Easa Npa 2020 - 10 PDF
Easa Npa 2020 - 10 PDF
Easa Npa 2020 - 10 PDF
EXECUTIVE SUMMARY
The objective of this Notice of Proposed Amendment (NPA) is to maintain a high level of safety for the aerodrome
design and operations and to ensure alignment with Amendment 15 (ICAO State Letters AN/1.2.28-20/35 of 3 April
2020) to ICAO Annex 14, Volume I and Amendment 3 (ICAO State Letter AN 4/27-20/25 of 10 June) to ICAO Doc 9981
‘PANS-Aerodromes’. In addition, the NPA addresses findings raised to EASA following the International Civil Aviation
Organization (ICAO) Universal Safety Audit Programme (USOAP) and findings from standardisation visits conducted
by EASA, especially in the area of aeronautical data related to aerodromes.
This NPA proposes changes to existing organisational and operational requirements of Regulation (EU) No 139/2014
and the related Acceptable Means of Compliance (AMC) and Guidance Material (GM), as well as the introduction of
new ones.
In particular, the proposed changes concern the following:
— the implementation of the safety programmes and the establishment of safety committees by the aerodrome
operator, by creating a runway safety team and assigning clear responsibilities and tasks;
— the provision of certain aerodrome data by the aerodrome operator, aligning with Commission Implementing
Regulation (EU) 2020/469, and transposition of the relevant SARPS in ICAO Annex 14, Volume I, including the
introduction of the new methodology for evaluation of the pavement strength (ACR/PCR);
— establishment of provisions regarding disabled aircraft removal and overload operations, to address ICAO USOAP
findings to EASA;
— establishment of certain provisions regarding aerodrome works safety and suspension or closure of runway
operations in accordance with ICAO Doc 9981 ‘PANS-Aerodromes’;
— provisions for the identification of (a) hot spot(s) at the aerodrome; and
— revision of the rule related to the operation of higher code letter aircraft following the changes to the
methodology of the aerodrome reference code.
Furthermore, the NPA proposes changes to the Certification Specifications (CS) of CS-ADR-DSN, stemming mainly
from Amendment 15 to ICAO Annex 14 Volume I.
The proposed amendments are expected to enhance safety and improve alignment with ICAO. In addition, the
provisions on aerodrome data will improve the quality of information published in the Aeronautical Information
Publication (AIP) and the provisions on disabled aircraft removal and overload operations will support the regularity
of operations and the provisions related to aerodrome works safety, designation of hot spot(s), and suspension of
runway operations will improve runway safety.
Action area: Regular updates
Affected rules: Regulation (EU) No 139/2014, CS-ADR-DSN
Affected stakeholders: Aerodrome operators, national competent authorities
Driver: Efficiency/proportionality Rulemaking group: No
Impact assessment: None Rulemaking Procedure: Standard
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Table of contents
Table of contents
1. About this NPA...................................................................................................................... 3
1.1. How this NPA was developed ................................................................................................... 3
1.2. How to comment on this NPA .................................................................................................. 3
1.3. The next steps .......................................................................................................................... 3
2. In summary — why and what ................................................................................................ 4
2.1. Why we need to change the rules — issue/rationale .............................................................. 4
2.2. What we want to achieve — objectives ................................................................................... 6
2.3. How we want to achieve it — overview of the proposals........................................................ 6
2.4. What are the expected benefits and drawbacks of the proposals .......................................... 7
3. Proposed amendments and rationale in detail ....................................................................... 8
3.1. Draft regulation (draft EASA opinion) ...................................................................................... 9
Cover Regulation of Regulation (EU) No 139/2014 ............................................................................. 9
Article 4 Information to the European Union Aviation Safety Agency ............................................... 9
Article 5 Exemptions............................................................................................................................ 9
ANNEX I — DEFINITIONS FOR TERMS USED IN ANNEXES II TO IV of Regulation (EU) No 139/2014 10
Part-ADR.OR of Regulation (EU) No 139/2014 .................................................................................. 11
Part-ADR.OPS of Regulation (EU) No 139/2014 ................................................................................ 12
3.2. Draft certification specifications (draft EASA decision).......................................................... 27
3.3. Draft acceptable means of compliance and guidance material (draft EASA decision) .......... 62
4. Impact assessment (IA)...................................................................................................... 114
5. Proposed actions to support implementation .................................................................... 115
6. References ........................................................................................................................ 116
6.1. Affected regulations ............................................................................................................. 116
6.2. Affected decisions ................................................................................................................ 116
6.3. Other reference documents ................................................................................................. 116
7. Appendix .......................................................................................................................... 117
8. Quality of the document.................................................................................................... 118
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3. Proposed amendments and rationale in detail
1 Regulation (EU) 2018/1139 of the European Parliament and of the Council of 4 July 2018 on common rules in the field of
civil aviation and establishing a European Union Aviation Safety Agency, and amending Regulations (EC) No 2111/2005,
(EC) No 1008/2008, (EU) No 996/2010, (EU) No 376/2014 and Directives 2014/30/EU and 2014/53/EU of the European
Parliament and of the Council, and repealing Regulations (EC) No 552/2004 and (EC) No 216/2008 of the European
Parliament and of the Council and Council Regulation (EEC) No 3922/91 (OJ L 212, 22.8.2018, p. 1) (https://eur-
lex.europa.eu/legal-content/EN/TXT/?qid=1535612134845&uri=CELEX:32018R1139).
2 EASA is bound to follow a structured rulemaking process as required by Article 115(1) of Regulation (EU) 2018/1139.
Such a process has been adopted by the EASA Management Board (MB) and is referred to as the ‘Rulemaking Procedure’.
See MB Decision No 18-2015 of 15 December 2015 replacing Decision 01/2012 concerning the procedure to be applied
by EASA for the issuing of opinions, certification specifications and guidance material (http://www.easa.europa.eu/the-
agency/management-board/decisions/easa-mb-decision-18-2015-rulemaking-procedure).
3 In accordance with Article 115 of Regulation (EU) 2018/1139, and Articles 6(3) and 7 of the Rulemaking Procedure.
4 In case of technical problems, please contact the CRT webmaster (crt@easa.europa.eu).
5 Commission Regulation (EU) No 139/2014 of 12 February 2014 laying down requirements and administrative procedures
related to aerodromes pursuant to Regulation (EC) No 216/2008 of the European Parliament and of the Council (OJ L 44,
14.2.2014, p. 1)
6 https://www.easa.europa.eu/document-library/comment-response-documents
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3. Proposed amendments and rationale in detail
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Furthermore, after the publication of Commission Implementing Regulation (EU) 2020/469, where the
provision of specific aerodrome data are required, it was considered necessary that the relevant
provisions in Chapter 2 of ICAO Annex 14 with regard to aeronautical data should be addressed in the
same manner. For this reason, ICAO Standards concerning aeronautical data that are currently
included in GM to Regulation (EU) No 139/2014 are transferred at implementing regulation (IR) level.
Additionally, the NPA includes a revision of the IR and the related AMC and GM concerning safety
programmes and safety committees, such as Local Runway Safety Team (LRST), by providing clear
requirements for the composition and tasks of these committees to ensure their effective
implementation and establishing a new requirement for the identification and designation of hot
spots at the aerodrome.
Following the publication of Regulation (EU) 2018/1139, some changes were introduced to the
exemption of aerodromes with low traffic, qualified entities, and provision of services. Thus, it is
necessary to align the requirements of Regulation (EU) No 139/2014 with the relevant requirements
of Regulation (EU) 2018/1139 to ensure consistency.
Finally, EASA is including in the NPA four rulemaking proposals which are considered appropriate for
implementation following feedback from standardisation and from stakeholders. These rulemaking
proposals address the following issues:
— The impact on the higher code letter operation requirements following the changes to the
methodology of the aerodrome reference code (ARC). Since the outer main gear wheel span
(OMGWS) is referenced directly in the relevant CS and is no longer part of the ARC, it cannot be
covered by the code letter referred to in point (a) of ADR.OPS.B.090. This might lead to a
situation where an aeroplane might be using the infrastructure or parts of an aerodrome’s
infrastructure that had not been designed to accommodate that type of aeroplane without a
prior approval from the competent authority. To address this issue until the regulatory update
is completed and comes into force, EASA has issued SIB 2020-17 to raise awareness and to
ensure the safety of aerodrome operations.
— The provision of runway shoulders on 60-m wide runways built in accordance with the previous
certification specifications (CS-ADR-DSN Issue 1 to CS-ADR-DSN Issue 3). Following the updates
included in CS-ADR-DSN Issue 4 (see ED Decision 2017/021/R), 60-m wide runways are no longer
required by CS ADR-DSN.B.045. Consequently, the design specifications of CS ADR-DSN.B.125
and CS ADR-DSN.B.135 have been updated based on 45-m wide runways. Complying with the
current CS ADR-DSN.B.125 and CS ADR-DSN.B.135 could lead to a situation where the
aerodrome operator would have either to convert 15 m of the runway into shoulders or to make
use of one of the flexibility options provided by Regulation (EU) No 139/2014. The proposed
change prevents significant costs for the aerodrome operator and additional administrative
burden for both the competent authority and the aerodrome operator.
— The remote de-icing/anti-icing facilities and the specifications concerning the design of taxiing
guidance signs, are addressed for clarification purposes.
A detailed explanation is provided in the rationale of the proposed amendment addressing each issue.
EASA has organised a thematic meeting for a pre-NPA consultation of the above-proposed
amendments with a group of experts.
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2.4. What are the expected benefits and drawbacks of the proposals
The expected benefits and drawbacks of the proposal are summarised below.
The proposed revision of the rule related to safety programmes and safety committees will provide
better clarity on the roles and responsibilities and will give the aerodrome operator the necessary
power to ensure the participation of all involved stakeholders at local level. This will result in a more
effective monitoring of aerodrome operational safety and will ensure that any measures taken are
commonly accepted.
The rules related to the provision of the aerodrome data by the aerodrome operator, firstly will
enhance the cooperation with AIS providers by setting specific rules and secondly will clarify the role
of the aerodrome operator with regard to the origination of specific aerodrome data.
The provisions for disabled aircraft removal and overload operations, although not directly related to
safety, will enhance the regularity of operations because they establish certain obligations for the
aerodrome operator to ensure, to the extent possible, that a runway is returned to service as soon as
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possible in case an aircraft becomes immobilized on the runway, and to protect the pavement from
excessive damage when certain aircraft are not appropriate for the pavement strength of the runway.
The provisions for aerodrome works safety and suspension or closure of runway operations impose
certain requirements on the aerodrome operator to enhance operational safety during aerodrome
works and to ensure that specific measures are in place when runway operations are suspended
temporarily or a runway is permanently closed. This will reduce the risk of damage to aircraft and the
risk of runway incursions.
The provision concerning the designation of hot spot(s) at the aerodrome and the proper publication
in the AIP will minimise the risk of collisions between aircraft, between aircraft and vehicles, and
runway incursions.
The new pavement reporting system will provide several benefits for the aerodrome operators such
as: optimised usage of their pavements, consistency between pavement design and aircraft
admissibility parameters, better pavement management (inspections and maintenance), and
improved predictability of pavement life. It will also benefit aircraft operators by allowing optimised
operating weights and frequencies.
The standardised taxiway naming convention is expected to reduce confusion regarding navigation on
the aerodrome surface, improve awareness of runway crossings, and to ensure that an extra level of
awareness is available to aircraft crews and vehicle operators thus reducing the risk of runway
incursions and taxiway confusion. Additionally, it is expected to increase efficiency and reduce taxiing
fuel burn.
The proposed changes related to runway guard lights and no-entry bars are expected to eliminate
ambiguities related to the application of the various visual aids at aerodromes and assist in reducing
the risk of runway incursions.
Regarding the arresting systems, the objective is to provide the aerodrome operators, arresting
system designers, and competent authorities with a set of certification specification commonly
applicable to the design of arresting systems within the Member States. This will ensure harmonisation
of the design, the same level of safety, and, in addition, it will facilitate the certification process in
accordance with Commission Regulation (EU) No 139/2014.
The proposed amendment to CS ADR-DSN.B.125 on the provision of runway shoulders on 60-m wide
runways is proposed to avoid significant costs for the aerodrome operator and reduce additional
administrative burden for both the competent authority and the aerodrome operator.
Furthermore, EASA will achieve (and, for certain provisions, increase) compliance with the relevant
ICAO SARPS.
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Rationale
Article 4 is proposed to be amended to ensure alignment with the terms used in the Basic Regulation
and in the ICAO Annexes.
An accurate list of aerodromes that meet the applicability criteria of point (e) of Article 2(1) of the Basic
Regulation is important for planning purposes of the standardisation inspections visits, as well as for
rulemaking (impact assessment). EASA has already compiled a database containing the information
provided by the Member States in accordance with Article 4, however, the information needs to be
updated whenever there is a change to the data (e.g. a new aerodrome in the scope, change of the
aerodrome operator, an aerodrome falling out of the scope). The time limit of three months after
publication has become superfluous and should be removed.
In addition, it is proposed that the Member States inform EASA on an annual basis of the aerodrome
traffic data. Providing such traffic should not add any additional burden since the Member States are
already collecting it from the aerodrome operators.
Article 5 Exemptions
1. The Member States shall notify the Commission and the Agency about their decision to grant
an exemption in accordance with Article 2(7) 4(3b) of Regulation (EUC) 2018/1139 No
216/2008, within one month following the decision being taken. The information transmitted
to the Commission and the Agency shall include the Member State’s decision containing the
reason, the name and list of aerodromes concerned, ICAO location indicator, the name of the
aerodrome operator, and the number of commercial air transport passengers and cargo
movements of the aerodrome concerned of the relevant year.
2. Member States shall inform the Commission and the Agency about their decision to modify or
to revoke an exemption in accordance with Article 2(7) of Regulation (EU) 2018/1139, within
one month following the decision being taken.
2. The Member State shall on an annual basis examine the traffic figures of an exempted
aerodrome. If the traffic figures at such an aerodrome have exceeded those provided for in
Article 4(3b) of Regulation (EC) No 216/2008 over the last three consecutive years they shall
inform the Agency and revoke the exemption.
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3. The Commission may at any time decide not to permit an exemption in the following cases:
(a) the general safety objectives of Regulation (EC) 216/2008 are not met;
(b) the relevant passenger and cargo traffic figures have been exceeded over the last three
consecutive years;
(c) where the exemption does not comply with any other relevant EU legislation.
4. Where the Commission decided that exemption is not allowed, the Member State concerned
shall revoke the exemption.
Rationale
Paragraphs 2, 3, and 4 are proposed to be removed since these requirements are already contained in
Article 2(7) of the Basic Regulation.
Article 5 is proposed to be kept within Regulation (EU) No 139/2014, as paragraph 1 provides the
information that a Member State must notify to the Commission and the Agency following the decision
to grant an exemption. Additionally, this paragraph 1 is amended to ensure alignment with the terms
used in the Basic Regulation and in the ICAO Annexes.
The Basic Regulation uses the term ‘notify’ when it relates to the decision of granting an exemption
and ‘inform’ when this decision is modified or revoked. Therefore, a new paragraph 2 is added in line
with the terminology used in the Basic Regulation.
[…]
(5a) ‘aircraft classification number (ACN)’ means the number expressing the relative effect of an
aircraft on a pavement for a specified standard subgrade category. [Applicable until
27 November 2024];
(5b) ‘aircraft classification rating (ACR)’ means the number expressing the relative effect of an
aircraft on a pavement for a specified standard subgrade category. [Applicable as of
28 November 2024];
[…]
(19a) ‘hot spot’ means a location on an aerodrome movement area with a history or potential risk of
collision or runway incursion, and where heightened attention by pilots/drivers is necessary.
[…]
(36a) ‘Pavement classification number (PCN)’ means a number expressing the bearing strength of a
pavement for unrestricted operations. [Applicable until 27 November 2024]
(36b) ‘Pavement classification rating (PCR)’ means a number expressing the bearing strength of a
pavement. [Applicable as of 28 November 2024]
[…]
(47) ‘terms of the certificate’ means the following:
— ICAO location indicator,
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(1) support the identification and multidisciplinary review of local safety issues, especially
with regard to runway safety;
(2) propose possible mitigating measures and relevant action plans to be implemented by
the organisations concerned with a view to enhance safety; and
(3) consider the need to develop regular local safety awareness campaigns and joint training
programmes for the personnel of all relevant organisations.
The aerodrome operator shall ensure the implementation of the action plans.
(e) The aerodrome operator shall establish and implement procedures to ensure the
implementation of points (a) to (d).
Rationale
ADR.OPS.D.027 is revised because currently it does not ensure at least the establishment of a local
runway safety team and other aerodrome safety committees under the lead of the aerodrome
operator, nor does it give the power to the aerodrome operator to require the participation of the
various organisations providing services at the aerodrome. Furthermore, the revised rule establishes
the objectives of the local runway safety team and other safety committees.
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(c) The aerodrome operator shall measure and report to the aeronautical information services the
position of the aerodrome reference point in degrees, minutes, and seconds.
(c) For precision approach runway, the elevation and geoid undulation of the threshold, the
elevation of the runway end, and the highest elevation of the touchdown zone shall be
measured to the accuracy of one-quarter metre and reported to the aeronautical information
services.
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(iv) slope;
(vii) for a precision approach runway category I, the existence of an obstacle-free zone
when provided
(B) description
(3) taxiway:
(i) designation;
(4) apron:
(6) clearway:
(7) visual aids for approach procedures, marking and lighting of runways, taxiways and
aprons, other visual guidance and control aids on taxiways and aprons, including taxi-
holding positions and stop bars, and location and type of visual docking guidance systems;
(8) location and radio frequency of any VHF Omnidirectional radio range (VOR) aerodrome
checkpoint;
(10) distances to the nearest metre of localizer and glide path elements comprising an
instrument landing system (ILS) or azimuth and elevation antenna of a microwave landing
system (MLS) or a ground-based augmentation system (GBAS) in relation to the
associated runway extremities.
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(b) The aerodrome operator shall measure and report to the aeronautical information services the
geographical coordinates of each threshold in degrees, minutes, seconds, and hundredths of
seconds.
(c) The aerodrome operator shall measure and report to the aeronautical information services the
geographical coordinates of appropriate taxiway centreline points in degrees, minutes, seconds,
and hundredths of seconds.
(d) The aerodrome operator shall measure and report to the aeronautical information services the
geographical coordinates for each aircraft stand in degrees, minutes, seconds, and hundredths
of seconds.
(e) The aerodrome operator shall measure and report to the aeronautical information services the
geographical coordinates of obstacles in Area 2 (the part within the aerodrome boundary) and
in Area 3 in degrees, minutes, seconds, and tenths of seconds. In addition, the top elevation,
type, marking and lighting, if any, of obstacles shall be reported to the aeronautical information
services. Areas 2 and 3 and the obstacle collection surfaces for these areas shall be established
in accordance with ADR.OPS.A.0125 and ADR.OPS.A.135.
(1) The bearing strength of a pavement intended for aircraft of apron (ramp) mass greater
than 5 700 kg shall be made available using the aircraft classification number – pavement
classification number (ACN-PCN) method by reporting all of the following information:
(iv) maximum allowable tyre pressure category or maximum allowable tyre pressure
value; and
(2) The pavement classification number (PCN) reported shall indicate that an aircraft with an
aircraft classification number (ACN) equal to or less than the reported PCN can operate
on the pavement subject to any limitation on the tyre pressure, or aircraft all-up mass for
specified aircraft type(s).
(3) For the purpose of determining the ACN, the behaviour of a pavement shall be classified
as equivalent to a rigid or flexible construction.
(4) Information on pavement type for ACN-PCN determination, subgrade strength category,
maximum allowable tyre pressure category, and evaluation method shall be reported
using the following codes:
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Rigid pavement R
Flexible pavement F
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(1) The bearing strength of a pavement intended for aircraft of apron (ramp) mass greater
than 5 700 kg shall be made available using the aircraft classification rating – pavement
classification rating (ACR-PCR) method by reporting all of the following information:
(iv) maximum allowable tyre pressure category or maximum allowable tyre pressure
value; and
(2) The pavement classification rating (PCR) reported shall indicate that an aircraft with an
aircraft classification rating (ACR) equal to or less than the reported PCR can operate on
the pavement subject to any limitation on the tyre pressure, or aircraft all-up mass for
specified aircraft type(s).
(3) For the purpose of determining the ACR, the behaviour of a pavement shall be classified
as equivalent to a rigid or flexible construction.
(4) Information on pavement type for ACR-PCR determination, subgrade strength category,
maximum allowable tyre pressure category and evaluation method shall be reported
using the following codes:
Rigid pavement R
Flexible pavement F
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(d) The bearing strength of a pavement intended for aircraft of apron (ramp) mass equal to or less
than 5 700 kg shall be made available by reporting the following information:
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(c) The take-off run available (TORA), take-off distance available (TODA), accelerate stop distance
available (ASDA), and landing distance available (LDA) shall be normally calculated according to
the following:
(1) Where a runway is not provided with a stopway or a clearway and the threshold is located
at the extremity of the runway, the declared distances in point (a) shall be equal to the
length of the runway;
Figure 1
(2) When a runway is provided with a clearway (CWY), then the TODA will include the length
of the clearway.
Figure 2
(3) Where a runway is provided with a stopway (SWY), then the ASDA shall include the length
of the stopway.
Figure 3
(4) Where a runway has a displaced threshold, then the LDA shall be reduced by the distance
the threshold is displaced. A displaced threshold shall affect only the LDA for approaches
made to that threshold; all declared distances for operations in the reciprocal direction
shall be unaffected.
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Figure 4
(5) Where a runway is provided with more than one of the clearway, stopway, or having a
displaced threshold, then more than one of the declared distances shall be modified. The
modification shall follow the same principle as in points (b)(1) –(b)(4)
Figure 5
(6) When intersection take-offs are performed, the datum line from which the reduced
runway declared distances for take-off are determined, shall be defined by the
intersection of the downwind edge as shown in the figure below:
Figure 6
(d) The length of the runway shall be measured from the start of the runway pavement or where a
transverse stripe marking is provided to indicate threshold displacement, at the inner edge of
the transverse stripe across the runway.
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(b) The aerodrome operator shall monitor the condition of the movement area and the operational
status of related facilities, and shall report on matters of operational significance affecting
aircraft and aerodrome operations to take appropriate action, particularly in respect of the
following:
(iv) failure or irregular operation of part or all of the aerodrome visual aids; and
(c) Changes in the level of protection normally available at the aerodrome for rescue and
firefighting shall be notified to the appropriate air traffic services units and aeronautical
information services units to enable those units to provide the necessary information to arriving
and departing aircraft. When such a change has been corrected, the above units shall be advised
accordingly.
(d) A change shall be expressed in terms of the new category of the rescue and firefighting service
available at the aerodrome.
(b) type of system. For a PAPI or APAPI installation, the side of the runway on which the lights are
installed, i.e. left or right;
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(c) where the axis of the system is not parallel to the runway centre line, the angle of displacement
and the direction of displacement, i.e. left or right, shall be indicated;
(d) nominal approach slope angle(s). For a PAPI and an APAPI this shall be angle (B + C) ÷ 2 and
(A + B) ÷ 2, respectively as in the following figures:
A – 3o PAPI illustrated
B – 3o APAPI illustrated
(e) minimum eye height(s) over the threshold of the on-slope signal(s). For a PAPI this shall be the
setting angle of the third unit from the runway minus 2’, i.e. angle B minus 2’, and for an APAPI
this shall be the setting angle of the unit farther from the runway minus 2’, i.e. angle A minus
2’.
Rationale
Aerodrome data is required for pre-flight and in-flight information to ensure the safe operation of
aircraft. It is therefore important that the data relevant to the aerodrome needs to be provided with
the required accuracy and integrity. Commission Implementing Regulation (EU) 2020/469 contains
requirements for AIS providers concerning the publication of the data relevant to the aerodrome. These
are included in the aeronautical data catalogue in the above-mentioned regulation, and Opinion
3/2019 on Runway Safety contains data quality requirements for the origination of data by the
aerodrome operator. Nevertheless, Regulation (EU) No 139/2014 does not contain specific
requirements on which data is originated by the aerodrome operator and all the technical
requirements, which are necessary to comply with the data quality requirements, are included in GM.
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ADR.OPS.A.015 is amended to align point (a)(2) with ICAO Annex 14 Standard 2.13.1.(b) concerning
the responsibility of the aerodrome operator to provide information on the operational status of
associated facilities, services and navigation aids by extending to their area of responsibility and not
limited to the aerodrome, for example approach lighting system which may be located outside the
aerodrome. Furthermore, it aligns with Commission Implementing Regulation (EU) 2020/469 with
regard to the compliance with the AIRAC effective dates when submitting raw information/data to
aeronautical services.
ADR OPS.A.085 introduces the ACR-PCR method, which will be applicable as of 28 November 2024 and
will replace the ACN-PCN method, which is currently in use. The new system will be no longer based on
a ‘critical aircraft’ but will consider all aircraft, which are intended to serve on a given pavement with
their real offset from pavement centreline. By doing so, the reported PCR will address, in a very
accurate manner, the amount of damage that each aircraft produces within a mix, as a function of
their operating weight, full landing gear geometry, individual tyre load and pressure. The new
pavement reporting system will provide several benefits to the aerodrome operators: optimised usage
of their pavements, consistency between pavement design and aircraft admissibility parameters,
better pavement management (inspections and maintenance), and improved predictability of
pavement life. It will also benefit aircraft operators by allowing optimised operating weights and
frequencies. By adopting the layered elastic analysis (LEA) within the pavement rating system, the
subgrade strength categories have to be designated with the modulus of elasticity (E modulus). The
CBR for flexible pavement and the k-value (modulus of subgrade reaction) for rigid pavement are no
longer applicable. However, the four subgrade strength categories will still be designated with the
same letters.
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Rationale
During the ICAO USOAP to EASA it was identified that there was no regulatory requirement for the
removal of disabled aircraft, in accordance with recommendation contained in Chapter 9 of Annex 14.
Although the plan for the removal of disabled aircraft is not a safety critical issue, the absence of any
arrangements has an impact on the regularity of operations at the aerodrome. The proposed rule does
not oblige the aerodrome operator to have aircraft removal equipment in place and available at the
aerodrome but it ensures that a coordination mechanism is in place and access to resources and
equipment is ensured.
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managing the aerodrome operational safety during works. The revised rule is based on Chapter 4 of
Doc 9981 ‘PANS-Aerodromes’.
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The previous issues of CS-ADR-DSN specified the ARC code letter to contain two parameters: the wing
span (WS) and the outer main gear wheel span (OMGWS) of the affected aeroplane design.
Following the adoption of the new ARC methodology by the International Civil Aviation Organisation,
EASA published CS-ADR-DSN Issue 4, on the determination of the ARC code letter by selecting the WS
only of the aeroplanes for which the facility is intended.
According to point (a) of ADR.OPS.B.090, a prior approval is required from the competent authority for
the use of the aerodrome or parts of it by an aeroplane with a higher code letter than the aerodrome
design characteristics specified in the terms of the certificate.
Since the OMGWS is referenced directly in the relevant CS and it is no longer a part of the ARC, this
parameter cannot be covered by the code letter referred to in point (a) of ADR.OPS.B.090, and
therefore it is not checked when assessing a potential higher code letter operation. This might lead to
a situation where, although the code letter of the aeroplane is identical to the aerodrome’s code letter
included in the terms of the certificate, the OMGWS of the aeroplane could exceed the certified
aerodrome design characteristics. In this case, an aeroplane might use the infrastructure or parts of
an aerodrome’s infrastructure which had not been designed to accommodate that type of aeroplane
without a prior approval from the competent authority. Please refer to SIB 2020-17 for a detailed
explanation related to the impact of the ARC changes on ADR.OPS.B.090.
Since the term ‘higher code letter’ is no longer appropriate, as explained above, it is proposed to be
replaced by ‘exceeding the certified design characteristics of the aerodrome’ in all occurrences.
The OMGWS parameter is proposed to be added in paragraph (a).
Paragraph (c) contains the aircraft characteristics that needs to be assessed against the aerodrome
design characteristics. Although not all the aircraft characteristics may be applicable depending on the
case, the list is exhaustive and ensures that during the assessment all the aircraft characteristics have
been taken into account.
Rationale
Hot spots are, by definition, locations where there is a history or potential risk of collisions or runway
incursions. It is therefore important that these locations are identified by the aerodrome operator and
the risk is mitigated. Where immediate measures are not possible, their location must be known to the
pilots and the drivers through their publication in the relevant aerodrome charts to raise their
awareness.
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Rationale
According to ICAO Doc 9981 ‘PANS-Aerodromes’ one of the safety risks related to runway safety is the
suspension or closure of runway operations. The issue is not addressed in Regulation (EU) No 139/2014
and, considering the fact that there are incidents and accidents that took place on closed runways, it
is appropriate to propose a rule to address this issue. The proposed text is based on ICAO Doc 9981
‘PANS-Aerodromes’ Chapter 8 on runway safety.
CS ADR-DSN.A.002 Definitions
[…]
‘Aircraft classification number (ACN)’ means the number expressing the relative effect of an aircraft
on a pavement for a specified standard subgrade category.
[…]
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‘Effective intensity’ means that the effective intensity of a flashing light is equal to the intensity of a
fixed light of the same colour which will produce the same visual range under identical conditions of
observation.
[…]
‘Isolated Aaircraft Pparking Pposition’ means an area suitable for the parking of an aircraft which is
known or suspected to be the subject of unlawful interference, or for other reasons needs isolation
from normal aerodrome activities.
[…]
‘Lighting system reliability’ means the probability that the complete installation operates within the
specified tolerances and that the system is operationally usable.
[…]
‘Near-parallel runways’ means non-intersecting runways whose extended centre lines have an angle
of convergence/divergence of 15 degrees or less.
[…]
‘Pavement classification number (PCN)’ means a number expressing the bearing strength of a
pavement for unrestricted operations.
[…]
‘Segregated parallel operations’ means simultaneous operations on parallel or near-parallel
instrument runways in which one runway is used exclusively for approaches and the other runway is
used exclusively for departures.
[…]
‘Usability factor’ means the percentage of time during which the use of a runway or system of runways
is not restricted because of the crosswind component.
Rationale
The ACN-PCN (and future ACR/PCR) method is meant solely for the publication of pavement strength
data in the Aeronautical Information Publications (AIPs) and it is not intended for the design or
evaluation of pavements. All references to the ACN/PCN are removed from CS-ADR-DSN and the
guidance material is updated with a reference to the corresponding implementing rule,
ADR.OPS.A.090, containing the method for reporting the bearing strength of the pavement.
Furthermore, the definitions for effective intensity, lighting system reliability, near-parallel runways,
segregated parallel operations and usability factor are added since these terms are already used in
CS-ADR-DSN.
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Rationale
A commercial aeroplane equipped with a folding wing tip (FWT) system is planned to be introduced in
service. The guidance material is proposed to be amended to address this type of aeroplane.
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Rationale
Following the updates included in CS-ADR-DSN Issue 4 (see ED Decision 2017/021/R), 60-m wide
runways are no longer required by CS ADR-DSN.B.045. Consequently, the design specifications of
CS ADR-DSN.B.125 and CS ADR-DSN.B.135 have been updated based on 45-m wide runways. A
comparison between the current requirements for the runway shoulders and a 60-m wide runway is
illustrated below.
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[…]
Rationale
The term ‘aircraft safety purposes’ was introduced by ICAO in Annex 14, Volume I (ICAO State Letter
AN 4/1.1.52-11/41) to allow the installation of arresting systems. Additional guidance is proposed to
be introduced in paragraph (a) to clarify the intent of the term.
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(c) The area adjacent to the end of a runway may be referred to as a blast pad.
(cd) Additional guidance on grading is given in ICAO Doc 9157, Aerodrome Design Manual Part 1,
Runways.
(de) The area adjacent to the end of a runway provided to reduce the erosive effects of jet blast and
propeller wash may be referred to as a blast pad.
(ef) Guidance on protection against aeroplane engine blast is given in ICAO Doc 9157, Aerodrome
Design Manual, Part 2.
Rationale
Paragraph (c) is proposed to be removed since it provides the same guidance material as paragraph
(e).
CS ADR-DSN.B.200 Stopways
[…]
(c) Slopes on stopways:
Slopes and changes in slope on a stopway, and the transition from a runway to a stopway,
should comply with the specifications in CS ADR-DSN.B.060 to CS ADR-DSN.B.080 for the runway
with which the stopway is associated except that:
(1) the limitation in CS ADR-DSN.B.060(cb) of a 0.8 % slope for the first and last quarter of
the length of a runway need not be applied to the stopway; and
(2) at the junction of the stopway and runway and along the stopway the maximum rate of
slope change may be 0.3 % per 30 m (minimum radius of curvature of 10 000 m) for a
runway where the code number is 3 or 4.
[…]
Rationale
The reference is corrected to the limitations of the runway longitudinal slope.
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(c) Notwithstanding that a stopway may have a paved surface, it is not intended that PCN Figures
bearing strength data need to be developed for a stopway (see ADR.OPS.A.090). Further
guidance is given in ICAO Doc 4444, PANS-OPS.
Rationale
The ACN-PCN (and future ACR/PCR) method is meant solely for the publication of pavement strength
data in the Aeronautical Information Publications (AIPs) and it is not intended for the design or
evaluation of pavements. All references to the ACN/PCN are removed from CS-ADR-DSN and the
guidance material is updated with a reference to the corresponding implementing rule,
ADR.OPS.A.090, containing the method for reporting the bearing strength of the pavement.
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deceleration rates, and stopping distances within the arresting system. Any rebound of
the crushed material that may lessen its effectiveness, should also be considered.
(4) Demonstrated performance of an arresting system can be achieved by a validated design
method which can predict the performance of the system. The design and performance
should be based on the type of aeroplane anticipated to use the associated runway that
imposes the greatest demand upon the arresting system. The design of an arresting
system should be based on a critical (or design) aircraft which is defined as aircraft using
the associated runway that imposes the greatest demand upon the arresting system. This
is usually but not always, the heaviest/largest aircraft that regularly uses the runway.
Arresting system performance is dependent not only on aircraft weight but allowable
aeroplane gear loads, gear configuration, tire contact pressure, aeroplane centre of
gravity and aeroplane speed. Accommodating undershoots should also be addressed. All
configurations should be considered in optimising the arresting system design. The
aerodrome operator and arresting system manufacturer should consult regarding the
selection of the design aeroplane that should optimise the arresting system for a
particular aerodrome. Additionally, the design should allow the safe operation of fully
loaded rescue and fire fighting vehicles, including their ingress and egress.
(5) Additional information is given in ICAO Doc 9157, Aerodrome Design Manual, Part 1,
Runways.
[…]
Rationale
Paragraph (c) of the guidance material is proposed to be removed in line with the new proposal for the
aircraft arresting systems.
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(8) have enough mechanical property to avoid damage resulting from regular pedestrian
traffic for maintenance;
(9) enable the access, movement and egress of the RFFS vehicles without impeding their
activities during an emergency;
(10) be designed for repair to a usable condition (conforming to the original specifications);
(11) not increase the potential for damage and control capabilities of an aircraft in case of an
undershoot more than the risk associated with an undershoot in a non-paved RESA;
(12) not be regarded as an obstacle in the runway strip or in the runway end safety area for
clearing and grading requirements;
(13) not impede crew and passenger evacuation nor hinder disabled aircraft removal
procedures;
(14) not cause visual or electromagnetic interference with any air navigation aids nor have
reflecting surfaces that could cause dazzling;
(15) not increase wildlife hazard.
(c) An aircraft arresting system should not be considered to meet the definition of a stopway as
provided in CS ADR-DSN.A.002.
(d) An aircraft arresting system should have an established maintenance programme as defined in
the relevant Part-Ops.
Rationale
Paragraph (b) of CS ADR-DSN.C.215 provides the possibility of installing an arresting system where the
length of the RESA in accordance with paragraph (a) of the same CS cannot be met. However,
CS-ADR-DSN does not contain certification specifications for the design of such a system; it only
contains guidance material with reference to the ICAO Doc 9157, Part 1 (which refers further to the
FAA advisory circulars). For this reason, EASA has received several comments from stakeholders who
have encountered difficulties when faced with the task of the design and certification.
The following approach is proposed: certification specifications and guidance material for the design
of arresting systems in general and certification specifications and guidance material particularised for
the engineered materials arresting systems (EMAS). The proposed amendment is based on the ICAO
developments on this topic.
The objective is to provide the aerodrome operators, the arresting system designers, and the
competent authorities with a set of certification specification commonly applicable to the design of
arresting systems within the Member States. This will ensure the harmonisation of the design, same
level of safety and in addition, it will facilitate the certification process in accordance with Commission
Regulation (EU) No 139/2014.
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(2) do not attract, or are physically vulnerable to vermin, birds, wildlife or other creatures to
the greatest extent possible;
(3) do not support unintended plant growth with proper application of herbicides;
(4) exhibit constant strength and density characteristics during all climatic conditions within
a temperature range appropriate for the locale;
(5) are resistant to deterioration as a result of:
(i) salt;
(ii) aircraft and runway de-icing and anti-icing fluids and solids;
(iii) aircraft fuels, hydraulic fluids, and lubricating oils;
(iv) ultra violet;
(v) water;
(vi) freezing/thawing;
(vii) blowing sand and snow;
(viii) hail;
(viii) paint;
(ix) herbicides.
(c) Undershoot
An aircraft arresting system is not intended to reduce the risk of damage to an aeroplane
undershooting the runway. However, the presence of an aircraft arresting system should not
increase the potential for damage in case of undershoot more than the risk associated with an
undershoot in a non-paved RESA.
The compliance with this requirement could be justified through experience of real cases of
undershoot in an aircraft arresting system, flight simulator tests, other type of studies, or a
combination of the three.
(d) An aircraft arresting system is a passive system which does not require any specific action or
knowledge by the flight crew. However, a basic knowledge of the systems by the crews is
considered advantageous to prevent undesired evasive manoeuvres that could cause the
aircraft to avoid entering the bed or system. Preferably the arresting system should be entered
straight ahead. The use of wheel brakes and or thrust reversers should be unrestricted in the
arresting system. Additionally, the availability of an aircraft arresting systems cannot be used
for flight planning purposes, i.e. it cannot be included in the declared distances.
(e) Mechanical property:
An aircraft arresting system is not intended to support vehicular traffic for maintenance or
normal operating purposes.
The arresting system needs to be capable of supporting regular pedestrian traffic for the
purposes of its own maintenance and co-located air navigation aids without causing any
damage to its surface.
Light equipment for snow removal can be used in accordance with the arresting system
manufacturer´s specification on ground pressure to avoid any damage to the surface.
Rationale
See the rationale provided for CS ADR-DSN.C.236.
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(1) The materials are tailored to specific mechanical properties and are referred to as
engineered materials.
(2) The engineered materials have to meet a force - deformation profile within limits which
have been shown to assure uniform characteristics, and therefore, predictable response
to an aircraft entering the arresting system.
(3) The engineered materials will crush under the landing gears of the aeroplane when it
engages the EMAS. The crushing is an irreversible or partly irreversible process and the
arresting performance of the system is proportional to the amount of energy that is
dissipated.
(b) Setback distance
(1) The setback distance is defined as the distance between the runway or stopway end and
the beginning of the EMAS.
(2) The setback distance will vary depending on the available area and the EMAS design.
(3) The calculation of the setback distance should balance the risk objectives of:
(i) providing enough area for arresting purposes;
(ii) providing enough separation to protect the aircraft arresting system from jet blast;
(iii) providing separation from the threshold to reduce the probability of undershoot in
the aircraft arresting system; and
(iv) decreasing the probability of aircraft overruns passing by one side of the arresting
system due to lateral dispersion.
The safety assessment should determine the relevance of each risk objective, taking into
account the operating particularities of the associated runway, including uses of the
runway, types of approach, weather conditions, fleet, incidents and accidents and any
other particularity related with runway safety.
(4) To reduce the probability of an aircraft undershooting in an EMAS, it is recommended to
provide a minimum setback distance of at least 60 m from the threshold of the opposite
runway. However, this separation may be reduced if after a safety assessment
determines that it is the best alternative for both overrun and undershoot protection.
(5) Where the area available is longer than required for installation of a standard EMAS
designed to stop the design aircraft at an exit speed of 70 knots, the EMAS should be
placed as far from the runway end as practicable. Such placement decreases the
possibility of damage to the system from short overruns or undershoots and results in a
more economical system by considering the deceleration capabilities of the existing
runway safety area.
(c) An EMAS normally includes steps and/or slopes at its end and both sides that may be considered
not functional for arresting purposes. When possible, the functional width of the EMAS is to be
maintained the same throughout the whole length of the system.
(d) Exit speed is defined as the speed of the nose gear of the aeroplane as it passes the physical
end of the runway or stopway, if provided.
(e) The critical aircraft is defined as that aircraft regularly using the associated runway that imposes
the greatest demand upon the EMAS.
(f) Design aircraft list refers to the combination of aircraft types which are/will be operating
regularly on the runway.
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The critical aircraft is usually, but not always, the heaviest/largest aircraft that regularly uses
the runway. The performance of an EMAS is dependent not only on aeroplane weight, but also
landing gear configuration, tyre pressure, and aircraft centre of gravity. In general, the
operational maximum take-off weight (operational MTOW) is used for the critical aircraft.
However, there may be instances where less than the MTOW will require a longer EMAS. All
configurations should be considered in optimising the EMAS design. To the extent practicable,
however, the EMAS design should consider both the aeroplane that imposes the greatest
demand upon the EMAS and the range of aircraft expected to operate regularly on the runway.
In some instances, a composite of design aircraft may be preferable to optimising the EMAS for
a specific runway than a single critical aircraft. Other factors unique to a particular aerodrome,
such as available RESA and air cargo operations, should also be considered in the final design.
(g) Testing
Testing is to be based either on passage of an actual aircraft or a single wheel bearing an
equivalent load through a test bed. The design will need to consider multiple aircraft
parameters, including but not limited to allowable aircraft gear loads, gear configuration, tyre
contact pressure, aircraft weight, aircraft centre of gravity and aircraft speed.
Rationale
See the rationale provided for CS ADR-DSN.C.236.
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Code numberd
Type of runway
1 2 3 4
Non-instrument 30 m 40 m 75 m 75 m
Non-precision approach 40 m 40 m 75 m 75 m
b b a,b
Precision approach Category I 60 m 60 m 90 m 90 ma,b,c
Precision approach Categories II and III — — 90 ma,b 90 ma,b,c
Take-off runway 30 m 40 m 75 m 75 m
a. If a holding bay, runway-holding position, or road-holding position is at a lower elevation
compared to the threshold, the distance may be decreased 5 m for every metre the bay or
holding position is lower than the threshold, contingent upon not infringing the inner
transitional surface.
b. This distance may need to be increased to avoid interference with radio navigation aids,
particularly the glide path and localiser facilities (see CS ADR-DSN.D.340).
Note 1: The distance of 90 m for code number 3 or 4 is based on an aircraft with a tail height of 20 m,
a distance from the nose to the highest part of the tail of 52.7 m and a nose height of 10 m holding at
an angle of 45° or more with respect to the runway centre line, being clear of the obstacle-free zone
and not accountable for the calculation of OCA/H.
Note 2: The distance of 60 m for code number 2 is based on an aircraft with a tail height of 8 m, a
distance from the nose to the highest part of the tail of 24.6 m and a nose height of 5.2 m holding at
an angle of 45° or more with respect to the runway centre line, being clear of the obstacle-free zone.
c. Where the code letter is F, this distance should be at least 100 107.5 m.
Note: The distance of 100 107.5 m for code number 4 where the code letter is F is based on an aircraft
with a tail height of 24 m, a distance from the nose to the highest part of the tail of 62.2 m and a nose
height of 10 m holding at an angle of 45° or more with respect to the runway centre line, being clear
of the obstacle-free zone.
d. Elevation of taxiway should be taken into account for possible increase of the distances
indicated in this table.
Table D-2. Minimum distance from the runway centre line to a holding bay, runway-holding position, or road-
holding position
Rationale
The certification specification is proposed to be amended, taking into account the function of the inner
transitional surface (see GM1 ADR-DSN.H.455(a)).
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In Table D-2 Footnote c. and its Note are proposed to be amended to reflect the reduction in Table J-1
of the OFZ width for code F from 155 m to 140 m following the publication of CS-ADR-DSN Issue 4 (see
ED Decision 2017/021/R). Please note that according to Footnote e. of Table J-1, the width of the OFZ
for code letter F aeroplanes needs to be increased to 140 m irrespective of the type of avionics they are
equipped with.
The current value of 107.5 m is based on an OFZ half-width of 155 m ÷ 2 = 77.5 m plus a buffer of 30 m
which satisfy the obstacle clearance requirements. Following the reduction introduced by CS-ADR-DSN
Issue 4 from 155 m to 140 m, applying the same geometric principle, provides an OFZ half-width of
70 m plus 30 m buffer, resulting in a value of 100 m. GM1 ADR-DSN.D.340 (see below) is proposed to
be amended accordingly.
The three Notes in Table D-2 are significant examples of the possible calculation of the minimum
distances. CS ADR-DSN.D.340 is applicable to any runway, including to precision approach runways.
CS ADR-DSN.G.380 Location
(a) De-icing/anti-icing facilities should be provided either at aircraft stands or at specified remote
areas.
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(b) The remote de-icing/anti-icing facilities should be located to be clear of the obstacle limitation
surfaces, to not cause interference to the radio navigation aids and be clearly visible from the
air traffic control tower for clearing the treated aeroplane.
Rationale
The term ‘remote’ is added for clarity and harmonisation with the corresponding SARP of ICAO Annex
14, Volume I.
Rationale
Editorial correction.
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Rationale
The taxiway centre line in Figure L-6 (d) is displayed as dashed, when it should be continuous. Figure
L-6 (d) is amended accordingly.
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Rationale
Table M-1 moved from CS ADR-DSN.M.655 to CS ADR-DSN.M.650 for better readability as it is related
to CS ADR-DSN.M.645 and CS ADR-DSN.M.650.
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Eye-to-wheel height of aeroplane in the Desired wheel clearance Minimum wheel clearance
a b, c
approach configuration (metres) (metres)d
(1) (2) (3)
e. This wheel clearance should be reduced to 1.5 m on runways used mainly by light-weight non-turbo-
jet aeroplanes.
Table M-1. Wheel clearance over threshold for PAPI and APAPI
Rationale
Table M-1 moved from CS ADR-DSN.M.655 to CS ADR-DSN.M.650 for better readability as it is related
to CS ADR-DSN.M.645 and CS ADR-DSN.M.650. ‘Slope’ is added in Table M-2 for clarity.
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(3) The light beam should be unidirectional and should show yellow in the direction of
approach to aligned so as to be visible to the pilot of an aeroplane taxiing to the runway-
holding position.
[…]
Rationale
Paragraph (a) is proposed to be amended to draw the attention to the importance of the use of runway
guard lights (RGL) as an effective runway incursion prevention programme.
Paragraph (b)(4) is proposed to be amended to address the risk of runway incursions caused by RGL
illuminated beyond the operational holding position and it also maintains consistency with the design
specifications for stop bars.
The location of runway guard lights in paragraph (c) is proposed to be amended for harmonisation
purposes by associating them with the holding side of the runway-holding position marking.
For consistency, paragraph (b)(4) is proposed to be amended in line with the certification specifications
for stop bars.
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Paragraph (a) is proposed to be amended to draw the attention to the importance of the use of runway
guard lights (RGL) as an effective runway incursion prevention programme. The current guidance
material of paragraph (a) is moved to paragraph (f) as it relates to this topic.
Where deemed necessary, runway guard lights Configuration A may be supplemented by runway
guard Configuration B. A new paragraph (b) is proposed to be inserted to provide additional guidance.
A reference for additional guidance on the runway guard lights is added in paragraph (g).
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CS ADR-DSN.N.775 General
[…]
(c) Characteristics:
[…]
(4) The inscriptions on a sign should be in accordance with the provisions of Figures N-2A to
N-2H and N-3.
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(109) Where a taxiway location sign is installed in conjunction with a runway designation sign
(see CS ADR-DSN.N.785(b)(9)), the character size should be that specified for mandatory
instruction signs.
(11) The arrow and stroke dimensions should be as follows:
(i) Arrow dimensions should be as follows:
Legend height Stroke
200 mm 32 mm
300 mm 48 mm
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400 mm 64 mm
(ii) Stroke width for single letter should be as follows:
Legend height Stroke
200 mm 32 mm
300 mm 48 mm
400 mm 64 mm
(120) Sign luminance should be as follows:
(i) Where operations are conducted in runway visual range conditions less than a
value of 800 m, average sign luminance should be at least:
Red 30 cd/m2
Yellow 150 cd/m2
White 300 cd/m2
(187) The face width of signs should be determined using Figure N-3 except that, where a
mandatory instruction sign is provided on one side of a taxiway only, the face width
should not be less than:
(i) 1.94 m where the code number is 3 or 4; and
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Rationale
The certification specifications for the inscription height, as well as the form, width and space of
characters are already provided in separate paragraphs. Therefore, paragraph (c)(4) is proposed to be
removed.
The new paragraph (c)(7) is provided for clarity.
The specifications related to the variable signs provided in paragraph (c)(21) are removed as identical
specifications are already included in (c)(7) of the same CS.
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Table N-3 e) provides the dimensions for the numerals. The heading of Table N-3 e) is corrected
accordingly.
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To avoid confusion with other designators, apron stands should have a designator that is different from
taxiway designators at the aerodrome. This is of particular importance when stands are assigned with
a letter and number combination. New paragraph (c)(15) is proposed to be added in this regard.
Rationale
The reference is updated for consistency throughout CS-ADR-DSN.
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Rationale
The reference in Figure Q-2 is corrected.
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CS ADR-DSN.Q.852 Marking and lighting of overhead wires, cables, supporting towers, etc.
[…]
(b) Elevation vertical angles are referenced to the horizontal when the light unit is levelled.
(c) Beam spread is defined as the angle between the horizontal plan and the directions for which the intensity exceeds that mentioned in the ‘intensity’ column.
Note: an extended beam spread may be necessary under specific configuration and justified by an safety assessment aeronautical study.
Table Q-3. Light distribution for medium- and high-intensity obstacle lights according to benchmark intensities of Table Q-1
Rationale
In Table Q-3, the term ‘aeronautical study’ is replaced by ‘safety assessment’ for consistency.
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Rationale
Points (a), (b), (d) and (e) are transferred to AMC1 ADR.OPS.B.070(c)(5) because they are considered
operational.
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(g) Where aircraft or vehicles should normally approach from several directions, consideration
should be given to adding extra lights or using omnidirectional lights to show the area from
these directions.
(h) Unserviceable area lights should be are frangible. Their height should be is sufficiently low to
preserve clearance for propellers and for engine pods of jet aircraft.
Rationale
The GM is revised because its content is considered operational and is transferred to
AMC3 ADR.OPS.B070(c)(5).
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Rationale
The term ‘aircraft safety purposes’ was introduced by ICAO in Annex 14, Volume I (ICAO State Letter
AN 4/1.1.52-11/41) to allow the installation of arresting systems. Additional guidance is proposed to
be introduced in paragraph (f) to clarify the intent of the term.
3.3. Draft acceptable means of compliance and guidance material (draft EASA decision)
AMC and GM to Regulation (EU) No 139/2014
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Rationale
See the rationale provided for ADR.OPS.B.090.
Conditions to operate3:
Types of approaches5:
Other10
1
The certificate must be given the State Code [The two-letter ISO code should be used (ISO 3166 alpha-2),
except for Greece and the United Kingdom, for which the abbreviations EL and UK are recommended]
and a unique ascending number. Example: EL – 001
2
To be specified: the official name of the aerodrome and the ICAO location indicator for the aerodrome.
3
To be specified: day/ night and IFR/ VFR.
4
To be specified: ASDA, LDA, TODA, TORA in metres for each direction of each runway, including
intersection take-off if applicable.
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5
To be specified: approval of the runway for non-instrument, instrument, non-precision approach. In case
of precision approach (-es) it is to be indicated, which of the following precision approach (-es) is (are)
approved:
— Standard Category I;
— Lower than Standard Category I;
— Precision Approach Category II;
— Other than Standard Category II;
— Precision Approach Category III-A;
— Precision Approach Category III-B;
— Precision Approach Category III-C.
6
To be specified: Aerodrome Reference Code (Code number/Code letter).
7
To be specified: the approved type of aeroplanes that exceed the code letter and/or outer main gear
wheel span of the certified design characteristics of the aerodrome with a higher code letter than
indicated in point 7 above.
8
To be specified: the name of the service provider, both in case such services are t or are not provided by
the aerodrome operator.
9
To be specified: the rescue and firefighting level of protection as per Annex IV ( Part-ADR.OPS) of this
Regulation.
10
To be specified: any other information that the Competent Authority finds necessary to include.
Rationale
See the rationale provided for ADR.OPS.B.090.
Rationale
See the rationale provided for ADR.OPS.B.090.
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(1) organise, coordinate and implement programmes to promote safety at the aerodrome.
Such programmes should include, but are not limited to:
(i) runway safety, including runway incursion and excursion prevention;
(ii) apron safety; and
(iii) FOD prevention;
(2) coordinate and promote the exchange of information, and the joint investigation of
occurrences, serious incidents, and accidents.
(b) The aerodrome operator should establish, coordinate, and lead local aerodrome safety
committees, and a Local Runway Safety Team, dealing with runway safety, apron safety, and
the safety of the operations at the aerodrome in general. All relevant organisations operating
or providing services at the aerodrome should participate to such aerodrome safety committees
and the Local Runway Safety Team.
The local aerodrome safety committees and the Local Runway Safety Team should convene
regularly, identify and review local safety issues, and examine possible solutions, and need for
action. Minutes of such meetings should be kept. Procedures relevant to the functioning of local
aerodrome safety committees and the Local Runway Safety Team should be included in the
aerodrome manual.
Rationale
The AMC is deleted because the content is transferred to the revised implementing rule ADR.OR.D.027.
Rationale
The Local Runway Safety Team (LRST) is important to support the aerodrome operator to enhance
runway safety. Currently, the composition of the LRST is only a GM, therefore the participation of some
key organisations is not ensured. For this reason, the content of GM2 ADR.OR.D.027 with regard to the
composition of the LRST is transferred to an AMC.
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(a) The aerodrome operator should establish (a) Manoeuvring area/Apron Safety Committees;
(b) Participation should include, but not limited to representatives of:
(1) aerodrome users active in flight operations;
(2) groundhandling service providers;
(3) aerodrome rescue and firefighting services;
(4) aerodrome operations;
(5) aerodrome wildlife management;
(6) aerodrome maintenance;
(7) air traffic services provider(s); and
(8) organisation(s) responsible for the provision of AMS, if established.
Rationale
The Manoeuvring Area/Apron Safety Committee is an important tool for the aerodrome operator to
enhance operational safety. The composition of the Committee is currently contained in a GM,
therefore, the participation of some key organisations is not ensured. For this reason, the content of
GM1 ADR.OR.D.027 concerning the composition of the Manoeuvring Area/Apron Safety Committee is
transferred to an AMC.
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Rationale
The tasks of the LRST are currently described in GM2 ADR.OR.D.027, however, this does not ensure
that all these tasks are taken into consideration. The option to define the tasks at rule level is not
appropriate considering the consultative role of the LRST and to allow some flexibility for the
implementation.
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(2) The Manoeuvring area/Apron Safety Committee(s) should have an advisory role to the
aerodrome operator;
(b) Management of Manoeuvring area /Apron Safety Committee(s)
(1) The Manoeuvring area /Apron Safety Committee(s) should be chaired by an aerodrome
operator’s official, responsible for aerodrome operations; and
(2) The aerodrome operator’s safety manager should act as the secretary of the
Committee(s).
(c) Composition of Manoeuvring area /Apron Safety Committee(s)
Participation should include, but not limited to representatives of:
(1) aerodrome users active in flight operations;
(2) aircraft ground handling services providers;
(3) aerodrome rescue and firefighting services;
(4) aerodrome operations;
(5) aerodrome wildlife management;
(6) aerodrome maintenance; and
(7) air navigation service provider(s).
(d) Tasks
The tasks of the Manoeuvring area /Apron Safety Committee(s) should be:
(1) to receive and evaluate reports on operational safety issues;
(2) to receive reports and statistical information on accidents and incidents, and propose
solutions;
(3) to advise on manoeuvring area/apron safety issues such as:
(i) promotion of apron safety discipline;
(ii) FOD prevention;
(iii) developing measures for safe operations;
(iv) considering actions to resolve manoeuvring area/apron safety problems;
(v) apron equipment issues;
(vi) adherence to vehicle traffic issues;
(vii) new and/or updated safety instructions;
(viii) personal protective clothing/equipment issues;
(ix) methods to develop and promote apron safety awareness initiatives,
(x) snow and ice clearance issues;
(xi) proposed aerodrome works;
(xii) proposed changes/developments to the movement area;
(xiii) standard operating procedures, etc.
Rationale
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7 The ‘protected area of a surface designated for the landing and take-off of aircraft’ is to be interpreted as the physical surface of a
runway, from the centreline to the holding point appropriate to the type of runway. Where operations are being conducted during
low visibility operations this should be the holding point appropriate to the procedures in force. The ‘protected surface’ includes the
ILS glide-path and localiser critical areas at all times, and the ILS sensitive areas during low visibility procedures.
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other relevant lessons learned e.g. from operational experience and best risk mitigation
practices; sharing good practices to prevent runway incursions or excursions;
(4) assisting in verifying that communications between air traffic controllers, or other Air
Traffic Services personnel, pilots, and vehicle drivers are satisfactory, or if any
improvements could be suggested;
(5) making observations on a regular basis in different weather and light conditions to assess
whether all runway entrances and visual aids are adequate, correctly located and
understandable by all parties concerned, with no possible ambiguity of their meaning, or
identify potential aerodrome design issues;
(6) understanding the operating difficulties of personnel working in other areas, and
recommending areas for improvement; when reviewing operating procedures it is
necessary to ensure that the procedures employed by different companies at the
aerodrome are integrated and effective, so as to minimise the risk of runway incursions.
Care should be taken when examining existing or proposed runway capacity enhancing
procedures or noise abatement schemes involving runway preferential systems;
(7) development of joint, initial and recurrent, training programmes and familiarisation on
runway incursion and excursion prevention, for all relevant personnel (vehicle drivers and
other personnel operating on the manoeuvring area, pilots, Air Traffic Services
personnel); this may include visits to the manoeuvring area to increase awareness of the
aerodrome layout, markings, signs, position of anemometers etc., where this is
considered necessary;
(8) providing advice prior to the implementation of changes to the aerodrome, practices and
procedures to identify potential for runway incursion or excursion; and
(9) assessing the effectiveness of implemented operational solutions periodically.
Rationale
The GM is deleted and the content is transferred to AMC1 ADR.OR.D.027(a);(b)(2) and
AMC1 ADR.OR.D.027(d)(1);(d)(2).
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Figure 1
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Figure 2
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Figure 3
Rationale
The content of the GM is split to GM1 ADR.OPS.B.095(b) and GM1 ADR.OPS.B.09(c) under
ADR.OPS.B.095.
Rationale
See the rationale provided for ADR.OPS.B.090.
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(c) Taxiway
(1) Designation;
(2) Width; and
(3) Surface type.
(d) Apron
(1) Surface type; and
(2) Aircraft stands.
(e) The boundaries of the air traffic control service;
(f) Clearway
(1) length to the nearest metre or foot; and
(2) ground profile.
(g) Visual aids for approach procedures, marking and lighting of runways, taxiways and aprons,
other visual guidance and control aids on taxiways and aprons, including runway holding
positions, intermediate holding positions and stopbars, and location and type of visual docking
guidance systems;
(h) Location and radio frequency of any VOR aerodrome checkpoint;
(i) Location and designation of standard taxi-routes;
(j) Distances to the nearest metre or foot of localiser and glide path elements comprising an
instrument landing system (ILS) or azimuth and elevation antenna of a microwave landing
system (MLS) in relation to the associated runway extremities;
(k) The geographical coordinates of:
(1) each threshold;
(2) appropriate taxiway centre line points; and
(3) each aircraft stand;
are measured and reported to the aeronautical information services in degrees, minutes,
seconds and hundredths of seconds.
STRENGTH OF PAVEMENTS
(a) The bearing strength of a pavement intended for aircraft of apron (ramp) mass greater than
5 700 kg should be made available using the aircraft classification — pavement classification
number (ACN–PCN) method, by reporting all of the following information:
(1) the pavement classification number (PCN);
(2) pavement type for ACN-PCN determination;
(3) subgrade strength category;
(4) maximum allowable tire pressure category or maximum allowable tire pressure value;
and
(5) evaluation method.
(b) For the purposes of determining the ACN, the behaviour of a pavement should be classified as
equivalent to a rigid or flexible construction;
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(c) Information on pavement type for ACN-PCN determination, subgrade strength category,
maximum allowable tire pressure category and evaluation method, should be reported using
the following codes:
(1) Pavement type for ACN-PCN determination:
(i) Rigid pavement: Code R;
(ii) Flexible pavement: Code F;
(2) Subgrade strength category:
(i) High strength: characterised by K = 150 MN/m3 and representing all K values above
120 MN/m3 for rigid pavements, and by CBR = 15 and representing all CBR values
above 13 for flexible pavements — Code A;
(ii) Medium strength: characterised by K = 80 MN/m3 and representing a range in K of
60 to 120 MN/m3 for rigid pavements, and by CBR = 10 and representing a range
in CBR of 8 to 13 for flexible pavements — Code B;
(iii) Low strength: characterised by K = 40 MN/m3 and representing a range in K of 25
to 60 MN/m3 for rigid pavements, and by CBR = 6 and representing a range in CBR
of 4 to 8 for flexible pavements — Code C;
(iv) Ultra low strength: characterised by K = 20 MN/m3 and representing all K values
below 25 MN/m3 for rigid pavements, and by CBR = 3 and representing all CBR
values below 4 for flexible pavements — Code D;
(3) Maximum allowable tire pressure category:
(i) Unlimited: no pressure limit — Code W;
(ii) High: pressure limited to 1.75 MPa — Code X;
(iii) Medium: pressure limited to 1.25 MPa — Code Y;
(iv) Low: pressure limited to 0.50 MPa — Code Z;
(4) Evaluation method:
(i) Technical evaluation: representing a specific study of the pavement characteristics
and application of pavement behaviour technology — Code T;
(ii) Using aircraft experience: representing a knowledge of the specific type and mass
of aircraft satisfactorily being supported under regular use — Code U;
(d) The bearing strength of a pavement intended for aircraft of apron (ramp) mass equal to or less
than 5 700 kg, should be reported by reporting the following information:
(1) maximum allowable aircraft mass; and
(2) maximum allowable tire pressure.
PRE-FLIGHT ALTIMETER CHECK LOCATION
(a) One or more pre-flight altimeter check locations should be established.
(b) The elevation of a pre-flight altimeter check location should be given as the average elevation,
rounded to the nearest metre or foot, of the area on which it is located. The elevation of any
portion of a pre-flight altimeter check location should be within 3 m (10 ft) of the average
elevation for that location.
(c) Pre-flight check location could be located on an apron. Locating a pre-flight altimeter check
location on an apron enables an altimeter check to be made prior to obtaining taxi clearance
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and eliminates the need for stopping for that purpose after leaving the apron. Normally an
entire apron could serve as a satisfactory altimeter check location.
DECLARED DISTANCES
(a) The following distances should be calculated to the nearest metre or foot for a runway and
reported to the aeronautical information services and Air Traffic Services:
(1) Take-off run available (TORA);
(2) Take-off distance available (TODA);
(3) Accelerate stop distance available (ASDA); and
(4) Landing distance available (LDA).
(b) The take-off run available (TORA), take-off distance available (TODA), accelerate stop distance
available (ASDA) and landing distance available (LDA) should be calculated according to the
following (all declared distances are illustrated for operations from left to right):
(1) Where a runway is not provided with a stopway or a clearway and the threshold is located
at the extremity of the runway, the four declared distances should normally be equal to
the length of the runway
Figure 1
(2) When a runway is provided with a clearway (CWY), then the TODA will include the length
of clearway.
Figure 2
(3) Where a runway is provided with a stopway (SWY), then the ASDA will include the length
of stopway.
Figure 3
(4) Where a runway has a displaced threshold, then the LDA will be reduced by the distance
the threshold is displaced. A displaced threshold affects only the LDA for approaches
made to that threshold; all declared distances for operations in the reciprocal direction
are unaffected.
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Figure 4
(5) Where a runway is provided with more than one of the clearway, stopway, or having a
displaced threshold, then more than one of the declared distances will be modified. The
modification will follow the same principle as in (1)–(4)
Figure 5
(c) The information on declared distances should be provided according to the following table:
Figure 6
If a runway direction cannot be used for take-off or landing, or both because it is operationally
forbidden, then this should be declared and the words ‘not usable’ or the abbreviation ‘NU’
entered.
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(d) When intersection take-offs are performed, the datum line from which the reduced runway
declared distances for take-off are determined, should be defined by the intersection of the
downwind edge as shown in the figure below:
Figure 7
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(a) Whenever an operational runway is contaminated by snow, slush, ice or frost, the runway
surface condition should be assessed and reported. Runway condition assessment should be
repeated as conditions change.
(b) The contaminant type, distribution, and for loose contaminants, depth for each third of the
runway, should be assessed. An indication of surface friction characteristics is helpful in
conducting runway condition assessment however caution should be exercised when
correlating the results obtained by friction measuring equipment with aircraft performance.
Additionally, for contaminants such as slush, wet snow and wet ice, contaminant drag on the
equipment’s measuring wheel, amongst other factors, may cause readings obtained in these
conditions to be unreliable.
(c) Assessment of the friction of a runway should be made in descriptive terms of ‘estimated
surface friction’. The estimated surface friction should be categorised as good, medium to good,
medium, medium to poor, and poor, and promulgated in SNOWTAM format as well as using
appropriate RTF phraseologies.
(d) The estimated surface friction, based on the measured coefficient, when the runway is covered
by compacted snow or ice only, could be reported according to the following table (indicative),
although these values may vary due to the friction measuring device as well as to the surface
being measured and the speed employed:
Measured Coefficient (μ) Estimated surface friction Code
0.40 and above Good 5
0.39 to 0.36 Medium to good 4
0.35 to 0.30 Medium 3
0.29 to 0.26 Medium to poor 2
0.25 and below Poor 1
Table 2
(e) Assessed surface condition information, including estimated surface friction, should be
reported for each third of a runway. The thirds are called A, B and C;
(1) For the purpose of reporting information to aeronautical service units, Section A should
always be the section associated with the lower runway designation number;
(2) When giving landing information to a pilot before landing, the sections should be referred
to as first, second or third part of the runway. The first part should always mean the first
third of the runway as seen in the direction of landing;
(3) Assessments should be made along two lines parallel to the runway, i.e. along a line on
each side of the centreline approximately 3 m, or that distance from the centreline at
which most operations take place. The objective of the assessment is to determine the
type, depth and coverage of the contaminants and its effect on estimated surface friction
given the prevailing weather conditions for sections A, B and C;
(4) In cases where a continuous friction measuring device is used, the mean values are
obtained from the friction values recorded for each section;
(f) Whenever dry snow, wet snow, slush ice or frost is present and reported, the description of the
runway surface condition should use the following terms:
(1) dry snow;
(2) wet snow;
(3) compacted snow;
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Rationale
The GM transposes the note to 2.3 Aerodrome and runway elevations in ICAO Annex 14 Chapter 2.
(b) Different PCNs may be reported if the strength of the pavement is subject to significant seasonal
variation.
Rationale
Point (a) transposes the note to ICAO Annex 14 Standard 2.6.2 and point (b) transposes the note to
Standard 2.6.3.
By adopting the layered elastic analysis (LEA) within the pavement rating system, the subgrade
strength categories are designated with the modulus of elasticity (E modulus).
REPORTING OF COMPOSITE OR NON-STANDARD PAVEMENTS
The following examples illustrate how pavement strength data are reported under the ACN-PCN
method:
Example 1
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If the bearing strength of a composite pavement, behaving like a flexible pavement and resting on a
high strength subgrade, has been assessed by using aircraft experience to be PCN 50 and the maximum
tyre pressure allowable is 1.25 MPa, then the reported information would be:
PCN 80 / R / B / W / T
Example 2
If the bearing strength of a composite pavement, behaving like a flexible pavement and resting on a
high strength subgrade, has been assessed by using aircraft experience to be PCN 50 and the maximum
tyre pressure allowable is 1.25 MPa, then the reported information would be:
PCN 50 / F / A / Y / U
Example 3
If the bearing strength of a flexible pavement, resting on a medium strength subgrade, has been
assessed by technical evaluation to be PCN 40 and the maximum allowable tyre pressure is 0.80 MPa,
then the reported information would be:
Example 4
If a pavement is subject to a B747-400 all-up mass limitation of 390 000 kg, then the reported
information would include the following note:
Note.— The reported PCN is subject to a B747-400 all-up mass limitation of 390 000 kg.
Rationale
The GM provides examples of reporting the PCN values.
Different PCRs may be reported if the strength of the pavement is subject to significant seasonal
variation.
Rationale
The GM transposes the note to ICAO Annex 14 Standard 2.6.3, as revised in Amendment 15.
If the actual construction of the pavement is composite or non-standard, include a note as in Example
2 in GM1 ADR.OPS.A.090(c).
Rationale
The GM transposes the note to ICAO Annex 14 Standard 2.6.6 (a) as revised in Amendment 15.
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Rationale
The AMC transposes ICAO Annex 14 Recommendation 2.7.2.
(b) Normally an entire apron can serve as a satisfactory altimeter check location.
Rationale
The GM explains the reason for selecting the pre-flight altimeter check location on an apron. It is based
on Notes 1 and 2 to ICAO Annex 14 Recommendation 2.7.2.
The capability of the aerodrome operator to remove a disabled aircraft may be expressed in terms of
the largest type of aircraft which the aerodrome is equipped to remove.
Rationale
There is no standard method for reporting the capability of the aerodrome operator for disabled
aircraft removal, however, the GM provides more information on how this could be done. The GM is
based on the Note to ICAO Annex 14 Recommendation 2.10.2.
Changes in the level of protection from that normally available at the aerodrome could result from a
change in the availability of extinguishing agents, equipment to deliver the agents, or personnel to
operate the equipment, etc.
Rationale
The GM is based on the Note to ICAO Annex 14 Standard 2.11.3 and provides information concerning
the cases where a change to the level of protection may be necessary.
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State entity or combination of both. However, the aerodrome operator, being responsible for the
operation of the aerodrome should have arrangements and interfaces with these organisations or
entities to ensure that these services are provided according to the legal requirements. The method
described above meets with the intention of an integrated Safety Management System that helps the
aerodrome operator to ensure the safety objective of the service provision is being met. In completing
this action, the aerodrome operator should hereby been seen to discharge its responsibility by
employing the procedures mentioned above, furthermore, the aerodrome operator should not be
understood to be directly responsible or liable for non-compliances by another entity involved in the
arrangement.
Rationale
The GM is deleted because the relevant implementing rule is deleted.
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(ii) coordinate all aerodrome operations with the air traffic services units for
continuation of aircraft operations, when possible;
(iii) determine any obstacles in accordance with clearance criteria found in
CS-ADR-DSN, and, as a result, consider whether any part of the movement area
should be closed;
(iv) provide for security of the accident site and coordinate with the safety
investigation authority on measures to be taken before the aircraft removal
operation is initiated;
(v) provide advance vehicles and personnel to escort airline equipment to the site;
(vi) establish a removal command post at the site, if considered necessary;
(vii) inspect all areas prior to resumption of normal aircraft operations;
(viii) convene a removal operation debriefing of all interested parties. The debriefing
may include a review of safety investigation authority requirements, the
coordinator’s chronological report, and a discussion of the procedures and
equipment used during the recovery operation. It may be desirable that all aircraft
operators, especially those operating the same type of equipment, be invited to
attend; and
(ix) amend the disabled aircraft removal plan to overcome problems identified from
the above paragraph.
(2) Aerodrome coordinator of disabled aircraft removal operations. List the actions that are
expected to be taken by the aerodrome coordinator when implementing the plan such
as:
(i) convene a meeting with the aircraft operator representative, safety investigation
authority, representatives of resident oil companies, heavy equipment contractors
and other parties, as necessary, to discuss the most appropriate removal operation
and agree upon a broad plan of actions:
— escort routes between the aircraft operator’s area and the accident site;
— defueling to lighten the mass of the aircraft;
— requirements and availability of equipment for the removal of the aircraft;
— use of the aerodrome and aircraft operator’s equipment;
— dispatch of aircraft operator ancillary support devices to the scene;
— weather conditions, particularly when a crane-lifting or pneumatic lifting-
bag operation is necessary;
— lighting of the site;
— a contingency plan, should difficulties develop in the initial plan; and
(ii) provide for a rescue and fire fighting vehicle, when necessary;
(iii) supervise the aerodrome personnel and equipment assigned to the removal
operation;
(iv) make decisions on behalf of the aerodrome operator, as necessary, to expedite the
removal of the disabled aircraft;
(v) report further penetrations of the obstacle limitation surfaces due to the
manoeuvring of cranes or other equipment during the lifting of the aircraft;
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disabled aircraft possess a level of proficiency that allows them to control a safe aircraft
removal operation aircraft.
(2) Access routes. Include information on access routes to any part of the aerodrome
including, if required, special routes for cranes to avoid power lines. A grid map may be
useful for this purpose.
(3) Security. Define a means of maintaining security for the aircraft removal operation.
(4) Aircraft removal equipment kits. Describe arrangements for the rapid receipt of aircraft
removal equipment kits available from other airports.
(5) Aircraft data. Describe arrangements to make available, at the aerodrome,
manufacturer’s data pertaining to aircraft removal for the various types of aircraft that
normally use the aerodrome.
(6) Aircraft defueling. Describe arrangements with the resident oil companies to ensure that
the defueling, storage, and disposal of the aircraft fuel, including contaminated fuel, can
be done at short notice.
(7) Responsible representatives. List names, addresses, and telephone numbers of
responsible representatives of each aircraft operator, as well as of the nearest
representatives of aircraft and engine manufacturers.
Rationale
See the rationale provided for ADR.OPS.B.011.
(a) The aerodrome operator should ensure that the work planning procedure provides for the
planning and coordination of works on the movement area;
(b) The aerodrome operator, during the planning process, should involve, where appropriate,
affected stakeholders such as air traffic services providers, organisations responsible for the
provision of AMS, if established, aircraft operators and organisations responsible for the
provision of groundhandling services to review the requirements for the safe operations of the
aerodrome during the proposed works.
Rationale
The proposed AMC is based on provision 4.3.2 in Chapter 4 (Work in progress) of ICAO Doc 9981 ‘PANS-
Aerodromes’.
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Rationale
The AMC is based on provisions 4.3.3. and 4.3.4 in Chapter 4 (Work in progress) of ICAO Doc 9981
‘PANS-Aerodromes’. Furthermore point (b) clarifies that regular maintenance works may be subject to
a general safety assessment that covers the respective maintenance activity.
(a) The aerodrome operator, prior to the commencement of works, should provide a works
authorisation document to the party conducting the works.
(b) The authorisation document should contain specific permissions and conditions, which are
already agreed between the aerodrome operator and the involved organisations. The party
conducting the works should communicate the document to any sub-contractors involved.
Rationale
The AMC is based on provision 4.3.7 in Chapter 4 (Work in progress) of ICAO Doc 9981 ‘PANS-
Aerodromes’.
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(1)
unserviceability markers are displayed whenever any portion of a taxiway, apron, or
holding bay is unfit for the movement of aircraft but it is still possible for aircraft to bypass
the area safely;
(2) on a movement area used at night, unserviceability lights should be used;
(3) unserviceability markers and lights are placed at intervals sufficiently close so as to
delineate the unserviceable area. When lights are used to mark temporary unserviceable
areas at night or during reduced visibility conditions, these lights should mark the
extremities of the area. A minimum of four such lights should be used, except where the
area is triangular in shape where a minimum of three lights may be used. The number of
lights should be increased when the area is large or of unusual configuration. At least one
light should be installed for each 7.5 m of peripheral distance of the area. If the lights are
directional, they should be orientated so that, as far as possible, their beams are aligned
in the direction from which aircraft or vehicles will approach. Where aircraft or vehicles
will normally approach from several directions, consideration should be given to adding
extra lights or using omnidirectional lights to show the area from these directions.
(4) unserviceability markers consist of conspicuous upstanding devices such as flags, cones,
or marker boards;
(5) unserviceability markers and lights meet the specifications described in
CS ADR.DSN.R.870;
(6) existing markings leading into a worksite are masked or the route is closed; and
(7) existing aeronautical ground lighting and signs leading into the worksite are extinguished
or masked on the movement area when used at night or low visibility.
CLOSED RUNWAYS AND TAXIWAYS, OR PARTS THEREOF
(b) The aerodrome operator should ensure that:
(1) a closed marking as defined in CS ADR-DSN.R.855(c) is displayed on a temporarily closed
runway, or taxiway, or a portion thereof, except that such a marking may be omitted
when the closing is of short duration and adequate warning by air traffic services is
provided;
(2) on a runway, a closed marking is placed at each end of the runway, or portion thereof,
declared closed, and additional markings are so placed that the maximum interval
between markings does not exceed 300 m. On a taxiway, a closed marking is placed at
each end of the taxiway or portion thereof closed;
(3) when a runway, or a taxiway, or portion thereof is permanently closed, all normal runway
and taxiway markings are obliterated;
(4) lighting on a closed runway or taxiway, or a portion thereof is not operated, except as
required for maintenance purposes; and
(5) in addition to closed markings, when the runway, taxiway, or portion thereof is closed
and is intercepted by a usable runway or taxiway which is used at night, unserviceability
lights as defined in CS ADR-DSN.R.870(c) should be placed across the entrance to the
closed area at intervals not exceeding 3 m.
WORKSITE RETURN TO OPERATIONAL USE
(c) The procedure for returning the worksite to operational use should include at least the
following:
(1) the removal from the worksite of personnel, vehicles, plants and unserviceability lights
and markers;
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(2)
the inspection of the affected areas for operational serviceability including the condition
of pavements, signs and markings, presence of FOD or surface contaminants such as dirt,
sand, or loose objects; and
(3) the notification of relevant authorities or affected organisations, using suitable means of
communication, including the cancellation of relevant NOTAMs.
(4) the use of appropriate checklists to record relevant actions.
RUNWAY PAVEMENT OVERLAYS
(d) The aerodrome operator should ensure that:
(1) when a runway is to be returned temporarily to an operational status before resurfacing
is complete, the longitudinal slope of the temporary ramp, measured with reference to
the existing runway surface or previous overlay course, should be:
(i) 0.5 to 1.0 %for overlays up to and including 5 cm in thickness; and
(ii) not more than 0.5 % for overlays more than 5 cm in thickness.
(2) Before a runway being overlaid is returned to a temporary operational status, a runway
centre line marking, conforming to the applicable specifications included in the
aerodrome certification basis of the aerodrome, should be provided.
(3) The location of any temporary threshold should be identified by a 3.6-m wide transverse
stripe.
Rationale
The AMC consolidates the existing AMC2 ADR.OPS.B.070, AMC3 ADR.OPS.B.070 and
AMC4 ADR.OPS.B.070. In addition, it elaborates further on the content of the procedure to return
worksite to operational use.
(a) The aerodrome operator should hold prior to start-up and during the works, regular site
meetings to ensure that safety requirements are met and possible conflicts between the works
and operations are resolved. Meetings should be documented. The following points should be
considered:
(1) safety awareness in relation to work on the movement area;
(2) protection of construction workers from aerodrome hazards, including jet blast;
(3) procedure for quickly summoning emergency responders in case of a fire, spill, accident,
or similar event; and
(4) operational briefings on the interaction of the works with the aerodrome operations (e.g.
runway(s) in use, expected visibility conditions, meteorological conditions, safety issues).
(b) The worksite control procedure established by the aerodrome operator should include, but not
limited, the following:
(1) all contractor’s drivers should be escorted by a qualified vehicle operator or undergo
appropriate driver training and testing in accordance with ADR.OPS.B.024;
(2) access routes should be agreed upon in advance and clearly identified to minimise
interference with operations on the aerodrome;
(3) possible changes to the existing road layout depending on the vehicle traffic levels;
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(4)
designation of staff access routes and if such routes do not exist, then a safety risk
assessment should be conducted to ensure that access can be safely achieved;
(5) hours of operation of the works;
(6) any service clearance checks (underground location of services) that needs to be
undertaken before work commences to ensure that cables or pipes are not damaged;
(7) smoking restrictions;
(8) description, monitoring and enforcement of hot work restrictions (possibly involving a
separate hot works permit);
(9) the requirement to use of lookouts and/or listening watch on the appropriate ATS
frequency;
(10) if cranes are used, appropriate lighting and operating height restrictions to avoid
infringement of obstacle limitation surfaces, obstacle protection surfaces, interference
with radio navigation aids, surface movement radar and line of sight of ATS tower;
(11) procedures for crossing taxiways, if required;
(12) adequate FOD and dust control measures that should be taken by all contractors to cover
all eventualities;
(13) requirement for vehicles entering or leaving the worksite to be cleaned to prevent mud
or debris being deposited in the movement area;
(14) provision of an appropriate alerting mechanism to suspend work activities, in case of
possible adverse meteorological conditions (e.g. lightning strikes, strong winds, snow) or
aircraft emergencies;
(15) measures to ensure that worksite floodlighting (light direction and/or height) does not
affect aircraft and ATS operation.
(c) Where significant changes to markings or lightings are being made, the aerodrome operator
should conduct a preliminary check to ensure that the changes have been correctly
implemented and are functioning as intended.
(d) The aerodrome operator should obtain feedback from the parties involved to ensure the
implementation of corrective actions, if necessary.
(e) The aerodrome operator should ensure that contractors have made available a point-of-contact
outside normal working hours.
Rationale
The AMC is based on Appendix 2 to Chapter 4 (Work in progress) of ICAO Doc 9981 ‘PANS-Aerodromes’.
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(d) Roles and responsibilities for operations and tasks associated with the reduction of runway
length available and the work in progress (WIP) are clearly understood and complied with.
(e) The aerodrome operator should put in place appropriate measures to monitor the safety of the
aerodrome and aircraft operations during aerodrome works such that timely corrective action
is taken when necessary to assure continued safe operations.
(f) The aerodrome operator should ensure the works site is returned to operational use in a safe
and timely manner by ensuring:
(1) the works site is cleared of personnel, vehicles, and plant in a safe and timely manner;
(2) The works-affected area is inspected for operational serviceability in accordance with the
hand-back procedures; and
(3) relevant authorities or organisations are notified of the restoration of aerodrome
serviceability in accordance with procedures, using suitable means of communication.
Rationale
The AMC is deleted and its content is transferred to AMC1 ADR.OPS.B.070(c)(1),
AMC1 ADR.OPS.B.070(c)(2), AMC1 ADR.OPS.B.070(c)(3) and AMC1 ADR.OPS.B.070(c)(6).
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(b) Unserviceability markers should consist of conspicuous upstanding devices such as flags, cones,
or marker boards.
(c) Unserviceability markers and lights should meet the specifications described in
CS ADR.DSN.R.870.
Rationale
The AMC is deleted and its content is transferred to AMC1 ADR.OPS.B.070(c)(5).
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(1) no work is taking place on the movement area without the knowledge of aerodrome
operator’s staff and air traffic services;
(2) permitted times of work are strictly followed; and
(3) all individuals taking part in the work are briefed in detail on the following:
(i) precise areas in which work may be done;
(ii) the routes to be followed to and from the working area;
(iii) the R/T procedures to be used;
(iv) the safety precautions to be observed , the maintenance of a listening watch and
the use of look-outs; and
(v) the reporting procedure to be followed on completion of work.
(c) At the conclusion of work, aerodrome operator’s staff, or other appropriate staff, should inspect
the working area to ensure that it has been left in a satisfactory condition.
Rationale
The GM is deleted and its content is transferred to AMC1 ADR.OPS.B.070(c)(1),
AMC1 ADR.OPS.B.070(c)(2), AMC1 ADR.OPS.B.070(c)(3) and AMC1 ADR.OPS.B.070(c)(6).
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(i) Where aircraft are constantly using areas open to contractors, inspections at frequent intervals
are required to ensure the continuing operational safety of the aerodrome.
(j) Adequate marking arrangements should be provided for crane jibs when extra conspicuity is
considered desirable.
(k) If work is of prolonged duration, a constant watch is required to ensure that the marking and
lighting of obstacles and unserviceable areas does not degrade below acceptable limits.
(l) The effect of tall cranes on ILS and radar, in conjunction with those responsible for electronic
landing aids and steps taken to reduce limitations to the minimum, should be considered.
Rationale
The GM is deleted and its content is transferred to AMC1 ADR.OPS.B.070(c)(1),
AMC1 ADR.OPS.B.070(c)(2), AMC1 ADR.OPS.B.070(c)(3) and AMC1 ADR.OPS.B.070(c)(6).
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(d) Threshold markings should be are painted as soon as possible, using temporary materials before
making them permanent.
Rationale
Change of numbering.
Rationale
The AMC is based on Appendix 1 to Chapter 4 (Works in progress) of ICAO Doc 9981 ‘PANS-
Aerodromes’.
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Rationale
The content of the GM is based on the Note to point 1.1(a) of Appendix 1 to Chapter 4 (Works in
progress) of ICAO Doc 9981 ‘PANS-Aerodromes’.
The location, size, and shape of the safety zone depends on the temporary configuration of the
runway, to provide for items such as RESA, jet blast protection and abbreviated or simple approach
lighting system.
Rationale
The content of the GM is based on the Note to point 1.1(c) of Appendix 1 to Chapter 4 (Works in
progress) of ICAO Doc 9981 ‘PANS-Aerodromes’.
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(i) the dimensions of the movement area (taxiway, holding bays, and aprons);
(ii) the aerodrome category for RFF;
(iii) ground movement and control (e.g. reduced clearance behind a longer aeroplane
holding at an apron or a runway/intermediate holding position to permit the passing of
another aeroplane);
(iv) de-icing facilities; and
(v) clearances at the aircraft stand.
(5) Fuselage width
(i) aerodrome category for RFF
(6) Fuselage height
(7) Nose characteristics
(i) location of the runway-holding position
(8) Tail height
(i) the location of the runway-holding position;
(ii) ILS critical and sensitive areas: In addition to the tail height of the critical aeroplane,
tail composition, tail position, fuselage height and length can have an effect on ILS
critical and sensitive areas;
(iii) de-icing/anti-icing facilities;
(iv) aeroplane parking position (in relation to aerodrome OLS);
(v) runway/parallel taxiway separation distances; and
(vi) the clearance of any aerodrome infrastructure or facilities built over stationary or
moving aeroplanes.
(9) Wing tip vertical clearance
(i) taxiway separation distances with height-limited objects;
(ii) apron and holding bay clearances with height-limited objects;
(iii) aerodrome signage clearances;
(iv) service road locations; and
(v) aerodrome maintenance services (e.g. snow removal);
(10) Cockpit view (cockpit height, cockpit cut-off angle and the corresponding obscured
segment)
(i) runway visual references (aiming point);
(ii) runway sight distance;
(iii) taxiing operations on straight and curved sections;
(iv) markings and signs on runways, turn pads, taxiways, aprons and holding bays;
(v) lights: in low visibility conditions, the number and spacing of visible lights when
taxiing may depend on the cockpit view; and
(vi) calibration of PAPI/VASIS (pilot eye height above wheel height on approach).
(11) Distance from the pilot’s eye position to the nose landing gear
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In accordance with ADR.AR.C.035 the certificate is considered to include the aerodrome’s certification
basis, the aerodrome manual, and, if relevant, any other operating conditions or limitations prescribed
by the Competent Authority and any Deviation Acceptance and Action Documents (DAAD).
Rationale
See the rationale provided for ADR.OPS.B.090.
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(b) maximum passenger and fuel carrying capacity — with regard to level of RFFS protection to be
provided and the aerodrome emergency planning.
Rationale
See the rationale provided for ADR.OPS.B.090.
Strategies to manage and mitigate the risk from hot spots, depending on the case, include, but are not
limited to the following:
(a) awareness campaigns;
(b) additional visual aids (signs, markings, and lighting);
(c) establishment of alternative routings;
(d) introducing changes to the design of parts of the aerodrome; and
(e) the mitigation of blind spots in the aerodrome control tower.
Rationale
The GM is based on the content of GM3 ADR.OR.D.027, which is deleted.
Examples of how hot spots are shown on charts are provided in Figures 1, 2, and 3 below.
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Figure 1
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Figure 2
Figure 3
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Rationale
The GM is based on the content of GM3 ADR.OR.D.027, which is deleted.
(a) Planned and unplanned events on an aerodrome can necessitate the temporary suspension of
runway operations for a short period of time or for a longer period of time.
(b) In the majority of cases, reasons for suspending runway operations are unplanned. Examples
may include:
(1) short-term removal of disabled aircraft or vehicle from the runway;
(2) presence of FOD on the runway;
(3) significant wildlife strikes on the runway;
(4) presence of an unauthorised UAS in the runway system;
(5) significant failure of runway lighting;
(6) ice control and snow removal operations;
(7) aircraft incident, e.g. tail strike , aborted take-off, tyre burst, etc.;
(8) full emergency or local stand-by.
Rationale
The GM is based on Attachment C to Chapter 8 (Runway Safety) of ICAO Doc 9981 ‘PANS-Aerodromes’.
Rationale
The GM is based on Attachment C to Chapter 8 (Runway Safety) of ICAO Doc 9981 ‘PANS-Aerodromes’.
The following actions should be completed if runway operations are recommenced following a
suspension or closure of runway operations:
(a) remedial works is completed, e.g. clearance of FOD, wildlife remains, runway lighting repair,
removal of disabled aircraft;
(b) a runway inspection under the authorisation of air traffic services is conducted;
(c) all vehicles and personnel have vacated the runway and report to the air traffic services;
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Rationale
The AMC is based on Attachment C to Chapter 8 (Runway Safety) of ICAO Doc 9981 ‘PANS-
Aerodromes’.
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be weakened by water. Where overload operations are conducted, the aerodrome operator
should review the relevant pavement condition regularly, and should review the criteria for
overload operations periodically, since repetition of overloads can cause severe shortening of
pavement life or require major rehabilitation of pavement.
Rationale
The AMC is based on the content of Attachment A, Section 20 in ICAO Annex 14 Volume I, as revised
by ICAO State Letter AN 4/1.2.28-20/35.
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4. Impact assessment (IA)
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5. Proposed actions to support implementation
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6. References
6. References
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7. Appendix
7. Appendix
N/A
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8. Quality of the document
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