IEC 62642-2-6:2010 provides for security grades 1 to 4, (see IEC 62642-1) specific or non-specific wired or wirefree opening contacts (magnetic), and includes the requirements for four environmental classes covering applications in internal and outdoor locations as specified in IEC 62599-1.

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  • Standard
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IEC/TS 62642-7:2011(E) provides guidance on the design, planning, operation, installation, commissioning and maintenance of intrusion and hold-up alarm system (I&HAS) installed in buildings. Requirements for I&HAS are specified in IEC 62642-1:2010. It also applies to intruder alarm system and hold-up alarm system when these systems are installed independently. These application guidelines are intended to assist those responsible for establishing an I&HAS to ascertain the appropriate design of I&HAS both in terms of the extent of the supervision required and in determining the grade of system performance necessary to provide the degree of supervision considered appropriate.

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  • Technical specification
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IEC 62642-1:2010 specifies the requirements for intrusion and hold-up alarm systems (I&HAS) installed in buildings using specific or non-specific wired interconnections or wire-free interconnections. These requirements also apply to the components of an I&HAS installed in a building which are normally mounted on the external structure of a building e.g. ancillary control equipment or warning devices.

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  • Standard
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IEC 62642-2-4:2010 is for combined passive infrared and microwave detectors installed in buildings and provides for security Grades 1 to 4 (see IEC 62642-1), specific or non-specific wired or wire-free detectors, and uses environmental classes I to IV (see IEC 62599-1).

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  • Standard
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IEC 62642-2-3:2010 is for microwave detectors installed in buildings and provides for security grades 1 to 4 (see IEC 62642-1), specific or non-specific wired or wire-free detectors, and uses environmental classes I to IV (see IEC 62599-1).

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  • Standard
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IEC 62642-2-2:2010 is for passive infrared detectors installed in buildings and provides for security grades 1 to 4 (see IEC 62642-1), specific or non-specific wired or wire-free detectors, and uses environmental classes I to IV (see IEC 62599-1). A detector shall fulfil all the requirements of the specified grade.

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  • Standard
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IEC 62642-6:2011 specifies the requirements, performance criteria and testing procedures for power supplies (PS) to be used as part of Intrusion and Hold up Alarm Systems (I&HAS). The PS shall either be an integral part of an I&HAS component or stand-alone. The control functions of the PS may be incorporated as part of the PS device, or may be provided by another I&HAS component e.g. a control and indicating equipment.

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  • Standard
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This document specifies requirements and recommendations concerning the physical security of data centres based on the criteria and classifications for “availability”, “security” and “energy efficiency enablement” within ISO/IEC 22237-1. This document provides designations for the data centre spaces defined in ISO/IEC 22237-1. This document specifies requirements and recommendations for such data centre spaces, and the systems employed within those spaces, in relation to protection against: a) unauthorized access addressing organizational and technological solutions; b) intrusion; c) internal fire events igniting within data centre spaces; d) internal environmental events (other than fire) within the data centre spaces which would affect the defined level of protection; e) external environmental events outside the data centre spaces which would affect the defined level of protection. NOTE Constructional requirements and recommendations are provided by reference to ISO/IEC 22237-2. Safety and electromagnetic compatibility (EMC) requirements are outside the scope of this document and are covered by other standards and regulations. However, information given in this document can be of assistance in meeting these standards and regulations. Conformance of data centres to the present document is covered in Clause 4.

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This document establishes the basis for testing and classifying secure cabinets.
The standard covers products meant for purposes where the security resistance required is less than that measured by EN 1143-1. Normally these products are used in lower risk situations.

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ISO/IEC 20243-2:2018 specifies the procedures to be utilized by an assessor when conducting a conformity assessment to the mandatory requirements in the Open Trusted Technology Provider? Standard (O-TTPS).1 These Assessment Procedures are intended to ensure the repeatability, reproducibility, and objectivity of assessments against the O-TTPS. Though the primary audience for this document is the assessor, an Information Technology (IT) provider who is undergoing assessment or preparing for assessment, may also find this document useful.

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ISO/IEC 20243-1:2018 (O-TTPS) is a set of guidelines, requirements, and recommendations that address specific threats to the integrity of hardware and software COTS ICT products throughout the product life cycle. This release of the Standard addresses threats related to maliciously tainted and counterfeit products. The provider's product life cycle includes the work it does designing and developing products, as well as the supply chain aspects of that life cycle, collectively extending through the following phases: design, sourcing, build, fulfillment, distribution, sustainment, and disposal. While this Standard cannot fully address threats that originate wholly outside any span of control of the provider ? for example, a counterfeiter producing a fake printed circuit board assembly that has no original linkage to the Original Equipment Manufacturer (OEM) ? the practices detailed in the Standard will provide some level of mitigation. An example of such a practice would be the use of security labeling techniques in legitimate products.

  • Standard
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This document establishes the basis for testing and classifying secure cabinets.
The standard covers products meant for purposes where the security resistance required is less than that measured by EN 1143-1. Normally these products are used in lower risk situations.

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This document gives guidance on how to secure physical documents for specifying entities of physical documents. It establishes a procedure for security design, which includes: — risk assessment; — determination of document classes; — introduction of security features; — security evaluation; — document risk mitigation. This document is applicable to secure physical documents that are used for important actions such as validating value transactions, providing access, demonstrating compliance and securing products. This document does not apply to banknotes, machine-readable travel documents, driving licences, postage stamps, tax stamps, health cards or national identity cards covered by existing standards and regulations.

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  • Standard
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This European Standard specifies requirements for high security locks (HSL) for reliability, resistance to burglary and unauthorized opening with methods of testing. It also provides a scheme for classifying HSL in accordance with their assessed resistance to burglary and unauthorized opening.
It applies to mechanical and electronic HSL. The following features may be included as optional subjects but they are not mandatory:
a)   recognized code for preventing code altering and/or enabling/disabling parallel codes;
b)   recognized code for disabling time set up;
c)   integration of alarm components or functions;
d)   remote control duties;
e)   resistance to attacks with acids;
f)   resistance to X-rays;
g)   resistance to explosives;
h)   time functions.

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This document includes the sector specific requirements for the provision of private security services for maritime and port security that are additional to the regulations of EN 17483-1:2021.
NOTE 1   This document is the third part of a series of standards on the provision of private security services for critical infrastructure.
NOTE 2   See Figure 2.
Figure 2 - Structure for sector-specific standards - part 3 highlighted
NOTE 3 It is important that the selection of a private security service provider always represents the best balance between quality and price. This document sets out the minimum requirements that providers can comply with in order for this balance to be struck.
It specifies service requirements for quality in organization, processes, personnel and management of a security service provider and/or its independent branches and establishments under commercial law and trade as a provider with regard to maritime and port security services.
It lays down quality criteria for the delivery of maritime and port security services requested by public and private clients. This document is suitable for the selection, attribution, awarding and reviewing of the most suitable provider of maritime and port security services.

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This document provides recommendations and requirements for the procedures, processes and performance monitoring to be implemented for the management and control of the mechanical destruction of confidential and sensitive material to ensure that such material is disposed of securely and safely.
This document can be referenced by anyone who processes such material for themselves or on behalf of others and covers the following scenarios:
-   on site - using mobile equipment at the location of use (destruction equipment is brought to the confidential or sensitive material);
-   off site - transport followed by destruction using equipment at a destruction facility (the confidential or sensitive material is brought to the destruction equipment, such as used at a dedicated external facility operated by a service provider);
-   using static equipment at the location of use (confidential or sensitive material and destruction equipment co-located, such as a shredder in a building occupied by a client or clients).
Destruction by erasure is not covered in this document.

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This document includes the sector specific requirements for the provision of private security services for airport and civil aviation security that are additional to the regulations of EN 17483 1:2021.
NOTE 1   This document is the second part of a series of standards on the provision of private security services for critical infrastructure.
NOTE 2   See Figure 2.
Figure 2 - Structure for sector-specific standards - part 2 highlighted
NOTE 3   It is important that the selection of a private security service provider always represents the best balance between quality and price. This document sets out the minimum requirements that providers can comply with in order for this balance to be struck.
It specifies service requirements for quality in organization, processes, personnel and management of a security service provider and/or its independent branches and establishments under commercial law and trade as a provider with regard to airport and aviation security services.
It lays down quality criteria for the delivery of airport and aviation security services requested by public and private clients. This document is suitable for the selection, attribution, awarding and reviewing of the most suitable provider of airport and aviation security services [1].

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IEC 60811-501:2012 gives the procedure for determining the mechanical properties, which typically applies to cross-linked and thermoplastic compounds used for insulating and sheathing materials. IEC 60811-501:2012 cancels and replaces Clause 9 of IEC 60811-1-1:1993, which is withdrawn. Full details of the replacements are shown in Annex A of IEC 60811-100:2012. There is one significant technical change with respect to the previous edition: the requirements for the (minimum) thickness of dumb-bell test pieces have changed. See also the Foreword to IEC 60811-100.
This publication is to be read in conjunction with IEC 60811-100:2012.

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  • Standard
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  • Standard
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  • Standard
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IEC 60811-503:2012 gives the test method for the shrinkage for sheaths. IEC 60811-503:2012 cancels and replaces Clause 11 of IEC 60811-1-3:1993, which is withdrawn. Full details of the replacements are shown in Annex A of IEC 60811-100:2012. There are no specific technical changes with respect to the previous edition, but see the Foreword to IEC 60811-100:2012.
This publication is to be read in conjunction with IEC 60811-100:2012.

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  • Standard
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  • Standard
    32 pages
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This document includes the sector specific requirements for the provision of private security services for maritime and port security that are additional to the requirements of EN 17483-1:2021.
NOTE 1   This document is the third part of a series of standards on the provision of private security services for critical infrastructure.
NOTE 2   See Figure 2.
Figure 2 - Structure for sector-specific standards - part 3 highlighted
NOTE 3   It is important that the selection of a private security service provider always represent the best balance between quality and price. This document sets out the minimum requirements that providers should comply with in order for this balance to be struck.
It specifies service requirements for quality in organization, processes, personnel and management of a security service provider and/or its independent branches and establishments under commercial law and trade as a provider with regard to maritime and port security services.
It lays down quality criteria for the delivery of maritime and port security services requested by public and private clients. This document is suitable for the selection, attribution, awarding and reviewing of the most suitable provider of maritime and port security services.

  • Standard
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This document includes the sector specific requirements for the provision of private security services for airport and civil aviation security that are additional to the requirements of EN 17483-1:2021.
NOTE   It is important that the selection of a private security service provider always represent the best balance between quality and price. This document sets out the minimum requirements that providers should comply with in order for this balance to be struck.
It specifies service requirements for quality in organization, processes, personnel and management of a security service provider and/or its independent branches and establishments under commercial law and trade as a provider with regard to airport and aviation security services.
It lays down quality criteria for the delivery of airport and aviation security services requested by public and private clients. This document is suitable for the selection, attribution, awarding and reviewing of the most suitable provider of airport and aviation security services [1].

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This document specifies requirements for high security locks (HSL) for reliability, resistance to burglary and manipulation with methods of testing. It also provides a scheme for classifying HSL in accordance with their assessed resistance to burglary and unauthorized opening.
It is applicable to mechanical and electronic HSL. For electronic locks used in a distributed system, see EN 17646 for further information.
The following features can be included as optional subjects but they are not mandatory:
a)   recognized code for preventing code altering and/or enabling/disabling parallel codes;
b)   recognized code for disabling time set up;
c)   integration of alarm components or functions;
d)   resistance to attacks with acids;
e)   resistance to X-rays;
f)   resistance to explosives;
g)   time functions.

  • Standard
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This document provides recommendations and requirements for the procedures, processes and performance monitoring to be implemented for the management and control of the physical destruction of confidential and sensitive material to ensure that such material is disposed of securely and safely.
This document can be referenced by anyone who processes such material on behalf of others and covers the following scenarios:
-   on site - using mobile equipment at the location of use (destruction equipment is brought to the confidential or sensitive material);
-   off site - transport followed by destruction using equipment at a destruction facility (the confidential or sensitive material is brought to the destruction equipment, such as used at a dedicated external facility operated by a service provider);
-   use of equipment at the Data Controller’s location (confidential or sensitive material and destruction equipment co-located, such as a shredder in a building occupied by a client or clients).
Destruction by erasure (e.g. crypto erasure, data overwriting, degaussing or other forms of magnetic/electronic erasure) is not covered in this document.

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This document gives guidance on developing and maintaining security plans. The security plan describes how an organization establishes effective security planning and how it can integrate security within organizational risk management practices. This document is applicable to all organizations regardless of type, size and nature, whether in the private, public or not-for-profit sectors, that wish to develop effective security plans in a consistent manner. This document is applicable to any organization intending to implement measures designed to protect their assets against malicious acts and mitigate their associated risks. This document does not provide specific criteria for identifying the need to implement or enhance prevention and protection measures against malicious acts. It does not apply to services and operations delivered by private security companies.

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This Technical Specification gives guidelines on methods for assessing and mitigating the risk of crime and/ or fear of crime/feelings of insecurity and measures, procedures and processes aimed at reducing these risks. Nowadays crime also includes terrorism (e.g. ram raiding attacks on soft targets in public places) and other new types of crimes (or modus operandi). Also new assessment methods are available (Intelligence-led Approaches, Predictive Policing) and last but not least new approaches to design are
available (Design Thinking, Systems Engineering Approaches, etc.).
Using social science methods and innovation tools from the design and planning world this Technical Specification will be based on innovating practical, evidence-based tools that meet end-user needs of designers, planners, maintenance people but also police, law enforcement and the security industry in their operational contexts.
Design guidelines are given for specific types of environments to prevent or counteract different crime problems consistently with the building design, urban planning and city maintenance documents. Furthermore, guidelines for a step by step process are presented to involve all stakeholders engaged in urban planning and environmental crime reduction as well as all other stakeholders mainly local and regional authorities and residents in the multi-agency action needed to minimize the risks of crime
and fear of crime. Reference will be made to the quickly changing and worldwide spreading approach of Crime Prevention through Environmental Design (CPTED).
This Technical Specification provides principles and processes for building design, urban planning and city maintenance. This guidance can be applied for buildings, for a neighborhood or environment ranging from just a few houses or streets to the whole city with a focus on public spaces.

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This document establishes a framework for identification and authentication systems. It provides recommendations and best practice that include: — management and verification of identifiers; — physical representation of identifiers; — participants’ due diligence; — vetting of all participants within the system; — relationship between the unique identifier (UID) and possible authentication elements related to it; — questions that deal with the identification of the inspector and any authorized access to privileged information about the object; — inspector access history (logs). The model described in this document is intended to determine the common functions of different systems. This document describes processes, functions and functional units of a generic model. It does not specify any specific technical solutions. Object identification systems can incorporate other functions and features such as supply chain traceability, quality traceability, marketing activities and others, but these aspects are out of scope of this document. NOTE This document does not refer to industry-specific requirements such as GS1 Global Trade Item Number (GTIN).

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This document establishes general principles and specifies the framework for a process of Crime Prevention Through Environmental Design (CPTED).
It specifies the assessment of risk of crime problems (crime and/or feelings of insecurity) and the framework, process, measures and procedures aimed at reducing these risks in a specific new to build or existing environment. The crimes covered by this document are often of an opportunistic nature and are crimes against property (e.g. burglary, theft, vandalism, pickpocketing, arson), violent crimes (e.g. assaults, robbery, terrorism, harassment, sexual violence) as well as other criminal behaviour (see Annex A). The exact choice of which types of crime will be included in an approach has to be taken locally and is part of the processes and procedures described in this document. Annex A gives an overview of all foreseeable types of crime in all European languages. Feelings of insecurity are also defined as a ‘crime problem’ in this document.
This document provides guidelines and strategies for a CPTED-process in specific types of environments to prevent or reduce the risks of potential or identified crime problems. Guidelines for a step-by-step process are given to involve all stakeholders engaged in urban planning and environmental crime reduction. It also allows for all other stakeholders to be engaged – mainly local and regional authorities and residents/businesses/institutes – in the multi-disciplinary action needed to minimize the risks of crime problems (crime and feelings of insecurity).
This document introduces a process that is applicable to the planning process of new, as well as existing, urban areas. Such an area can be the neighbourhood or environment ranging from just one building to a few buildings or streets to a whole district. This document also introduces a higher-level framework that is often city wide – or regional or sometimes even national – and democratically legitimised for regular implementing CPTED in specific areas and for specific (new/existing) urban planning, design and management projects.
This document provides all relevant actors with guidelines aimed at reducing or managing the risk of crime problems in a specific defined environment.

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This document specifies minimum requirements for the security of sites and facilities that handle cannabis and cannabis products for the purposes of cultivation (indoor and outdoor), processing, storage/distribution, transportation, retail sales, and research and testing, in order to prevent harm and/or unauthorized access to assets including (but not limited to): — physical assets; — personnel; — cannabis and cannabis products; — records and information. NOTE Premises covered in this document include indoor and outdoor cultivation, processing/production facilities and retail stores. The overall security programme and individual security measures addressed in this document incorporate three types: a) physical controls; b) technical controls; c) administrative controls. This document specifies minimum requirements for general security of cannabis and cannabis products, up to and including: — physical security design/measures intended to deny, deter, delay, respond to, and recover from unauthorized access; — design, installation and maintenance of electronic security systems intended to restrict access, detect intrusion and visually monitor/record activity in security-sensitive areas; — procedural security measures intended to instruct day-to-day security activities, both routine and emergency, across an organization; — personnel security measures intended to ensure all personnel attending the facility are properly screened, instructed and trained in security awareness; — the monitoring of the security status of cannabis and cannabis products throughout the product lifecycle, from cultivation to retail sale, including transportation. This document provides guidelines for: — the installation, maintenance and inspection of physical and electronic premises security and cybersecurity systems; — the implementation of information security governance at organizational level to include policies, procedures, and standards to protect the confidentiality, integrity and availability of records and information. All requirements in this document are generic and intended to be applicable to all organizations in the cannabis supply chain, regardless of size and/or complexity.

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This document specifies requirements and test methods for power operated pedestrian entrance control equipment such as turnstiles, swing lanes and retractable lanes. Such products can be operated electro-mechanically or electro-hydraulically. They are usually used in order to allow authorized persons to switch from one zone to another zone one at the time.
This document covers safety in use of power operated pedestrian entrance control equipment used for normal access as well as in escape routes and emergency exits.
This document deals with all significant hazards, hazardous situations and events relevant to power operated pedestrian entrance control equipment when they are used as intended and under conditions of misuse which are reasonably foreseeable as identified in Clause 4.
All lifetime phases of the machinery including transportation, assembly, dismantling, disabling and scrapping are considered by this document.
This document does not apply to:
-   power operated pedestrian doors according to EN 16005 and EN 16361;
-   external and internal pedestrian doors according to EN 14351 1 and EN 14351 2;
-   mechanical turnstiles with electric/electronic unlocking system;
-   vertically moving power operated pedestrian entrance control equipment;
-   power operated pedestrian entrance control equipment used in industrial processes;
-   power operated pedestrian entrance control equipment for people with special needs;
-   platform doors for subway and railway.
This document does not deal with any specific requirements on noise emitted by a power operated pedestrian entrance control equipment as their noise emission is not considered to be a relevant hazard.
This document is not applicable to power operated pedestrian entrance control equipment manufactured before the date of publication of the standard.
In general, this document does not take into account:
-   children playing with the equipment;
-   the use of the equipment by children younger than 8 years without supervision.
The level of requirements of very vulnerable people may extend beyond the level addressed in this document.
NOTE   Vulnerable people are persons having reduced physical, sensory or mental capabilities (e.g. partially disabled, elderly having some reduction in their physical and mental capabilities), or lack of experience and knowledge (e.g. children between 8 years and 14 years). Power operated pedestrian entrance control equipment are according to their function and purpose not designed to serve the needs of vulnerable people. Where accessible entrance control equipment is required, the needs of vulnerable people will be taken into account already at the design stage as indicated in prEN 17210:2019 "Accessibility and usability of the built environment – Functional requirements.

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This document applies to providers and customers of security services.

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This European Standard specifies requirements and testing procedures for high security locks used in distributed systems, which are mainly used in secure storage units. A distributed system, as per the definition of this European Standard, is a system with components connected by a transmission system, wired or wireless. Also, a token represents a distributed system as of a transmission distance of 15 cm or more.
The present standard responded to the state of the art requirements for distributed systems when it was written down.
However it is mandatory that the standard has to be revised with a relatively high frequency of 3 years or less, as the research in the area of cryptography and relevant attacks evolve with high speed as well as the referenced standards. As the general regulations of EN 1300 don’t require such a high frequency of updating, it is recommended to separate the standards.

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This document gives requirements in order to ensure the safety of persons when using lifts which are subject to different expected levels of vandalism:
-   Category 1, where lifts are in general public, in locations which are unobserved and limited acts of vandalism might occur, e.g. an enclosed lift in a shopping center;
-   Category 2, where lifts are in general public, in locations which are unobserved where stronger acts of vandalism can be expected e.g. a lift in a public car park.
NOTE   See Annex A for further information with regard to the selection of the vandal resistance category to be applied.
This document is not applicable to lifts installed before the date of its publication.

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This document contains general principles, recommendations, and best practices for architects, police, city administrations, teachers and trainers.
It applies for schools as a building or collection of buildings located on one or more sites and used for the purposes of full and part time education of pupils between the ages of 2 and 19 and other community uses .The scope of this document does not extend to universities or other tertiary colleges.
This document provides assistance for the risk analysis, design guidance and specification requirements for reducing the risks for crime against people and property in all schools and school grounds such as; burglary, criminal damage, theft, arson, vehicle crime and assault.
The same advice is also intended to reduce the fear of crime and the incidence of anti-social behavior.
Consideration is given to both environmental design and physical security.

  • Technical specification
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This document is applicable to Distributed Systems (DS), i.e. high security locks with components which have a wired or wireless connection via a transmission system in order to execute fixed operating conditions using different individually fixed access possibilities.
Products which are to be tested on the basis of this document comply with the generally recognized state of the art at the time of testing. Due to the short innovation cycles in the field of electronic and, in particular, information technology applications, the technical possibilities available at the time of product development should also be taken into account during implementation.
Distributed systems can be used, for example, to operate high security locks of secure storage units (safes and strongrooms).
High security locks (HSL) are used in DS as locking unit.
This document does not apply for stand-alone HSL, which are not part of a distributed system. For these stand-alone HSL EN 1300 is applicable only.
The document will be revised with a frequency of 3 years as the research in the area of cryptography and relevant attacks evolve with high speed as well as the referenced standards.

  • Standard
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This document gives guidance and recommendations for reducing the crime risk and antisocial behaviour against people and property in schools through planning and design stage by preventative risk management.
This document is usable for public and private schools and educational institutions. This document can be used particularly but not exclusively for the security risks. Proposal and implementation of crime prevention measures work with risk management. It is essential to consider changing social and cultural unwished behaviours in school and educational premises with preventive risk management.
This document is not addressed to universities. However, it can be used as methodology for crime prevention and risk management as well as to ensure the level of physical protection in universities as well.

  • Technical specification
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This European Standard specifies requirements and test methods for power operated external and internal pedestrian entrance control equipment such as turnstiles, swing lanes and retractable lanes. Such products may be operated electro-mechanically or electro-hydraulically. They are usually used in order to allow authorized persons to switch from one zone to another zone one at the time.
This European Standard covers safety in use of power operated pedestrian entrance control equipment used for normal access as well as in escape routes.
This European Standard deals with all significant hazards, hazardous situations and events relevant to power operated pedestrian entrance control equipment when they are used as intended and under conditions of misuse which are reasonably foreseeable as identified in Clause 4.
All lifetime phases of the machinery including transportation, assembly, dismantling, disabling and scrapping are considered by this standard.
This European Standard does not apply to:
-   power operated pedestrian doors according to EN 16005
-   external and internal pedestrian doors according to EN 14351-1 and FprEN 14351-2
-   mechanical turnstiles with electric/electronic unlocking system
-   vertically moving power operated pedestrian entrance control equipment;
-   power operated pedestrian entrance control equipment used in industrial processes;
-   power operated pedestrian entrance control equipment for people with special needs;
-   platform doors for subway and railway.
This European Standard does not deal with any specific requirements on noise emitted by a power operated pedestrian entrance control equipment as their noise emission is not considered to be a relevant hazard.
This European Standard is not applicable to power operated pedestrian entrance control equipment manufactured before the date of publication of the standard.
In general, this standard does not take into account:
-   children playing with the equipment;
-   the use of the equipment by children younger than 8 years without supervision;
It is recognized that very vulnerable people may have needs beyond the level addressed in this standard.
Note: vulnerable people are persons having reduced physical, sensory or mental capabilities (e.g. partially disabled, elderly having some reduction in their physical and mental capabilities), or lack of experience and knowledge (e.g. children between 8 years and 14 years).
When the term “power operated pedestrian entrance control equipment” is used throughout the document it identifies all the possible type and variation of the products covered by the scope of this European standard.

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This standard applies to providers of security services.

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This document is for microwave detectors installed in buildings and provides for security grades 1 to 4 (see EN 50131-1), specific or non-specific wired or wire-free detectors, and uses environmental classes I to IV (see EN 50130-5). This document does not include requirements for detectors intended for use outdoors.
The purpose of the detector is to emit microwave signals and analyse the signals that are returned to detect an intruder and to provide the necessary range of signals or messages to be used by the rest of the intrusion alarm system.
The grade-dependent requirements of this document apply and it is essential that a detector fulfils all the requirements of the specified grade.
Functions additional to the mandatory functions specified in this document can be included in the detector, providing they do not influence the correct operation of the mandatory functions.
Requirements for system interconnections are not included in this document.

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This document is for passive infrared detectors installed in buildings and provides for security grades 1 to 4 (see EN 50131 1), specific or non-specific wired or wire-free detectors, and uses environmental classes I to IV (see EN 50130 5). This document does not include requirements for detectors intended for use outdoors.
The purpose of the detector is to detect the broad spectrum infrared radiation emitted by an intruder, to analyse the resulting signals and to provide the necessary range of signals or messages to be used by the rest of the intrusion alarm system.
The grade-dependent requirements of this document apply and it is essential that a detector fulfils all the requirements of the specified grade.
Functions additional to the mandatory functions specified in this document can be included in the detector, providing they do not influence the correct operation of the mandatory functions.
Requirements for system interconnections are not included in this document.

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This document includes the main overarching requirements for the provision of private security services for critical infrastructure.
NOTE 1   This document is the first part of a series of standards on the provision of private security services for critical infrastructure. It will be complemented by other sector specific parts, which give more detailed requirements for related services such as aviation, maritime and port security.
NOTE 2   Examples of critical infrastructure sectors are given in Annex A.
NOTE 3   See Figure 1.
NOTE 4   It is important that the selection of a private security service provider always represents the best balance between quality and price. This document sets out the minimum requirements that providers should comply with in order for this balance to be struck.
It specifies service requirements for quality in the organization, processes, personnel and management of a security service provider and/or its independent branches and establishments under commercial law and trade as a provider of security services.
It lays down quality criteria for the delivery of security services requested by public and private clients.
This document is suitable for the selection, attribution, awarding and reviewing of the most suitable provider of security services.

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This document specifies a test method for the determination of resistance to dynamic loading in order to assess the burglar resistant properties of pedestrian doorsets, windows, curtain walling, grilles and shutters. It is applicable to the following opening functions: turning, tilting, folding, turn-tilting, top or bottom hung, sliding (horizontally and vertically), projecting, pivoted (horizontally and vertically) and rolling as well as non-openable constructions.
It is acknowledged that there are two aspects to the burglar resistance performance of construction products, their normal resistance to forced operation and their ability to remain fixed to the building. This test method does not evaluate the performance of the fixing to the building.
The manufacturer's installation instructions will give guidance on the fixing of the product.
An example for the contents of the manufacturer's installation instructions is given in EN 1627:2021, Annex A.
This document does not apply to walls and roofs, as well as for doors, gates and barriers, intended for installation in areas in the reach of persons, and for which the main intended uses are giving safe access for goods and vehicles accompanied or driven by persons in industrial, commercial or residential premises, as covered by EN 13241:2003+A2:2016.
NOTE It is important that construction products that can be reached or driven through by vehicles are protected by appropriate measures such as barriers, extensible ramps, etc.

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This document specifies a test method for the determination of resistance to static loading in order to assess the burglar resistant properties of pedestrian doorsets, windows, curtain walling, grilles and shutters. It is applicable to the following opening functions: Turning, tilting, folding, turn-tilting, top or bottom hung, sliding (horizontally and vertically), pivoted (horizontally and vertically), projecting, and rolling as well as non-openable constructions.
It is acknowledged that there are two aspects to the burglar resistance performance of construction products, their normal resistance to forced operation and their ability to remain fixed to the building. This test method does not evaluate the performance of the fixing to the building.
The manufacturer's installation instructions will give guidance on the fixing of the product.
An example for the contents of the manufacturer’s installation instructions is given in EN 1627:2021, Annex A.
This document does not apply to walls and roofs, as well as for doors, gates and barriers, intended for installation in areas in the reach of persons, and for which the main intended uses are giving safe access for goods and vehicles accompanied or driven by persons in industrial, commercial or residential premises, as covered by EN 13241:2003+A2:2016.
NOTE It is important that construction products that can be reached or driven through by vehicles are protected by appropriate measures such as barriers, extensible ramps, etc.

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This document specifies requirements and classification systems for burglar resistant characteristics of pedestrian doorsets, windows, curtain walling, grilles and shutters. It is applicable to the following opening functions: Turning, tilting, folding, turn-tilting, top or bottom hung, sliding (horizontally and vertically), pivoted (horizontally and vertically), projecting and rolling as well as non-openable constructions. It also covers products that include items such as letter plates or ventilation grilles. It specifies requirements for the burglar resistance of a construction product (as defined in 3.1 of this document).
NOTE 1 The elements of curtain walling will be assigned to group 1 to 4 product depending on their design.
This document does not directly cover the resistance of locks and cylinders to attack with picking tools. Building hardware are components of the above mentioned products and cannot be classified as such according to this document.
This document does not apply to walls and roofs, as well as for doors, gates and barriers, intended for installation in areas in the reach of persons, and for which the main intended uses are giving safe access for goods and vehicles accompanied or driven by persons in industrial, commercial or residential premises, as covered by EN 13241:2003+A2:2016.
NOTE 2 It is important that construction products that can be reached or driven through by vehicles are protected by appropriate measures such as barriers, extensible ramps, etc.
The requirements to an electronic security system (e.g. access control system) to control electromechanical locks and strikes according to EN 14846:2008 are not in the scope of this document.
NOTE 3 Locks and striking plates according to EN 14846:2008 needs an access control system for authorized and secure access (comparable to a lock cylinder). The transmission of the signal between the lock and the access control system (e.g. wiring) needs also consideration. (The signal is transmitted in encrypted form or is not accessible during the manual attack attempt.) Upcoming revisions of this document might include such a reference.

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This document specifies a test method for the determination of resistance to manual burglary attempts in order to assess the burglar resistant characteristics of pedestrian doorsets, windows, curtain walling, grilles and shutters. It is applicable to the following opening functions: turning, tilting, folding, turn-tilting, top or bottom hung, sliding (horizontally and vertically), pivoted (horizontally and vertically), projecting, and rolling as well as non-openable constructions.
This document does not directly cover the resistance of locks and cylinders to attack with picking tools. It also does not cover the attack of electric, electronic and electromagnetic operated burglar resistant construction products using surreptitious attack methods that might defeat these characteristics.
It is acknowledged that there are two aspects to the burglar resistance performance of construction products, their normal resistance to forced operation and their ability to remain fixed to the building. This test method does not evaluate the performance of the fixing to the building.
The manufacturer's installation instructions will give guidance on the fixing of the product.
An example for the contents of the manufacturer’s installation instructions is given in EN 1627:2021, Annex A.
This document does not apply to walls and roofs, as well as for doors, gates and barriers, intended for installation in areas in the reach of persons, and for which the main intended uses are giving safe access for goods and vehicles accompanied or driven by persons in industrial, commercial or residential premises, as covered by EN 13241:2003+A2:2016.
NOTE It is important that construction products that can be reached or driven through by vehicles are protected by appropriate measures such as barriers, extensible ramps, etc.

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This document is for passive infrared detectors installed in buildings and provides for security grades 1 to 4 (see EN 50131 1), specific or non-specific wired or wire-free detectors, and uses environmental classes I to IV (see EN 50130 5). This document does not include requirements for detectors intended for use outdoors. The purpose of the detector is to detect the broad spectrum infrared radiation emitted by an intruder, to analyse the resulting signals and to provide the necessary range of signals or messages to be used by the rest of the intrusion alarm system. The grade-dependent requirements of this document apply and it is essential that a detector fulfils all the requirements of the specified grade. Functions additional to the mandatory functions specified in this document can be included in the detector, providing they do not influence the correct operation of the mandatory functions. Requirements for system interconnections are not included in this document.

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This document defines the performance requirements of installed monitors used for the detection and identification of gamma emitters and the detection of neutron radiation emitters. These monitors are commonly known as spectrometric radiation portal monitors or SRPMs. They are used to monitor vehicles, cargo containers, people, or packages and are typically used at national and international border crossings and ports of entry. SRPMs may be used at any location where there is a need for this type of monitoring.

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This document applies to vehicle-mounted mobile systems (also known as mobile systems or mobile monitors) that are used for the detection of illicit trafficking of radioactive materials; these instruments may also be used for protection of major public events and for rapid screening of large areas. These vehicle-mounted mobile systems consist of one or more radiation detectors mounted in a vehicle, e.g., car or van, which travels predominantly on public roads.

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This document is the overarching standard for the provision of private security services for critical infrastructure. It is complemented by vertical substandards for specific sectors with more detailed focus on the related services such as e.g. aviation security and maritime/port security.
It specifies service requirements for quality in organization, processes, personnel and management of a security service provider and/or its independent branches and establishments under commercial law and trade as a provider with regard to security services.
It lays down quality criteria for the delivery of security services requested by public and private clients.
This document is suitable for the selection, attribution, awarding and reviewing of the most suitable provider of security services.

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This European Standard specifies the requirements, performance criteria and testing procedures for PS to be used as part of Intrusion and Hold up Alarm Systems. The PS will either be an integral part of an I&HAS component or stand-alone. The control functions of the PS may be incorporated as part of the PS device, or may be provided by another I&HAS component, e.g. a CIE.
This European Standard is not applicable when the PS requirements for I&HAS components are included within the relevant product standard.
The requirements correspond to each of the four security grades given in the European Standard EN 50131 1, Alarm Systems – Intrusion and Hold-Up Systems - Part 1: System requirements. Requirements are also given for four environmental classes covering applications in indoor and outdoor locations.
This standard covers:
a)   mandatory functions which will be provided on all PS; and
b)   optional functions which may be provided.
This European Standard does not deal with requirements for compliance with EC regulatory Directives, such as the EMC Directive, Low Voltage Directive, etc. except that it specifies the equipment operating conditions and reduced functional test for EMC susceptibility testing as required by EN 50130 4.
Other functions associated with I&HAS not specified in this standard may be provided. Such functions will not affect the requirements of any mandatory or optional functions.

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