Latest Standards, Engineering Specifications, Manuals and Technical Publications

Collection of latest documents from ISO, IEC, CEN, CENELEC, ETSI, and SIST.

This document specifies requirements for 8-strand braided ropes, for 12-strand braided ropes, and for covered rope constructions (single braid, double braid and multi-core construction) for general purpose made of high modulus polyethylene (HMPE), and gives rules for their designation. Many different types and grades of HMPE fibre exist which are commonly used to produce rope products. This document does not apply to all variations in strength or product performance.

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This document specifies requirements and test methods for measuring the accuracy of electronic apex locators that are used to determine the apex location during endodontic treatment.

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This document specifies data link independent requirements of diagnostic communication services. These allow a diagnostic tester (client) to control diagnostic functions in an in-vehicle electronic control unit (ECU, server) such as an electronic fuel injection, automatic gearbox, anti-lock braking system, etc. connected to a serial data link embedded in a road vehicle. This document specifies diagnostic communication services, which allow the diagnostic tester (client) to stop or to resume non-diagnostic message transmission, to read vehicle identification data and real-time sensor data, read and clear diagnostic information, control actuators, start/stop routines, and many more functions to assist in diagnosing the vehicle's electronic systems. This document does not apply to non-diagnostic message transmission on the vehicle's communication data link between two electronic control units. This document does not restrict an in-vehicle on-board tester (client) implementation in an ECU/server in order to utilize the diagnostic communication services on the vehicle's communication data link to perform bidirectional diagnostic data exchange. This document does not specify any implementation requirements.

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This document outlines key factors affecting machine learning model training efficiency and presents corresponding optimization approaches. It provides guidance for AI providers and producers through a structured set of characteristics and related optimizations to improve training efficiency. This information can support the evaluation and comparison of various ML training strategies. This document does not specify any training accelerating mechanisms provided and implemented within machine learning computing device described in ISO/IEC TR 17903.

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This document specifies a system for aquaculture effluent reduction and discharge management. It includes principles, methods and guidance. This document is applicable to closed and semi-closed aquaculture systems in seawater and freshwater, aiming at reducing effluents and managing discharge and their impacts on receiving environments. This document does not apply to open aquaculture.

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This document specifies characteristics to be measured and applicable measurement methods of nanoporous silica microparticles in powder form used as stationary phases in liquid chromatography. This document does not cover materials with surface treatments after manufacturing, and characteristics specific for health, the environment and safety issues. NOTE 1 Silica and hybrid silica are both covered.

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This document gives guidance for leaders operating in collaborative arrangements in alignment with the structure of ISO 44001.

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This document specifies requirements and recommendations for strategic transition planning by financial institutions, designed to protect and enhance value by supporting institutions’ response and contribution to a global net zero and climate-resilient economy. The requirements and recommendations are designed to enable financial institutions to develop and maintain transition planning objectives and targets that advance the temperature and resilience goals of the Paris Agreement[23], and establish robust policies and processes to integrate these into their financial activities. This document is applicable to any financial institution, regardless of size, type and geographic location, with a particular focus on banking, insurance and investment institutions. Its provisions are applied in the context of the institution’s particular business model. NOTE 1 Some considerations specific to particular institution types are included in guidance notes. Additional guidance on product attributes specific to different types of financial institution can be found in Annex A. This document is applicable to all financial activities (including lending, insurance, asset owner investing, asset manager investing and capital market activities) that the institution determines it can either control or influence, using a life cycle perspective (e.g. those described in 7.2.2). It can also be applicable to relevant financial activities within real economy institutions and emerging financial institution types, many of which leverage digital technologies and can be subject to different or bespoke regulatory frameworks (e.g. decentralized finance (DeFi) platforms). NOTE 2 This document is intended for global application, recognizing that some financial institutions, including those in some emerging market and developing economies (EMDEs), can face constraints in the local enabling regulatory environment and data availability. It therefore seeks to ensure flexibility and proportionality in application, as appropriate. NOTE 3 Documents on asset management developed by ISO/TC 251, including ISO 55000[18], ISO 55001[19] and detailed guidance in ISO 55002[20], can be useful for financial institution asset management activity, particularly as it relates to alignment of asset management with business objectives (e.g. those related to transition planning).

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This document provides requirements and guidance for the planning, development, implementation and evaluation of smart multigenerational neighbourhoods. It establishes a framework for neighbourhoods to deploy enabling systems that actively support, adapt to and care for people of different ages and abilities as their needs change across the life course, enhancing wellbeing and addressing long-term pressures related to ageing, health, care and community resilience. This document applies to both new developments and the enhancement, regeneration and retrofitting of existing neighbourhoods and real estate. It is intended for use by public authorities, investors, planners, developers, designers, service and technology providers, systems integrators, and community and civic organisations involved in neighbourhood planning, delivery and long-term stewardship.

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IEC PAS 63693:2026 provides the common elements for basic time-critical messaging communications between devices in an automation environment and user programs with a means to access the fieldbus communication environment.
The term “time-critical” is used to represent the presence of a time-window, within which one or more specified actions are required to be completed with some defined level of certainty. Failure to complete specified actions within the time window risks failure of the applications requesting the actions, with attendant risk to equipment, plant and possibly human life.
This document defines in an abstract way:
a) The externally visible services provided by the WiTSnet in terms of:
1) an abstract model for defining application resources (objects) capable of being manipulated by users via the use of the FAL services;
2) the primitive actions and events of the services;
3) the parameters associated with each primitive action and event, and the form which they take;
4) the interrelationship between these actions and events, and their valid sequences.
b) The externally visible behavior provided by the WiTSnet in terms of:
1) the abstract syntax defining the data-link layer and application layer protocol data units conveyed between communicating data-link and application entities;
2) the transfer syntax defining encoding rules that are applied to the data-link layer and the application layer protocol data units;
3) the data-link and the application context state machines defining the data-link and the application service behaviors visible between communicating data-link and application entities; and
4) the data-link and the application relationship state machines defining the data-link and the application service behaviors visible between communicating data-link and application entities.
The purpose of this document is to define the services provided to:
c) the WiTSnet fieldbus application layer at the boundary between the application and data-link layers of the Fieldbus Reference Model;
d) systems management at the boundary between the data-link layer and systems management of the Fieldbus Reference Model;
e) the FAL user at the boundary between the user and the application layer of the Fieldbus Reference Model, and
f) systems management at the boundary between the application layer and systems management of the Fieldbus Reference Model.
The purpose of this document is to define the protocol provided to:
g) define the wire-representation of the service primitives defined in clause 7; and
h) define the externally visible behavior associated with their transfer.

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IEC 60034-8:2026 applies to AC and DC machines and specifies:
a) rules for the identification of winding connection points;
b) marking of winding terminals;
c) direction of rotation;
d) relationship between terminal markings and direction of rotation;
e) terminal marking of auxiliary devices;
f) connection diagrams of machines for common applications.
This fourth edition cancels and replaces the third edition published in 2007 and Amendment 1:2014. This edition constitutes a technical revision. This edition includes the following significant technical changes with respect to the previous edition:
a) The inclusion of turbine-type synchronous machines in the scope.

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IEC TR 63439-1-2:2026 specifies a comprehensive study of the robotic technologies in power systems, including generation, transmission, and distribution. The primary objectives are:
a) System overview and classification
Analyze current robotic applications across all power system segments (generation, transmission, and distribution), developing a comprehensive classification framework that categorizes robots by operational scenarios (substations, power lines), functional roles (inspection, repair), and environmental conditions (high-voltage zones, confined spaces).
b) Core technology assessment
Evaluate fundamental robotic technologies encompassing mobility platforms (ground robots, drones, remotely operated vehicles (ROVs), navigation systems (GPS, LiDAR, vision-based), and communication networks (wired/wireless/hybrid); assess functional capabilities through multi-sensor inspection (visual, thermal, ultrasonic) and maintenance operations (live-line work, cleaning, debris removal), and examine integration aspects with power grid management systems including data protocols and cybersecurity requirements.
c) Testing and validation framework
Establish performance benchmarks for core robotic functions including autonomous navigation, inspection accuracy, and operational efficiency, while developing reliability testing methods that incorporate failure mode analysis (FMEA/FMECA) and environmental stress testing under extreme conditions.
d) Standardization roadmap
Conduct a gap analysis of current power robotics standards (including IEC/TC129) to identify deficiencies, while systematically mapping stakeholder requirements to prioritize standardization needs across hardware, software interfaces, and safety protocols; develop the roadmap with clear timelines for creating new standards, facilitating adoption, and ensuring compliance verification across the industry.

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IEC TR 61643-333:2026 presents the U-I/R-I characteristic equations and the life evaluation method for MOVs, which are used for applications up to 1 000 V AC or 1 500 V DC in power line, or telecommunication, or signalling circuits. They are designed to protect apparatus or personnel, or both, from high transient voltages.
This document specifically addresses the zinc-oxide type of MOVs.

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IEC 60086-1:2026 is intended to standardize primary batteries with respect to dimensions, nomenclature, terminal configurations, markings, test methods, typical performance, safety and environmental aspects. This document on one side specifies requirements for primary cells and batteries. On the other side, this document also specifies procedures of how requirements for these batteries are to be standardized. As a classification tool for primary batteries, this document specifies system letters, electrodes, electrolytes, and nominal as well as maximum open circuit voltage of electrochemical systems. The object of this part of IEC 60086 is to benefit primary battery users, device designers and battery manufacturers by ensuring that batteries from different manufacturers are interchangeable according to standard form, fit and function. Furthermore, to ensure compliance with the above, this document specifies standard test methods for testing primary cells and batteries. This document also contains requirements in Annex A of this document justifying the inclusion or the ongoing retention of batteries in the IEC 60086 series. This fourteenth edition cancels and replaces the thirteenth 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) In Clause 3, terms were reordered according to their functions: basic terms, electrochemical systems, battery shapes, electrical characteristics, specifications, failure modes;
b) New letter "T" was added in Table 1, Standardized electrochemical systems of 4.1.4 classification;
c) Maximum open circuit voltage of letter "F" was changed from 1,83 to 1,90 V;
d) Drawing of pulse tests with multiple load was moved from IEC 60086-2 to 5.2.2.2, Application tests with multiple loads;
e) Annex F, Guidance for proposing value of minimum average duration was modified;
f) Annex D of IEC 60086-2:2021, Common designation, has been transferred to Annex H of this document;
g) Table H.1, Common designation index, was modified to provide reference to IEC 60086 2 1 and IEC 60086-2-2 for each battery;
h) Annex I identifies the batteries of general use and the applicable tests to compare their performance, in support of Regulation (EU) 2023/1542 (Batteries Regulation).

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IEC 60086-2-2:2026 is applicable to primary batteries which are based on standardised lithium (non-aqueous) electrochemical systems.
It specifies:
- the physical dimensions,
- the discharge test conditions and discharge performance requirements.
This first edition cancels and replaces the fourteenth edition of IEC 60086-2 published in 2021. This edition constitutes a technical revision.
This edition includes the following significant technical changes with respect to the previous edition:
a) separation of batteries with aqueous electrolyte into a separate Part 2-1: Physical and electrical specifications;
b) maximum open circuit voltage of FR10G445 and FR14505 was changed from 1,83 to 1,90 V;
c) load of digital audio test for FR10G445 was changed from 50 mA to 75 mA and MAD was modified;
d) portable lighting test was added for FR10G445;
e) motor/toy and radio /clock /remote control test was added for FR14505;
f) in Clause 3, terms were reordered according their functions: electrochemical systems, electrochemical systems, electrical characteristics and specifications;
g) Annex D for common designation of IEC 60086 2:2021 was moved to IEC 60086 1:2026, as Annex H;
h) Annex E for Compliance checklist of IEC 60086 2:2021 was removed and merged into Annex J of IEC 60086 1:2026.

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IEC 63552:2026 applies to switching device for islanding, hereafter referred to as SDFI, for household and similar uses, primarily intended to be used for energy efficiency (EE) purposes with local production or local storage of energy, or with both.
SDFI are intended to be installed in low voltage prosumer electrical installations (PEI) able to operate in island mode as defined in IEC 60364-8-82, so called islandable PEI.
SDFI are used to disconnect the PEI from the grid to allow operating the PEI in island mode and further reconnect the PEI to the grid.

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IEC 60086-2-1:2026 is applicable to primary batteries which are based on standardised electrochemical systems using aqueous electrolytes.
It specifies:
- the physical dimensions,
- the discharge test conditions and discharge performance requirements.
IEC 60086-2-1: 2026 cancels and replaces the fourteenth edition of IEC 60086 2 published in 2021. This edition constitutes a technical revision.
This edition includes the following significant technical changes with respect to the previous edition:
a) separation of lithium batteries into IEC 60086-2-2: Physical and electrical specifications;
b) in Clause 3, terms were reordered according to their functions: electrochemical systems, electrical characteristics and specifications;
c) TR03 and TR6 were added in Category 1, Round batteries;
d) load of digital audio test for LR03, TR03 and R03 was changed from 50 mA to 75 mA and MAD was modified;
e) personal grooming test of LR6 was added instead of high drain application test;
f) high drain application test was added for TR6;
g) radio /clock /remote control test was added for R6S;
h) CD, digital audio, wireless gaming and accessories test was removed for LR6, R6P and R6S;
i) 4,5 V of common designation was added for 3LR12, 3R12P and 3R12S;
j) Annex D for common designation of IEC 60086 2:2021 was moved to IEC 60086 1:2026, as Annex H;
k) Annex E for Compliance checklist of IEC 60086 2:2021 was removed and merged into Annex J of IEC 60086 1:2026.

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This document provides requirements on identification and labelling of medicinal products from the point of manufacturing of packaged medicinal product to the point of dispensing the product.
This document outlines commonly accepted international practices for automatic identification and data capture (AIDC) barcoding solutions for applications and applies to manufacturers, distributors, healthcare facilities and all parties involved in labelling and distribution of packaged medicinal products. These users can, however, consider the coding interoperability requirements for other AIDC technologies, e.g. radio frequency identification (RFID); that technology is not addressed in this document except as for information.

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The CEN/TS 18212 series specifies a generic framework for the establishment of requirements and their evaluation methodology for biometric products. The requirements depend on the biometric mode considered, and are adapted to each scenario, through the definition of a variety of application profiles (APs).
This series of standards are expected to provide the evaluation methodology, the individual tests, and the APs (with their particular requirements).
This document specifies:
-   tests for evaluating the interoperability of all biometric input data (received or read);
-   test for evaluating the interoperability of all biometric output data (stored or transmitted);
-   test for evaluating the interoperability of all exchange of information between the TOE and external components or devices.
NOTE 1   Additional parts are provided covering the specifics of each biometric mode. For each of these modalities, application-independent tests are defined, as well as a set of APs, that detail the applicable tests, the evaluation parameters, and the passing criteria.
The Technical Specifications within this series can be taken by any certification body and/or sector, to define and evaluate the requirements for their biometric products within their selected applications.
NOTE 2   Regarding biometrics for public sector applications, see also BSI TR 03121 [2] which can apply.
NOTE 3   For an overview of sectors addressed in the Cybersecurity Act, see Regulation (EU) 2019/881.
NOTE 4   This part defines all potential tests that could be applicable when evaluating the interoperability of a biometric product. It will be the relevant AP, the one that will specify which of these tests are applicable.

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This Technical Specification (TS) series provide a generic framework for the establishment of requirements and their evaluation methodology for biometric products. The requirements depend on the biometric mode considered, and are adapted to each scenario, through the definition of a variety of application profiles (APs). In addition, this TS series provides the definition of the individual tests that can be applied to a biometric product.
This document specifies the context for the evaluation of biometric products within the context of the European Union, as well as the general requirements for such evaluation. This will be defined in a biometric mode-independent point of view, as well as not being biased by the particular application which is the target of the biometric product to be assessed.
This first part defines the following items:
-   biometric evaluation process;
-   biometric evaluation phases;
-   how to define each particular biometric test;
-   how to define the profiling for a particular application.
NOTE 1   Future parts of the CEN/TS series are planned to address the specifics of each biometric mode. For each of these modalities, this document specifies application-independent tests, as well as a set of APs, that detail the applicable tests, the evaluation parameters, and the passing criteria.
NOTE 2   Regarding biometrics for public sector applications, see also BSI TR 03121 [7] which can apply.
NOTE 3   For an overview of sectors addressed in the Cybersecurity Act, see Regulation (EU) 2019/881.

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This document defines and establishes a framework for access management (AM) and the secure management of the process to access information and information and communications technologies (ICT) resources, associated with the accountability of a subject within some contexts.
This document provides concepts, terms and definitions applicable to distributed access management techniques in network environments.
This document also provides explanations about related architecture, components and management functions.
The subjects involved in access management can be uniquely recognized to access information systems, as defined in the ISO/IEC 24760 series.
The nature and qualities of physical access control involved in access management systems are outside the scope of this document.

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This document describes the transaction information requirements of the transactions used in the collaborations described in EN 17016-1:2024. For each transaction are specified the transaction business requirements, the transaction information data model containing definitions of terms, usage descriptions and cardinality of the information elements and the transaction business rules.
This document describes the following transactions:
1)   Order;
2)   Order Change;
3)   Order Cancellation;
4)   Order Response Simple
5)   Order Confirmation;
6)   Order Rejection;
7)   Order Response;
8)   Order Change Confirmation;
9)   Order Change Rejection;
10)   Order Cancellation Confirmation;
11)   Order Cancellation Rejection;
12)   Order Agreement.
How to claim compliance to a transaction is specified in Clause 6.
How to claim conformance to a transaction is also specified in Clause 6.

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IEC 63058:2026 is to describe product classes and properties, representing the miniature circuit-breaker (MCB), to become a part of the IEC 61360-4: IEC Common Data Dictionary (IEC CDD). It includes data required for product selection as well as data required for engineering. This document intends, as a contribution to the IEC Common Data Dictionary, to be used by catalogue consortia, other database standards and software as a data reference for circuit‑breakers and similar equipment for household use.

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IEC 63369-1:2026 addresses general requirements and methodology, whereas intended IEC 63369-2 and intended IEC 63369-3 address applications of the methodology and default values of the CFF parameters by geographic area (see Annex B). This document provides a comprehensive methodology for the calculation of carbon footprint of industrial type Li-ion battery systems from cradle to grave. Second life and/or usage that was not intended when the battery was put on the market is not taken into account in this document. This document, along with the other parts of this series, does not apply to batteries for portable, SLI and electric road vehicle traction applications. The definition of the parameters used for the carbon footprint calculation allows for comparability of results for all rechargeable Li-ion chemistries. Classes of representative products are defined in this document to allow comparison inside each class. This methodology, based on the data provided by the battery manufacturer, is mainly intended to allow a carbon footprint assessment of several battery solutions over the Cumulated Requested Service (CRS). This assessment can be used in the selection process of the battery purchaser. The methodology can also be used for a variety of purposes such as battery system development, eco-design and participation in voluntary or mandatory programs. The methodology in this document is based exclusively on attributional life cycle assessment (LCA). The carbon footprint calculation of charging equipment and power conversion equipment not necessary for battery functions is not covered in this document.

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This part of the EN IEC 61360 specifies the new data dictionary (domain) “IEC 61360-7 - General items” including its generic concepts. The IEC 61360-7 data dictionary provides concepts (dictionary elements e.g. classes, properties) intended for cross-domain use.

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IEC 61753-022-02: 2026 defines the minimum initial test and measurement requirements and severities which multimode fibre optic connectors terminated as a pigtail or patchcord satisfy in order to be categorized as meeting the IEC standard category C (controlled environment), as defined in IEC 61753‑1. This first edition cancels and replaces the second edition of IEC 61753-022-2 published in 2012. This edition constitutes a technical revision. This edition includes the following significant technical changes with respect to the previous edition: a) addition of provisions for rectangular ferrule connectors; b) additions of terms and definitions; c) update of the fibre naming conventions in accordance with IEC 60793-2-10; d) update of test severities in accordance with IEC 61753‑1; e) addition of the torsion test; f) reduction of the duration of the fibre/cable retention test on reinforced cables from 120 s to 60 s minimum; g) deletion of the static side load test; h) update of the flexing of the strain relief test to use the change in attenuation instead of the transient loss; i) reduction of the number of mating durability cycles for cylindrical ferrule connectors from 500 cycles to 200 cycles; j) addition of the mating durability for rectangular ferrule connectors with 50 cycles; k) addition of Annex B for visual examination of the outer cable sheath movement of reinforced cables as an additional requirement for change of temperature, cable retention and flexing of the strain relief tests.

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IEC 61000-6-3:2026 is applicable only if no relevant dedicated product or product family EMC emission standard has been published. This part of IEC 61000 for emission requirements applies to electrical and electronic equipment intended for use at residential (see 3.1.21) locations. This part of IEC 61000 also applies to electrical and electronic equipment intended for use at other locations that do not fall within the scope of IEC 61000-6-8 or IEC 61000-6-4. The intention is that all equipment used in the residential, commercial and light-industrial locations are covered by IEC 61000-6-3 or IEC 61000-6-8. If there is any doubt the requirements in IEC 61000-6-3 apply. Equipment that has a radio function (3.1.20) are included in the scope of this document. However, the emission requirements in this document are not intended to be applicable to the intentional transmissions from these radio transmitters, their harmonics and their out of band emissions. Not all disturbance phenomena have been included for testing purposes but only those considered relevant for the equipment intended to operate within the locations included within this document. The objectives of this document are: - to establish requirements that provide an adequate level of protection of radio reception in the frequency range 9 kHz to 400 GHz; - to establish requirements that provide an adequate level of protection against conducted and radiated electromagnetic disturbances emitted by equipment in the scope of this document; - to support the reproducibility of measurement and the repeatability of results. NOTE 1 In special cases, situations will arise where the levels specified in this document will not offer adequate protection; for example, where a sensitive receiver is used in close proximity to an equipment. In these instances, special mitigation measures can be employed. NOTE 2 Disturbances generated in fault conditions of equipment are not covered by this document. NOTE 3 The requirements in this document are more stringent or equivalent to the requirements specified in IEC 61000-6-4 and IEC 61000-6-8. This fourth edition cancels and replaces the third edition published in 2020. This edition constitutes a technical revision. This edition includes the following significant technical changes with respect to the previous edition: a) the addition of magnetic field emission requirements, including the measurement of WPT function; b) the extension of low-voltage AC mains power requirements to cover the range 9 kHz to 150 kHz; c) products with a radio function have been added to the scope; d) limits in a FAR for rack mounted equipment have been added.

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IEC 61300-2-33:2026 evaluates the behaviour of a fibre optic mechanical splice, a fibre management system, a protective housing or a hardened connector after being subjected to a specified number of assembly and disassembly operations. The test procedures described in this document simulate conditions that the component can encounter during its service lifetime to check the following performance characteristics: - capability of an optical mechanical splice to be reinstalled after being disassembled; - capability to reintroduce fibre management systems and protective housings, accessing fibres and optical components and making reconfigurations without disturbing transmission in adjacent fibre circuits; - sealing performance of the protective housing after frequent opening and closing operations; - sealing performance of the hardened connector after frequent mating and demating operations. This fourth edition cancels and replaces the third edition published in 2012. This edition constitutes a technical revision. This edition includes the following significant technical changes with respect to the previous edition: a) update of the terms and definitions according to IEC 61753-1:2018 and IEC 61756‑1:2019; b) update of the test severities according to the new edition of IEC 61753-1:2018; c) addition of procedure D to verify the sealing performance after frequent mating and demating of a hardened connector.

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IEC TS 62001-2:2026 gives a guidance to the specification and design evaluation of AC filters of high-voltage direct current HVDC) systems, specifically on harmonic performance aspects. This document focusses on three specific areas of interest. Clause 4 discusses telephone interference related to the operation of HVDC transmission, including the derivation of appropriate harmonic limits. Clause 5 deals with all aspects of current-based harmonic performance criteria and their application. Clause 6 is concerned with field measurement and verification of compliance with specified harmonic limits.
This document concentrates on passive AC filter technology and line-commutated high-voltage direct current (HVDC) converters, but much of the content is equally relevant to VSC converter technology. Where there is a distinction, this is indicated in the text.
The scope of this document covers AC side filtering for the frequency range of interest in terms of harmonic distortion and audible frequency disturbances. It excludes filters specifically designed to be effective in the PLC and radio interference spectra.
This edition includes the following significant technical changes with respect to IEC TR 62001‑2:2016:
a) added Clause 3 on terms and definitions;
b) split old Clause 3 to form new Clause 4 and Clause 5;
c) extensive updating of text to reflect progress in time;
d) transferred most of IEC TR 62001‑3:2016, Annex C, to Clause 6.

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This document describes a standardized methodology and framework for the development and representation of an ontology that supports a global, open-source approach to implementing the ISO standards on the identification of medicinal products (IDMP) (ISO 11615, ISO/TS 20443, ISO/TS 20451, ISO 11238; ISO/TS 19844, ISO 11239, ISO/TS 20440, and ISO 11240). Realization of the full potential of IDMP requires fully self-describing data. For this purpose, this document describes a methodology and framework that complements the existing conceptual and logical models in the ISO documents on IDMP with an IDMP ontology that enables deep, semantic interoperability based on findable, accessible, interoperable and reusable (FAIR) data principles. This methodology and framework enhance the usage of the IDMP data model as the foundation of medicinal product identification and will ultimately enable collaboration towards drug safety and overall operational efficiency.
This document also describes a methodology for the agile adaptation of the ISO documents on IDMP in connection with cross-jurisdictional IDMP-related legislation and initiatives. This document is intended to be complementary to and independent from formal regulatory guidance. Thus, it enables cross-jurisdictional consistency and supports stakeholders in their regional implementations of IDMP standards. This document does not mandate any specific ontology as an implementation tool, nor is it an instructional guideline on how to build ontologies, which is out of scope of this document.
This document includes key use cases described in the ISO documents on IDMP ISO 11615, ISO 11238 and ISO/TS 19844, as well as further use cases arising from the comprehensive deployment of the ISO documents on IDMP via an ontological framework. Thus, an ontology that represents the IDMP standards aims to cover the complete collection of ISO standards on IDMP regarding key interoperability issues that implementing stakeholders are facing.

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This document specifies a normalized railway noise spectrum for the evaluation and assessment of the acoustic performance of devices designed to reduce airborne railway noise near railways.
All noise reducing devices different from noise barriers and related devices acting on airborne sound propagation, e.g. devices for attenuation of ground borne vibration and on board devices are outside of the scope of this document.

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This document specifies quality requirements for the chart, test procedure and acceptance level for near, far, and colour vision acuity of NDT personnel. Information for grey scale perception and low contrast can be found in the annexes. This document also specifies the qualification requirements for personnel permitted to carry out the test.
This document is only applicable to vision acuity under defined conditions similar to those encountered during routine NDT inspection. This document does not address an individual’s overall visual acuity and users are advised to consider the need for a general eye examination by specialist medical personnel to ensure general vision acuity.

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The contents of the corrigendum of March 2023 have been included in this copy.

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This document defines terms and specifies requirements and test methods for wood veneer floor coverings for internal use.
This document is not applicable to multilayer parquets according to EN 13489 with a top layer thickness  2,5 mm and to modular mechanical locked floor covering (MMF) panels with wear resistant top layer according EN 16511.

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This document specifies the security assurance requirements of the ISO/IEC 15408 series. It includes the individual assurance components from which the evaluation assurance levels and other packages contained in ISO/IEC 15408-5 are composed, and the criteria for evaluation of Protection Profiles (PPs), PP-Configurations, PP-Modules and Security Targets (STs).

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Shall be according to EN 15502-2-1:2022+A1:2023, Clause 1 with the following modifications:
Replace:
“This document covers gas-fired central heating boilers from the types C1 up to C(11) and the types B2, B3 and B5:”
By:
“This document covers gas-fired central heating boilers from the types C1, C3 up to C9 and the types B2, B3 and B5 :”
b) is replaced by:
b) that use combustible gases of gas group 4Y at the nominal pressure of 20 mbar;
Appliance category   Pn   Pmin   Pmax
4th family   20   17   25
k) is not applicable.
Add at the end of the list, after k), following:
l) which are fully premixed appliances equipped with a Pneumatic Gas/Air Ratio controller (PGAR) or an Adaptive Combustion Control Function (ACCF) that are intended to be connected to hydrogen gas grids where the quality of the distributed hydrogen gas is likely expected to stay within a Wobbe index range of 42 to 46 MJ/m3.
Replace in the list following
“This document does not cover all the requirements for:”
ab), ag), ah) and al) by:
ab) appliances that are intended to be connected to gas grids where the quality of the distributed hydrogen gas is likely to vary outside the Wobbe index range of 42 to 46 MJ/m3;
ag) C(10) boilers;
ah) C(11) boilers;
al) Partially premixed appliances equipped with an adaptive combustion control function (ACCF).
and add an) and ao);
an) The conversion from natural gas to hydrogen.
ao) The risk of aeration of the gas supply to the appliance.

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This document defines a standard for secure and efficient data exchange protocols and data formats to be used for the digital product passport. Data exchange protocols establish the rules and procedures that systems follow when communicating and exchanging information. Data formats define the structure and presentation of that information so it can be understood and processed correctly by the involved systems. Together, protocols and formats ensure that data can be exchanged in a manner that is secure, interoperable, reliable, and compatible across various platforms and sectors.
This will guarantee that data are human and machine-readable, structured, searchable, and transferable through an open, interoperable network without vendor lock-in.
a)   Secure communication:
This document defines protocols that ensure secure and authenticated data exchange between systems, ensuring that data are protected against unauthorised access and, when necessary, only authorized entities can access the information.
b)   Interoperability for data exchange:
The protocols and data formats defined in this document support easy integration with existing data exchange systems, ensure compatibility of protocols and formats across various sectors and supporting a wide range of applications and use cases.
c)   Ease of use and integration:
Ensure that the identified protocols and formats can be implemented easily, especially for mobile devices, and are user-friendly in order to facilitate widespread adoption.
d)   Data integrity:
The protocols and data formats defined in this document ensure the integrity of information linked to physical objects and electronic data throughout the entire value chain, extending to the product's or asset's end-of-life.
e)   Documentation and discoverability:
The protocols and formats are available to individuals without specialized knowledge, enabling broader adoption across sectors.
In order to promote interoperability, reduce costs for businesses, and align with existing European regulations and initiatives, this document considers the data exchange protocols and data formats already in use in other legislations. Relevant existing standards are integrated into the development process to ensure consistency and coherence with industry practices and regulatory frameworks.

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This document specifies safety requirements for spreaders used with cranes designed for the purpose of handling freight containers, e.g. those based on ISO 668:2020. The connection between the spreader and the container is by the use of twistlocks that engage into the container’s upper corner castings.
This document deals with all significant hazards, hazardous situations or hazardous events relevant to container handling spreaders, when it is used as intended and under conditions of misuse which are reasonably foreseeable by the manufacturer.
The spreader is interfaced to the crane’s control and safety system.
This document does not cover the following types of spreaders:
-   hand operated spreaders (without external power supply);
-   bottom lift grapple spreaders used for swap bodies and road trailers.
This document does not deal with the lifting of persons.
This document is not applicable to container handling spreaders manufactured before the date of its publication.

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This document specifies a range of fineness of precious metal alloys recommended for use in the field of jewellery.
NOTE            There is a possibility that national legal requirements for the designation, marking and stamping of finished articles exist in the respective countries.

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This document aims to standardize the specifications for the API of the digital product passport (DPP) as mandated by the ESPR of the European Commission. The purpose of this API is to facilitate the searchability of DPPs, as well as to provide the necessary means for interactions throughout the lifecycle of a product's DPP.

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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 defines the principles and specifies the requirements and guidelines for unique product identifiers, unique economic operator identifiers, and unique facility identifiers used in digital product passports. It covers the following areas:
a)   global uniqueness;
b)   persistence;
c)   syntax;
d)   granularity;
e)   interoperability;
f)   openness.
This document accommodates unique product identifiers at three granularity levels of specificity: model, batch, or individual item, to support various operational needs.
This document describes identification (ID) schemes that use issuing agencies, self-issuing systems, or a combination of both.

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This document establishes the general concepts and principles of information technology (IT) security evaluation. It specifies the general model of evaluation given in this document, which in its entirety is intended to be used as the basis for evaluation of security properties of IT products.
This document provides an overview of all parts of the ISO/IEC 15408 series. It describes the various parts of the ISO/IEC 15408 series i.e.
defines the terms and abbreviations used in all parts of the series; establishes the core concept of a Target of Evaluation (TOE);
describes the evaluation context; and
describes the audience to which the evaluation criteria is addressed.
Additionally, this document introduces the basic security concepts necessary for the evaluation of IT products.

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IEC 60947-6-1:2026 is available as IEC 60947-6-1:2026 RLV which contains the International Standard and its Redline version, showing all changes of the technical content compared to the previous edition. IEC 60947-6-1:2026 applies to transfer switching equipment (TSE), to be used in power systems for ensuring the continuity of the supply and allowing the energy management of the installation, by transferring a load between power supply sources, the rated voltage of which does not exceed 1 000 V AC or 1 500 V DC. Specific requirements for bypass/isolation transfer switch equipment are given in Annex C, ATSE having closed transition capability are given in Annex D, stand-alone ATS controllers are given in Annex E, and TSE for electric driven fire pump controllers are given in Annex F. It covers: - manually operated transfer switching equipment (MTSE); - remotely operated transfer switching equipment (RTSE); - automatic transfer switching equipment (ATSE), including the controller; - stand-alone ATS controllers; - bypass/isolation transfer switch equipment (BTSE); - ATSE having closed transition capability; - fire pump TSE. It does not cover: - TSE configurations that are not fully manufacturer type tested or marked according to this document as a complete transfer switch; - auxiliary contacts (for guidance, see IEC 60947-5-1); - transfer switches used in explosive atmospheres (for guidance, see IEC 60079 (all parts)); - embedded software design (for guidance, see IEC TR 63201); - cybersecurity aspects (for guidance, see IEC 63208); - TSE rated for direct-on-line starting asynchronous motor of design NE and HE, according to IEC 60034-12. (for guidance, see AC-3e utilisation category according to IEC 60947 4 1); - other types of TSE under consideration including overlapping neutral TSE, multi-source TSE (i.e. TSE with more than two sources of supply), TSE with load-shedding functions, bus-tie TSE, and hybrid TSE; - static transfer switches covered by IEC 62310 series. This fourth edition cancels and replaces the third edition published in 2021. This edition constitutes a technical revision. This edition includes the following significant technical changes with respect to the previous edition: - clarification of scope; - clarification of terms and definitions; - Annex C for Bypass/Isolation Transfer Switch Equipment; - Annex D for ATSE having closed transition capability; - Annex E for Stand-alone ATS controller; - Annex F for TSE used with electric driven fire pump control equipment.

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This document is applicable to products that emit laser radiation for the purpose of free space optical data transmission. This document does not apply to laser products designed for the purposes of transmitting optical power for applications such as material processing or medical treatment. This document also does not apply to the use of laser products in explosive atmospheres (see IEC 60079-0). Light-emitting diodes employed by free space optical communication systems, used for the purpose of free space optical data transmission, do not fall into the scope of this document. NOTE If the laser product incorporates an optical fibre that extends from the confinements of the enclosure, the requirements in IEC 60825-2 applies.

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This document describes the typical accessories used for Large Power Transformers.

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This document is applicable to safety-related electronic systems (including subsystems and equipment) for railway signalling applications. This document applies to generic systems (i.e. generic products or systems defining a class of applications), as well as to systems for specific applications. The scope of this document and its relationship with other CENELEC standards are shown in Figure 1. This document is applicable only to the functional safety of systems. It does not deal with other aspects of safety such as occupational health and safety of personnel or potential threats created by the technology regardless of their intended functions (e.g. presence of sharp edges, presence of electric voltage, presence of combustible material). Cybersecurity aspects of functional safety are addressed only to the extent consistent with the application of the relevant standards, where needed. This document applies to all the phases of the life cycle of a safety-related electronic system, focusing in particular on phases from 4 (specification of system requirements) to 10 (system acceptance) as defined in EN 50126 1:2017. Requirements for systems which are not related to safety are outside the scope of this document. This document is not necessarily applicable to systems, subsystems or equipment which had already been accepted prior to the date of withdrawal (dow) of the standards conflicting with this document. However, so far as reasonably practicable, it is applicable to modifications and extensions to such systems, subsystems and equipment. NOTE In the case of partial modifications, it can happen that the system can no longer be declared compliant with a single version of the standard, meaning that the modified part will be compliant with the current version and the unmodified parts will be compliant with the previous version. This document is primarily applicable to systems, subsystems or equipment which have been specifically designed and manufactured for railway signalling applications. It is also applicable, to the extent of 6.2, to general-purpose or industrial equipment (e.g. power supplies, display screens, or other commercial off the shelf items) which is procured for use as part of a safety-related electronic system. This document is aimed at railway duty holders, railway suppliers, and assessors as well as at safety authorities, although it does not define an approval process to be applied by the safety authorities. Figure 1 - Scope of the main CENELEC railway application standards

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The present document specifies technical requirements, limits and test methods for Short Range Devices in the non-
specific category operating in the frequency range 25 MHz to 1 000 MHz.
The non specific SRD category is defined by the EU Commission Decision 2019/1345/EU [i.3] as:
"The non-specific short-range device category covers all kinds of radio devices, regardless of the application or the
purpose, which fulfil the technical conditions as specified for a given frequency band. Typical uses include telemetry,
telecommand, alarms, data transmissions in general and other applications".
These radio equipment types are capable of transmitting up to 500 mW effective radiated power and operating indoor or
outdoor.
NOTE: The relationship between the present document and the essential requirements of article 3.2 of
Directive 2014/53/EU [i.2] is given in Annex A

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DEN/ERM-TG28-561

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REN/MSG-TFES-15-3

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ABSTRACT
This specification covers the testing and requirements for two types and two classes of asbestos-free asphalt roof cement consisting of an asphalt base, volatile petroleum solvents, and mineral and/or other stabilizers, mixed to a smooth, uniform consistency suitable for trowel application to roofing and flashing. Type I is made from asphalts characterized as self-healing, adhesive, and ductile, while Type II is made from asphalt characterized by high softening point and relatively low ductility. Class I is used for application to essentially dry surfaces, while Class II is used for application to damp, wet, or underwater surfaces. The roof cements shall comply with composition limits for water, nonvolatile matter, mineral and/or other stabilizers, and bitumen (asphalt). They shall also meet physical requirements such as uniformity, workability, and pliability and behavior at given temperatures.
SCOPE
1.1 This specification covers asbestos-free asphalt roof cement suitable for trowel application to roofings and flashings.  
1.2 The values stated in either SI units or inch-pound units are to be regarded separately as standard. The values stated in each system may not be exact equivalents; therefore, each system shall be used independently of the other. Combining values from the two systems may result in nonconformance with the standard.  
1.3 The following precautionary caveat pertains only to the test method portion, Section 8 of this specification: This standard does not purport to address all of the safety concerns, if any, associated with its use. It is the responsibility of the user of this standard to establish appropriate safety, health, and environmental practices and determine the applicability of regulatory limitations prior to use.  
1.4 This international standard was developed in accordance with internationally recognized principles on standardization established in the Decision on Principles for the Development of International Standards, Guides and Recommendations issued by the World Trade Organization Technical Barriers to Trade (TBT) Committee.

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SIGNIFICANCE AND USE
5.1 The edgewise compressive strength of short sandwich construction specimens provides a basis for judging the load-carrying capacity of the construction in terms of developed facing stress.  
5.2 This test method provides a standard method of obtaining sandwich edgewise compressive strengths for panel design properties, material specifications, research and development applications, and quality assurance.  
5.3 The reporting section requires items that tend to influence edgewise compressive strength to be reported; these include materials, fabrication method, facesheet lay-up orientation (if composite), core orientation, results of any nondestructive inspections, specimen preparation, test equipment details, specimen dimensions and associated measurement accuracy, environmental conditions, speed of testing, failure mode, and failure location.
SCOPE
1.1 This test method covers the compressive properties of structural sandwich construction in a direction parallel to the sandwich facing plane. 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 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.  
1.3 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 The kinematic viscosity characterizes flow behavior. The method is used to determine the consistency of liquid asphalt as one element in establishing the uniformity of shipments or sources of supply. The specifications are usually at temperatures of 60 and 135 °C.
Note 3: The quality of the results produced by this standard are dependent on the competence of the personnel performing the procedure and the capability, calibration, and maintenance of the equipment used. Agencies that meet the criteria of Specification D3666 are generally considered capable of competent and objective testing, sampling, inspection, etc. Users of this standard are cautioned that compliance with Specification D3666 alone does not completely ensure reliable results. Reliable results depend on many factors; following the suggestions of Specification D3666 or some similar acceptable guideline provides a means of evaluating and controlling some of those factors.
SCOPE
1.1 This test method covers procedures for the determination of kinematic viscosity of liquid asphalts, road oils, and distillation residues of liquid asphalts all at 60 °C [140 °F] and of liquid asphalt binders at 135 °C [275 °F] (see table notes, 11.1) in the range from 6 to 100 000 mm2/s [cSt].  
1.2 Results of this test method can be used to calculate viscosity when the density of the test material at the test temperature is known or can be determined. See Annex A1 for the method of calculation.  
Note 1: This test method is suitable for use at other temperatures and at lower kinematic viscosities, but the precision is based on determinations on liquid asphalts and road oils at 60 °C [140 °F] and on asphalt binders at 135 °C [275 °F] only in the viscosity range from 30 to 6000 mm2/s [cSt].
Note 2: Modified asphalt binders or asphalt binders that have been conditioned or recovered are typically non-Newtonian under the conditions of this test. The viscosity determined from this method is under the assumption that asphalt binders behave as Newtonian fluids under the conditions of this test. When the flow is non-Newtonian in a capillary tube, the shear rate determined by this method may be invalid. The presence of non-Newtonian behavior for the test conditions can be verified by measuring the viscosity with viscometers having different-sized capillary tubes. The defined precision limits in 11.1 may not be applicable to non-Newtonian asphalt binders.  
1.3 Warning—Mercury has been designated by the United States Environmental Protection Agency (EPA) and many state agencies as a hazardous material that can cause central nervous system, kidney, and liver damage. Mercury, or its vapor, may be hazardous to health and corrosive to materials. Caution should be taken when handling mercury and mercury-containing products. See the applicable product Material Safety Data Sheet (MSDS) or Safety Data Sheet (SDS) for details and the EPA’s website—http://www.epa.gov/mercury/faq.htm—for additional information. Users should be aware that selling mercury, mercury-containing products, or both, in your state may be prohibited by state law.  
1.4 The values stated in either SI units or inch-pound units are to be regarded separately as standard. The values stated in each system may not be exact equivalents; therefore, each system shall be used independently of the other. Combining values from the two systems may result in nonconformance with the standard.  
1.5 The text of this standard references notes and footnotes that provide explanatory material. These notes and footnotes (excluding those in tables and figures) shall not be considered as requirements of the standard.  
1.6 This standard does not purport to address all of the safety concerns, if any, associated with its use. It is the responsibility of the user of this standard to establish appropriate safety, health, and environmental practices and determine the applicability of regulatory limitations prior ...

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SIGNIFICANCE AND USE
5.1 Research O.N. correlates with commercial automotive spark-ignition engine antiknock performance under mild conditions of operation.  
5.2 Research O.N. is used by engine manufacturers, petroleum refiners and marketers, and in commerce as a primary specification measurement related to the matching of fuels and engines.  
5.2.1 Empirical correlations that permit calculation of automotive antiknock performance are based on the general equation:
Values of k1,  k2, and k3 vary with vehicles and vehicle populations and are based on road-O.N. determinations.  
5.2.2 Research O.N., in conjunction with Motor O.N., defines the antiknock index of automotive spark-ignition engine fuels, in accordance with Specification D4814. The antiknock index of a fuel approximates the Road octane ratings for many vehicles, is posted on retail dispensing pumps in the U.S., and is referred to in vehicle manuals.
This is more commonly presented as:
5.2.3 Research O.N. is also used either alone or in conjunction with other factors to define the Road O.N. capabilities of spark-ignition engine fuels for vehicles operating in areas of the world other than the United States.  
5.3 Research O.N. is used for measuring the antiknock performance of spark-ignition engine fuels that contain oxygenates.  
5.4 Research O.N. is important in relation to the specifications for spark-ignition engine fuels used in stationary and other nonautomotive engine applications.
SCOPE
1.1 This laboratory test method covers the quantitative determination of the knock rating of liquid spark-ignition engine fuel in terms of Research O.N., including fuels that contain up to 25 % v/v of ethanol. However, this test method may not be applicable to fuel and fuel components that are primarily oxygenates.2 The sample fuel is tested using a standardized single cylinder, four-stroke cycle, variable compression ratio, carbureted, CFR engine run in accordance with a defined set of operating conditions. The O.N. scale is defined by the volumetric composition of PRF blends. The sample fuel knock intensity is compared to that of one or more PRF blends. The O.N. of the PRF blend that matches the K.I. of the sample fuel establishes the Research O.N.  
1.2 The O.N. scale covers the range from 0 to 120 octane number but this test method has a working range from 40 to 120 Research O.N. Typical commercial fuels produced for spark-ignition engines rate in the 88 to 101 Research O.N. range. Testing of gasoline blend stocks or other process stream materials can produce ratings at various levels throughout the Research O.N. range.  
1.3 The values of operating conditions are stated in SI units and are considered standard. The values in parentheses are the historical inch-pound units. The standardized CFR engine measurements continue to be in inch-pound units only because of the extensive and expensive tooling that has been created for this equipment.  
1.4 For purposes of determining conformance with all specified limits in this standard, an observed value or a calculated value shall be rounded “to the nearest unit” in the last right-hand digit used in expressing the specified limit, in accordance with the rounding method of Practice E29.  
1.5 This standard does not purport to address all of the safety concerns, if any, associated with its use. It is the responsibility of the user of this standard to establish appropriate safety, health, and environmental practices and determine the applicability of regulatory limitations prior to use. For specific warning statements, see Section 8, 14.4.1, 15.5.1, 16.6.1, Annex A1, A2.2.3.1, A2.2.3.3 (6) and (9), A2.3.5, X3.3.7, X4.2.3.1, X4.3.4.1, X4.3.9.3, X4.3.11.4, and X4.5.1.8.  
1.6 This international standard was developed in accordance with internationally recognized principles on standardization established in the Decision on Principles for the Development of International Standards, Gu...

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SIGNIFICANCE AND USE
5.1 The carbon residue value of burner fuel serves as a rough approximation of the tendency of the fuel to form deposits in vaporizing pot-type and sleeve-type burners. Similarly, provided alkyl nitrates are absent (or if present, provided the test is performed on the base fuel without additive) the carbon residue of diesel fuel correlates approximately with combustion chamber deposits.  
5.2 The carbon residue value of motor oil, while at one time regarded as indicative of the amount of carbonaceous deposits a motor oil would form in the combustion chamber of an engine, is now considered to be of doubtful significance due to the presence of additives in many oils. For example, an ash-forming detergent additive may increase the carbon residue value of an oil yet will generally reduce its tendency to form deposits.  
5.3 The carbon residue value of gas oil is useful as a guide in the manufacture of gas from gas oil, while carbon residue values of crude oil residuums, cylinder and bright stocks, are useful in the manufacture of lubricants.
SCOPE
1.1 This test method covers the determination of the amount of carbon residue (Note 1) left after evaporation and pyrolysis of an oil, and is intended to provide some indication of relative coke-forming propensities. This test method is generally applicable to relatively nonvolatile petroleum products which partially decompose on distillation at atmospheric pressure. Petroleum products containing ash-forming constituents as determined by Test Method D482 or IP Method 4 will have an erroneously high carbon residue, depending upon the amount of ash formed (Note 2 and Note 4).  
Note 1: The term carbon residue is used throughout this test method to designate the carbonaceous residue formed after evaporation and pyrolysis of a petroleum product under the conditions specified in this test method. The residue is not composed entirely of carbon, but is a coke which can be further changed by pyrolysis. The term carbon residue is continued in this test method only in deference to its wide common usage.
Note 2: Values obtained by this test method are not numerically the same as those obtained by Test Method D524. Approximate correlations have been derived (see Fig. X1.1), but need not apply to all materials which can be tested because the carbon residue test is applied to a wide variety of petroleum products.
Note 3: The test results are equivalent to Test Method D4530, (see Fig. X1.2).
Note 4: In diesel fuel, the presence of alkyl nitrates such as amyl nitrate, hexyl nitrate, or octyl nitrate causes a higher residue value than observed in untreated fuel, which can lead to erroneous conclusions as to the coke forming propensity of the fuel. The presence of alkyl nitrate in the fuel can be detected by Test Method D4046.  
1.2 The values stated in SI units are to be regarded as standard. No other units of measurement are included in this standard.  
1.3 WARNING—Mercury has been designated by many regulatory agencies as a hazardous substance that can cause serious medical issues. Mercury, or its vapor, has been demonstrated to be hazardous to health and corrosive to materials. Use caution when handling mercury and mercury-containing products. See the applicable product Safety Data Sheet (SDS) for additional information. The potential exists that selling mercury or mercury-containing products, or both, is prohibited by local or national law. Users must determine legality of sales in their location.  
1.4 This standard does not purport to address all of the safety concerns, if any, associated with its use. It is the responsibility of the user of this standard to establish appropriate safety, health, and environmental practices and determine the applicability of regulatory limitations prior to use.  
1.5 This international standard was developed in accordance with internationally recognized principles on standardization established in the Decision on Prin...

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ABSTRACT
This specification covers grades of fuel oil intended for use in various types of fuel-oil-burning equipment under various climatic and operating conditions. These grades include the following: Grades No. 1 S5000, No. 1 S500, No. 2 S5000, and No. 2 S500 for use in domestic and small industrial burners; Grades No. 1 S5000 and No. 1 S500 adapted to vaporizing type burners or where storage conditions require low pour point fuel; Grades No. 4 (Light) and No. 4 (Heavy) for use in commercial/industrial burners; and Grades No. 5 (Light), No. 5 (Heavy), and No. 6 for use in industrial burners. Preheating is usually required for handling and proper atomization. The grades of fuel oil shall be homogeneous hydrocarbon oils, free from inorganic acid, and free from excessive amounts of solid or fibrous foreign matter. Grades containing residual components shall remain uniform in normal storage and not separate by gravity into light and heavy oil components outside the viscosity limits for the grade. The grades of fuel oil shall conform to the limiting requirements prescribed for: (1) flash point, (2) water and sediment, (3) physical distillation or simulated distillation, (4) kinematic viscosity, (5) Ramsbottom carbon residue, (6) ash, (7) sulfur, (8) copper strip corrosion, (9) density, and (10) pour point. The test methods for determining conformance to the specified properties are given.
SCOPE
1.1 This specification (see Note 1) covers grades of fuel oil intended for use in various types of fuel-oil-burning equipment under various climatic and operating conditions. These grades are described as follows:  
1.1.1 Grades No. 1 S5000, No. 1 S500, No. 1 S15, No. 2 S5000, No. 2 S500, and No. 2 S15 are middle distillate fuels for use in domestic and small industrial burners. Grades No. 1 S5000, No. 1 S500, and No. 1 S15 are particularly adapted to vaporizing type burners or where storage conditions require low pour point fuel.  
1.1.2 Grades B6–B20 S5000, B6–B20 S500, and B6–B20 S15 are middle distillate fuel/biodiesel blends for use in domestic and small industrial burners.  
1.1.3 Grades No. 4 (Light) and No. 4 are heavy distillate fuels or middle distillate/residual fuel blends used in commercial/industrial burners equipped for this viscosity range.  
1.1.4 Grades No. 5 (Light), No. 5 (Heavy), and No. 6 are residual fuels of increasing viscosity and boiling range, used in industrial burners. Preheating is usually required for handling and proper atomization.  
Note 1: For information on the significance of the terminology and test methods used in this specification, see Appendix X1.
Note 2: A more detailed description of the grades of fuel oils is given in X1.3.  
1.2 This specification is for the use of purchasing agencies in formulating specifications to be included in contracts for purchases of fuel oils and for the guidance of consumers of fuel oils in the selection of the grades most suitable for their needs.  
1.3 Nothing in this specification shall preclude observance of federal, state, or local regulations which can be more restrictive.  
1.4 The values stated in SI units are to be regarded as standard.  
1.4.1 Non-SI units are provided in Table 1 and Table 2 and in 7.1.2.1/7.1.2.2 because these are common units used in the industry.
Note 3: The generation and dissipation of static electricity can create problems in the handling of distillate burner fuel oils. For more information on the subject, see Guide D4865.  
1.5 This international standard was developed in accordance with internationally recognized principles on standardization established in the Decision on Principles for the Development of International Standards, Guides and Recommendations issued by the World Trade Organization Technical Barriers to Trade (TBT) Committee.

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SIGNIFICANCE AND USE
4.1 The force required to separate a metallic coating from its plastic substrate is determined by the interaction of several factors: the generic type and quality of the plastic molding compound, the molding process, the process used to prepare the substrate for electroplating, and the thickness and mechanical properties of the metallic coating. By holding all others constant, the effect on the peel strength by a change in any one of the above listed factors may be noted. Routine use of the test in a production operation can detect changes in any of the above listed factors.  
4.2 The peel test values do not directly correlate to the adhesion of metallic coatings on the actual product.  
4.3 When the peel test is used to monitor the coating process, a large number of plaques should be molded at one time from a same batch of molding compound used in the production moldings to minimize the effects on the measurements of variations in the plastic and the molding process.
SCOPE
1.1 This test method gives two procedures for measuring the force required to peel a metallic coating from a plastic substrate.2 One procedure (Procedure A) utilizes a universal testing machine and yields reproducible measurements that can be used in research and development, in quality control and product acceptance, in the description of material and process characteristics, and in communications. The other procedure (Procedure B) utilizes an indicating force instrument that is less accurate and that is sensitive to operator technique. It is suitable for process control use.  
1.2 The tests are performed on standard molded plaques. This method does not cover the testing of production electroplated parts.  
1.3 The tests do not necessarily measure the adhesion of a metallic coating to a plastic substrate because in properly prepared test specimens, separation usually occurs in the plastic just beneath the coating-substrate interface rather than at the interface. It does, however, reflect the degree that the process is controlled.  
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 honeycomb tensile-node bond strength is a fundamental property than can be used in determining whether honeycomb cores can be handled during cutting, machining and forming without the nodes breaking. The tensile-node bond strength is the tensile stress that causes failure of the honeycomb by rupture of the bond between the nodes. It is usually a peeling-type failure.  
5.2 This test method provides a standard method of obtaining tensile-node bond strength data for quality control, acceptance specification testing, and research and development.
SCOPE
1.1 This test method covers the determination of the tensile-node bond strength of honeycomb core materials.  
1.2 The values stated in either SI units or inch-pound units are to be regarded separately as standard. The values stated in each system may not be exact equivalents; therefore, each system shall be used independently of the other. Combining values from the two systems may result in non-conformance with the standard.  
1.3 This standard does not purport to address all of the safety concerns, if any, associated with its use. It is the responsibility of the user of this standard to establish appropriate safety, health, and environmental practices and determine the applicability of regulatory limitations prior to use.  
1.4 This international standard was developed in accordance with internationally recognized principles on standardization established in the Decision on Principles for the Development of International Standards, Guides and Recommendations issued by the World Trade Organization Technical Barriers to Trade (TBT) Committee.

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SIGNIFICANCE AND USE
4.1 This practice is useful as a screening basis for acceptance or rejection of transparencies during manufacturing so that units with identifiable flaws will not be carried to final inspection for rejection at that time.  
4.2 This practice may also be employed as a go-no go technique for acceptance or rejection of the finished product.  
4.3 This practice is simple, inexpensive, and effective. Flaws identified by this practice, as with other optical methods, are limited to those that produce temperature gradients when electrically powered. Any other type of flaw, such as minor scratches parallel to the direction of electrical flow, are not detectable.
SCOPE
1.1 This practice covers a standard procedure for detecting flaws in the conductive coating (heater element) by the observation of polarized light patterns.  
1.2 This practice applies to coatings on surfaces of monolithic transparencies as well as to coatings imbedded in laminated structures.  
1.3 The values stated in SI units are to be regarded as standard. No other units of measurement are included in this standard.  
1.4 This standard does not purport to address all of the safety concerns, if any, associated with its use. It is the responsibility of the user of this standard to establish appropriate safety, health, and environmental practices and determine the applicability of regulatory limitations prior to use. For specific precautionary statements, see Section 6.  
1.5 This international standard was developed in accordance with internationally recognized principles on standardization established in the Decision on Principles for the Development of International Standards, Guides and Recommendations issued by the World Trade Organization Technical Barriers to Trade (TBT) Committee.

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ABSTRACT
This specification covers emulsified asphalt suitable for use as a protective coating for built-up roofs and other exposed surfaces with specified inclines. The emulsified asphalts are grouped into three types, as follows: Type I, which contains fillers or fibers including asbestos; Type II, which contains fillers or fibers other than asbestos; and Type III, which do not contain any form of fibrous reinforcement. These types are further subdivided into two classes, as follows: Class 1, which is prepared with mineral colloid emulsifying agents; and Class 2, which is prepared with chemical emulsifying agents. Other than consistency and homogeneity of the final products, they shall also conform to specified physical property requirements such as weight, residue by evaporation, ash content of residue, water content flammability, firm set, flexibility, resistance to water, and behavior during heat and direct flame tests.
SCOPE
1.1 This specification covers emulsified asphalt suitable for use as a protective coating for built-up roofs and other exposed surfaces with inclines of not less than 4 % or 42 mm/m [1/2 in./ft].  
1.2 The values stated in either SI units or inch-pound units are to be regarded separately as standard. The values stated in each system are not necessarily exact equivalents; therefore, to ensure conformance with the standard, each system shall be used independently of the other, and values from the two systems shall not be combined.  
1.3 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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DEN/ERM-TGAERO-31-2

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