This document specifies a test method for estimating the magnitude of radiosonde temperature sensor warming, induced by direct solar radiation, based on variations in air pressure, temperature, ventilation speed, tilt angle of its supporting sensor boom, and light illumination angle on the boom through a laboratory evaluation. This document provides the following: technical requirements for a laboratory setup to measure the effect of direct solar radiation on radiosonde temperature measurement under simulated sounding conditions; a test procedure for estimating radiosonde temperature measurement errors due to direct solar radiation in the air pressure range of 3 hPa to 1 000 hPa, temperature range1) of −70 °C to 50 °C, ventilation speed range of 3 m∙s−1 to 7 m∙s−1 at a specified irradiance (e.g. 1 000 or higher), sensor boom tilt range2) from 0° to 45° with respect to the air ventilation direction and the range of light illumination3) angle from 0° to 90° with respect to the sensor boom plane; a method to evaluate uncertainty in the results under the test conditions.
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This document specifies, with reference to ISO 230-1 and ISO 230-2, geometric tests and tests for checking the accuracy and repeatability of positioning of numerically controlled axes for general purpose, normal accuracy, bridge-type milling machines with a fixed bridge (portal type). This document also specifies the applicable tolerances corresponding to the above-mentioned tests. This document is applicable to machines with moving tables and fixed double columns. It does not include single-column (open sided) machines and those with fixed tables and moving columns. This document deals only with the verification of the accuracy of the machine. It does not apply to the testing of the machine operation (vibration, abnormal noise, stick-slip motion of components, etc.) nor to machine characteristics (such as speeds, feeds, etc.), which are generally checked before testing the accuracy. This document provides the terminology used for the principal components of the machine and the designation of the axes with reference to ISO 841.
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This document specifies the determination of fluoroquinolone residue content in meat, fish and their products by high performance liquid chromatography-tandem mass spectrometry (HPLC-MS/MS) method. This document is applicable to the determination of enrofloxacin, ciprofloxacin, norfloxacin, ofloxacin and pefloxacin residues in meat, fish and their products, including livestock and poultry.
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This document specifies a procedure for determining whether a perceptible sensory difference or similarity exists between samples of two products. The method is a forced-choice procedure. The method is applicable whether a difference exists in a single sensory attribute or in several attributes. The method is statistically less efficient than the triangle test (described in ISO 4120) but is easier to perform by the assessors. The method is applicable even when the nature of the difference is unknown (i.e. it determines neither the size nor the direction of difference between samples, nor is there any indication of the attribute(s) responsible for the difference). The method is applicable only if the products are fairly homogeneous. The method is effective for: determining that either: a perceptible difference results (duo-trio testing for difference); or a meaningful perceptible difference does not result (duo-trio testing for similarity) when, for example, a change is made in ingredients, processing, packaging, handling or storage; selecting, training and monitoring assessors. Two forms of the method are described: the constant-reference technique, used when one product is familiar to the assessors (e.g. a sample from regular production); the balanced-reference technique, used when one product is not more familiar than the other.
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This document specifies a liquid chromatography tandem mass spectrometry (LC-MS/MS) method for the determination of marker residues of nicarbazin (4,4-dinitrocarbanilide) in chicken tissue and eggs. This document is applicable to the determination of marker residues of nicarbazin (4,4-dinitrocarbanilide) in chicken tissue (including muscle, liver and kidney) and eggs.
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This document covers the design of any rigid packaging with the main body of the packaging unit predominantly made of PS or XPS and the design of separate components predominantly made of rigid PS or XPS with respect to compatibility of the design with state-of-the-art collecting, sorting and recycling processes and useability of the recyclates in an application.
Packaging constituents and packaging components made of other materials than PS and XPS are also covered by this document as they need to be evaluated on compatibility with PS or XPS polymer recycling.
- Standard16 pagesEnglish languagee-Library read for1 day
This document specifies the calculation method, based on Life Cycle Assessment (LCA) and other quantified environmental information, to assess the environmental performance of a building and its site, during whole life cycle, based on a building life cycle model. It also establishes a system for the reporting and communication of the outcome of the assessment.
The document gives:
- the description of the object of assessment based on the functional equivalent;
- the system boundary that applies at the building level;
- calculation rules and procedure to be used to compile and assess the life cycle inventory and life cycle environmental impacts of buildings;
- the list of indicators and procedures for the calculation of these indicators;
- demand for information concerning building generated energy reporting;
- the requirements for the data necessary for the calculation;
- provides recommendations on how to assess aspects at the local environment level; and
- the requirements for presentation of the results in reporting and communication.
The approach to the assessment covers all stages of the building life cycle and is based on data obtained from Environmental Product Declarations (EPD) and their "information modules" (EN 15804:2012+A2:2019), generic data according to EN 15941 and other data and information necessary and relevant for carrying out the assessment. The assessment includes all building related construction products, processes and services, used over the life cycle of the building.
The document is applicable to new, existing buildings and buildings undergoing refurbishment or any other kind of activity to extend its service life. Environmental impacts and aspects that are not related to the building are outside the scope of this standard. Methodologies for and approaches to the interpretation and the making of value judgments of the results of the assessment are outside the scope of this document.
The document also provides the methodological basis and assessment rules to support the achievement of environment related macro-objectives in Europe and instruments such as the European reporting framework Level(s).
NOTE More information on the European reporting framework Level(s)can be found at Level(s) (europa.eu).
Informative Annexes B and C provide non-LCA information covering environmental aspects at the local environment level and additional information on end-of-life scenarios.
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This document applies to the basic safety and essential performance of respiratory high-flow therapy equipment, as defined in 201.3.262, hereafter also referred to as ME equipment or ME system, in combination with its accessories:
intended for use with patients who can breathe spontaneously; and
intended for patients who would benefit from improved alveolar gas exchange; and who would benefit from receiving high-flow humidified respiratory gases, which can include a patient whose upper airway is bypassed.
EXAMPLE 1 Patients with Type 1 Respiratory Failure who exhibit a reduction in arterial blood oxygenation.
EXAMPLE 2 Patients who would benefit from reduced work of breathing, as needed in Type 2 Respiratory Failure, where arterial carbon dioxide is high.
EXAMPLE 3 Patients requiring humidification to improve mucociliary clearance.
Respiratory high-flow therapy equipment is utilized in both professional healthcare facilities and the home healthcare environment. This standard specifically addresses respiratory high-flow therapy equipment for acute or infant care, predominantly found in hospitals. A separate document for long term high-flow therapy in the home healthcare environment is expected to be forthcoming.
Respiratory high-flow therapy equipment can be:
fully integrated ME equipment; or
a combination of separate items forming a ME system.
This document also applies to other types of respiratory equipment when that equipment includes a respiratory high-flow therapy mode.
NOTE 2 This document and ISO 80601-2-12 are applicable to a critical care ventilator with a high-flow therapy mode.
NOTE 3 This document and ISO 80601-2-72 are applicable to ventilator for ventilator-dependent patients in the home healthcare environment with a high-flow therapy mode.
NOTE 4 This document and ISO 80601-2-13 are applicable to an anaesthetic workstation with a high-flow therapy mode.
Respiratory high-flow therapy equipment can be transit-operable.
This document is also applicable to those accessories intended by their manufacturer to be connected to the respiratory high-flow therapy equipment, where the characteristics of those accessories can affect the basic safety or essential performance of the respiratory high-flow therapy equipment.
EXAMPLE 4 Breathing sets, connectors, humidifier, breathing system filter, external electrical power source, distributed alarm system, high-flow nasal cannula, tracheal tube, tracheostomy tube, face mask and supra-laryngeal airway.
NOTE 5 Accessories are assessed with the relevant clauses of this document when configured as part of respiratory high-flow therapy equipment.
If a clause or subclause is specifically intended to be applicable to ME equipment only, or to ME systems only, the title and content of that clause or subclause will say so. If that is not the case, the clause or subclause applies both to ME equipment and to ME systems, as relevant.
Hazards inherent in the intended physiological function of ME equipment or ME systems within the scope of this document are not covered by specific requirements in this document except in the general standard, 7.2.13 and 8.4.1.
NOTE 6 Additional information can be found in the general standard, 4.2.
This document does not specify the requirements for:
ventilators or accessories for ventilator-dependent patients intended for critical care applications, which are given in ISO 80601‑2‑12;
ventilators or accessories intended for anaesthet
- Standard120 pagesEnglish languagee-Library read for1 day
This document specifies requirements and test methods for male condoms made from natural rubber latex.
This document does not specify requirements related to any medicinal substances applied to or delivered by the condom.
NOTE The safety and effectiveness of any medicinal substance are assessed according to national and regional regulations.
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This document specifies requirements for high chromium white cast iron grit, as supplied for blast-cleaning processes. It specifies ranges of particle sizes, together with corresponding grade designations. Values are specified for hardness, density, defect/structural requirements, metallographic structure and chemical composition.
The requirements specified in this document apply to abrasives supplied in the new condition only. They do not apply to abrasives either during or after use.
High chromium white cast iron grits are used in both static and site blasting equipment. They are most often selected where there is a possibility for the recovery and re-use of the abrasive.
NOTE 1 Although this document has been developed for preparation of steelwork, these materials are predominantly used for non-ferrous substrates. The properties specified will generally be appropriate for use when preparing other material surfaces, or components, using blast-cleaning techniques, and can be used for applications where no subsequent coating is applied.
NOTE 2 Whenever dissimilar metals are used together, galvanic corrosion can occur.
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IEC 61439-8:2026 specifies requirements for the design and verification of low voltage switchgear and controlgear assemblies for use in photovoltaic installations.
PVAs have the following characteristics:
- assemblies used for the combination of electrical energy in DC systems for which the input and output voltage does not exceed 1 500 V DC;
- assemblies supplied from an AC network where the voltage does not exceed 1 000 V AC for auxiliary and control purposes;
- stationary assemblies with an enclosure;
- assemblies intended for operation by authorised persons (see IEC 61439 1:2020, 3.7.17), but can be located in an area accessible to ordinary persons (see IEC 61439 1:2020, 3.7.16);
- suitable for indoor or outdoor installation.
This document identifies definitions, specifies the service conditions, details the construction requirements, defines the technical characteristics, and provides verifications for PVAs. PVAs can also include control or signalling devices, or both, associated with the distribution of electrical energy. This document applies to all PVAs whether they are designed and manufactured on a one-off basis or fully standardized and manufactured in quantity. Either the manufacture or assembly, or both, can be carried out by an entity other than the original manufacturer (see IEC 61439 1:2020, 3.10.1).
This document does not apply to:
- individual devices, for example, circuit-breakers, fuse switches and self-contained components such as, motor starters, switch mode power supplies (SMPS), uninterruptable power supplies (UPS), basic drive modules (BDM), complete drive modules (CDM), adjustable speed power drives systems (PDS), stand-alone energy storage systems (battery and capacitor systems), other electronic equipment which comply with their relevant product standards, such as junction boxes of photovoltaic modules. This document describes their integration into a PVA or an empty enclosure used as a part of a PVA;
- photovoltaic power conversion equipment (PCE) incorporating DC combination sub-systems, covered by the IEC 62109 series.
Some applications, such as either explosive atmospheres or functional safety, or both, can be subject to the requirements of other standards or local installation rules in addition to those specified in the IEC 61439 series. This document does not apply to the specific types of assemblies covered by other parts of the IEC 61439 series.
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This document describes a digital twin system for monitoring and managing the robotic multilayer and multipass gas-shielded metal arc welding process.
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This document specifies requirements for classification of covered electrodes and deposited metal in the as-welded condition and in the post-weld heat-treated condition for manual metal arc welding of high-strength steels with a minimum yield strength greater than 500 MPa or a minimum tensile strength greater than 570 MPa. This document is a combined specification providing a classification utilizing a system based on the yield strength and an average impact energy of 47 J of the all-weld metal, or utilizing a system based on the tensile strength and an average impact energy of 27 J of the all-weld metal. Clauses, subclauses and tables which carry the suffix “System A” are applicable only to covered electrodes classified under the system based on the yield strength and an average impact energy of 47 J of the all-weld metal given in this document. Clauses, subclauses and tables which carry the suffix “System B” are applicable only to covered electrodes classified under the system based on the tensile strength and an average impact energy of 27 J of the all-weld metal given in this document. Subclauses and tables which do not have either the suffix “System A” or the suffix “System B” are applicable to all covered electrodes classified under this document.
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This document specifies methods for the enumeration of thermoresistant spores of thermophilic bacteria in heat-processed milk and dried milk products by using a colony-count technique at 55 °C after heating the sample at 106 °C or 100 °C. The applicability of this document is limited to heat-processed milk including pasteurized, ultra-high temperature (UHT) processed and sterilized milk; as well as dried whole milk, skim milk, buttermilk and whey products.
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This document applies to the BASIC SAFETY and ESSENTIAL PERFORMANCE of MEDICAL BEDS as defined in 201.3.214, intended for ADULTS as defined in 201.3.222. Included in the scope are both electrical and non-electrical (manual) MEDICAL BEDS with or without adjustable functions. This document is applicable to either a BED-LIFT or a detachable MATTRESS SUPPORT PLATFORM or both. The combination of BED-LIFT or a detachable MATTRESS SUPPORT PLATFORM with a compatible non-MEDICAL BED as specified by the MANUFACTURER is also considered a MEDICAL BED. This document does not apply to: - MEDICAL BEDS for CHILDREN and ADULTS with atypical anatomies (ADULTS ranging outside the definition for ADULTS in 202.3.222) covered by IEC 80601-2-89; - SPECIALITY MATTRESS covered by ISO 20342 series; - devices for which the INTENDED USE is mainly for examination or transportation under medical supervision (e.g. stretcher, examination table); - all requirements for MEDICAL BEDS with special functionality. If a clause or subclause is specifically intended to be applicable to a MEDICAL BED only, or to ME SYSTEMS only, the title and content of that clause or subclause will say so. If that is not the case, the clause or subclause applies both to MEDICAL BED and to ME SYSTEMS, as relevant. HAZARDS inherent in the intended physiological function of MEDICAL BED or ME SYSTEMS within the scope of this document are not covered by specific requirements in this document except in 7.2.13 and 8.4.1 of IEC 60601-1:2005, IEC 60601-1:2005/AMD1:2012 and IEC 60601-1:2005/AMD2:2020.
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This document provides requirements for the evaluation process of any rigid packaging with the main body of the packaging unit predominantly made of PS or XPS and the design of separate components predominantly made of rigid PS or XPS, with respect to compatibility of the design with state-of-the-art collecting, sorting and recycling processes, and the characterization of the output(s) compared to a reference material.
Packaging constituents and packaging components made of other materials than PS and XPS are also covered by this document as they need to be evaluated on compatibility with PS or XPS polymer recycling.
- Standard18 pagesEnglish languagee-Library read for1 day
This document gives guidance on the risk-based approach to follow for the design and operation of the LNG bunker transfer system, including the interface between the LNG bunkering supply facilities and receiving LNG fuelled vessels.
This document provides requirements and recommendations for the development of a bunkering site and facility and the LNG bunker transfer system, providing the minimum functional requirements qualified by a structured risk assessment approach taking into consideration LNG properties and behaviour, simultaneous operations and all parties involved in the operation.
This document is applicable to bunkering of both seagoing and inland trading vessels. It covers LNG bunkering from shore or ship, mobile to ship and ship to ship LNG supply scenarios, as described in Clause 4.
- Technical specification47 pagesEnglish languagee-Library read for1 day
This document covers the design of any rigid packaging with the main body of the packaging unit predominantly made of PE or PP and the design of separate components predominantly made of rigid PE or rigid PP, with respect to compatibility of the design with state-of-the-art collection, sorting and recycling processes and useability of the recyclates in an application.
Packaging constituents and packaging components made of other materials than PE and PP are also covered by this document as they need to be evaluated on compatibility with PE or PP polymer recycling.
- Standard33 pagesEnglish languagee-Library read for1 day
This document covers the design of any rigid packaging which has its main component, in weight, predominantly made of EPS, with respect to compatibility of the design with state-of-the-art collecting, sorting, and recycling processes and useability of the recyclates in an application.
Packaging constituents and packaging components made of other materials than EPS are also covered by this document as they need to be evaluated on compatibility with polymer recycling.
Unless otherwise stated, in the interests of better readability, ‘EPS packaging’ always includes ‘EPS white goods packaging and fish boxes’.
- Standard11 pagesEnglish languagee-Library read for1 day
ISO/IEC 30187:2026 specifies the evaluation indicators for IoT systems.
This document is applicable to the compilation of the evaluation indicators for IoT systems in specific industries.
NOTE The indicators identified in this document are typical indicators but are not a comprehensive list; and conversely, not every indicator listed applies to every IoT system.
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The purpose of this document is to establish the machine-readable (linear, two-dimensional, and composite symbols) and human-readable content for direct marking and labelling of items, parts, and components. This document provides a means for items, parts and components to be marked, and read in either fixtured or hand-held scanning environments at any manufacturer’s facility and then read by customers purchasing items for subsequent manufacturing operations or for final end use. Intended applications include, but are not limited to, supply chain applications, e.g. inventory, distribution, manufacturing, quality control, acquisition, transportation, supply, repair and disposal.
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IEC 60761-2:2026 is applicable to equipment intended for simultaneous, delayed or discrete sequential measurement of aerosols in gaseous effluents discharged into the environment.
It is applicable to equipment designed to fulfil the following functions:
- the measurement of the volumetric activity (Bq/m3) of the aerosols in either gaseous effluents or the released total activity of aerosols (Bq), or both;
- the actuation of an alarm signal when either a predetermined volumetric activity or a predetermined total released activity of aerosols is exceeded.
This equipment is intended for measurement over a wide range of activity, including very small quantities in the presence of a much larger natural background. The daughters of 222Rn (radon) and 220Rn (thoron) are naturally occurring aerosols contributing to the natural background.
The objective of this document is to establish specific standard requirements, including technical characteristics and general test conditions, and to give examples of acceptable methods for aerosol effluent monitors.
The general requirements, technical characteristics, test procedures, radiation characteristics, electrical, mechanical, safety and environmental characteristics are given in IEC 60761-1. Unless otherwise stated, these requirements apply to this document.
This International Standard is to be used in conjunction with IEC 60761-1:2002. This third edition cancels and replaces the second edition published in 2002. This edition includes the following significant technical changes with respect to the previous edition:
- more precise tests for air-flow were added:
- sampled volume correctness;
- flow-rate robustness;
- uncertainties have been taken into account for the reference response test;
- addition of tests against aerosol granulometry variation;
- creating a uniform functionality test for all environmental, electromagnetic and mechanical tests and a requirement for the coefficient of variation of each nominal mean reading.
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IEC 60947-10:2026 applies to semiconductor circuit-breakers with a rated voltage up to 1 000 V AC or 1 500 V DC, intended to be installed and operated by instructed or skilled persons.
This document covers the following different types:
- semiconductor circuit-breakers (SCCBs) having semiconductor switching elements and, for isolation function, mechanical isolation contacts connected in series;
- semiconductor hybrid circuit-breakers (SCHCBs) having semiconductor switching elements and mechanical switching elements in parallel and in addition, for isolation function, mechanical isolation contacts connected in series.
In this document, where the term "circuit-breaker" only is used, it applies to both types.
This document applies regardless of the rated currents, the method of construction or the proposed applications of the circuit-breakers.
The object of this document is to state:
a) the characteristics of circuit-breakers;
b) the conditions with which circuit-breakers shall comply with reference to:
1) operation and behaviour in normal service;
2) operation and behaviour under specific abnormal circuit conditions (e.g. overload or short-circuit);
3) dielectric properties;
4) requirements on electromagnetic compatibility;
c) tests intended for confirming that these conditions have been met and the methods to be adopted for these tests;
d) information to be marked on or given with the circuit-breakers.
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IEC 62933-5-4:2026 primarily describes the safety test methods and procedures for grid-connected energy storage systems where a lithium ion battery-based subsystem is used.
This document provides test methods and procedures to validate safety issues specifically related to the use of a lithium-ion battery-based subsystem, primarily based on IEC 62933-5-1, which establishes criteria for ensuring the safe applications and use of electrical energy storage systems of any type or size, and IEC 62933-5-2, which further specifies safety provisions arising from the use of an electrochemical storage subsystems in EES systems. All test methods and procedures are based on the requirements of IEC 62933-5-2 Ed 2.0. This standard includes only the test methods specifically related to lithium ion battery-based BESS and is based on by actual tests.
The scope of this document is limited to some representative actual test method and procedure for lithium-ion battery-based BESS, but does not include all tests method and procedure.
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This document specifies processes for the management and operation of data centres. The primary focus of this document is the processes necessary to deliver the expected level of resilience, availability, risk management, risk mitigation, capacity planning, security and resource and energy efficiency. The secondary focus is on organization and data centre management to align the actual and future demands. Only processes specific for data centres are in the scope of this document. Business processes like people management, financial management, etc. are out of scope.
- Draft71 pagesEnglish languagee-Library read for1 day
IEC 60794-1-125:2026 specifies the ripcord functional test procedure used to measure the functionality of the cable ripcord.
This first edition cancels and replaces cancels and replaces Method E25 of the first edition of the IEC 60794-1-21:2015.
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IEC 62820-1-1:2026 specifies the technical requirements for building intercom systems and equipment used for building entry.
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IEC 60695-2-10:2026 specifies the glow-wire apparatus and common test procedure to simulate the effects of thermal stresses which may be produced by heat sources such as glowing elements or overloaded resistors, for short periods, in order to assess the fire hazard by a simulation technique. The test procedure described in this document is a common test procedure intended for the small-scale tests in which a standardized electrically heated wire is used as a source of ignition. It is a common part of the test procedures applied to end products and to solid electrical insulating materials or other solid combustible materials. A detailed description of each particular test procedure is given in IEC 60695-2-11, IEC 60695-2-12 and IEC 60695-2-13.
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:
a) revision of 4.3 to add reference to new Annex D;
b) addition of new normative Annex D on "Use of pyrometer for glow-wire test";
c) revision of Clause 3 references to align with ISO 13943:2017.
It has the status of a basic safety publication in accordance with IEC Guide 104. This International Standard is to be used in conjunction with IEC 60695-2-11, IEC 60695-2-12, and IEC 60695-2-13.
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This document is applicable to all electronic equipment for control, regulation, protection, diagnostic, energy supply installed on railway vehicles and any relevant elements of rolling stock subsystems (e.g. external doors, On-Board ETCS functionality, wheel slide protection). For the purpose of this document, electronic equipment is defined as equipment composed of electronic components (e.g. resistors, capacitors, transistors, diodes, integrated circuits, hybrids, application specific integrated circuits, wound components and relays), and recognized associated components (e.g. connectors, mechanical parts). These components are mainly mounted on printed circuit boards. Sensors (e.g. current, voltage, speed) and semiconductor drive units for power electronic devices are covered by this document. Complete semiconductor drive units and power converters are covered by EN 61287 1. This document covers the requirements for operating conditions, design, documentation, testing and integration of electronic equipment, as well as hardware and software requirements considered necessary for compliant and reliable equipment. Specific requirements related to practices necessary to ensure defined safety integrity level or functional safety are not covered by this document. Nevertheless, this document is applicable to the hardware of all rolling stock electronic equipment or systems performing safety-related functions. The software development requirements for on-board railway equipment are specified by EN 50716.
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IEC TS 62565-2-1:2026 which is a Technical Specification, establishes a blank detail specification and format for listing the relevant key control characteristics (KCCs) of single wall carbon nanotubes (SWCNTs). This document is intended to be used for SWCNTs in the form of powders and dispersions.
For each KCC listed, methods and existing standards (in cases where they are applicable) for their measurement are indicated. Numeric values to be specified for the properties and characteristics are intentionally left blank and are determined by agreement between customer and supplier. Properties and characteristics not of relevance for a specific application can be classified as not applicable or not specified.
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IEC 63230:2026 applies to runners of reaction turbines, regardless of their size and capacity. These can include radial turbines such as Francis turbines, axial turbines such as Kaplan and propeller turbines, as well as diagonal turbines, in all possible configurations. In the case of turbine runners with adjustable blades, the internal mechanical components of the blades' adjustment mechanism are excluded from this document. Pelton turbines, storage pumps and pump-turbines are not covered in this first edition, even though several topics are applicable to these types of hydraulic machines. Specificities and applicability to Pelton turbine and pump-turbines will be discussed in a later revision of the standard
This document outlines the methodologies for conducting a fatigue assessment of turbine runners. It encompasses several key aspects, such as defining the load events to be considered during the assessment, determining stresses for each of these load events, as well as the detailed approaches for assessing fatigue of new and existing runners. Additionally, it includes manufacturing and quality assurance requirements to be complied with to achieve the desired material fatigue properties and effectively apply the proposed fatigue assessment methodologies. This document also contains best practices for performing and analysing on-site strain gauge measurements performed on existing runners to evaluate their fatigue life.
The purpose of this document is to provide guidelines to assess fatigue in new and existing turbine runners. It does not specify if a fatigue assessment should be performed or not for a given runner. However, Annex B provides guidance to evaluate the necessity of realizing a fatigue assessment or not for a given new runner. The methods described in this document can also be used for remaining life assessments of in-service runners
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IEC TS 62257-341:2026 proposes simple, inexpensive, comparative tests to determine which types of flooded lead-acid automobile batteries are acceptable for use in PV electrification systems.
It could be particularly useful for project implementers to test in laboratories of developing countries the capability of locally made car or truck batteries to be used for their project.
The tests provided in this document allow assessment of the batteries' performances according to the general specification and batteries associated with their smart battery charging systems (SBCS) in a short time and with common technical means. They can be performed locally, as close as possible to the operating conditions of the real site.
The document also provides recommendations and installation conditions to ensure the life and proper operation of the installations as well as the safety of people living in proximity to the installation.
This document offers guidelines and does not replace any existing IEC Standard on batteries.
This first edition cancels and replaces the second edition of IEC TS 62257-8-1 published in 2018. This edition includes the following significant technical changes with respect to IEC 62257‑8‑1:2018:
- increase of the applicable voltage levels and removal of the 100 kW power limit;
- removal of the word "small" from the description of these systems.
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This document provides packages of security assurance and security functional requirements that are intended to be useful in support of common usage by stakeholders.
The users of this document can include consumers, developers and evaluators of secure IT products.
- Draft34 pagesEnglish languagee-Library read for1 day
Basis for this method is the laboratory sample obtained by the method specified in ISO 948. The principle of determination consists in grinding the laboratory sample, which has been previously mixed, to obtain particles of the size specified in the International Standard appropriate to the spice or condiment concerned or, if not so specified, to obtain particles of size approximately 1 mm.
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This document specifies requirements for the respiratory tubing and connectors used to convey respirable gases to a patient in the healthcare and homecare environments and provide a safe connection between the gas supply device and the patient interface. Respiratory tubing and connectors are mainly used for delivery of oxygen but can also be used for respirable air or oxygen/air mixtures and breathable medicinal gas mixtures such as oxygen/nitrous oxide or oxygen/helium mixtures. This document also specifies requirements for respiratory therapy extension tubing.
NOTE 1 The gas supply devices referred to in this document do not include anaesthetic machines/workstations and ventilators.
NOTE 2 This document does not cover breathing tubes for breathing systems. These are specified in ISO 5367.
This document is written following the format of ISO 18190, General standard for airways and related equipment. The requirements in this device-specific standard take precedence over any conflicting requirements in the General standard
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IEC 62321-3-1:2026 is available as IEC 62321-3-1:2026 RLV which contains the International Standard and its Redline version, showing all changes of the technical content compared to the previous edition.
IEC 62321-3-1:2026 describes the screening analysis of substances, specifically lead (Pb), mercury (Hg), cadmium (Cd), total chromium (Cr), total bromine (Br), total phosphorus (P), assuming the source of P is related to TCEP (CAS 115‑96‑8), Trixylyl-phosphate (CAS 25155‑23‑1), total chlorine (Cl), assuming the source of Cl is related to SCCP (CAS 85535‑84‑8), TCEP (CAS 115‑96‑8) , TBTC (CAS 1461‑22‑9), total tin (Sn), assuming the source of Sn is related to restricted organo-tin compounds, total antimony (Sb), assuming the source of Sb is related to Pyrochlore, and antimony lead yellow (CAS 8012‑00‑8) in uniform materials found in electrotechnical products, using the analytical technique of X‑ray fluorescence (XRF) spectrometry.
This edition includes the following significant technical changes with respect to the previous editions of IEC 62321-3-1:2013 and IEC 62321:2008:
a) This second edition of IEC 62321-3-1 includes the analysis of additional elements as indicators for additional substances. The selection is based on IEC TR 62936:2016. There are also comments about using the same methology for screening for content of critical raw materials (CRMs).
This document has been given the status of a horizontal document in accordance with the ISO/IEC Directives, Part 1.
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This document specifies the requirements for solid wall pipes with smooth internal and external surfaces, extruded from the same formulation throughout the wall, fittings and the piping system of unplasticized poly(vinyl chloride) (PVC-U) intended for soil and waste discharge applications (low and high temperature)
- above ground inside the building, or outside buildings fixed onto the wall; which is reflected in the marking by “B”;
- for both inside buildings and buried in ground within the building structure, which is reflected in the marking by “BD”. This intended use is only applicable for components with nominal outside diameters equal to or greater than 75 mm.
NOTE 1 Multilayer pipes with different formulations throughout the wall and foamed core pipes are covered by EN 1453-1[1].
PVC-U pipes, fittings and the system complying with this document are also suitable for the following purposes:
- ventilating part of the pipework in association with discharge applications;
- rainwater pipework within the building structure.
This document covers a range of nominal sizes, a range of pipes and fittings series and gives recommendations concerning colours.
Pipes, fittings and other components conforming to any of the plastics product standards listed in Annex B can be used with pipes and fittings conforming to this document, provided they conform to the requirements for joint dimensions given in Clause 7 and to the requirements of Table 26.
NOTE 2 EN 476[2] specifies the general requirements for components used in discharge pipes, drains and sewers for gravity systems. Pipes and fittings conforming to EN 1329-1 fully meet the EN 476 requirements.
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IEC 61788-15:2026 describes measurements of the intrinsic surface impedance (Zs) of HTS films at microwave frequencies by a modified two-resonance mode dielectric resonator method. The object of measurement is to obtain the temperature dependence of the intrinsic Zs at the resonant frequency f0. The frequency and thickness range and the measurement resolution for the Zs of HTS films are as follows: - frequency: up to 40 GHz; - film thickness: greater than 50 nm; - measurement resolution: 0,01 mΩ at 10 GHz. It is crucial that the Zs data at the measured frequency, and that scaled to 10 GHz be reported for comparison, assuming the f2 rule for the intrinsic surface resistance, Rs (f < 40 GHz), and the f rule for the intrinsic surface reactance, Xs. This second edition cancels and replaces the first edition published in 2011. This edition constitutes a technical revision. This edition includes the following significant technical changes with respect to the previous edition: - informative Annex B, combined relative standard uncertainty in the intrinsic surface impedance is added; - the terms, ‘precision and accuracy’, are replaced with uncertainty; - results from a round robin test are added.
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The contents of the corrigendum of March 2023 have been included in this copy.
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IEC 63316:2026 prescribes safeguards, test methods and compliance requirements intended to reduce the risk of electrical shock and fire associated with voltage and current at voltages greater than 60 V DC and 60 V AC. This document applies to equipment ports intended to supply and receive operating power from communications equipment ports using communication wires and cables. It covers particular requirements for circuits that are designed to transfer AC or DC power from a power sourcing equipment (PSE) (3.1.2) to a powered device (PD) (3.1.3), including repeaters, amplifiers, Optical Network Units, Remote DSLAMs, service provider terminating equipment, remote telecommunications cabinets and equipment, and midspan passive equipment connected to the PSE (3.1.2) and PD (3.1.3). The power transfer of equipment ports covered by this document uses non-mains AC voltage or non-mains DC voltage above 60 V DC classified as ES2 according to 5.2.1.2 of IEC 62368-1:2023 or, in some very controlled cases, classified as ES3 according to IEC 62368-1:2023. EXAMPLES - DC power transfer using voltages above 60 V DC but ≤ 120 V DC, classified as ES2; - Some telecommunications networks where the voltage was formerly called TNV-3 (see IEC 62368-1:2023, Table W.3), typically used for line, span or express powering outside North America, Long Range Reverse Power Feeding, HDSLx line powering ISDN, Line Powering Primary Rate E1; - Some North American telecommunications networks between the utility service providers´ PSE (3.1.2) and service providers side of the PD (3.1.3) at the PNI (3.1.8); - For DC power transfer using voltages ≥ 120 V DC at ES3: RFT circuits and the associated telecommunications network equipment and cabling used by communications service providers and communications utilities (for example, line powered E1/T1, HDSLx, SHDSLx, xDSL, repeaters, and telecommunications line powering up or line powering down converters as applicable), Optical Network Units, remote DSLAMs, etc. These RFT circuits are used between the utility service providers PSE (3.1.2) and service providers side of the PD (3.1.3) at the PNI (3.1.8). The customer facing ports of this equipment are at voltage not exceeding 60 V DC and are covered by IEC 62368-1:2023, see Annex A for deployment topologies; - For AC/DC remote powering voltage above ES1 over coaxial cable in circuits used by cable television utility service providers for repeaters, amplifiers, Optical Network Units. The customer facing ports of this equipment are at voltage not exceeding 60 V DC that are covered by IEC 62368-1:2023. NOTE 1 Any communications cable that permits power transfer between communication equipment is considered a communication cable even if communication does not take place. For example, a line powering up or line powering down converters as applicable used to power remote telecommunications equipment, can provide limited communications RFT power and not necessarily any superimposed data or signalling. This document does not cover equipment interfaces within the scope of IEC 63315. NOTE 2 IEC 63315 covers equipment intended to either supply or receive charging, or operating power from ICT interfaces using ICT wires and cables such as PoE, USB, HDMI, etc, or any of these combined. This document does not cover ringing signals that are in the scope of IEC 62368-1 or in the scope of IEC 62949:2017. This document does not cover traditional telecommunications technologies which operate at voltages not exceeding 60 V DC (circuits classified as ES1 according to 5.2.1.1 of IEC 62368-1:2023 and Tabl
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This document specifies methods for the determination of seam maximum force of sewn seams when the force is applied perpendicularly to the seam. It describes the method known as the grab test.
The method defined in this document is applicable to woven textile fabrics, including fabrics which exhibit stretch characteristics imparted by the presence of an elastomeric fibre, mechanical or chemical treatment. It can be applicable to fabrics produced by other techniques. It is normally not applicable to geotextiles, nonwovens, coated fabrics, textile-glass woven fabrics and fabrics made from carbon fibres or polyolefin tape yarns.[2], [3], [4]
This method is applicable to straight seams only (obtained from previously sewn articles or prepared from fabric samples) and not to curved seams (see Annex B for considerations on seams).
The method is restricted to the use of constant-rate-of-extension (CRE) testing machines.
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This document provides guidance to the food industry, service providers and control laboratories on methodologies to be used for sample preparation, detection, identification and measurement of nano objects in inorganic food additives incorporated in food matrices.
Electron microscopy combined with energy dispersive X-ray spectroscopy (EM-EDX) and inductively coupled plasma mass spectrometry (ICP-MS) operated in single particle mode (spICP-MS) are the selected measurement methodologies to provide information on (i) the chemical composition and (ii) number-based particle size distribution of the nano-objects.
Special attention is given to the sample preparation, including matrix digestion, sample extraction and dilution steps to be used according to the combination of (i) the chemical nature of the food additive, (ii) the type of food matrix and (iii) the analytical technique of choice (EM-EDX or spICP-MS).
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This document specifies definitions, principles of construction (but not dimensions) and design, requirements on performance and operation as well as methods for testing the performance of adjustable chemical dosing systems for conditioning water intended for human consumption inside buildings (see [1]) which are permanently connected to the mains supply.
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This document is applicable to calcium carbonate used for treatment of water intended for human consumption. It describes the characteristics of calcium carbonate and specifies the requirements and the corresponding test methods for calcium carbonate. It gives information on its use in water treatment.
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This document provides guidance for users in the correct selection and usage of routinely available techniques for the determination of the aggregation and agglomeration state of nano-objects in powders, aerosols and suspensions. It provides guidance on measurands and measurement methods to use along with guidance on sample preparation.
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IEC 61439-8:2026 specifies requirements for the design and verification of low voltage switchgear and controlgear assemblies for use in photovoltaic installations. PVAs have the following characteristics: - assemblies used for the combination of electrical energy in DC systems for which the input and output voltage does not exceed 1 500 V DC; - assemblies supplied from an AC network where the voltage does not exceed 1 000 V AC for auxiliary and control purposes; - stationary assemblies with an enclosure; - assemblies intended for operation by authorised persons (see IEC 61439 1:2020, 3.7.17), but can be located in an area accessible to ordinary persons (see IEC 61439 1:2020, 3.7.16); - suitable for indoor or outdoor installation. This document identifies definitions, specifies the service conditions, details the construction requirements, defines the technical characteristics, and provides verifications for PVAs. PVAs can also include control or signalling devices, or both, associated with the distribution of electrical energy. This document applies to all PVAs whether they are designed and manufactured on a one-off basis or fully standardized and manufactured in quantity. Either the manufacture or assembly, or both, can be carried out by an entity other than the original manufacturer (see IEC 61439 1:2020, 3.10.1). This document does not apply to: - individual devices, for example, circuit-breakers, fuse switches and self-contained components such as, motor starters, switch mode power supplies (SMPS), uninterruptable power supplies (UPS), basic drive modules (BDM), complete drive modules (CDM), adjustable speed power drives systems (PDS), stand-alone energy storage systems (battery and capacitor systems), other electronic equipment which comply with their relevant product standards, such as junction boxes of photovoltaic modules. This document describes their integration into a PVA or an empty enclosure used as a part of a PVA; - photovoltaic power conversion equipment (PCE) incorporating DC combination sub-systems, covered by the IEC 62109 series. Some applications, such as either explosive atmospheres or functional safety, or both, can be subject to the requirements of other standards or local installation rules in addition to those specified in the IEC 61439 series. This document does not apply to the specific types of assemblies covered by other parts of the IEC 61439 series.
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IEC 61254:2026 applies to men's electric shavers and their trimmers for household use. This document deals with the methods for evaluating user experience and user satisfaction, in a subjective way, for men's electric shavers and their trimmers with a rated voltage not greater than 250 V. This document does not specify safety or performance requirements. This second edition cancels and replaces the first edition published in 1993. This edition constitutes a technical revision. This edition includes the following significant technical changes with respect to the previous edition: a) change in standard title and scope (Title and Clause 1); b) addition of the definition of user experience and user satisfaction (3.5, 3.6); c) modification of the list of evaluations (Clause 4); d) introduction of evaluation of user satisfaction for a particular electric shaver (Clause 6); e) removal of testing measurement in objective way, such as measuring methods for dimensions, operation time and gravimetric analysis of the difference in closeness of shave; f) modification of questionnaires in Annex A.
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IEC 63497:2026, which is a product standard, is intended to specify the EMC, performance and safety requirements of shunt-connected active correction devices (ACD) with rated system voltages not exceeding 1 000 V AC or 1 500 V DC. These devices can be either cord or permanently connected. They can be movable, stationary, or fixed devices. An ACD includes both a static VAR generator (SVG) and an active harmonic filter (AHF). The primary function of a shunt connected ACD is to do one or more of the following: - active harmonic filtering; - reactive power compensation; - unbalanced load compensation. Additional functions of a shunt-connected ACD, not addressed by this document, can be the following: - flicker compensation; - interharmonic component filtering. In case of hybrid devices, combining a passive harmonic filter and an ACD, this document covers only the active part. This document does not cover - active mitigation functions part of another device (variable speed drive, uninterruptible power supply, dynamic voltage restorer, etc.), - switched power capacitors, - switched inductors, - passive harmonic filters, - energy storage converters, and - series-connected active correction devices.
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RTBR/SMG-0019R1
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DEN/ERM-TGAERO-31-1
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DEN/ERM-TG28-561
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The present document specifies technical requirements, limits and test methods for Short Range Devices in the non-
specific category operating in the frequency range 25 MHz to 1 000 MHz.
The non specific SRD category is defined by the EU Commission Decision 2019/1345/EU [i.3] as:
"The non-specific short-range device category covers all kinds of radio devices, regardless of the application or the
purpose, which fulfil the technical conditions as specified for a given frequency band. Typical uses include telemetry,
telecommand, alarms, data transmissions in general and other applications".
These radio equipment types are capable of transmitting up to 500 mW effective radiated power and operating indoor or
outdoor.
NOTE: The relationship between the present document and the essential requirements of article 3.2 of
Directive 2014/53/EU [i.2] is given in Annex A
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REN/MSG-TFES-15-3
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SIGNIFICANCE AND USE
5.1 Often the most critical stress to which a sandwich panel core is subjected is shear. The effect of repeated shear stresses on the core material can be very important, particularly in terms of durability under various environmental conditions.
5.2 This test method provides a standard method of obtaining the sandwich core shear fatigue response. Uses include screening candidate core materials for a specific application, developing a design-specific core shear cyclic stress limit, and core material research and development.
Note 3: This test method may be used as a guide to conduct spectrum loading. This information can be useful in the understanding of fatigue behavior of core under spectrum loading conditions, but is not covered in this standard.
5.3 Factors that influence core fatigue response and shall therefore be reported include the following: core material, core geometry (density, cell size, orientation, etc.), specimen geometry and associated measurement accuracy, specimen preparation, specimen conditioning, environment of testing, specimen alignment, loading procedure, loading frequency, force (stress) ratio and speed of testing (for residual strength tests).
Note 4: If a sandwich panel is tested using the guidance of this standard, the following may also influence the fatigue response and should be reported: facing material, adhesive material, methods of material fabrication, adhesive thickness and adhesive void content. Further, core-to-facing strength may be different between precured/bonded and co-cured facings in sandwich panels with the same core and facing materials.
SCOPE
1.1 This test method determines the effect of repeated shear forces on core material used in sandwich panels. Permissible core material forms include those with continuous bonding surfaces (such as balsa wood and foams) as well as those with discontinuous bonding surfaces (such as honeycomb).
1.2 This test method is limited to test specimens subjected to constant amplitude uniaxial loading, where the machine is controlled so that the test specimen is subjected to repetitive constant amplitude force (stress) cycles. Either shear stress or applied force may be used as a constant amplitude fatigue variable.
1.3 The values stated in either SI units or inch-pound units are to be regarded separately as standard. The values stated in each system are not necessarily exact equivalents; therefore, to ensure conformance with the standard, each system shall be used independently of the other, and values from the two systems shall not be combined. Within the text, the inch-pound units are shown in brackets.
1.4 This standard does not purport to address all of the safety concerns, if any, associated with its use. It is the responsibility of the user of this standard to establish appropriate safety, health, and environmental practices and determine the applicability of regulatory limitations prior to use.
1.5 This international standard was developed in accordance with internationally recognized principles on standardization established in the Decision on Principles for the Development of International Standards, Guides and Recommendations issued by the World Trade Organization Technical Barriers to Trade (TBT) Committee.
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ABSTRACT
This specification covers coated glass mat water-resistant gypsum backing panel designed for use on ceilings and walls in bath and shower areas as a base for the application of ceramic or plastic tile. Coated glass mat water-resistant gypsum backing panel shall consist of a noncombustible water-resistant gypsum core, surfaced with glass mat, partially or completely embedded in the core, and with a water-resistant coating on one surface. The specimens shall be tested for flexural strength, humidified deflection, core hardness, end hardness, edge hardness, nail pull resistance, water resistance, and surface water absorption. Coated glass mat water-resistant gypsum backing panel shall have surfaces true and free of imperfections that render the panel unfit for its designed use.
SCOPE
1.1 This specification covers coated glass mat water-resistant gypsum backing panel designed for use on ceilings and walls in bath and shower areas as a base for the application of ceramic or plastic tile.
1.2 The values stated in either SI units or inch-pound units are to be regarded separately as standard. The values stated in each system may not be exact equivalents; therefore, each system shall be used independently of the other. Combining values from the two systems may result in non-conformance with the standard. Within the text, the SI units are shown in brackets.
1.3 The text of this standard references notes and footnotes that provide explanatory material. These notes and footnotes (excluding those in tables and figures) shall not be considered as requirements of the standard.
1.4 This international standard was developed in accordance with internationally recognized principles on standardization established in the Decision on Principles for the Development of International Standards, Guides and Recommendations issued by the World Trade Organization Technical Barriers to Trade (TBT) Committee.
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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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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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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
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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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
4.1 Different electroplating systems can be corroded under the same conditions for the same length of time. Differences in the average values of the radius or half-width or of penetration into an underlying metal layer are significant measures of the relative corrosion resistance of the systems. Thus, if the pit radii are substantially higher on samples with a given electroplating system, when compared to other systems, a tendency for earlier failure of the former by formation of visible pits is indicated. If penetration into the semi-bright nickel layer is substantially higher, a tendency for earlier failure by corrosion of basis metal is evident.
SCOPE
1.1 This test method provides a means for measuring the average dimensions and number of corrosion sites in an electroplated decorative nickel plus chromium or copper plus nickel plus chromium coating on steel after the coating has been subjected to corrosion tests. This test method is useful for comparing the relative corrosion resistances of different electroplating systems and for comparing the relative corrosivities of different corrosive environments. The numbers and sizes of corrosion sites are related to deterioration of appearance. Penetration of the electroplated coatings leads to appearance of basis metal corrosion products.
1.2 The values stated in SI units are to be regarded as the standard.
1.3 This standard does not purport to address all of the safety concerns, if any, associated with its use. It is the responsibility of the user of this standard to establish appropriate safety, health, and environmental practices and determine the applicability of regulatory limitations prior to use.
1.4 This international standard was developed in accordance with internationally recognized principles on standardization established in the Decision on Principles for the Development of International Standards, Guides and Recommendations issued by the World Trade Organization Technical Barriers to Trade (TBT) Committee.
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SIGNIFICANCE AND USE
5.1 Since the information provided by this test method is largely qualitative in nature, specific limits covering the following characteristics are required in referring to this test method in specifications for kerosene:
5.1.1 Duration of the test: 16 h is understood, if not otherwise specified;
5.1.2 Permissible change in flame shape and dimensions during the test;
5.1.3 Description of the acceptable appearance of the chimney deposit.
SCOPE
1.1 This test method covers the qualitative determination of the burning properties of kerosene to be used for illuminating purposes. (Warning—Combustible. Vapor harmful.)
Note 1: The corresponding Energy Institute (IP) test method is IP 10 which features a quantitative evaluation of the wick-char-forming tendencies of the kerosene, whereas Test Method D187 features a qualitative performance evaluation of the kerosene. Both test methods subject the kerosene to somewhat more severe operating conditions than would be experienced in typical designated applications.
1.2 The values stated in SI units are to be regarded as standard. No other units of measurement are included in this standard.
1.3 This standard does not purport to address all of the safety concerns, if any, associated with its use. It is the responsibility of the user of this standard to establish appropriate safety, health, and environmental practices and determine the applicability of regulatory limitations prior to use. Specific warning statements appear throughout the test method.
1.4 This international standard was developed in accordance with internationally recognized principles on standardization established in the Decision on Principles for the Development of International Standards, Guides and Recommendations issued by the World Trade Organization Technical Barriers to Trade (TBT) Committee.
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SIGNIFICANCE AND USE
4.1 This procedure measures the amount of hydrogen gas generation potential of aluminized emulsion roof coating. There is the possibility of water reacting with aluminum pigment to generate hydrogen gas. This situation is to be avoided, so this test was designed to evaluate coating formulations and assess the propensity to gassing.
SCOPE
1.1 This test method covers a hydrogen gas and stability test for aluminum emulsified asphalt coatings.
1.2 The values stated in either SI units or inch-pound units are to be regarded separately as standard. The values stated in each system may not be exact equivalents; therefore, each system shall be used independently of the other. Combining values from the two systems may result in nonconformance with the standard.
1.3 This standard does not purport to address all of the safety concerns, if any, associated with its use. It is the responsibility of the user of this standard to establish appropriate safety, health, and environmental practices and determine the applicability of regulatory limitations prior to use.
1.4 This international standard was developed in accordance with internationally recognized principles on standardization established in the Decision on Principles for the Development of International Standards, Guides and Recommendations issued by the World Trade Organization Technical Barriers to Trade (TBT) Committee.
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RTS/TSGC-0329523vh70
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RTS/TSGC-0329521vh50
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DEN/ERM-TGAERO-31-2
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RTS/LI-00190-2
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RTS/ITS-00189
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