Standards
1.1 This standard specifies:
(a) requirements for the manufacturing, alloying and testing of gold articles of 23, 22, 20, 18, 15, 14, 12, 10 and 9 kt gold;
(b) requirements for findings and solders to be used in the manufacture of gold articles;
(c) methods for assaying gold, alloyed gold, solder, findings and gold articles;
(d) non-destructive testing of gold articles by X-ray fluorescence spectroscopy (XRF); and
(e) requirements for making and labelling of imported gold articles.
NOTE 1 It does not specify requirements for design of gold articles and does not apply to gold articles intended for industrial purpose such as dentistry, electronics, official coins, gold bars and other such uses.
This standard specifies:
a a) requirements for the manufacturing, alloying and testing of gold articles of 23, 22, 20, 18, 15, 14,12, 10 and 9 kt gold;
b b) requirements for findings and solders to be used in the manufacture of gold articles;
c c) methods for assaying gold, alloyed gold, solder, findings and gold articles; and
d d) requirements for marking and labelling of imported gold articles.
NNOTE It does not specify requirements for design of gold articles and does not apply to gold articles intended for industrial purposes such as dentistry, electronics, official coins, gold bars and other such uses.
This document specifies the requirements for the audit and certification of a food safety management system (FSMS) complying with the requirements given in ISO 22000 (or other specified FSMS requirements). It also provides the necessary information and confidence to customers about the way certification of their suppliers has been granted.
Certification of FSMS is a third-party conformity assessment activity (as described in ISO/IEC 17000:2020, 4.3), and bodies performing this activity are third-party conformity assessment bodies.
NOTE 1 In this document, the terms “product” and “service” are used separately (in contrast with the definition of “product” given in ISO/IEC 17000).
NOTE 2 This document can be used as a criteria document for the accreditation or peer assessment of certification bodies which seek to be recognized as being competent to certify that an
FSMS complies with ISO 22000 or other sets of specified FSMS requirements. It is also intended to be used as a criteria document by regulatory authorities and industry consortia which engage in direct recognition of certification bodies to certify that an FSMS complies with ISO 22000. Some of its requirements can also be useful to other parties involved in the conformity assessment of such certification bodies, and in the conformity assessment of bodies that undertake to certify the compliance of FSMS with criteria additional to, or other than, those in ISO 22000. FSMS certification does not attest to the safety or fitness of the products of an organization within the food chain. However, an FSMS requires an organization to meet all applicable food-safety-related statutory and regulatory requirements through its management system.
NOTE 3 Certification of an FSMS according to ISO 22000 is a management system certification, not a product certification. Other FSMS users can use the concepts and requirements of this document provided that the requirements are adapted as necessary.
This document specifies requirements for and gives guidance on the application of life cycle costing to create value for the development activities and operations associated with drilling, exploitation, processing and transport of petroleum, petrochemical and natural gas resources. This document covers facilities and associated activities within different business categories (upstream, midstream, downstream and petrochemical).
The extent of planning and management depends on the magnitude of the costs involved, the potential value that can be created and the life cycle phase. It also provides the means of identifying cost drivers and provides a cost-control framework for these cost drivers, allowing effective cost control and optimization over the entire life of an asset.
This document specifies requirements and gives recommendations on the management of integrity of a pipeline system throughout its life cycle, which includes design, construction, commissioning, operation, maintenance and abandonment.
This document is applicable to offshore pipelines for transporting petroleum and natural gas. It is applicable to rigid steel pipelines. It is not applicable to flexible pipelines, dynamic risers or those constructed from other materials, such as glass-reinforced plastics.
NOTE 1 An offshore pipeline system extends to:
— the first valve, flange or connection above water on platform or subsea mechanical connector with subsea structure (i.e. manifold or dynamic riser);
— the connection point to the offshore installation (i.e. piping manifolds are not included);
— the first valve, flange, connection or isolation joint at a landfall, unless otherwise specified by the onshore legislation.
NOTE 2 The components mentioned above (valve, flange, connection, isolation joint) include also any pup pieces, i.e. the offshore pipeline system extends to the weld beyond the pup piece, see Figure 1.
This document is used for integrity management, which is initiated at the design and construction stage of the pipeline. Where requirements of a design and construction standard (e.g. ISO 13623) are different, the provisions of this document will enhance the design and construction from an integrity perspective.
This document defines quality management system requirements for product and service supply organizations to the petroleum, petrochemical and natural gas industries.
This document is written as a supplement to ISO 9001:2015. The supplementary requirements and guidance to ISO 9001:2015 have been developed to manage supply chain risks and opportunities associated with the petroleum, petrochemical and natural gas industries and to provide a framework for aligning requirements with complementary standards employed within the industries.
This document is applicable to all wells that are operated by the petroleum and natural gas industry. This document is applicable to any well, or group of wells, regardless of their age, location (including onshore, subsea and offshore wells) or type (e.g. naturally flowing, artificial lift, injection wells).
This document is intended to assist the petroleum and natural gas industry to effectively manage well integrity during the well life cycle by providing:
— minimum requirements to ensure management of well integrity; and
— recommendations and techniques that well operators can apply in a scalable manner based on a well’s specific risk characteristics.
Assuring well integrity comprises two main building blocks: the first is to ensure well integrity during well design and construction, and the second is to manage well integrity throughout the remaining well life thereafter.
This standard establishes the procedures for
operations to retain pressure control of the well under pre-kick conditions and
recommended practices to be utilized during a kick.
Recommended Practice 75 is available for purchase at the https://www.apiwebstore.org/standards/59 .
This recommended practice provides companies engaged in offshore operations with a framework for the establishment, implementation, and maintenance of a Safety and Environmental Management System (SEMS) to manage and reduce risks associated with safety and the environment to prevent incidents and events.
This recommended practice applies, in part or whole, to companies engaged in offshore operations, from lease evaluation through decommissioning.
For the purpose of simplicity and clarity in this recommended practice, the word “safety” or “safely” can refer to the management of safety and environmental risks.
NOTE Although this recommended practice is written for offshore operations, its principles can be applied to other offshore industries after performing an engineering and management analysis.
Recommended Practice 75 is available for purchase at the API Publication Store.
This recommended practice (RP) provides general information and guidance for the development of oil spill responder personal protective equipment (PPE) control measures. Although an extensive amount of information has been developed on the topic of PPE for emergency responders, this document focuses on the PPE selection process as well as its technical evaluation based on the hazards present.
This RP is intended for any company, organization, or agency that oversees or responds to oil spills. It is not a comprehensive "how-to" guide to selecting PPE for every type of situation that may be encountered; rather, it is a guidance document that discusses how proper PPE selection may be a useful control measure for responders when engineering and administrative controls may not be feasible or effective in reducing exposure to acceptable levels.
Recommended Practice 98 is available for purchase at the API Publication Store: https://www.apiwebstore.org/standards/98