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5 Reasons PV Modules Fail Product Certification Testing the First Time

Certification testing laboratories test products according to applicable standards and requirements to verify they are compliant. Testing and product certification are generally seen as the final hurdle before releasing a product to market.
When a product does not meet all of the requirements of the standard, the manufacturer must make appropriate corrections and repeat the testing process before receiving certification for market access. The time it takes to correct problematic issues and conduct retesting can have a profound impact on manufacturers and may cause costly delays on the path to market access.

By Sunny Rai

 

In the testing of Photovoltaic (PV) modules, it is not uncommon for products to fail testing on their first cycle, leaving certification out of reach. This paper addresses five of the most common reasons PV modules do not pass certification and explains why some of these failures may occur. PV module manufacturers can use this information to avoid and detect errors in the design and manufacturing stages, thereby saving considerable time, cost and frustration.

The most common problems are

1. Inappropriate installation instructions,

2. Models provided for testing do not accurately represent the entire model scheme being listed,

3. Testing requests without the initial construction evaluation being performed,

4. Not providing a complete bill of materials with ratings and certification information prior to start of the project,

5. Lack of backsheet panel RTI rating.

 

#1. Inappropriate Installation Instructions

 

The most common source of problems for PV module certification is the documentation that accompanies the product. In over 85% of the modules Intertek has evaluated, installation instructions are incomplete or contain errors that must be corrected prior to testing and in order for the product to be tested in the certification process.

Lack of clear instructions hampers the ability of the evaluating engineer to determine how the module is intended to be installed. Installation documentation is particularly important because numerous sections in UL 1703 are related to assessing the product after it has been installed according to its intended use (as specified in the instructions). Missing or incomplete documentation makes it difficult and sometimes impossible to evaluate a module. In many cases, manufacturers try to use a single installation instruction manual to cover many different modules. This often results in instructions that are vague or contain irrelevant information.

When a testing laboratory receives a product for testing, the installation instructions are considered part of the equipment and must be delivered with the equipment for evaluation. Instructions should properly describe how to connect, secure and electrically ground the modules. In some cases, up to one-third of the conformity assessment time is spent reading and checking the installation instructions.

The followings are common errors that have been identified in the review of installation instructions and can cause delays in product certification:

-Lack of explanation of symbols used on the equipment or diagrams;

-Instructions worded in a way that they do not adequately address intended use;

-The instructions are over-simplified or vague;

-The instructions do not adequately cover user maintenance. Instructions should be written with an understanding of the technical and skill level of the intended reader;

-The instructions are adapted from another module and do not properly match the module being tested;

-Accessories are not itemized and explained in the manual;

-The language of the manual is unclear for the intended use;

-The name, address, telephone and fax number of the manufacturer is not clear (sometimes not even listed);

-Installation instructions provide inadequate details on how the rounding of the module is to be accomplished;

-Installation instructions are unclear regarding how the module should be secured to the mounting rack and building structure.

 

#2. Models Provided for Testing Do Not Accurately Represent the Entire Model Scheme Being Listed

 

Another source of delay in testing is the result of the proper model scheme not being defined clearly during the process setup. This is often the result of an incorrect assumption that testing any one of the many models that are built with the same materials will assure the approval of the entire model scheme. Such an assumption is not usually correct because the biggest (highest watt density) modules are usually the ones needed for testing due to the failure rate of higher size modules during temperature cycling and loading tests. Additionally, the requirements are always to test the higher power modules.

In some cases, a manufacturer will add bigger and higher power modules than those available at the beginning of the test process, mainly because the added modules were not available before the evaluation and testing began. This problem can be avoided by having a clear definition of the scope of equipment to be included in the evaluation at the beginning of the quote stage. If a manufacturer makes changes to the scope of equipment covered by an evaluation after the testing has begun, it usually results in significant delays and often requires certain portions of the evaluation and testing to be repeated.

 

#3. Testing Requests without the Initial Construction Evaluation Being Performed

 

Since temperature testing takes several weeks to complete, it is not uncommon for manufacturers to request starting this test as soon as possible. However, temperature testing without first performing the construction evaluation on the module can lead to having to repeat the test. This is because assumptions must be made as part of the test setup, which cannot be confirmed without the construction evaluation. Key areas are identified during the construction evaluation, which will lead to proper sample preparation and ensure the right samples are chosen with the right components.

 

#4. Not Providing a Complete Bill of Materials with Ratings and Certification Information Prior to Start of the Project

 

Not providing a complete bill of materials is another common issue causing delays in PV modules testing. Because of tight timelines and time to market demands, manufacturers occasionally provide bills of materials that are missing certification ratings. This leads to tests being performed without checking to make sure that the ratings of the modules different materials are within the ratings of the tests being performed. Without the proper bill of materials, it is not possible to determine the rating of the sample. If any of the materials do not have ratings, it is not possible to allow modules with those alternate components to be included in the listing.

  

#5. Lack of Backsheet Panel RTI Rating

 

The requirement in UL 1703 clause 7.3 states:

A polymeric substrate or superstrate shall have a thermal index, both electrical and mechanical, as determined in accordance with the Standard for Polymeric Materials Long Term Property Evaluations, UL 746B, not less than 90C (194F). In addition, the thermal index shall not be less than 20C (36F) above the measured operating temperature of the material. All other polymeric materials shall have a thermal index (electrical and mechanical) 20C above the measured operating temperature. The measured operating temperature is the temperature measured during the open-circuit mode for Temperature Test, Section 19, or the temperature during the short-circuit mode, whichever is greater.

About 95% of substrates in the market today do not have the minimum Relative Thermal Index (RTI) value as required by clause 7.3.

The practice has been to use the RTI of the outer layer. If the outer layer is a spray-on thin coating it will not be considered for the RTI requirement. If the middle layer of the substrate has an RTI of less than 90 it will not be acceptable. If you try to establish an RTI of 90 for such a laminate, this middle layer will likely fail and the laminate will destabilize.

The inner layer mentioned is often the same as the encapsulant for the cells in the module. Since encapsulants do not need to meet the RTI requirement in clause

7.3, the engineering rationale has been that this layer of the laminate does not need to have an RTI of 90.

As an interim arrangement until the manufacturers of substrates obtain recognition and RTI ratings, Intertek has agreed that if a laminate is recognized for the application (substrate in PV module), then it can be used without specifically identifying the RTI of the laminate, provided that:

-Documentation that the material is recognized for the application is provided, and

-Documentation of the RTI values of individual layers in the laminate is provided from the substrate vendor.

 

How to Avoid These Failures

 

What are the root causes behind these common problems? In some cases, design engineers do not have copies of the standard(s) they need to meet, or the edition or revision of the standard they followed is out of date. In other cases, they design to the specification given to them by marketing or other non-engineering functions. The pressure to cut costs and shorten time to market also may result in the selection of components that require additional evaluation by the certification body to determine suitability.

One way to avoid these problems is to conduct a full and detailed risk analysis of the intended use of the module based on the modes of installation. Start the risk analysis before starting the design. Continue the risk assessment throughout the design process to make sure your design is addressing the identified risks and complying with the standard. Designing your device using a risk-based model usually means the device will be compliant.

The following are additional simple steps that ensure fast and smooth certification:

1. Seek assistance from qualified sources early in the design cycle. For example, work with your test lab for a design review based on documentation and drawings. This will identify potential problems early in the cycle and you will be able to use the information for future products.

2. Qualify the components you intend to use. Dont take the suppliers word for itsecure proof that the component is approved for the application.

3. Ensure that the wiring you use is the correct type and rating for the circuit application.

4. Make current copies of the standards available to the designers and extract the tables that apply to your product (this saves a lot of time flipping backwards and forwards).

5. Define the required elements for compliance clearly in the design specification using the tables you extracted from the standards. This may sound simple but very few do this. Those who do can save themselves thousands of dollars in rework.

6. Produce an illustration detailing the different components in the module.

This will save you time and money when doing conformity assessment testing.

 

Saranpal (Sunny) Rai is the Regional Vice President for renewable energy at Intertek (www.intertek.com/solar). In this role, he provides strategic direction for Interteks photovoltaic, wind, smart grid and semiconductor businesses. In his more than 25 years with Intertek, Rai has helped several solar, semiconductor and FPD equipment manufacturers and users establish product safety and global regulatory compliance programs. Recently, he also began implementing Interteks end-to-end smart grid testing, certification and consulting services for safety, compliance and interoperability. Rai has been recognized as an international expert in the field of solar module testing and certification, with several published articles and presentations at industry events to his credit. Sunny holds a B.Sc. degree from the University of Delhi in India and a degree in Electronic Engineering Technology from San Francisco, CA, the U.S.A.

 

 

For more information, please send your e-mails to pved@infothe.com.

2011 www.interpv.net All rights reserved.

 
 

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