estragole -type tarragon”) in the form of whole or cut leaves and powder. It does not apply to the elemicin-sabinene-type tarragon. Recommendations relating to storage and transport conditions are given in Annex A.
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This document provides a self-assessment of an organization’s human-centred design principles, processes, and activities throughout the life cycle of computer-based interactive systems. It also provides an overview of information given in the ISO 9241-200 series of standards. It is intended to be used as an introduction and self-assessment guide to human-centred design (HCD). Its target audience is personnel responsible for and managing design processes, and it is concerned with ways in which both hardware and software components of interactive systems can enhance human–system interaction. This document does not provide detailed coverage of the methods and techniques required for human-centred design, nor does it address health or safety aspects in detail. Although it addresses the planning and management of human-centred design, it does not address all aspects of project management. NOTE Detailed human factors, ergonomics, usability and accessibility issues are dealt with more fully in a number of standards including other parts of ISO 9241 and ISO 6385, which sets out the broad principles of ergonomics.
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This document specifies a subset of the syntax specified in Rec. ITU-T T.840.1 | ISO/IEC 6048-1 via one Main stream profile and three decoder tool subsets as three decoder profiles. It also defines higher bounds on tile and picture sizes via levels of a decoder profile that a conforming decoder implementation shall support, and specifies profiles, each being tailored to certain application domains, and defines the levels of the profiles.
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This document is applicable to whole body vibration as a significant hazard. It also specifies the methods for determining the vibration emission transmitted to the whole body of drivers standing or seated on freely moveable ground support equipment (GSE) when driving, for purposes of type evaluation and declaration. This document also specifies methods for verifying vibration emission. This document is applicable to self-powered GSE only. The test results do not apply to the determination of whole body vibration exposure of persons. This document is intended to be used in conjunction with the different parts of the EN 1915 series and the EN 12312 series. This document does not apply to GSE manufactured before the date of its publication.
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This document specifies requirements and gives recommendations for the periodic inspection and testing of permanently mounted tubes of: composite with seamless metallic liners; composite with non-load-sharing liners; seamless steel; in battery vehicles and multiple element gas containers (MEGCs) including frames and associated equipment (these components are also inspected); and large tubes of: composite with seamless metallic liners; composite with non-load-sharing liners; in modules including frames and associated equipment (these components are also inspected).
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This document provides requirements and guidance on common competence requirements and qualifications for crewed submersible operations to enable operators to develop their own competence schemes. It is applicable to any crewed submersible system (CSS) or craft. Conventional and nuclear powered naval submarines, and diving bells are not addressed in this document.
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This document provides test methods for determining air tightness and separation performance (permeation and salt rejection) of reverse osmosis (RO) and nanofiltration (NF) membrane elements.
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IEC 60800:2021 is applicable to, and specifies requirements for resistive heating cables for low temperature applications such as comfort heating and the prevention of ice formation. These heating cables and heating cable sets can comprise either factory assembled or field (work-site) assembled units, and are heating cables assembled in accordance with manufacturer’s instructions. Bare conductors and protected conductors to be supplied at voltages equal to, or less than, 50 V are excluded from the scope of this document.
Typical applications include, but are not limited to:
- surface heating installed in or under surfaces;
- direct and storage heating;
- snow melting and frost protection of roofs, gutters, pipes, etc.
Electrical resistance trace heating systems for industrial and commercial applications are specified in the IEC 62395 series [1] and for explosive atmospheres applications in the IEC/IEEE 60079-30 series [2], as are mineral insulated heating cables. Applications in which the sheath temperature exceeds 100 °C are outside the scope of this document.
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- Corrigendum1 pageEnglish languagee-Library read for1 day
IEC 62321-13:2026 specifies three techniques for the determination of free Bisphenol A (BPA) in plastics of electrotechnical products.
This document describes the use of liquid chromatography–diode array detector (LC-DAD), liquid chromatography mass spectrometry (LC-MS), liquid chromatography tandem mass spectrometry (LC-MS/MS) with these test methods detailed in Annex A and Annex B.
These test methods have been evaluated for use with PC, PC/ABS, PP matrices containing free BPA between 20 mg/kg to 500 mg/kg as shown in the Pre-IIS 13 results in Annex C and IIS 13 results in Annex D. The use of these methods for BPA concentration ranges of plastics, other than those specified in Annex C and Annex D, has not been evaluated.
WARNING – Persons using this document should be familiar with normal laboratory practice. This document does not purport to address all of the safety problems, if any, associated with its use. It is the responsibility of the user to establish appropriate safety and health practices and to ensure compliance with any national regulatory conditions.
- Standard60 pagesEnglish and French languagesale 15% off
- Standard60 pagesEnglish and French languagesale 15% off
IEC 61760-1:2026 defines requirements for component specifications of electronic components that are intended for usage in surface mounting technology. To this end, it specifies a reference set of process conditions and related test conditions to be considered when compiling component specifications. The objective of this document is to ensure that a wide variety of SMDs can be subjected to the same placement, mounting and subsequent processes (e.g. cleaning, inspection) during assembly. This document defines tests and requirements that are included in any SMD component’s general, sectional or detail specification. In addition, this document provides component users and manufacturers with a reference set of typical process conditions used in surface mounting technology. Some of the requirements for component specifications in this document are also applicable to components with leads intended for mounting on a circuit board, including solderless interconnection technology. Cases for which this is appropriate are indicated in the relevant subclauses.
NOTE Solderless interconnection technology refers to a mounting method which is not part of the surface-mounting process and the components do not undergo a soldering operation. Such components are included in this document because the mounting of components for solderless interconnection commonly occurs after the mounting of SMDs.
This edition includes the following significant technical changes with respect to the previous edition:
a) added new subclause 4.2 - Classification of electronic assemblies;
b) added new subclause 4.4.8 - Creepage and clearance distances - Insulation coordination;
c) added new subclause 4.9 - Thermal and electrical performance;
d) updated Clause 6 - Soldering: now including requirements related to application of low temperature solders;
e) added new subclause 6.2.2 - Commonly used solder alloys;
f) updated subclause 6.3.6 - Resistance to vacuum during soldering;
g) updated subclause 6.3.7 - Resistance to cleaning media and processes - now includes the tests in IEC 60068-2-88, Tests - Test XD: Resistance of components and assemblies to liquid cleaning media;
h) added new subclause 6.3.9 - Rework of soldered components;
i) added new Annex B - Sustainability.
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This document is applicable to positive displacement refrigerant compressors for stationary and mobile refrigerating systems and heat pumps, hereafter called compressors.
It is applicable for compressors used in commercial and industrial appliances and with electrical energy supply including integral motors, up to 1 000 VAC and 1 500 VDC.
It is applicable to open drive, semi hermetic and hermetic motor compressors, which contain a positive compression function.
This document is not applicable to:
- compressors used in household appliance for which EN IEC 60335-2-34 applies;
- compressors using water or air as refrigerant;
- compressors in vehicle air conditioning systems covered by a specific product standard, e.g. ISO 13043.
This document does not deal with requirements for emission of noise.
NOTE 1 Compressors for automotive comfort air conditioning systems can be developed according e.g. SAE J 639.
NOTE 2 Noise emission depends on the complete installation of the built-in compressors and the corresponding operating conditions.
For semi-hermetic and open drive compressors which include moving parts and for which the external envelope is primarily designed for mechanical loads, thermal loads (to limit the possible deformation due to temperature), stiffness of the structure (external mechanical loads and weight of the equipment), taking into account established safe industrial practice, it is considered that pressure is not a significant design factor.
Attached parts covering other functions e.g. oil separators, oil coolers, suction accumulators comply to EN 14276-1 or EN 13445-6 (cast iron) or EN 13445-8 (aluminium) or show compliance to the relevant European requirements. This is applicable also to shells for hermetic compressors either welded or with any kind of permanent joint.
Requirements for compressors used in explosive atmospheres are not covered by this document.
NOTE 3 For further guidance see EN 1127-1.
This document deals with significant hazards, hazardous situations and events relevant to compressors, when they are used as intended and under conditions for misuse which are reasonably foreseeable by the manufacturer (see Clause 4).
This document specifies safety requirements for the design, construction, manufacture and testing, documentation and marking of compressors, including integral accessories, e.g. shut-off valve, if necessary.
This document relates to the compressor itself which is to be incorporated in a refrigerating system.
This document is not applicable to compressors as specified in the scope which are manufactured before the date of publication.
- Standard91 pagesEnglish languagee-Library read for1 day
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.
- Standard25 pagesEnglish languagee-Library read for1 day
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;
- Standard13 pagesEnglish languagee-Library read for1 day
This document is applicable to products that emit laser radiation for the purpose of free space optical data transmission.
This document does not apply to laser products designed for the purposes of transmitting optical power for applications such as material processing or medical treatment. This document also does not apply to the use of laser products in explosive atmospheres (see IEC 60079-0). Light-emitting diodes employed by free space optical communication systems, used for the purpose of free space optical data transmission, do not fall into the scope of this document.
NOTE If the laser product incorporates an optical fibre that extends from the confinements of the enclosure, the requirements in IEC 60825-2 applies.
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This document defines technical criteria and control procedures which are satisfied by hollow sleepers and bearers used in ballasted track with Vignole rails. The hollow sleepers and bearers designed for ballasted track can also be used in ballastless track. In this case, the requirements are defined by the customer.
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2022-01-05:: This prAA includes common mods to EN IEC 62841-3-3 (PR=75427)
DOW=DOR+48 months is applied to all parts in EN IEC 62841 series
- Amendment10 pagesEnglish languagee-Library read for1 day
This document specifies the standard for the digital exchange of data between the disposition (i.e. registered Office) and the mobile waste and recycling collection units (revolving emptying system according to the EN 840 series and the EN 13071 series and refuse collection vehicles according to the EN 1501 series).
The technique of data transmission is not part of this document.
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IEC 61526:2024 applies to personal dosemeters with the following characteristics:
a) They are worn on the trunk, close to the eye, or on the extremities.
b) They measure the personal dose equivalents Hp(10), Hp(3), and Hp(0,07), from external X and gamma, neutron (not for Hp(3)), and beta radiations, and may measure the respective personal dose equivalent rates for the same radiations (for alarming purposes).
c) They have a digital indication. This indication may or may not be attached.
d) They have alarm functions for the personal dose equivalents or personal dose equivalent rates except for hybrid dosemeters. For hybrid dosemeters an alarm function for the personal dose equivalents shall be implemented in the associated readout system.
This document specifies requirements for the dosemeter and, if supplied, for its associated readout system.
This document specifies, for the dosemeters described above, general characteristics, general test procedures, radiation characteristics as well as electrical, mechanical, safety and environmental characteristics.
This edition includes the following significant technical changes with respect to the previous edition:
a) Modification of the title;
b) Inclusion of the measurement quantity for the dose in the lens of the eye, Hp(3);
c) Inclusion of measurement quantity for dose in the skin and extremities, Hp(0,07);
d) Inclusion of dosemeters between active and passive: "hybrid dosemeters";
e) Inclusion of software requirements;
f) Harmonization of requirements for linearity to IEC 62387;
g) Revised neutron energy response requirements.
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IEC 60601-2-91:2026 applies to the BASIC SAFETY and ESSENTIAL PERFORMANCE of NON-THERMAL PLASMA WOUND TREATMENT EQUIPMENT and NON-THERMAL PLASMA WOUND TREATMENT ACCESSORIES.
NON-THERMAL PLASMA WOUND TREATMENT EQUIPMENT and NON-THERMAL PLASMA WOUND TREATMENT ACCESSORIES are not intended to supply heat to the PATIENT. They are used to treat chronic and acute wounds and biological tissue as well as diverse skin and itching diseases.
HAZARDS inherent in the intended physiological function of PLASMA WOUND TREATMENT EQUIPMENT and NON-THERMAL PLASMA WOUND TREATMENT ACCESSORIES within the scope of this document are covered by specific requirements in 7.2.13 of IEC 60601-1:2005, IEC 60601-1:2005/AMD1:2012 and IEC 60601-1:2005/AMD2:2020.
This document does not apply to ME EQUIPMENT intended for the haemostasis of biological tissue (see IEC 60601-2-2 and IEC 60601-2-76).
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IEC 62715-6-42:2026 specifies the standard measurement conditions and methods for determining the flattening force of rollable display devices when stretched to a flat state. This document applies to display panels and modules that are rollable along a single axis or a double axis.
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This document is directly applicable to pulsed X-radiation with pulse duration of 0,1 ms up to 10 s. This range covers the whole range used in medical diagnostics at the time of publication. Some specifications can also be applicable for much shorter pulses; one example is the air kerma of one pulse. Such a pulse can be produced, e.g. by X-ray flash units or high-intensity femtosecond-lasers. Other specifications are not applicable for much shorter pulses; one example is the time-dependent behaviour of the air kerma rate. This cannot be measurable for technical reasons as no suitable instrument is available, e.g. for pulses produced by a femtosecond-laser.
This document specifies the characteristics of reference pulsed radiation for calibrating and testing radiation protection dosemeters and dose rate meters with respect to their response to pulsed radiation. At this point, it is only concerned with the characteristics of single pulses. Single pulses are the most difficult for dosemeters to measure. Determining the dose for repeated pulses is easier, but still more difficult than for continuous radiation, i.e. the performance of the dosemeters when measuring repeated pulses lies between these extremes. The radiation characteristics includes the following:
time-dependent behaviour of the air kerma rate of the pulse;
time-dependent behaviour of the X-ray tube high voltage during the pulse;
uniformity of the air kerma rate within a cross-sectional area of the radiation beam;
air kerma of one radiation pulse;
air kerma rate of the radiation pulse;
repetition frequency.
This document does not define new radiation qualities but uses those radiation qualities specified in existing ISO and IEC standards. Instead, this document gives the link between the parameters for pulsed radiation and the parameters for continuous radiation specifying the radiation qualities. It does not specify specific values or series of values for the pulsed radiation field but specifies only those limits for the relevant pulsed radiation parameters that are required for calibrating dosemeters and dose rate meters and for determining their response depending on the said parameters.
The pulse parameters with respect to the phantom-related quantities were determined using conversion coefficients according to ISO 4037 (all parts). This is possible as the radiation qualities specified in existing ISO and IEC standards are used.
A given reference pulsed X-ray facility is characterized by the parameter ranges over which the full specifications and requirements according to this document are met. Therefore, not all reference pulsed X-ray facilities can produce pulses covering the same parameter ranges.
- Standard25 pagesEnglish languagee-Library read for1 day
This document specifies requirements and test methods for activity toys.
This document also specifies requirements for:
- separately sold accessories for, and components of activity toys;
- separately sold swing elements that are ready for use on or in combination with an activity toy;
- construction packages for activity toys including components used to build activity toys in accordance with a scheduled building instruction.
The scope of this document excludes:
- playground equipment intended for public use dealt with in the EN 1176 series;
- bow-mounted rocking activity toys such as rocking horses and similar toys, which are covered by specific requirements in EN 71-1;
- toy pools with maximum depth of water over 400 mm measured, between the overflow level and the deepest point within the pool;
NOTE 1 For information regarding the classification of pools as toys see European Commission guidance document No. 8 on the application of the Directive 2009/48/EC on the safety of toys - Pools [1].
- pools with maximum depth of water over 400 mm measured, between the overflow level and the deepest point within the pool, without play elements covered e.g. by the EN 16582 series or EN 16927.
NOTE 2 There is an enhanced risk of drowning in pools where the depth of water is in excess of 400 mm.
- toy slides designed to be used in conjunction with domestic in-ground swimming pools;
- trampolines for domestic use dealt with in EN 71-14;
- powered blowers used to continuously inflate inflatable activity toys.
NOTE 3 Powered blowers used to continuously inflate inflatable activity toys are considered to be a household appliance and covered by requirements given in EN 60335-2-80.
See also Clause A.1.
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IEC 62024-3:2026 specifies test methods for AC losses of high-frequency inductive components for power supplies used in DC-to-DC converters and similar devices at currents close to actual operation and introduces the measurement principle, scope of application and matters to be noted for each method. This document is applicable to leaded and surface mount inductors with dimensions in accordance with IEC 62024-2.
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This document describes methods for the determination of sulfur and chlorine content in solid biofuels and pyrogenic biocarbon and specifies two methods for decomposition of the fuel and different analytical techniques for the quantification of the elements in the decomposition solutions. The determination of other elements such as fluorine and bromine are also possible with the methods in this document, however performance data for these elements are not provided. The use of automatic equipment is also included in this document, provided that a validation is carried out as specified and that the performance characteristics are similar to those of the method described in this document.
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This document specifies for passenger lifts and goods passenger lifts:
the verification of door locking devices;
the verification of safety gears;
the verification of overspeed governors;
the verification of buffers;
the verification of safety circuits and SIL-rated circuits;
the verification of ascending car overspeed protection means;
the verification of unintended car movement protection means;
the verification of rupture valves and one-way restrictors;
the verification of suspension and compensation means;
the discard criteria for suspension means and sheaves;
the calculation of guide rails;
the calculation of rams, cylinders, rigid pipes and fittings;
the evaluation of the traction;
the evaluation of the safety factor on suspension means;
the pendulum shock tests;
the fault exclusion for electric and electronic components;
the design rules for SIL-rated circuits.
This document is not applicable to passenger lifts, goods passenger lifts or lift components, which are installed or manufactured before the date of its publication.
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This document specifies the methodology for applying precision estimates of a test method derived from the processes specified in ISO 4259-1. In particular, it specifies the procedures for setting the property specification limits based upon test method precision where the property is determined using a specific test method, and determines the specification conformance status when there are conflicting results between supplier and receiver. Other applications of this test method precision are briefly described in principle without the associated procedures.
The procedures in this document have been designed specifically for petroleum and petroleum-related products, which are normally homogeneous. However, the procedures described in this document can also be applied to other types of homogeneous products.
This document is not applicable to non-homogenous products.
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This document specifies the safety rules for lifts permanently serving buildings and constructions and intended for the transport of persons or persons and goods. It applies to traction lifts, positive drive lifts and hydraulic lifts that:
serve specific levels; and
have a rated speed exceeding 0,15 m/s; and
have an enclosed car; and
move along guide rails inclined not more than 15° to the vertical; and
are indoor or weather-protected.
This document also applies to the electrical equipment of these lifts including the lighting and socket outlets in the well.
This document specifies safety rules related to:
persons to be safeguarded:
users, including passengers, maintenance and inspection personnel;
persons at the landings and outside of the well, or any machinery space and pulley room, who can be affected by the lift.
property to be safeguarded:
loads in the car;
components of the lift installation;
building in which the lift is installed.
This document does not specify additional requirements for:
lifts serving buildings with requirements for seismic conditions;
lifts serving buildings with requirements for accessibility;
lifts exposed to vandalism;
lifts which can be used for firefighting and evacuation purposes under firefighters control;
lifts which can be used to support faster evacuation of persons with disabilities;
the behaviour of the lift when the control system of the lift receives a recall signal(s) in the event of fire in a building.
This document is not applicable to passenger and goods passenger lifts, which are installed before the date of its publication.
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This document specifies requirements for 8-strand braided ropes, for 12-strand braided ropes, and for covered rope constructions (single braid, double braid and multi-core construction) for general purpose made of high modulus polyethylene (HMPE), and gives rules for their designation.
Many different types and grades of HMPE fibre exist which are commonly used to produce rope products. This document does not apply to all variations in strength or product performance.
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This document specifies the methodology for the design, planning, and execution of an interlaboratory study (ILS) and calculation of precision estimates of a test method specified by the study. In particular:
it defines the relevant statistical terms,
it specifies the procedures to be adopted in the planning and execution of an ILS to determine the precision of a test method, and
it specifies the method of calculating the precision from the results of such a study.
The procedures in this document have been designed specifically for petroleum and petroleum related products, which are normally considered as homogeneous. However, the procedures described in this document can also be applied to other types of homogeneous products.
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This document specifies a general framework, including principles, requirements and guidance for assessing, measuring, monitoring and reporting on investments and financing activities in relation to climate change and the transition into a low-carbon economy. The assessment includes the following items:
the alignment (or lack thereof) of investment and financing decisions taken by the financier with low-carbon transition pathways, adaptation pathways, and climate goals;
the impact of actions through the financier’s investment and lending decisions towards the achievement of climate goals in the real economy, i.e. mitigation (greenhouse gas emissions) and adaptation (resilience);
the risks to owners of financial assets (e.g. private equities, listed stocks, bonds, loans) arising from climate change.
To support the financier’s assessment of the impact of investment and lending decisions, this document provides guidance for the financier on how to:
set targets and determine metrics to be used for tracking progress related to the low-carbon transition pathways of investees;
determine low-carbon transition and adaptation trajectories of investees;
document the causality or linkage between its climate action and its outputs, outcomes and impacts.
This document is applicable to financiers, i.e. investors and lenders. It guides their reporting activities to the following third parties: shareholders, clients, policymakers, financial supervisory authorities and non-governmental organizations.
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This document specifies technical safety requirements and measures to be adopted by persons undertaking the design, manufacture and supply of press brakes which are intended to work cold metal or material partly of cold metal but which can be used in the same way to work other sheet materials (e.g. cardboard, plastic, rubber, leather) and also referred to as machines.
NOTE 1 The design of a machine includes the study of the machine itself, taking into account all phases of the “life” of the machine mentioned in ISO 12100:2010, 5.4, and the drafting of the instructions related to all the above phases.
This document covers the following types of machines (see Annex J):
hydraulic press brakes;
hydraulic servo-drive press brakes;
screw servo-drive press brakes;
belt-spring servo-drive press brakes.
The requirements in this document take account of intended use, as defined in ISO 12100:2010, 3.23, as well as reasonably foreseeable misuse, as defined in ISO 12100:2010, 3.24. This document presumes access to the press brake from all directions, deals with all significant hazards during the various phases of the life of the machine described in Clause 4, and specifies the safety measures for both the operator and other exposed persons.
NOTE 2 All significant hazards means those identified or associated with press brakes at the time of the publication of this document.
This document can also be used as a guide for the design of press brakes which are intended to be integrated in a manufacturing system.
This document deals with all significant hazards, hazardous situations or hazardous events relevant to press brakes and ancillary devices (see Clause 4) when it is used as intended and under conditions of misuse which are reasonably foreseeable by the manufacturer. This document specifies the safety requirements for press brakes defined in Clause 3.
This document does not cover press brakes which transmit energy to impart beam motion by using pneumatic means or mechanical clutch or press brakes that use combination of technologies (e.g. combined hydraulic and screw servo-drive press brake or combined hydraulic servo-drive and screw servo-drive press brake).
This document does not cover machines whose principal designed purpose is:
sheet folding by rotary action;
tube and pipe bending by rotary action;
roll bending.
This document does not cover hazards related to the use of press brakes in explosive atmospheres.
This document is not applicable to press brakes which are manufactured before the date of its publication.
This document does not cover the safety aspect of equipment for automatic workpiece loading and unloading where provided. Guidance on how to take into account additional automatic loading and unloading equipment can be found in ISO 11161:2007.
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This document is applicable to small floating working machines used for work in, over, or on, inland waters. This document specifies safety-related requirements and test methods.
This document specifies minimum requirements for small floating working machines with a length of < 10 m and a product of length, width and depth of less than 30 m3, with temporarily or permanently installed work equipment or machines used on inland waters.
These small floating working machines can be used for activities such as extraction work, lifting work, sampling, mowing and clearing work or comparable tasks.
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The CEN/TS 18212 series [4] 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 [4] specifies the evaluation methodology, the individual TESTs, and the application profiles (with their particular requirements).
This document is focussed on face biometrics, and provides the specifics of this biometric mode for the application of all the specifications provided in parts 1 till 3 from CEN/TS 18212 series [4]. It also defines a set of application profiles, that detail the applicable TESTs, the evaluation parameters and the assessment criteria.
In detail, this document defines, for face biometric products:
- general aspects of a face biometric product;
- common resources needed for the evaluation;
- each of the possible TESTs to be applied;
- application profiles for different kinds of face biometrics products.
NOTE 1 National regulations and requirements can apply.
NOTE 2 Regarding biometrics for public sector applications, see also BSI TR 03121 [10] which can apply.
NOTE 3 For an overview of sectors addressed in the Cybersecurity Act, see Regulation (EU) 2019/881[11].
NOTE 4 This part defines all potential TESTs that could be applicable when evaluating the functionality of a biometric product using this biometric mode. It will be the relevant application profile (3.1.1), the one that will specify which of these TESTs are applicable.
The following topics are left out of the scope of this document:
- Vulnerability assessment of the storage system used for the biometric reference/s.
- Vulnerability assessment of communication protocols and interfaces dealing with the operation of the biometric product.
- Evaluation of the performance of human operators in terms of identity proofing.
- Validation of documents providing the biometric reference
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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;
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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.
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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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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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See the scope of IEC/IEEE 62582-1:2024. Adoption is to be implemented without modification.
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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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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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2022-01-05:: This prAA includes common mods to EN IEC 62841-3-3 (PR=75427)
DOW=DOR+48 months is applied to all parts in EN IEC 62841 series
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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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RTBR/SMG-0019R1
- Standardization document104 pagesEnglish languagee-Library read for1 day
DEN/ERM-TGAERO-31-1
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- Standard45 pagesEnglish languagee-Library read for1 day
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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DEN/ERM-TG28-561
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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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ABSTRACT
This test method deals with the acceptance criteria for the magnetic particle examination of forged steel crankshafts and forgings having large main bearing journal or crankpin diameters. Covered here are three classes of forgings, which shall be evaluated under two areas of inspection, namely: major critical areas, and minor critical areas. During inspection, magnetic particle indications shall be classified as: surface indications, which include nonmetallic inclusions or stringers, open or twist cracks, flakes, or pipes; open or pinpoint indications; and non-open indications. Procedures for dimpling, depressing, inspection, and product marking are also mentioned.
SCOPE
1.1 This is an acceptance specification for the magnetic particle inspection of forged steel crankshafts having main bearing journals or crankpins 4 in. [200 mm] or larger in diameter.
1.2 There are three classes, with acceptance standards of increasing severity:
1.2.1 Class 1.
1.2.2 Class 2 (originally the sole acceptance standard of this specification).
1.2.3 Class 3 (formerly covered in Supplementary Requirement S1 of Specification A456 – 64 (1970)).
1.3 This specification is not intended to cover continuous grain flow crankshafts (see Specification A983/A983M); however, Specification A986/A986M may be used for this purpose.
Note 1: Specification A668/A668M is a product specification which may be used for slab-forged crankshaft forgings that are usually twisted in order to set the crankpin angles, or for barrel forged crankshafts where the crankpins are machined in the appropriate configuration from a cylindrical forging.
1.4 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.
1.5 Unless the order specifies the applicable “M” specification designation, the material shall be furnished to the inch units.
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, Guides and Recommendations issued by the World Trade Organization Technical Barriers to Trade (TBT) Committee.
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ABSTRACT
This specification covers SEBS (styrene-ethylenebutylene-styrene)-modified mopping asphalt intended for use in built-up roof construction, construction of some modified bitumen systems, construction of bituminous vapor retarder systems, and for adhering insulation boards used in various types of roofing systems. This specification is intended as a material specification and issues regarding the suitability of specific roof constructions or application techniques are beyond its scope. The specified tests and property values are intended to establish minimum properties. In place system design criteria or performance attributes are factors beyond the scope of this specification. The base asphalt shall be prepared from crude petroleum and the SEBS-modified asphalt shall incorporate sufficient SEBS as the primary polymeric modifier. The SEBS modified asphalt shall be homogeneous and free of water and shall conform to the prescribed physical properties including (1) softening point before and after heat exposure, (2) softening point change, (3) flash point, (4) penetration before and after heat exposure, (5) penetration change, (6) solubility in trichloroethylene, (7) tensile elongation, (8) elastic recovery, and (9) low temperature flexibility. The sampling and test methods to determine compliance with the specified physical properties, as well as the evaluation for stability during heat exposure are detailed.
SCOPE
1.1 This specification covers SEBS (styrene-ethylene-butylene-styrene)-modified asphalt intended for use in built-up roof construction, construction of some modified bitumen systems, construction of bituminous vapor retarder systems, and for adhering insulation boards used in various types of roof systems.
1.2 This specification is intended as a material specification. Issues regarding the suitability of specific roof constructions or application techniques are beyond its scope.
1.3 The specified tests and property values used to characterize SEBS-modified asphalt are intended to establish minimum properties. In-place system design criteria or performance attributes are factors beyond the scope of this specification.
1.4 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.
1.5 This standard does not purport to address 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.
1.6 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, Guides and Recommendations issued by the World Trade Organization Technical Barriers to Trade (TBT) Committee.
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ABSTRACT
This specification covers three types of aluminum-pigmented asphalt roof coatings suitable for application to roofing or masonry surfaces by brush or spray. Type I is nonfibered, Type II is fibered with asbestos, and Type III is fibered other than asbestos. The coatings shall adhere to chemical requirements such as composition limits for water, nonvolatile matter, metallic aluminum, and insolubility in CS2. They shall also meet physical requirements as to uniformity, consistency, and luminous reflectance.
SCOPE
1.1 This specification covers asphalt-based, aluminum-pigmented roof coatings suitable for application to roofing or masonry surfaces by brush or spray.
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 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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SIGNIFICANCE AND USE
4.1 This procedure measures the amount of hydrogen gas generation potential of aluminized emulsion roof coating. There is the possibility of water reacting with aluminum pigment to generate hydrogen gas. This situation is to be avoided, so this test was designed to evaluate coating formulations and assess the propensity to gassing.
SCOPE
1.1 This test method covers a hydrogen gas and stability test for aluminum emulsified asphalt coatings.
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 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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ABSTRACT
This specification covers coated glass mat water-resistant gypsum backing panel designed for use on ceilings and walls in bath and shower areas as a base for the application of ceramic or plastic tile. Coated glass mat water-resistant gypsum backing panel shall consist of a noncombustible water-resistant gypsum core, surfaced with glass mat, partially or completely embedded in the core, and with a water-resistant coating on one surface. The specimens shall be tested for flexural strength, humidified deflection, core hardness, end hardness, edge hardness, nail pull resistance, water resistance, and surface water absorption. Coated glass mat water-resistant gypsum backing panel shall have surfaces true and free of imperfections that render the panel unfit for its designed use.
SCOPE
1.1 This specification covers coated glass mat water-resistant gypsum backing panel designed for use on ceilings and walls in bath and shower areas as a base for the application of ceramic or plastic tile.
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. Within the text, the SI units are shown in brackets.
1.3 The text of this standard references notes and footnotes that provide explanatory material. These notes and footnotes (excluding those in tables and figures) shall not be considered as requirements of the standard.
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 coal tar primer suitable for use with coal tar pitch in roofing, dampproofing, and waterproofing below or above ground level, for application to concrete, masonry, and coal tar surfaces. Different tests shall be conducted in order to determine the following physical properties of coal tar primer: water content, consistency, specific gravity, matter insoluble in benzene, distillation, and coke residue content.
SCOPE
1.1 This specification covers coal tar primer suitable for use with coal tar pitch in roofing, dampproofing, and waterproofing below or above ground level, for application to concrete, masonry, and coal tar surfaces.
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 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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ABSTRACT
This specification covers the properties and requirements for two types of asbestos-free asphalt roof coatings consisting of an asphalt base, volatile petroleum solvents, and mineral or other stabilizers, or both, mixed to a smooth, uniform consistency suitable for application by squeegee, three-knot brush, paint brush, roller, or by spraying. Type I is made from asphalts characterized as self-healing, adhesive, and ductile, while Type II is made from asphalts characterized by high softening point and relatively low ductility. The coatings shall conform to specified composition limits for water, nonvolatile matter, minerals and/or other stabilizers, and bitumen (asphalt). They shall also meet physical requirements as to uniformity, consistency, and pliability and behavior at given temperatures.
SCOPE
1.1 This specification covers asbestos-free asphalt roof coatings of brushing or spraying consistency.
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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SIGNIFICANCE AND USE
4.1 This practice shall be used when ultrasonic inspection is required by the order or specification for inspection purposes where the acceptance of the forging is based on limitations of the number, amplitude, or location of discontinuities, or a combination thereof, which give rise to ultrasonic indications.
4.2 The acceptance criteria shall be clearly stated as order requirements.
SCOPE
1.1 This practice for ultrasonic examination covers turbine and generator steel rotor forgings covered by Specifications A469/A469M, A470/A470M, A768/A768M, and A940/A940M. This practice shall be used for contact testing only.
1.2 This practice describes a basic procedure of ultrasonically inspecting turbine and generator rotor forgings. It does not restrict the use of other ultrasonic methods such as reference block calibrations when required by the applicable procurement documents nor is it intended to restrict the use of new and improved ultrasonic test equipment and methods as they are developed.
1.3 This practice is intended to provide a means of inspecting cylindrical forgings so that the inspection sensitivity at the forging center line or bore surface is constant, independent of the forging or bore diameter. To this end, inspection sensitivity multiplication factors have been computed from theoretical analysis, with experimental verification. These are plotted in Fig. 1 (bored rotors) and Fig. 2 (solid rotors), for a true inspection frequency of 2.25 MHz, and an acoustic velocity of 2.30 in./s × 105 in./s [5.85 cm/s × 105 cm/s]. Means of converting to other sensitivity levels are provided in Fig. 3. (Sensitivity multiplication factors for other frequencies may be derived in accordance with X1.1 and X1.2 of Appendix X1.)
FIG. 1 Bored Forgings
Note 1: Sensitivity multiplication factor such that a 10 % indication at the forging bore surface will be equivalent to a 1/8 in. [3 mm] diameter flat bottom hole. Inspection frequency: 2.0 MHz or 2.25 MHz. Material velocity: 2.30 in./s × 105 in./s [5.85 cm/s × 105 cm/s].
FIG. 2 Solid Forgings
Note 1: Sensitivity multiplication factor such that a 10 % indication at the forging centerline surface will be equivalent to a 1/8 in. [3 mm] diameter flat bottom hole. Inspection frequency: 2.0 MHz or 2.25 MHz. Material velocity: 2.30 in./s × 105 in./s [5.85 cm/s × 105 cm/s].
FIG. 3 Conversion Factors to Be Used in Conjunction with Fig. 1 and Fig. 2 if a Change in the Reference Reflector Diameter is Required
1.4 Considerable verification data for this method have been generated which indicate that even under controlled conditions very significant uncertainties may exist in estimating natural discontinuities in terms of minimum equivalent size flat-bottom holes. The possibility exists that the estimated minimum areas of natural discontinuities in terms of minimum areas of the comparison flat-bottom holes may differ by 20 dB (factor of 10) in terms of actual areas of natural discontinuities. This magnitude of inaccuracy does not apply to all results but should be recognized as a possibility. Rigid control of the actual frequency used, the coil bandpass width if tuned instruments are used, and so forth, tend to reduce the overall inaccuracy which is apt to develop.
1.5 This practice for inspection applies to solid cylindrical forgings having outer diameters of not less than 2.5 in. [64 mm] nor greater than 100 in. [2540 mm]. It also applies to cylindrical forgings with concentric cylindrical bores having wall thicknesses of 2.5 [64 mm] in. or greater, within the same outer diameter limits as for solid cylinders. For solid sections less than 15 in. [380 mm] in diameter and for bored cylinders of less than 7.5 in. [190 mm] wall thickness the transducer used for the inspection will be different than the transducer used for larger sections.
1.6 Supplementary requirements of an optional nature are provided for use at the option of the...
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SIGNIFICANCE AND USE
3.1 These tests are useful in sampling and testing solvent bearing bituminous compounds to establish uniformity of shipments.
SCOPE
1.1 These test methods cover procedures for sampling and testing solvent bearing bituminous compounds for use in roofing and waterproofing.
1.2 The test methods appear in the following order:
Section
Sampling
4
Uniformity
5
Weight per gallon
6
Nonvolatile content
7
Solubility
8
Ash content
9
Water content
10
Consistency
11
Behavior at 60 °C [140 °F]
12
Pliability at –0 °C [32 °F]
13
Aluminum content
14
Reflectance of aluminum roof coatings
15
Strength of laps of rolled roofing adhered with roof adhesive
16
Adhesion to damp, wet, or underwater surfaces
17
Mineral stabilizers and bitumen
18
Mineral matter
19
Volatile organic content
20
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 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.
1.4 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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