CAD359
CAD359
CAD359
CAD 359
(LVO)
July 2011
(This document is re-issued in April 2013 with no change of content except the
new CAD logo.)
CONTENTS
Chapter Page
TERMINOLOGY .......................................................................................................................i
REFERENCE............................................................................................................................iv
CHAPTER 1 – APPLICABILITY.............................................................................................1
HONG KONG
TERMINOLOGY
(2) “Low Visibility Take-Off (LVTO)”. A take-off where the runway visual
range (RVR) is less than 400 m.
(3) “Decision Height (DH)”. Decision height is the wheel height above the
runway elevation by which a go-around must be initiated unless adequate
visual reference has been established and the aeroplane position and approach
path have been assessed as satisfactory to continue the approach and landing
in safety. In this manual, it refers to Height Above Threshold (HAT) which
is defined as the theoretical height above the runway threshold elevation.
A - intended for operations with a decision height lower than 100 ft,
minimum decision height of 50 ft and a runway visual range not less
than 175 m.
(6) “Alert Height (AH)”. The alert height is a specified radio height, based on
the characteristics of the aeroplane and its fail-operational landing system.
(8) “Fail-Passive flight control system”. A flight control system is fail-passive if,
in the event of a failure, there is no significant out-of-trim condition or
deviation of flight path or attitude but the landing is not completed
automatically. For a fail-passive automatic flight control system the pilot
assumes control of the aeroplane after a failure.
(i)
(9) “Fail-Operational flight control system”. A flight control system is
fail-operational if, in the event of a failure below alert height, the approach,
flare and landing, can be completed automatically. In the event of a failure,
the automatic landing system will operate as a fail-passive system.
(13) “Head-up guidance landing system (HUDLS)”. The total airborne system
which provides head-up guidance to the pilot during the approach and landing
and/or go-around. It includes all sensors, computers, power supplies,
indications and controls. A HUDLS is typically used for primary approach
guidance to decision heights of 50 ft.
(14) “Hybrid head-up display landing system (hybrid HUDLS)”. A system which
consists of a primary fail-passive automatic landing system and a secondary
independent HUD/HUDLS enabling the pilot to complete a landing manually
after failure of the primary system.
(ii)
(19) “GNSS landing system (GLS)”. An approach operation using augmented
GNSS information to provide guidance to the aircraft based on its lateral and
vertical GNSS position. (It uses geometric altitude reference for its final
approach slope).
(20) “Obstacle free zone (OFZ)”. A volume of airspace extending upwards and
outwards from an inner portion of the runway strip to specified upper limits
which is kept clear of all obstacles except for minor specified items.
(21) “ILS sensitive area” (LSA). An area extending beyond the critical area
where the parking and/or movement of vehicle, including aeroplanes, is
controlled to prevent the possibility of unacceptable interference to the ILS
signal during ILS operations. The sensitive area is protected to provide
protection against interference caused by large moving objects outside the
critical area but still normally within the aerodrome boundary.
(iii)
REFERENCE
Bibliography
EASA = European Aviation Safety AC = Advisory Circular
Agency CS-AWO = Certification Specifications
All Weather Operations
FAR = Federal Aviation Regulations
CAP = Civil Aviation Publications FAA = Federal Aviation
Administration
The operations:
a) Airworthiness
requirements
Category II
CS-AWO FAR-25
Category II and Category III
b) Flight crew qualifications EUOPS 1 Subpart (E) and FAR 121 Subparts N and O
and training TGL 44 and qualifications and
Appendices E and F
The aerodrome:
(iv)
All-Weather Operations – United Kingdom/Europe United States
areas in which rules are
required
2) Non-visual ICAO Doc 9365 (Manual of AC 150-5340-24,
All Weather Operations) 150-5340-4C, 150-5340-19
c) O
bstacle clearance CAP 168, Chapter 4 FAA Order 8260.3B
criteria (TERPS)
Certification and
authorization:
c) The aircraft operator ICAO Doc 9365 (Manual of FAA Order 8430.6C,
All Weather Operations) 8320.12, 8900.1
(v)
CHAPTER 1 – APPLICABILITY
The purpose of this handbook is to indicate the nature of the Hong Kong Civil
Aviation Department’s (CAD) requirements for lower than Standard Category
I, other than Standard Category II, Category II, IIIA, IIIB and IIIC operations
and for take-offs in low visibilities.
(b) the composition of the flight crew, their competence and experience;
(d) the adequacy and performance of the available visual and non-visual
ground aids;
(e) the equipment available on the aeroplane for the purpose of navigation
and/or control of the flight path, as appropriate, during the take-off, the
approach, the flare, the landing, roll-out and the missed approach;
(f) the obstacles in the approach, missed approach and the climb-out areas
required for the execution of contingency procedures and necessary
clearance;
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1.3.1 Each flight crew member:
1.3.2 The training and checking is conducted in accordance with a detailed syllabus
approved by the CAD and included in the Operations Manual; and
1.3.3 The flight crew qualification is specific to the operation and the aeroplane
type.
1.4.1 An operator must establish procedures and instructions to be used for Low
Visibility Take-Off, approaches utilising EVS, Lower than Standard
Category I, Other than Standard Category II, Category II and III, operations.
These procedures must be included in the Operations Manual and contain the
duties of flight crew members during taxiing, take-off, approach, flare, landing,
roll-out and missed approach as appropriate.
(a) The status of the visual and non-visual facilities is sufficient prior to
commencing a Low Visibility Take-Off, an approach utilising EVS, a
Lower than Standard Category I, an Other than Standard Category II,
or a Category II or III approach;
(c) The flight crew members are properly qualified prior to commencing a
Low Visibility Take-Off in an RVR of less than 400 m, an approach
utilising EVS, a Lower than Standard Category I, an Other than
Standard Category II or a Category II or III approach.
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1.5 Low visibility operations – Aerodrome considerations
1.5.1 An operator shall not use an aerodrome for Category II or III operations unless
the aerodrome is approved for such operations by the State in which the
aerodrome is located.
1.5.2 An operator shall verify that LVPs have been established, and will be enforced,
at those aerodromes where low visibility operations are to be conducted.
1.6.1 An operator shall not conduct Category II, Other than Standard Category II, or
Category III operations unless:
1.6.2 An operator shall not conduct Low Visibility Take-Offs in less than 400 m
RVR unless approved by the CAD.
1.6.3 An operator shall not conduct Lower than Standard Category I operations
unless approved by the CAD. In general the evaluation and approval process
as detailed in Section 6.3, where applicable, applies.
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1.7 Low visibility operations – Minimum equipment
1.7.1 An operator must include in the Operations Manual, where applicable, the
minimum equipment that has to be serviceable at the commencement of a Low
Visibility Take-Off, a Lower than Standard Category I approach, an Other
than Standard Category II approach, an approach utilising EVS, or a Category
II or III approach in accordance with the Aircraft Flight Manual (AFM) or
other approved document.
1.7.2 The PIC shall satisfy himself/herself that the status of the aeroplane and of the
relevant airborne systems is appropriate for the specific operation to be
conducted.
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CHAPTER 2 – THE AEROPLANE
2.1.1 The requirements to be met for the certification of Hong Kong registered
aeroplanes for Category II and III operations are specified in FAR-25 or
EASA CS-25/CS-AWO.
2.1.2 Aeroplanes not registered in Hong Kong will be accepted for Category II and
III operations provided that the certification by the State of Registry is based
on FAR-25 or EASA CS-25/CS-AWO or an equivalent standard.
2.2.1 The operator should carry out a proving programme to demonstrate that during
line service, the performance and reliability of the aeroplane and its systems
meet the criteria on which the airworthiness certification was based. For
aeroplanes registered in Hong Kong, this programme should be agreed in
detail with the Airworthiness Division of the CAD before it commences. For
aeroplanes not registered in Hong Kong, the operator should provide evidence
that a suitable programme has been satisfactorily completed. Further
information is available from CAD Airworthiness Division.
2.3.1 Category II
(b) Autothrust, unless it can be shown that speed control does not add
excessively to the crew work load.
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2.3.2 Category IIIA
(b) Autothrust.
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(b) Permanent change of category (maximum certificated landing mass)
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CHAPTER 3 – FLIGHT CREW TRAINING
3.1 General
An operator must ensure that flight crew member training programmes for low
visibility operations include structured courses of ground, flight simulator
and/or flight training. The operator may abbreviate the course content as
prescribed by subparagraphs 3.1.2 and 3.1.3 below provided the content of the
abbreviated course is acceptable to the CAD.
3.1.1 Flight crew members with no Category II or Category III experience must
complete the full training programme prescribed in subparagraphs 3.2, 3.3 and
3.4 below.
3.1.2 Flight crew members with Category II or Category III experience with a
similar type of operation (auto-coupled/auto-land, HUDLS/Hybrid HUDLS or
EVS) or Category II with manual land if appropriate with another public
transport operator may undertake an:
-8-
3.1.3 Flight crew members with Category II or Category III experience with the
operator may undertake an abbreviated ground, flight simulator and/or flight
training course.
(b) to a different variant of aeroplane within the same type or class rating
that has the same or similar:
-9-
3.1.4 An operator must ensure when undertaking Category II or Category III
operations with different variant(s) of aeroplane within the same type or class
rating that the differences and/or similarities of the aeroplanes concerned
justify such operations, taking account at least the following:
(ii) the Flight Management System and its integration or not with
the FGS;
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(e) the effects of precipitation, ice accretion, low level wind shear and
turbulence;
(l) the significance of decision heights based upon radio altimeters and the
effect of terrain profile in the approach area on radio altimeter readings
and on the automatic approach/landing system;
(m) the importance and significant of alert height, if applicable, and the
action in the event of any failure above and below the alert height;
(n) the qualification requirements for pilots to obtain and retain approval
to conduct Low Visibility Take-Offs and Category II or III operations;
and
3.3.1 An operator must ensure that flight simulator and/or flight training for low
visibility operations includes:
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(b) (i) monitoring of automatic flight control systems and auto land
status annunciators with emphasis on the action to be taken in
the event of failures of such system; and
(e) guidance on the visual cues required at decision height together with
information on maximum deviation allowed from glide path or
localiser; and
(f) the importance and significance of alert height if applicable and the
action in the event of any failure above and below the alert height.
3.3.2 An operator must ensure that each flight crew member is trained to carry out
his/her duties and instructed on the coordination required with other crew
members. Maximum use should be made of flight simulators.
3.3.3 Training must be divided into phases covering normal operation with no
aeroplane or equipment failures but including all weather conditions which
may be encountered and detailed scenarios of aeroplane and equipment failure
which could affect Category II or III operations. If the aeroplane system
involves the use of hybrid or other special systems (such as HUD/HUDLS or
enhanced vision equipment) then flight crew members must practise the use of
these systems in normal and abnormal modes during the flight simulator phase
of training.
3.3.5 For aeroplanes with no flight simulator available to represent that specific
aeroplane operators must ensure that the flight training phase specific to the
visual scenarios of Category II operations is conducted in a specifically
approved flight simulator. Such training must include a minimum of four
approaches. The training and procedures that are type specific shall be
practised in the aeroplane.
3.3.6 Initial Category II and III training shall include at least the following
exercises:
(a) approach using the appropriate flight guidance, autopilots and control
systems installed in the aeroplane, to the appropriate decision height
and to include transition to visual flight and landing;
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(b) approach with all engines operating using the appropriate flight
guidance systems, autopilots, HUDLS and/or EVS and control systems
installed in the aeroplane down to the appropriate decision height
followed by missed approach; all without external visual reference;
(d) normal operation of the applicable system both with and without
acquisition of visual cues at decision height.
(i) reversion to manual flight to control flare, landing and roll out
or missed approach; or
(d) failures of the systems which will result in excessive localiser and/or
glide slope deviation, both above and below decision height, in the
minimum visual conditions authorised for the operation; in addition, a
continuation to a manual landing must be practised if a head up display
forms a downgraded mode of the automatic system or the head up
display forms the only flare mode, and
3.3.8 The training programme must provide practice in handling faults which
require a reversion to higher minima.
3.3.9 The training programme must include the handling of the aeroplane when,
during a fail passive Category III approach, the fault causes the autopilot to
disconnect at or below decision height when the last reported RVR is 300 m or
less.
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3.3.10 Where take-offs are conducted in RVRs of 400 m and below, training must be
established to cover systems failures and engine failure resulting in continued
as well as rejected take-offs.
3.3.11 The training programme must include, where appropriate, approaches where
failures of the HUDLS and/or EVS equipment at low level require either:
3.3.12 An operator shall ensure that when undertaking Low Visibility Take-Off,
Lower than Standard Category I, Other than Standard Category II, and
Category II and III Operations utilising a HUD/HUDLS or hybrid
HUD/HUDLS or an EVS, that the training and checking programme includes,
where appropriate, the use of the HUD/HUDLS in normal operations during
all phases of flight.
3.4 Conversion
(a) A minimum of six (eight for HUDLS with or without EVS) approaches
and/or landings in a flight simulator, including at least one go-around.
The requirements for eight HUDLS approaches may be reduced to six
when conducting hybrid HUDLS operations. (see sub-paragraph
3.4.4(a) below)
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(b) Where no flight simulator is available to represent that specific
aeroplane, a minimum of three approaches (five for HUD and /or EVS)
including at least one go-around is required on the aeroplane. For
hybrid HUDLS operations a minimum of three approaches are required,
including at least one go-around.
3.4.3 Flight crew qualification. The flight crew qualification requirements are
specific to the operator and the type of aeroplane operated.
(a) The operator must ensure that each flight crew member completes a
check before conducting Category II or III operations.
3.4.4 Line flying under supervision. An operator must ensure that each flight crew
member undergoes the following line flying under supervision (LFUS):
(a) For Category II, a minimum of one autoland except that: when a
manual landing or HUDLS approach to touchdown is normally
required in the Aircraft Flight Manual (AFM), a minimum of three
landings from autopilot disconnect; or four landings with HUDLS used
to touch down; however, only one manual landing (two using HUDLS
to touchdown) is required when the training required in sub-paragraph
3.4.2 above had been carried out in a flight simulator qualified for zero
flight time conversion.
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(c) the flight crew member, trained and qualified in accordance with
paragraph (a) & (b) above, is qualified to operate during the conduct of
LFUS to the lowest approved DA(H) and RVR as stipulated in the
Operations Manual except that the first autoland is to be carried out in
weather conditions at, or above, Category I minima.
(b) 100 m must be added to the applicable Category II RVR minima when
the operation requires a Category II manual landing or use of HUDLS
to touchdown until:
(c) For HUDLS operations the sector requirement in paragraph 3.5.1 and
3.5.2 should always be applicable, the hours on type class does not
fulfill the requirement.
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3.5.3 A reduction in the command requirements (mentioned in subparagraphs 3.5.1
and 3.5.2) for flight crew who have previously had Category II or Category III
acceptable flight crew experience may be considered.
3.6.1 All low visibility take-off less than 400 m requires CAD approval.
3.6.2 An operator must ensure that a flight crew member has completed a check
before conducting Low Visibility Take-Offs in RVRs of less than 400 m.
3.7.2 An operator must ensure that the training required by subparagraphs 3.6.1 and
3.7.1 above is carried out in a flight simulator. This training must include the
use of any special procedures and equipment.
3.7.3 An operator must ensure that a flight crew member has completed a check
before conducting Low Visibility Take-Offs in RVRs of less than 150 m (less
than 200 m for Cateogry D aeroplanes). The check may only be replaced by
successful completion of the flight simulator and/or flight training prescribed
in subparagraph 3.6.1 on conversion to an aeroplane type.
3.7.4 Operator using HUD/EVS equipment wishing to conduct LVTO has to obtain
further approval from CAD.
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3.8 Recurrent training and checking – Low visibility operations
3.8.1 An operator must ensure that, in conjunction with the normal recurrent
training and operator proficiency checks, a pilot’s knowledge and ability to
perform the tasks associated with the particular category of operation, for
which he/she is authorised is checked. The required number of approaches
to be undertaken in the flight simulator within the validity period of the
operators proficiency check (of a six month training cycle) is to be a minimum
of two (four when HUDLS and/or EVS is utilised to touchdown), one of
which must be a landing at the lowest approved RVR; in addition one (two for
HUDLS and/or operations utilised EVS) of these approaches may be
substituted by an approach and landing in the aeroplane using approved
Category II and III procedures. One missed approach shall be flown during
the conduct of the operators proficiency check. If the operator is authorised
to conduct take-off with RVR less than 400 m at least one LVTO to the lowest
applicable minima shall be flown during the conduct of the operators
proficiency check.
3.8.2 For Category III operations an operator must use a flight simulator.
3.8.3 An operator must ensure that, for Category III operations on aeroplanes with a
fail passive flight control system, a missed approach is completed at least once
over the period of six consecutive operator proficiency checks as the result of
an autopilot failure at or below decision height when the last reported RVR
was 300 m or less.
3.8.4 The Authority may authorise recurrent training and checking for Category II
and LVTO operations in an aeroplane type where no flight simulator to
represent that specific aeroplane or an acceptable alternate is available.
Note: Recency for LVTO and Category II/III based upon automatic
approaches and/or auto-lands is maintained by the recurrent training and
checking as prescribed in this paragraph.
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3.9.2 Operators conducting Other than Standard Category II operations shall
comply with the requirements of Chapter 3 for Flight Crew Training
applicable to Category II operations to include the requirements applicable to
HUDLS ( if appropriate). The operator may combine these additional
requirements where appropriate provided that the operational procedures are
compatible. During conversion training the total number of approaches
required shall not be less than that required to complete Category II training
utilising a HUD/HUDLS. During recurrent training and checking the
operator may also combine the separate requirements provided the above
operational procedure requirement is met and that at least one approach using
Other than Standard Category II minima is conducted at least once every 12
months.
3.9.3 Operators conducting approach operations utilising EVS with visibility 800 m
(runway visibility 550 m) or less shall comply with the requirements of
Chapter 3 for Flight Crew Training applicable to include the requirements
applicable to HUD (if appropriate). The operator may combine these
additional requirements where appropriate provided that the operational
procedures are compatible. During conversion training the total number of
approaches required shall not be less than that required to complete Category
II training utilising a HUD. During recurrent training and checking the
operator may also combine the separate requirements provided the above
operational procedure requirement is met and that at least one approach
utilising EVS is conducted at least once every 12 months.
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CHAPTER 4 – OPERATING PROCEDURES
4.1 General
(b) auto-coupled approach to below DH, with manual flare, landing and
rollout;
Note 1 : A hybrid system may be used with any of these modes of operations.
4.2.1 The precise nature and scope of procedures and instructions given depend
upon the airborne equipment used and the flight deck procedures followed.
An operator must clearly define flight crew member duties during take-off,
approach, flare, roll-out and missed approach in the Operations Manual.
Particular emphasis must be placed on flight crew responsibilities during
transition from non-visual conditions to visual conditions, and on the
procedures to be used in deteriorating visibility or when failures occur.
Special attention must be paid to the distribution of flight deck duties so as to
ensure that the workload of the pilot making the decision to land or execute a
missed approach enables him/her to devote himself/herself to supervision and
the decision making process.
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4.2.2 An operator must specify the detailed operating procedures and instructions in
the Operations Manual. The instructions must be compatible with the
limitations and mandatory procedures contained in the Aeroplane Flight
Manual and cover the following items in particular:
(c) procedures for the take-off, approach, flare, landing, roll-out and
missed approach;
“approaching minimums,”
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key altitudes during flare, (e.g., 50, 30, 10) or AFGS mode
transitions (e.g., flare, rollout), and
(j) The requirement for all height calls below 200 ft to be based on the
radio altimeter and for one pilot to continue to monitor the aeroplane
instruments until the landing is completed. Any use of crew initiated
call-outs at altitudes below 100 ft during flare should ensure that the
call-outs do not require undue concentration of the non-flying pilot on
reading of the radar altimeter rather than monitoring the overall
configuration of the aircraft, mode switching, and annunciations.
Automatic altitude call-outs or tones are recommended for altitude
awareness, at least at and after passing DA(H).
(k) the requirement for the ILS Sensitive Area (LSA) to be protected;
(l) the use of information relating to wind velocity, wind shear, turbulence,
runway contamination and use of multiple RVR assessments;
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(o) information on excessive deviation alert and the maximum deviation
allowed from the ILS glide path and/or localiser:
(i) ILS localiser and glideslope signals are the primary means
currently used for the determination of deviation from the
desired path for Category II or III operations;
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CHAPTER 5 – AERODROME AND GENERAL OPERATING RULES
5.1 Aerodrome
(i) Air Traffic Control and Ground Movement Control. [e.g. availability
of Advanced Surface Movement Guidance & Control System
(A-SMGCS)].
The following criteria and requirements are related to Hong Kong aerodromes;
foreign aerodromes at which Hong Kong operators intend to use Category II or III
aerodrome operating minima are expected to meet similar standards.
The normal glidepath angle is three degrees. The runway may be unsuitable
for Category II or Category III operations if the glidepath angle is greater than
three degrees.
(a) Category II and III operations require enhanced aerodrome visual aids
(see ICAO Annex 14).
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(b) For a precision instrument runway, the runway striping has been
modified to make it easier to feel exactly how much runway remains.
The stripes are still at 500 feet intervals for the 3,000 feet from the
threshold. The HIRL or MIRL turns amber for the 2,000 feet closest
to the threshold. The centerline lighting has alternating red and white
lights from 3,000 feet to 1,000 feet to go, and has all red lights in the
1,000 feet closest to the threshold
The aerodrome should be suitably equipped and manned to provide the pilot
with meteorological information as laid down in ICAO Annex 3 and ICAO
PANS - RAC.
5.6.1 Special procedures for the control of air and ground traffic in low visibility are
required; such procedures are known as ATC Low Visibility Procedures
(LVP). They are additional to and dependent on normal ATC procedures and
are designed to satisfy the requirements of both Category II and III operations.
LVP will normally be implemented when the RVR reduces to less than 550
m or when the cloud ceiling lowers to less than 200 ft. However, in
deteriorating conditions an earlier decision to implement LVP may be made.
Responsibility for the initiation (and subsequent cancellation) of LVP, will
rest with ATC.
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5.6.3 There are two basic principles on which LVP are based, first that the Obstacle
Free Zone (OFZ) must remain free of obstacles during a Category II or III
operation, and second, that the ILS Sensitive Area (LSA) must be protected to
ensure the integrity of ILS signals. In practice, the LSA encompasses the
OFZ with respect to ground movements and so one set of procedures satisfies
both requirements.
5.6.4 When LVP are implemented all relevant aerodrome services are to be
informed. When the RVR or cloud ceiling requires the application of LVPs,
flight crews may assume that all promulgated aerodrome facilities are
available and that safeguarding checks are complete. Any deficiencies will
be notified to crews as soon as possible either by Radiotelephony or by arrival
/ departure terminal broadcasts (ATIS) and, if necessary, NOTAM.
5.6.5 The spacing between aeroplanes on final approach may have to be greater than
normal to allow landed aeroplanes to clear the LSA before approaching
aeroplanes reach 1 nm from touchdown. The aim will be to give landing
clearance by 2 nm. If landing clearance cannot be given by 2 nm, pilots will
be warned to expect ‘late landing clearance’ and the clearance to land or
instruction to initiate a missed approach will be given by 1 nm. Landed or
crossing traffic should clear the LSA without delay.
5.7.2 If an operator has different variants of the same type of aircraft utilizing the
same basic flight control and display systems, or different basic flight control
and display systems on the same type of aircraft, the operator must show that
the various variants have satisfactory performance, but the operator need not
conduct a full operational demonstration for each variant. The CAD may
also accept a reduction of the number of approach and landings based on
credit given for the experience gained by another operator with an AOC using
the same aeroplane type or variant and procedures.
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5.8 Data collection for operational demonstrations
Each applicant must develop a data collection method (e.g. a form to be used
by the flight crew) to record approach and landing performance. The
resulting data and a summary of the demonstration data shall be made
available to the CAD for evaluation.
5.10.1 After obtaining the initial authorisation, the operations must be continuously
monitored by the operator to detect any undesirable trends before they become
hazardous. Flight crew reports may be used to achieve this.
(a) The total number of approaches, by aeroplane type, where the airborne
Category II or III equipment was utilized to make satisfactory, actual
or practice, approaches to the applicable Category II or III minima; and
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CHAPTER 6 – CERTIFICATION AND AUTHORISATION
6.1.1 Approval of an aeroplane registered in Hong Kong for Category II and III
operations is effected by appropriate entries in the Flight Manual. The
aeroplane’s Certificate of Airworthiness remains valid for Category II and III
operations only so long as compliance is established and maintained with all
the conditions included in such entries.
6.2.1 The Hong Kong operator’s competence to adopt aerodrome operating minima
for Category II or III operations is regarded as part of his general competence
to secure the safe operation of the aeroplane and therefore subject to the
normal Air Operator’s Certificate procedure.
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6.4 CAT II/III Evaluation and Approval Process Flow Diagram
PHASE ONE
Operator prepares and formally submits a
Category II and/or III application for CAD
evaluation
If evaluation is
unsatisfactory,
CAD makes initial examination of the documents for completeness with respect to requirements return submission
Phase completed when CAD accepts submitted application to the operator for
Submission not correction and/or
terminate the
complete or not
phase
acceptable
PHASE TWO
CAD evaluates the formal submission for compliance
Begin planning Phase Three (if required)
CAD approves necessary CAT II/III training, avionics programs, manuals revisions, etc
Phase completed when results of CAD evaluation are satisfactory. New
If appropriate, CAD grants conditional approval or acceptance as required proposal
No
Another
demonstration
Is a demonstration Do results require another
required? demonstration or a new
proposal?
Yes
PHASE THREE
CAD plans for the conduct and observation of the Operator Use Suitability Demonstration (OUSD)
Phase completed when CAD evaluation of the operator’s demonstrated ability is acceptable Demonstration
unsatisfactory
PHASE FOUR
CAD approves the operator’s LVO program proposal by issuance of operations specifications, or a
Letter of Authorisation as applicable.
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6.5 Phase One
Phase One begins when the operator formally submits a CAT II and/or CAT
III application for CAD evaluation. The onus is on the operator to produce
these documents.
(a) The CAD inspector’s first action in Phase One is to evaluate the
operator’s submission to ensure that the proposal is clearly defined,
and the documentation specified in phase one has been provided.
This examination should be accomplished in conjunction with
Airworthiness Office. The required information must be complete
and detailed enough to permit a thorough evaluation of the operator’s
capability and competence to fully satisfy the applicable regulations,
and safe operating practices required to conduct CAT II/III operations.
(b) In complex cases, a meeting with the operator and its key personnel
may be necessary to resolve issues and agree on a mutually acceptable
solution. If mutual agreements cannot be reached, the CAD inspector
will terminate the meeting, inform the operator that the submission is
unacceptable, and return the submission.
Phase Two is the CAD detailed analysis, review, and evaluation of the
operator’s proposal.
(a) In Phase Two the CAD evaluation is focused on the form, content, and
technical quality of the submitted application to determine that the
information in the proposal meets the following criteria:
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(b) Criteria for evaluating the formal application is found in Chapter 3,
and follows the general guidance contained in the CAT II/III Job Aid.
The CAD inspector will ensure that the documents adequately
establish the operator’s capability and competence to safely conduct
CAT II/III operations in accordance with the submitted application.
(c) During Phase Two the CAD inspector will, address any deficiencies in
the submitted material before proceeding to subsequent phases.
Discussion with the operator may be sufficient to resolve certain
discrepancies or questions or to obtain additional information. It may
be necessary to return certain sections of the submission to the
operator for specific changes. The evaluation of the applicant
package is made easier by following the Job Aid below:
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Seeking Authorization for:
CAT II/III APPROVAL JOB AID
CAT II CAT IIIA
CAT IIIB CAT IIIC
OPERATOR NAME:
Date:
Previous CAT II: Yes No CAT III: Yes No
FLIGHT OPERATIONS Operator’s Reference
Document
1 OPERATOR PROCEDURES
1.A Type of Operation
1.B CAT II and CAT III Instrument Approach Procedures
1.C AFM/FOM/QRH Provisions, as applicable
1.D Crew Coordination and Monitoring Procedures
1.E Callouts
1.F Use of DA (H) and MDA (H)[Fail Passive])
1.G Use of Alert Height (AH)[Fail Active]
1.H Crew Briefings
1.I Configurations
1.J Non-Normal Operations and Procedures
1.K Special Environmental Considerations (as applicable)
1.L Continuing CAT II/III Approaches in deteriorating Weather
1.M Dispatch Planning and MEL/CDL Requirements
1.N Aircraft System Suitability Demonstration (as required)
1.O Operator Use Suitability Demonstration
1.P Data Collection/Analysis for Airborne System Demonstrations
1.Q Operational Procedure for Return to Service
2. CREW TRAINING AND CREW QUALIFICATION
2.A Initial Training
2.B Recurrent Training/Qualification
2.C Upgrade Training
2.D Requalification Training
2.E Recency of Experience
2.F Differences Training
2.G Simultaneous Training and Qualification for Cat II and III
2.H Ground Training Curriculum Segment
2.I Training of Surface Movement Guidance & Control
2.J Flight Training Curriculum Segment
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2.K Maneuvers and procedures Document
2.L Initial Qualification
2.M Low Visibility Takeoff Qualification
2.N Multiple Aircraft Type or Variant Qualification (as applicable)
2.O Special Qualification Airports (as applicable)
2.P High Limit Captain Procedures
2.Q Line Checks
2.R Crew Records and Notification System
2.S Advanced Qualification Program
3. AIRPLANE AND EQUIPMENT
3.A Airborne Systems for Cat II
3.B Airborne Systems for Cat III
3.C Automatic Flight control and Landing Systems
3.D Flight Director Systems
3.E Head up Display Systems (as applicable)
3.F Enhanced/Synthetic Vision Systems (as applicable)
3.G Hybrid Displays (as applicable)
3.H Required Navigation Performance (RNP)
4 OPERATIONS SPECIFICATIONS
4.A Approval of CAT II/III Minima and Issuance of Operations
Specifications
4.B Operations Specifications Amendments
5 OPERATOR’S DOCUMENT APPLICATION PACKAGE
5.A Aircraft Operations Manual (Pertinent parts)
5.B Flight Operations Manual (Pertinent parts)
5.C Compliance Documents
5.D Flight Operations Training Manual
5.E Requested Operations Specifications
5.F Implementation Timetable
5.G Minimum Equipment List (MEL)
5.H Operator Use Suitability Demonstration (OUSD) Plan
5.I Application Letter
NOTE:
(a) Most of the submitted materials evaluated during Phase Two (Training Programs,
Manuals, etc) shall be evaluated in accordance with the policy and requirement
contained in the applicable sections of this handbook.
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(d) An important aspect of Phase Two is for CAD inspectors to begin
planning the conduct of Phase Three. While evaluating the operator’s
formal submission, inspectors will begin to formulate plans to observe
and evaluate the operator’s ability to demonstrate their ability to
conduct CAT II/II operations. These plans must be finalized before
the actual demonstrations. Phase Two shall require that the CAD
approve certain programs before conducting actual line operations in
Phase Three. For example, in Phase Two the operator initiates CAD
approved CAT II/III training and must have the avionics and
airworthiness programs approved before conducting actual line
operations.
(a) The CAD inspector responsible for overseeing the demonstration will
evaluate any discrepancies in terms of its overall impact on the
operator’s ability and competency to conduct the proposed operation.
The CAD inspector will stop the demonstration in Phase Three when
gross deficiencies or unacceptable levels of performance are observed.
The CAD Inspector will identify the phase of the general process for
approval or acceptance to which the applicant must return, or decide to
terminate the process entirely when it is clear that continuation would
not result in approval or acceptance.
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(b) The purpose of the Operator Use Suitability Demonstration (OUSD) is
to demonstrate and validate the reliability and performance of Low
Visibility Operations (LVO) in line operations consistent with the
operational concepts specified in this publication. Demonstration
requirements are established considering any applicability of previous
operator service experience, experience with specific aircraft type by
other operators, experience of crews of that operator and other such
factors. The demonstration period should be at least six months long
for each phase (CAT II and CAT III) to permit the CAD to evaluate
the ability of the operator to maintain and operate its proposed LVO
operation. During the demonstration period at least 10 percent of the
required number of landings should be observed by an appropriately
qualified CAD inspector.
(d) For CAT III, with the DH less than 50 ft, at least 100 successful
landings should be accomplished, unless otherwise approved by the
CAD, in line operations using the low visibility landing system
installed in each aircraft type applicable to the CAT III authorization.
Demonstrations may be conducted in line operations, during training
flights, or during aircraft type or route proving runs. The
demonstration period should run for six months. Therefore, if an
operator seeks CAT II initially and then CAT III subsequently, the
total demonstration period will be 12 months.
(f) During the period, the operator must successfully complete a suitable
operations demonstration and data collection program in line service
for each type aircraft, as the final part of the approval process.
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(g) An Autoland Discrepancy Form will be used, during the
Demonstration Phase Three (OUSD) for the initial approval, by flight
crew to record all unsatisfactory autoland approaches. An
unsuccessful autoland is defined as follows:
(h) Apart from making a logbook entry, all unsatisfactory autoland should
be reported as a ASR to CAD for analysis/monitoring.
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AUTOLAND DISCREPANCY FORM
This form will be completed whenever an approach is attempted using the airborne low approach
system, regardless of whether the approach is abandoned or concluded successfully.
CAT II/III APPROACH EVALUATION
Other than CAT II CAT II CAT III Autoland Yes No
Pilot-in-Command (PIC)
Co-pilot
Rwy Wx Wind
APPROACH EVALUATION:
Auto-coupler
Flight director
ATC
AUTOLAND CRITERIA
Demonstration unsatisfactory
OR
Demonstration satisfactory
In Phase Four CAD approves the operator’s LVO program proposal. If the
proposal is not approved or accepted, the operator is notified in Phase Two or
Three. Approval is granted by issuance of operations specifications (to be
incorporated together with the AOC “Ops Specs”) and an Approval for LVO
as applicable.
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CHAPTER 7 – AERODROME OPERATING MINIMA
7.1.1 General.
(b) The PIC shall not commence take-off unless the weather conditions at
the aerodrome of departure are equal to or better than applicable
minima for landing at that aerodrome unless a suitable take-off
alternate aerodrome is available.
(c) When the reported meteorological visibility is below that required for
take-off and RVR is not reported, a take-off may only be commenced
if the PIC can determine that the RVR/visibility along the take-off
runway is equal to or better than the required minimum.
7.1.2 Visual reference. The take-off minima must be selected to ensure sufficient
guidance to control the aeroplane in the event of both a discontinued take-off
in adverse circumstances and a continued take-off after failure of the critical
power unit.
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RVR/visibility for take-off
Facilities RVR/visibility
(Note 3)
(Notes 1 and 2)
(Note 1)
Note 1: The higher values apply to Category D aeroplanes, unless paragraph 3.7 is
complied with.
Note 2: For night operations at least runway edge and runway end lights are
required.
Note 3: The reported RVR/visibility value representative of the initial part of the
take-off run can be replaced by pilot assessment.
Note 4: The required RVR value must be achieved for all of the relevant RVR
reporting points with the exception given in Note 3 above.
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7.1.4 Exceptions to subparagraph 7.1.3 (a) above:
The conduct of such operation by the operator using HUD/EVS system has to
obtain a separate approval from CAD. Subject to the approval of the CAD,
and provided the requirements in paragraphs (a) to (e) below have been
satisfied, an operator may reduce the take-off minima to 125 m RVR
(Category A, B and C aeroplanes) or 150 m RVR (Category D) aeroplanes
when:
(b) high intensity runway centreline lights spaced 15 m or less and high
intensity edge lights spaced 60 m or less are in operation;
(d) a 90 m visual segment is available from the cockpit at the start of the
take-off run; and
(e) the required RVR value has been achieved for all of the relevant RVR
reporting points.
(a) A decision height below 200 ft but not lower than 100 ft; and
7.2.2 Decision height. An operator must ensure that the decision height for a
Category II operation is not lower than:
(b) The minimum height to which the precision approach aid can be used
without the required visual reference;
(d) The decision height to which the flight crew is authorised to operate;
or
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7.2.3 Visual Reference. A pilot may not continue an approach below the Category
II decision height determined in accordance with subparagraph 7.2.2 above
unless visual reference containing a segment of at least THREE consecutive
lights being the centre line of the approach lights, or touchdown zone lights, or
runway centre line lights, or runway edge lights, or a combination of these is
attained and can be maintained. This visual reference must include a lateral
element of the ground pattern, i.e. an approach lighting crossbar or the landing
threshold or a barrette of the touchdown zone lighting.
7.2.4 Required RVR. The lowest minima to be used by an operator for Category II
operations are:
Category II minima
Note 1 : The reference to “auto-coupled to below DH” in this table means continued
use of the automatic flight control system down to a height which is not
greater than 80% of the applicable DH. Thus airworthiness requirements
may, through minimum engagement height for the automatic flight control
system, affect the DH to be applied.
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7.3 Precision Approach – Category III Operations
(i) A decision height lower than 100 ft; minimum decision height
of 50 ft and
(ii) No decision height and a runway visual range lower than 125 m
but not less than 50 m.
Note : Where the decision height (DH) and runway visual range (RVR) do not
fall within the same category, the RVR will determine in which category the
operation is to be considered.
(b) The minimum height to which the precision approach aid can be used
without the required visual reference; or
(c) The decision height to which the flight crew is authorised to operate.
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7.3.3 No decision height operations. Operations with no decision height may only
be conducted if:
(b) The approach aid and the aerodrome facilities can support operations
with no decision height; and
(c) The operator has an approval for CAT III B or CAT III C operations,
with no decision height.
Note : In the case of a CAT III runway it may be assumed that operations with
no decision height can be supported unless specifically restricted as published
in the AIP or NOTAM.
(a) For Category IIIA operations, and for Category IIIB operations with
fail-passive flight control systems, a pilot may not continue an
approach below the decision height determined in accordance with
subparagraph 7.3.2, above unless a visual reference containing a
segment of at least three consecutive lights being the centreline of the
approach lights, or touchdown zone lights, or runway centre line lights,
or runway edge lights, or a combination of these is attained and can be
maintained.
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7.3.5 Required RVR. The lowest minima to be used by an operator for Category
III operations are:
RVR for Cat III A & B approach v. DH and roll-out control/guidance system
Note 1: Flight control system redundancy is determined under CS-AWO on all weather
operations by the minimum certificated decision height.
Note 2: The fail operational system referred to, may consist of a fail operational hybrid
system.
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7.5 Failed or downgraded equipment – effect on landing minima
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7.6 Table of operationally equivalent values
The following metres (m) to statute miles (mile (statute)) or feet (ft) values are
deemed to be equivalent for operational purposes:
Visibility RVR
1,000 m = 3,000 ft
1,200 m = 4,000 ft
1,600 m = 5,000 ft
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CHAPTER 8 – MAINTENANCE REQUIREMENTS
8.1 Introduction
8.1.1 These issues are identified within six sections: Required Equipment, Control
of Required Equipment, Identification of Required Equipment, Current
Operational Status of System, System Reliability and Maintenance Personnel
Qualification.
8.1.2 Each topic will be taken separately and discussed more fully.
8.2.1 An operator, in liaison with the aeroplane manufacturer, must include in the
Operations Manual a complete list of equipment/systems that must be installed
and serviceable at the commencement of a Low Visibility Take Off or a
Category II or III approach.
8.3.1 The operators maintenance organisation must publish procedures that clearly
set out the control of “critical equipment” in terms of all weather operations.
8.3.2 Such controls should take account of the modification or repair of the above
equipment.
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8.3.4 Any repair accomplished on critical equipment must be undertaken by
maintenance organisations accepted in accordance with H.K. Airworthiness
Notice No.17 Appendix No.1 in the appropriate category and carried out to
approved maintenance instructions.
8.4.1 The equipment classified as critical in paragraph 7.2 must be clearly identified
to maintenance personnel.
8.4.2 Whist it is accepted that modern jet transports have a fully integrated
autoflight/autoland system installed at build and included in type certification,
older aeroplanes have varying capabilities of autoland and greater attention
should be paid to these aeroplanes.
8.4.4 Third party maintenance organisations, by their very nature, undertake work
for several operators often simultaneously thus increasing the possibility of
inappropriate equipment finding its way onto an aeroplane.
8.5.1 There will be occasions when the autoland system will have to be downgraded
from Category III to Category II or I.
8.5.3 The regrading of the autoland system can be looked at as two distinct
activities, the “downgrading” as mentioned above and the subsequent
“upgrading” after corrective actions have been accomplished.
8.5.4 It is very important that provisions should be made to inform the flight crew of
the Category II or III status of the aeroplane before dispatch. There will be
occasions when the system has been downgraded but the automatic flight deck
display systems indicate a Category III capability so this, in isolation, cannot
be accepted as meeting the requirement.
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8.5.5 The operator must publish procedures, in liaison with the manufacturer
approved by CAD, that fully details when and how regrading should take
place.
8.6.2 As part of the In Service Proving (see Chapter 2 Paragraph 2.2) the system has
to demonstrate a reliability equal to or better than that detailed in CS-AWO.
8.6.5 The operator must establish a procedure to monitor the performance of the
autoland system components of each aeroplane that detects any undesirable
trend before it becomes hazardous. When setting alert levels in system
reliability monitoring, consideration must be given to the levels or reliability
assumed in qualifying the aeroplane for Category II or III operations.
8.6.6 Maintenance instructions for the Category II or III autoland equipment must
be incorporated by the operator, in liaison with the manufacturer, and included
in the Approved Maintenance Schedule (AMS) for the aeroplane.
8.7.1 HKAR-145 requires that for any aeroplane operated for Commercial Air
Transport, a Certificate of Release to Service (CRS) must be issued by
personnel authorised in accordance with HKAR-145.30 in association will
form the basis of such an authorisation to issue certifications in respect of
instruments or automatic pilots an aeroplanes which have an automatic
landing capability.
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8.7.2 Operators must ensure that when their maintenance organisation undertakes
any work on the autoland system their personnel are appropriately qualified
and authorised.
************
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