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This specification covers laboratory weights and precision mass standards including their principal physical characteristics and metrological requirements. Maximum permissible error, magnetic property, density, and surface roughness for each weight shall be within the limits indicated in this specification. Physical characteristics shall be based on construction, design, surface area, materials, magnetism, density, surface finish, weight adjustment, and marking.1.1 This specification covers weights and mass standards used in laboratories, specifically classes 000, 00, 0, 1, 2, 3, 4, 5, 6, and 7. This specification replaces National Bureau of Standards Circular 547, Section 1, which is out of print.1.2 This specification and calibration method is intended for use by weight manufacturers, national metrology institutes, weight calibration laboratories, accreditation bodies, users of weights, and regulatory bodies.1.3 This specification contains the principal physical characteristics and metrological requirements for weights that are used.1.3.1 For the verification of weighing instruments;1.3.2 For the calibration of weights of a lower class of accuracy; and1.3.3 With weighing instruments.1.4 Maximum Permissible Errors (formerly tolerances) and design restrictions for each class are described in order that both individual weights or sets of weights can be chosen for appropriate applications.1.5 Weight manufacturers must be able to provide evidence that all new weights comply with specifications in this standard (for example, material, density, magnetism, surface finish, mass values, uncertainties) to make any claim of compliance to Specification E617, Maximum Permissible Errors, weight classes, or metrological traceability.1.5.1 During subsequent calibrations, calibration laboratories must meet the requirements of ISO/IEC 17025:2017.1.5.2 Subsequent calibrations must meet all the requirements, including Sections 7, 8, and 9, Table 8 and Table 11 (environmental parameters) to make any claim of compliance to Specification E617, Maximum Permissible Errors, weight classes, or metrological traceability.NOTE 1: Requirements set forth in NIST IR 6969 and NIST IR 5672 are compliant with all the requirements of Specification E617, Sections 7, 8, and 9.1.6 The values stated in SI units are to be regarded as standard.1.7 This international standard was developed in accordance with internationally recognized principles on standardization established in the Decision on Principles for the Development of International Standards, Guides and Recommendations issued by the World Trade Organization Technical Barriers to Trade (TBT) Committee.

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5.1 The reactivity and instability of O3 preclude the storage of O3 concentration standards for any practical length of time, and precludes direct certification of O3 concentrations as Standard Reference Materials (SRMs). Moreover, there is no available SRM that can be readily and directly adapted to the generation of O3 standards analogous to permeation devices and standard gas cylinders for sulfur dioxide and nitrogen oxides. Dynamic generation of O3 concentrations is relatively easy with a source of ultraviolet (UV) radiation. However, accurately certifying an O3 concentration as a primary standard requires assay of the concentration by a comprehensively specified analytical procedure, which must be performed every time a standard is needed (10).5.2 This practice is not designed for the routine calibration of O3 monitors at remote locations (see Practices D5011).1.1 This practice covers a means for calibrating ambient, workplace, or indoor ozone monitors, and for certifying transfer standards to be used for that purpose.1.2 This practice describes means by which dynamic streams of ozone in air can be designated as primary ozone standards.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. See Section 8 for specific precautionary statements.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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4.1 The purpose of this standard practice is to provide the minimum requirements for the conduct of compliance audits.4.2 The intended use of this practice is to provide a basis for an internal or external entity to develop an audit program. An audit program defines specific requirements for the execution of audits for a particular objective. An example of an audit program would be an external (third party) audit of UAS manufacturer’s quality assurance system.4.3 Compliance to this practice would ensure that audit programs and those who develop and execute them are following a consensus set of minimum requirements.4.4 This practice does not mandate either internal or external audits.4.5 An auditing entity cannot request or approve an audit.4.6 Other Audit Criteria—Other audit criteria may be included in the audit scope if specified in the audit plan. Examples include safety, technical, operational, and management requirements. Items that are outside the scope of auditable criteria may be submitted as observations for possible resolution. However, these are not binding and are not mandatory.4.7 Additional Services—Additional services are outside the scope of an audit objective. Examples of such services are consultation to resolve negative or open findings or any other service where the auditing entity conducts an activity other than an audit for the audited entity.4.8 Compliance Assurance—An audit is only an indicator of the compliance health of the facility or organization, or both, during only the period under review and therefore has limited compliance assurance and is not assumed to be exhaustive.4.9 Level of Review is Variable—The audit scope may vary to meet different audit objectives. For example, the audit scope may include only selected audit criteria, selected period under review, or selected portions of a facility or organization.1.1 This standard practice establishes the minimum set of requirements for auditing programs, methods, and systems, the responsibilities for all parties involved, and qualifications for entities conducting audits against ASTM standards on Unmanned Aircraft Systems. This document has been purposefully designed within the broader context of the Committee F38 library. Although the original source materials for the content presented here were intended to function as standalone documents, the committee has consciously removed any redundant information in favor of adopting a referential "single-source-of-truth" approach. Consequently, when applying this standard, it is essential to consider and integrate all relevant Committee F38 standards to ensure its comprehensive and accurate implementation.1.2 When intending to utilize the information provided in this document as a Means of Compliance for operational or design approval, or both, it is crucial to consult with the respective oversight authority (for example, CAA) regarding its acceptable use and application. To find out which oversight authorities have accepted this standard (in whole or in part) as an acceptable Means of Compliance to their regulatory requirements (hereinafter "the Rules"), please refer to the Committee F38 webpage (www.ASTM.org/COMMITTEE/F38.htm).1.3 This practice provides requirements to enable consistent and structured examination of objective evidence for compliance that is beneficial for the UAS industry and its consumers. It is the intent of this practice to provide the necessary minimum requirements for organizations to develop audit programs and procedures.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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O112 SERIES-M1977 (R2006) CSA Standards for Wood Adhesives 现行 发布日期 :  1970-01-01 实施日期 : 

1 Scope O112.0-1.1 This Standard contains certain standard test procedures and general requirements relating to the evaluation of wood adhesives in conformance with the O112-M Series of CSA Standards for Wood Adhesives. This Standard does not include

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4.1 This guide is intended for the use of architects, engineers, office managers, and others interested in designing, specifying, or operating office environments.4.2 It is not intended to be applied to other environments, for example, open plan schools.4.3 While this guide attempts to clarify the many interacting variables that influence acoustical performance, it is not intended to supplant the experience and judgment of experts in the field of acoustics. Competent technical advice should be sought for success in the design of offices, including comparisons of test results carried out according to ASTM standards.1.1 This guide discusses the principles and interactions that affect the acoustical performance of open and closed offices. It describes the application and use of the relevant series of ASTM standards.1.2 The values stated in inch-pound units are to be regarded as standard. The values given in parentheses are mathematical conversions to SI units that are provided for information only and are not considered 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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4.1 This guide addresses the concerns of Regulation Guide 1.54 and USNRC Standard Review Plan 6.1.2, and the replacement of ANSI Standards N5.12, N101.2, and N101.4. This guide covers coating work on previously coated surfaces as well as bare substrates. This guide applies to all coating work in Coating Service Level I and III areas (that is, safety-related coating work). Applicable sections of this guide may also be used to evaluate and select protective coatings for Coating Service Level II areas where deemed appropriate by the licensee.4.2 The testing referenced in this guide is particularly appropriate for safety-related coatings inside the reactor-containment. Other test methods may be used for assessing the suitability for service of safety-related coatings outside the reactor-containment. Criteria for qualification and performance monitoring of Coating Service Level III coatings shall be addressed in job specifications. Guidance for selecting and performance monitoring of Coating Service Level III coatings is provided Guides D7230 and D7167 respectively, and Sections 4.4 and 4.5 of EPRI 1019157 (formerly TR-109937 and 1003102.).4.3 Users of this guide must ensure that coatings work complies not only with this guide, but also with the licensee's plant-specific quality assurance program and licensing commitments.4.4 Safety-Related Coatings: 4.4.1 The qualification of coatings for Coating Service Levels I and III are different even though they are both safety-related. This guide provides the minimum requirements for qualifying Coating Service Level I coatings and also provides guidance for additional qualification tests that may be used to evaluate Coating Service Level I coatings. This guide also provides guidance concerning selection of Coating Service Level III coatings.4.4.2 Coating Service Level I Coatings: 4.4.2.1 All Coating Service Level I coatings must be resistant to the effects of radiation and must be DBA qualified. The test specimens shall be prepared, irradiated and DBA tested and evaluated in accordance with the requirements of:(a) Test Method D3911 or plant specific requirements as applicable,(b) Test Method D4082, and(c) Specification D5139.4.4.2.2 In addition to the requirements of 4.4.2.1, Coating Service Level I coatings may be evaluated for additional qualities or may require application controls when deemed applicable by the job specifications or licensing commitments. The following documents provide guidance for application, possible additional testing or for the further evaluation of Coating Service Level I coatings when applicable:(a) Test Method C177,(b) Practice D3843,(c) Test Method D3912,(d) Test Method D4060,(e) Practice D4227,(f) Practice D4228,(g) Guide D4537,(h) Test Method D4541,(i) Test Method E84,(j) Test Method E648,(k) Test Method E1461, and(l) Test Method E1530.4.4.2.3 Condition assessment and management of Coating Service Level I coatings is also required by the licensee to maintain the coatings following the initial application and subsequent repairs. The following documents provide guidance for the monitoring and management of the Coating Service Level I coatings:(a) Guide D5163 and(b) Guide D7491.4.4.3 Coating Service Level III Coatings: 4.4.3.1 Coating Service Level III coatings must be evaluated for use in accordance with the requirements of plant licensing commitments and the job specifications. Coating Service Level III coatings may include linings used in areas such as service water systems, essential cooling water heat exchanger heads and emergency diesel generator air intakes. There are no specific testing or qualification requirements included in this guide for Coating Service Level III coatings or linings. Testing and evaluation of Coating Service Level III coatings should be conducted as necessary to ensure that the coatings are suitable for the specific service environment. The following documents provide guidance for testing and inspection, which the licensee may consider when preparing job specifications for Coating Service Level III coatings or linings:(a) Test Method D4541,(b) Guide D7167,(c) Guide D7230,(d) EPRI 1019157 (formerly TR-109937 and 1003102), Sections 4.4 and 4.5,(e) 10CFR50.65, and(f) 10CFR50. Appendix B.4.5 Coatings Service Level II Coatings: 4.5.1 Coating Service Level II coatings are not safety-related and are restricted to the radiation controlled area (RCA) outside of the reactor-containment in nuclear power plants. There are no specific testing or qualification requirements included in this guide for Coating Service Level II coatings. The following documents provide guidance for testing and inspection, which the licensee may consider when evaluating or specifying Coating Service Level II coatings:(a) Test Method D3912,(b) Test Method D4060,(c) Test Method D4082,(d) Test Method D4541,(e) Specification D5139,(f) Test Method E84,(g) Test Method E648, and(h) USNRC Regulatory Guide 8.8.4.5.2 Some nuclear power plant licenses may include requirements for Coating Service Level II coatings; these requirements must be satisfied when selecting Coating Service Level II coating materials and systems.1.1 This guide provides a common basis on which protective coatings for the surfaces of nuclear power generating facilities may be qualified and selected by reproducible evaluation tests. This guide also provides guidance for application and maintenance of protective coatings. Under the environmental operating and accident conditions of nuclear power generation facilities, encompassing pressurized water reactors (PWRs) and boiling water reactors (BWRs), coating performance may be affected by exposure to any one, all, or a combination of the following conditions: ionizing radiation; contamination by radioactive nuclides and subsequent decontamination processes; chemical and water sprays; high-temperature high-pressure steam; and abrasion or wear.1.2 The content of this guide includes:  SectionReferenced Documents 2Terminology 3 4Coating Material Testing 5Thermal Conductivity 5Surface Preparation, Coating Application, and Inspection for  Shop and Field Work 6Quality Assurance 7Keywords 81.2.1 In addition, this guide addresses technical topics within ANSI N5.12 and ANSI N101.2 that are covered by separate ASTM standards, for example, surface preparation, (shop and field) and coating application, (shop and field).1.2.2 Applicable sections of this guide and specific acceptance criteria may be incorporated into specifications and other documents where appropriate.21.3 The values stated in inch-pound 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.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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1. Scope This Technical Report is designed to be used in conjunction with ISO 14001 and ISO 14004. It provides a link between the management system approach of ISO 14001 and the range of forest policy and forest management performance objectives, inclu

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