References
- Hawkins NC, Norwood SK, Rock JC. 1991. A strategy for occupational exposure assessment. Akron, OH: American Industrial Hygiene Association.
- Leung HW. 2002. Methods for setting occupational exposure limits. In: Paustenbach DJ, editor. Human and ecological risk assessment theory and practice. New York: John Wiley & Sons. pp. 647–671.
- Mehta TM, Tait K. 2002. Validation of dust control efficiency using lactose as a surrogate at a pharmaceutical company in India. Paper presented at the meeting of the American Industrial Hygiene Association, San Diego, CA. Abstract available online at: http://www.aiha.org/aihce02/handouts/pf120mehta_files/frame.htm (last accessed 19 May 2010).
- Naumann BD, Sargent EV, Starkman BS, Fraser WJ, Becker GT, Kirk GD. 1996. Performance-based exposure control limits for pharmaceutical active ingredients. Am J Ind Hyg 57:33–42.
- Romer T. 2003. Containment of potent compounds at Bristol-Myers Squibb: an overview. Presentation for the International Society of Pharmaceutical Engineers Chapter on September 10, 2003. Available online at: http://www.ispe.org/newengland/09102003Romer.pdf (last accessed 7 December 2004).
- Sargent EV, Kirk GD. 1988. Establishing airborne exposure control limits in the pharmaceutical industry. Am J Ind Hyg 49(6):309–313.