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1 Scope This International Standard provides guidance on how to conduct an EASO through a systematic process of identifying environmental aspects and environmental issues and determining, if appropriate, their business consequences. This Internationa

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5.1 This practice provides a means for the users of ASTM Committee D02 standards to monitor the drift in sensed temperature of liquid-in-glass thermometer (LiG), and digital contact thermometers (DCT). Digital contact thermometers are sometimes referred to as portable electronic thermometers (PET) or simply digital thermometers.5.2 This practice is not suitable for determining the accuracy or calibration of a temperature-measuring device as the error in the ice bath temperature can be greater than 0.02 °C. For greater accuracy, the user should use Practice E563 to prepare the ice bath.5.3 The ice point is a common practical industrial reference point of thermometry. The ice point is relatively simple to realize and provides a readily available natural fixed-point reference temperature.5.4 This practice only checks the measurement drift at a single temperature. It will not detect a change in measurement response with change in temperature. Temperature-measuring devices should be recalibrated at set intervals. See device supplier for recommendations.5.5 This practice provides a technique to determine minimum immersion depth of the sensing probe of the thermometer using an ice bath. The minimum immersion depth determined by this practice may change when the differential temperature differs significantly from the conditions described. A greater differential will likely increase the minimum immersion depth.1.1 This practice describes two procedures for use with temperature measurement devices. Methodology is described for determining minimum immersion depth for thermal sensors, in particular RTDs or similar temperature sensors. Included is a procedure for consistently preparing a reference bath for the purpose of monitoring measurement drift of thermal sensors such as liquid-in-glass or digital contact thermometers.1.2 This practice focuses on temperature measurement drift in a laboratory. If the user requires greater measurement accuracy, then they should follow the instructions in Practice E563.1.3 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.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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This practice establishes a standard impact assessment methodology to enable entities to uniformly ascertain and communicate impact levels associated with the potential loss of MDSDs. This practice is not intended to prescribe specific information security policies for entities or organizations. This practice assumes that individuals and entities are following all relevant information security policies as required by federal or state law, the terms of applicable government contracts, specific agency policies such as the National Industrial Security Program Operating Manual (NISPOM), and entity-specific policies.This practice assumes, but does not require, that entities have devised and are maintaining a system of internal controls over MDSDs in accordance with the section on Management of Property of Practice E 2279.This practice assumes, but does not require, that the results of this impact assessment will inform future actions and help entities determine cost-effective property control measures for MDSDs commensurate with the potential consequences of their loss in accordance with the section on Management of Property of Practice E 2279.This practice encourages an inclusive understanding and communication of the risk associated with MDSDs and, by assigning a rating to the impact of loss, enables comparisons on this basis to other MDSDs rated using the same practice.This practice is intended to foster and enable additional standard practices related to or based on these terms and concepts.1.1 This practice describes a methodology for assessing and quantifying the impact of the loss of mobile data storage devices (MDSDs), for example, thumb drives, auxiliary hard drives, and other property containing personally identifiable information or other entity sensitive information.1.2 This practice is based on two concepts:1.2.1 Identifying the MDSDs that pose the greatest risk to the organization based on both the information that is stored on them and the location in which they are used, and1.2.2 Determining the impact of the potential loss of specific MDSDs. In general, this impact assessment is best practiced as a part of a larger risk management process. While this practice does not address this larger topic, it may inform other risk management standards.1.3 This practice is intended to be applicable and appropriate for all asset-holding entities.1.4 In accordance with the provisions of Practice E 2279, this practice clarifies and enables effective and efficient control and tracking of equipment.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 and health practices and determine the applicability of regulatory limitations prior to use.

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4.1 This guide is intended for use by those undertaking the development of fire-hazard-assessment standards. Such standards are expected to be useful to manufacturers, architects, specification writers, and authorities having jurisdiction.4.2 As a guide, this document provides information on an approach to the development of a fire hazard standard; fixed procedures are not established. Limitations of data, available tests and models, and scientific knowledge may constitute significant constraints on the fire-hazard-assessment procedure.4.3 While the focus of this guide is on developing fire-hazard-assessment standards for products, the general concepts presented also may apply to processes, activities, occupancies, and buildings.4.4 When developing fire-risk-assessment standards, use Guide E1776. The present guide also contains some of the guidance to develop such a fire-risk assessment standard.1.1 This guide covers the development of fire-hazard-assessment standards.1.2 This guide is directed toward development of standards that will provide procedures for assessing fire hazards harmful to people, animals, or property.1.3 Fire-hazard assessment and fire-risk assessment are both procedures for assessing the potential for harm caused by something–the subject of the assessment–when it is involved in fire, where the involvement in fire is assessed relative to a number of defined fire scenarios.1.4 Both fire-hazard assessment and fire-risk assessment provide information that can be used to address a larger group of fire scenarios. Fire-hazard assessment provides information on the maximum potential for harm that can be caused by the fire scenarios that are analyzed or by any less severe fire scenarios. Fire-risk assessment uses information on the relative likelihood of the fire scenarios that are analyzed and the additional fire scenarios that each analyzed scenario represents. In these two ways, fire-hazard assessment and fire-risk assessment allow the user to support certain statements about the potential for harm caused by something when it is involved in fire, generally.1.5 Fire-hazard assessment is appropriate when the goal is to characterize maximum potential for harm under worst-case conditions. Fire-risk assessment is appropriate when the goal is to characterize overall risk (average severity) or to characterize the likelihood of worst-case outcomes. It is important that the user select the appropriate type of assessment procedure for the statements the user wants to support.1.6 Fire-hazard assessment is addressed in this guide and fire-risk assessment is addressed in Guide E1776.1.7 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.1.8 This fire standard cannot be used to provide quantitative measures.1.9 This standard is used to predict or provide a quantitative measure of the fire hazard from a specified set of fire conditions involving specific materials, products, or assemblies. This assessment does not necessarily predict the hazard of actual fires which involve conditions other than those assumed in the analysis.1.10 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 International Standard specifies the general framework, principles and requirements for conducting and reporting life cycle assessment studies. This International Standard does not describe the life cycle assessment technique in detail.

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1. Scope This International Standard describes and gives guidance on a general framework for the life cycle impact assessment (LCIA) phase of life cycle assessment (LCA), and the key features and inherent limitations of LCIA. It specifies requirements

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CSA Preface This is the first edition of CSA Standard CAN/CSA-ISO 14043, Environmental Management - Life Cycle Assessment - Life Cycle Inter pretation, which is an adoption without modification of the identically titled ISO (International Organization

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1 Scope This technical report recommends the procedures to assess the disturbance levels produced by the emission of the devices, equipment and systems installed in non-public networks in industrial environment as far as the low-frequency conducted dis

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CSA Preface This is the first edition of CAN/CSA-ISO 1996-1, Acoustics - Description, measurement and assessment of environmental noise - Part 1: Basic quantities and assessment procedures, which is an adoption without modification of the identically t

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4.1 This guide attempts to provide information to assist building owners and managers with limited knowledge of stone construction to recognize basic problems with performance of facades, and to keep them in good condition through periodic inspections and maintenance. Increased awareness of the behavior of stone masonry facades and associated materials can reduce maintenance and replacement costs by addressing problems and deterioration early.4.2 The objective of all maintenance should be to limit deterioration through early intervention.4.3 When it appears damage to stone support elements has occurred, a qualified stone consultant should be employed to evaluate the support conditions, as well as recommend methods to restore the building's integrity and preserve public safety.AbstractThis guide outlines the standard procedures for the visual assessment and maintenance of exterior dimension stone masonry walls and facades to determine their general condition. The examination procedures established here can help identify and diagnose problems that require repairs or corrective action, but is not intended to be used for buildings requiring major exterior rehabilitation or structural repairs. This guide applies to walls of solid stone or dimension stone claddings with joints usually filled with mortar or sealant that are designed to accommodate structural and thermal movements. This guide specifically excludes the following: dimension stone used in interior building surfaces, flooring, or paving; slate dimension stone used as roofing; thin stone exterior cladding; stone cladding attached to metal flames; the removal of small area stains. Also, this guide may apply, but is not specifically directed, to the following: walls and facades containing semi-dimensions, or partially sized, stone in the form of split-face or rubble; and stone-facade concrete panels. The common problems to consider include rising damps; mortar distresses; surface losses; cracks; displacements, bowings, or bulges; and spalls and fragments. The corresponding repairs to be made that shall address these problems are detailed for each.1.1 This guide outlines how to visually assess exterior stone masonry walls and facades to determine their general condition. Examining key features of the construction can help identify and diagnose problems which require repairs or corrective action. Such an examination can expose conditions which may be addressed with maintenance and minor repairs, or may require expert assistance. This guide is not intended to be used for buildings requiring major exterior rehabilitation or structural repairs.1.1.1 This guide applies to walls of solid stone or dimension stone used as a cladding. Stone cladding is typically connected to a backup material with a variety of anchoring methods, including traditional hand-set masonry anchors such as straps, dowels, cramps, hook-and-eyes, dove-tails, wire ties, and the like. Joints between stones in these types of buildings are usually filled with mortar or sealant. Sealant-filled joints are usually designed to accommodate structural and thermal movements.1.2 This guide specifically excludes dimension stone used in interior building surfaces, flooring or paving, slate dimension stone used as roofing. Though they share some similar assessment and maintenance concerns, thin stone (less than 2 in. nominal thickness) exterior cladding, and stone cladding attached to metal flames are also excluded due to their unique design characteristics and performance requirements. Although procedures and cautions listed herein may apply to walls and facades containing semi-dimension, or partially sized, stone in the form of split-face, or rubble and to stone-facade concrete panels, the guide is not specifically directed to such stone use. It does not address removal of small-area stains.1.3 This guide offers an organized collection of information or a series of options and does not recommend a specific course of action. This document cannot replace education or experience and should be used in conjunction with the judgment of stone restoration design consultants. Not all aspects of this guide may be applicable in all circumstances. This ASTM standard is not intended to represent or replace the standard of care by which the adequacy of a given stone consultants service must be judged, nor should this document be applied without consideration of a project’s many unique aspects. The word “Standard” in the title of this document means only that the document has been approved through the ASTM consensus process.1.4 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.1.5 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.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, Guides and Recommendations issued by the World Trade Organization Technical Barriers to Trade (TBT) Committee.

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