03.160 - Law. Administration
ICS 03.160 Details
Law. Administration
Recht. Verwaltung
Législation. Administration
Pravo. Uprava
General Information
Frequently Asked Questions
ICS 03.160 is a classification code in the International Classification for Standards (ICS) system. It covers "Law. Administration". The ICS is a hierarchical classification system used to organize international, regional, and national standards, facilitating the search and identification of standards across different fields.
There are 73 standards classified under ICS 03.160 (Law. Administration). These standards are published by international and regional standardization bodies including ISO, IEC, CEN, CENELEC, and ETSI.
The International Classification for Standards (ICS) is a hierarchical classification system maintained by ISO to organize standards and related documents. It uses a three-level structure with field (2 digits), group (3 digits), and sub-group (2 digits) codes. The ICS helps users find standards by subject area and enables statistical analysis of standards development activities.
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This document specifies baseline requirements for demonstrating processing activities compliance with the European personal data protection normative framework in accordance with EN ISO/IEC 17065. It does not however apply to products or management systems destined for processing personal data.
This document is applicable to all organizations which, as personal data controllers and/or processors, process personal data, and its objective is to provide a set of requirements enabling such organizations to conform effectively with the European personal data protection normative framework.
An organization can decide that the standard is applicable only to a specific subset of its processing activities if such a decision does not involve failure to conform with the European personal data protection normative framework.
This document also provides indications for conformity assessment with the aforementioned requirements.
- Standard25 pagesEnglish languagee-Library read for1 day
SIGNIFICANCE AND USE
2.1 These terms have particular application to the scientific discipline of forensic psychophysiology. In addition, a hierarchy of sources of definitions are used in the development of this terminology. The hierarchy is as follows: Websters's New World Dictionary, Third College Edition; technical dictionaries; and the Compilation of ASTM Standard Definitions. The subcommittee developed a suitable definition after all of the sources in the hierarchy are found wanting.
SCOPE
1.1 This is a compilation of terms and corresponding definitions used in forensic psychophysiology. Legal or scientific terms that generally are understood or defined adequately in other readily available sources may not be included.
1.2 A definition is a single sentence with additional information included in notes. It is reviewed every five years, and the year of the last review or revision is appended.
1.3 Definitions identical to those published by another standards organization or ASTM committee are identified with the abbreviation of the name of the organization or the identifying document and ASTM committee; for example, ASME is the American Society of Mechanical Engineering.
1.4 Definitions of terms specific to a particular field are identified with an abbreviation.
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.
- Standard4 pagesEnglish languagesale 15% off
This document specifies baseline requirements for demonstrating processing activities compliance with the European personal data protection normative framework in accordance with EN ISO/IEC 17065. It does not however apply to products or management systems destined for processing personal data.
This document is applicable to all organizations which, as personal data controllers and/or processors, process personal data, and its objective is to provide a set of requirements enabling such organizations to conform effectively with the European personal data protection normative framework.
An organization can decide that the standard is applicable only to a specific subset of its processing activities if such a decision does not involve failure to conform with the European personal data protection normative framework.
This document also provides indications for conformity assessment with the aforementioned requirements.
- Standard25 pagesEnglish languagee-Library read for1 day
The development of a European standard(s) on reporting by online gambling service operators and suppliers to the gambling regulatory authorities in the Member States for the purpose of supervision of online gambling services will specify the core data for reporting purposes, while ensuring integrity and security of the data as well as personal data protection.
The requested European standard(s) will provide a voluntary tool to the gambling regulatory authorities in the Member States without prejudice to the scope of competence of Member States in the regulation of online gambling and without imposing any obligation on them to introduce reporting requirements or to authorize or deny authorization to any operators or suppliers.
- Standard271 pagesEnglish languagee-Library read for1 day
The development of a European standard(s) on reporting by online gambling service operators and suppliers to the gambling regulatory authorities in the Member States for the purpose of supervision of online gambling services will specify the core data for reporting purposes, while ensuring integrity and security of the data as well as personal data protection.
The requested European standard(s) will provide a voluntary tool to the gambling regulatory authorities in the Member States without prejudice to the scope of competence of Member States in the regulation of online gambling and without imposing any obligation on them to introduce reporting requirements or to authorize or deny authorization to any operators or suppliers.
- Standard271 pagesEnglish languagee-Library read for1 day
This document specifies requirements for the competences and qualifications of legal translators, revisers and reviewers, best translation practices and the translation process directly affecting the quality and delivery of legal translation services. In particular, it specifies the core processes, resources, confidentiality, professional development requirements, training and other aspects of the legal translation service provided by individual translators.
Fulfilment of all the requirements set out in this document enables the individual legal translator to demonstrate conformity of their legal translation services to this document and their capability to maintain a level of quality in legal translation services that will meet the client's and other applicable specifications.
The use of output from machine translation, even with post-editing, is outside the scope of this document. Consulting of a machine translation resource by a legal translator, does not constitute use of raw machine translation plus post-editing.
This document does not apply to interpreting services.
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SIGNIFICANCE AND USE
4.1 This practice establishes a standard control methodology to aid in fulfillment of shortages derived from production requirements or equipment failures.
4.2 This practice encourages an inclusive understanding and communication of the control and tracking of assets, and enables meaningful discussion between parties with interest in the asset.
4.3 This practice is intended to foster and enable additional standard practices related to or based on these terms and concepts.
SCOPE
1.1 This practice covers the process by which open production and failure related demand requirements are fulfilled using existing equipment components.
Note 1: Differing approval requirements are generally dictated by ownership issues. For example, approvals for cannibalization/reclamation of company-owned property assets may vary substantially from that required for customer-owned assets. In all cases, the specific approach to approvals and the levels of approval required are prescribed by the entity with title to/ownership of the asset. These requirements are internal to the owning entity. In general, company-owned assets are handled in accordance with established practice specific to each individual entity while customer-owned property is handled based upon established practices specific to each entity or as specified within a contractual document.
1.2 This practice is intended to be applicable and appropriate for all asset-holding entities.
1.3 This practice covers property assets categorized as equipment.
1.4 This practice can be applied to an individual asset, groupings of assets, or to all, or a subset of an entity’s assets.
1.5 This practice clarifies and enables effective and efficient support of assets in accordance with the provisions of Practice E2279.
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 to use.
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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SIGNIFICANCE AND USE
4.1 The intent of this guide is to provide a foundation for the minimum effective internal assessment of a contractor’s government asset management system. A contractor may incorporate all or part of this guide in accordance with its established procedures and operating environment. Self-assessment should be used to identify deficiencies, related increases to risk, and to serve as a method for obtaining correction to those deficiencies, independent of, and often in advance of, a government audit, review or assessment. It should also be used to assist in determining the effective assignment of asset management resources; and to serve as a method for promoting continuous improvement in asset management practices. Self-assessments, in and of themselves may not be sufficiently independent to address external or government review, assessment, or audit requirements.
4.2 To the extent possible, a Contractor Self-Assessment (CSA) program should provide a level of objectivity like that of an asset management system analysis performed by a government or other external auditor. Individuals who perform assessments should not be the same individuals who perform the functions being tested when enough resources are available. The contractor’s official written procedures should identify functional positions responsible for performing the self-assessment and address management controls used to maintain independence and prevent conflicts of interest whenever individuals who perform property functions also participate in CSA activities.
4.3 The results of the CSA alone do not determine adequacy or inadequacy of the contractor’s government asset management system but should identify the level of risk presented by the contractor’s business practices. The results of the CSA should be made available to external auditors or reviewers for potential inclusion in their audits or reports in accordance with contractual requirements and the contractor’s procedures.
SCOPE
1.1 This guide is intended to be used by entities engaged in contracts with the Government of the United States of America.
1.2 This guide applies to the current version of the FAR Government Property clause 52.245-1 dated January 2017. Entities with earlier or subsequently dated requirements/contracts should address any contractual difference when applying this guide.
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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- Guide8 pagesEnglish languagesale 15% off
This International Standard specifies requirements for a quality management system when an organization:
a) needs to demonstrate its ability to consistently provide products and services that meet customer and applicable statutory and regulatory requirements, and
b) aims to enhance customer satisfaction through the effective application of the system, including processes for improvement of the system and the assurance of conformity to customer and applicable statutory and regulatory requirements.
All the requirements of this International Standard are generic and are intended to be applicable to any organization, regardless of its type or size, or the products and services it provides.
NOTE 1 In this International Standard, the terms "product" or "service" only apply to products and services intended for, or required by, a customer.
NOTE 2 Statutory and regulatory requirements can be expressed as legal requirements.
This document gives guidelines for local governments on understanding and implementing a quality management system that meets the requirements of ISO 9001:2015, in order to meet the needs and expectations of their customers/citizens and all other relevant interested parties by consistently providing them with products and services.
It promotes implementing a quality management system in a responsible and accountable manner, through the application of ISO 9001 on a comprehensive basis. These guidelines do not add, change or modify the requirements of ISO 9001.
It is applicable to all local government processes at all levels (i.e. strategical, tactical-managerial and operational) in order to constitute a comprehensive quality management system that focuses on the local government achieving its objectives. The comprehensive character of this system is essential to ensure that all the areas of the local government have a specified level of reliability (i.e. effectiveness of the processes).
Annex A, as a starting point for users of this document, gives a diagnostic methodology for local governments to evaluate the scope and maturity of their processes and products and services. Annex B gives the processes necessary to provide reliable products and services to customers/citizens.
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This document establishes the basic principles and practices of legal interpreting services, and specifies the competences of legal interpreters. It also describes the various legal settings and provides recommendations for the corresponding interpreting modes.
It is applicable to all parties involved in facilitating communication between users of legal services using a spoken or signed language.
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- Standard – translation24 pagesSlovenian languagee-Library read for1 day
SIGNIFICANCE AND USE
5.1 This guide recommends practices and solutions for global supply chain information exchange for substances, preparations, and articles as identified by REACH. The first five annexes of REACH guidance standards serve as a central repository for REACH industry guidance that spans industry sectors and facilitates collaboration across complex global supply chains. Annexes 6-9 provide key EU guidance on information exchange in the supply chain.
5.2 Section 6 outlines the information that is to be exchanged in the supply chain both in the upstream and downstream directions.
SCOPE
1.1 This guide will assist companies that manufacture, buy, or sell, or both, substances, preparations, and articles to ensure that supply chains comply with the European Union’s Registration, Evaluation, and Authorization of Chemicals (REACH) regulation. This is accomplished by identifying the specific information elements that must be specified, requested and exchanged in communication between actors in the supply chain.
1.2 The values stated in SI units are to be regarded as standard. No other units of measurement are included in this standard.
1.3 This standard does not purport to address all of the safety concerns, if any, associated with its use. It is the responsibility of the user of this standard to establish appropriate safety, health, and environmental practices and determine the applicability of regulatory limitations prior to use.
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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- Guide46 pagesEnglish languagesale 15% off
SIGNIFICANCE AND USE
4.1 It is the intent of these principles in this practice to provide guidance for an effective and efficient system for receiving assets.
4.2 These principles are applicable to any organizational structure or any position having the responsibility for receiving assets on behalf of their entity.
SCOPE
1.1 This practice covers the process for verifying, recording, and reporting receipt of assets (that is, equipment, supplies, and material).
1.2 Entities use a variety of means to document the receipt of assets. This practice details the fundamental concepts of the receiving process.
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.
- Standard2 pagesEnglish languagesale 15% off
This International Standard specifies requirements for a quality management system when an organization: a) needs to demonstrate its ability to consistently provide products and services that meet customer and applicable statutory and regulatory requirements, and b) aims to enhance customer satisfaction through the effective application of the system, including processes for improvement of the system and the assurance of conformity to customer and applicable statutory and regulatory requirements. All the requirements of this International Standard are generic and are intended to be applicable to any organization, regardless of its type or size, or the products and services it provides. NOTE 1 In this International Standard, the terms "product" or "service" only apply to products and services intended for, or required by, a customer. NOTE 2 Statutory and regulatory requirements can be expressed as legal requirements. This document specifies requirements for a quality management system where an electoral organization: — needs to demonstrate its ability to manage elections by secret ballot, to provide reliable, transparent, free and fair results that comply with electoral requirements; — within the established legal framework, aims to enhance the trust and confidence of citizens, candidates, political organizations and other electoral interested parties through the effective implementation of the electoral quality management system, including processes for continual improvement. NOTE 3 Electoral bodies can be constituted to reflect local legal requirements. NOTE 4 In this document, the term "product" only applies to the electoral service provided by an electoral body. This document is applicable to the election period, including pre-election and post-election activities or processes. This document is applicable to all electoral bodies involved in any aspect of the electoral process, whether they are permanent organizations or temporary organizations established in support of a particular election period.
- Technical specification54 pagesEnglish languagesale 15% off
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This International Standard specifies requirements for a quality management system when an organization: a) needs to demonstrate its ability to consistently provide products and services that meet customer and applicable statutory and regulatory requirements, and b) aims to enhance customer satisfaction through the effective application of the system, including processes for improvement of the system and the assurance of conformity to customer and applicable statutory and regulatory requirements. All the requirements of this International Standard are generic and are intended to be applicable to any organization, regardless of its type or size, or the products and services it provides. NOTE 1 In this International Standard, the terms "product" or "service" only apply to products and services intended for, or required by, a customer. NOTE 2 Statutory and regulatory requirements can be expressed as legal requirements. This document gives guidelines for local governments on understanding and implementing a quality management system that meets the requirements of ISO 9001:2015, in order to meet the needs and expectations of their customers/citizens and all other relevant interested parties by consistently providing them with products and services. It promotes implementing a quality management system in a responsible and accountable manner, through the application of ISO 9001 on a comprehensive basis. These guidelines do not add, change or modify the requirements of ISO 9001. It is applicable to all local government processes at all levels (i.e. strategical, tactical-managerial and operational) in order to constitute a comprehensive quality management system that focuses on the local government achieving its objectives. The comprehensive character of this system is essential to ensure that all the areas of the local government have a specified level of reliability (i.e. effectiveness of the processes). Annex A, as a starting point for users of this document, gives a diagnostic methodology for local governments to evaluate the scope and maturity of their processes and products and services. Annex B gives the processes necessary to provide reliable products and services to customers/citizens.
- Standard87 pagesEnglish languagee-Library read for1 day
- Standard73 pagesEnglish languagesale 15% off
- Standard73 pagesEnglish languagesale 15% off
- Standard79 pagesFrench languagesale 15% off
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SIGNIFICANCE AND USE
5.1 Chain-of-custody procedures are a necessary element in a program to assure one’s ability to support data and conclusions adequately from the time samples are collected until sample disposal. In a legal or regulatory situation custody documentation alone is not sufficient. A complete data defensibility scheme should be followed that fits the given situation.
5.2 In applying the sample chain-of-custody procedures in this guide, it is assumed that all of the other elements of data defensibility have been applied, if applicable.
5.3 Because there is no definitive program that guarantees legal defensibility of data integrity in any given situation, this guide provides a description and discussion of a comprehensive list of possible elements of a chain-of-custody program, all of which have been employed in actual programs but are given as options for the development of a specific chain-of-custody program. In addition, within particular chain-of-custody elements, this guide proscribes certain activities to assure that if these options are chosen, they will be implemented properly.
SCOPE
1.1 This guide contains a comprehensive discussion of potential requirements, in the analysis of water, for a sample chain-of-custody program and describes the procedures involved in sample chain-of-custody. The purpose of these procedures is to provide accountability for and documentation of sample integrity from the time samples are collected until sample disposal.
1.2 These procedures are intended to document sample possession during each stage of a sample’s life cycle, that is, during collection, shipment, storage, and the process of analysis.
1.3 Sample chain-of-custody is just one aspect of the larger issue of data defensibility (see 3.2.2 and Appendix X1).
1.4 A sufficient chain-of-custody process, that is, one that provides sufficient evidence of sample integrity in a legal or regulatory setting, is situationally dependent. The procedures presented in this guide are generally considered sufficient to assure legal defensibility of sample integrity. In a given situation, less stringent measures may be adequate. It is the responsibility of the users of this guide to determine their exact needs. Legal counsel may be needed to make this determination.
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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SIGNIFICANCE AND USE
3.1 This practice establishes those elements of the expert’s opinion report which will make the report understandable to the intended recipient and focus on the technical aspects germane to the purpose for which the opinion is rendered.
SCOPE
1.1 This practice covers the scope of information to be contained in formal written technical reports which express the opinions of the scientific or technical expert with respect to the study of items that are or may reasonably be expected to be the subject of criminal or civil litigation.
1.2 If compliance with this practice is claimed, the justifications for any deviations from this practice must be documented.
1.3 This standard may involve hazardous materials, operations, and equipment. 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.
- Standard3 pagesEnglish languagesale 15% off
- Standard3 pagesEnglish languagesale 15% off
SIGNIFICANCE AND USE
4.1 Aircraft flying in national airspace are required by the ICAO Chicago Convention and national regulatory rules to have visible markings to determine nationality and registration. UAS shall comply with these rules, although small UAS will have unique rules or exemptions from existing rules due to their small size. This standard is designed to allow UAS to comply with these marking requirements in Annex 7 to the Convention on International Civil Aviation as amended by state regulatory rules.
4.2 Many ICAO states are assigning UAS to different classes and categories to define the rules UAS must operate under. The ICAO Annex 7 Standards and Recommended Practices (SARPS) apply to UAS Aircraft with the exception of small UAS. The classification of what constitutes a small UAS (sUAS) has been left to ICAO states and the rules under which sUAS operate are dictated by each state.
4.3 This practice follows ICAO Annex 7 SARPS except in areas where the unique aspects of UAS may not allow compliance. In these cases, this document will address the issue and recommend the need for an alternate compliance method.
SCOPE
1.1 This practice prescribes guidelines for the display of marks to indicate appropriate UAS registration and ownership for all Unmanned Aircraft Systems (UAS) except those categorized as small UAS (sUAS) by regulatory authorities. The FAA is developing a Special Federal Aviation Regulation (SFAR) to define the term small UAS and provide regulations for these aircraft.
1.2 This practice will allow determination of nationality in cases where UAS may cross international boundaries.
1.3 This practice does not apply to sUAS. The International Civil Aviation Organization (ICAO) has left the designation of sUAS to each state and the states will develop rules and regulations for sUAS.
1.4 This practice does not apply to model aircraft.
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.
- Standard3 pagesEnglish languagesale 15% off
SIGNIFICANCE AND USE
3.1 The goal of this guide is to reduce the incidence and impact of perjured testimony in administrative proceedings and in the criminal, civil and family court systems.
3.2 It is a mathematically established statistical principle that the probability of two independent events both occurring is the algebraic product of the probabilities of either event occurring alone.3
3.3 In litigation, the situation frequently arises:
3.3.1 That witnesses from opposite sides offer diametrically contradictory testimony regarding a fact or facts, such that one must almost certainly be lying, and
3.3.2 That witnesses from one side corroborate each other's testimony, such that either both must be telling the truth, or both must be lying.
3.4 Where both witnesses are examined regarding a fact:
3.4.1 By PDD examiners who have personally established that the level of accuracy they are able to achieve meets or exceeds requirements established by the courts of the jurisdiction.
3.4.2 The results when taken together support a strong common inference about the respective deceptiveness of the subjects.
3.4.3 If the minimum accuracy is set at 86 %, the probability that the inference will be wrong is less than 2.00 %. If the minimum accuracy is set at 90 %, the probability that the inference will be wrong is no higher than 1.00 %.
3.5 When more than two witnesses are examined by such examiners about a fact and all results support a common inference about the deceptiveness of the subjects regarding that fact, the probability that the inference will be wrong is even lower, in accordance with the statistical principle.
3.6 The validity of this guide rests on evidence that competent examiners are personally capable of achieving sufficient accuracy.
3.6.1 Determination of examiners' competence must be based not primarily on their training, years of experience, or the number of tests they have conducted, but on their personally demonstrated capability of the particip...
SCOPE
1.1 This is a guide for the derivation of quantitative assessments of the credibility of proposed witness testimony through the application of established statistical principles to combinations of PDD examination results, and for the utilization of such assessments in the interests of justice (The Marin Protocol).
1.2 This guide describes circumstances in which proven statistical principles, applied to PDD results, can reliably quantify the trustworthiness or untrustworthiness of witness testimony, and
1.2.1 Delineates requirements necessary to effect the generation and practical use of such results, including:
1.2.1.1 Criteria regarding witnesses to be examined,
1.2.1.2 Criteria for determining facts upon which witnesses are to be examined,
1.2.1.3 Certification of examiners eligible to conduct examinations,
1.2.1.4 Combinations of results which support strong inferences, and
1.2.1.5 Appropriate uses to which strong inferences can be put.
1.3 Courts and others responsible for adjudicating questions of fact may choose whether and when to invoke paired PDD testing.
1.3.1 This guide expresses the rights and obligations of all participants in order to best serve the interests of justice when it is invoked.
1.3.2 Paired PDD testing must not be invoked in any case in any jurisdiction where to do so would violate the laws of that jurisdiction.
1.3.3 Adherence to these guidelines ensures that the conclusions reached will be valid.
1.4 This guide is directed to the proposed testimony of witnesses in criminal, civil, administrative and family court litigation, regarding factual claims, where
1.4.1 It is unlikely that the witnesses could be honestly mistaken, and
1.4.2 The facts in dispute are such that the case may hinge on whom the trier of fact believes; whenever,
1.4.3 Witnesses on opposite sides of a case offer contradictory testimony.
1.4.4 Two or more witnesses testifying for one s...
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This European Standard aims at providing, in accordance with the EU legislation, competency requirements for customs representatives.
- Standard37 pagesEnglish languagee-Library read for1 day
This European Standard aims at providing, in accordance with the EU legislation, competency requirements for customs representatives.
- Standard37 pagesEnglish languagee-Library read for1 day
This European Standard:
- specifies terms used in specifying protection profiles for secure signature creation devices,
- specifies functional and operational requirements for secure signature creation devices,
- describes the targets of evaluation for these protection profiles.
- Standard21 pagesEnglish languagee-Library read for1 day
This European Standard specifies a protection profile for a secure signature creation device that may import signing keys and communicate with the signature creation application in protected manner: secure signature creation device with key import and trusted communication with signature creation application (SSCD KI TCSCA).
- Standard24 pagesEnglish languagee-Library read for1 day
This European Standard specifies a protection profile for a secure signature creation device that may generate signing keys internally and communicate with the signature creation application in protected manner: secure signature creation device with key generation and trusted communication with signature creation application (SSCD KG TCSCA).
- Standard24 pagesEnglish languagee-Library read for1 day
This European Standard specifies a protection profile for a secure signature creation device that may generate signing keys internally and export the public key in protected manner: secure signature creation device with key generation and trusted communication with certificate generation application (SSCD KG TCCGA).
- Standard25 pagesEnglish languagee-Library read for1 day
This European Standard specifies a protection profile for a secure signature creation device with signing keys import possibility: SSCD with key import (SSCD KI).
- Standard45 pagesEnglish languagee-Library read for1 day
This European Standard specifies a protection profile for a secure signature creation device that may generate signing keys internally: secure signature creation device with key generation (SSCD KG).
- Standard42 pagesEnglish languagee-Library read for1 day
This European Standard applies to breath alcohol test devices which measure the concentration of alcohol contained in an exhaled breath sample intended to be used for screening or preliminary testing. This standard specifies requirements for basic safety and performance, test methods and requirements for marking, labelling and operating instructions.
This standard gives guidelines for type approval procedure consisting of a number of technical performance tests, but excluding in vivo tests, that are carried out on devices supplied by the manufacturers.
In vivo tests, which are designed to test the ability of the device to work with real subjects, may be arranged in compliance with national requirements.
This standard is not applicable to devices covered by OIML R 126:1998 (Evidential breath analyzers) or single use testers.
Devices are designed for law enforcement.
- Standard33 pagesEnglish languagee-Library read for1 day
SIGNIFICANCE AND USE
2.1 These terms have particular application to the scientific discipline of forensic psychophysiology. In addition, a hierarchy of sources of definitions are used in the development of this terminology. The hierarchy is as follows: Websters's New World Dictionary, Third College Edition; technical dictionaries; and the Compilation of ASTM Standard Definitions. The subcommittee developed a suitable definition after all of the sources in the hierarchy are found wanting.
SCOPE
1.1 This is a compilation of terms and corresponding definitions used in forensic psychophysiology. Legal or scientific terms that generally are understood or defined adequately in other readily available sources may not be included.
1.2 A definition is a single sentence with additional information included in notes. It is reviewed every five years, and the year of the last review or revision is appended.
1.3 Definitions identical to those published by another standards organization or ASTM committee are identified with the abbreviation of the name of the organization or the identifying document and ASTM committee; for example, ASME is the American Society of Mechanical Engineering.
1.4 Definitions of terms specific to a particular field are identified with an abbreviation.
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.
- Standard4 pagesEnglish languagesale 15% off
- Standard4 pagesEnglish languagesale 15% off
- Standard4 pagesEnglish languagesale 15% off
SIGNIFICANCE AND USE
4.1 The intent of this guide is to provide a foundation for the minimum effective internal assessment of a contractor’s Government property management system. A contractor may incorporate all or part of this guide in accordance with its established procedures and operating environment. Self assessment should be used to identify deficiencies, related increases to risk, and to serve as a method for obtaining correction to those deficiencies, independent of, and often in advance of, a Government audit, review or assessment. It should also be used to assist in determining the effective assignment of property management resources; and to serve as a method for promoting continuous improvement in property management practices. Self assessments, in and of themselves may not be sufficiently independent to address external or Government review, assessment, or audit requirements.
4.2 To the extent possible, a CSA program should provide a level of objectivity similar to that of a property management system analysis performed by a Government or other external auditor. Individuals who perform assessments should not be the same individuals who perform the functions being tested when sufficient resources are available. The contractor’s official written procedures should identify functional positions responsible for performing the self assessment and address management controls used to maintain independence and prevent conflicts of interest whenever individuals who perform property functions also participate in CSA activities.
4.3 The results of the CSA alone do not determine adequacy or inadequacy of the contractor’s Government property management system but should identify the level of risk presented by the contractor’s business practices. The results of the CSA should be made available to external auditors or reviewers for potential inclusion in their audits or reports in accordance with contractual requirements and the contractor’s procedures.
SCOPE
1.1 This guide is intended to be used by entities engaged in contracts with the Government of the United States of America.
1.2 This guide applies to the current version of the FAR Government Property clause 52.245-1 dated April 2012. Entities with earlier or subsequently dated requirements/contracts should address any contractual difference when applying this guide.
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 and health practices and determine the applicability of regulatory limitations prior to use.
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SIGNIFICANCE AND USE
4.1 It is the intent of these principles in this practice to provide guidance for an effective and efficient system for receiving assets.
4.2 These principles are applicable to any organizational structure or any position having the responsibility for receiving assets on behalf of their entity.
SCOPE
1.1 This practice covers the process for verifying, recording, and reporting receipt of assets (that is, equipment, supplies, and material).
1.2 Entities use a variety of means to document the receipt of assets. This practice details the fundamental concepts of the receiving process.
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 and health practices and determine the applicability of regulatory limitations prior to use.
- Standard2 pagesEnglish languagesale 15% off
- Standard2 pagesEnglish languagesale 15% off
SIGNIFICANCE AND USE
4.1 This practice establishes a standard equipment control methodology to aid in fulfillment of shortages derived from production requirements or equipment failures.
4.2 This practice encourages an inclusive understanding and communication of the control and tracking of equipment, and enables meaningful discussion between parties with interest in the equipment.
4.3 This practice is intended to foster and enable additional standard practices related to or based on these terms and concepts.
SCOPE
1.1 This practice covers the process by which open production and failure related demand requirements are fulfilled using existing equipment components.Note 1—Differing approval requirements are generally dictated by ownership issues. For example, approvals for cannibalization/reclamation of company-owned property may vary substantially from that required for customer-owned property. In all cases, the specific approach to approvals and the levels of approval required are prescribed by the entity with title to/ownership of the property. These requirements are internal to the owning entity. In general, company-owned property is handled in accordance with established practice specific to each individual entity while customer-owned property is handled based upon established practices specific to each entity or as specified within a contractual document.
1.2 This practice is intended to be applicable and appropriate for all equipment-holding entities.
1.3 This practice covers property categorized as equipment.
1.4 This practice can be applied on to an individual item of equipment, groupings of equipment, or to all, or a subset of an entity's equipment.
1.5 This practice clarifies and enables effective and efficient support of equipment in accordance with the provisions of Practice E2279.
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 and health practices and determine the applicability of regulatory limitations prior to use.
- Standard2 pagesEnglish languagesale 15% off
ISO/TS 17582:2014 specifies requirements for a quality management system where an electoral organization
needs to demonstrate its ability to manage elections by secret ballot, which provide reliable, transparent, free and fair results that comply with electoral requirements;
within the established legal framework, aims to enhance the trust and confidence of citizens, candidates, political organizations, and other electoral interested parties through the effective implementation of the electoral quality management system, including processes for continual improvement.
ISO/TS 17582:2014 applies to the election period, including pre-election and post-election activities or processes.
ISO/TS 17582:2014 applies to all electoral bodies involved in any aspect of the electoral process, whether they are permanent organizations or temporary organizations established in support of a particular election period.
ISO/TS 17582:2014 is applicable to elections at all levels of government, whether local, regional or national.
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SIGNIFICANCE AND USE
These terms have particular application to the scientific discipline of forensic psychophysiology. In addition, a hierarchy of sources of definitions are used in the development of this terminology. The hierarchy is as follows: Websters's New World Dictionary, Third College Edition; technical dictionaries; and the Compilation of ASTM Standard Definitions. The subcommittee developed a suitable definition after all of the sources in the hierarchy are found wanting.
SCOPE
1.1 This is a compilation of terms and corresponding definitions used in forensic psychophysiology. Legal or scientific terms that generally are understood or defined adequately in other readily available sources may not be included.
1.2 A definition is a single sentence with additional information included in notes. It is reviewed every five years, and the year of the last review or revision is appended.
1.3 Definitions identical to those published by another standards organization or ASTM committee are identified with the abbreviation of the name of the organization or the identifying document and ASTM committee; for example, ASME is the American Society of Mechanical Engineering.
1.4 Definitions of terms specific to a particular field are identified with an abbreviation.
- Standard4 pagesEnglish languagesale 15% off
- Standard4 pagesEnglish languagesale 15% off
SCOPE
1.1 Standard guide for the derivation of quantitative assessments of the credibility of proposed witness testimony through the application of established statistical principles to combinations of PDD examination results, and for the utilization of such assessments in the interests of justice (The Marin Protocol)
1.2 This standard describes circumstances in which proven statistical principles, applied to PDD results, can reliably quantify the trustworthiness or untrustworthiness of witness testimony, and
1.2.1 Delineates requirements necessary to effect the generation and practical use of such results, including:
1.2.1.1 Criteria regarding witnesses to be examined,
1.2.1.2 Criteria for determining facts upon which witnesses are to be examined,
1.2.1.3 Certification of examiners eligible to conduct examinations,
1.2.1.4 Combinations of results which support strong inferences, and
1.2.1.5 Appropriate uses to which strong inferences can be put.
1.3 Courts and others responsible for adjudicating questions of fact may choose whether and when to invoke paired PDD testing.
1.3.1 This guide expresses the rights and obligations of all participants in order to best serve the interests of justice when it is invoked.
1.3.2 Paired PDD testing must not be invoked in any case in any jurisdiction where to do so would violate the laws of that jurisdiction.
1.3.3 Adherence to these guidelines ensures that the conclusions reached will be valid.
1.4 This standard is directed to the proposed testimony of witnesses in criminal, civil, administrative and family court litigation, regarding factual claims, where
1.4.1 It is unlikely that the witnesses could be honestly mistaken, and
1.4.2 The facts in dispute are such that the case may hinge on whom the trier of fact believes; whenever,
1.4.3 Witnesses on opposite sides of a case offer contradictory testimony.
1.4.4 Two or more witnesses testifying for one side offer mutually corroborating testimony.
- Guide4 pagesEnglish languagesale 15% off
SIGNIFICANCE AND USE
This practice establishes those elements of the expert's opinion report which will make the report understandable to the intended recipient and focus on the technical aspects germane to the purpose for which the opinion is rendered.
SCOPE
1.1 This practice covers the scope of information to be contained in formal written technical reports which express the opinions of the scientific or technical expert with respect to the study of items that are or may reasonably be expected to be the subject of criminal or civil litigation.
1.2 If compliance with this standard is claimed, the justifications for any deviations from this standard must be documented.
1.3 This standard may involve hazardous materials, operations, and equipment. This standard does not purport to address all of the safety concerns associated with its use. It is the responsibility of whoever uses this standard to consult and establish appropriate safety and health practices and determine the applicability of regulatory limitations prior to use.
- Standard2 pagesEnglish languagesale 15% off
- Standard2 pagesEnglish languagesale 15% off
SIGNIFICANCE AND USE
These terms have particular application to the scientific discipline of forensic psychophysiology. In addition, a hierarchy of sources of definitions are used in the development of this terminology. The hierarchy is as follows: Websters's New World Dictionary, Third College Edition; technical dictionaries; and the Compilation of ASTM Standard Definitions. The subcommittee developed a suitable definition after all of the sources in the hierarchy are found wanting.
SCOPE
1.1 This is a compilation of terms and corresponding definitions used in forensic psychophysiology. Legal or scientific terms that generally are understood or defined adequately in other readily available sources may not be included.
1.2 A definition is a single sentence with additional information included in notes. It is reviewed every five years, and the year of the last review or revision is appended.
1.3 Definitions identical to those published by another standards organization or ASTM committee are identified with the abbreviation of the name of the organization or the identifying document and ASTM committee; for example, ASME is the American Society of Mechanical Engineering.
1.4 Definitions of terms specific to a particular field are identified with an abbreviation.
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- Standard4 pagesEnglish languagesale 15% off
SIGNIFICANCE AND USE
The procedures outlined here are grounded in the generally accepted body of knowledge and experience in the field of forensic document examination and related fields. By following these procedures, a forensic document examiner can reliably process charred documents to optimize their preservation.
SCOPE
1.1 This guide provides procedures that should be used by forensic document examiners (Guide E444) for the preservation of charred documents.
1.2 These procedures include evaluation of the sufficiency of the material requiring preservation.
1.3 The particular methods employed in a given case will depend upon the nature of the material available for preservation.
1.4 This guide does not cover all procedures to preserve charred documents. Consultation with a document conservationist, archivist, or related material expert, as well as reference materials, may be necessary.
1.5 This guide does not replace knowledge, skill, ability, experience, education, or training (Guide E2388) and should be used in conjunction with professional judgment.
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 and health practices and determine the applicability of regulatory limitations prior to use.
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SIGNIFICANCE AND USE
This guide recommends practices and solutions for global supply chain information exchange for substances, preparations, and articles as identified by REACH. The first five annexes of REACH guidance standards serve as a central repository for REACH industry guidance that spans industry sectors and facilitates collaboration across complex global supply chains. Annexes 6-9 provide key EU guidance on information exchange in the supply chain.
Section 6 outlines the information that is to be exchanged in the supply chain both in the upstream and downstream directions. Fig. 4 provides a schematic depicting data flow in the upstream and downstream directions. A list of the elements to be included in this exchange is represented in Tables 1-5 that capture the necessary data fields for information exchange. Case studies 1-3 in Annex A1-Annex A3 provide three sample scenarios wherein a customer and supplier complete these five tables to exchange data to address their REACH compliance issues.
SCOPE
1.1 This guide will assist companies that manufacture, buy, or sell, or both, substances, preparations, and articles to ensure that supply chains comply with the European Union’s Registration, Evaluation, and Authorization of Chemicals (REACH) regulation. This is accomplished by identifying the specific information elements that must be specified, requested and exchanged in communication between actors in the supply chain.
1.2 The values stated in SI units are to be regarded as standard. No other units of measurement are included in this standard.
1.3 This standard does not purport to address all of the safety concerns, if any, associated with its use. It is the responsibility of the user of this standard to establish appropriate safety and health practices and determine the applicability of regulatory limitations prior to use.
- Guide46 pagesEnglish languagesale 15% off
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SIGNIFICANCE AND USE
Aircraft flying in national airspace are required by the ICAO Chicago Convention and national regulatory rules to have visible markings to determine nationality and registration. UAS shall comply with these rules, although small UAS will have unique rules or exemptions from existing rules due to their small size. This standard is designed to allow UAS to comply with these marking requirements in Annex 7 to the Convention on International Civil Aviation as amended by state regulatory rules.
Many ICAO states are assigning UAS to different classes and categories to define the rules UAS must operate under. The ICAO Annex 7 Standards and Recommended Practices (SARPS) apply to UAS Aircraft with the exception of small UAS. The classification of what constitutes a small UAS (sUAS) has been left to ICAO states and the rules under which sUAS operate are dictated by each state.
This practice follows ICAO Annex 7 SARPS except in areas where the unique aspects of UAS may not allow compliance. In these cases, this document will address the issue and recommend the need for an alternate compliance method.
SCOPE
1.1 This practice prescribes guidelines for the display of marks to indicate appropriate UAS registration and ownership for all Unmanned Aircraft Systems (UAS) except those categorized as small UAS (sUAS) by regulatory authorities. The FAA is developing a Special Federal Aviation Regulation (SFAR) to define the term small UAS and provide regulations for these aircraft.
1.2 This practice will allow determination of nationality in cases where UAS may cross international boundaries.
1.3 This practice does not apply to sUAS. The International Civil Aviation Organization (ICAO) has left the designation of sUAS to each state and the states will develop rules and regulations for sUAS.
1.4 This practice does not apply to model aircraft.
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.
- Standard3 pagesEnglish languagesale 15% off
SIGNIFICANCE AND USE
These terms have particular application to the scientific discipline of forensic psychophysiology. In addition, a hierarchy of sources of definitions are used in the development of this terminology. The hierarchy is as follows: Websters's New World Dictionary, Third College Edition; technical dictionaries; and the Compilation of ASTM Standard Definitions. The subcommittee developed a suitable definition after all of the sources in the hierarchy are found wanting.
SCOPE
1.1 This is a compilation of terms and corresponding definitions used in forensic psychophysiology. Legal or scientific terms that generally are understood or defined adequately in other readily available sources may not be included.
1.2 A definition is a single sentence with additional information included in notes. It is reviewed every five years, and the year of the last review or revision is appended.
1.3 Definitions identical to those published by another standards organization or ASTM committee are identified with the abbreviation of the name of the organization or the identifying document and ASTM committee; for example, ASME is the American Society of Mechanical Engineering.
1.4 Definitions of terms specific to a particular field are identified with an abbreviation.
- Standard4 pagesEnglish languagesale 15% off
- Standard4 pagesEnglish languagesale 15% off
SIGNIFICANCE AND USE
These terms have particular application to the scientific discipline of forensic psychophysiology. In addition, a hierarchy of sources of definitions are used in the development of this terminology. The hierarchy is as follows: Websters's New World Dictionary, Third College Edition; technical dictionaries; and the Compilation of ASTM Standard Definitions. The subcommittee developed a suitable definition after all of the sources in the hierarchy are found wanting.
SCOPE
1.1 This is a compilation of terms and corresponding definitions used in forensic psychophysiology. Legal or scientific terms that generally are understood or defined adequately in other readily available sources may not be included.
1.2 A definition is a single sentence with additional information included in notes. It is reviewed every five years, and the year of the last review or revision is appended.
1.3 Definitions identical to those published by another standards organization or ASTM committee are identified with the abbreviation of the name of the organization or the identifying document and ASTM committee; for example, ASME is the American Society of Mechanical Engineering.
1.4 Definitions of terms specific to a particular field are identified with an abbreviation.
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- Standard4 pagesEnglish languagesale 15% off
SIGNIFICANCE AND USE
Chain-of-custody procedures are a necessary element in a program to assure one's ability to support data and conclusions adequately in a legal or regulatory situation, but custody documentation alone is not sufficient. A complete data defensibility scheme should be followed.
In applying the sample chain-of-custody procedures in this guide, it is assumed that all of the other elements of data defensibility have been applied, if applicable.
SCOPE
1.1 This guide contains a comprehensive discussion of potential requirements for a sample chain-of-custody program and describes the procedures involved in sample chain-of-custody. The purpose of these procedures is to provide accountability for and documentation of sample integrity from the time samples are collected until sample disposal.
1.2 These procedures are intended to document sample possession during each stage of a sample's life cycle, that is, during collection, shipment, storage, and the process of analysis.
1.3 Sample chain-of-custody is just one aspect of the larger issue of data defensibility (see 3.2.2 and Appendix X1).
1.4 A sufficient chain-of-custody process, that is, one that provides sufficient evidence of sample integrity in a legal or regulatory setting, is situationally dependent. The procedures presented in this guide are generally considered sufficient to assure legal defensibility of sample integrity. In a given situation, less stringent measures may be adequate. It is the responsibility of the users of this guide to determine their exact needs. Legal counsel may be needed to make this determination.
1.5 Because there is no definitive program that guarantees legal defensibility of data integrity in any given situation, this guide provides a description and discussion of a comprehensive list of possible elements of a chain-of-custody program, all of which have been employed in actual programs but are given as options for the development of a specific chain-of-custody program. In addition, within particular chain-of-custody elements, this guide proscribes certain activities to assure that if these options are chosen, they will be implemented properly.
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 and health practices and determine the applicability of regulatory limitations prior to use.
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SIGNIFICANCE AND USE
The maintenance of confidentiality in paper-based, electronic, or computer-based health information requires that policies and procedures be in place to protect confidentiality. Confidentiality of information depends on structural and explicit mechanisms to allow persons or systems to define who has access to what, and in what situation that access is granted. For guidelines on the development and implementation of privilege management infrastructures supporting these mechanisms, see Guide E2595.
Confidential protection of data elements is a specific requirement. The classification of data elements into restrictive and specifically controlled categories is set by policies, professional practice, and laws, legislation, and regulations.
There are three explicit concepts upon which the use of and access to health information confidentiality are defined. Each of these concepts is an explicit and unique characteristic relevant to confidentiality, but only through the combination (convergence) of all three concepts can appropriate access to an explicit data element at a specific point in time be provided, and unauthorized access denied. The three concepts are:
The categorization and breakdown of data into logical and reasonable elements or entities.
The identification of individual roles or job functions.
The establishment of context and conditions of data use at a specific point in time, and within a specific setting.
The overriding principle in preserving the confidentiality of information is to provide access to that information only under circumstances and to individuals when there is an absolute, established, and recognized need to access that data, and the information accessed should itself be constrained only to that information essential to accomplish a defined and recognized task or process. Information nonessential to that task or process should ideally not be accessible, even though an individual accessing that information may have some general righ...
SCOPE
1.1 This guide covers the process of granting and maintaining access privileges to health information. It directly addresses the maintenance of confidentiality of personal, provider, and organizational data in the healthcare domain. It addresses a wide range of data and data elements not all traditionally defined as healthcare data, but all elemental in the provision of data management, data services, and administrative and clinical healthcare services. In addition, this guide addresses specific requirements for granting access privileges to patient-specific health information during health emergencies.
1.2 This guide is based on long-term existing and established professional practices in the management of healthcare administrative and clinical data. Healthcare data, and specifically healthcare records (also referred to as medical records or patient records), are generally managed under similar professional practices throughout the United States, essentially regardless of specific variations in local, regional, state, and federal laws regarding rules and requirements for data and record management.
1.3 This guide applies to all individuals, groups, organizations, data-users, data-managers, and public and private firms, companies, agencies, departments, bureaus, service-providers, and similar entities that collect individual, group, and organizational data related to health care.
1.4 This guide applies to all collection, use, management, maintenance, disclosure, and access of all individual, group, and organizational data related to health care.
1.5 This guide does not attempt to address specific legislative and regulatory issues regarding individual, group, and organizational rights to protection of privacy.
1.6 This guide covers all methods of collection and use of data whether paper-based, written, printed, typed, dictated, transcribed, forms-based, photocopied, scanned, facsimile, telefax, magnetic media, ...
- Guide13 pagesEnglish languagesale 15% off
- Guide13 pagesEnglish languagesale 15% off
SIGNIFICANCE AND USE
This practice establishes a standard equipment control methodology to aid in fulfillment of shortages derived from production requirements or equipment failures.
This practice encourages an inclusive understanding and communication of the control and tracking of equipment, and enables meaningful discussion between parties with interest in the equipment.
This practice is intended to foster and enable additional standard practices related to or based on these terms and concepts.
SCOPE
1.1 This practice describes the process by which open production and failure related demand requirements are fulfilled using existing equipment components.
Note 1—Differing approval requirements are generally dictated by ownership issues. For example, approvals for cannibalization/reclamation of company-owned property may vary substantially from that required for customer-owned property. In all cases, the specific approach to approvals and the levels of approval required are prescribed by the entity with title to/ownership of the property. These requirements are internal to the owning entity. In general, company-owned property is handled in accordance with established practice specific to each individual entity while customer-owned property is handled based upon established practices specific to each entity or as specified within a contractual document.
1.2 This practice is intended to be applicable and appropriate for all equipment-holding entities.
1.3 This practice covers property categorized as equipment.
1.4 This practice can be applied on to an individual item of equipment, groupings of equipment, or to all, or a subset of an entity's equipment.
1.5 This practice clarifies and enables effective and efficient support of equipment in accordance with the provisions of Practice E 2279.
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 and health practices and determine the applicability of regulatory limitations prior to use.
- Standard2 pagesEnglish languagesale 15% off
SIGNIFICANCE AND USE
This guide recommends practices and solutions for global supply chain information exchange for substances, preparations, and articles as identified by REACH. The first five annexes of REACH guidance standards serve as a central repository for REACH industry guidance that spans industry sectors and facilitates collaboration across complex global supply chains. Annexes 6-9 provide key EU guidance on information exchange in the supply chain.
Section 6 outlines the information that is to be exchanged in the supply chain both in the upstream and downstream directions. Fig. 4 provides a schematic depicting data flow in the upstream and downstream directions. A list of the elements to be included in this exchange is represented in Tables 1-5 that capture the necessary data fields for information exchange. Case studies 1-3 in Annex A1-Annex A3 provide three sample scenarios wherein a customer and supplier complete these five tables to exchange data to address their REACH compliance issues.
SCOPE
1.1 This guide will assist companies that manufacture, buy, or sell, or both, substances, preparations, and articles to ensure that supply chains comply with the European Union’s Registration, Evaluation, and Authorization of Chemicals (REACH) regulation. This is accomplished by identifying the specific information elements that must be specified, requested and exchanged in communication between actors in the supply chain.
1.2 The values stated in SI units are to be regarded as standard. No other units of measurement are included in this standard.
1.3 This standard does not purport to address all of the safety concerns, if any, associated with its use. It is the responsibility of the user of this standard to establish appropriate safety and health practices and determine the applicability of regulatory limitations prior to use.
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SIGNIFICANCE AND USE
It is the intent of these principles in this practice to provide guidance for an effective and efficient system for receiving property.
These principles are applicable to any organizational structure or any position having the responsibility for receiving tangible property on behalf of their entity.
SCOPE
1.1 This practice covers the process for verifying, recording, and reporting receipt of tangible personal property (that is, equipment, supplies, and material).
1.2 Entities use a variety of means to document the receipt of property. This practice details the fundamental concepts of the receiving process.
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 and health practices and determine the applicability of regulatory limitations prior to use.
- Standard3 pagesEnglish languagesale 15% off
SIGNIFICANCE AND USE
These terms have particular application to the scientific discipline of forensic psychophysiology. In addition, a hierarchy of sources of definitions are used in the development of this terminology. The hierarchy is as follows: Websters's New World Dictionary, Third College Edition; technical dictionaries; and, the Compilation of ASTM Standard Definitions. The subcommittee developed a suitable definition after all of the sources in the hierarchy are found wanting.
SCOPE
1.1 This is a compilation of terms and corresponding definitions used in forensic psychophysiology. Legal or scientific terms that generally are understood or defined adequately in other readily available sources may not be included.
1.2 A definition is a single sentence with additional information included in notes. It is reviewed every five years, and the year of the last review or revision is appended.
1.3 Definitions identical to those published by another standards organization or ASTM committee are identified with the abbreviation of the name of the organization or the identifying document and ASTM committee; for example, ASME is the American Society of Mechanical Engineering.
1.4 Definitions of terms specific to a particular field are identified with an abbreviation.
- Standard4 pagesEnglish languagesale 15% off
- Standard4 pagesEnglish languagesale 15% off
SCOPE
1.1 This is a compilation of terms and corresponding definitions used in forensic psychophysiology. Legal or scientific terms that generally are understood or defined adequately in other readily available sources may not be included.
1.2 A definition is a single sentence with additional information included in notes. It is reviewed every five years, and the year of the last review or revision is appended.
1.3 Definitions identical to those published by another standards organization or ASTM committee are identified with the abbreviation of the name of the organization or the identifying document and ASTM committee; for example, ASME is the American Society of Mechanical Engineering.
1.4 Definitions of terms specific to a particular field are identified with an abbreviation.
- Standard4 pagesEnglish languagesale 15% off
SIGNIFICANCE AND USE
The maintenance of confidentiality in paper-based, electronic, or computer-based health information requires that policies and procedures be in place to protect confidentiality. Confidentiality of information depends on structural and explicit mechanisms to allow persons or systems to define who has access to what, and in what situation that access is granted.
Confidential protection of data elements is a specific requirement. The classification of data elements into restrictive and specifically controlled categories is set by policies, professional practice, and laws, legislation, and regulations.
There are three explicit concepts upon which the use of and access to health information confidentiality are defined. Each of these concepts is an explicit and unique characteristic relevant to confidentiality, but only through the combination (convergence) of all three concepts can appropriate access to an explicit data element at a specific point in time be provided, and unauthorized access denied. The three concepts are:
4.3.1 The categorization and breakdown of data into logical and reasonable elements or entities.
4.3.2 The identification of individual roles or job functions.
4.3.3 The establishment of context and conditions of data use at a specific point in time, and within a specific setting.
The overriding principle in preserving the confidentiality of information is to provide access to that information only under circumstances and to individuals when there is an absolute, established, and recognized need to access that data, and the information accessed should itself be constrained only to that information essential to accomplish a defined and recognized task or process. Information nonessential to that task or process should ideally not be accessible, even though an individual accessing that information may have some general right of access to that information.
SCOPE
1.1 This guide covers the process of granting and maintaining access privileges to health information. It directly addresses the maintenance of confidentiality of personal, provider, and organizational data in the healthcare domain. It addresses a wide range of data and data elements not all traditionally defined as healthcare data, but all elemental in the provision of data management, data services, and administrative and clinical healthcare services. In addition, this guide addresses specific requirements for granting access privileges to patient-specific health information during health emergencies.
1.2 This guide is based on long-term existing and established professional practices in the management of healthcare administrative and clinical data. Healthcare data, and specifically healthcare records (also referred to as medical records or patient records), are generally managed under similar professional practices throughout the United States, essentially regardless of specific variations in local, regional, state, and federal laws regarding rules and requirements for data and record management.
1.3 This guide applies to all individuals, groups, organizations, data-users, data-managers, and public and private firms, companies, agencies, departments, bureaus, service-providers, and similar entities that collect individual, group, and organizational data related to health care.
1.4 This guide applies to all collection, use, management, maintenance, disclosure, and access of all individual, group, and organizational data related to health care.
1.5 This guide does not attempt to address specific legislative and regulatory issues regarding individual, group, and organizational rights to protection of privacy.
1.6 This guide covers all methods of collection and use of data whether paper-based, written, printed, typed, dictated, transcribed, forms-based, photocopied, scanned, facsimile, telefax, magnetic media, image, video, motion picture, still picture, film, microfilm, animation, 3D, audio, digital media...
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SIGNIFICANCE AND USE
This practice establishes those elements of the expert’opinion report which will make the report understandable to the intended recipient and focus on the technical aspects germane to the purpose for which the opinion is rendered.
Compliance with this standard is intended to ensure compliance with the reporting requirements set forth in ISO/IEC 17025.
SCOPE
1.1 This practice covers the scope of information to be contained in formal written technical reports which express the opinions of the scientific or technical expert with respect to the study of items that are or may reasonably be expected to be the subject of criminal or civil litigation.
1.2 If compliance with this standard is claimed, the justifications for any deviations from this standard must be documented.
1.3 This standard may involve hazardous materials, operations, and equipment. This standard does not purport to address all of the safety concerns associated with its use. It is the responsibility of whoever uses this standard to consult and establish appropriate safety and health practices and determine the applicability of regulatory limitations prior to use.
- Standard2 pagesEnglish languagesale 15% off