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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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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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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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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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 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.
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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.
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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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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 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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This document establishes a classification for one component polyurethane (PUR) adhesives according to their suitability for use in load-bearing timber products in defined climatic exposure conditions, and specifies performance requirements for such adhesives for the factory manufacture or factory-like manufacturing of load-bearing timber products only.
It also classifies “adhesive product lines” where all the products within the line have the same chemical composition except for a different amount of catalyst.
This document only specifies the performance of adhesives for use in an environment corresponding to the defined conditions.
The performance requirements of this document are applicable to the adhesives only, not to the manufactured timber products. This document does not cover the performance of adhesives for on-site gluing (except for factory-like conditions) or the production of wood-based panels, except solid wood panels, or modified and stabilized wood with considerably reduced swelling and shrinkage properties, e.g. acetylated wood, heat treated wood and polymer impregnated wood.
This document is primarily intended for use by adhesive manufacturers and for use in timber products bonded with adhesives, to assess or control the quality of adhesives. The requirements are applicable to the type testing of the adhesives. Production control activities are outside the scope of this document.
Adhesives meeting the requirements of this document are adequate for use in load-bearing timber products, provided that the bonding process has been carried out according to an appropriate product standard.
This document does not address the classification and use of adhesives in combination with the spraying of water before or during the bonding process; see informative Annex C of this document.
This does neither allow nor forbid the use of adhesives in combination with the spraying of water.
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IEC 61754-4:2021 specifies the standard interface dimensions for type SC family of connectors. This third edition cancels and replaces the second edition published in 2013 and constitutes a technical revision. This edition includes the following significant technical changes with respect to the previous edition:
- the test method IEC 61300-3-22 for the compression force of the ferrule was added;
- Annex A (informative) with cut out dimension requirements for testing the strength of mounted adaptors was added.
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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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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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This document specifies the heating condition, method of test and criteria for the evaluation of the ability of a penetration sealing system to maintain the integrity and insulation of a fire-separating element at the position at which it has been penetrated. This document assesses: the effect of such penetrations on the integrity and insulation performance of the element concerned, the integrity and insulation performance of the penetration sealing system, and the insulation performance of the penetrating service or services, and where appropriate, the integrity failure of a service. NOTE 1 Optional water and air leakage tests are included in Annex A. NOTE 2 Explanatory notes are included in Annex B.
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This document describes methods for simulating the mechanical loads that can be imparted to passive fire protection (PFP) materials and systems by explosions resulting from releases of flammable gas, pressurized liquefied gas, flashing liquid fuels, or dust that can precede a fire. These methods can be used to determine the resistance of passive fire protection materials to such events. This document considers PFP materials applied to substrates that are subject to the combined effects of pressure and drag that occur in the flow path of an explosion. This document excludes specimens in which the substrate is subject to plastic deformation or brittle failure.
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This document provides good practice that can be adopted by any service provider, not limited to e-hailing and p-hailing operators, for the implementation of work-related road traffic safety (RTS) management. This document is applicable to any service provider to offer further protection to the drivers for digital platform providers as well as other road users through the adoption of a proactive approach to manage work-related road risks.
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This document gives guidance on the development of a facility management (FM) organization working on the strategic, tactical and operational management levels to: satisfy the needs and objectives of the demand organization and users of its facility; meet the needs of stakeholders and applicable FM requirements consistently; provide a safe, healthy, secure and efficient environment that enhances the workplace experience for users; protect the asset value and resource value of the facility; provide appropriately specified, responsive and cost-effective facility services; implement measures to minimize the impact of climate change on the facility; contribute to goals and targets consistent with sustainable development; improve the usefulness and benefits provided by the FM system.
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This document describes a method that demonstrates the use of polyethylene reference film (PERF) for monitoring laboratory and outdoor conditions as a weathering reference material in weathering tests used for plastics.
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This document specifies methods for the determination of basic measurements of surgical standard instruments. This document does not apply to instruments for use on the central nervous system and on the central cardiovascular system. NOTE Instruments for use on the central nervous system and on the central cardiovascular system are measured differently due to complex geometries which are adapted to the human anatomy.
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This document defines test methods for surgical standard instruments. This document does not cover instruments for use on the central nervous system and on the central cardiovascular system.
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This part of IEC/IEEE 62582 contains methods for condition monitoring of organic and polymeric materials in instrumentation and control systems using tensile elongation techniques in the detail necessary to produce accurate and reproducible measurements. This document includes the requirements for selection of samples, the measurement system and conditions, and the reporting of the measurement results.
The different parts of IEC/IEEE 62582 are measurement standards, primarily for use in the management of ageing in initial qualification and after installation. IEC/IEEE 62582-1 includes requirements for the application of the other parts of IEC/IEEE 62582 and some elements which are common to all methods. Information on the role of condition monitoring in qualification of equipment important to safety is found in IEC/IEEE 60780-323.
This document is applicable to non-energised equipment.
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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 describes a method to expose test organisms (amphipods), directly on the field by a caging methodology, with the aim to measure bioaccumulation of chemical substances on a monitoring station, i.e. either the concentrations of metals or organic compounds, or both, accumulated in the organisms. This document also describes the specifications for test organism selection and conditioning, in situ exposure, and finally sorting and conditioning of the surviving organisms after exposure. This document does not apply to organism preparation methods (freeze-drying, extraction, mineralization) and quantification of the chemical substances.
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This document specifies requirements and recommendations for the design, development and implementation of predictive computational models for research purposes in the field of personalized medicine and health product development. This document addresses the set-up, formatting, validation, simulation, storing and sharing of computational models used for personalized medicine. Requirements and recommendations for data used to construct or required for validating such models are also specified. This includes rules for formatting, descriptions, annotations, interoperability, integration, access and provenance of such data. This document does not apply to computational models used for standard routine clinical, diagnostic or therapeutic purposes.
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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 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 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 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 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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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 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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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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This document specifies requirements and test methods for measuring the accuracy of electronic apex locators that are used to determine the apex location during endodontic treatment.
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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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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 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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See the scope of IEC/IEEE 62582-3:2024. Adoption is to be implemented without modification.
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See the scope of IEC/IEEE 62582-4:2022. Adoption is to be implemented without modification.
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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 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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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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See the scope of IEC/IEEE 62582-2:2022. Adoption is to be implemented without modification.
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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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RTBR/SMG-0019R1
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DEN/ERM-TGAERO-31-1
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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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DEN/ERM-TG28-561
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REN/MSG-TFES-15-3
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SIGNIFICANCE AND USE
5.1 Motor O.N. correlates with commercial automotive spark-ignition engine antiknock performance under severe conditions of operation.
5.2 Motor 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-octane number determinations.
5.2.2 Motor O.N., in conjunction with Research 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 United States, and is referred to in vehicle manuals.
This is more commonly presented as:
5.3 Motor O.N. is used for measuring the antiknock performance of spark-ignition engine fuels that contain oxygenates.
5.4 Motor O.N. is important in relation to the specifications for spark-ignition engine fuels used in stationary and other nonautomotive engine applications.
5.5 Motor O.N. is utilized to determine, by correlation equation, the Aviation method O.N. or performance number (lean-mixture aviation rating) of aviation spark-ignition engine fuel.7
SCOPE
1.1 This laboratory test method covers the quantitative determination of the knock rating of liquid spark-ignition engine fuel in terms of Motor octane number, 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 in a standardized single cylinder, four-stroke cycle, variable compression ratio, carbureted, CFR engine run in accordance with a defined set of operating conditions. The octane number scale is defined by the volumetric composition of primary reference fuel blends. The sample fuel knock intensity is compared to that of one or more primary reference fuel blends. The octane number of the primary reference fuel blend that matches the knock intensity of the sample fuel establishes the Motor octane number.
1.2 The octane number scale covers the range from 0 to 120 octane number, but this test method has a working range from 40 to 120 octane number. Typical commercial fuels produced for automotive spark-ignition engines rate in the 80 to 90 Motor octane number range. Typical commercial fuels produced for aviation spark-ignition engines rate in the 98 to 102 Motor octane number range. Testing of gasoline blend stocks or other process stream materials can produce ratings at various levels throughout the Motor octane number 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-pounds 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 more specific hazard 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, X4.3.12.4, and X4.5.1.8. ...
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- Standard59 pagesEnglish languagesale 15% off
ABSTRACT
This specification covers the physical requirements and testing of three types of lap cement for use with asphalt roll roofing. Type I is a brushing consistency lap cement intended for use in the exposed-nailing method of roll roofing application, and contains no mineral or other stabilizers. This type is further divided into two grades, as follows: Grade 1, which is made with an air-blown asphalt; and Grade 2, which is made with a vacuum-reduced or steam-refined asphalt. Both Types II and III, on the other hand, are heavy brushing or light troweling consistency lap cement intended for use in the concealed-nailing method of roll roofing application, only that Type II cement contains a quantity of short-fibered asbestos, while Type III cement contains a quantity of mineral or other stabilizers, or both, but contains no asbestos. The lap cements shall be sampled for testing, and shall adhere to specified values of the following properties: water content; distillation (total distillate at given temperatures); softening point of residue; solubility in trichloroethylene; and strength at indicated age.
SCOPE
1.1 This specification covers lap cement consisting of asphalt dissolved in a volatile petroleum solvent with or without mineral or other stabilizers, or both, for use with roll roofing. The fibered version of these cements excludes the use of asbestos fibers.
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 applies only to the test method portion, Section 6, 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
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
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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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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SIGNIFICANCE AND USE
5.1 The kinematic viscosity characterizes flow behavior. The method is used to determine the consistency of liquid asphalt as one element in establishing the uniformity of shipments or sources of supply. The specifications are usually at temperatures of 60 and 135 °C.
Note 3: The quality of the results produced by this standard are dependent on the competence of the personnel performing the procedure and the capability, calibration, and maintenance of the equipment used. Agencies that meet the criteria of Specification D3666 are generally considered capable of competent and objective testing, sampling, inspection, etc. Users of this standard are cautioned that compliance with Specification D3666 alone does not completely ensure reliable results. Reliable results depend on many factors; following the suggestions of Specification D3666 or some similar acceptable guideline provides a means of evaluating and controlling some of those factors.
SCOPE
1.1 This test method covers procedures for the determination of kinematic viscosity of liquid asphalts, road oils, and distillation residues of liquid asphalts all at 60 °C [140 °F] and of liquid asphalt binders at 135 °C [275 °F] (see table notes, 11.1) in the range from 6 to 100 000 mm2/s [cSt].
1.2 Results of this test method can be used to calculate viscosity when the density of the test material at the test temperature is known or can be determined. See Annex A1 for the method of calculation.
Note 1: This test method is suitable for use at other temperatures and at lower kinematic viscosities, but the precision is based on determinations on liquid asphalts and road oils at 60 °C [140 °F] and on asphalt binders at 135 °C [275 °F] only in the viscosity range from 30 to 6000 mm2/s [cSt].
Note 2: Modified asphalt binders or asphalt binders that have been conditioned or recovered are typically non-Newtonian under the conditions of this test. The viscosity determined from this method is under the assumption that asphalt binders behave as Newtonian fluids under the conditions of this test. When the flow is non-Newtonian in a capillary tube, the shear rate determined by this method may be invalid. The presence of non-Newtonian behavior for the test conditions can be verified by measuring the viscosity with viscometers having different-sized capillary tubes. The defined precision limits in 11.1 may not be applicable to non-Newtonian asphalt binders.
1.3 Warning—Mercury has been designated by the United States Environmental Protection Agency (EPA) and many state agencies as a hazardous material that can cause central nervous system, kidney, and liver damage. Mercury, or its vapor, may be hazardous to health and corrosive to materials. Caution should be taken when handling mercury and mercury-containing products. See the applicable product Material Safety Data Sheet (MSDS) or Safety Data Sheet (SDS) for details and the EPA’s website—http://www.epa.gov/mercury/faq.htm—for additional information. Users should be aware that selling mercury, mercury-containing products, or both, in your state may be prohibited by state law.
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 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.
1.6 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 ...
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- Standard11 pagesEnglish languagesale 15% off
SIGNIFICANCE AND USE
4.1 This practice is useful as a screening basis for acceptance or rejection of transparencies during manufacturing so that units with identifiable flaws will not be carried to final inspection for rejection at that time.
4.2 This practice may also be employed as a go-no go technique for acceptance or rejection of the finished product.
4.3 This practice is simple, inexpensive, and effective. Flaws identified by this practice, as with other optical methods, are limited to those that produce temperature gradients when electrically powered. Any other type of flaw, such as minor scratches parallel to the direction of electrical flow, are not detectable.
SCOPE
1.1 This practice covers a standard procedure for detecting flaws in the conductive coating (heater element) by the observation of polarized light patterns.
1.2 This practice applies to coatings on surfaces of monolithic transparencies as well as to coatings imbedded in laminated structures.
1.3 The values stated in SI units are to be regarded as standard. No other units of measurement are included in this 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. For specific precautionary statements, see Section 6.
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 coal tar roof cement suitable for trowel application in coal tar roofing and flashing systems. The chemical composition of coal tar roof cement shall conform to the requirements prescribed. The water, non-volatile matter, insoluble matter, behaviour at 60 deg. C, adhesion to wet surfaces, and flash point shall be tested to meet the requirements prescribed.
SCOPE
1.1 This specification covers coal tar roof cement suitable for trowel application in coal tar roofing and flashing systems.
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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SIGNIFICANCE AND USE
5.1 This test method simulates the hydrostatic loading conditions which are often present in actual sandwich structures, such as marine hulls. This test method can be used to compare the two-dimensional flexural stiffness of a sandwich composite made with different combinations of materials or with different fabrication processes. Since it is based on distributed loading rather than concentrated loading, it may also provide more realistic information on the failure mechanisms of sandwich structures loaded in a similar manner. Test data should be useful for design and engineering, material specification, quality assurance, and process development. In addition, data from this test method would be useful in refining predictive mathematical models or computer code for use as structural design tools. Properties that may be obtained from this test method include:
5.1.1 Panel surface deflection at load,
5.1.2 Panel face-sheet strain at load,
5.1.3 Panel bending stiffness,
5.1.4 Panel shear stiffness,
5.1.5 Panel strength, and
5.1.6 Panel failure modes.
SCOPE
1.1 This test method determines the two-dimensional flexural properties of sandwich composite plates subjected to a distributed load. The test fixture uses a relatively large square panel sample which is simply supported all around and has the distributed load provided by a water-filled bladder. This type of loading differs from the procedure of Test Method C393, where concentrated loads induce one-dimensional, simple bending in beam specimens.
1.2 This test method is applicable to composite structures of the sandwich type which involve a relatively thick layer of core material bonded on both faces with an adhesive to thin-face sheets composed of a denser, higher-modulus material, typically, a polymer matrix reinforced with high-modulus fibers.
1.3 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.
1.4 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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