This document, within the context of methods and tools that support adoption, construction, operation, and management of product line maturity framework, specifies: processes for managing, operationalizing, and supporting product line maturity framework adoption (those processes are described in terms of purpose, inputs, tasks, and outcomes); method capabilities to support the defined tasks of each process; tool capabilities that automate or semi-automate tasks and methods. This document does not concern the processes and capabilities of methods and tools for a single system but rather deals with those for a family of products.
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This document specifies the general requirements on procedures for the preservation, handling and storage of samples of sewage and waterworks sludge, suspended matter, marine sediments and freshwater sediments for either chemical, physical, radiochemical, hydrobiological or microbiological examination, or all, in the laboratory. The procedures in this document are not applicable to dried samples of sludge, sediment and suspended matter. NOTE The storage conditions given do not necessarily apply for derived samples, e.g. sediment eluates or extracts. This document is not applicable to samples intended for biotesting with ecotoxicological or biological assays (which is specified in ISO 5667-16[5]) nor intended for microplastics (which is specified in ISO 5667-27[7]).
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This document defines a generic incident management process and supporting documentation that can be used to implement incident management and to manage incidents within most organizations, projects or operations activities for a system, service, software, or product. This document also provides supporting diagrams describing the process and example documents. This document is applicable to incident management in all life cycle models (e.g. incremental, waterfall, evolutionary, agile). This document covers incidents identified across the life cycle, including those that arise during both development (e.g. defects) and operation (e.g. those handled by service management).
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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 defines and establishes a framework for access management (AM) and the secure management of the process to access information and information and communications technologies (ICT) resources, associated with the accountability of a subject within some contexts.
This document provides concepts, terms and definitions applicable to distributed access management techniques in network environments.
This document also provides explanations about related architecture, components and management functions.
The subjects involved in access management can be uniquely recognized to access information systems, as defined in the ISO/IEC 24760 series.
The nature and qualities of physical access control involved in access management systems are outside the scope of this document.
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The CEN/TS 18212 series specifies a generic framework for the establishment of requirements and their evaluation methodology for biometric products. The requirements depend on the biometric mode considered, and are adapted to each scenario, through the definition of a variety of application profiles (APs).
This series of standards are expected to provide the evaluation methodology, the individual tests, and the APs (with their particular requirements).
This document specifies:
- tests for evaluating the interoperability of all biometric input data (received or read);
- test for evaluating the interoperability of all biometric output data (stored or transmitted);
- test for evaluating the interoperability of all exchange of information between the TOE and external components or devices.
NOTE 1 Additional parts are provided covering the specifics of each biometric mode. For each of these modalities, application-independent tests are defined, as well as a set of APs, that detail the applicable tests, the evaluation parameters, and the passing criteria.
The Technical Specifications within this series can be taken by any certification body and/or sector, to define and evaluate the requirements for their biometric products within their selected applications.
NOTE 2 Regarding biometrics for public sector applications, see also BSI TR 03121 [2] which can apply.
NOTE 3 For an overview of sectors addressed in the Cybersecurity Act, see Regulation (EU) 2019/881.
NOTE 4 This part defines all potential tests that could be applicable when evaluating the interoperability of a biometric product. It will be the relevant AP, the one that will specify which of these tests are applicable.
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IEC 63058:2026 is to describe product classes and properties, representing the miniature circuit-breaker (MCB), to become a part of the IEC 61360-4: IEC Common Data Dictionary (IEC CDD). It includes data required for product selection as well as data required for engineering. This document intends, as a contribution to the IEC Common Data Dictionary, to be used by catalogue consortia, other database standards and software as a data reference for circuit‑breakers and similar equipment for household use.
- Draft24 pagesEnglish languagee-Library read for1 day
IEC 63369-1:2026 addresses general requirements and methodology, whereas intended IEC 63369-2 and intended IEC 63369-3 address applications of the methodology and default values of the CFF parameters by geographic area (see Annex B). This document provides a comprehensive methodology for the calculation of carbon footprint of industrial type Li-ion battery systems from cradle to grave. Second life and/or usage that was not intended when the battery was put on the market is not taken into account in this document. This document, along with the other parts of this series, does not apply to batteries for portable, SLI and electric road vehicle traction applications. The definition of the parameters used for the carbon footprint calculation allows for comparability of results for all rechargeable Li-ion chemistries. Classes of representative products are defined in this document to allow comparison inside each class. This methodology, based on the data provided by the battery manufacturer, is mainly intended to allow a carbon footprint assessment of several battery solutions over the Cumulated Requested Service (CRS). This assessment can be used in the selection process of the battery purchaser. The methodology can also be used for a variety of purposes such as battery system development, eco-design and participation in voluntary or mandatory programs. The methodology in this document is based exclusively on attributional life cycle assessment (LCA). The carbon footprint calculation of charging equipment and power conversion equipment not necessary for battery functions is not covered in this document.
- Draft61 pagesEnglish languagee-Library read for1 day
This part of the EN IEC 61360 specifies the new data dictionary (domain) “IEC 61360-7 - General items” including its generic concepts. The IEC 61360-7 data dictionary provides concepts (dictionary elements e.g. classes, properties) intended for cross-domain use.
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IEC 61753-022-02: 2026 defines the minimum initial test and measurement requirements and severities which multimode fibre optic connectors terminated as a pigtail or patchcord satisfy in order to be categorized as meeting the IEC standard category C (controlled environment), as defined in IEC 61753‑1. This first edition cancels and replaces the second edition of IEC 61753-022-2 published in 2012. This edition constitutes a technical revision. This edition includes the following significant technical changes with respect to the previous edition: a) addition of provisions for rectangular ferrule connectors; b) additions of terms and definitions; c) update of the fibre naming conventions in accordance with IEC 60793-2-10; d) update of test severities in accordance with IEC 61753‑1; e) addition of the torsion test; f) reduction of the duration of the fibre/cable retention test on reinforced cables from 120 s to 60 s minimum; g) deletion of the static side load test; h) update of the flexing of the strain relief test to use the change in attenuation instead of the transient loss; i) reduction of the number of mating durability cycles for cylindrical ferrule connectors from 500 cycles to 200 cycles; j) addition of the mating durability for rectangular ferrule connectors with 50 cycles; k) 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.
- Draft21 pagesEnglish languagee-Library read for1 day
This document specifies a reference model and process for Collaborative Modeling and Simulation Environment (CMSE), which establishes a general framework of CMSE to provide guidance for implementation of joint simulation projects. The CMSE which is based on the reference process and the reference model including neutral interfaces and meta-models can enable service-oriented share-use of the infrastructure, integration of the software and collaboration of the business to improve collaboration among all kinds of stakeholders involved in a joint simulation project which needs on-demand simulation at any time and any place upon different manufacturing platforms owned by different enterprises or by different departments within an enterprise. This document can not only be applied to manufacturing enterprises but also be applied to other kinds of enterprises. It is intended for use by stakeholders who are concerned with developing and deploying solutions of the joint simulation project based on information and communication technology. It focuses on simulation activities related cross-platform simulation collaboration capability supporting business planning and logistics, manufacturing operations management and production control within or among enterprises, which can cover the levels from 2 to 4 of the functional hierarchy of manufacturing systems in IEC 62264-3[27]. This document specifies the following: the general framework of CMSE; the methodology of the joint simulation project analysis and realization by CMSE. This document does not relate to the simulation irrelevant collaboration environment, and does not specify the specific approach to implement CMSE in the solution formulation of joint simulation projects.
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This document specifies a micrographic method of determining the non-metallic inclusions in rolled or forged steel products having a reduction ratio of at least 3 using the images of a standard reference chart or direct measurement by image analysis technologies. The standard reference chart described in this document is not entirely applicable for certain types of steel (e.g. free cutting steels).
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This document describes a standardized methodology and framework for the development and representation of an ontology that supports a global, open-source approach to implementing the ISO standards on the identification of medicinal products (IDMP) (ISO 11615, ISO/TS 20443, ISO/TS 20451, ISO 11238; ISO/TS 19844, ISO 11239, ISO/TS 20440, and ISO 11240). Realization of the full potential of IDMP requires fully self-describing data. For this purpose, this document describes a methodology and framework that complements the existing conceptual and logical models in the ISO documents on IDMP with an IDMP ontology that enables deep, semantic interoperability based on findable, accessible, interoperable and reusable (FAIR) data principles. This methodology and framework enhance the usage of the IDMP data model as the foundation of medicinal product identification and will ultimately enable collaboration towards drug safety and overall operational efficiency.
This document also describes a methodology for the agile adaptation of the ISO documents on IDMP in connection with cross-jurisdictional IDMP-related legislation and initiatives. This document is intended to be complementary to and independent from formal regulatory guidance. Thus, it enables cross-jurisdictional consistency and supports stakeholders in their regional implementations of IDMP standards. This document does not mandate any specific ontology as an implementation tool, nor is it an instructional guideline on how to build ontologies, which is out of scope of this document.
This document includes key use cases described in the ISO documents on IDMP ISO 11615, ISO 11238 and ISO/TS 19844, as well as further use cases arising from the comprehensive deployment of the ISO documents on IDMP via an ontological framework. Thus, an ontology that represents the IDMP standards aims to cover the complete collection of ISO standards on IDMP regarding key interoperability issues that implementing stakeholders are facing.
- Technical specification40 pagesEnglish languagee-Library read for1 day
The document specifies testing procedures for determining calibration error for radiosonde humidity sensors sampled from mass production batches based on varying the levels of relative humidity at atmospheric upper-air temperatures using a laboratory setup. This document provides: technical requirements for a laboratory setup to evaluate the calibration errors of radiosonde humidity measurement; a test procedure for evaluating calibration error of radiosonde humidity sensors for a temperature range1) of −90 °C to 35 °C and for a relative humidity of 1 %rh to 100 %rh. Note, this document, is based upon relative humidity calculated by the percentage of water vapour pressure divided by saturation water vapour pressure over liquid water, not over ice, even at temperatures below 0 °C; hence, the maximum relative humidity is less than 100 %rh below 0 °C; a method for evaluating the uncertainty for the measured radiosonde humidity calibration errors. 1) Currently, the lowest possible temperature of commercially-available climate chambers is approximately -75 °C. The temperature range can be adjusted based on the capability of the climate chamber used.
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This document specifies requirements for the most important metrological and design characteristics of plain limit gauges of linear size. This document defines the different types of plain limit gauges used to verify linear dimensional specifications associated with linear size. This document also defines the design characteristics and the metrological characteristics for these limit gauges as well as the new or wear limits state maximum permissible limits (MPLs) for the new state or wear limits state for these metrological characteristics. In addition, this document describes the use of limit gauges. It covers linear sizes of up to 500 mm.
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This Technical Specification (TS) series provide 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 (APs). In addition, this TS series provides the definition of the individual tests that can be applied to a biometric product.
This document specifies the context for the evaluation of biometric products within the context of the European Union, as well as the general requirements for such evaluation. This will be defined in a biometric mode-independent point of view, as well as not being biased by the particular application which is the target of the biometric product to be assessed.
This first part defines the following items:
- biometric evaluation process;
- biometric evaluation phases;
- how to define each particular biometric test;
- how to define the profiling for a particular application.
NOTE 1 Future parts of the CEN/TS series are planned to address the specifics of each biometric mode. For each of these modalities, this document specifies application-independent tests, as well as a set of APs, that detail the applicable tests, the evaluation parameters, and the passing criteria.
NOTE 2 Regarding biometrics for public sector applications, see also BSI TR 03121 [7] which can apply.
NOTE 3 For an overview of sectors addressed in the Cybersecurity Act, see Regulation (EU) 2019/881.
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This document specifies necessary but not sufficient safety requirements for the use of SbW systems in passenger cars and light commercial vehicles for series application. This document does not replace the full application of the ISO 26262 series of standards and their implementation in safety-related measures. This document defines requirements for manual driving where the driver holds the steering wheel. NOTE Misuse of hands-free driving is not considered. This document does not contain any requirements for the use of automated lateral vehicle control functions. The requirements consider systems consisting of a road wheel actuator (RWA), hand wheel actuator (HWA), and a steering wheel for driver input. Deviating concepts need to be analysed by the user for transferability.
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This document describes the transaction information requirements of the transactions used in the collaborations described in EN 17016-1:2024. For each transaction are specified the transaction business requirements, the transaction information data model containing definitions of terms, usage descriptions and cardinality of the information elements and the transaction business rules.
This document describes the following transactions:
1) Order;
2) Order Change;
3) Order Cancellation;
4) Order Response Simple
5) Order Confirmation;
6) Order Rejection;
7) Order Response;
8) Order Change Confirmation;
9) Order Change Rejection;
10) Order Cancellation Confirmation;
11) Order Cancellation Rejection;
12) Order Agreement.
How to claim compliance to a transaction is specified in Clause 6.
How to claim conformance to a transaction is also specified in Clause 6.
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This document provides requirements on identification and labelling of medicinal products from the point of manufacturing of packaged medicinal product to the point of dispensing the product.
This document outlines commonly accepted international practices for automatic identification and data capture (AIDC) barcoding solutions for applications and applies to manufacturers, distributors, healthcare facilities and all parties involved in labelling and distribution of packaged medicinal products. These users can, however, consider the coding interoperability requirements for other AIDC technologies, e.g. radio frequency identification (RFID); that technology is not addressed in this document except as for information.
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IEC 61000-6-3:2026 is applicable only if no relevant dedicated product or product family EMC emission standard has been published. This part of IEC 61000 for emission requirements applies to electrical and electronic equipment intended for use at residential (see 3.1.21) locations. This part of IEC 61000 also applies to electrical and electronic equipment intended for use at other locations that do not fall within the scope of IEC 61000-6-8 or IEC 61000-6-4. The intention is that all equipment used in the residential, commercial and light-industrial locations are covered by IEC 61000-6-3 or IEC 61000-6-8. If there is any doubt the requirements in IEC 61000-6-3 apply. Equipment that has a radio function (3.1.20) are included in the scope of this document. However, the emission requirements in this document are not intended to be applicable to the intentional transmissions from these radio transmitters, their harmonics and their out of band emissions. Not all disturbance phenomena have been included for testing purposes but only those considered relevant for the equipment intended to operate within the locations included within this document. The objectives of this document are: - to establish requirements that provide an adequate level of protection of radio reception in the frequency range 9 kHz to 400 GHz; - to establish requirements that provide an adequate level of protection against conducted and radiated electromagnetic disturbances emitted by equipment in the scope of this document; - to support the reproducibility of measurement and the repeatability of results. NOTE 1 In special cases, situations will arise where the levels specified in this document will not offer adequate protection; for example, where a sensitive receiver is used in close proximity to an equipment. In these instances, special mitigation measures can be employed. NOTE 2 Disturbances generated in fault conditions of equipment are not covered by this document. NOTE 3 The requirements in this document are more stringent or equivalent to the requirements specified in IEC 61000-6-4 and IEC 61000-6-8. This fourth edition cancels and replaces the third edition published in 2020. This edition constitutes a technical revision. This edition includes the following significant technical changes with respect to the previous edition: a) the addition of magnetic field emission requirements, including the measurement of WPT function; b) the extension of low-voltage AC mains power requirements to cover the range 9 kHz to 150 kHz; c) products with a radio function have been added to the scope; d) limits in a FAR for rack mounted equipment have been added.
- Draft19 pagesEnglish languagee-Library read for1 day
IEC 61300-2-33:2026 evaluates the behaviour of a fibre optic mechanical splice, a fibre management system, a protective housing or a hardened connector after being subjected to a specified number of assembly and disassembly operations. The test procedures described in this document simulate conditions that the component can encounter during its service lifetime to check the following performance characteristics: - capability of an optical mechanical splice to be reinstalled after being disassembled; - capability to reintroduce fibre management systems and protective housings, accessing fibres and optical components and making reconfigurations without disturbing transmission in adjacent fibre circuits; - sealing performance of the protective housing after frequent opening and closing operations; - sealing performance of the hardened connector after frequent mating and demating operations. This fourth edition cancels and replaces the third edition 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 the terms and definitions according to IEC 61753-1:2018 and IEC 61756‑1:2019; b) update of the test severities according to the new edition of IEC 61753-1:2018; c) addition of procedure D to verify the sealing performance after frequent mating and demating of a hardened connector.
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This document establishes a method for measurement of specific heat capacity, cp, using temperature modulated differential scanning calorimetry.
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This document specifies a method for the measurement of effective focal spot dimensions > 0,2 µm of X-ray systems by means of the edge method applied to digital images taken from hole type or disk type test objects if no phase contrast is observed. The imaging quality and the resolution of X-ray images depends highly on the characteristics of the effective focal spot, in particular its size and two-dimensional intensity distribution as seen from the detector plane.
This document specifies procedures for determining the effective size (dimensions) of standard, mini and micro focal spots of industrial X-ray tubes for users in applications where the pin hole method according to ISO 32543-1 is not applicable. The method specified in this document is applicable for measurement and long-term monitoring of focal spot sizes without a pin hole camera.
This document can be used by manufacturers, if special hole test objects manufactured with lower tolerances according to 6.2.1 are applied (see Figure 1). For measurements of the effective focal spot size, the accuracy of the method in this document is lower than the methods specified in ISO 32543-1 (pin hole method) and ISO 32543-3 (microfocus tubes) if using ASTM hole plate IQIs (see ASTM E1025, ASTM E1742), due to its manufacturing tolerance of ±10 %.
NOTE For characterization of commercial X-ray tube types (i.e. for advertising or trade), the nominal values of Annex A are preferred.
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IEC 60730-2-24:2026 applies to automatic displacement electrical controls
- for use in, on, or in association with appliances for household and similar use;
NOTE 1 Through this document, the word "control" means "displacement electrical control".
EXAMPLE 1 Displacement electrical controls used in electrical pressure cookers with gross volume up to 25 l, with working pressure over 4 kPa and less than 150 kPa.
- 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;
- that are mechanically or electrically operated, responsive to change of position of point of action.
NOTE 2 Requirements for manual switches not forming part of an automatic control are covered in IEC 61058‑1‑1.
This document applies to
- inherent safety of automatic electro-mechanical displacement electrical controls;
- functional safety of automatic electro-mechanical displacement electrical controls;
- the operating values, operating times, and operating sequences where such are associated with equipment safety;
- displacement electrical controls having temperature sensing element(s), in which cases additional requirements can be considered to be necessary. Requirements for temperature sensing controls are included in IEC 60730-2-9.
This document specifies the requirements for construction, operation and testing of automatic displacement electrical controls used in, on, or in association with equipment.
This document does not
- apply to automatic electronic controls;
- take into account the response value of an automatic action of a control, if such a response value is dependent upon the method of mounting the control in the equipment. Where a response value is of significant purpose for the protection of the user, or surroundings, the value defined in the appropriate equipment standard or as determined by the manufacturer applies.
NOTE 3 For more information about guidance to the application of displacement electrical controls, see Annex AA.
This part 2-24 is intended to be used in conjunction with IEC 60730-1. It was established on the basis of the sixth edition of that standard (2022). Consideration may be given to future editions of, or amendments to, IEC 60730‑1. This part 2-24 supplements or modifies the corresponding clauses in IEC 60730-1, so as to convert that publication into the IEC standard: Particular requirements for displacement electrical controls. Where this part 2-24 states "addition", "modification" or "replacement", the relevant requirement, test specification or explanatory matter in Part 1 should be adapted accordingly. Where no change is necessary, part 2-24 indicates that the relevant clause or subclause applies.
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IEC 60127-7:2026 covers requirements for miniature fuse-links for special applications. This part of IEC 60127 is applicable to fuse-links with a rated voltage not exceeding 1 000 V, a rated current not exceeding 125 A and a rated breaking capacity not exceeding 50 kA. It does not apply to fuses completely covered by the subsequent parts of IEC 60269-1. It does not apply to miniature fuse-links for appliances intended to be used under special conditions, such as in corrosive or explosive atmospheres.
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IEC 61803:2026 applies to all high-voltage direct current (HVDC) converter stations with line-commutated converters (LCC) as well with voltage-sourced converters (VSC) used for power exchange (power transmission or back-to-back installation) in utility systems. For line-commutated converters (LCC), this document presumes the use of 12-pulse thyristor converters but can, with due care, also be used for 6-pulse thyristor converters. Where VSC is referred to in this document, it is assumed to be of the MMC-type or similar, with very low harmonic generation. It is important to treat other types of VSC as appropriate. In some applications, synchronous compensators, static var compensators (SVC), or static synchronous compensator (STATCOM) are connected to the AC bus of the HVDC converter station. The loss determination procedures for such equipment are not included in this document. This document presents a set of standard procedures for determining the total losses of an HVDC converter station, except for VSC valves which are covered by the IEC 62751 series. The procedures cover all parts, except as noted above, and address no-load operation and operating losses together with their methods of calculation which use, wherever possible, measured parameters. Converter station designs employing novel components or circuit configurations compared to the typical design assumed in this document, or designs equipped with unusual auxiliary circuits that can affect the losses, are assessed on their own merits.
This edition includes the following significant technical changes with respect to the previous edition:
a) HVDC stations with voltage-sourced converters (VSC) technology have been included;
b) to facilitate the application of this document and to ensure its quality remains consistent, 5.1.8 and 5.8 have been reviewed, taking into consideration that the present thyristor production technology provides considerably less thyristor parameters dispersion comparing with the situation in 1999 when the first edition of IEC 61803 was developed; therefore, the production records of thyristors can be used for the power losses calculation;
c) the calculation of the total station load losses (cases D1 and D2 in Annex C) has been corrected.
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IEC TS 62332-1:2026 specifies a dual-temperature test procedure for the thermal evaluation and qualification of electrical insulation systems (EISs). This document is applicable to EISs containing solid and liquid components where the thermal ageing factor is dominant, without restriction to voltage class. This third edition cancels and replaces the second edition published in 2011. This edition constitutes a technical revision.
This edition includes the following significant technical changes with respect to the previous edition:
- Modifications have been made based on an extensive test series conducted using this methodology based on the first edition. This included updating expected times and temperatures to use in order to get useful results, as well as making the range of equipment covered more broad. The method now covers electrotechnical devices using different sealing systems, as well as devices using enamel covered wires.
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IEC 62301:2026 specifies methods of measurement of electrical power in standby mode(s) and other non-active modes (such as off mode) and the reporting of the results. The measurement of power and energy use in networked standby mode, is covered by IEC 63474:2026.
This document applies to electronic and electrical equipment powered by:
- low voltage AC power (LV ≤ 1 000 V AC), or
- low voltage DC power (LV ≤ 1 500 V DC) that is ripple-free, measured between conductors or between a conductor and earth, or
- extra low voltage AC power (ELV ≤ 50 V AC), or
- extra low voltage DC power (ELV ≤ 120 V DC) that is ripple-free, measured between conductors or between a conductor and earth, or
- an external power supply that provides low voltage or extra low voltage AC or DC power, or
- a separate source of extra low voltage DC power, or
- an internal main battery.
Conditions that are out of scope:
- active modes (primary function)
- networked standby mode (which is covered by IEC 63474:2026)
- conditions where main batteries are being charged other than in maintenance mode
- disconnected condition of the equipment.
This document applies to the following product groups where a non-active mode is present:
- household appliances, electrical and electronic equipment such as information technology equipment, audio, video and multimedia systems and equipment,
- gas burning equipment with electrical components.
The measurement of power, energy use and performance of products during their intended use (when performing their primary functions) are generally specified in product standards and are not covered by this document.
Where this document is referenced by performance standards or procedures, these are to define and name the relevant non-active mode to which this test procedure is applied.
Non-active modes for lighting equipment and the measurement of power is specified in IEC 63103.
Edge equipment can also include auxiliary batteries.
Annex A shows the conceptual framework of power modes and functions.
This document does not specify safety requirements. It does not specify minimum performance requirements nor does it set maximum limits on power or energy use.
This document has the status of a group energy efficiency publication in accordance with IEC Guide 118.
This third edition cancels and replaces the second edition published in 2011. This edition constitutes a technical revision. This edition includes the following significant technical changes with respect to the previous edition:
a) expansion of the scope in line with the approved horizontal application of this standard;
b) inclusion of battery powered and DC powered devices;
c) complete revision and expansion of the definitions (this has been done in conjunction with TC 100/TA19 JWG2 and the definitions in this document and IEC 63734:2026 for networked standby are fully aligned);
d) clarification that this document covers all non-active modes except for networked standby mode(s), which is covered by IEC 63734:2026;
e) reiteration that a wide range of product committees and their standards can reference this document and that they are free to define modes relevant for their products and to some extent measurement conditions that may be product specific, while using the broad methodology set out in this document;
f) more precise specification of room illuminance requirements has been added, where required;
g) mandatory requirements for data logging of test data;
h) requirement that no data loss or out of range records occur within the data set being used to assess product performance;
i) removal of the Average reading method and Direct meter reading method as valid measurement methods;
j) greater detail in set-up procedures;
k) revision of stability requirements, including the refinement of linear regression validity requirements and cyclic load validity requirements, and the introduction of a new alternative approach called the moving average method t
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IEC 60947-6-1:2026 is available as IEC 60947-6-1:2026 RLV which contains the International Standard and its Redline version, showing all changes of the technical content compared to the previous edition. IEC 60947-6-1:2026 applies to transfer switching equipment (TSE), to be used in power systems for ensuring the continuity of the supply and allowing the energy management of the installation, by transferring a load between power supply sources, the rated voltage of which does not exceed 1 000 V AC or 1 500 V DC. Specific requirements for bypass/isolation transfer switch equipment are given in Annex C, ATSE having closed transition capability are given in Annex D, stand-alone ATS controllers are given in Annex E, and TSE for electric driven fire pump controllers are given in Annex F. It covers: - manually operated transfer switching equipment (MTSE); - remotely operated transfer switching equipment (RTSE); - automatic transfer switching equipment (ATSE), including the controller; - stand-alone ATS controllers; - bypass/isolation transfer switch equipment (BTSE); - ATSE having closed transition capability; - fire pump TSE. It does not cover: - TSE configurations that are not fully manufacturer type tested or marked according to this document as a complete transfer switch; - auxiliary contacts (for guidance, see IEC 60947-5-1); - transfer switches used in explosive atmospheres (for guidance, see IEC 60079 (all parts)); - embedded software design (for guidance, see IEC TR 63201); - cybersecurity aspects (for guidance, see IEC 63208); - TSE rated for direct-on-line starting asynchronous motor of design NE and HE, according to IEC 60034-12. (for guidance, see AC-3e utilisation category according to IEC 60947 4 1); - other types of TSE under consideration including overlapping neutral TSE, multi-source TSE (i.e. TSE with more than two sources of supply), TSE with load-shedding functions, bus-tie TSE, and hybrid TSE; - static transfer switches covered by IEC 62310 series. This fourth edition cancels and replaces the third edition published in 2021. This edition constitutes a technical revision. This edition includes the following significant technical changes with respect to the previous edition: - clarification of scope; - clarification of terms and definitions; - Annex C for Bypass/Isolation Transfer Switch Equipment; - Annex D for ATSE having closed transition capability; - Annex E for Stand-alone ATS controller; - Annex F for TSE used with electric driven fire pump control equipment.
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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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ISO 12487:2026 This document specifies the requirements and methods for the clinical investigation of medical electrical (ME) equipment used to measure the body temperature in indirect measurement mode.
This document covers both intermittently and continuously measuring clinical thermometers.
NOTE 1 This document does not apply to clinical thermometers measuring the body temperature in direct measurement mode.
NOTE 2 For clinical thermometers in direct measurement mode determining the technical accuracy in accordance with ISO 80601-2-56:—1) is considered sufficient.
This document is applicable to clinical thermometers with claimed measurement time shorter than 60 seconds (for methods such as oral or rectal measurement), or shorter than 5 minutes (for methods such as axillary measurement), and which are treated as predictive type thermometers and fall under the scope of this document.
This document specifies additional disclosure requirements.
This document does not apply to the clinical investigation of a screening thermographs for human febrile temperature screening whose laboratory accuracy requirements are described in IEC 80601-2-59.
This document does not apply to pulmonary artery catheter for the determination of cardiac output by thermodilution.
NOTE 3 ISO 80601-2-56:—1) does include pulmonary artery catheter for the determination of cardiac output by thermodilution.
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This document encompasses the determination of the fatty acid profile in algae and algae products, thereby including micro- and macroalgae, according to the definitions adopted by CEN. This determination enables that all fatty acids present at a significant level (> 1 % of the total fatty acids) in the algal matrix are quantified in an accurate and reproducible way. The concentration of each fatty acid will be available in relative (in %) and, by means of an appropriate internal standard, absolute (mg/g dw) terms. Moreover, the method described in this standard ensures a practical and safe technical approach, whose protocol details and all related know-how will be easily and economically transferrable to all the sector stakeholders. This document ensures this objective by a comprehensive and fully detailed description of all technical steps from the sample itself (including its state and form) to the gas chromatographic technique and the calculation of the fatty acid content. The wording avoids any risk of ambiguity or wrong interpretation. Finally, this methodological standard will be informed by other equivalent standards applied to other matrices and will take into account other standards concerning specific treatment or extractive procedure of the sample prior to the fatty acid analysis itself.
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This document specifies the minimum requirements for general safety and structural safety which include strength, reliability and stability of all types of outdoor seating for camping use, for domestic use and for contract use, for adults, without regard to materials, design or manufacturing processes.
It does not apply to street furniture.
It does not include requirements for removable upholstery, including the cover and filling.
It does not include requirements for the durability of castors/wheels and height adjustment mechanisms.
It does not include requirements for electrical safety.
It does not include requirements for the resistance to ageing and degradation caused by light, temperature and moisture.
The test requirements contained within this document are based on use by persons weighing up to 110 kg.
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This document specifies a method for the determination of selected polybrominated diphenylethers (PBDE) (see Figure 1 and Table 1) in sediment, suspended particulate matter and biota using gas chromatography coupled with tandem mass spectrometry (GC-MS/MS) or with high resolution mass spectrometry (GC-HRMS) in the electron impact (EI), negative ion chemical ionization (NCI) or atmospheric pressure ionization (APCI) mode.
The method is applicable to sediment and suspended particulate matter samples with limits of quantification of 0,2 µg/kg dry mass (dm) for brominated diphenylether (BDE) BDE-28 to BDE-183, of 2 µg/kg dry mass (dm) for BDE‑209.
The method is applicable as well with lower limits of quantification (LOQ), if specific clean-up methods, described in Clause 10, Table 3, method 1 and method 2 in combination with measurement methods GC-MS/MS or GC-HRMS after electron impact ionization (El) or negative ion chemical ionization (NCI) for BDE-209 are used. Depending on the analytical capability of the instrument, limits of quantification down to 0,003 µg/kg dm for BDE-28 to BDE-154 and 0,02 µg/kg dm for BDE-183 and 1 µg/kg dm for BDE-209 and lower are possible.
The method is applicable to biota samples with limits of quantification down to 0,000 2 µg/kg fresh mass (fm) (BDE-28 to BDE-154) and 0,03 μg/kg fresh mass (fm) (BDE-183), if specific clean-up methods, described in Table 4 in combination with measurement methods GC-MS/MS or GC-HRMS after electron impact ionization (El) are used.
Performance data are listed in Annex E.
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This document specifies the requirements relating to:
Steel X5CrNiCu17-4 (1.4542)
Air melted
Solution treated and precipitation treated
Bars
a or D ≤ 200 mm
Rm ≥ 930 MPa
for aerospace applications.
W.nr: 1.4542.
ASD-STAN: FE-PM3801.
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This document specifies a method for the measurement of flame spread times of vertically oriented textile fabrics and industrial products in the form of single or multi-component textile fabrics (coated, quilted, multilayered, sandwich combinations, and similar combinations) when subjected to a small, defined flame.
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This document specifies the requirements relating to:
Steel X5CrNiCu17-4 (1.4542)
Air melted
Solution treated and precipitation treated
Bars
a or D ≤ 200 mm
Rm ≥ 1 310 MPa
for aerospace applications.
W.nr: 1.4542.
ASD-STAN: FE-PM3801.
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IEC TS 60034-27-6:2026 which is a Technical Specification, deals with the on-line electrical detection and monitoring of partial discharges on both motors and generators whose rotor windings or stator windings, or both, are supplied from converters. The tests are applicable to both type I and type II insulation systems, encompassing AC windings rated 300 V and above.
Details of non-electrical methods such as optical or acoustic detection are not included. The on-line measurement of PD where the winding is supplied via slip rings are also not covered.
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This document specifies the requirements for seal-less rotodynamic pumps that are driven with permanent magnet coupling (magnet drive pumps) or with canned motor, and which are mainly used in chemical processes, water treatment and petrochemical industries. Their use can be dictated by space, noise, environment or safety regulations.
Seal-less pumps are pumps where an inner rotor is completely contained in a pressure vessel holding the pumped fluid. The pressure vessel or primary containment device is sealed by static seals such as gaskets or O-rings.
Pumps normally conform to recognized standard specifications (e.g. ISO 5199, explosion protection, electromagnetic compatibility), except where special requirements are specified herein.
This document includes design features concerned with installation, maintenance and operational safety of the pumps, and defines those items to be agreed upon between the purchaser and manufacturer/supplier.
Where conformity to this document has been requested and calls for a specific design feature, alternative designs can be offered providing that they satisfy the intent of this document and they are described in detail. Pumps which do not conform with all requirements of this document can also be offered providing that the deviations are fully identified and described.
Whenever documents include contradictory requirements, they are applied in the following sequence of priority:
purchase order (or inquiry, if no order placed), see Annexes C and D;
data sheet (see Annex A) or technical sheet or specification;
this document;
other standards.
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This document specifies requirements to the safe handling and the physical, chemical and biological testing of plastic containers for parenterals.
This document is applicable to plastic containers for parenterals having one or more chambers and having a total nominal capacity in the range of 50 ml to 5 000 ml such as film bags or blow-moulded plastic bottles for direct administration of infusion (injection) solutions.
NOTE 1 In some countries, national or regional pharmacopoeias or other government regulations are legally binding, and these requirements take precedence over this document.
NOTE 2 Annex E provides explanations about the history of the development of the standard and summarises the different arguments discussed within ISO/TC 76 during the elaboration of the document.
NOTE 3 Annex F provides recommendations regarding sustainability.
NOTE 4 Annex G provides information on attributive and variable testing.
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This document specifies a method for the measurement of ease of ignition of vertically oriented textile fabrics and industrial products in the form of single or multi-component textile fabrics (coated, quilted, multilayered, sandwich constructions, and similar combinations), when subjected to a small, defined flame.
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This document describes the typical accessories used for Large Power Transformers.
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This document is applicable to safety-related electronic systems (including subsystems and equipment) for railway signalling applications. This document applies to generic systems (i.e. generic products or systems defining a class of applications), as well as to systems for specific applications. The scope of this document and its relationship with other CENELEC standards are shown in Figure 1. This document is applicable only to the functional safety of systems. It does not deal with other aspects of safety such as occupational health and safety of personnel or potential threats created by the technology regardless of their intended functions (e.g. presence of sharp edges, presence of electric voltage, presence of combustible material). Cybersecurity aspects of functional safety are addressed only to the extent consistent with the application of the relevant standards, where needed. This document applies to all the phases of the life cycle of a safety-related electronic system, focusing in particular on phases from 4 (specification of system requirements) to 10 (system acceptance) as defined in EN 50126 1:2017. Requirements for systems which are not related to safety are outside the scope of this document. This document is not necessarily applicable to systems, subsystems or equipment which had already been accepted prior to the date of withdrawal (dow) of the standards conflicting with this document. However, so far as reasonably practicable, it is applicable to modifications and extensions to such systems, subsystems and equipment. NOTE In the case of partial modifications, it can happen that the system can no longer be declared compliant with a single version of the standard, meaning that the modified part will be compliant with the current version and the unmodified parts will be compliant with the previous version. This document is primarily applicable to systems, subsystems or equipment which have been specifically designed and manufactured for railway signalling applications. It is also applicable, to the extent of 6.2, to general-purpose or industrial equipment (e.g. power supplies, display screens, or other commercial off the shelf items) which is procured for use as part of a safety-related electronic system. This document is aimed at railway duty holders, railway suppliers, and assessors as well as at safety authorities, although it does not define an approval process to be applied by the safety authorities. Figure 1 - Scope of the main CENELEC railway application standards
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RTBR/SMG-0019R1
- Standardization document104 pagesEnglish languagee-Library read for1 day
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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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
5.1 This test method measures a lubricant's ability to protect hypoid final drive axles from abrasive wear, adhesive wear, plastic deformation, and surface fatigue when subjected to low-speed, high-torque conditions. Lack of protection can lead to premature gear or bearing failure, or both.
5.2 This test method is used, or referred to, in specifications and classifications of rear-axle gear lubricants such as:
5.2.1 Specification D7450.
5.2.2 American Petroleum Institute (API) Publication 1560.
5.2.3 SAE J308.
5.2.4 SAE J2360.
SCOPE
1.1 This test method, commonly referred to as the L-37-1 test, describes a test procedure for evaluating the load-carrying capacity, wear performance, and extreme pressure properties of a gear lubricant in a hypoid axle under conditions of low-speed, high-torque operation.3
1.2 The values stated in SI units are to be regarded as standard. No other units of measurement are included in this standard.
1.2.1 Exceptions—Where there is no direct SI equivalent such as National Pipe threads/diameters, tubing size, or where there is a sole source supply equipment specification.
1.2.1.1 The drawing in Annex A6 is in inch-pound units.
1.3 This standard does not purport to address all of the safety concerns, if any, associated with its use. It is the responsibility of the user of this standard to establish appropriate safety, health, and environmental practices and determine the applicability of regulatory limitations prior to use. Specific warning statements are provided in 7.2 and 10.1.
1.4 This international standard was developed in accordance with internationally recognized principles on standardization established in the Decision on Principles for the Development of International Standards, Guides and Recommendations issued by the World Trade Organization Technical Barriers to Trade (TBT) Committee.
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SIGNIFICANCE AND USE
5.1 Since the information provided by this test method is largely qualitative in nature, specific limits covering the following characteristics are required in referring to this test method in specifications for kerosene:
5.1.1 Duration of the test: 16 h is understood, if not otherwise specified;
5.1.2 Permissible change in flame shape and dimensions during the test;
5.1.3 Description of the acceptable appearance of the chimney deposit.
SCOPE
1.1 This test method covers the qualitative determination of the burning properties of kerosene to be used for illuminating purposes. (Warning—Combustible. Vapor harmful.)
Note 1: The corresponding Energy Institute (IP) test method is IP 10 which features a quantitative evaluation of the wick-char-forming tendencies of the kerosene, whereas Test Method D187 features a qualitative performance evaluation of the kerosene. Both test methods subject the kerosene to somewhat more severe operating conditions than would be experienced in typical designated applications.
1.2 The values stated in SI units are to be regarded as standard. No other units of measurement are included in this standard.
1.3 This standard does not purport to address all of the safety concerns, if any, associated with its use. It is the responsibility of the user of this standard to establish appropriate safety, health, and environmental practices and determine the applicability of regulatory limitations prior to use. Specific warning statements appear throughout the test method.
1.4 This international standard was developed in accordance with internationally recognized principles on standardization established in the Decision on Principles for the Development of International Standards, Guides and Recommendations issued by the World Trade Organization Technical Barriers to Trade (TBT) Committee.
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SIGNIFICANCE AND USE
5.1 Often the most critical stress to which a sandwich panel core is subjected is shear. The effect of repeated shear stresses on the core material can be very important, particularly in terms of durability under various environmental conditions.
5.2 This test method provides a standard method of obtaining the sandwich core shear fatigue response. Uses include screening candidate core materials for a specific application, developing a design-specific core shear cyclic stress limit, and core material research and development.
Note 3: This test method may be used as a guide to conduct spectrum loading. This information can be useful in the understanding of fatigue behavior of core under spectrum loading conditions, but is not covered in this standard.
5.3 Factors that influence core fatigue response and shall therefore be reported include the following: core material, core geometry (density, cell size, orientation, etc.), specimen geometry and associated measurement accuracy, specimen preparation, specimen conditioning, environment of testing, specimen alignment, loading procedure, loading frequency, force (stress) ratio and speed of testing (for residual strength tests).
Note 4: If a sandwich panel is tested using the guidance of this standard, the following may also influence the fatigue response and should be reported: facing material, adhesive material, methods of material fabrication, adhesive thickness and adhesive void content. Further, core-to-facing strength may be different between precured/bonded and co-cured facings in sandwich panels with the same core and facing materials.
SCOPE
1.1 This test method determines the effect of repeated shear forces on core material used in sandwich panels. Permissible core material forms include those with continuous bonding surfaces (such as balsa wood and foams) as well as those with discontinuous bonding surfaces (such as honeycomb).
1.2 This test method is limited to test specimens subjected to constant amplitude uniaxial loading, where the machine is controlled so that the test specimen is subjected to repetitive constant amplitude force (stress) cycles. Either shear stress or applied force may be used as a constant amplitude fatigue variable.
1.3 The values stated in either SI units or inch-pound units are to be regarded separately as standard. The values stated in each system are not necessarily exact equivalents; therefore, to ensure conformance with the standard, each system shall be used independently of the other, and values from the two systems shall not be combined. Within the text, the inch-pound units are shown in brackets.
1.4 This standard does not purport to address all of the safety concerns, if any, associated with its use. It is the responsibility of the user of this standard to establish appropriate safety, health, and environmental practices and determine the applicability of regulatory limitations prior to use.
1.5 This international standard was developed in accordance with internationally recognized principles on standardization established in the Decision on Principles for the Development of International Standards, Guides and Recommendations issued by the World Trade Organization Technical Barriers to Trade (TBT) Committee.
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SIGNIFICANCE AND USE
5.1 The determination of the creep rate provides information on the behavior of sandwich constructions under constant applied force. Creep is defined as deflection under constant force over a period of time beyond the initial deformation as a result of the application of the force. Deflection data obtained from this test method can be plotted against time, and a creep rate determined. By using standard specimen constructions and constant loading, the test method may also be used to evaluate creep behavior of sandwich panel core-to-facing adhesives.
5.2 This test method provides a standard method of obtaining flexure creep of sandwich constructions for quality control, acceptance specification testing, and research and development.
5.3 Factors that influence the sandwich construction creep response and shall therefore be reported include the following: facing material, core material, adhesive material, methods of material fabrication, facing stacking sequence and overall thickness, core geometry (cell size), core density, core thickness, adhesive thickness, specimen geometry, specimen preparation, specimen conditioning, environment of testing, specimen alignment, loading procedure, speed of testing, facing void content, adhesive void content, and facing volume percent reinforcement. Further, facing and core-to-facing strength and creep response may be different between precured/bonded and co-cured facesheets of the same material.
SCOPE
1.1 This test method covers the determination of the creep characteristics and creep rate of flat sandwich constructions loaded in flexure, at any desired temperature. Permissible core material forms include those with continuous bonding surfaces (such as balsa wood and foams) as well as those with discontinuous bonding surfaces (such as honeycomb).
1.2 The values stated in either SI units or inch-pound units are to be regarded separately as standard. Within the text the inch-pound units are shown in brackets. The values stated in 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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ABSTRACT
This specification covers unreinforced vulcanized rubber sheets made from ethylene propylene diene terpolymer (EPDM) or butyl (IIR), intended for use in preventing water under hydrostatic pressure from entering a structure. The tests and property limits used to characterize these sheets are specific for each classification and are minimum values to make the product fit for its intended purpose. Types used to identify the principal polymer component of the sheet include: type I - ethylene propylene diene terpolymer, and type II - butyl. The sheet shall be formulated from the appropriate polymers and other compounding ingredients. The thickness, tensile strength, elongation, tensile set, tear resistance, brittleness temperature, and linear dimensional change shall be tested to meet the requirements prescribed. The water absorption, factory seam strength, water vapour permeance, hardness durometer, resistance to soil burial, resistance to heat aging, and resistance to puncture shall be tested to meet the requirements prescribed.
SCOPE
1.1 This specification covers unreinforced vulcanized rubber sheets made from ethylene propylene diene terpolymer (EPDM) or butyl (IIR), intended for use in preventing water under hydrostatic pressure from entering a structure.
1.2 The tests and property limits used to characterize these sheets are specific for each classification and are minimum values to make the product fit for its intended purpose.
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 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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ABSTRACT
This specification covers austenitic steel castings for valves, flanges, fittings, and other pressure-containing parts. The steel shall be made by the electric furnace process with or without separate refining such as argon-oxygen decarburization. All castings shall receive heat treatment followed by quench in water or rapid cool by other means as noted. The steel shall conform to both chemical composition and tensile property requirements.
SCOPE
1.1 This specification2 covers austenitic steel castings for valves, flanges, fittings, and other pressure-containing parts (Note 1).
Note 1: Carbon steel castings for pressure-containing parts are covered by Specification A216/A216M, low-alloy steel castings by Specification A217/A217M, and duplex stainless steel castings by Specification A995/A995M.
1.2 A number of grades of austenitic steel castings are included in this specification. Since these grades possess varying degrees of suitability for service at high temperatures or in corrosive environments, it is the responsibility of the purchaser to determine which grade shall be furnished. Selection will depend on design and service conditions, mechanical properties, and high-temperature or corrosion-resistant characteristics, or both.
1.2.1 Because of thermal instability, Grades CE20N, CF3A, CF3MA, and CF8A are not recommended for service at temperatures above 800 °F [425 °C].
1.3 Supplementary requirements of an optional nature are provided for use at the option of the purchaser. The Supplementary requirements shall apply only when specified individually by the purchaser in the purchase order or contract.
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.
1.4.1 This specification is expressed in both inch-pound units and in SI units; however, unless the purchase order or contract specifies the applicable M-specification designation (SI units), the inch-pound units shall apply. Within the text, the SI units are shown in brackets or parentheses.
1.5 This international standard was developed in accordance with internationally recognized principles on standardization established in the Decision on Principles for the Development of International Standards, Guides and Recommendations issued by the World Trade Organization Technical Barriers to Trade (TBT) Committee.
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SIGNIFICANCE AND USE
5.1 Coefficients of linear thermal expansion are used, for example, for design purposes and to determine if failure by thermal stress may occur when a solid body composed of two different materials is subjected to temperature variations.
5.2 This test method is comparable to Test Method D3386 for testing electrical insulation materials, but it covers a more general group of solid materials and it defines test conditions more specifically. This test method uses a smaller specimen and substantially different apparatus than Test Methods E228 and D696.
5.3 This test method may be used in research, specification acceptance, regulatory compliance, and quality assurance.
SCOPE
1.1 This test method determines the technical coefficient of linear thermal expansion of solid materials using thermomechanical analysis techniques.
1.2 This test method is applicable to solid materials that exhibit sufficient rigidity over the test temperature range such that the sensing probe does not produce indentation of the specimen.
1.3 The recommended lower limit of coefficient of linear thermal expansion measured with this test method is 5 μm/(m·°C). The test method may be used at lower (or negative) expansion levels with decreased accuracy and precision (see Section 12).
1.4 This test method is applicable to the temperature range from −120 °C to 900 °C. The temperature range may be extended depending upon the instrumentation and calibration materials used.
1.5 SI units are the standard. No other units of measurement are included in this 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 to use.
1.7 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 Flash X-ray facilities provide intense bremsstrahlung radiation environments, usually in a single sub-microsecond pulse, which often fluctuates in amplitude, shape, and spectrum from shot to shot. Therefore, appropriate dosimetry must be fielded on every exposure to characterize the environment, see ICRU Report 34. These intense bremsstrahlung sources have a variety of applications which include the following:
(1) Studies of the effects of X-rays and gamma rays on materials.
(2) Studies of the effects of radiation on electronic devices such as transistors, diodes, and capacitors.
(3) Computer code validation studies.
4.2 This guide is written to assist the experimenter in selecting the needed dosimetry systems for use at pulsed X-ray facilities. This guide also provides a brief summary on how to use each of the dosimetry systems. Other guides (see Section 2) provide more detailed information on selected dosimetry systems in radiation environments and should be consulted after an initial decision is made on the appropriate dosimetry system to use. There are many key parameters which describe a flash X-ray source, such as dose, dose rate, spectrum, pulse width, etc., such that typically no single dosimetry system can measure all the parameters simultaneously. However, it is frequently the case that not all key parameters must be measured in a given experiment.
SCOPE
1.1 This guide provides assistance in selecting and using dosimetry systems in flash X-ray experiments. Both dose and dose rate techniques are described.
1.2 Operating characteristics of flash X-ray sources are given, with emphasis on the spectrum of the photon output.
1.3 Assistance is provided to relate the measured dose to the response of a device under test (DUT). The device is assumed to be a semiconductor electronic part or system.
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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