CAP 28A LAND (MISCELLANEOUS PROVISIONS) REGULATIONS二
LATCA控制器设置软件用户协议(适用于Windows7)说明书
Card Motor Controller Controller Setting Software for LATCA(For Windows®7)LATC-Configurator[Before using this product]Read the "End-User License Agreement" shown on the next page carefully and accept the terms before using this software.End-User License AgreementSMC Corporation (hereinafter referred to as "SMC") grants the user (regardless the user is a corporation or an individual) a license to use this software "Controller Setting Software LATC-Configurator" (hereinafter referred to as "Software") provided according to this End-User License agreement (hereinafter referred to as "Agreement") under the articles listed below.The user is considered to have agreed to the terms of this Agreement by installing, copying or using this Software. Do not install, copy or use this Software if the terms of this Agreement cannot be accepted.The terms of this Agreement must be accepted by the user before downloading this Software if this Software has been supplied by SMC via the Internet or any other means. Do not download this Software if you cannot accept the terms of this Agreement.Article 1 (Grant of license)1. This Software is to be used in accordance with this Agreement non-exclusively for the limitedpurpose of using or setting SMC electrical actuators.2. This software can be installed and saved on a PC for the sole purpose specified in thepreceding paragraph.Article 2 (Restrictions)1. This software is not to be copied, except as specified in Articles 1-2.2. This software license is not to be transferred or lent wholly or in part to a third party, eitherfree of charge or for payment.3. Modification, translation, adaptation or reverse engineering of this software is not permitted. Article 3 (Other notices)1. Read the "Safety Instructions", "Precautions", "Specific Product Precautions" and"Specifications" described in the manual for the equipment when using any equipment controlled by this Software.2. This Software and the equipment controlled by it are subject to change without prior notice. Article 4 (Exemption of liability)SMC cannot take any responsibility for any damage incurred by the use of this Software. Article 5 (Termination)1. SMC has the full authority to terminate this agreement in the event of any terms andconditions have been breached.2. This Software and any copies thereof must be destroyed when this Agreement isterminated.Article 6 (Rights of this Software)The copyright and any other rights of this Software are owned by SMC, and protected by Japanese copyright laws and international treaty provisions.Article 7 (Governing law and jurisdiction)1. This Agreement shall be governed by Japanese laws.2. Any dispute arising from this Agreement shall be submitted in the first instance to theexclusive jurisdiction of the Tokyo District Court or the Tokyo Summary Court primarily.3. This Agreement has been made in the Japanese language as well. The Japanese text shallprevail over any inconsistencies between the Japanese and any translations thereof.1. ForewordPrepare the following before using this software (LATC-Configurator).1.1. Applicable computer-This software can be used on a computer with a Windows® 7 32bit or 64bit operating system.(Administrator rights are required to install the software and the drivers for the communication cable and virtual COM port.)-The computer screen resolution should be 1024 x 768 DPI or more.1.2. Preparation of communication cable and USB cablePrepare the communication cable (LEC-W2A-C) and USB cable (LEC-W2-U) for connecting the Card Motor Controller to the PC.2. Installation procedures2.1. Installation of the USB drivers for the communication cablei. Insert the LATC-Configurator CD-ROM into the CD-ROM drive of your computer.Alternatively, after downloading the USB driver from our website, create a folder on the PC to unzip the USB driver.ii. Connect the communication cable LEC-W2A-C to the USB port of the PC using the USB cable (LEC-W2-U). The message shown below will appear, as the driver has not yet been installed.iii. Open the Windows “Start” menu, right-click on “Computer”, select “Properties” and thereafter “Device Manager”.(Alternatively, open the Windows “Start” menu, select “Control Panel” and “System and Security” and click “Device Manager” in the “System” section.) iv. Double-click “Other Devices”, select the “SMC Serial Converter” with the“!” symbol and right-click to open the menu shown below on the left. Select“Update Driver Software”.v. Select the “Browse my computer for driver software” option when the dialog box shown below on the right appears.vi. When the dialog box shown below on the left appears, click "Browse", select the CD-ROM drive or the folder unzipped after downloading and the "¥Drivers¥32bit"folder for Windows7(32bit) and "¥Drivers¥64bit" for Windows7(64bit). Click "Next". vii. The warning message shown below on the right will appear. Select “Install this driver software anyway” to proceed with the installation.¥Drivers¥32bitviii. The following dialog box will appear when the SMC Serial Converter driver installation has been completed. Click the “Close” button.ix. Next the "virtual COM port driver" for the communication cable needs to be installed for the software to function properly.The “USB Serial Port” device should now appear in the “Device Manager” as shown below. Right-click on it and select “Update Driver Software”.Continue the installation of the "virtual COM port driver" following the same procedure beginning from step v.x. The following dialog box will appear when the installation has been completed.Click the “Close” button.2.2. Installation of the softwareCopy the controller setting software “LATC_Configurator.exe” on the CD-ROM or downloaded from our website to your PC or desktop computer.Double-click the copied file to start the software.CautionRead chapter "3. Check of the Communication Port" before starting the software.3. Check of the Communication PortWhen starting the LATC-Configurator software it is required to set the communication port number (COM no.) that has been assigned to the communication cable.Check the communication port number using the Windows “Device Manager” as follows. i. Connect the communication cable LEC-W2A-C to the USB port of the PC using theUSB cable (LEC-W2-U).ii. Open the Windows Start menu, right-click on “Computer”, select “Properties” and thereafter “Device Manager”.(Alternatively, open the Windows “Start” menu, select “Control Panel” and “System and Security” and click “Device Manager” in the “System” section.)iii. Che ck in the “Device Manager” that the two drivers have been installed as shown below.Check the COM number for the RS485 communication from the “Ports (COM & LPT)” device “SMC Serial Port”. In this example it is shown as COM3.The communication port number is needed when starting this software.CautionCheck the communication port number after connecting the communication cable.The communication port number depends on the USB port the communication cable is currently connected to.4. Starting the softwareWhen the "LATC-Configurator.exe" icon is double-clicked, the dialog box shown below will appear. Set the COM port number as confirmed according to the instructions in chapter "3. Check of the Communication Port".*If "COM port Not Available" is displayed and/or the number of COM port to which a controller setting cable is connected is not displayed as shown above, the controller setting cable is not recognised. Confirm that the wiring and two drivers are properly installed (Refer to "3. Check of the Communication Port ").5. Communication with the controllerThe connected controller is automatically detected when starting this software. However, if the communication settings, such as COM port number, are incorrect, communication cannot be established. Confirm the following before starting the communication.-That power is supplied to the connected controller.-That the controller and the computer are connected to each other via the communication cable.*If the dialog box shown, the controllerhas not been detected.Check the communication port setting,wiring, power supply to the controller andany other matter that may affect thecommunication with the controller.6. Functions of each functionRefer to the controller operation manuals for details of the controller and software functions.CautionDo not connect or disconnect the controller setting cable whilst theLATC-Configurator application is running.Disconnecting the cable during communication may cause a software corruption.The latest Operation Manual can be downloaded from the SMC's website shown below. Refer to SMC website for version update information.https:///4-14-1, Sotokanda, Chiyoda-ku, Tokyo 101-0021 JAPANTel: + 81 3 5207 8249 Fax: +81 3 5298 5362URL: https://Note: Specifications are subject to change without prior notice and any obligation on the part of the manufacturer.Windows is the registered Trademark or the Trademark of Microsoft Corporation in the United States or other countries.© 2020 SMC Corporation All Rights Reserved。
Busines Vehicles
Assessments
1. Class Participation/Discussion (10%) (Through tutorial questions) 2. Mid Term Test 1 (20%, CRA) 3. Mid Term Test 2 (20%, CRA) 4. Final Exam (50%)
BUS3020 Company Law
Chapter 1 Business Vehicles & Types of Companies
9
Forms of Business Organisations
If you want to set up a new business, what are the choices for the business structure?
11
1. Sole Proprietor
• Legal formality: No. Only regn of business name. (Regn of Business Names Ord) • Ownership: No separate legal entity. • Liability: Unlimited liability. • Finance obtained by sole proprietor.
13
2. Partnership
Meaning: s 3(1), Partnership Ord (Cap 38) “Partnership is the relation which subsists between persons carrying on a business in common with a view of profit.” Persons: natural persons or artificial persons Business: includes any trade, occupation or profession. (s 2) Profit: sharing of net profits is prima facie evidence of partnership. (s 4) Partnership Agreement
Polaris
INSTALLATION INSTRUCTIONSPolaris™ ProUniversal Projector Mount with Magnaguide® TechnologyModel: MAG-PRONORTH AMERICA EUROPE AUSTRALIA, NEWZEALAND, OCEANIA (DISTRIBUTOR)3130 East Miraloma Avenue Anaheim, CA 92806 USA USA and Canada –Phone: 800-368-9700Fax: 800-832-4888Swallow House,Shilton Industrial Estate,Shilton, Coventry, England CV79JYPhone: +44 (0) 2476 614700Fax: +44 (0) 2476 614710P.O. Box 295Mordialloc Victoria 3195AustraliaPhone: 03 9586 63 30.auOther Locations – Phone: (001)-714-632-7100; Fax: (001)-714-632-1044 ©Premier Mounts 2008Table of ContentsWarning Statements............................................................................................................................................- 2 - Parts List.............................................................................................................................................................- 3 - Installation Tools................................................................................................................................................- 3 - Features...............................................................................................................................................................- 4 - Selecting The Proper Mounting Hardware.........................................................................................................- 4 - Attaching The Mount..........................................................................................................................................- 5 - Single Mounting Point Installation.....................................................................................................................- 5 - Ceiling Installation..............................................................................................................................................- 6 - Attaching The Projector......................................................................................................................................- 6 - Adjusting The Projector......................................................................................................................................- 6 - Technical Specifications.....................................................................................................................................- 7 - Warranty.............................................................................................................................................................- 8 -Warning StatementsTHE MAXIMUM WEIGHT PROJECTOR THAT CAN BE USED WITH THIS MOUNT IS 25LBS. EXCEEDING THIS WEIGHTLIMIT COULD CAUSE DAMAGE TO THE MOUNT, TO THE PROJECTOR AND TO YOURSELF.THE CEILING STRUCTURE MUST BE CAPABLE OF SUPPORTING 150LBS. IF NOT, THE CEILING STRUCTURE MUST BE REINFORCED. PROPER INSTALLATION PROCEDURE BY A QUALIFIED SERVICE TECHNICIAN, AS OUTLINED IN THE INSTALLATION INSTRUCTIONS, MUST BE ADHERED TO. FAILURE TO DO SO COULD RESULT IN SERIOUSPERSONAL INJURY, OR EVEN DEATH.SAFETY MEASURES MUST BE PRACTICED AT ALL TIMES DURING THE INSTALLATION OF THIS PRODUCT. USE PROPER SAFETY GEAR AND TOOLS FOR THE INSTALLATION PROCEDURE TO PREVENT PERSONAL INJURY.PRIOR TO THE INSTALLATION OF THIS PRODUCT, THE INSTALLATION INSTRUCTIONS SHOULD BE READ AND COMPLETELY UNDERSTOOD. THE INSTALLATION INSTRUCTIONS MUST BE READ TO PREVENT PERSONAL INJURY AND PROPERTY DAMAGE. KEEP THESE INSTALLATION INSTRUCTIONS IN AN EASILY ACCESSIBLELOCATION FOR FUTURE REFERENCE. Indicates that the power plug is to be disconnected from thepower outlet.Contact Premier Mounts with any questions – Customer Service – (800) 368-9700Technical Support – **********************Safety precautions must be taken at all times..s t n e m e t a t s n o i t u a C d n a g n i n r aW Do not install on a structure that is prone to vibration, movement or chance of impact. Failure to do so could result in damage to the projectorand/or damage to the mounting surface.Do not install near heater, fireplace, direct sunlight, air conditioning or any other source of direct heat energy. Failure to do so may result indamage to the projector and could increase the risk of fire.A qualified person should perform the installation procedure. Injury and/or damage can result from dropping or mishandling the projectorParts ListThis mount is shipped with all proper installation hardware and components. Make sure that none of these parts are missing and/or damaged before beginning installation. If there are parts missing and/or damaged, please stop the installation and contact Premier Mounts (800-368-9700).Please review all WARNING and CAUTION statements (see Page 8) before beginning the installation of the MAG-PRO.MAG Mount (Qty 1) Mounting Legs (Qty 4)M3 Flat Washers (Qty 4)CLS (Qty 1)Star Washers (Qty 2) M5 x 12mm Security Screw (Qty 4)¼ – 20 x 5/16” Security Screw (Qty 1)M4 x 12mm Security Screw (Qty 6) Plastic Barrel Caps (Qty 4) M3 x 16mm Security Screw (Qty 4) M6 x 12mm Security Screw (Qty 8)M2.5 x 8mm Security Screw (Qty 4)Installation Toolst e k n a l B /l a i r e t a M t f o S l l i r D e l b a t r o Pe r u s a e M e p a T l i c n e P )d e i l p p u S ( h c n e r W n e l l A y t i r u c e S 5Mr e d d a L Masonry Bit (Commercially Available)M3 Security Allen Wrench (Supplied)FeaturesCongratulations on the purchase of your new Premier Mounts Polaris™ Pro Universal Projector Mount. The Polaris™ Pro features our exclusive MagnaGuide® Technology which will assist the installer for quicker installation times and peace of mind. A Security Set Screw B 1-1/2” NPTC MagnaGuide® Upper AssemblyD M4 x 12mm Security Screw and Star WasherE Locking TabF Barrel CapG MagnetsH Mounting Hardware I Radial Glide™ Set ScrewJ Leveling BarrelK MagnaGuide™ Lower Assembly L M NProjector Plate M6 Square NutMounting LegSelecting the Proper Mounting Hardware1.Invert the projector and locate the mounting points.2.Test each size of the screws provided.3.The correct screws should thread easily into the mounting point and not pull out when pressure is applied.DO NOT OVERTIGHTEN YOUR MOUNTING SCREWS TO THE PROJECTOR CHASIS. USING THEINCORRECT SCREW DEPTH MAY CAUSE DAMAGE TO YOUR PROJECTOR.MAG-PROAttaching the MountOnly attach to the projector manufacturer’s specified mounting points on the projector chassis with a minimum of three mounting legs. Please follow all safety instructions specified by the projector manufacturer as well as the safety instructions outlined in this manual.Unpack the MAG-PROand review any WARNING statements that apply to the installation. Select the desired location for the MAG-PRO.1. Locate the mounting points on the bottom of the projector (see arrows above for mounting point recognition).Projector mounting points will vary. The projector used in this manual is an example, and may not match yours exactly.2. Attach the appropriate number of mounting legs to the projector using the appropriate mounting hardware(see Page 4, Selecting the Proper Mounting Hardware).3.Do not tighten these screws completely at this time.4. Align the projector plate to the mounting legs.5. Position the legs accordingly for best configuration. You may raise or lower each leg independently by turning the leveling barrels.6. Secure the legs to the projector plate by screwingM6 x 12mm security screws into the M6 square nut (do not overtighten) on the mounting legs. 7. Tighten all security screws at this time.8. Once the security screws have been tightened, place the plastic cap over each leveling barrel and firmly push the plastic cap into place.Single Mounting Point InstallationIf your projector has a ¼-20 x 5/16” mounting point, please refer to the following three steps: 1. Determine where the mounting point is located.2. Place the projector plate over the mounting point.3. Insert the ¼-20 x 5/16” security screw.This screw will use a standard hole when mounting.Mounting PointStandard HoleCeiling InstallationThe Polaris™ Pro may be attached to 1-1/2” standard threaded pipe (NPT), or one of Premier Mounts adjustable-height ceiling adapters (Models AST-2446 and APP-2446). If the user purchases an AST-2446 or an APP-2446, please refer to the installation instructions that come with these adapters.1. Thread the MAG-PRO onto the length of 1-1/2” NPT, or anyof Premier Mounts compatible adapters.When attaching the MAG-PRO to the pipe, please ensure that the MAG-PRO is threaded on at least four(4) complete turns.2. Secure the MAG-PRO by tightening the set screw with theM3 security Allen wrench (supplied).3. Route any cables up through the 1-1/2” NPT and into theceiling structure.THE MAGNETS ARE USED FOR GUIDING THE UNIT ONLY! PLEASE MAKE SURE THE TWO (2) M4 X 12MM SCREWS ARE USED TO SECURE THE PROJECTOR.If the PP-FCTA Ceiling Mount is to be used, the CLS must first be threaded into the MAG-PRO. For further installation instructions, please refer to thePP-FCTA installation manual.Attaching the Projector1. Once the coupler is tightened and secure, raise the projector,allowing MagnaGuide® Technology to “guide” the lower assembly into the upper assembly.2. Once attached, secure on each side of the Magnaguide®locking assembly using two (2) M4 x 12mm security screws and star washers.Do not release your hold on the projector until the upper and lower assemblies are secured with thetwo (2) M4 x 12mm security screws and star washers.Adjusting the Projector1. Loosen the M5 set screw using the M5 Allen wrench (both sides).2. Adjust the projector to the correct position. Firmly grasp the projector in both hands, and tilt either forward or backward to adjust the level. -OR- Firmly grasp the projector in both hands and rotate side to side for orientation adjustment.3. Tighten the M5 set screw on both sides using the M5 Allenwrench.1-1/2” NPT PipeMAG-PROM3 Security Allen WrenchCable AccessM4 x 12mmSecurity Screwand WasherM5 SecurityAllen WrenchM4 x 12mmSecurity Screws and Star WasherM4 x 12mm Security Screw and WasherTechnical SpecificationsAll measurements are inches (mm).MAG-PROWarrantyPREMIER MOUNTSLIMITED LIFETIME WARRANTYWhat and Who is Covered by this Limited Warranty and for How LongPremier Mounts warrants this product to be free from defects in material and workmanship for the lifetime of the original installation of this product. The limited warranty is valid only for the original purchaser of the product.What Premier Mounts Will DoAt the sole option of Premier Mounts, Premier Mounts will repair or replace any product or product part that is defective. If Premier Mounts chooses to replace a defective product or part, a replacement product or part will be shipped to you at no charge, but you must pay any labor costs.What is Not Covered; LimitationsPREMIER MOUNTS DISCLAIMS ANY LIABILITY FOR DAMAGE TO MOUNTS, ADAPTERS, DISPLAYS, PROJECTORS, OTHER PROPERTY, OR PERSONAL INJURY RESULTING, IN WHOLE OR IN PART, FROM IMPROPER INSTALLATION, MODIFICATION, USE OR MISUSE OF ITS PRODUCTS.PREMIER MOUNTS DISCLAIMS ALL OTHER WARRANTIES, EXPRESS OR IMPLIED, INCLUDING WARRANTIES OF MERCHANTABILITY AND FITNESS FOR A PARTICULAR PURPOSE. PREMIER MOUNTS IS NOT RESPONSIBLE FOR INCIDENTAL OR CONSEQUENTIAL DAMAGES, INCLUDING BUT NOT LIMITED TO, INABILITY TO USE ITS PRODUCTS OR LABOR COSTS FOR REMOVING AND REPLACING DEFECTIVE PRODUCTS OR PARTS. SOME STATES DO NOT ALLOW THE EXCLUSION OR LIMITATION OF INCIDENTAL OR CONSEQUENTIAL DAMAGES, SO THE ABOVE LIMITATION OR EXCLUSION MAY NOT APPLY TO YOU.What Customers Must Do for Limited Warranty ServiceIf you discover a problem that you think may be covered by the warranty you MUST REPORT it in writing to the address below within thirty (30) days. Proof of purchase (an original sales receipt) from the original consumer purchaser must accompany all warranty claims. Warranty claims must also include a description of the problem, the purchaser’s name, address, and telephone number. General inquiries can be addressed to Premier Mounts Customer Service at 1-800-368-9700. Warranty claims will not be accepted over the phone or by fax.MountsPremierAttn: Warranty Claim3130 E. Miraloma AvenueAnaheim, CA 92806How State Law AppliesTHIS WARRANTY GIVES YOU SPECIFIC LEGAL RIGHTS, AND YOU MAY ALSO HAVE OTHER RIGHTS WHICH VARY FROM STATE TO STATE.。
NVIDIA CUDA 安装指南(Mac OS X)说明书
DU-05348-001_v7.5 | September 2015Installation and Verification on Mac OS XTABLE OF CONTENTS Chapter 1. Introduction (1)1.1. System Requirements (1)1.2. About This Document (2)Chapter 2. Prerequisites (3)2.1. CUDA-capable GPU (3)2.2. Mac OS X Version (3)2.3. Xcode Version (3)2.4. Command-Line T ools (4)Chapter 3. Installation (5)3.1. Download (5)3.2. Install (5)3.3. Uninstall (6)Chapter 4. Verification (8)4.1. Driver (8)4.2. Compiler (8)4.3. Runtime (9)Chapter 5. Additional Considerations (11)CUDA® is a parallel computing platform and programming model invented by NVIDIA. It enables dramatic increases in computing performance by harnessing the power of the graphics processing unit (GPU).CUDA was developed with several design goals in mind:‣Provide a small set of extensions to standard programming languages, like C, that enable a straightforward implementation of parallel algorithms. With CUDA C/C++, programmers can focus on the task of parallelization of the algorithms rather than spending time on their implementation.‣Support heterogeneous computation where applications use both the CPU and GPU. Serial portions of applications are run on the CPU, and parallel portions are offloaded to the GPU. As such, CUDA can be incrementally applied to existingapplications. The CPU and GPU are treated as separate devices that have their own memory spaces. This configuration also allows simultaneous computation on the CPU and GPU without contention for memory resources.CUDA-capable GPUs have hundreds of cores that can collectively run thousands of computing threads. These cores have shared resources including a register file and a shared memory. The on-chip shared memory allows parallel tasks running on these cores to share data without sending it over the system memory bus.This guide will show you how to install and check the correct operation of the CUDA development tools.1.1. System RequirementsTo use CUDA on your system, you need to have:‣ a CUDA-capable GPU‣Mac OS X 10.9 or later‣the Clang compiler and toolchain installed using Xcode‣the NVIDIA CUDA Toolkit (available from the CUDA Download page)Introduction T able 1 Mac Operating System Support in CUDA 7.5Before installing the CUDA Toolkit, you should read the Release Notes, as they provide important details on installation and software functionality.1.2. About This DocumentThis document is intended for readers familiar with the Mac OS X environment andthe compilation of C programs from the command line. You do not need previous experience with CUDA or experience with parallel computation.2.1. CUDA-capable GPUTo verify that your system is CUDA-capable, under the Apple menu select About This Mac, click the More Info … button, and then select Graphics/Displays under the Hardware list. There you will find the vendor name and model of your graphics card. If it is an NVIDIA card that is listed on the CUDA-supported GPUs page, your GPU is CUDA-capable.The Release Notes for the CUDA Toolkit also contain a list of supported products.2.2. Mac OS X VersionThe CUDA Development Tools require an Intel-based Mac running Mac OSX v. 10.9 or later. To check which version you have, go to the Apple menu on the desktop and select About This Mac.2.3. Xcode VersionA supported version of Xcode must be installed on your system. The list of supported Xcode versions can be found in the System Requirements section. The latest version of Xcode can be installed from the Mac App Store.Older versions of Xcode can be downloaded from the Apple Developer Download Page. Once downloaded, the Xcode.app folder should be copied to a version-specific folder within /Applications. For example, Xcode 6.2 could be copied to /Applications/ Xcode_6.2.app.Once an older version of Xcode is installed, it can be selected for use by running the following command, replacing <Xcode_install_dir> with the path that you copied that version of Xcode to:sudo xcode-select -s /Applications/<Xcode_install_dir>/Contents/DeveloperPrerequisites 2.4. Command-Line T oolsThe CUDA Toolkit requires that the native command-line tools are already installed on the system. Xcode must be installed before these command-line tools can be installed. The command-line tools can be installed by running the following command:$ xcode-select --installNote: It is recommended to re-run the above command if Xcode is upgraded, or an older version of Xcode is selected.You can verify that the toolchain is installed by running the following command:$ /usr/bin/cc --version3.1. DownloadOnce you have verified that you have a supported NVIDIA GPU, a supported version the MAC OS, and clang, you need to download the NVIDIA CUDA Toolkit.The NVIDIA CUDA Toolkit is available at no cost from the main CUDA Downloads page. The installer is available in two formats:work Installer: A minimal installer which later downloads packages required forinstallation. Only the packages selected during the selection phase of the installer are downloaded. This installer is useful for users who want to minimize download time.2.Full Installer: An installer which contains all the components of the CUDA Toolkitand does not require any further download. This installer is useful for systemswhich lack network access.Both installers install the driver and tools needed to create, build and run a CUDA application as well as libraries, header files, CUDA samples source code, and other resources.The download can be verified by comparing the posted MD5 checksum with that of the downloaded file. If either of the checksums differ, the downloaded file is corrupt and needs to be downloaded again.To calculate the MD5 checksum of the downloaded file, run the following:$ openssl md5 <file>3.2. InstallUse the following procedure to successfully install the CUDA driver and the CUDA toolkit. The CUDA driver and the CUDA toolkit must be installed for CUDA to function. If you have not installed a stand-alone driver, install the driver provided with the CUDA Toolkit.If the installer fails to run with the error message "The package is damaged and can't be opened. You should eject the disk image.", then check that your security preferences are set to allow apps downloaded from anywhere to run. This setting can be found under: System Preferences > Security & Privacy > GeneralChoose which packages you wish to install. The packages are:‣CUDA Driver: This will install /Library/Frameworks/CUDA.framework and the UNIX-compatibility stub /usr/local/cuda/lib/libcuda.dylib that refers to it.‣CUDA Toolkit: The CUDA Toolkit supplements the CUDA Driver with compilers and additional libraries and header files that are installed into /Developer/ NVIDIA/CUDA-7.5 by default. Symlinks are created in /usr/local/cuda/pointing to their respective files in /Developer/NVIDIA/CUDA-7.5/. Previous installations of the toolkit will be moved to /Developer/NVIDIA/CUDA-#.# to better support side-by-side installations.‣CUDA Samples (read-only): A read-only copy of the CUDA Samples is installed in /Developer/NVIDIA/CUDA-7.5/samples. Previous installations of the samples will be moved to /Developer/NVIDIA/CUDA-#.#/samples to better support side-by-side installations.A command-line interface is also available:‣--accept-eula: Signals that the user accepts the terms and conditions of the CUDA-7.5 EULA.‣--silent: No user-input will be required during the installation. Requires --accept-eula to be used.‣--install-package=<package>: Specifies a package to install. Can be used multiple times. Options are "cuda-toolkit", "cuda-samples", and "cuda-driver".‣--log-file=<path>: Specify a file to log the installation to. Default is /var/log/ cuda_installer.log.Set up the required environment variables:export PATH=/Developer/NVIDIA/CUDA-7.5/bin:$PATHexport DYLD_LIBRARY_PATH=/Developer/NVIDIA/CUDA-7.5/lib:$DYLD_LIBRARY_PATHIn order to modify, compile, and run the samples, the samples must also be installed with write permissions. A convenience installation script is provided: cuda-install-samples-7.5.sh. This script is installed with the cuda-samples-7-5 package.T o run CUDA applications in console mode on MacBook Pro with both an integratedGPU and a discrete GPU, use the following settings before dropping to console mode:1.Uncheck System Preferences > Energy Saver > Automatic Graphic Switch2.Drag the Computer sleep bar to Never in System Preferences > Energy Saver3.3. UninstallThe CUDA Driver, Toolkit and Samples can be uninstalled by executing the uninstall script provided with each package:T able 2 Mac Uninstall Script LocationsAll packages which share an uninstall script will be uninstalled unless the --manifest=<uninstall_manifest> flag is used. Uninstall manifest files are located in the same directory as the uninstall script, and have filenames matching .<package_name>_uninstall_manifest_do_not_delete.txt.For example, to only remove the CUDA Toolkit when both the CUDA Toolkit and CUDA Samples are installed:$ cd /Developer/NVIDIA/CUDA-7.5/bin$ sudo perl uninstall_cuda_7.5 \--manifest=.cuda_toolkit_uninstall_manifest_do_not_delete.txtBefore continuing, it is important to verify that the CUDA toolkit can find and communicate correctly with the CUDA-capable hardware. To do this, you need to compile and run some of the included sample programs.Ensure the PATH and DYLD_LIBRARY_PATH variables are set correctly.4.1. DriverIf the CUDA Driver is installed correctly, the CUDA kernel extension (/System/ Library/Extensions/CUDA.kext) should be loaded automatically at boot time. To verify that it is loaded, use the commandkextstat | grep -i cuda4.2. CompilerThe installation of the compiler is first checked by running nvcc -V in a terminal window. The nvcc command runs the compiler driver that compiles CUDA programs. It calls the host compiler for C code and the NVIDIA PTX compiler for the CUDA code. The NVIDIA CUDA Toolkit includes CUDA sample programs in source form. To fully verify that the compiler works properly, a couple of samples should be built. After switching to the directory where the samples were installed, type:make -C 0_Simple/vectorAddmake -C 0_Simple/vectorAddDrvmake -C 1_Utilities/deviceQuerymake -C 1_Utilities/bandwidthTestThe builds should produce no error message. The resulting binaries will appear under <dir>/bin/x86_64/darwin/release. To go further and build all the CUDA samples, simply type make from the samples root directory.4.3. RuntimeAfter compilation, go to bin/x86_64/darwin/release and run deviceQuery. Ifthe CUDA software is installed and configured correctly, the output for deviceQuery should look similar to that shown in Figure 1.Figure 1 Valid Results from deviceQuery CUDA SampleNote that the parameters for your CUDA device will vary. The key lines are the first and second ones that confirm a device was found and what model it is. Also, the next-to-last line, as indicated, should show that the test passed.Running the bandwidthTest sample ensures that the system and the CUDA-capable device are able to communicate correctly. Its output is shown in Figure 2Figure 2 Valid Results from bandwidthT est CUDA SampleNote that the measurements for your CUDA-capable device description will vary from system to system. The important point is that you obtain measurements, and that the second-to-last line (in Figure 2) confirms that all necessary tests passed.Should the tests not pass, make sure you have a CUDA-capable NVIDIA GPU on your system and make sure it is properly installed.If you run into difficulties with the link step (such as libraries not being found), consult the Release Notes found in the doc folder in the CUDA Samples directory.To see a graphical representation of what CUDA can do, run the particles executable.Now that you have CUDA-capable hardware and the NVIDIA CUDA Toolkit installed, you can examine and enjoy the numerous included programs. To begin using CUDA to accelerate the performance of your own applications, consult the CUDA C Programming Guide.A number of helpful development tools are included in the CUDA Toolkit to assistyou as you develop your CUDA programs, such as NVIDIA® Nsight™ Eclipse Edition, NVIDIA Visual Profiler, cuda-gdb, and cuda-memcheck.For technical support on programming questions, consult and participate in the Developer Forums.NoticeALL NVIDIA DESIGN SPECIFICATIONS, REFERENCE BOARDS, FILES, DRAWINGS, DIAGNOSTICS, LISTS, AND OTHER DOCUMENTS (TOGETHER AND SEPARATEL Y, "MATERIALS") ARE BEING PROVIDED "AS IS." NVIDIA MAKES NO WARRANTIES, EXPRESSED, IMPLIED, STATUTORY, OR OTHERWISE WITH RESPECT TO THE MATERIALS, AND EXPRESSL Y DISCLAIMS ALL IMPLIED WARRANTIES OF NONINFRINGEMENT, MERCHANTABILITY, AND FITNESS FOR A PARTICULAR PURPOSE.Information furnished is believed to be accurate and reliable. However, NVIDIA Corporation assumes no responsibility for the consequences of use of such information or for any infringement of patents or other rights of third parties that may result from its use. No license is granted by implication of otherwise under any patent rights of NVIDIA Corporation. Specifications mentioned in this publication are subject to change without notice. This publication supersedes and replaces all other information previously supplied. NVIDIA Corporation products are not authorized as critical components in life support devices or systems without express written approval of NVIDIA Corporation.TrademarksNVIDIA and the NVIDIA logo are trademarks or registered trademarks of NVIDIA Corporation in the U.S. and other countries. Other company and product names may be trademarks of the respective companies with which they are associated. Copyright© 2009-2015 NVIDIA Corporation. All rights reserved.。
(英文版)坦桑尼亚矿业法(2010)
No. 14 Mining 2010THE MINING ACT, 2010A RRANGEMENT OF S ECTIONSSection TitlePART IP RELIMINARY P ROVISIONS1. Short title and commencement.2. Application.3. Disapplication to petroleum.4. Interpretation.PART IIG ENERAL P RINCIPLES5. Control of minerals.6. Authority required for prospecting or mining.7. Mineral rights and exclusivity.8. Restriction on grant of mineral rights.9. Mineral rights transferable.10. Development agreement11. Validity of development agreement.12. Review of development agreement.13. Joint and several obligations.14. Priority between competing applications.15. Applications for mineral rights by tender.16. Exclusive areas for primary licensees.17. Specified gemstone.18. Offences relating to unauthorised trading of minerals.PART IIIA DMINISTRATION19. Appointment of commissioner for minerals and other officers.20. Execution and delegation of functions of Commissioner.21. Geological services.22. Geological survey, mapping and prospecting.12 No. 14 Mining 201023. Mining Advisory Board.24. Committees of the Board.25. Prohibition against the disclosure of information.26. Zonal Mines Offices.27. IndemnityPART IVM INERAL R IGHTSDIVISION AProspecting Licence and Retention Licence:(i) Prospecting Licence28. Application for prospecting licence.29. Prospecting licence by tender.30. Minimum expenditure.31. Condition for grant of prospecting licence.32. Grant, renewal and relinquishment of prospecting licence.33. Notification of grants.34. Content of prospecting licence.35. Rights of holder of prospecting licence.36. Obligations of holder of a prospecting licence.(ii) Retention Licence37. Application for retention licence.38. Grant of retention licence.2No. 14 Mining 2010 3DIVISION BSpecial Mining Licence and Mining Licence(i) Applications for Special Mining Licence and Mining Licence39. Applicants.40. Effect of application under this head on prospecting licence.(ii) Special Mining Licence41. Application for special mining licence.42. Grant of special mining licence.43. Duration of special mining licence.44. Content of special mining licence.45. Renewal of special mining licence.46. Rights of holder of special mining licence.47. Obligations of holder of special mining licence.48. Amendments of special mining licence by holder.(iii)Mining Licence49. Application for mining licence.50. Grant of mining licence.51. Rights of holder of mining licences.52. Obligations of holder of mining licences.53. Renewal of mining licence.DIVISION CPrimary Licences54. Application for primary mining licence.55. Grant and validity of primary mining licence.56. Renewal of primary mining licence.57. Allocation of primary mining licences to mine in exclusive primary area.58. Conversion of primary mining licences to mining licences.DIVISION DProcessing, Smelting and Refining Licences59.Mineral right holder to set aside minerals for processing, smelting or refining34 No. 14 Mining 201060.Application and grant of licence for processing minerals61. Application and grant of licence for smelting or refining mineralsDIVISION ESupplementary provisions affecting mineral rights62. Surrender of land subject to mineral right.63. Suspension and cancellation of mineral rights.64. Abandonment of land subject to mineral rights65. Appeals66. Penalty for failure to pay royalty.67. Extension of mineral rights during applications.68. Enlargement of mineral right.69. Holder of certain mineral right suspending mining operations.70. Maximum area for mineral rights.71. Allocation of mining licence by tender.72. Termination of mining licence where production is insufficient.PART VL ICENCES FOR D EALING IN M INERAL OR M INERALS(i) Dealer licence73. Application for dealer licence.74. Grant of dealer licence.75. Duration and renewal of dealer licence.76. Rights of holder of dealer licence.77. Holder to keep records and accounts.78. Minimum turnover requirements.79. Termination of dealer licence for default.(ii) Broker Licence80. Application for broker licence.81. Grant of broker licence.82. Duration and renewal of a broker licence.83. Rights of holder of broker licence.4No. 14 Mining 2010 584. Holder to keep records and accounts.85. Termination of broker licence for default.86. Prohibition against dealing in certain minerals.PART VIR OYALTIES, F EES AND O THER C HARGES87. Royalties.88. Payment in lieu of royalties.89. Provisional assessment of royalties.90. Sorting fees.91. Prohibition on disposal of minerals.92. Charges in respect of mineral rights and licences.93. Recovery of fees.PART VIIR ESTRICTIONS, R EPORTS AND THE R IGHT OF E NTRY94. Security of gold and gemstones mining operations.95. Restriction of rights of entry of holder of a mineral right.96. Rights under a mineral right to be exercised reasonably.97. Compensation, relocation and resettlement.98. Removal of minerals.99. Wasteful practices.100. Reports, records and information.101. Authorised officer's power of entry.PART VIIID ISPUTES S ETTLEMENT102. Commissioner may decide disputes.103. Enforcement of Commissioner's orders.104. Appeal to High Court.105. Rules.PART IXR EGISTRATION OF M INERAL R IGHTS106. Registers of mineral rights.56 No. 14 Mining 2010 107. Evidentiary provisions.PART XM ISCELLANEOUS P ROVISIONS108. Radioactive minerals.109. Listing with the stock exchange110. Transfer of control over company.111. Insurance and indemnities.112. Regulations.113. Obstruction of holder of mineral rights.114. Miscellaneous offences.115. Offence committed by body corporate.PART XIR EPEAL AND S AVINGS P ROVISIONS116. Repeal and savings.__________SCHEDULES__________6[ASSENT,.,.~~~;......~~'~~~~.~~.'~. An Act to re-enact with substantial amendments the provisions that regulate the law relating to prospecting for minerals,mining,processing and dealing in minerals,to granting,renewal andtermination of mineral rights,payment of royalties,fees andother charges and any other relevant matters.PART IPRELIMINARY PROVISIONSShort title and commence-ment1.This Act may be cited as the Mining Act,2010and shall come into operation on such date as the Minister may,by notice published in the Gazette,appoint.8 No. 14Mining2010Disapplica-tion to petroleum3. This Act does not apply to exploration for or production of petroleum.Interpreta-tion4.-(1) In this Act, unless the context otherwise requires-Cap. 245 “Agency” means the Geological Survey of Tanzania established under the Executive Agencies Act;"authorised officer" means the Commissioner, Chief Inspector, Inspector, Tanzania Mining Audit Agency, or a publicofficer appointed under section 19 or a person designated assuch by the Commissioner under subsection (4) of section19;“Board” means the Mining Advisory Board established under section 23;"building materials" includes all forms of rock, stones, gravel, sand, clay, soils, volcanic ash or cinder, scoria, pumice, or otherminerals being used for the construction of buildings,roads, dams, aerodromes, or similar works but does notinclude gypsum, limestone being burned for the productionof lime, or material used for the manufacture of cement; “Chief Inspector” means the Chief Inspector of Mines appointed by the Minister under section 19;"Commissioner" means the Commissioner for Minerals appointed under subsection (1) of section 19;Cap. 212 "company" means a company incorporated under the CompaniesAct;"development agreement" means an agreement made between theGovernment and the holder of a mineral right with intentionto conduct mining operations under a special mininglicence;“dispute” means all disputes as referred to under section 102;“energy minerals” means a group of minerals comprising of coal,peat, uranium, thorium and other radioactive minerals;“entitled applicant” means an applicant to whom subsection (1) ofsection 39 applies;8No. 14 Mining 2010 9“free carried interest” means the interest derived from holdingshares of which the holder enjoys all the rights of ashareholder but has no obligation to subscribe or contributeequity capital for the shares;“gems” means cut and polished or engraved gemstone;means-“gemstone”(a)diamonds, emerald and other gem varieties of beryl,opal, ruby, sapphire, turquoise, chrysoberyl, spinel,topaz, tourmaline, zircon, obsidian, peridot,moonstone, chrysophase, amethyst;(b)other gem varieties of quartz, garnet, zoisite,tanzanite, cordierite and scapolite, in rough and uncutform;(c)any other rough and uncut stone which may bedeclared to be a gemstone by the Minister by noticein the Gazette:Provided that prospecting operations, the primary purpose of which is to search for diamonds located in a kimberlite pipe,shall not be treated as prospecting for gemstones for the purpose ofPart IV and diamonds located in, and recovered from, a kimberlitepipe shall not for the purpose of section 7 or Part IV be treated asgemstones;“gold” means all gold other than refined gold and includes gold inthe raw or natural state, gold in ore, gold at any stage of itsextraction from its ores or other minerals including auriferousamalgam, gold slimes, pot scrapings and slags containing gold,gold-bearing concentrates and sweepings from gold reductionworks;“holder” means the person in whose name a Mineral Right isregistered;“in default” means in breach of the provisions of this Act or theregulations or any condition of a Mineral Right;“industrial minerals” means a group of minerals comprising ofphosphate, kaolin, lime, gypsum, dolomite, diatomite,bentonite, zeolite, trona, pozzollana, vermiculite, salt,beach sands and other minerals other than metallicminerals, normally used in industries;“Inspector” means an Inspector of Mines appointed by the Ministerunder section 19;910 No. 14Mining2010“kimberlitic diamonds” means diamonds of gem or industrialquality formed and found in a primary rock intrusion orextrusion from the earth’s crust known as kimberlite pipe;"land to which this Act applies" means-(a)land in Tanzania; (including land beneath the territorialsea and other territorial waters); and(b)the seabed and subsoil of the continental shelf;Cap. 113 Cap. 114"lawful occupier" in relation to any land means the lawful occupier of land in accordance with the Land Act, and the VillageLand Act;"licensed broker" means a person holding a broker licence granted under section 81;"licensed dealer" means a person holding a dealer licence granted under section 74;“licensing activities” include receiving, processing and validating applications, and granting and issuing of mineral rights; "licensing authority" means-(a)where an application for a licence is to be made to theMinister, the Minister;(b)where an application for a licence is to be made to theCommissioner, the Commissioner; or(c)where an application for a licence is to be made to theZonal Mines Officer, the Zonal Mines Officer;“licensing officer” includes a licensing authority or any other publicofficer authorised or appointed to perform licensingactivities on behalf of the licensing authority;“metallic minerals” means a group of minerals comprising of gold,silver, copper, iron, nickel, cobalt, tin, tungsten, zinc,chromium, manganese, titanium, aluminium, platinumgroup of metals and other metallic minerals;"mine" when used as a noun, means any place, excavation orworking in or on which any operation connected withmining is carried on together with all buildings, premises,erections and appliances belonging or appertaining thereto,above or vertically below the ground within horizontalboundaries of the licence, the purpose of mining, treating orpreparing minerals, obtaining or extracting any mineral ormetal by any mode or method or for the purpose of dressingmineral ores but does not include a smelter or a refinery;10No. 14Mining2010 11 “mine” when used as a verb, means intentionally to mine minerals,and includes any operations directly or indirectly necessarytherefor or incidental thereto, including such processing ofminerals as may be required to produce a first saleableproduct, and “mining” shall be construed accordingly;“mineral” means any substance, whether in solid, liquid or gaseousform, occurring naturally in or on the earth, or in or underthe seabed formed by or subject to a geological process, butdoes not include petroleum or surface water;“mineral rights” means licences referred to in section 7;“mining area” means an area of land subject to a special mininglicence, a mining licence, or a primary mining licence;“mining licence” means a mining licence for medium scale miningoperation, whose capital investment is between US$100,000 and US$ 100,000,000 or its equivalent inTanzanian shillings;“mining operations” means operations carried out in the course ofmining;“Minister” means the Minister responsible for mining;“person” means a natural person or a body corporate or otherjuridical person;Cap. 328 “petroleum” has the meaning ascribed to it in the Petroleum(Exploration and Production) Act ;“primary mining licence” means a licence for small scale miningoperations, whose capital investment is less thanUS$100,000 or its equivalent in Tanzanian shillings;“processing area” means an area whether within or outside themining area used for the purpose of milling, beneficiatingand dressing mineral ores, and including smelting andrefining of minerals;“prospect” means to search for any mineral by any means and tocarry out any such works and remove such samples as maybe necessary to test the mineral bearing qualities of land,and includes the conduct of reconnaissance operations;"prospecting area" means an area of land subject to a prospectinglicence;"prospecting licence" means a prospecting licence granted underDivision A of Part IV;1112 No. 14Mining2010"prospecting operations" means operations carried out in the courseof prospecting;"regulations"meansregulations made under this Act;"reserved area" means-(a)an area reserved in accordance with section 15 forapplications for mineral rights by tender; or(b)an area reserved in accordance with section 16exclusively for the grant of primary licences to mineminerals under Division C of Part IV;"retention area" means the area subject to a retention licence;"retention licence" means a retention licence granted under DivisionA of Part IV;"special mining licence" means a licence for large scale miningoperation, whose capital investment is not less thanUS$100,000,000 or its equivalent in Tanzanian shillings;“specified gemstone” means gemstone specified under section 17;Cap. 399 “Tax Authority” means the Tanzania Revenue Authority, established under the Tanzania Revenue Authority Act; "vacant area" means an area of land which is not the subject of-(a) a mineral right, or an area subject to such a mineralright which the applicant has entered into an agreementto purchase, or in respect of which he has anenforceable option to purchase;(b) a processing area;(c) a pending application for a mineral right;"zonal mines office" means such an office established for any areaby the Minister in accordance with section 26;"Zonal Mines Officer" means an officer appointed under subsection(4) of section 19 to head zonal mines office.(2) A reference in this Act to “land subject to a mineralright” is a reference to an area of land in respect of which a mineralright and or a licence for a Processing Area has been granted andsubsists.PART IIG ENERAL P RINCIPLESControl of minerals5. Subject to the provisions of this Act the entire property and control over minerals on, in or under the land to which this Act.12No. 14Mining2010 13 applies is vested in the United RepublicAuthority required for prospecting or mining6.-(1) No person shall, on or in any land to which this Act applies, prospect for minerals or carry on mining operations except under the authority of a mineral right granted or deemed to have been granted, under this Act.(2) The activities carried on by the Agency in the course of geological mapping shall not be treated for the purpose of subsection (1) as prospecting for minerals or mining operations.(3) Any person who contravenes subsection (1), commits an offence and on conviction is liable-(a)in the case of an individual, to a fine of not exceedingfive million shillings or to imprisonment for a period notexceeding three years, or to both;(b)in the case of a body corporate, to a fine of not less thanfifty million shillings.(4) Any minerals obtained in the course of unauthorisedprospecting or mining operations including equipment involved insuch operations shall be forfeited.Mineral rights and exclusivity7.-(1) The following mineral rights may be granted under this Act-(a)under Division A of Part IV-(i) a prospecting licence;(ii) a gemstone prospecting licence; (iii) a retention licence;(b)under Division B of Part IV-(i) a special mining licence;(ii) a mining licence;(c)under Division C of Part IV-a primary mining licence;(d)under division D of Part IV-(i) a processing licence;(ii) a smelting licence;(iii) a refining licence.1314 No. 14Mining2010(2) The licensing authority may, upon consent of themineral right holder, grant more than one mineral right over thesame mining area as follows-(a)a mining licence or primary mining licence forbuilding materials may be granted in an areasubject to a mineral right for minerals other thanbuilding materials;(b)a primary mining licence for gemstones may begranted in an area subject to a prospecting licencefor minerals other than gemstones;(3) Notwithstanding the foregoing provision of this section,nothing in this Act shall prevent any person engaged in theconstruction of tunnels, road, dams, aerodromes and similar publicworks of an engineering nature from utilizing as building materialsany minerals derived from a source approved by the Minister inwriting.(4) The Minister shall not, for the purposes of subsection (3),approve a source in a mining area.(5) The Minister may, at any time withdraw the approvalgiven under subsection (3).Restriction on grant of mineral rights 8.-(1) Mineral rights shall not be granted to-(a)an individual who-(i)is under the age of eighteen years;(ii)is an undischarged bankrupt, having beenadjudged or, otherwise declared bankrupt underany written law, or enters into any agreement orscheme of composition with his creditors, ortakes advantage of any law for the benefit ofdebtors;(b) a body corporate-(i)which is in liquidation other than a liquidationwhich forms part of a scheme for thereconstruction or amalgamation of the holder;(ii)in respect of which an order has been made bya court of competent jurisdiction for thewinding up or dissolution of the bodycorporate;14No. 14Mining2010 15 (iii)which has made a composition or arrangementwith its creditors.(2) A primary mining licence for any minerals shall not begranted to an individual, partnership or body corporate unless-(a)in the case of an individual, the individual is a citizenof Tanzania;(b)in the case of a partnership, it is composedexclusively of citizens of Tanzania;(c)in the case of a body corporate, it is a company and-(i)its membership is composed exclusively ofcitizens of Tanzania;(ii)its directors are all citizens of Tanzania;(iii)control over the company, both direct andindirect, is exercised, from within Tanzania bypersons all of whom are citizens of Tanzania.(3) A mining licence for mining gemstones shall only begranted to applicants who are Tanzanians.(4) Notwithstanding subsection (3), where the Minister afterconsultation with the Board determines that the development ofgemstone resources in an area of land subject to a mineral right, ismost likely to require specialised skills, technology or high level ofinvestment, he may grant a mining licence for gemstones to theapplicant, where he is satisfied that the licence will be held by thatperson together with a non-citizen whose undivided participatingshares amount to not more than fifty percent either alone, in the caseof one person or in the aggregate in the case of more than oneperson.(5) A mineral rights shall not be granted to an individual who,or to any partnership or body corporate or to any one of the partners,shareholders or directors of the partnership or body corporate whichis in default in another mineral rights or in an expired or cancelledmineral rights:Provided that-(a)an individual who or partnership or body corporatewhich is in default; or(b)a partner, shareholder or director of a partnership or1516 No. 14Mining2010body corporate which is in default,may be grated a mineral right upon rectifying the default.(6) A prospecting licence shall not be granted to anindividual, partnership, body corporate, or any one of the partner,shareholders or directors of the partnership or body corporate whoowns more than twenty other valid prospecting licences, unless thecumulative prospecting areas of such other prospecting licences donot exceed 2,000 square kilometres.Mineral rights transferable 9.-(1) The holder of a mineral right, or where the holder is more than one person, every person who constitutes the holder of that mineral right, shall, subject to subsection (2), be entitled to assign the mineral right or, as the case may be, an undivided proportionate part thereof to another person.(2) No special mining licence; mining licence or any undivided proportionate part thereof shall be assigned to another person without a written consent of the licensing authority.(3) Notwithstanding subsection (2), consent of the licensing authority shall not be required for an assignment to-(a)an affiliate, where the obligations of the affiliate areguaranteed by the assignor or by a parent companyapproved by the licensing authority; and, for thepurposes of this paragraph, an affiliate means anycompany which directly or indirectly controls or iscontrolled by the applicant or which is controlleddirectly or indirectly by a company which directly orindirectly controls the applicant;(b) a bank or other financial institution by way ofmortgage or charge given as security for any loan orguarantee in respect of mining operations;(c)another person who constitutes the holder of thespecial mining licence or, as the case may be, themining licence.(4) The consent of the licensing authority where it isrequired under subsection (2) shall not be unreasonably withheld ordelayed.(5) A mineral right may not be assigned to a person to whomthat mineral right could not have been granted under this Act.16No. 14Mining2010 17(6) Application for assignment or transfer of mineral rightsshall be made in a prescribed form and accompanied by a prescribedfee.Develop-ment agreement10.-(1) The Minister may, on behalf of the United Republic and subject to subsection (3), enter into a development agreement, not inconsistent with this Act, with the holder of, or an applicant for, a mineral rights for which he is the licensing authority relating to the grant of such a mineral right or mineral rights, the conduct of mining operations under a special mining licence the grant of the Government free carried interest and State participation in mining, and the financing of any mining operations under a special mining licence.(2) The level of free carried interest and State participation in any mining operations under a special mining licence shall be negotiated upon between the Government and a mineral rights holder depending on the type of minerals and the level of investment.(3) The Minister shall not enter into a development agreement under subsection (1) if-(a)the capital expenditure of establishing a miningoperations within the special mining area which issubject for the intended development agreement isbelow one hundred million United States Dollars orits equivalent in any convertible currencies; and(b)due diligence conducted on the status of the mineralright holder or applicant does not confirm thefinancial and technical capability for such a person ofbeing able to efficiently undertake such a large scaleinvestment.(4) The agreement under subsection (1) shall be in thestandard model as prescribed in the regulations and may containprovisions binding on the United Republic and the mineral rightholder relating to a special mining licence or mining operations to beconducted under a special mining licence-1718 No. 14Mining2010(a)which guarantee the fiscal stability of a long termmining project, by reference to the law in force atthe effective date of the agreement, with respect tothe range and applicable rates of royalties, taxes,duties and levies and the manner in which liabilityin respect thereof is calculated and for that purposeand not otherwise, may contain special provisionsrelating to the payment of any such fiscal impostwhich shall take effect in the event of change in theapplicable law;(b)relating to the circumstances or the manner in whichthe Minister or the Commissioner will exercise anydiscretion conferred on them by this Act or theRegulations;(c)relating to environmental matters, including inrespect of matters which are project specific and notcovered by regulations of general application;(d)dealing with the settlement of disputes arising out ofor relating to the development agreement, theadministration of this Act, or the terms andconditions of a special mining licence, includingprovisions relating to the settlement of any suchdispute by international arbitration;(e)which guarantee procurement of good, and servicesavailable in the United Republic;(f)relating to employment, training and successionplan; and(g)relating to Government free carried interest andState participation.(5) Where this Act or the Regulations confer on the Ministeror the Commissioner discretion, the Minister or, as the case may be,the Commissioner shall exercise that discretion subject to and inaccordance with any relevant stipulation contained in a developmentagreement made under this section.(6) The Minister shall, prior to entering into developmentagreement under this section, refer the proposal to enter into suchdevelopment agreement to the Board for its advice.18。
斑马技术公司DS8108数字扫描仪产品参考指南说明书
Dual Band N600 WNDA3100v2 无线USB适配器安装指南说明书
Guía de instalación Adaptador USB inalámbrico Dual Band N600 WNDA3100v2 Contenido de la cajaAdaptador inalámbrico N600CD derecursosCable USBSoporte de conexión de plásticoPiezas de fijación de velcroInstalaciónTiempo de instalación y configuración: 10 minutos.1. Introduzca el CD de recursos en la unidad de CD del equipo. Si no se abre lapantalla principal del CD, acceda a los archivos del CD y haga doble clic enAutorun.exe.2. Haga clic en Setup (Configurar).Aparecerá la ventana de búsqueda de actualizaciones de software.3. Si está conectado a Internet, haga clic en Check for Updates (Buscaractualizaciones). Si no lo está, haga clic en Install from CD (Instalar desde el CD).4. Haga clic en la opción I Agree (Aceptar) del acuerdo de licencia y, acontinuación, en Next (Siguiente).Aparecerá un mensaje en elque se le pedirá que esperemientras se instala elsoftware. El proceso puedetardar varios minutos. Acontinuación, se le solicitaráque introduzca el adaptador.5. Introduzca el adaptador enun puerto USB del equipo,o bien, use el soporte deconexión y el cable USBsuministrados paraconectar el adaptador.El cable USB y el soportede conexión del adaptadorUSB sirven para ampliar elalcance del adaptador ymejorar la recepcióninalámbrica. Introduzca eladaptador en el soporte deconexión y conecte el cableUSB al equipo.Nota: para obtener mejores resultados, coloque el adaptador inalámbrico a1 metro de distancia del router como mínimo.6. Haga clic en Next (Siguiente).7. NETGEAR Genie muestra una lista de las redes inalámbricas disponibles ensu área.Conexión a una red inalámbricaPuede conectarse a una red inalámbrica desde esta pantalla de NETGEAR Genie,o bien, usar el botón WPS (Wi-Fi Protected Setup) si la red inalámbrica lo admite.• NETGEAR Genie: haga clic en su red inalámbrica para seleccionarla en la listay, a continuación, haga clic en Connect (Conectar).Si la red está protegida,introduzca la contraseña o clave de red.• WPS: mantenga pulsado el botónWPS del lateral del adaptador durante2 segundos.Octubre de 2011Este símbolo se ha colocado conforme a la directiva 2002/96 de la UE sobre residuos de aparatos eléctricos y electrónicos (RAEE). Si se tuviera que desechar este producto dentro de la UniónEuropea, se tratará y se reciclará de conformidad con lo dispuesto en las leyes locales pertinentes, en aplicación de la directiva RAEE.©2011 NETGEAR, Inc. Todos los derechos reservados. NETGEAR, el logotipo de NETGEAR y Connect with Innovation son marcas comerciales o marcas comerciales registradas de NETGEAR, Inc. o sus filiales en Estados Unidos y otros países. La información contenida en el documento puede sufrir modificaciones sin previo aviso. El resto de marcas y nombres de productos son marcas comerciales o marcas comerciales registradas por sus respectivos titulares.Antes de que transcurran 2 minutos, pulse el botón WPS del router o la puerta de enlace inalámbricos.El adaptador se conectará a la red. Este proceso puede tardar varios minutos. La configuración se guarda en un perfil.Icono de NETGEAR GenieTras instalar el adaptador, el icono de NETGEAR Genie aparece en la barra de sistema de Windows y en el escritorio. Haga doble clic en él para abrir NETGEAR Genie y realizar cambios o conectarse a una red inalámbrica diferente. El color del icono indica la intensidad de la conexión inalámbrica mediante barras (de 0 a 5 barras).Verde: de 3 a 5 barras Amarillo: 1 o 2 barrasRojo: 0 (cero) barras (sin conexión)Si extrae el adaptador, NETGEAR Genie no estará disponible, por lo que el icono tampoco se mostrará. Cuando vuelva a conectar el adaptador, el icono aparecerá de nuevo.Cable USB y soporte de conexiónPuede utilizar el cable USB y el soporte de conexión de plástico para colocar el adaptador en un lugar que amplíe el alcance y mejore la recepción inalámbrica. 1.conexión de plástico.2.Inserte el adaptador enel soporte de conexión de plástico.3.Conecte el cable USB.4.Coloque otra de las piezas de fijación de velcro en el lateral o en la parte posteriordel monitor; para una mejor recepción, sitúela cerca de la parte superior. 5. A continuación, una las piezas de fijación de velcro.Servicio técnicoGracias por elegir un producto NETGEAR.Una vez instalado el dispositivo, busque en la etiqueta del producto el número de serie y regístrelo en /register . De lo contrario, no podrá hacer uso de nuestro servicio técnico telefónico. Le recomendamos encarecidamente que registre el dispositivo en el sitio web de NETGEAR.Podrá encontrar actualizaciones del producto y asistencia técnica en la página .Si desea obtener más información sobre la instalación, configuración y utilización del adaptador USB inalámbrico, consulte el Manual del usuario .Para consultar la declaración de conformidad completa, visite el sitio web de declaraciones de conformidad de la UE de NETGEAR en /app/answers/detail/a_id/11621/.Para consultar información correspondiente a la licencia pública general (GPL) de GNU, visite: /app/answers/detail/a_id/2649.。
无人机操作指南说明书
MINISTERIODE TRANSPORTES, MOVILIDAD Y AGENDA URBANAGUÍA PARA LA PRESENTACIÓN DE UNA DECLARACIÓN OPERACIONAL.(Art. 5 Reglamento de Ejecución (UE) 2019/947 de la Comisión, de 24 de mayo de 2019)(Versión 3, 31/03/2022)1. INTRODUCCIÓNDe acuerdo con lo establecido en el artículo 5 del Reglamento de Ejecución (UE) 2019/947 de la Comisión, de 24 de mayo de 2019, antes de la realización de operaciones de UAS en la categoría «específica» es necesario que el operador de UAS registrado en España obtenga una autorización operacional expedida por la Agencia Estatal de Seguridad Aérea (en adelante, AESA) o presente una declaración respecto a una operación que se ajuste a un escenario estándar, europeo o nacional, según corresponda.No se exigirá una autorización operacional o una declaración a aquellos operadores de UAS que posean un certificado de operador de UAS ligeros (LUC) con las facultades adecuadas.2. DECLARACIÓN OPERACIONALLos operadores de UAS podrán presentar ante AESA una declaración operacional de conformidad con un escenario estándar si su operación se puede acomodar dentro de alguno de los escenarios estándar publicados.Un escenario estándar es un tipo de operación de UAS dentro de la categoría «específica» respecto a la cual se ha determinado una lista precisa de medidas de atenuación.Los operadores de UAS podrán presentar declaraciones operacionales de conformidad con los escenarios estándar nacionales (STS-ES) publicados por AESA hasta el 31 de diciembre de 2023. Tales declaraciones dejarán de ser válidas el 31 de diciembre de 2025.A partir del 1 de enero de 2024, los operadores de UAS podrán presentar declaraciones operacionales de conformidad con los escenarios estándar europeos recogidos en el anexo I del Reglamento de Ejecución (UE) 2019/947 de la Comisión.2.1. ESCENARIOS ESTÁNDAR NACIONALES (STS-ES)En el ámbito de las operaciones de UAS a las que les es aplicable el Reglamento de Ejecución (UE) 2019/947 de la Comisión, AESA ha aprobado dos escenarios estándar nacionales (STS-ES) de aplicación únicamente en España (un STS-ES NO habilita para realizar ese tipo de operaciones en otro estado miembro de EASA).Estos escenarios estándar nacionales son análogos a los escenarios estándar europeos, con la salvedad principal de lo relativo al marcado CE y la identificación de clase. Así, para lograr un nivel equivalente de seguridad, se establecen una serie de requisitos técnicos y limitaciones operacionales adicionales.2.1.1.STS-ES-01. VLOS sobre una zona terrestre controlada en un entornopobladoPara operar al amparo de este escenario estándar nacional se debe cumplir con todos los requisitos y limitaciones definidos en el mismo. Pueden consultarse (aquí).A modo de resumen, se destaca lo siguiente:•Operaciones en entorno urbano sobre una zona terrestre controlada. Se define la zona terrestre controlada como aquella zona terrestre en la que se utiliza el UAS y en la que eloperador de UAS puede garantizar que solo estén presentes las personas participantes;•En un espacio aéreo no controlado(clase F o G), o en un espacio aéreo controlado, de conformidad con los procedimientos publicados respecto a la zona de la operación, deforma que esté garantizada la baja probabilidad de encontrar aeronaves tripuladas.• A una distancia máxima de 120 m del punto más cercano en la superficie terrestre;•Dentro del alcance visual del piloto VLOS a una distancia horizontal inferior a 100 m del piloto a distancia;•La aeronave no tripulada no llevará mercancías peligrosas;• A una velocidad respecto al suelo inferior a 5 m/s;•Por un piloto a distancia con los conocimientos teóricos y prácticos definidos para este escenario estándar, utilizando una única aeronave no tripulada a la vez y nunca desde unvehículo en movimiento;•Con una aeronave no tripulada con una MTOM inferior a 10kg que cumpla unos requisitos técnicos específicos;•De conformidad con el manual de operaciones del operador de UAS;2.1.2.STS-ES-02. BVLOS con observadores del espacio aéreo sobre una zonaterrestre controlada en un entorno poco pobladoPara operar bajo este escenario estándar se debe cumplir con todos los requisitos definidos en el mismo. Pueden consultarse (aquí).A modo de resumen, se destaca lo siguiente:•Operaciones en entorno poco poblado sobre una zona terrestre controlada;•En una zona en la que la visibilidad de vuelo mínima sea superior a 5 km;•En un espacio aéreo no controlado(clase F o G), previa publicación, con antelación suficiente, de un NOTAM para operaciones a más de 60 m de distancia del punto más cercanoen la superficie terrestre, o en un espacio aéreo controlado, de conformidad con losprocedimientos publicados respecto a la zona de la operación, de forma que estégarantizada la baja probabilidad de encontrar aeronaves tripuladas;• A una distancia máxima de 100 m del punto más cercano en la superficie terrestre;•La aeronave no tripulada no llevará mercancías peligrosas;• A una velocidad respecto al suelo inferior a 33 m/s;•Se realicen de conformidad con el manual de operaciones del operador de UAS;•Por un piloto a distancia con los conocimientos teóricos y prácticos definidos para este escenario estándar, utilizando una única aeronave no tripulada a la vez y nunca desde unvehículo en movimiento;•Con una aeronave no tripulada de MTOM inferior a 25kg que cumpla unos requisitos técnicos específicos;•Con la aeronave no tripulada visible para el piloto a distancia durante su lanzamiento y recuperación;•Si en ellas no interviene ningún observador del espacio aéreo, con la aeronave no tripulada volando a una distancia máxima de 1 km del piloto a distancia, y siguiendo una trayectoriaprogramada previamente cuando el piloto a distancia no la tenga en modo VLOS;•Si en ellas intervienen uno o varios observadores del espacio aéreo, cumpliendo las condiciones siguientes:—los observadores del espacio aéreo están colocados de forma que cubran adecuadamente el volumen operacional y el espacio aéreo circundante;—la aeronave no tripulada no se utiliza a más de 2 km del piloto a distancia;—la aeronave no tripulada no se utiliza a más de 1 km del observador del espacio aéreo más próximo a ésta;—la distancia entre cualquiera de los observadores del espacio aéreo y el piloto a distancia no es superior a 1 km;—se dispone de medios de comunicación sólidos y eficaces entre el piloto a distancia y los observadores del espacio aéreo.2.2.PROCEDIMIENTO DE PRESENTACIÓN DE UNA DECLARACIÓNLos operadores de UAS que deseen acogerse a un escenario estándar deberán presentar una declaración operacional de manera telemática a través de la sede electrónica de AESA (aquí):Para ello, es necesario seguir los siguientes pasos:1)Darse de alta como usuario en la sede electrónica de AESA.2)Una vez recibida la confirmación del alta, realizar la inscripción en el registro de operadores de UASdesde la misma aplicación. Se obtendrá en este punto un número de operador de UAS unívoco.3)Presentar la declaración operacional, incluyendo:a)Información administrativa actualizada sobre el operador de UAS;b)Las aeronaves no tripuladas que se utilizarán en el escenario estándar seleccionado;c)Una declaración de que la operación cumple los requisitos operacionales descritos en elescenario;d)El compromiso por parte del operador de UAS de aplicar todas las medidas de atenuaciónnecesarias para la seguridad de la operación, ye)Confirmación por parte del operador de UAS de que se dispondrá de un seguro adecuadopara cada vuelo realizado en el marco de la declaración.Esta declaración responsable podrá presentarse de dos formas distintas:•Acceso con certificado digital (obligatorio en caso de personas jurídicas): Mediante esta opción se permite cumplimentar todos los datos, firmarlos digitalmente, y presentar solicitudes de forma automática en AESA. Al finalizar el proceso, se obtendrá un justificante en formato PDF del Registro Telemático de AESA en el que se refleja la información presentada.•Acceso sin certificado digital: Esta opción permite cumplimentar los datos del operador y generar declaraciones. En el caso de personas físicas que opten por realizar el trámite sin certificado digital, se precisará imprimir la declaración y presentarla debidamente firmada a través de uno de los siguientes medios dirigida a:División de UASAgencia Estatal de Seguridad AéreaPaseo de la Castellana, 112. 28046 (Madrid)a)En el Registro General de AESA o en su oficina de asistencia en materia de registro.b)En los registros u oficinas de asistencia en materia de registros de cualquier órganoadministrativo, que pertenezca a la Administración General del Estado, a la de cualquierAdministración de las Comunidades Autónomas, a la de cualquier Administración de lasDiputaciones Provinciales, Cabildos y Consejos Insulares, a los Ayuntamientos de losMunicipios a que se refiere el artículo 121 de la Ley 7/1985, de 2 de abril, reguladora de lasBases del Régimen Local, o a la del resto de las entidades que integran la AdministraciónLocal si, en este último caso, se hubiese suscrito el oportuno convenio.c)En las oficinas de Correos, mediante correo certificado administrativo.d)En las representaciones diplomáticas u oficinas consulares de España en el extranjero.e)En cualquier otro que establezcan las disposiciones vigentes.Una vez recibida la declaración, AESA verificará que contiene todos los elementos necesarios y, automáticamente, proporcionará al operador de UAS una confirmación a través de la aplicación web en formato de PDF de que la ha recibido y de que está completa. Una vez recibida dicha confirmación, el operador de UAS podrá iniciar la operación.2.3.DOCUMENTACIÓN.Si bien el operador de UAS no deberá presentar documentación ante AESA, estará obligado, en cambio, a disponer y conservar a disposición de AESA los documentos necesarios para justificar el cumplimiento con lo especificado en el escenario estándar correspondiente.2.4.EFICACIA DE LA DECLARACIÓN.Las declaraciones de escenarios estándar nacionales serán válidas y se podrá operar de acuerdo con lo declarado hasta el 31 de diciembre de 2025.Las declaraciones de escenarios estándar europeos serán válidas mientras el operador de UAS cumpla los requisitos aplicables de los Reglamentos europeos y las condiciones del escenario estándar correspondiente.2.5.MODIFICACIÓN DE UNA DECLARACIÓN.Los operadores de UAS notificarán sin demora indebida a AESA cualquier cambio en la información incluida en la declaración operacional que hayan presentado.。
General Terms and Conditions说明书
CGS-CIMB Securities (Singapore) Pte Ltd – General Terms and Conditions 银河-联昌证券(新加坡)私人有限公司–一般条款和条件THIS DOCUMENT states the terms and conditions which govern the relationship between CGS-CIMB Securities (Singapore) Pte. Ltd. (“CGS-CIMB ”) and the applicant or applicants for the Account (as hereafter defined) (the “Client ”). 本文件阐述了银河-联昌证券(新加坡)私人有限公司(“CGS-CIMB ”)与申请人或账户申请人(如下文所定义)(简称“客户”)的关系的条款和条件。
P art A: Definition A 章:定义 1. Definitions 定义1.1 Unless the context otherwise requires or if specifically defined in the relevant part of these terms and conditions,the following words or expressions in these terms and conditions shall have the following meanings:除非上下文另有规定,或在这些条款和条件的相关部分中明确定义,否则这些术语或条件下的下列单词或表达式应具有以下含义:“Account ” means such account, including any sub-account, as may be necessary and expedient for the performance of Transactional Services, including but not limited to the Cash Trading Account, the Margin Trading Account, the Securities Borrowing Account, the Securities Lending Account, the CFD Account (as defined in Clause 62.1), the Investment Advisory Account, and the Multi-currency Trust Account;“账户”是指此类账户,包括任何子账户,以交易服务的性能是必要的和适当的,包括但不限于现金交易账户,保证金交易账户,证券借入账户,证券借出账户,CFD 账户(如第62.1条文定义)、投资咨询账户、和多币种信托账户;“Affiliate” means (i) a related corporation (as defined in the Companies Act (Cap 50)) of CGS-CIMB; (ii) CGS-CIMB Securities Sdn. Bhd. and its related corporations (as defined in the Companies Act (Cap 50)); (iii) a member of the CGI Group; and/or (iv) a member of the CIMB Group;“关联公司”指的是(i )与CGS-CIMB 相关的企业(如公司法规定(第50章));(ii )CGS-CIMB Securities Sdn. Bhd.及其关联公司(根据公司法令(第50章)的定义);(iii )CGI 集团成员;和/或(iv )CIMB 集团股东;“Amount Financed ” means the amount owed by the Client in the Margin Trading Account and shall include (a) amounts financed by CGS-CIMB in respect of outstanding purchases made for the Margin Trading Account net of the Cash Collateral and sales proceeds receivable from outstanding sales made in the Margin Trading Account of the Client; (b) all commission charges, interest expenses and all other related expenses; and (c) such other amount as CGS-CIMB may include for the purpose of determining the amount financed;“资金数额”是指由客户所欠的金额在保证金交易账户和金额应包括(a )由CGS-CIMB 的购买为保证金交易账户净应收现金抵押品和销售收入的优秀销售在客户的保证金交易账户;(b )中所有佣金,利息费用及其他相关费用;(c )其他金额如CGS-CIMB 可能包括用于确定融资金数额;“Authorised Person ” means a person authorised in writing by the Client to provide instructions to CGS-CIMB in relation to Transactions on behalf of the Client, and whose instructions will be accepted by CGS-CIMB and are binding on the Client;“授权人”指的是委托人在书面授权的情况下,为客户提供有关交易的指示,其指示将由CGS-CIMB 接受,并对客户有约束力;“Authority ” means the Monetary Authority of Singapore; “管理局”指的是新加坡的金融管理局;“Base Currency ” means Singapore Dollars; “基础货币”指的是新加坡元;“Business Day ” means any day on which CGS-CIMB is open for business in Singapore; “营业日”指银河-联昌在新加坡营业的任何一天;“CAR ” means Client Account Review; “CAR ”系指客户账户审核;“Cash Collateral ” means Collateral that takes the form of a deposit of cash; “现金抵押品”是指以保证金形式支付的抵押品;Contents 目录 Part A : A 章 : Definition 定义2 Part B : B 章 : Terms Applicable Generally 一般条款的适用 9 Part C : C 章 : Trading In Securities 证券交易22 Part D : D 章 : Financial Advisory Services 财务咨询服务24 Part E : E 章 : Custodian And Nominee Services 保管人和提名人服务26 Part F : F 章 : Securities Borrowing And Lending 证券借入和借出 29 Part G : G 章 : Margin Trading Account 保证金交易账户39 Part H : H 章 : Contracts For Difference 差价合约44 Part I : I 章 : Multi-currency Trust Account 多币种信托账户70 Part J : J 章 : Transactions In Foreign Exchanges 外汇交易71 Part K : K 章 : Electronic Communications 电子通信 71 Part L : L 章 : Online Services 网上服务73 Part M : M 章 : Electronic Payment For Securities 证券电子支付 79 Part N : N 章 : Personal Data 个人资料80 Part O : O 章: Miscellaneous Provisions 杂项规定83 Schedule I : 附表1 : Risk Disclosure Statement 风险披露声明91 Schedule II : 附表2 : Guide And Caution Note: Applying/Maintaining A Trading Account 指引和注意事项:申请/维持交易账户106“Cash Trading Account” means the Account (other than the CFD Account, the Margin Trading Account, the Securities Borrowing Account and the Securities Lending Account) designated by CGS-CIMB through which the Transactions are to be effected;“现金交易账户”指的是由CGS-CIMB指定的账户(CFD账户,保证金交易账户,证券借入账户和证券借出账户除外);“CDP” means The Central Depository (Pte) Limited;“CDP”指中央存管(私人)有限公司;“CFD” means contracts for difference;“CFD”是指差价合约;“Charged Securities” means the Collateral or marketable Securities provided by the Client (and which CGS-CIMB agrees to accept as security for the availability of or continued availability of the Margin Financing Facility) including, without limitation, all or any securities, rights, moneys and properties whatsoever which may at any time after the date hereof be derived from, accrued on or be offered in respect of, any of the Charged Securities; “抵押证券”系指客户提供的抵押品或有价证券(以及CGS-CIMB作为可用的安全或保证金融资设施的持续可用性),包括但不限于所有或任何证券,权利,款项和任何在该日期之后的任何时间可从任何已抵押证券而衍生,计提或提供的财产;“CGI Group” means China Galaxy International Financial Holdings Limited and its related corporations (as defined in the Companies Act (Cap 50));“CGI集团”指的是中国银河国际金融控股有限公司及其相关公司(如公司法规定(第50章));“CIMB Group” means CIMB Group Sdn. Bhd. and its related corporations (as defined in the Companies Act (Cap 50));“CIMB集团”指的是联昌国集团限公司。
布朗安全系统视频系统技术说明:布朗视频内容分析算法功能说明书
VCA Capabilities per Device with FW 8.40 Technical NoteBosch Security Systems | Video Systems 2 | 11 Table of contents1Introduction31.1Overview of video content analysis algorithms (3)2Resolution & minimal object sizes42.1MOTION+ (4)2.2Essential Video Analytics (5)2.3Intelligent Video Analytics (5)2.4Intelligent Video Analytics FLOW (6)2.5Camera Trainer (6)2.6Traffic Detector (6)3Frame rates74Moving camera (AUTODOME / MIC) & VCA74.1Profiles vs Scenes (7)4.2Reference Image (7)4.3Detect “object in field” even during camera motion (8)4.4Intelligent Tracking (8)5Thermal camera & VCA86MIC IP fusion 9000i87Video analytics features: Differences by device98Video analytics features by version10Bosch Security Systems | Video Systems 3 | 111IntroductionDifferent devices, whether cameras or encoders, offer a different amount of processing power for video contentanalysis (VCA). This has effects on the supported feature set and detection distance. All Bosch IP cameras &encoders can be clustered by their “Common Product Platform” (CPP), so the CPP version will be used tosummarize the differences between the versions. Further differences are introduced because new features areoften added with FW updates, because thermal camera videos have different visual properties than those ofnormal cameras, and because moving cameras (AUTODOME/MIC) sometimes need different handling. In thistech note, all of these differences are collected.1.1Overview of video content analysis algorithmsThere are different types of video content analysis (VCA) algorithms available:DescriptionTamper detection •Detect if camera is obscured or moved•Evaluate overall lighting level (too dark / bright)•Detect removed or placed objects in dedicated areas (reference image check)MOTION+•Change detection to trigger recordingEssential Video Analytics •Intrusion detection for smaller, controlled environments •Simple counting / queuing applicationsIntelligent Video Analytics •Mission critical perimeter protection•Outdoor environments with harsh weather conditions•Long detection ranges•Ship tracking•Exhibit protection•Counting / queuing applications•Camera Trainer•Intelligent Video Analytics includes the full Essential Video Analytics feature setIntelligent Tracking (MIC/AUTODOME/ MP cameras only)•AUTODOME / MIC automatically zoom to & follow a selected object •Megapixel cameras: “Virtual PTZ”, cutout stream follows selected object in the camera field of viewCamera Trainer •Self-train detectors for simple, rigid objects.•Camera Trainer is an extension of Intelligent Video AnalyticsTraffic Detector (INTEOX only)•Traffic monitoring up to high traffic density, as well as parked cars and pedestrians. Includes classification of car, bus, truck, bicycle, motorbike and persons.•Traffic Detector is an extension of Intelligent Video AnalyticsBosch Security Systems | Video Systems 4 | 112Resolution & minimal object sizes2.1MOTION+MOTION+ aggregates pixel information into processing blocks. These blocks are, in the internal resolutionused for processing, 8x8 pixel with no overlap to neighbouring blocks from FW 6.10 onward. At the imageborder, there is an insensitive area with a width of approximately one block.Aspect Ratio Internal Resolution BlockSizeNumber ofBlocks x Y x y1:13203208x838384:33202403828 16:93201803821 MOTION+ blocksBosch Security Systems | Video Systems 5 | 112.2Essential Video AnalyticsEssential Video Analytics usually subsamples the video before processing it, resulting in the following internalprocessing resolutions:Aspect Ratio / Format IVA ResolutionComment x y4:33202403:4240320DINION / FLEXIDOME: 90° / 270° image rotation16:93201809:16180320DINION / FLEXIDOME: 90° / 270° image rotationAny object with an area of less than 10 square pixels in this internal resolution is discarded. A minimum object area of 20 square pixel is recommended for object detection.2.3Intelligent Video AnalyticsIntelligent Video Analytics usually subsamples the video before processing it, resulting in the following internal processing resolutions, which depend on camera platform, firmware version and configuration of Intelligent Video Analytics:Platform AspectRatio /FormatIVA ResolutionComment x yCPP6/7/7.3/13/14 ≥FW 6.30 & double distanceactive 1:1640640FLEXIDOME IP panoramic 7000 MP 360°4:36404803:4480640DINION / FLEXIDOME: 90° / 270° image rotation 16:96403609:16360640DINION / FLEXIDOME: 90° / 270° image rotationCPP6/7/7.3/13/14 ≥FW 6.30 & double detectioninactive 1:1320320FLEXIDOME IP panoramic 7000 MP 360°4:33202403:4240320DINION / FLEXIDOME: 90° / 270° image rotation 16:93201809:16180320DINION / FLEXIDOME: 90° / 270° image rotationFLEXIDOME panoramic5000i & double detectiondistance active1:1480480FLEXIDOME panoramic5000i & double detectiondistance inactive1:1240240FLEXIDOME multi 7000i & double detectiondistance active 4:3320240 16:9320180FLEXIDOME multi 7000i & double detectiondistance inactive 4:3160120 16:916090Double detection distance is active for the following configurations & objects:④Tracking modes: 3D tracking, 3D people tracking④Noise suppression: OFF, MEDIUM④Object type: Moving, started, stoppedAny object with an area of less than 10 square pixels in the IVA resolution will be discarded. A minimum object area of 20 square pixel is recommended for object detection.2.4Intelligent Video Analytics FLOWIntelligent Video Analytics FLOW aggregates pixel information into motion vectors per processing block. These blocks are, in the internal resolution used for processing, 8x8 pixel large with no overlap to neighbouring blocks. At the image border, there is an insensitive area with a width of approximately one block.Aspect Ratio Internal Resolution BlockSizeNumber of Blocks x Y x y1:13203208x838384:3320240382816:932018038212.5Camera TrainerWhen Camera Trainer is available, it uses the following resolutions and a minimal object size of 32x32 pixel. All Camera Trainer objects have a size which is a multitude of 8x8 pixel blocks, or 16x16 pixel blocks for larger objects.Platform AspectRatio /FormatIVA ResolutionComment x yCPP6/7/7.3/13/141:1640640FLEXIDOME IP panoramic 7000 MP 360°4:36404803:4480640DINION / FLEXIDOME: 90° / 270° image rotation 16:96403609:16360640DINION / FLEXIDOME: 90° / 270° image rotationFLEXIDOME panoramic5000i1:1480480FLEXIDOME multi 7000i 4:3320240 16:93201802.6Traffic DetectorPlatform AspectRatio /FormatIVA ResolutionComment x yCPP 134:3640480 16:96403603Frame ratesIntelligent Video Analytics, Intelligent Video Analytics FLOW, Essential Video Analytics and MOTION+ are always processed on the first stream. Depending on the maximal possible frame rate, or frames per second (fps) of this stream,Maximalfps1rst steamIntelligent VideoAnalytics / EssentialVideo AnalyticsfpsMOTION+fps25 / 5012,5530 / 601558,338,335Exception is the FLEXIDOME multi 7000i, where Intelligent Video Analytics runs with 7.5 fps.If the actually used frame rate of the first stream is lower, then the metadata and alarms are still generated with the frame rate specified here. If such a recording is viewed, then the displayed metadata will change faster than the video images themselves.There are a few cases where the frame rate drops below:∙Exposure time is too large. This can be avoided by ensuring that minimal frame rate in automatic exposure mode is not smaller than the specified Intelligent Video Analytics / Intelligent Video Analytics FLOW / Essential Video Analytics / MOTION+ frame rate.∙Intelligent Video Analytics / Essential Video Analytics has to track too many objects simultaneously. This can happen with 3D person tracking mode in crowds. At the moment, ~10 objects can be tracked in real time with Intelligent Video Analytics on CPP4, ~20 objects with Intelligent Video Analytics on CPP6/7 and ~10 objects with Essential Video Analytics. Beyond that, frame drops may occur because processing took longer than available for the frame.Nevertheless, Intelligent Video Analytics / Essential Video Analytics will still continue to track the objects.∙Camera Trainer: Due to larger image size in the panoramic cameras, Camera Trainer results may not be available every frame, causing outlines and alarms to flicker.4Moving camera (AUTODOME / MIC) & VCAMany VCA algorithms are designed for non-moving cameras only, and will not work while the camera is moved. Therefore these algorithms are only available on predefined dome scenes. They will start the moment the scene is reached and be stopped on departure.4.1Profiles vs ScenesOn non-moving cameras, up to two VCA profiles are supported, which can be scheduled or switched via an internal or external trigger event. Moving cameras, however, are typically used different than non-moving cameras. They are typically configured to move to different scenes after a certain time span, in order to monitor more area than with a single camera. This would collide with any attempt to schedule the VCA on a single scene. Thus, while up to 16 scenes are supported with VCA, only a single VCA profile is available on each scene, and scheduling is not available.4.2Reference ImageDue to limited on-board storage and the fact that not only two but 16 reference images need to be stored on moving cameras, the VCA algorithms relying on a reference image, that is reference image check for tamper detection and crowd density estimation, have long not been supported and are only available from FW 6.20 onward on CPP4 and newer.4.3Detect “object in field” even during camera motionOutside of prepositions and even while the PTZ camera is moving, whether on guard tours or manually, Intelligent Video Analytics can now detect and alarm on “object in field” on PTZ cameras. These alarm fields are defined globally across all potential PTZ views, and any part of those global fields currently within the cameras view becomes active. Thus, guard tours sweeping across the monitored areas in order to provide an intruder less time to slip by can now automatically alarm on those intruders as well. Geolocation of the tracked objects is now provided if the camera is calibrated and assigned a location in the corresponding coordinate system. This is only available on PTZ cameras of CPP 7.3 and newer. Not available on the thermal video of MIC IP fusion 9000i.4.4Intelligent TrackingMoving cameras with Intelligent Video Analytics also have a special VCA algorithm called Intelligent Tracking. When triggered by an Intelligent Video Analytics or the manual selection of an Intelligent Video Analytics object by a user, the Intelligent Tracking steers the moving camera all by itself to zoom in on the object for most details and to follow this object. When the object stops, the Intelligent Tracking will monitor this region for a user specified time for further movement to be picked up and tracked. Afterwards, the moving camera will return to the scene it came from. Not available on the thermal video of MIC IP fusion 9000i.5Thermal camera & VCAThermal cameras like the DINION IP thermal 8000 or the older VOT-320 capture light not in the visible, colourful spectrum, but as heat emissions. Therefore, no colour information is available. Furthermore, areas and object with same temperature will have same thermal values, and thus distinct scene properties in the visible spectrum like fences, walls and bags may not be visible in the thermal image at all. Thus tamper detection and all reference image check based algorithms, that is reference image check and crowd density estimation, are not supported either, nor is the detection of idle / removed objects.6MIC IP fusion 9000iThe MIC IP fusion 9000i combines an optical PTZ camera with a thermal PT camera. Both sensors always have the same pan and tilt angles, and the optical camera can also zoom. On both video channels, a full Intelligent Video Analytics is running, and the results are made available on the other sensor as well.Both moving object detection while the camera is moving as well as Intelligent Tracking are only available on the optical video channel, as the thermal sensor does not provide enough structure in the images for robust performance.7 Video analytics features: Differences by deviceFeature list based onCPP6/7/7.3: FW 7.10 CPP13: FW 8.4 CPP14: FW 8.3I n t e l l i g e n t V i d e o A n a l y t i c s C P P 6/7/7.3I n t e l l i g e n t V i d e o A n a l y t i c s C P P 7.3 P T ZI n t e l l i g e n t V i d e o A n a l y t i c s C P P 7 D I N I O N I P t h e r m a l 8000I n t e l l i g e n t V i d e o A n a l y t i c s C P P 7.3 P T Z t h e r m a l c h a n n e lI n t e l l i g e n t V i d e o A n a l y t i c s C P P 13I n t e l l i g e n t V i d e o A n a l y t i c s C P P 13 P T ZI n t e l l i g e n t V i d e o A n a l y t i c s C P P 14E s s e n t i a l V i d e o A n a l y t i c s E s s e n t i a l V i d e o A n a l y t i c s P T Z VCA scheduling ✓ ✗ ✓ ✗ ✓ ✗ ✓ ✓ ✗ Tamper detection ✓ ✓ ✗ ✗ ✓ ✓ ✓ ✓ ✓ Reference image check ✓ ✓ ✗ ✗ ✓ ✓ ✓ ✓ ✓ MOTION+ ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ Intelligent Tracking✗ ✓ ✗ ✗ ✗ ✓ ✗ ✗ ✗Object in field during PTZ camera motion ✗ ✓ ✗ ✗ ✗ ✓ ✗ ✗ ✗ A l a r m R u l e sAny object ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ Object in field ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ Line crossing ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ Enter / leave field✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ Loitering ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ Follow route ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ Idle / removed object ✓ ✓ ✗ ✗ ✓ ✓ ✓ ✓ ✓ Counting ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ Occupancy✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ Crowd density estimation ✓ ✓ ✗ ✗ ✓ ✓ ✓ ✓ ✓ Condition change ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ Similarity search ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ Flow / counter flow ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✗ ✗ O b j e c t F i l t e rDuration✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ Size ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ Aspect ratio ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ Speed ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ Direction ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ Color ✓ ✓ ✗ ✗ ✓ ✓ ✓ ✓ ✓ Object class ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓Geolocation✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ T r a c k i n g M o d e s Standard (2D) tracking ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ 3D tracking ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ 3D people tracking ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ Ship tracking ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✗ ✗ Museum mode ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ Masking ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓ ✓Face detection ✓ ✓ ✗ ✗ ✗ ✗ ✗ ✗ ✗Camera Trainer ✓ ✓ ✗ ✗ ✓ ✓ ✓ ✗ ✗ Traffic Detector✗✗✗✗✓✓✗✗✗8Video analytics features by versionHere is an overview of which features were introduced by which Intelligent Video Analytics (IVA) and Essential Video Analytics (EVA) version, starting with IVA 6.0 as the oldest IVA version supported by the devices listed here. The supportedIVA / EVAVersionNew Features CPP6CPP7CPP7.3CPP13CPP146.0Added CPP6 with full CPP4 feature setObject classification (replaces head detection) Improved configurationx6.1Object classification (replaces head detection) Improved configurationShip tracking (CPP6 only)GeolocationImproved object detection & tracking (CPP6 only)x6.2Improved IVA Flow (CPP6 only)Improved robustness to shaking camera (CPP6only)Reference image check & Crowd density estimationfor moving cameras (CPP4 only)x6.3Added CPP7 with full CPP6 feature setImproved calibration: Focal length from lens motorposition (CPP4-7), angles from gyrosensor (CPP7only) or PTZ position (CPP4-7)Polylines for line crossingAlarm on foot pointsAlarm on number objects in field (now via GUI)Readded museum mode (CPP6/7)x x6.4Improved calibration: Global calibrationDetect “object in field” even during camera motion(CPP7.3)Improved Intelligent Tracking including Geolocation(CPP7.3)Alarm object visualization in JPEGs (CPP4-7.3)x x x6.6Scenario defaultsMulti-field crossing via task wizardsTemporal states in VCA task script languagex x x7.1Camera Trainer x x x7.6Object filter width & heightTamper detection: Camera movedx x x7.75CPP13 initial release, no Intelligent TrackingTraffic Detector: Vehicles, 2D trackingx8.0CPP14 initial release x8.1Traffic Detector: Added car, bus, truck, bicycle,motorbike subclasses. Added persons. Added 3Dtraffic tracking.x8.4Intelligent Tracking on CPP 13xBosch Security Systems | Video Systems11 | 11Bosch Sicherheitssysteme GmbHRobert-Bosch-Ring 585630 GrasbrunnGermany© Bosch Sicherheitssysteme GmhH, 2018。
药品注册管理办法 英文版 Provisions for Drug Registration 2007
Provisions for Drug Registration(SFDA Order No. 28)Provisions for Drug RegistrationChapter IGeneral ProvisionsArticle 1 The Provisions are formulated for the purposes of ensuring the safety, efficacy and quality of drugs and regulating drug registration in accordance with the Drug Administration Law of the People's Republic of China (hereinafter referred to as the Drug Administration Law), Administrative Permission Law of the People's Republic of China (hereinafter referred to as Administrative Permission Law) and the Regulations for Implementation of the Drug Administration Law of the People's Republic of China (hereinafter referred to as the Regulations for Implementation of the Drug Administration Law).Article 2 The Provisions apply to the applications for drug clinical trial, drug production or import, and conducting drug approval, relevant testing for drug registration, or regulation thereof, within the territory of the People's Republic of China.Article 3 Drug registration refers to the process of review and approval on which the State Food and Drug Administration, in accordance with the official procedures, evaluates the safety, efficacy and quality of the drugs applied for marketing, and decides whether or not to approve such an application.Article 4 The State encourages the research and development of new drugs and adopts the special review and approval with respect to innovative drugs, new drugs for serious and life-threatening diseases and to address unmet medical needs and drugs.Article 5 The State Food and Drug Administration is in charge of drug registration nationwide, and responsible for reviewing and approving the clinical trial, production and importation of drugs.Article 6 The drug registration shall follow the principles of openness, fairness and justice.The State Food and Drug Administration adopts the system of collective responsibility of the chief reviewers, the system of publicizing and challenging relevant persons, and the system of responsibility tracing, with social supervision in such procedures as acceptance, inspection, review and approval and sending.Article 7 In the process of drug registration, the drug regulatory department shall make known to the general public, and hold hearings on, the matters which it deems of vital importance and involving public interests for the granting of permission.Prior to making the decision of administrative licensing that has a direct bearing on the vital interest between the applicant and the other party, the drug regulatory department shall inform the applicant and the interested party of their rights of requesting for hearings, making statements and argues.Article 8 The drug regulatory department shall provide the applicant with access to information on the status of the acceptance, examination, inspection, review and approval of drug registration application and the final resolution.The drug regulatory department shall publicize the following information on its official websites or at the official premises for accepting applications:(1) the items, procedures, fees and their basis, and timelines of the drug registration, index of all the data needed to be submitted and model text of the application form;(2) the name list and other relevant information on the persons involved in the acceptance, examination, inspection, review and approval of drug registration; and(3) general information about categories of approved drugs, etc.Article 9 The drug regulatory department, relevant institutions and persons involved in the drug registration have an obligation to keep the technical secrets and trial data submitted by the applicant confidential.Chapter IIApplication for Drug RegistrationArticle 10 An applicant for drug registration (hereinafter referred to as applicant) refers to the institution that submits a drug registration application and assumes corresponding legal liability.A domestic applicant shall be an institution legally registered within the territory of People'sRepublic of China that independently assumes civil liability and an overseas applicant shall be a legal overseas drug manufacturer. Where an overseas applicant applies for import drug registration, it shall be done by its branch or entrusted agency within the territory of People's Republic of China.The persons who handle the application for drug registration shall have professional knowledge and be familiar with the laws and regulations on, and the technical requirements for, drug registration.Article 11 Drug registration applications include applications for new drugs, generic drugs, import drugs and their supplementary applications as well as re-registration applications.Applications of domestic applicants shall be handled according to the procedures and requirements for new drugs or generic drugs, whereas applications of overseas applicants shall be handled according to those for import drugs.Article 12 Application for new drugs refers to application for registration of drugs that have not been marketed within the territory of People's Republic of China.Application for changing dosage form or route of administration, or claiming a new indication for marketed drugs, shall be submitted as the process of new drug application.Application for generic drugs refers to registration application for producing the drugs having existing national drug standard which is approved to be marketed by the State Food and Drug Administration, whereas the application for biological products shall be submitted as the process of new drug application.Application for import drugs refers to registration application for drugs manufactured abroad to be marketed within the territory of the People's Republic of China.Supplementary application refers to application for variation, addition, or cancellation of the items or contents approved in the original application for new drug, generic drug or import drug.Re-registration application refers to application for continued production or importation of a drug after the expiration of the valid term of the drug approval document.Article 13 The applicant shall provide sufficient and reliable research data to prove the safety,efficacy and quality of the drug, and be liable for the authenticity of all the dossiers submitted.Article 14 The cited literature of the dossier of drug registration shall indicate the title of works or the name, volume number, issue and page of the journal. Where the cited references are not published, an author's permission shall be provided. For foreign literatures, Chinese translation shall be provided as required.Article 15 The State Food and Drug Administration shall obey the development plan and policies on the pharmaceutical industry constituted by the State, and may conduct assessment to the market value of drugs.Article 16 In the process of drug registration, the drug regulatory department shall conduct on-site inspection and causal inspection to the non-clinical studies and clinical trials, as well as production site inspection for the pre-marketing approval to confirm the authenticity, precision and integrity of the dossier submitted.Article 17 Where two or more institutions jointly apply for drugs, the application shall be submitted to the drug regulatory department of the province, autonomous region, or municipality directly under the Central Government, in which the drug manufacturer is located; where the applicants are all drug manufacturers, the application shall be submitted to the drug regulatory department of the province, autonomous region, or municipality directly under the Central Government, in which the manufacturer of pharmaceutical preparations is located; where none of the applicants is a drug manufacturer, the application shall be submitted to the drug regulatory department of the province, autonomous region, or municipality directly under the Central Government, in which the site for pilot production of drug samples is located.Article 18 An applicant shall provide the information on patent and its ownership of the applicant or other parties in China, in respect of the drug applied for registration, its formula, manufacturing processes and/or uses, etc. Where another party owns the patent in China, the applicant shall provide a statement of non-infringement. The drug regulatory department shall publish the information or the statement submitted by the applicant on its official website.Where a patent dispute occurs in the process of drug registration, it shall be settled in accordance with relevant laws and regulations on patent.Article 19 For a drug patented in China, applicants other than the patentee may submit the application for registration two years prior to the expiry date of the patent. The State Food andDrug Administration shall review the drug application in accordance with the Provisions, and after the expiry date of the patent, check and issue the drug approval number, Import Drug License or a Pharmaceutical Product License if the application conforms with the provisions.Article 20 In accordance with the provisions in Article 35 of the Regulations for Implementation of the Drug Administration Law, where a manufacturer or distributor submits undisclosed drug experimental and other data which are independently acquired in order to obtain approval for production or marketing of the drug in question which contains any new chemical entity, the State Food and Drug Administration shall, within six years from the approval date of the drug, reject any application made by any other applicants by using the undisclosed data of the drug in question without permission of the original applicant who has obtained the drug approval, unless the data submitted are independently acquired by the applicants other than the original one.Article 21 Pre-clinical drug study for drug registration application includes drug synthetic processes, extraction methods, physical and chemical properties, purity, selection of dosage form, screening of formula, preparing processes, testing methods, quality specifications, stability, pharmacology, toxicology and animal pharmacokinetics, etc. For traditional Chinese medicine preparations, in addition to the above-mentioned items, pre-clinical drug study also includes the study in the source of the crude drugs, and of their pre-treatment and processing, etc. For biological products, it also includes study on the source, quality specifications, storage conditions, biological characteristics and genetic stability of the starting materials such as bacterial and viral seeds/strains, cell lines, bio-tissues, and immunological study, etc.Article 22 A pre-clinical drug study shall be in conformity with relevant requirements, among which the Good Laboratory Practice for Non-Clinical Laboratory Studies shall be implemented in the study of safety evaluation.Article 23 The drug research institution shall have relevant staff, premises, equipment, instruments and management system, which are appropriate to the research project, and ensure the authenticity of all experimental data. Experimental animals, reagents and raw materials used in the study shall conform with the provisions of the State.Article 24 An applicant who entrusts other institutions with a drug research, individual experiment, testing, or pilot production, etc. shall conclude a contract with the trustee, and state it clearly in the registration application. The applicant shall be responsible for theauthenticity of the research data in the application dossier.Article 25 Where the application is only for registration of pharmaceutical preparations, any drug substance used for the study shall have a drug approval number, an Import Drug License or a Pharmaceutical Product License, and be acquired through legitimated means. Where a drug substance used for the study has no drug approval number, Import Drug License or Pharmaceutical Product License, the use of drug substance in study shall be approved by the State Food and Drug Administration.Article 26 The research data in application dossier for drug registration provided by an overseas drug research institution shall be attached with the items and pages of the information, and with notarized documents proving that the said drug research institution is legally registered overseas. The State Food and Drug Administration may send staff to conduct on-site inspection in needs of drug review.Article 27 The drug regulatory department may request the applicant or the drug research institution responsible for testing to repeat the test based on the items, methods and data specified in the application documents, and may also authorize a drug testing institute or another drug research institution to repeat the test or conduct methodological verification.Article 28 The drug study shall be conducted according to the relevant technical guidelines issued by the State Food and Drug Administration. Where an applicant conducts the study by adopting other evaluation methods and techniques, supporting data proving the scientific feasibility of such methods and techniques shall be provided.Article 29 An applicant who obtains the drug approval number shall manufacture according to the manufacturing processes approved by the State Food and Drug Administration.The drug regulatory department shall supervise and inspect the applicant's manufacture in accordance with the approved manufacturing processes and quality specifications.Chapter IIIDrug Clinical TrialsArticle 30 Any drug clinical trial, including bioequivalence study, shall be approved by the State Food and Drug Administration, and shall be in compliance with the Good Clinical Practice.Drug regulatory department shall supervise and inspect the approved clinical trials.Article 31 Clinical trials shall be conducted for new drug registration applications. As for generic drug registration applications and supplementary applications, clinical trials shall be conducted in accordance with the requirements in the Annex of the Provisions.A clinical trial consists of phases I, II, III and IV.Phase I Clinical Trial: initial clinical pharmacology and safety evaluation studies in humans. These studies are designed to observe tolerability of humans to and pharmacokinetics of a new drug, in order to provide basis for establishing the administration regimen.Phase II Clinical Trial: preliminary evaluation of therapeutic effectiveness of a drug. The purposes are to preliminarily evaluate the therapeutic effectiveness and safety of the drug for particular indication(s) in patients, and provide evidence for design of Phase III clinical trial and settlement of administrative dose regimen. According to specific trial objectives, this phase of trial may be designed in various forms, including the randomized blind controlled clinical trial.Phase III Clinical Trial: confirmation of therapeutic effectiveness of a drug. The purposes are to further verify drug therapeutic effectiveness and safety on eligible patients with target indication(s), to evaluate overall benefit-risk relationships of the drug, and to ultimately provide sufficient evidence for the review of drug registration application. The study, in general, shall be a randomized blind controlled trial with an adequate sample size.Phase IV Clinical Trial: a new drug post-marketing study. The purposes are to assess therapeutic effectiveness and adverse reactions when a drug is widely used, to evaluate overall benefit-risk relationships of the drug when used among general population or specific groups, and to adjust the administration dose, etc.Bioequivalence study refers to a human study, which applies bioavailability study methods with pharmacokinetic parameters as indicators to compare active ingredient absorption rate and extent of the preparations in the same or different dosage forms of a drug in terms of statistical differences under the same experimental condition.Article 32 The sample size of a drug clinical trial shall conform to the objectives of the clinical trial and fulfill statistical requirements, and shall be no smaller than the minimum number of subjects required by the Annex of the Provisions. Where there are circumstances, regarding rare or special diseases, etc., which request clinical sample size reduction or clinical trial exemption,a request shall be made with the clinical trial application, and reviewed and approved by the State Food and Drug Administration.Article 33 As for vaccines prepared during bacterial or viral strain screening or other special drugs, if confirmed without any suitable animal model and laboratory measurement in terms of curative effectiveness, clinical trials may be applied for to the State Food and Drug Administration, subject to ensuring the safety of trial subjects.Article 34 When a drug clinical trial is approved, the applicant shall select institutions for the clinical trial from those certified for conducting drug clinical trials.Article 35 Drugs used for clinical trials shall be manufactured in facilities in compliance with the Good Manufacturing Practice for Pharmaceutical Products (GMP). The manufacturing process shall strictly meet the requirements of the GMP.The applicant shall be responsible for the quality of the drugs used for clinical trials.Article 36 The applicant may conduct the testing for clinical trial drugs by itself, or entrust a drug testing institute specified in the Provisions to conduct such testing, according to its proposed specifications. Vaccines, blood products and other biological products specified by the State Food and Drug Administration shall be tested by drug testing institutes designated by the State Food and Drug Administration.A drug can be used for a clinical trial only after tested as qualified.Drug regulatory departments may conduct sampling and testing on drugs used for clinical trials.Article 37 Prior to conducting a clinical trial, the applicant shall report to the State Food and Drug Administration for record while copying to the drug regulatory department of the seat of the clinical trial institution and that of the province, autonomous region or municipality directly under the Central Government to receive the application a confirmed clinical trial protocol, the name of the principal investigator at the institution in charge of the clinical trial, a list of participating institutions and names of investigators wherefrom, an ethic committee approval letter, and a template of the informed consent form, etc.Article 38 Where the applicant finds a clinical trial institution violating relevant regulations or failing to implement the clinical trial protocol, it shall urge the institution to make corrections; if the circumstances are serious, the applicant may demand suspension or termination of theclinical trial, and shall report the matter to the State Food and Drug Administration and the drug regulatory departments of the relevant provinces, autonomous regions or municipalities directly under the Central Government.Article 39 After completion of a clinical trial, the applicant shall submit a clinical trial final report, a statistical analysis report and its database to the State Food and Drug Administration.Article 40 A clinical trial shall be conducted within three years after approval. If overdue, the original approval documents shall be invalid. If the clinical trial is still needed, the application shall be reapplied for.Article 41 If any serious adverse event occurs during the clinical trial, the investigators shall report to the drug regulatory departments of the relevant provinces, autonomous regions or municipalities directly under the Central Government and the State Food and Drug Administration and notify the applicant within 24 hours, and report to the ethic committee in time.Article 42 In any of the following circumstances during a clinical trial, the State Food and Drug Administration may order the applicant to modify the protocol, suspend or terminate the clinical trial,:(1) the ethic committee fails to perform its duty;(2) safety of the subjects cannot be adequately ensured;(3) a serious adverse event is not reported within the specified timeline;(4) there is evidence to prove that the drug used for the clinical trial is not effective;(5) a quality problem of the drug used for the clinical trial occurs;(6) there is a fraud in the clinical trial; or(7) there is any other case violating the Good Clinical Practice.Article 43 Where there is any large-scale of and unexpected adverse reaction or serious adverse event, or there is evidence to prove any serious quality problem of the drug used for a clinical trial, the State Food and Drug Administration or the drug regulatory department of the province, autonomous region or municipality directly under the Central Government may take emergency control measures and order to suspend or terminate the clinical trial. The applicant and clinical trial institution must stop the clinical trial immediately.Article 44 An overseas applicant intending to conduct an international multi-center clinical trialin China shall submit an application to the State Food and Drug Administration in accordance with the Provisions, and fulfill the following requirements:(1) the drugs used for clinical trials shall be already approved or in phase II or III clinical trial overseas. The State Food and Drug Administration does not accept any overseas applicant’s international multi-center clinical trial application for any preventive vaccine not being registered overseas yet;(2) while approving to conduct an international multi-center clinical trial, the State Food and Drug Administration may require the applicant to conduct phase I clinical trial first in China; (3) when conducting an international multi-center clinical trial in China, if there are any observed serious adverse reaction and unexpected adverse reaction associated with the drug in any country, the applicant shall, in accordance with relevant regulations, report to the State Food and Drug Administration in time;(4) the applicant shall submit a complete clinical trial report to the State Food and Drug Administration after the completion of a clinical trial; and(5) the data obtained from an international multi-center clinical trial for drug registration application in China shall be in conformity with the requirements on clinical trial in the Provisions. All the study materials of the international multi-center clinical trial shall be submitted.Chapter IVApplication and Approval of New DrugsArticle 45 The State Food and Drug Administration may implement special review and approval in cases of the following applications:(1) active ingredients extracted from plants, animals and minerals, etc. and their preparations not yet marketed in China, and newly discovered Chinese crude drugs and their preparations; (2) chemical drug substances and their preparations and biological products not yet approved for marketing in China or abroad;(3) new drugs for the treatment of diseases such as AIDS, malignant tumors and rare diseases, etc. with significant clinical advantage; and(4) new drugs for the treatment of diseases, for which effective therapeutic methods are not available.For drugs specified in the previous clause, applicants may apply for special review and approval in the process of drug registration. The Center for Drug Evaluation of the State Food and DrugAdministration shall organize expert meetings to discuss and determine whether or not to conduct special review and approval for the drugs.Specified measures for special review and approval shall be formulated separately.Article 46 Where a new drug is co-developed by several institutions, the registration can be applied for by one of the institutions, and its duplicate application shall not be made by the others. If a joint application for registration is needed, the institutions shall co-sign as the applicant of the new drug. Each approved new drug, including its different strengths shall be produced by only one institution.Article 47 For the registration application to change the dosage form without changing administration route of a marketed drug, new techniques shall be employed to improve the drug quality and safety, and the changed dosage form shall have significant clinical advantage compared with the previous dosage form.Registration applications to change the dosage form without changing the route of administration or to claim any new indication shall be submitted by certified manufacturers, with exceptions for special dosage forms such as targeting delivery, sustained release and controlled release preparations, etc.Article 48 In the process of the review and approval of a new drug, the registration classification and technical requirements thereof shall not be changed, even though the preparations of the same active ingredients are approved for marketing abroad.In the process of the review and approval of a new drug, the registration classification and technical requirements thereof shall not be changed, even though the preparations of the same active ingredients applied for by domestic manufacturers are approved for marketing in China.Article 49 The dossier for drug registration application shall be submitted at one time. No other technical materials should be added by the applicant after a drug registration application is accepted, with the exceptions for applications of special review and approval, new finding regarding drug safety, or supplementary materials as required. Where an applicant deems it integrant for any new technical material to be supplemented, the submitted application shall be withdrawn. Only if no same product is in the new drug observation period, the applicant may re-apply in compliance with the relevant requirements in the Provisions.Section 1Clinical Trials for New DrugsArticle 50 After completing the pre-clinical study, the applicant shall fill the Application Form for Drug Registration, and report authentically relevant materials to the drug regulatory department of the province, autonomous region or municipality directly under the Central Government where the applicant is located.Article 51 Drug regulatory departments of provinces, autonomous regions, or municipalities directly under the Central Government shall conduct the preliminary review of the application dossiers, and issue a acceptance notice of drug registration application if requirements are met, or issue a non-acceptance notice, in which reasons shall be given, of drug registration application if requirements are not met.Article 52 Drug regulatory departments of provinces, autonomous regions, or municipalities directly under the Central Government shall organize to conduct on-site inspections of the drug research and development conditions and raw data, make preliminary review of the submitted dossiers, and provide review opinions within five days from the date it accepts an application. Where the drug for which the registration is applied is a biological product, samples from three production batches thereof shall also be collected for testing, and a notice for the testing for registration shall be issued to the drug testing institute.Article 53 Drug regulatory departments of provinces, autonomous regions, or municipalities directly under the Central Government shall deliver the review opinions, inspection reports and the application dossiers to the Center for Drug Evaluation of the State Food and Drug Administration within the specified timeline, and notice the applicants.Article 54 The drug testing institute that receives a notice for the testing for registration shall test the samples according to the drug specifications submitted by the applicant, verify the submitted drug specifications, and submit a certificate of analysis for drug registration to the Center for Drug Evaluation of the State Food and Drug Administration within the specified timeline, and copy to the applicant.Article 55 After receiving submitted dossiers, the Center for Drug Evaluation of the State Food and Drug Administration shall organize pharmaceutical, medical and other technical personnel to conduct technical review of the submitted dossiers within the specified timeline, and may request, with reasons, applicants to provide supplementary materials when necessary. After completing technical reviews, the Center for Drug Evaluation shall give technical review opinions。
TD信息元素详解
信息元素功能性定义作者:李欣目录目录 (1)信息元素功能性定义 (11)1 核心网信息元素 (11)1.1 CN Information elements (11)1.2 CN Domain System Information (11)1.3 CN Information info (11)1.4 IMEI (11)1.5 IMSI (GSM-MAP) (11)1.6 Intra Domain NAS Node Selector (11)1.7 Location Area Identification (12)1.8 NAS message (12)1.9 NAS system information (GSM-MAP) (12)1.10 Paging record type identifier (12)1.11 PLMN identity (12)1.12 PLMN Type (12)1.13 P-TMSI (GSM-MAP) (12)1.14 RAB identity (12)1.15 Routing Area Code (12)1.16 Routing Area Identification (13)1.17 TMSI (GSM-MAP) (13)2 UTRAN 移动信息元素 (13)2.1 Cell Access Restriction (13)2.2 Cell identity (13)2.3 Cell selection and re-selection info for SIB3/4 (13)2.4 Cell selection and re-selection info for SIB11/12 (13)2.5 Mapping Info (14)2.6 URA identity (14)3 UE 信息元素 (14)3.1 Activation time (14)3.2 Capability Update Requirement (14)3.3 Cell update cause (15)3.4 Ciphering Algorithm (15)3.5 Ciphering mode info (15)3.6 CN domain specific DRX cycle length coefficient (15)3.7 CPCH Parameters (15)3.8 C-RNTI (15)3.9 DRAC system information (15)3.10 Void (16)3.11 Establishment cause (16)3.12 Expiration Time Factor (16)3.13 Failure cause (16)3.14 Failure cause and error information (16)3.15 Initial UE identity (16)3.16 Integrity check info (16)3.17 Integrity protection activation info (17)3.18 Integrity protection Algorithm (17)3.19 Integrity protection mode info (17)3.20 Maximum bit rate (17)3.21 Measurement capability (17)3.22 Paging cause (17)3.23 Paging record (17)3.24 PDCP capability (17)3.25 Physical channel capability (18)3.26 Protocol error cause (18)3.27 Protocol error indicator (18)3.28 RB timer indicator (18)3.29 Redirection info (18)3.30 Re-establishment timer (18)3.31 Rejection cause (18)3.32 Release cause (18)3.33 RF capability FDD (19)3.34 RLC capability (19)3.35 RLC re-establish indicator (19)3.36 RRC transaction identifier (19)3.37 Security capability (19)3.38 START (19)3.39 Transmission probability (19)3.40 Transport channel capability (20)3.41 UE multi-mode/multi-RAT capability (20)3.42 UE radio access capability (20)3.43 UE Timers and Constants in connected mode (21)3.44 UE Timers and Constants in idle mode (21)3.45 UE positioning capability (21)3.46 URA update cause (21)3.47 U-RNTI (21)3.48 U-RNTI Short (21)3.49 UTRAN DRX cycle length coefficient (21)3.50 Wait time (21)3.51 UE Specific Behavior Information 1 idle (21)3.52 UE Specific Behavior Information 1 interRAT (22)4 无线承载信息元素 (22)4.0 Default configuration identity (22)4.1 Downlink RLC STATUS info (22)4.2 PDCP info (22)4.3 PDCP SN info (22)4.4 Polling info (22)4.5 Predefined configuration identity (23)4.6 Predefined configuration value tag (23)4.7 Predefined RB configuration (23)4.8 RAB info (23)4.9 RAB info Post (23)4.10 RAB information for setup (23)4.11 RAB information to reconfigure (24)4.12 NAS Synchronization indicator (24)4.13 RB activation time info (24)4.14 RB COUNT-C MSB information (24)4.15 RB COUNT-C information (24)4.16 RB identity (24)4.17 RB information to be affected (24)4.18 RB information to reconfigure (25)4.19 RB information to release (25)4.20 RB information to setup (25)4.21 RB mapping info (25)4.22 RB with PDCP information (25)4.23 RLC info (25)4.24 Signaling RB information to setup (26)4.25 Transmission RLC Discard (26)5 传输信道信息元素 (26)5.1 Added or Reconfigured DL TrCH information (26)5.2 Added or Reconfigured UL TrCH information (27)5.3 CPCH set ID (27)5.4 Deleted DL TrCH information (27)5.5 Deleted UL TrCH information (27)5.6 DL Transport channel information common for all transport channels (27)5.7 DRAC Static Information (27)5.8 Power Offset Information (28)5.9 Predefined TrCH configuration (28)5.10 Quality Target (28)5.11 Semi-static Transport Format Information (28)5.12 TFCI Field 2 Information (28)5.13 TFCS Explicit Configuration (28)5.14 TFCS Information for DSCH (TFCI range method) (29)5.15 TFCS Reconfiguration/Addition Information (29)5.16 TFCS Removal Information (29)5.17 Void (29)5.18 Transport channel identity (29)5.19 Transport Format Combination (TFC) (29)5.20 Transport Format Combination Set (29)5.21 Transport Format Combination Set Identity (29)5.22 Transport Format Combination Subset (29)5.23 Transport Format Set (29)5.24 UL Transport channel information common for all transport channels (30)6 物理信道信息元素 (30)6.1 AC-to-ASC mapping (30)6.2 AICH Info (30)6.3 AICH Power offset (30)6.4 Allocation period info (30)6.5 Alpha (30)6.6 ASC Setting (30)6.7 Void (31)6.8 CCTrCH power control info (31)6.9 Cell parameters Id (31)6.10 Common timeslot info (31)6.11 Constant value (31)6.12 CPCH persistence levels (31)6.13 CPCH set info (31)6.14 CPCH Status Indication mode (31)6.15 CSICH Power offset (32)6.16 Default DPCH Offset Value (32)6.17 Downlink channelisation codes (32)6.18 Downlink DPCH info common for all RL (32)6.19 Downlink DPCH info common for all RL Post (32)6.20 Downlink DPCH info common for all RL Pre (32)6.21 Downlink DPCH info for each RL (32)6.22 Downlink DPCH info for each RL Post (33)6.23 Downlink DPCH power control information (33)6.24 Downlink information common for all radio links (33)6.25 Downlink information common for all radio links Post (33)6.26 Downlink information common for all radio links Pre (33)6.27 Downlink information for each radio link (33)6.28 Downlink information for each radio link Post (33)6.29 Void (33)6.30 Downlink PDSCH information (33)6.31 Downlink rate matching restriction information (34)6.32 Downlink Timeslots and Codes (34)6.33 DPCH compressed mode info (34)6.34 DPCH Compressed Mode Status Info (34)6.35 Dynamic persistence level (34)6.36 Frequency info (34)6.37 Individual timeslot info (35)6.38 Individual Timeslot interference (35)6.39 Maximum allowed UL TX power (35)6.40 Void (35)6.41 Midamble shift and burst type (35)6.42 PDSCH Capacity Allocation info (35)6.43 PDSCH code mapping (36)6.44 PDSCH info (36)6.45 PDSCH Power Control info (36)6.46 PDSCH system information (36)6.47 PDSCH with SHO DCH Info (36)6.48 Persistence scaling factors (36)6.49 PICH Info (36)6.50 PICH Power offset (37)6.51 PRACH Channelisation Code List (37)6.52 PRACH info (for RACH) (37)6.53 PRACH partitioning (37)6.54 PRACH power offset (37)6.55 PRACH system information list (37)6.56 Predefined PhyCH configuration (38)6.57 Primary CCPCH info (38)6.58 Primary CCPCH info post (38)6.59 Primary CCPCH TX Power (38)6.60 Primary CPICH info (38)6.61 Primary CPICH Tx power (38)6.62 Primary CPICH usage for channel estimation (38)6.63 PUSCH info (38)6.64 PUSCH Capacity Allocation info (38)6.65 PUSCH power control info (39)6.66 PUSCH system information (39)6.67 RACH transmission parameters (39)6.68 Radio link addition information (39)6.69 Radio link removal information (39)6.70 SCCPCH Information for FACH (39)6.71 Secondary CCPCH info (39)6.72 Secondary CCPCH system information (40)6.73 Secondary CPICH info (40)6.74 Secondary scrambling code (40)6.75 SFN Time info (40)6.76 SSDT cell identity (40)6.77 SSDT information (40)6.78 STTD indicator (40)6.79 TDD open loop power control (41)6.80 TFC Control duration (41)6.81 TFCI Combining Indicator (41)6.82 TGPSI (41)6.83 Time info (41)6.84 Timeslot number (41)6.85 TPC combination index (41)6.86 TSTD indicator (41)6.87 TX Diversity Mode (41)6.88 Uplink DPCH info (41)6.89 Uplink DPCH info Post (42)6.90 Uplink DPCH info Pre (42)6.91 Uplink DPCH power control info (42)6.92 Uplink DPCH power control info Post (42)6.93 Uplink DPCH power control info Pre (42)6.94 Uplink Timeslots and Codes (42)6.95 Uplink Timing Advance (42)6.96 Uplink Timing Advance Control (43)7 测量信息元素 (43)7.1 Additional measurements list (43)7.2 Cell info (43)7.3 Cell measured results (43)7.4 Cell measurement event results (44)7.5 Cell reporting quantities (44)7.6 Cell synchronization information (44)7.7 Event results (44)7.8 FACH measurement occasion info (45)7.9 Filter coefficient (45)7.10 HCS Cell re-selection information (45)7.11 HCS neighboring cell information (45)7.12 HCS Serving cell information (45)7.13 Inter-frequency cell info list (46)7.14 Inter-frequency event identity (46)7.15 Inter-frequency measured results list (46)7.16 Inter-frequency measurement (46)7.17 Inter-frequency measurement event results (47)7.18 Inter-frequency measurement quantity (47)7.19 Inter-frequency measurement reporting criteria (47)7.20 Inter-frequency measurement system information (47)7.21 Inter-frequency reporting quantity (47)7.22 Inter-frequency SET UPDATE (48)7.23 Inter-RAT cell info list (48)7.24 Inter-RAT event identity (48)7.25 Inter-RAT info (48)7.26 Inter-RAT measured results list (48)7.27 Inter-RAT measurement (49)7.28 Inter-RAT measurement event results (49)7.29 Inter-RAT measurement quantity (49)7.30 Inter-RAT measurement reporting criteria (49)7.31 Inter-RAT measurement system information (50)7.32 Inter-RAT reporting quantity (50)7.33 Intra-frequency cell info list (50)7.34 Intra-frequency event identity (50)7.35 Intra-frequency measured results list (50)7.36 Intra-frequency measurement (50)7.37 Intra-frequency measurement event results (51)7.38 Intra-frequency measurement quantity (51)7.39 Intra-frequency measurement reporting criteria (51)7.40 Intra-frequency measurement system information (51)7.41 Intra-frequency reporting quantity (52)7.42 Intra-frequency reporting quantity for RACH reporting (52)7.43 Maximum number of reported cells on RACH (52)7.44 Measured results (52)7.45 Measured results on RACH (52)7.46 Measurement Command (52)7.47 Measurement control system information (53)7.48 Measurement Identity (53)7.49 Measurement reporting mode (53)7.50 Measurement Type (53)7.51 Measurement validity (53)7.52 Observed time difference to GSM cell (53)7.53 Periodical reporting criteria (53)7.54 Primary CCPCH RSCP info (54)7.55 Quality measured results list (54)7.56 Quality measurement (54)7.57 Quality measurement event results (54)7.58 Quality measurement reporting criteria (54)7.59 Quality reporting quantity (54)7.60 Reference time difference to cell (54)7.61 Reporting Cell Status (55)7.62 Reporting information for state CELL_DCH (55)7.63 SFN-SFN observed time difference (55)7.64 Time to trigger (55)7.65 Timeslot ISCP info (55)7.66 Traffic volume event identity (55)7.67 Traffic volume measured results list (55)7.68 Traffic volume measurement (55)7.69 Traffic volume measurement event results (56)7.70 Traffic volume measurement object (56)7.71 Traffic volume measurement quantity (56)7.72 Traffic volume measurement reporting criteria (56)7.73 Traffic volume measurement system information (56)7.74 Traffic volume reporting quantity (56)7.75 UE internal event identity (56)7.76 UE internal measured results (57)7.77 UE internal measurement (57)7.78 UE internal measurement event results (57)7.79 UE internal measurement quantity (57)7.80 UE internal measurement reporting criteria (57)7.81 Void (58)7.82 UE Internal reporting quantity (58)7.83 UE Rx-Tx time difference type 1 (58)7.84 UE Rx-Tx time difference type 2 (58)7.85 UE Transmitted Power info (58)7.86 UE positioning Ciphering info (58)7.87 UE positioning Error (58)7.88 UE positioning GPS acquisition assistance (59)7.89 UE positioning GPS almanac (59)7.90 UE positioning GPS assistance data (59)7.91 UE positioning GPS DGPS corrections (59)7.92 UE positioning GPS ionospheric model (59)7.93 UE positioning GPS measured results (59)7.94 UE positioning GPS navigation model (60)7.95 UE positioning GPS real-time integrity (60)7.96 UE positioning GPS reference time (60)7.97 UE positioning GPS UTC model (61)7.98 UE positioning IPDL parameters (61)7.99 UE positioning measured results (61)7.100 UE positioning measurement (61)7.101 UE positioning measurement event results (61)7.102 Void (62)7.103 UE positioning OTDOA assistance data for UE-assisted (62)7.104 Void (62)7.105 UE positioning OTDOA measured results (62)7.106 UE positioning OTDOA neighbor cell info (62)7.107 UE positioning OTDOA quality (63)7.108 UE positioning OTDOA reference cell info (63)7.109 UE positioning position estimate info (64)7.110 UE positioning reporting criteria (64)7.111 UE positioning reporting quantity (64)7.112 T ADV info (65)8 其它信息元素 (65)8.1 BCCH modification info (65)8.2 BSIC (65)8.3 CBS DRX Level 1 information (65)8.4 Cell Value tag (65)8.5 Inter-RAT change failure (65)8.6 Inter-RAT handover failure (66)8.7 Inter-RAT UE radio access capability (66)8.8 Void (66)8.9 MIB Value tag (66)8.10 PLMN Value tag (66)8.11 Predefined configuration identity and value tag (66)8.12 Protocol error information (66)8.13 References to other system information blocks (66)8.14 References to other system information blocks and scheduling blocks (67)8.15 Rplmn information (67)8.16 Scheduling information (67)8.17 SEG COUNT (67)8.18 Segment index (67)8.19 SIB data fixed (67)8.20 SIB data variable (67)8.21 SIB type (67)8.22 SIB type SIBs only (67)9 ANSI-41 Information elements (68)10 Multiplicity values and type constraint values (68)信息元素功能性定义消息是由多个信息元素组合而成,信息元素根据其功能的不同划分为:核心网域信息元素、UTRAN 移动信息元素、UE 信息元素、无线承载信息元素、传输信道信息元素、物理信道信息元素和测量信息元素。
城市桥梁工程施工质量检验标准
北京市道路工程质量监督站 本标准参编单位:北京市市政二建设工程有限责任公司
北京市建设工程安全质量监督总站 北京市市政一建设工程有限责任公司 北京市市政三建设工程有限责任公司 北京市市政四建设工程有限责任公司 北京市市政六建设工程有限责任公司 北京市常青市政工程公司 北京易成市政工程有限责任公司 本标准主要起草人:刘晖、王健中、逯平、孙承万、李达、常亚静、李琳、孟庆龙、 武子荐、尹海明、王文正、李柏青、李华君、许亮、段鹏俊、康玉玺、蔡连军 本标准主要审查人员:孔恒、刘彦林
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目次 1 总则 .......................................................................................................................................... 10 2 基本规定 ........................................................................................... 11
北
京
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地方标准
编 号:DB11/T 1072—2014 备案号:J ×××—20××
【精品】国际法条文英文版
文档来源为:从网络收集整理.word 版本可编辑.欢迎下载支持.【关键字】精品INTERNATIONAL LAWPART I ............................................................................................................................ 1 PART II ........................................................................................................................... 2 PART III ......................................................................................................................... 8 PART IV ....................................................................................................................... 11 PART V ........................................................................................................................ 14 PART VI ....................................................................................................................... 20 PART VII ...................................................................................................................... 23 PART VIII ..................................................................................................................... 30 PART IX ....................................................................................................................... 30 PART X ........................................................................................................................ 31 PART XI ....................................................................................................................... 32 PART XII ...................................................................................................................... 54 PART XIII ..................................................................................................................... 65 PART XIV .................................................................................................................... 71 PART XV ..................................................................................................................... 74 PART XVI .................................................................................................................... 79 PART XVII ................................................................................................................... 80 FINAL PROVISIONS . (80)PART IINTRODUCTIONArticle 1Use of terms and scope1. For the purposes of this Convention:(1) "Area" means the seabed and ocean floor and subsoil thereof, beyond the limits of national jurisdiction;(2) "Authority" means the International Seabed Authority;(3) "activities in the Area" means all activities of exploration for, and exploitation of, the resources of the Area;(4) "pollution of the marine environment" means the introduction by man, directly or indirectly, of substances or energy into the marine environment, including estuaries, which results or is likely to result in such deleterious effects as harm to living resources and marine life, hazards to human health, hindrance to marine activities, including fishing and other legitimate uses of the sea, impairment of quality for use of sea water and reduction of amenities; (5) (a) "dumping" means:(i) any deliberate disposal of wastes or other matter from vessels, aircraft, platforms or other man-made structures at sea;(ii) any deliberate disposal of vessels, aircraft, platforms or other man-made structures at sea;(b) "dumping" does not include:(i) the disposal of wastes or other matter incidental to, or derived from the normal operations of vessels, aircraft, platforms or other man-made structures at sea and their equipment, other than wastes or other matter transported by or to vessels, aircraft, platforms or other man-made structures at sea, operating for the purpose of disposal of such matter or derived from the treatment of such wastes or other matter on such vessels, aircraft, platforms or structures;(ii) placement of matter for a purpose other than the mere disposal thereof, provided that such placement is not contrary to the aims of this Convention.2. (1) "States Parties" means States which have consented to be bound by this Convention and for which this Convention is in force.(2) This Convention applies mutatis mutandis to the entities referred to in article 305, paragraph l(b), (c), (d), (e) and (f), which become Parties to this Convention in accordance with the conditions relevant to each, and to that extent "States Parties" refers to those entities.文档来源为:从网络收集整理.word 版本可编辑.欢迎下载支持.PART IITERRITORIAL SEA AND CONTIGUOUS ZONESECTION 1. GENERAL PROVISIONSArticle2Legal status of the territorial sea, of the air space over the territorial sea and of its bed and subsoil1. The sovereignty of a coastal State extends, beyond its land territory and internal waters and, in the case of an archipelagic State, its archipelagic waters, to an adjacent belt of sea, described as the territorial sea.2. This sovereignty extends to the air space over the territorial sea as well as to its bed and subsoil.3. The sovereignty over the territorial sea is exercised subject to this Convention and to other rules of international law.SECTION 2. LIMITS OF THE TERRITORIAL SEAArticle3Breadth of the territorial seaEvery State has the right to establish the breadth of its territorial sea up to a limit not exceeding 12 nautical miles, measured from baselines determined in accordance with this Convention.Article4Outer limit of the territorial seaThe outer limit of the territorial sea is the line every point of which is at a distance from the nearest point of the baseline equal to the breadth of the territorial sea.Article5 Normal baselineExcept where otherwise provided in this Convention, the normalbaseline for measuring the breadth of the territorial sea is the low-water line along the coast as marked on large-scale charts officially recognized by the coastal State.Article6 ReefsIn the case of islands situated on atolls or of islands having fringing reefs, the baseline for measuring the breadth of the territorial sea is theseaward low-water line of the reef, as shown by the appropriate symbol on charts officially recognized by the coastal State.Article7 Straight baselines1. In localities where the coastline is deeply indented and cut into, or if there is a fringe of islands along the coast in its immediate vicinity, the method of straight baselines joining appropriate points may be employed in drawing the baseline from which the breadth of the territorial sea is measured.2. Where because of the presence of a delta and other naturalconditions the coastline is highly unstable, the appropriate points may be selected along the furthest seaward extent of the low-water line and, notwithstanding subsequent regression of the low-water line, the straight baselines shall remain effective until changed by the coastal State in accordance with this Convention.3. The drawing of straight baselines must not depart to any appreciable extent from the general direction of the coast, and the sea areas lying within the lines must be sufficiently closely linked to the land domain to be subject to the regime of internal waters.4. Straight baselines shall not be drawn to and from low-tide elevations, unless lighthouses or similar installations which are permanently above sea level have been built on them or except in instances where the drawing of baselines to and from such elevations has received general international recognition.5. Where the method of straight baselines is applicable under paragraph 1, account may be taken, in determining particular baselines, ofeconomic interests peculiar to the region concerned, the reality and the importance of which are clearly evidenced by long usage.文档来源为:从网络收集整理.word 版本可编辑.欢迎下载支持.6. The system of straight baselines may not be applied by a State in such a manner as to cut off the territorial sea of another State from the high seas or an exclusive economic zone.Article8 Internal waters1. Except as provided in Part IV, waters on the landward side of the baseline of the territorial sea form part of the internal waters of the State.2. Where the establishment of a straight baseline in accordance with the method set forth in article 7 has the effect of enclosing as internal waters areas which had not previously been considered as such, a right of innocent passage as provided in this Convention shall exist in those waters.Article9 Mouths of riversIf a river flows directly into the sea, the baseline shall be a straight line across the mouth of the river between points on the low-water line of its banks.Article10 Bays1. This article relates only to bays the coasts of which belong to a single State.2. For the purposes of this Convention, a bay is a well-markedindentation whose penetration is in such proportion to the width of its mouth as to contain land-locked waters and constitute more than a mere curvature of the coast. An indentation shall not, however, be regarded as a bay unless its area is as large as, or larger than, that of the semi-circle whose diameter is a line drawn across the mouth of that indentation.3. For the purpose of measurement, the area of an indentation is that lying between the low-water mark around the shore of the indentation and a line joining the low-water mark of its natural entrance points. Where, because of the presence of islands, an indentation has more than one mouth, the semi-circle shall be drawn on a line as long asthe sum total of the lengths of the lines across the different mouths.Islands within an indentation shall be included as if they were part of the water area of the indentation.4. If the distance between the low-water marks of the natural entrance points of a bay does not exceed 24 nautical miles, a closing line may be drawn between these two low-water marks, and the waters enclosed thereby shall be considered as internal waters.5. Where the distance between the low-water marks of the natural entrance points of a bay exceeds 24 nautical miles, a straight baseline of 24 nautical miles shall be drawn within the bay in such a manner as to enclose the maximum area of water that is possible with a line of that length.6. The foregoing provisions do not apply to so-called "historic" bays, or in any case where the system of straight baselines provided for in article 7 is applied.Article11 PortsFor the purpose of delimiting the territorial sea, the outermostpermanent harbour works which form an integral part of the harbour system are regarded as forming part of the coast. Off-shore installations and artificial islands shall not be considered as permanent harbour works.Article12 RoadsteadsRoadsteads which are normally used for the loading, unloading and anchoring of ships, and which would otherwise be situated wholly or partly outside the outer limit of the territorial sea, are included in the territorial sea.Article13 Low-tide elevations1. A low-tide elevation is a naturally formed area of land which issurrounded by and above water at low tide but submerged at high tide. Where a low-tide elevation is situated wholly or partly at a distance not exceeding the breadth of the territorial sea from the mainland or an文档来源为:从网络收集整理.word 版本可编辑.欢迎下载支持.island, the low-water line on that elevation may be used as the baseline for measuring the breadth of the territorial sea.2. Where a low-tide elevation is wholly situated at a distanceexceeding the breadth of the territorial sea from the mainland or an island, it has no territorial sea of its own.Article14Combination of methods for determining baselinesThe coastal State may determine baselines in turn by any of the methods provided for in the foregoing articles to suit different conditions.Article15Delimitation of the territorial sea between Stateswith opposite or adjacent coastsWhere the coasts of two States are opposite or adjacent to each other, neither of the two States is entitled, failing agreement between them to the contrary, to extend its territorial sea beyond the median line every point of which is equidistant from the nearest points on the baselines from which the breadth of the territorial seas of each of the two States is measured. The above provision does not apply, however, where it is necessary by reason of historic title or other specialcircumstances to delimit the territorial seas of the two States in a way which is at variance therewith.Article16Charts and lists of geographical coordinates1. The baselines for measuring the breadth of the territorial sea determined in accordance with articles 7, 9 and 10, or the limitsderived therefrom, and the lines of delimitation drawn in accordance with articles 12 and 15 shall be shown on charts of a scale or scales adequate for ascertaining their position. Alternatively, a list ofgeographical coordinates of points, specifying the geodetic datum, may be substituted.2. The coastal State shall give due publicity to such charts or lists of geographical coordinates and shall deposit a copy of each such chart or list with the Secretary-General of the United Nations.SECTION 3. INNOCENT PASSAGE IN THE TERRITORIAL SEASUBSECTION A. RULES APPLICABLE TO ALL SHIPSArticle17Right of innocent passageSubject to this Convention, ships of all States, whether coastal orland-locked, enjoy the right of innocent passage through the territorial sea.Article18 Meaning of passage1. Passage means navigation through the territorial sea for the purpose of:(a) traversing that sea without entering internal waters or calling at a roadstead or port facility outside internal waters; or(b) proceeding to or from internal waters or a call at such roadstead or port facility.2. Passage shall be continuous and expeditious. However, passage includes stopping and anchoring, but only in so far as the same are incidental to ordinary navigation or are rendered necessary by force majeure or distress or for the purpose of rendering assistance to persons, ships or aircraft in danger or distress.Article19Meaning of innocent passage1. Passage is innocent so long as it is not prejudicial to the peace, good order or security of the coastal State. Such passage shall take place in conformity with this Convention and with other rules of international law.2. Passage of a foreign ship shall be considered to be prejudicial to the peace, good order or security of the coastal State if in the territorial sea it engages in any of the following activities:(a) any threat or use of force against the sovereignty,文档来源为:从网络收集整理.word 版本可编辑.欢迎下载支持.territorial integrity or political independence of the coastal State, or in any other manner in violation of the principles of international law embodied in the Charter of the United Nations;(b) any exercise or practice with weapons of any kind; (c) any act aimed at collecting information to the prejudice of the defence or security of the coastal State;(d) any act of propaganda aimed at affecting the defence or security of the coastal State;(e) the launching, landing or taking on board of any aircraft;(f) the launching, landing or taking on board of any military device;(g) the loading or unloading of any commodity, currency or person contrary to the customs, fiscal, immigration or sanitary laws and regulations of the coastal State; (h) any act of wilful and serious pollution contrary to this Convention;(i) any fishing activities;(j) the carrying out of research or survey activities; (k) any act aimed at interfering with any systems ofcommunication or any other facilities or installations of the coastal State;(l) any other activity not having a direct bearing on passage.Article20Submarines and other underwater vehiclesIn the territorial sea, submarines and other underwater vehicles are required to navigate on the surface and to show their flag.Article21Laws and regulations of the coastal State relating to innocent passage 1. The coastal State may adopt laws and regulations, in conformity with the provisions of this Convention and other rules of international law, relating to innocent passage through the territorial sea, in respect of all or any of the following:(a) the safety of navigation and the regulation of maritime traffic;(b) the protection of navigational aids and facilities and other facilities or installations;(c) the protection of cables and pipelines;(d) the conservation of the living resources of the sea; (e) the prevention of infringement of the fisheries laws and regulations of the coastal State;(f) the preservation of the environment of the coastal State and the prevention, reduction and control of pollution thereof;(g) marine scientific research and hydrographic surveys; (h) the prevention of infringement of the customs, fiscal, immigration or sanitary laws and regulations of the coastal State.2. Such laws and regulations shall not apply to the design, construction, manning or equipment of foreign ships unless they are giving effect to generally accepted international rules or standards.3. The coastal State shall give due publicity to all such laws and regulations.4. Foreign ships exercising the right of innocent passage through the territorial sea shall comply with all such laws and regulations and all generally accepted international regulations relating to the prevention of collisions at sea.Article22Sea lanes and traffic separation schemes in the territorial sea文档来源为:从网络收集整理.word 版本可编辑.欢迎下载支持.1. The coastal State may, where necessary having regard to the safety of navigation, require foreign ships exercising the right ofinnocent passage through its territorial sea to use such sea lanes and traffic separation schemes as it may designate or prescribe for the regulation of the passage of ships.2. In particular, tankers, nuclear-powered ships and ships carrying nuclear or other inherently dangerous or noxious substances ormaterials may be required to confine their passage to such sea lanes. 3. In the designation of sea lanes and the prescription of trafficseparation schemes under this article, the coastal State shall take into account:(a) the recommendations of the competent international organization;(b) any channels customarily used for international navigation;(c) the special characteristics of particular ships and channels; and(d) the density of traffic.4. The coastal State shall clearly indicate such sea lanes and traffic separation schemes on charts to which due publicity shall be given.Article23Foreign nuclear-powered ships and ships carrying nuclear or other inherently dangerous or noxious substancesForeign nuclear-powered ships and ships carrying nuclear or other inherently dangerous or noxious substances shall, when exercising the right of innocent passage through the territorial sea, carrydocuments and observe special precautionary measures established for such ships by international agreements.Article24Duties of the coastal State1. The coastal State shall not hamper the innocent passage of foreign ships through the territorial sea except in accordance with thisConvention. In particular, in the application of this Convention or of any laws or regulations adopted in conformity with this Convention, the coastal State shall not:(a) impose requirements on foreign ships which have the practical effect of denying or impairing the right of innocent passage; or(b) discriminate in form or in fact against the ships of any State or against ships carrying cargoes to, from or on behalf of any State.2. The coastal State shall give appropriate publicity to any danger to navigation, of which it has knowledge, within its territorial sea.Article25Rights of protection of the coastal State1. The coastal State may take the necessary steps in its territorial sea to prevent passage which is not innocent.2. In the case of ships proceeding to internal waters or a call at a port facility outside internal waters, the coastal State also has the right to take the necessary steps to prevent any breach of the conditions to which admission of those ships to internal waters or such a call is subject.3. The coastal State may, without discrimination in form or in fact among foreign ships, suspend temporarily in specified areas of its territorial sea the innocent passage of foreign ships if such suspension is essential for the protection of its security, including weapons exercises. Such suspension shall take effect only after having been duly published.Article26Charges which may be levied upon foreign ships1. No charge may be levied upon foreign ships by reason only of their passage through the territorial sea.2. Charges may be levied upon a foreign ship passing through theterritorial sea as payment only for specific services rendered to the ship. These charges shall be levied without discrimination.SUBSECTION B. RULES APPLICABLE TO文档来源为:从网络收集整理.word 版本可编辑.欢迎下载支持.MERCHANT SHIPS AND GOVERNMENT SHIPS OPERATED FOR COMMERCIAL PURPOSESArticle27Criminal jurisdiction on board a foreign ship1. The criminal jurisdiction of the coastal State should not beexercised on board a foreign ship passing through the territorial sea to arrest any person or to conduct any investigation in connection with any crime committed on board the ship during its passage, save only in the following cases:(a) if the consequences of the crime extend to the coastal State;(b) if the crime is of a kind to disturb the peace of the country or the good order of the territorial sea; (c) if the assistance of the local authorities has been requested by the master of the ship or by a diplomatic agent or consular officer of the flag State; or(d) if such measures are necessary for the suppression of illicit traffic in narcotic drugs or psychotropic substances.2. The above provisions do not affect the right of the coastal State to take any steps authorized by its laws for the purpose of an arrest or investigation on board a foreign ship passing through the territorial sea after leaving internal waters.3. In the cases provided for in paragraphs 1 and 2, the coastal State shall, if the master so requests, notify a diplomatic agent or consular officer of the flag State before taking any steps, and shall facilitate contact between such agent or officer and the ship's crew. In cases of emergency this notification may be communicated while the measures are being taken.4. In considering whether or in what manner an arrest should be made, the local authorities shall have due regard to the interests of navigation.5. Except as provided in Part XII or with respect to violations of laws and regulations adopted in accordance with Part V, the coastal State may not take any steps on board a foreign ship passing through theterritorial sea to arrest any person or to conduct any investigation in connection with any crime committed before the ship entered theterritorial sea, if the ship, proceeding from a foreign port, is only passing through the territorial sea without entering internal waters.Article28Civil jurisdiction in relation to foreign ships1. The coastal State should not stop or divert a foreign ship passingthrough the territorial sea for the purpose of exercising civil jurisdiction in relation to a person on board the ship.2. The coastal State may not levy execution against or arrest the ship for the purpose of any civil proceedings, save only in respect of obligations or liabilities assumed or incurred by the ship itself in the course or for the purpose of its voyage through the waters of the coastal State.3. Paragraph 2 is without prejudice to the right of the coastal State, in accordance with its laws, to levy execution against or to arrest, for the purpose of any civil proceedings, a foreign ship lying in the territorial sea, or passing through the territorial sea after leaving internal waters.SUBSECTION C. RULES APPLICABLE TO WARSHIPS AND OTHER GOVERNMENT SHIPS OPERATED FOR NON-COMMERCIAL PURPOSESArticle29 Definition of warshipsFor the purposes of this Convention, "warship" means a ship belonging to the armed forces of a State bearing the external marks distinguishing such ships of its nationality, under the command of an officer dulycommissioned by the government of the State and whose name appears in the appropriate service list or its equivalent, and manned by a crew which is under regular armed forces discipline.Article30Non-compliance by warships with the laws and regulationsof the coastal State文档来源为:从网络收集整理.word 版本可编辑.欢迎下载支持.If any warship does not comply with the laws and regulations of the coastal State concerning passage through the territorial sea and disregards any request for compliance therewith which is made to it, the coastal State may require it to leave the territorial sea immediately.Article31Responsibility of the flag State for damage caused by a warship or other government ship operated for non-commercial purposes The flag State shall bear international responsibility for any loss or damage to the coastal State resulting from the non-compliance by a warship or other government ship operated for non-commercial purposes with the laws and regulations of the coastal Stateconcerning passage through the territorial sea or with the provisions of this Convention or other rules of international law.Article32Immunities of warships and other government shipsoperated for non-commercial purposesWith such exceptions as are contained in subsection A and in articles 30 and 31, nothing in this Convention affects the immunities ofwarships and other government ships operated for non-commercial purposes.SECTION 4. CONTIGUOUS ZONEArticle33 Contiguous zone1. In a zone contiguous to its territorial sea, described as the contiguous zone, the coastal State may exercise the control necessary to:(a) prevent infringement of its customs, fiscal, immigration or sanitary laws and regulations within its territory or territorial sea;(b) punish infringement of the above laws and regulationscommitted within its territory or territorial sea.2. The contiguous zone may not extend beyond 24 nautical miles from the baselines from which the breadth of the territorial sea is measured.PART IIISTRAITS USED FOR INTERNATIONAL NAVIGATIONSECTION 1. GENERAL PROVISIONSArticle34Legal status of waters forming straits used for international navigation 1. The regime of passage through straits used for internationalnavigation established in this Part shall not in other respects affect the legal status of the waters forming such straits or the exercise by the States bordering the straits of their sovereignty or jurisdiction over such waters and their air space, bed and subsoil.2. The sovereignty or jurisdiction of the States bordering the straits is exercised subject to this Part and to other rules of international law.Article35 Scope of this PartNothing in this Part affects:(a) any areas of internal waters within a strait, except where the establishment of a straight baseline in accordance with the method set forth in article 7 has the effect of enclosing asinternal waters areas which had not previously been considered as such;(b) the legal status of the waters beyond the territorial seas of States bordering straits as exclusive economic zones or high seas; or(c) the legal regime in straits in which passage is regulated in whole or in part by long-standing international conventions in force specifically relating to such straits.。
MEDTRON用户指南列表说明书
USER GUIDE LISTINGMSI Contact ListNOTE: See Other Resources on Page 2APPOINTMENT SCHEDULINGAppointment SchedulingSetup/Maintain Master Appointment Scheduler Verification of Benefits/Precerts BASIC CONCEPTSHelp TextKeyboard StandardsOperational Assistant/Commands Standard Function Keys & Options BATCH ENTRYAnesthesia Charge Entry Batch Charge EntryBatch Charge Entry Reverse Rekey Charge Function Bulk Payment Entry Discrepancy Report HPSA PaymentsNSF/Stop Payment/Stale Checks Payment Posting Tips Regular Payment EntrySNF/Home Health/Hospice Billing – Medicare & LA Medicaid System Charge Balance AdjustmentTo Work Credit Open Items and Unapplied Pymt-Adj CLOSING & SPECIAL FUNCTIONSArchive Account InstructionsF10 Restricted Commands Work With Objects Locks(Contact Software Support ) F10 Special CommandsiSeries Initialize Tape-Entire System Backup MSI iSeries EOD/EOM/EOY Closing To Create a Condition/Rule COLLECTION TASK MODULECollection/Task Module ELECTRONIC CLAIMSEMC ERA Carrier Parameters EMC Errors/Electronic Claims ListEmdeon Vision for Claim ManagementERA Receive/Prepare/Create Unprocessed Batch Download ERA 835 File via PaySpan MREP Split ERATo Complete EDI (EMC, ERA & EFT) Setup for BCBS LA, LA Medicare, LA Medicaid & Clearinghouse To Reset LA Medicare EMC/ERA Access FRONT DESKCo-Pay Feature Front DeskFront Desk Charge Ticket List F15 Authorization RecordInsurance Card – Drivers License Scanning Instructions List Incomplete Masters (Orphaned Insurance Card Scans) ReportOB Billing GridUnproc/Proc List Transactions Reports Vaccines & Administration HISTORY & DEMOGRAPHICSAdd/Change/Delete Insurance Information Patient HistoryINDUSTRIAL MEDICINE MODULEIndustrial Medicine INSURANCE/LABELSGenerate LabelsMedicare Policy # / MBIMedicare – Replacement/Advantage (MCRR) Products IdentificationSelected Insurance Re-files: Adjustments and Void Claims System Deletion of Claims Outstanding 0-Cr Bal Chgs System Refiles/Generate Insurance EMC Preparation AndSubmittalTo Work “Secondary Claims Held Over ## Days” ReportInstructionsMEDEHR/MEDSUITESee MEDEHR Resources section of the MEDTRON website(https:///).MEDICAID GUIDESLA Medicaid Community Care Monthly Capitation Fee (CAP) LA Medicaid Community Care Referral Exempt LA Medicaid Community Care VA MedallionMISC TRAININGAccounts Receivable Analysis ToolsAdvance Beneficiary Notice (ABN) and Medical Necessity (MN) Audit LogAvoid Low CollectionsClaim Information Reference Number CMS Web Based Training CoursesEnable User Sign-on (Contact Software Support ) External EHR Interface with MPMS Global GuidelinesHow To Setup A Join Me SessionInstalling Insurance Card Scanning Software Ver 3-1 Inscards 3.1 Interface/Download Programs PQRS PrefaceTo Add-Delete Users to-from iSeries – iSeries Clients Only(Contact Software Support )To Add Transfer Data Function for Office 2007 iSeries Access forWindowsTo Change MEDPM (iSeries) Default Color Scheme To Clear Cache in Firefox BrowserTo Convert iSeries Reports using the iSeries Navigator To Create an Excel Spreadsheet From iSeries Data (SQLCommand)To Obtain Tax or Employer ID Numbers and CP575 Letters PATIENT INFORMATIONAccount Status Codes Combine Patient Accounts Online Eligibility RequestsPatient Demographics Add & Change Search and Scan OptionsSystem Transfer To Patient Responsibility Workers’ Comp Accounts and Claims RECOMMENDATIONSComments (Common Abbreviations) REPORTSBell Curve ReportsCharge Application Report EDC ReportList/Delete Unused Insurance Codes List Patients W/ Specific InsuranceRelative Value Units (RVU) Productivity Report Reports OverviewReports For Work Prior To EOM Close Transaction History Report SETUP & SUPPORTCMS 1500/ANSI Field Completion Situational Field Comments Collector CodesDMERC Claims SetupInsurance (Claim) Directives: Electronic & Split/Break to New Claim Medical NecessityNational Correct Coding Initiative (NCCI) NPI Registry Search Search FeatureSetup/Maintain ERA Comments/Messages Setup/Maintain Insurance Company Master Setup/Maintain Letters/Labels Setup/Maintain Location MasterSetup/Maintain Referral Source Master Setup/Maintain Setup & Support Files Setup/Maintain Specific Action Master Setup/Maintain Transaction Master Setup Online EligibilityTo Obtain/Edit a National Provider Identifier (NPI) TPL UpdatesSTATEMENT/LETTERSGenerate Letters StatementsFinance-Statement ChargesTo Print Patient Demographics for Labcorp Order FormVFC Medicaid ImmunizationsThe above User Guides are linked to the most current published version. All User Guides are updated as new information is made available and therefore may be in the process of being revised. Check back often to ensure most recent version is being used. If a User Guide presents in black with no link, this User Guide is in the process of being created.If a User Guide presents in black, the guide is in the process of being updated/revised, please contact Support Dept via email: or phone (985) 234-0599 to request us to expedite its completion.A User ID and Password are required to access all of the User Guides. If the further assistance or a User ID and password is needed, please contact our Support Dept via email: or phone (985) 234-0599.MEDTRON Software Intelligence – All rights reserved.OTHER RESOURCES MSI Contact List USER FORMS:MDS-MSI Client User Access Agreement - Security PolicyMDS/MSI Menu OptionsE&M RESOURCES:E&M Information PacketMEDICARE RESOURCES:CMS RVU and Payment Policy IndicatorsCMS RVU List (per CMS Website)PRACTICE FORMS:Demographics Intake Form – Web versionDemographics Intake Form – iSeries versionOTHER RESOURCES:Acronym List/Glossary of Healthcare TermsCarrier Precertification/Prior Authorization (PA) ListingCMS Medicare Fraud & Abuse – Prevention, Detection, and Reporting Fact Sheet (False Claims Act)MSI 2018 CPT-HCPCS Code Resource GridMSI ICD-10-CM Code Resource GridLCD/Medical Policy ListingsTherapy Billing GridModifier Staff Training Presentation。
希尔顶备忘录 6.28.21 “做好准备重启”说明书
Hilltop Notesfor the CHS Community6.28.21“Ready to Restart!”Congratulations CHS Baseball!2021 Section VI, Class B1 ChampionsPhotos: Sharon Cantillon, Buffalo News On Friday night, the Centaur Baseball team caputured the Sectional title at Wiley Stadium! Congratulations to our entire squad. All season long the team demonstrated a growth mindset, fearlessess and lots of grit in arriving at this accomplishment. Thank you to Head Coach McMahon, as well as assistant coaches Mann, Barry and Grandits for all of the time and mentorship they provided the young men on our team. Thank you to all the fans who came out to cheer the team on. Your support was energizing for our team! If you have not seen it yet, the Buffalo News provided detailed coverage of the title game in this article and News photographer Sharon Cantillion’s photo album beautifully captured the spirit of the game and our team.Summer SchoolFamilies of students who did not pass one or more courses will be receiving letters home this week from the CHS School Counseling Office regarding the potential need for summer school enrollment. If your child did not pass a course that is being offered in summer school, you will have the option to register your them online or we will be extending the in-person registration to include:-Thursday, July 1 (8:30am-11:30am)-Friday, July 2 (8:30am-11:30am)Families may register for summer school online using this form.Questions? Email *************************** or contact the school counseling office between8:30am-11:30am by calling 816.4230. Ms. McDow, assistant principal, will be serving as the summer school principal for CHS.CHS is Participating in ‘Give 716’We are excited to announce that the City Honors/Fosdick-Masten Park Foundation has teamed up with the Buffalo Bills and Sabres Foundations to participate in WNY’s inaugural‘Give 716’ campaign.During this 24-hour giving campaign, you can support our school and showcase your 716 pride by making a gift to City Honors. The campaign kicks off at 7:16 p.m. on July 15 and runs through 716 Day (July 16 at 11:59 p.m.).This is a great opportunity to make your annual gift or give another incremental gift to CHS. No gift is too small, as we hope to have as many of our families, friends and alumni participate. All gifts support the enhancement of the academic and student experience for all City Honors students. Mark your calendars for July 16 and remember to make your gift! Let’s show the over 250 nonprofits joining in Give 716, what a strong and generous CHS community we have!CHS Tennis Team Wrap-UpThe City Honors coed tennis team had a successful season this year. The team was led by captains Avery White ‘22 and Ben Weinmann ‘21. Avery White won the Dr. Robert T. Bapst BPS singles championship. Ben Weinmann finished 4th overall in singles. Charlie Nowak ‘22 and Aaron Weinmann ‘22 went undefeated in doubles league play. They went on to become the Dr. Robert T. Bapst doubles champions beating teammates Sam Jones ‘21 and Etienne Bohlen ‘25.The City Honors boy’s tennis team won a marathon match against Barker in the first round of sectionals. Ben Weinmann, Luca Putrino ‘24, and Nathan Lloyd ‘24 won 1st, 2nd and 3rd singles respectively. Charlie Nowak, Aaron Weinman, Etienne Bohlen, and Sam Jones won 1st and 2nd doubles. East Aurora went on to defeat the boys in the second round of sectionals.In individual sectional play Charlie Nowak/Aaron Weinmann and Sam Jones/Etienne Bohlen qualified for sectionals. They eventually lost in the first round.Avery White and Sayo Beck ‘21 both qualified for singles in the Dr. Robert T. Bapst championship. In doubles Mallory McMahon ‘22 and Cecilia Wagner ‘21 won their quarter final match in straight sets. Thank you to Coach Kudla for coaching both the boys and girls teams and being so supportive of our players!UB Sustainability CampThe University at Buffalo is hosting a free summer camp to students entering 8th and 9th graders that is focused on sustainability. The students will meet experts and practitioners in the topics of energy, waste, food, transportation and environmental justice. Throughout the week, they will visit sites of exploration and research at UB, and have hands on experiences in sustainability work on campus. The camp runs from 9am to 4pm on UB’s North Campus from August 2-6th. Busing will be provided, and space is limited to 30 students. Students can register at this link. Questions? Contact Derek Nichols at ****************.CHS Summer ReadingIt’s time to start your 2021 CHS Summer Reading! This important CHS tradition helps our students to continue to advance their reading skills during the summer months, increase their intercultural awareness and engage our students as soon as they set foot in their ELA classes in the fall. Please take time to read over the reading list for your child’s grade level with them. Lists can be found at this link. Our ELA teachers will also review these lists with our students this week and answer anyquestions they may have. The list for each grade level includes an email address for the ELA faculty member serving as a point person for that grade level should you have questions. Let’s get off screens and back to good-‘ole book reading this summer to expand our minds and keep our language skills fresh!When You Need A Helping HandBPS Staff and Family Helpline: The Buffalo Public Schools have established a ‘Staff and Family Helpline’ at 716-816-7100 to provide answers within 24 hours to our most frequently asked questions in the areas of Technology, Mental/Physical Wellness, Instruction and Professional Development, Culturally and Linguistically Responsive Initiatives (CLRI), Multilingual, Elementary and High School needs, Food Services, Child Care, and Volunteerism. If you need assistance in any of these areas, please contact the hotline number.The CHS Student Support Team (SST): If you are seeking additional support or assistance, please do not hesitate to make a referral to the CHS SST. The Request for Assistance Form can be found at this link. Once your form is submitted, a member of the SST will be in contact with you. Mental Health Supports: Here is a quick reference guide which provides contact information for mental health support from the Buffalo Public Schools and our partner organizations._____________________________________________ Connect with CHS!Click on the following links to better connect with the CHS CommunityCHS WebsiteCHS on FacebookCHS on TwitterCHS on InstagramPelion Outdoor Classroom at City HonorsEasy/No Cost Ways to Support City HonorsFosdick Field Restoration ProjectCity Honors/Fosdick-Masten Park FoundationPTSCO Minutes and InformationChildren are endangered by underage house parties and underage drinking. Concerned adults, teachers, students and friends can call 24 hours a day in Erie County to report planned underage drinking parties; underage drinking parties in progress or other activities that may be harmful to the health, safety and welfare of young people. The tip line (1-800-851-1932) is ANONYMOUS, CONFIDENTIAL and free. Erie County now has a “Social Host Law” that holds adults accountable for allowing minors to drink. LEARN MORE。
洛雷克摄像头用户手册说明书
HeureSous 20 minutes*REMARQUE : ÉVITEZ D’INSTALLER LA CAMÉRA DANS UN ENDROIT OÙ LE SIGNAL SANS FIL DEVRA TRA-VERSER DES STRUCTURES EN CIMENT, EN BÉTON OU EN MÉTAL. CELA RÉDUIRAIT LA PORTÉE D’ÉMISSION.Desserrez les vis à oreilles (1, 2) et la bague de réglage (3) en les tournant dans le sens antihoraire.21Utilisez les vis de montage incluses pour fixer la caméra à la surface de montage :a. Marquez les positions des trous de vis sur la surface de montage.b. Percez des trous et insérez des ancrages pour cloison sèche (incluses), le cas échéant.c. Fixez solidement la caméra à la surface en utilisant les vis incluses.3Ajustez l’angle de la caméra selon votre besoin et serrez ensuite les vis à oreilles et la bague de réglage.A. Configuration de la caméraAvant d’installer la caméra, planifiez soigneusement où et comment elle sera installée et par où vous acheminerez le câble qui connecte la caméra au bloc d’alimentation.3Connectez une extrémité du bloc d’alimentation de la caméra à la caméra et l’autre extrémité à une prise électrique. Assurez-vous que le connecteur d’alimentation est complètement inséré afin d’éviter que l’eau n’entre dans la fiche.4Retirez le film protecteur à l’avant de la caméra. Si le film n’est pas retiré, il bloquera le microphone et affectera la qualité de l’image.Ce système comprend les éléments suivants :• Un moniteur vidéo ACL sans fil de 7 po.• Caméra (s) couleur (s) pour une installation intérieure/extérieure*• Carte mémoire SD*• Ensemble(s) de pièces de montage*• Blocs d’alimentation*•Câble Ethernet*La configuration de la caméra, la taille du moniteur et le nombre d’accessoires peuvent varier selon le modèle. Pour de plus amples informations, prière de vous référer à votre emballage.• Les caméras sont qualifiées pour une installation intérieure et extérieure mais ne sont pas destinées à une exposition directe à la pluie ou la neige. Pour des applications à l’extérieur,installez sous un abri protégé contre les intempéries.• Les caméras sans fil nécessitent une source d’énergie pour fonctionner.• Assurez-vous que les prises de courant soient à l’abri des intempéries.Conseils d’installationREMARQUE : Si vous passez le câble d’alimentation à travers la surface de montage, bien connecter l’alimentation avant de fixer la caméra au mur.*3561B. Réglage du récepteur ACLPoussez la carte SD incluse dans la fente de la carte SD sur le récepteur ACL jusqu’au déclic.Connectez l’une des extrémités du bloc d’alimentation du récepteur au côté du récepteur. Branchez l’autre extrémité à une prise de courant.Tirez l’antenne à l’arrière du récepteur ACL vers le haut.Glissez l’interrupteur d’alimentation du panneau latéral du récepteur ACL en position « ON ».REMARQUE : Si une ou plusieurs caméras ne sont pas visibles lorsqu’elles sont sélectionnées (parexemple, la caméra 2 est branchée mais n’est pas visible sur le canal 2), veuillez suivre le processus de couplage décrit dans le guide de l’utilisateur.REMARQUE : S’assurer de d’abord brancher la caméra à une prise de courant avant d’allumer le récepteur. Cela permettra d’établir une meilleure connexion.21© 2016 Lorex CorporationNos produits étant sans cesse améliorés, Lorex Corportation et ses filiales se réservent le droit de modifier la conception du produit, les spécifications et les prix sans préavis et sans aucune obligation. E&OE.REMARQUE : Le récepteur est compatible avec la plupart des principales marques de carte SD, jusqu’à 64 Go.LW2760_SERIES_QSG_FR_R1Boutons du panneau avant :Enregistrement par détection de mouvement : Active/désactive l’enregistrement par détection de mouvement.Menu : Ouvrir le menu principal. Retourner au menu précédent / quitter les menus sans enregistrer les changements.Visionnement « Quad »/Séquence : Passer du mode « Quad » (jusqu’à 4 canaux) au mode séquence automatique (opère un cycle de roulement automatique au travers des canaux).Mode balayage : Passe en mode balayage (l’affichage s’allume seulement quand un mouvement est détecté).Sélection du canal : Changer de canal.Zoom : Active/désactive le zoom numérique 2x. Utilisez le levier de commande pour ajuster la zone de visionnement (doit être un mode de vue de canal unique).Supprimer un fichier : Supprime le fichier sélectionné en mode de lecture.Levier de commande : Défilement vers le haut / le bas / la gauche / la droite dans les menus. Appuyez pour faire une sélection dans les menus, ou pour entrer en mode de lecture depuis le visionnement en temps réel.Boutons du panneau supérieur :Baisser le volumeAugmenter le volume Parler : Appuyer et maintenir pour activer l’interphone (audio bi-directionnel).Enregistrement manuel : Active/désactive l’enregistrement manuel.C. Configuration de base du système1. Appuyez sur pour ouvrir le menu principal. Bougez le levier de commande à gauche ou à droite pour sélectionner Settings et appuyez sur le levier de commande pour le sélectionner.2. Sélectionnez Date & Time et appuyez sur le levier de commande pour confirmer.3. Bougez le levier de commande à gauche ou à droite pour déplacer le curseur. Bougez le levier de commande vers le haut ou vers le bas pour changer l’année, le mois, le jour, les minutes et les secondes.REMARQUE : Le système utilise une horloge de 24 heures.4. Appuyez sur le levier de commande pour enregistrer vos paramètres.5. Appuyez sur pour fermer les fenêtres de menu restantes.REMARQUE : Référez-vous au guide de l’utilisateur pour plus de détails concernant la configuration de l’heure avancée et du protocole NTP .D. Réglage de la date et de l’heureREMARQUE : Il est important de régler la date et l’heure afin qu’elles soient bien inscrites dans les enregistrements.1Connectez le câble Ethernet inclus du port Ethernet du récepteur ACL à votre routeur sans fil. L’icône de réseau tourne au vert.2Téléchargez l’application gratuite Lorex SD Pro sur l’App Store. Une fois installée, appuyez sur pour lancer l’application.iPhone® / iPad®Android™45Saisissez ce qui suit :Entrer le mot de passe (par défaut : 000000).Entrez un nom personnalisé pour votre système.Entrez l’UID imprimé sous le code QR à l’arrière du récepteur. Si vous avez appuyé sur QRCode à l’étape 4, ce champ se remplira automatiquement.6Appuyer sur Save. Le système apparaîtra dans votre liste d’appareils avec un statut Online .7Appuyez sur le nom du système. On vous demandera d’entrer un mot de passe nouveau etsécuritaire.Félicitations! Vous êtes maintenant connecté à votre système de surveillance via l’Internet.Regardez des vidéo en temps réel depuis votre caméra en mode portrait ou en mode paysage.3Appuyez sur Click here to add device .4Saisissez ce qui suit :Entrer le mot de passe (par défaut : 000000).Entrez un nom personnalisé pour votre système.Entrez l’UID imprimé sous le code QR.OU78Appuyer sur OK . Le système apparaîtra dans votre liste d’appareils avec un statut Online.56E. Configuration de téléphone intelligent / tablette31Connectez le câble Ethernet inclus du port Ethernet du récepteur ACL à votre routeur sans fil. L’icône de réseau tourne au vert.2Téléchargez l’application gratuite Lorex SD Pro sur la boutique Google Play. Une fois installée, appuyez sur pour lancer l’application.REMARQUE : Il se peut que vous ayez à éteindre et rallumer le récepteur à nouveau.REMARQUE : Il se peut que vous ayez à éteindre et rallumer le récepteur à nouveau.Notez votre mot de passe pour ne pas l’oublier : __________________________________________REMARQUE : Assurez-vous de laisser le récepteur branché à une prise de courant pour maintenir la connectivité à distance.Besoin d’aide?Visitez notre site Web pour les mises à jour du logiciel et les manuels d’instructions completsAppuyer sur Scan pour scanner le code QR à l’arrière du récepteur.© 2016 Lorex CorporationNos produits étant sans cesse améliorés, Lorex Corportation et ses filiales se réservent le droit de modifier la conception du produit, les spécifications et les prix sans préavis et sans aucune obligation. E&OE.13Visitez Recherchez le numéro de modèle de votre produit Cliquez sur votre produit dans les résultats de la rechercheCliquez sur l’onglet Downloads24Appuyez sur le nom du système. On vous demandera d’entrer un mot de passe nouveau etsécuritaire.Appuyer sur QRCode pour scanner le code QR à l’arrière du récepteur. OUAppuyer sur Add Device.Appuyez sur Add pour entrer le UID manuellement.。
Osprey FARPOINT FAIRVIEW 系列用户手册说明书
用户手册FARPOINT / FAIRVIEW 系列FARPOINT 80FAIRVIEW 70FAIRVIEW 55FAIRVIEW 40FARPOINT 70FARPOINT 55FARPOINT 40欢迎惠顾Osprey 。
我们专为您的探险之旅打造最具实用性、耐久性和创新性的携带产品,并以此为豪。
请参阅本用户手册,了解产品功能、使用、保养、客户服务和保修方面的信息。
通用功能1 大面板可上锁拉链开合主仓2 前部双压缩带3 前部双网袋4 加垫顶部和侧面提手5 拉链式后片,可收纳并保护腰带和背带6 可隐藏式背板、背带和腰带,设有拉链式后片 ,可起到保护作用 + 两个内部压缩带可安全地固定包内物品+内部前片拉链网袋材质主体 210D 抗撕裂尼龙千鸟格装饰 600D 包装布底部600D 包装布645132FARPOINT 70男款规格S/M M/L立方英寸 4089 4272 升 67 70 磅 3.75 3.92 公斤 1.71 1.78英寸 26h x 13w x 13d 厘米65h x 33w x 34d负载范围磅 | 9-23公斤FARPOINT 80男款规格 S/M M/L 立方英寸 4637 4882 升 76 80 磅 3.73 3.88 公斤 1.69 1.76 英寸 29h x 15w x 16d 厘米74h x 38w x 40d负载范围磅 | 9-23公斤特有功能1 下部拉链式大储物仓, 带有活动隔层2 顶部拉链式洗漱用具仓3 前面板拉链插袋4 装备外挂点5Daylite 挂环特有功能1 可移除式睡垫固定带2 拉链脱卸式日用背包,设有可上锁拉链主仓 + 笔记本电脑和平板电脑隔层+热压防刮拉链插袋2512FARPOINT 55男款规格 S/M M/L 立方英寸3173 3356 升52 55磅 3.75 3.90公斤 1.69 1.77英寸26h x 13w x 13d厘米65h x 32w x 32d负载范围磅 | 9-23公斤FARPOINT 40男款规格S/M M/L立方英寸2319 2441 升38 40磅 3.11 3.17公斤 1.41 1.44英寸 21h x 14w x 15d厘米 54h x 35w x 37d负载范围磅 | 9-18公斤特有功能1 可移除式睡垫固定带2 拉链脱卸式日用背包,设有可上锁拉链主仓+ 笔记本电脑和平板电脑隔层+ 热压防刮拉链插袋特有功能1 笔记本电脑和平板电脑隔层2 热压防刮拉链插袋3 含肩带2112FAIRVIEW 55女款规格WXS/M WS/M立方英寸 3173 3356 升 52 55 磅 3.76 3.85 公斤 1.71 1.75 英寸 25h x 13w x 12d 厘米63h x 33w x 30d负载范围磅 | 9-23公斤FAIRVIEW 40女款规格WXS/M WS/M 立方英寸 2319 2441 升 38 40 磅 3.09 3.18 公斤 1.40 1.44 英寸 21h x 14w x 13d 厘米54h x 35w x 34d负载范围磅 | 9-18公斤FAIRVIEW 70女款规格WXS/M WS/M立方英寸 4089 4272 升 67 70 磅 3.78 3.87 公斤 1.72 1.76 英寸 25h x 14w x 12d 厘米64h x 35w x 31d负载范围磅 | 9-23公斤特有功能1 可移除式睡垫固定带2 拉链脱卸式日用背包,设有可上锁拉链主仓+ 笔记本电脑和平板电脑隔层+热压防刮拉链插袋11222特有功能1可移除式睡垫固定带2 拉链脱卸式日用背包,设有可上锁拉链主仓 + 笔记本电脑和平板电脑隔层+热压防刮拉链插袋特有功能1 笔记本电脑和平板电脑隔层2 热压防刮拉链插袋3含肩带13背负系统11 LIGHTWIRE TM 框架背负系统+ 3.5 mm LightWire™外围框架有效地将负载从背带传递至腰带+ A tilon撑片将整个背板上的负载分散到外围框架+ 负载调节带将重量从背带传递至腰带2 可隐藏式反向SPACERMESH隔离网垫背板、背带和腰带+ 光滑的网面Atilon泡沫提供了与负载支撑核心舒适、透气的接触面尺寸/贴合度隐藏式背带/腰带隐藏式背带/腰带FAIRVIEW - 女款尺寸WXS/S 13-17" / 33-43 cmWS/M 16-20" / 41-51 cm背带贴合度背带应完全包覆肩部,背包与您的背部之间不应有空隙。
G-Star Raw South Africa Section 51 Manual
22/12/2015G-STAR RAW SOUTH AFRICA (PROPRIETARY) LIMITEDRegistration number: 2013/012742/07MANUAL PREPARED IN ACCORDANCE WITH SECTION 51 OF THE PROMOTION OF ACCESS TO INFORMATION ACT, No. 2 OF 2000("PAIA")DATE OF COMPILATION: 21 December 2015INDEXA. INTRODUCTION 3B. PARTICULARS IN TERMS OF THE SECTION 51 MANUAL 31. Contact Details 32. The Section 10 Guide on how to use the Act 43. Voluntary disclosure and automatic availability of certain records 44. Records available in terms of any other legislation 45. Access to records held by G-Star Raw South Africa (Pty) Ltd 56. Availability of the manual 67. Manner of access 7ANNEXURE "A" (Form of Information Request) 8 ANNEXURE "B" (Prescribed Fees) 15A INTRODUCTIONThe G-Star Group is engaged in the design, marketing and wholesale of denim and denimrelated fashion. G-Star Raw South Africa (Pty) Ltd ("G-Star Raw" or "the company") is the South African representative of the G-Star Group.The G-Star Group supplies a range of furniture and textile goods, in particular jeans products and a collection of complementary garments and accessories under the trademark “G-Star” ("the G-Star Products”)to retailers in South Africa. The company imports G-Star Products, conducts sales and promotional activities and sells/delivers the G-Star Products to retailers. The company also exports G-Star Products to other African countries.B PARTICULARS IN TERMS OF THE SECTION 51 MANUAL1. Contact DetailsCompany Name: G Star Raw South Africa (Proprietary) LimitedDirectors: JM van TilburgPF KraaijeveldInformation Officer: AHB van LohuizenRegistered address: The FoundryFourth Floor, Unit 2Section 263Prestwich StreetGreen PointCape Town8005Postal address: See registered addressTelephone : 00 27 21 418 3194Email address ofInformation Officer :****************************Fax: not applicableWebsite: /en_za2. The Section 10 Guide on how to use the ActA Guide has been compiled in terms of Section 10 of PAIA by the Human RightsCommission. It contains information required by a person wishing to exercise any right, contemplated by PAIA. It is available in all of the official languages.The Guide is available for inspection, inter alia, at the office of the Human Rights Commission at Braampark Forum 3, 33 Hoofd Street, Braamfontein and on its website at .za. Please address all enquiries to:South African Human Rights CommissionPromotion of Access to Information Act UnitResearch and Documentation DepartmentPrivate Bag 2700Houghton2041Telephone: +27 (0) 11 877 3600Website: .zaE-mail: **************.za3. Voluntary disclosure and automatic availability of certain recordsNot applicable4. Records available in terms of any other legislationWhere applicable to our operations, information is also available in terms of the following statutes and their provisions:•Basic Conditions of Employment Act No. 75 of 1997•Broad-Based Black Economic Empowerment Act No. 53 of 2003•Companies Act No. 71 of 2008•Employment Equity Act No. 55 of 1998•Labour Relations Act No. 66 of 1995•Skills Development Act No. 97 of 1998•Skills Development Levies Act No. 9 of 1999•Occupational Health and Safety Act, Act 85 of 1993•Transfer Duty Act No. 40 of 1949•Unemployment Insurance Act No. 63 of 2001•Income Tax Act No. 58 of 1962•Value-added Tax Act No. 89 of 1991•Copyright Act 98 of 1978•Protection of Personal Information Act 4 of 2013.5. Access to records held by G-Star Raw South Africa (Pty) LtdWe hold the following categories of information:•Company secretarialo Memorandum and Articles of Associationo Company registration documentso Register of directorso Minutes of board meetingso Statutory returns•Legalo Warehouse Agreement in respect of G-Star products kept in stock, transportation and logistics serviceso Lease Agreement in respect of office premiseso Intercompany Agreement with G-Star Group in respect of supplying G-Star products to retailerso Seasonal order agreements with retailerso Agreement with retailers to supply in store material, corners and shop-in-shops.•Human resourceso Policies and procedureso Employee information, including employment contractso Personnel fileso Skills and development programmeso Health and safety records•Financialo Accounting recordso Fixed asset registero Financial statements and management accountso Tax records and returnso VAT records and returnso Bank statements and chequeso Debtor invoices and statementso Creditors invoices, statements and related payment supporting documents•Marketingo Market informationo Public customer information such as product brochureso Product sales recordso Marketing strategies•Immovable and movable propertyo Agreements for the lease or sale of property or buildings by the Companieso Leases in respects of vehicleso Office equipment leaseso Property records and leases•Insuranceo Insurance policies6. Availability of the manualThe manual is readily available for inspection at the offices of the company and on the website of the company. Copies are available with the South African Human Rights Commission.7. Manner of accessRequests for access to records must be made to our Information Officer at the address, telephone number or email address provided above.The requesting party must provide sufficient detail on the request form to enable the Information Officer to identify the record and the requesting party. The requesting party should also indicate which form of access is required and indicate if he or she wishes to be informed in any other manner and state the necessary particulars to be so informed.It is important to note that access is not automatic – you must identify the right you are seeking to exercise or protect and explain why the record you request is required for the exercise or protection of that right. G-Star Raw is also entitled to refuse you access to request if the requested information falls within any of the grounds of refusal which are set out in PAIA.If you wish to request access to any information held by G-Star Raw you are required to complete Form C (attached as annexure "A" hereto). The prescribed forms for requests to private bodies are also available from the South African Human Rights Commission website (.za).You will be notified in the manner indicated by you on the request form whether your request has been approvedThere is a prescribed fee for requesting and accessing information in terms of the Act. The Act provides for two types of fees:(1) A request fee; and(2) An access fee which must be calculated by taking into account the reproduction costs,search and preparation time (if the time taken to find the records exceeds the prescribed time) as well as postal costs.Details of these fees are contained in annexure "B" hereto.When the company receives a request for access to information it will notify you in writing regarding the payment of the applicable fee.ANNEXURE “A”FORM CREQUEST FOR ACCESS TO RECORD OF PRIVATE BODY(Section 53 (1) of the Promotion of Access to Information Act, 2000(Act No. 2 of 2000))[Regulation 10]A. Particulars of private bodyThe Head:………………………………………………………………………………………………………..………………………………………………………………………………………………………..………………………………………………………………………………………………..............B. Particulars of person requesting access to the record(a) The particulars of the person who requests access to the record must be given below.(b) The address and/or fax number in the Republic to which the information is to be sent mustbe given.(c) Proof of the capacity in which the request is made, if applicable, must be attached.Full names and surname:…………………………………………………………………….................. ……………………………………………………………………………………………………………… Identity number: …………………………………………………………………………………………… Postal address: ………………………………………………………………………………………….. ………………………………………………………………………………………………………………. ……………………………………………………………………………………………………………… ………………………………………………………………Fax number………………………………..: Telephone number:…………………….E-mail address:……………………………………………….. Capacity in which request is made, when made on behalf of another person: ……………………………………………………………………………………………………………….C. Particulars of person on whose behalf request is madeThis section must be completed ONLY if a request for information is made on behalf of another person.Full names and surname:Identity number:D. Particulars of record(a) Provide full particulars of the record to which access is requested, including the reference number if that is known to you, to enable the record to be located.(b) If the provided space is inadequate, please continue on a separate folio and attach it to this form. The requester must sign all the additional folios.1. Description of record or relevant part of the record:2. Reference number, if available:3. Any further particulars of record:E. Fees(a) A request for access to a record, other than a record containing personal information about yourself, will be processed only after a request fee has been paid.(b) You will be notified of the amount required to be paid as the request fee.(c) The fee payable for access to a record depends on the form in which access is required and the reasonable time required to search for and prepare a record.(d) If you qualify for exemption of the payment of any fee, please state the reason for exemption.Reason for exemption from payment of fees:F. Form of access to recordIf you are prevented by a disability to read, view or listen to the record in the form of access provided for in 1 to 4 hereunder, state your disability and indicate in which form the record is required.Disability: Form in which record is required:Mark the appropriate box with an X.NOTES:(a) Compliance with your request in the specified form may depend on the form in which the record is available.(b) Access in the form requested may be refused in certain circumstances. In such a case you will be informed if access will be granted in another form.(c) The fee payable for access to the record, if any, will be determined partly by the form in which access is requested.1. If the record is in written or printed form:copy of record* inspection of record2. If record consists of visual images(this includes photographs, slides, video recordings, computer-generated images, sketches, etc.):view the images copy of the images* transcription of the images*3. If record consists of recorded words or information which can be reproduced in sound:listen to the soundtrack (audio cassette) transcription of soundtrack* (written or printed document)4. If record is held on computer or in an electronic or machine-readable form:printed copy of record* printed copy of informationderived from the record* copy in computer readable form* (stiffy or compact disc)*If you requested a copy or transcription of a record (above), do you wish the copy or transcription to be posted to you?Postage is payable.YES NO G. Particulars of right to be exercised or protectedIf the provided space is inadequate, please continue on a separate folio and attach it to this form. The requester must sign all the additional folios.1. Indicate which right is to be exercised or protected:2. Explain why the record requested is required for the exercise or protection of the aforementioned right:H. Notice of decision regarding request for accessYou will be notified in writing whether your request has been approved/denied. If you wish to be informed in another manner, please specify the manner and provide the necessary particulars to enable compliance with your request.How would you prefer to be informed of the decision regarding your request for access to the record?Signed at this day of 20SIGNATURE OF REQUESTER/PERSON ON WHOSE BEHALF REQUEST IS MADEANNEXURE “B”The fees chargeable by private bodies are contained in Part III of Annexure “A” of the Regulations issued under PAIA. A copy of the schedule of fees is attached for your convenience. The present charges are as follows:1. Copies of a manualShould an individual require a copy of the private body’s manual, a fee of R1,10 is chargeable for every photocopy of an A4 page or part thereof.2. Reproduction fees1Reproduction fees apply to obtaining copies or transcriptions of information which is automatically available from the private body. The fees are listed in the attached table.3. Access fees2Access fees are chargeable for copies or transcriptions of information requested under PAIA. The fees are listed in the attached table.4. Other fees4.1 A request fee3of R50,00 is payable by a requester who is seeking access to a record containing information which is not personal to the requester.4.2 A search fee4 may be charged at a rate of R30,00 per hour or part thereof for searching and preparing the record for disclosure provided such time was reasonably required for that purpose.4.3 If the request is not limited to records containing information which is personal to the requester and if the head of the private body is of the opinion that the time taken to give effect to the request will exceed six hours the requester can be called upon to pay a deposit of not more than one third of an estimate of the access fee which will become payable.54.4 If a copy of a record is posted to a requester, the requester is obliged to pay the actual postage payable.1 Section 52(3) and Regulation 1(1).2 Section 54(7) and Regulation 11(3).3 Section 54(1) and Regulation 11(2).4 Annexure “A”, Part III, Item 4(1)(f).5 Section 54(2).TABLE OF FEES1. The fees for reproduction referred to in paragraph 2 above are as follows:Item R(a) For every photocopy of an A4-size page or part thereof 1,10(b) For every printed copy of an A4-size page or part thereof held on a computer or in0,75 electronic or machine-readable form(c) For a copy in a computer-readable form on -(i) stiffy disc 7,50(ii) compact disc 70,00(d) (i) For a transcription of visual images, for an A4-size page or part thereof 40,00(ii) For a copy of visual images 60,00(e) (i) For a transcription of an audio record, for an A4-size page or part thereof 20,00(ii) For a copy of an audio record 30,002. The access fees payable by a requester referred to in paragraph 3 are as follows:Item R(1) (a) For every photocopy of an A4-size page or part thereof 1,100,75(b) For every printed copy of an A4-size page or part thereof held on a computer or inelectronic or machine-readable form(c) For a copy in a computer-readable form on -(i) stiffy disc 7,50(ii) compact disc 70,00(d) (i) For a transcription of visual images, for an A4-size page or part thereof 40,00(ii) For a copy of visual images 60,00(e) (i) For a transcription of an audio record, for an A4-size page or part thereof 20,00(ii) For a copy of an audio record 30,00(f) To search for and prepare the record for disclosure, R30,00 for each hour or part of anhour reasonably required for such search and preparation。
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CAP 28A LAND (MISCELLANEOUS PROVISIONS)
REGULATIONS二
摘要:本文主要介绍了CAP 28A LAND (MISCELLANEOUS PROVISIONS) REGULATIONS 的主要内容。
Cap 28A reg 6 Boundaries of districts
Remarks:
Amendments retroactively made - see 29 of 1998 s. 15
(1) The boundaries of any district specified in any Schedule shall be those shown on a map signed by the Director of Lands and lodged in the Lands Department. (L.N. 94 of 1986; L.N. 291 of 1993)
(2) Any such map may be inspected free of charge during office hours by any person.
Cap 28A Sched 1
[regulation 2]
PART I
URBAN AREA STANDARD RATES
Item
District
Fee
1.
Hong Kong-
(a) Northern Sector from Shau Kei Wan to Kennedy Town
(inclusive) ...................................................
(b) Chai Wan and Aberdeen .......................................
(c) Village
areas ........................................................
(d) Remainder of District ........................................... $10 per sq. metre per annum
$5 per sq. metre per annum
$2.50 per sq. metre per annum
$1.00 per sq. metre per annum
(L.N. 320 of 1976)
2.
Kowloon ............................................................. ......
$10 per sq. metre per annum
(L.N. 320 of 1976)
3.
New Kowloon-
(a) West of Sha Tin Pass Road (including Hong Kong
Airport) ............................................................ ....
(b) East of Sha Tin Pass Road to Kwun Tong .............
(c) Cha Kwo Ling .....................................................
(d) Yau
Tong ............................................................ (e) Lei Yue Mun ....................................................... $10 per sq. metre per annum
$10 per sq. metre per annum
$5 per sq. metre per annum
$5 per sq. metre per annum
$2.50 per sq. metre per annum
(L.N. 320 of 1976)
PART II
SPECIAL RATES
Item
Purpose
Fee
1.
Cultivation-
(a) Pleasure garden and flower growing ..................
(b) Grass growing ..................................................
(c) Other cultivation- 1st class ...............................
2nd class ..............................(d) Temporary building erected on area (a), (b) or
(c) ................................................................. ..
$1250 per hectare per annum
$250 per hectare per annum
$1250 per hectare per annum
$625 per hectare per annum
$1.00 per sq. metre per annum
(Minimum fee $20 per annum)
(L.N. 320 of 1976)
2.
Drying Ground (including any building permitted
thereon) ............................................................ ...
1/4 of Urban Area Standard Rate
3.
(Repealed 17 of 2003 s. 12)
4.
Filling Station (including any building permitted thereon and any tank associated therewith)-
(a) One outlet-
(i) Central Town ...........................................
(ii) Town ...................................................... (iii) Suburb ..................................................... (iv) Country ....................................................(b) Each additional outlet ........................................ $3000 per annum
$2500 per annum
$2000 per annum
$1500 per annum
$500 per annum。