New Zealand - United Kingdom FTA (2022)
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5. This Chapter shall not apply with respect to a sovereign wealth fund of a Party, except:

(a) paragraphs 1 and 3 of Article 19.6 (Non-Commercial Assistance) shall apply with respect to a Party's indirect provision of non-commercial assistance through a sovereign wealth fund; and

(b) paragraph 2 of Article 19.6 (Non-Commercial Assistance) shall apply with respect to a sovereign wealth fund's provision of non-commercial assistance.

6. This Chapter shall not apply with respect to:

(a) an independent pension fund of a Party; or

(b) an enterprise owned or controlled by an independent pension fund of a Party, except:

(i) paragraphs 1 and 3 of Article 19.6 (Non-Commercial Assistance) shall apply with respect to a Party's direct or indirect provision of non-commercial assistance to an enterprise owned or controlled by an independent pension fund; and

(ii) paragraphs 1 and 3 of Article 19.6 (Non-Commercial Assistance) shall apply with respect to a Party's indirect provision of non-commercial assistance through an enterprise owned or controlled by an independent pension fund.

7. This Chapter shall not apply to:

(a) government procurement; or

(b) audio-visual services.

8. Nothing in this Chapter shall prevent a state-owned enterprise of a Party from providing goods or services exclusively to that Party for the purposes of carrying out that Party's governmental functions.

9. Nothing in this Chapter shall be construed to prevent a Party from:

(a) establishing or maintaining a state enterprise or a state-owned enterprise; or

(b) designating a monopoly.

10. Article 19.4 (Non-Discriminatory Treatment and Commercial Considerations), Article 19.6 (Non-Commercial Assistance), and Article 19.9 (Transparency) shall not apply to any service supplied in the exercise of governmental authority. (9)

11. Subparagraphs 1(b), 1(c), 2(b), and 2(c) of Article 19.4 (Non-Discriminatory Treatment and Commercial Considerations) shall not apply to the extent that a Party's state-owned enterprise or designated monopoly makes purchases and sales of goods or services pursuant to:

(a) any existing non-conforming measure that the Party maintains, continues, renews, or amends in accordance with Article 9.8 (Non- Conforming Measures - Cross-Border Trade in Services), Article 11.19 (Non-Conforming Measures - Financial Services), and Article 14.10 (Non-Conforming Measures - Investment) as set out in its Schedule to Annex I (Cross-Border Trade in Services and Investment Non-Conforming Measures) or in Section A of its Schedule to Annex IIl (Financial Services Non-Conforming Measures); or

(b) any non-conforming measure that the Party adopts or maintains with respect to sectors, subsectors, or activities in accordance with Article 9.8 (Non-Conforming Measures - Cross-Border Trade in Services), Article 11.19 (Non-Conforming Measures - Financial Services), and Article 14.10 (Non-Conforming Measures - Investment) as set out in its Schedule to Annex II (Cross-Border Trade in Services and Investment Non-Conforming Measures) or in Section B of its Schedule to Annex III (Financial Services Non-Conforming Measures).

12. Article 19.4 (Non-Discriminatory Treatment and Commercial Considerations), Article 19.6 (Non-Commercial Assistance), and Article 19.9 (Transparency) shall not apply with respect to a Party’s state-owned enterprises or designated monopolies as set out in Annex 19D (Application to Sub-Central State-Owned Enterprises and Designated Monopolies).

(8) For the purposes of this Chapter, the terms "financial service supplier", "established financial service supplier", and "financial services" have the same meaning as in Article 11.1 (Definitions - Financial Services).
(9) For the purposes of this paragraph, "a service supplied in the exercise of governmental authority" has the same meaning as in the GATS, including the meaning in the Annex on Financial Services where applicable.

Article 19.3. Delegated Authority

Each Party shall ensure that when its state-owned enterprises, state enterprises, and designated monopolies exercise any regulatory, administrative, or other governmental authority that the Party has directed or delegated to such entities to carry out, those entities act in a manner that is not inconsistent with that Party’s obligations under this Agreement. (10)

(10) Examples of regulatory, administrative, or other governmental authority include the power to expropriate, grant licences, approve commercial transactions, or impose quotas, fees, or other charges.

Article 19.4. Non-Discriminatory Treatment and Commercial Considerations

1. Each Party shall ensure that each of its state-owned enterprises, when engaging in commercial activities:

(a) acts in accordance with commercial considerations in its purchase or sale of a good or service, except to fulfil any terms ofits public service mandate that are not inconsistent with subparagraph (c)(ii);

(b) in its purchase of a good or service:

(i) accords to a good or service supplied by an enterprise of the other Party treatment no less favourable than it accords to a like good or a like service supplied by enterprises of the Party or of any non-party; and

(ii) accords to a good or service supplied by an enterprise that is a covered investment in the Party's territory treatment no less favourable than it accords to a like good or a like service supplied by enterprises in the relevant market in the Party's territory that are investments of investors of the Party or of any non-party; and

(c) in its sale of a good or service:

(i) accords to an enterprise of the other Party treatment no less favourable than it accords to enterprises of the Party or of any non-party; and

(ii) accords to an enterprise that is a covered investment in the Party's territory treatment no less favourable than it accords to enterprises in the relevant market in the Party's territory that are investments of investors of the Party or of any non-party. (11)

2. Each Party shall ensure that each of its designated monopolies:

(a) acts in accordance with commercial considerations in its purchase or sale of the monopoly good or service in the relevant market, except to fulfil any terms of its designation that are not inconsistent with subparagraphs (b), (c), or (d);

(b) in its purchase of the monopoly good or service:

(i) accords to a good or service supplied by an enterprise of the other Party treatment no less favourable than it accords to a like good or a like service supplied by enterprises of the Party or of any non-party; and

(ii) accords to a good or service supplied by an enterprise that is a covered investment in the Party’s territory treatment no less favourable than it accords to a like good or a like service supplied by enterprises in the relevant market in the Party's territory that are investments of investors of the Party or of any non-party;

(c) in its sale of the monopoly good or service:

(i) accords to an enterprise of the other Party treatment no less favourable than it accords to enterprises of the Party or of any non-party; and

(ii) accords to an enterprise that is a covered investment in the Party's territory treatment no less favourable than it accords to enterprises in the relevant market in the Party's territory that are investments of investors of the Party or of any non-party; and

(d) does not use its monopoly position to engage in, either directly or indirectly, including through its dealings with its parent, subsidiaries, or other entities the Party or the designated monopoly owns, anti- competitive practices in a non-monopolised market in its territory that negatively affect trade or investment between the Parties. (12)

3. Subparagraphs 1(b), 1(c), 2(b), and 2(c) shall not preclude a state-owned enterprise or designated monopoly from:

(a) purchasing or selling goods or services on different terms or conditions including those relating to price; or

(b) refusing to purchase or sell goods or services,

provided that such differential treatment or refusal is undertaken in accordance with commercial considerations.

(11) Paragraph 1 shall not apply with respect to the purchase or sale of shares, stock, or other forms of equity by a state-owned enterprise as a means of its equity participation in another enterprise.
(12) For greater certainty, a Party may comply with the requirements of this subparagraph through the enforcement or implementation of its generally applicable national competition laws and regulations, its economic regulatory laws and regulations, or other appropriate measures.

Article 19.5. Legal and Regulatory Framework

1. Each Party shall respect and make best use of relevant international standards including, amongst other things, the OECD Guidelines on Corporate Governance of State-Owned Enterprises done at Paris on 8 July 2015.

2. Each Party shall provide its courts with jurisdiction over civil claims against an enterprise owned or controlled through ownership interests by a foreign government based on a commercial activity carried on in its territory. (13) This shall not be construed to require a Party to provide jurisdiction over those claims if it does not provide jurisdiction over similar claims against enterprises that are not owned or controlled through ownership interests by a foreign government.

3. Each Party shall ensure that any administrative body that the Party establishes or maintains that regulates a state-owned enterprise exercises its regulatory discretion in an impartial manner with respect to enterprises that it regulates, including enterprises that are not state-owned enterprises. (14)

(13) This paragraph shall not be construed to preclude a Party from providing its courts with jurisdiction over claims against enterprises owned or controlled through ownership interests by a foreign government other than those claims referred to in this paragraph.
(14) For greater certainty, the impartiality with which an administrative body exercises its regulatory discretion is to be assessed by reference to a pattern or practice of that administrative body.

Article 19.6. Non-Commercial Assistance

1. Neither Party shall cause (15) adverse effects to the interests of the other Party through the use of non-commercial assistance that it provides, either directly or indirectly, (16) to any of its state-owned enterprises with respect to:

(a) the production and sale of a good by the state-owned enterprise;

(b) the supply of a service by the state-owned enterprise from the territory of the Party into the territory of the other Party; or

(c) the supply of a service in the territory of the other Party through an enterprise that is a covered investment in the territory of that other Party.

2. Each Party shall ensure that its state enterprises and state-owned enterprises do not cause adverse effects to the interests of the other Party through the use of non-commercial assistance that the state enterprise or state-owned enterprise provides to any of its state-owned enterprises with respect to:

(a) the production and sale of a good by the state-owned enterprise;

(b) the supply of a service by the state-owned enterprise from the territory of the Party into the territory of the other Party; or

(c) the supply of a service in the territory of the other Party through an enterprise that is a covered investment in the territory of that other Party.

3. Neither Party shall cause injury to a domestic industry (17) of the other Party through the use of non-commercial assistance that it provides, either directly or indirectly, to any of its state-owned enterprises that is a covered investment in the territory of that other Party in circumstances where:

(a) the non-commercial assistance is provided with respect to the production and sale of a good by the state-owned enterprise in the territory of the other Party; and

(b) alike good is produced and sold in the territory of the other Party by the domestic industry of that other Party. (18)

A service supplied by a state-owned enterprise of a Party within that Party's territory shall be deemed not to cause adverse effects. (19)

(15) For the purposes of paragraphs 1 and 2, it must be demonstrated that the adverse effects claimed have been caused by the non-commercial assistance. Thus, the non-commercial assistance must be examined within the context of other possible causal factors to ensure an appropriate attribution of causality.
(16) For greater certainty, indirect provision includes the situation in which a Party entrusts or directs an enterprise that is not a state-owned enterprise to provide non-commercial assistance.
(17) The term "domestic industry" refers to the domestic producers as a whole of the like good, or to those domestic producers whose collective output of the like good constitutes a major proportion of the total domestic production of the like good, excluding the state-owned enterprise that is a covered investment that has received the non-commercial assistance referred to in this paragraph.
(18) In situations of material retardation of the establishment of a domestic industry, it is understood that a domestic industry may not yet produce and sell the like good. However, in these situations, there must be evidence that a prospective domestic producer has made a substantial commitment to commence production and sales of the like good.
(19) For greater certainty, this paragraph shall not be construed to apply to a service that itself is a form of non-commercial assistance.

Article 19.7. Adverse Effects

1. For the purposes of paragraphs 1 and 2 of Article 19.6 (Non-Commercial Assistance), adverse effects arise if the effect of the non-commercial assistance is:

(a) that the production and sale of a good by a Party's state-owned enterprise that has received the non-commercial assistance displaces or impedes from the Party's market imports of a like good of the other Party or sales of a like good produced by an enterprise that is a covered investment in the territory of the Party;

(b) that the production and sale of a good by a Party's state-owned enterprise that has received the non-commercial assistance displaces or impedes from the market of a non-party imports of a like good of the other Party;

(c) a significant price undercutting by a good produced by a Party's state-owned enterprise that has received the non-commercial assistance and sold by the enterprise in:

(i) the market of a Party as compared with the price in the same market of imports of a like good of the other Party or a like good that is produced by an enterprise that is a covered investment in the territory of the Party, or significant price suppression, price depression, or lost sales in the same market; or

(ii) the market of a non-party as compared with the price in the same market of imports of a like good of the other Party, or significant price suppression, price depression, or lost sales in the same market;

(d) that services supplied by a Party's state-owned enterprise that has received the non-commercial assistance displace or impede from the market of the other Party a like service supplied by a service supplier of that other Party; or

(e) a significant price undercutting by a service supplied in the market of the other Party by a Party's state-owned enterprise that has received the non-commercial assistance as compared with the price in the same market of a like service supplied by a service supplier of that other Party, or significant price suppression, price depression, or lost sales in the same market. (20)

2. For the purposes of subparagraphs 1(a), 1(b), and 1(d), the displacing or impeding of a good or service includes any case in which it has been demonstrated that there has been a significant change in relative shares of the market to the disadvantage of the like good or like service. "Significant change in relative shares of the market" shall include any of the following situations:

(a) there is a significant increase in the market share of the good or service of the Party's state-owned enterprise;

(b) the market share of the good or service of the Party's state-owned enterprise remains constant in circumstances in which, in the absence of the non-commercial assistance, it would have declined significantly; or

(c) the market share of the good or service of the Party's state-owned enterprise declines, but at a significantly slower rate than would have been the case in the absence of the non-commercial assistance.

The change must manifest itself over an appropriately representative period sufficient to demonstrate clear trends in the development of the market for the good or service concerned, which, in normal circumstances, shall be at least one year.

3. For the purposes of subparagraphs 1(c) and 1(e), price undercutting shall include any case in which such price undercutting has been demonstrated through a comparison of the prices of the good or service of the state-owned enterprise with the prices of the like good or service.

4. Comparisons of the prices in paragraph 3 shall be made at the same level of trade and at comparable times, and due account shall be taken for factors affecting price comparability. If a direct comparison of transactions is not possible, the existence of price undercutting may be demonstrated on some other reasonable basis, such as, in the case of goods, a comparison of unit values.

5. Non-commercial assistance that a Party provides:

(a) before the signing of this Agreement; or

(b) within three years after the signing of this Agreement, pursuant to a law that is enacted, or contractual obligation undertaken, prior to the signing of this Agreement,

shall be deemed not to cause adverse effects.

6. For the purposes of subparagraphs 1(b) and 2(b) of Article 19.6 (Non-Commercial Assistance), the initial capitalisation of a state-owned enterprise, or the acquisition by a Party of a controlling interest in an enterprise, that is principally engaged in the supply of services within the territory of the Party, shall be deemed not to cause adverse effects.

(20) The purchase or sale of shares, stock, or other forms of equity by a state-owned enterprise that has received non-commercial assistance as a means of its equity participation in another enterprise shall not be construed to give rise to adverse effects as provided for in paragraph 1.

Article 19.8. Injury

1. For the purposes of paragraph 3 of Article 19.6 (Non-Commercial Assistance), the term "injury" shall be taken to mean material injury to a domestic industry, threat of material injury to a domestic industry, or material retardation of the establishment of such an industry. A determination of material injury shall be based on positive evidence and involve an objective examination of the relevant factors, including the volume of production by the covered investment that has received non-commercial assistance, the effect of such production on prices for like goods produced and sold by the domestic industry, and the effect of such production on the domestic industry producing like goods. (21)

2. With regard to the volume of production by the covered investment that has received non-commercial assistance, consideration shall be given as to whether there has been a significant increase in the volume of production, either in absolute terms or relative to production or consumption in the territory of the Party in which injury is alleged to have occurred. With regard to the effect of the production by the covered investment on prices, consideration shall be given as to whether there has been a significant price undercutting by the goods produced and sold by the covered investment as compared with the price of like goods produced and sold by the domestic industry, or whether the effect of production by the covered investment is otherwise to depress prices to a significant degree or to prevent price increases, which otherwise would have occurred, to a significant degree. No one or several of these factors can necessarily give decisive guidance.

3. The examination of the impact on the domestic industry of the goods produced and sold by the covered investment that received the non- commercial assistance shall include an evaluation of all relevant economic factors and indices having a bearing on the state of the industry, such as actual and potential decline in output, sales, market share, profits, productivity, return on investments, or utilisation of capacity; factors affecting domestic prices; actual and potential negative effects on cash flow, inventories, employment, wages, growth, ability to raise capital or investments and, in the case of agriculture, whether there has been an increased burden on government support programmes. This list is not exhaustive, nor can one or several of these factors necessarily give decisive guidance.

4. It must be demonstrated that the goods produced and sold by the covered investment are, through the effects (22) of the non-commercial assistance, causing injury within the meaning of this Article. The demonstration of a causal relationship between the goods produced and sold by the covered investment and the injury to the domestic industry shall be based on an examination of all relevant evidence. Any known factors other than the goods produced by the covered investment which at the same time are injuring the domestic industry shall be examined, and the injuries caused by these other factors must not be attributed to the goods produced and sold by the covered investment that has received non-commercial assistance. Factors which may be relevant in this respect include, among other things, the volumes and prices of other like goods in the market in question, contraction in demand or changes in the patterns of consumption, and developments in technology and the export performance and productivity of the domestic industry.

5. A determination of a threat of material injury shall be based on facts and not merely on allegation, conjecture, or remote possibility and shall be considered with special care. The change in circumstances which would create a situation in which non-commercial assistance to the covered investment would cause injury must be clearly foreseen and imminent. In making a determination regarding the existence of a threat of material injury, there should be consideration of relevant factors (23) and of whether the totality of the factors considered lead to the conclusion that further availability of goods produced by the covered investment is imminent and that, unless protective action is taken, material injury would occur.

(21) The periods for examination of the non-commercial assistance and injury shall be reasonably established and shall end as closely as practical to the date of initiation of the proceeding before the panel pursuant to Chapter 31 (Dispute Settlement).
(22) As set out in paragraphs 2 and 3.
(23) In making a determination regarding the existence of a threat of material injury, a panel pursuant to Chapter 31 (Dispute Settlement) should consider, among other things, such factors as: (a) the nature of the non-commercial assistance in question and the trade effects likely to arise therefrom; (b) a significant rate of increase in sales in the domestic market by the covered investment, indicating a likelihood of substantially increased sales; (c) sufficient freely disposable, or an imminent, substantial increase in, capacity of the covered investment indicating the likelihood of substantially increased production of the good by that covered investment, taking into account the availability of export markets to absorb additional production; (d) whether prices of goods sold by the covered investment will have a significant depressing or suppressing effect on the price of like goods; and (e) inventories of like goods.

Article 19.9. Transparency

1. Each Party shall provide to the other Party or otherwise make publicly available on an official website a list of its state-owned enterprises no later than six months after the date of entry into force of this Agreement for that Party, and thereafter shall update the list annually.

2. Each Party shall promptly notify the other Party or otherwise make publicly available on an official website the designation of a monopoly or expansion of the scope of an existing monopoly and the terms of its designation.

3. On the written request of the other Party, a Party shall promptly provide the following information concerning a state-owned enterprise or a government monopoly, provided that the request includes an explanation of how the activities of the entity may be affecting trade or investment between the Parties:

(a) the percentage of shares that the Party, its state-owned enterprises, or designated monopolies cumulatively own, and the percentage of votes that they cumulatively hold, in the entity;

(b) a description of any special shares or special voting or other rights that the Party, its state-owned enterprises, or designated monopolies hold, to the extent these rights are different than the rights attached to the general common shares of the entity;

(c) the government titles of any government official serving as an officer or member of the entity's board of directors;

(d) the entity’s annual revenue and total assets over the most recent three- year period for which information is available;

(e) any exemptions and immunities from which the entity benefits under the Party’s law; and

( any additional information regarding the entity that is publicly available, including annual financial reports and third-party audits, and that is sought in the written request.

On the written request of the other Party, a Party shall endeavour to provide in writing no later than two months after the date of that request, information regarding any policy or programme it has adopted or maintains that provides for non-commercial assistance, provided that the request includes an explanation of how the policy or programme affects or could affect trade or investment between the Parties.

When a Party provides a response pursuant to paragraph 4, the information it provides shall be sufficiently specific to enable the requesting Party to understand the operation of and evaluate the policy or programme and its effects or potential effects on trade or investment between the Parties. The Party responding to a request shall ensure that the response it provides contains the following information:

(a) the form of the non-commercial assistance provided under the policy or programme, for example, grant or loan;

(b) the names of the government agencies, state-owned enterprises, or state enterprises providing the non-commercial assistance and the

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(d) the entity's annual revenue and total assets over the most recent three-year period for which information is available;

(e) any exemptions and immunities from which the entity benefits under the Party's law; and

(f) any additional information regarding the entity that is publicly available, including annual financial reports and third-party audits, and that is sought in the written request.

4. On the written request of the other Party, a Party shall endeavour to provide in writing no later than two months after the date of that request, information regarding any policy or programme it has adopted or maintains that provides for non-commercial assistance, provided that the request includes an explanation of how the policy or programme affects or could affect trade or investment between the Parties.

5. When a Party provides a response pursuant to paragraph 4, the information it provides shall be sufficiently specific to enable the requesting Party to understand the operation of and evaluate the policy or programme and its effects or potential effects on trade or investment between the Parties. The Party responding to a request shall ensure that the response it provides contains the following information:

(a) the form of the non-commercial assistance provided under the policy or programme, for example, grant or loan;

(b) the names of the government agencies, state-owned enterprises, or state enterprises providing the non-commercial assistance and the names of the state-owned enterprises that have received or are eligible to receive the non-commercial assistance;

(c) the legal basis and policy objective of the policy or programme providing for the non-commercial assistance;

(d) with respect to goods, the amount per unit of the non-commercial assistance or, in cases where this is not possible, the total amount or the annual amount budgeted for the non-commercial assistance, indicating, if possible, the average amount per unit in the previous year,

(e) with respect to services, the total amount or the annual amount budgeted for the non-commercial assistance, indicating, if possible, the total amount in the previous year;

(f) with respect to policies or programmes providing for non-commercial assistance in the form of loans or loan guarantees, the amount of the loan or amount of the loan guaranteed, interest rates, and fees charged;

(g) with respect to policies or programmes providing for non-commercial assistance in the form of the provision of goods or services, the prices charged, if any;

(h) with respect to policies or programmes providing for non-commercial assistance in the form of equity capital, the amount invested, the number and a description of the shares received, and any assessments that were conducted with respect to the underlying investment decision;

(i) the duration of the policy or programme or any other time-limits attached to it; and

(j) statistical data permitting an assessment of the effects of the non-commercial assistance on trade or investment between the Parties.

6. If a Party considers that it has not adopted or does not maintain any policies or programmes referred to in paragraph 4, it shall so inform the requesting Party in writing.

7. If any relevant points in paragraph 5 have not been addressed in the written response, an explanation shall be provided in the written response itself.

8. The Parties recognise that the provision of information under paragraphs 5 and 7 does not prejudge the legal status of the assistance that was the subject of the request under paragraph 4 or the effects of that assistance under this Agreement.

9. When a Party provides written information pursuant to a request under this Article and informs the requesting Party that it considers the information to be confidential, the requesting Party shall not disclose the information without the prior consent of the Party providing the information.

Article 19.10. Technical Cooperation

The Parties shall, where appropriate and subject to available resources, engage in mutually agreed technical cooperation activities, including:

(a) exchanging information regarding the Parties' experiences in improving the corporate governance and operation of their state-owned enterprises;

(b) sharing best practices on policy approaches to ensure a level playing field between state-owned and privately owned enterprises, including policies related to competitive neutrality; and

(c) organising international seminars, workshops, or any other appropriate forum for sharing technical information and expertise telated to the governance and operations of state-owned enterprises.

Article 19.11. Contact Points

Each Party shall designate a contact point from its relevant authorities and notify the other Party of the contact details of its contact point within 90 days of the date of entry into force of this Agreement, in order to facilitate communication between the Parties on any matter relating to this Chapter. Each Party shall promptly notify the other Party of any change to its contact point or those contact details.

Article 19.12. Exceptions

1. Nothing in Article 19.4 (Non-Discriminatory Treatment and Commercial Considerations) or Article 19.6 (Non-Commercial Assistance) shall be construed to:

(a) prevent the adoption or enforcement by a Party of measures to respond temporarily to a national or global economic emergency; or

(b) apply to a state-owned enterprise with respect to which a Party has adopted or enforced measures on a temporary basis in response to a national or global economic emergency, for the duration of that emergency.

2. Paragraph 1 of Article 19.4 (Non-Discriminatory Treatment and Commercial Considerations) shall not apply with respect to the supply of financial services by a state-owned enterprise pursuant to a government mandate if that supply of financial services:

  • Chapter   1 INITIAL PROVISIONS AND GENERAL DEFINITIONS 1
  • Article   1.1 Establishment of a Free Trade Area 1
  • Article   1.2 Relation to other Agreements 1
  • Article   1.3 General Definitions 1
  • Chapter   2 NATIONAL TREATMENT AND MARKET ACCESS FOR GOODS 1
  • Article   2.1 Definitions 1
  • Article   2.2 Scope 1
  • Article   2.3 National Treatment 1
  • Article   2.4 Classification of Goods 1
  • Article   2.5 Elimination of Customs Duties 1
  • Article   2.6 Accelerated Tariff Elimination 1
  • Article   2.7 Goods Re-Entered after Repair or Alteration 2
  • Article   2.8 Duty-Free Entry of Commercial Samples of Negligible Value and Printed Advertising Materials 2
  • Article   2.9 Temporary Admission of Goods 2
  • Article   2.10 Import and Export Restrictions 2
  • Article   2.11 Remanufactured Goods 2
  • Article   2.12 Import Licensing Procedures 2
  • Article   2.13 Export Licensing Procedures 2
  • Article   2.14 Administrative Fees and Formalities 2
  • Article   2.15 Export Duties, Taxes, and other Charges 2
  • Article   2.16 Data Sharing on Preference Utilisation 2
  • Article   2.17 Trade In Goods Sub-Committee 2
  • Article   2.18 Consultations 2
  • Chapter   3 RULES OF ORIGIN AND ORIGIN PROCEDURES 2
  • Section   A Definitions and General Provisions 2
  • Article   3.1 Definitions 2
  • Article   3.2 Origin Criteria 2
  • Article   3.3 Wholly Obtained Goods. 2
  • Article   3.4 Regional Value Content 2
  • Article   3.4 Regional Value Content 3
  • Article   3.5 Materials Used In Production 3
  • Article   3.6 Value of Materials Used In Production 3
  • Article   3.7 Further Adjustments to the Value of Materials 3
  • Article   3.8 Cumulation 3
  • Article   3.9 Tolerance 3
  • Article   3.10 Non-Alteration 3
  • Article   3.11 Treatment of Indirect Materials 3
  • Article   3.12 Accessories, Spare Parts, Information Materials, and Tools 3
  • Article   3.13 Sets of Goods 3
  • Article   3.14 Treatment of Packaging Materials and Packing Materials 3
  • Article   3.15 Recovered Materials and Remanufactured Goods 3
  • Article   3.16 Fungible Goods and Materials 3
  • Article   3.17 Rules of Origin and Customs and Trade Facilitation Working Group 3
  • Section   B Origin Procedures 3
  • Article   3.18 Claims for Preferential Treatment 3
  • Article   3.19 Origin Declaration 3
  • Article   3.20 Waiver of Origin Documentation 3
  • Article   3.21 Delayed Claims for Preferential Treatment 3
  • Article   3.22 Incorrect Claims for Preferential Treatment 3
  • Article   3.23 Minor Errors and Discrepancies 3
  • Article   3.24 Penalties 3
  • Article   3.25 Record Keeping Requirements 3
  • Article   3.26 Verification of Origin 3
  • Article   3.27 Confidentiality 4
  • Article   3.28 Documentation Issued In a Non-Party 4
  • Article   3.29 Transitional Provisions for Goods In Transit 4
  • Chapter   4 CUSTOMS PROCEDURES AND TRADE FACILITATION 4
  • Article   4.1 Definitions 4
  • Article   4.2 Scope 4
  • Article   4.3 Customs Procedures and Trade Facilitation 4
  • Article   4.4 Customs Cooperation 4
  • Article   4.5 Transparency and Publication 4
  • Article   4.6 Data and Documentation 4
  • Article   4.7 Simplified Customs Procedures 4
  • Article   4.8 Expedited Shipments 4
  • Article   4.10 Perishable Goods 4
  • Article   4.11 Risk Management 4
  • Article   4.12 Advance Rulings 4
  • Article   4.10 Perishable Goods 5
  • Article   4.11 Risk Management 5
  • Article   4.12 Advance Rulings 5
  • Article   4.13 Customs Valuation 5
  • Article   4.14 Single Window  (4) 5
  • Article   4.15 Authorised Economic Operator  (5) 5
  • Article   4.16 Customs Brokers 5
  • Article   4.17 Review and Appeal 5
  • Article   4.18 Penalties 5
  • Article   4.19 Transit and Transportation 5
  • Article   4.20 Post Clearance Audit. 5
  • Article   4.21 Confidentiality 5
  • Article   4.22 Rules of Origin and Customs and Trade Facilitation Working Group 5
  • Chapter   5 SANITARY AND PHYTOSANITARY MEASURES 5
  • Article   5.1 Definitions. 5
  • Article   5.2 Scope 5
  • Article   5.3 Objectives 5
  • Article   5.4 Affirmation of the SPS Agreement 5
  • Article   5.5 Competent Authorities and Contact Points 5
  • Article   5.6 Equivalence 5
  • Article   5.7 Recognition of Pest Freedom 5
  • Article   5.8 Risk Analysis 5
  • Article   5.9 Audit  (2) 5
  • Article   5.10 Trade Conditions 6
  • Article   5.11 Emergency Measures 6
  • Article   5.12 Import Checks and Fees 6
  • Article   5.13 Official Certification 6
  • Article   5.14 Cooperation on Antimicrobial Resistance 6
  • Article   5.15 Transparency, Notification, and Information Exchange 6
  • Article   5.16 Technical Working Groups 6
  • Article   5.17 Technical Consultations 6
  • Article   5.18 Sanitary and Phytosanitary Measures Sub-Committee 6
  • Article   5.19 Dispute Settlement 6
  • Chapter   6 ANIMAL WELFARE 6
  • Article   6.1 Objectives 6
  • Article   6.2 General Provisions 6
  • Article   6.3 Right to Regulate and Improvement of Farmed Animal Welfare 6
  • Article   6.4 Cooperation 6
  • Article   6.5 Animal Welfare Working Group 7
  • Article   6.6 Dispute Settlement 7
  • Chapter   7 TECHNICAL BARRIERS TO TRADE 7
  • Section   A General Provisions 7
  • Article   7.1 Definitions 7
  • Article   7.2 Objectives 7
  • Article   7.3 Scope 7
  • Article   7.4 Incorporation of Certain Provisions of the TBT Agreement 7
  • Article   7.5 Cooperation 7
  • Article   7.6 International Standards, Guides, and Recommendations 7
  • Article   7.7 Equivalency of Technical Regulation 7
  • Article   7.8 Conformity Assessment 7
  • Article   7.9 Transparency 7
  • Article   7.10 Contact Points 7
  • Article   7.11 Technical Discussions 7
  • Article   7.12 Annexes and Implementing Arrangements 7
  • Article   7.13 Market Surveillance 7
  • Article   7.14 Marking and Labelling 7
  • Section   B Sector-Specific Provisions 7
  • Article   7.15 Cosmetic Products 7
  • Article   7.16 Medicinal Products 7
  • Article   7.17 Medical Devices 7
  • Chapter   8 TRADE REMEDIES 8
  • Section   A General Provisions 8
  • Article   8.1 Definitions 8
  • Article   8.2 Dispute Settlement 8
  • Section   B Anti-Dumping and Countervailing Duties 8
  • Article   8.3 General Provisions 8
  • Article   8.4 Transparency 8
  • Article   8.5 Lesser Duty 8
  • Article   8.6 Public Interest 8
  • Section   C Global Safeguards 8
  • Article   8.7 General Provisions 8
  • Article   8.8 Transparency 8
  • Section   D Bilateral Safeguards 8
  • Article   8.9 Adoption of Bilateral Safeguard 8
  • Article   8.10 Duration and Scope 8
  • Article   8.11 Investigation Procedure 8
  • Article   8.12 Notification and Consultation 8
  • Article   8.13 Provisional Adoption of Bilateral Safeguard 8
  • Article   8.14 Compensation 8
  • Article   8.15 Non-Cumulation 8
  • Chapter   9 CROSS-BORDER TRADE IN SERVICES 8
  • Article   9.1 Definitions 8
  • Article   9.2 Objectives. 8
  • Article   9.3 Scope 8
  • Article   9.4 Market Access 8
  • Article   9.5 National Treatment 9
  • Article   9.6 Most-Favoured-Nation Treatment 9
  • Article   9.7 Local Presence 9
  • Article   9.8 Non-Conforming Measures 9
  • Article   9.9 Payments and Transfers 9
  • Article   9.10 Subsidies 9
  • Article   9.11 Denial of Benefits 9
  • Article   9.12 Recognition 9
  • Article   9.13 Development Cooperation 9
  • Article   9.14 Services and Investment Sub-Committee 9
  • Chapter   10 DOMESTIC REGULATION 9
  • Article   10.1 Definitions 9
  • Article   10.2 Scope 9
  • Article   10.3 Administration of Measures of General Application 9
  • Article   10.4 Development of Measures 9
  • Article   10.5 Submission of Applications 9
  • Article   10.6 Application Timeframes 9
  • Article   10.7 Electronic Applications and Acceptance of Copies 9
  • Article   10.8 Processing of Applications 9
  • Article   10.9 Fees 9
  • Article   10.10 Examinations 9
  • Article   10.11 Objectivity, Impartiality, and Independence 9
  • Article   10.12 Publication and Information Available 9
  • Article   10.13 Review Procedures for Administrative Decisions 10
  • Article   10.14 Technical Standards 10
  • Article   10.15 Limited Number of Licences 10
  • Article   10.16 Opportunity to Comment Before Entry Into Force 10
  • Article   10.17 Enquiry Points 10
  • Chapter   11 FINANCIAL SERVICES 10
  • Article   11.1 Definitions 10
  • Article   11.2 Scope 10
  • Article   11.3 Specific Exceptions 10
  • Article   11.4 Prudential Exception 10
  • Article   11.5 National Treatment 10
  • Article   11.6 Market Access 10
  • Article   11.7 Financial Data and Information  (4) 10
  • Article   11.8 Payment and Clearing 10
  • Article   11.9 Self-Regulatory Organisations 10
  • Article   11.10 Senior Management and Boards of Directors 10
  • Article   11.11 Transparency 10
  • Article   11.12 Financial Services New to the Territory of a Party 11
  • Article   11.13 Diversity In Finance 11
  • Article   11.14 Sustainable Finance 11
  • Article   11.15 Financial Services Dispute Settlement 11
  • Article   11.16 Institutional 11
  • Article   11.17 Consultation 11
  • Article   11.18 Recognition of Prudential Measures 11
  • Article   11.19 Non-Conforming Measures 11
  • Article   11.20 Provision of Back-Office Functions 11
  • Chapter   12 TELECOMMUNICATIONS 11
  • Article   12.1 Definitions 11
  • Article   12.2 Objectives 11
  • Article   12.3 Scope 11
  • Article   12.4 Approaches to Regulation 12
  • Article   12.5 Access and Use 12
  • Article   12.6 Access to Essential Facilities 12
  • Article   12.7 Interconnection 12
  • Article   12.8 Interconnection with Major Suppliers 12
  • Article   12.9 Number Portability 12
  • Article   12.10 Scarce Resources 12
  • Article   12.11 Competitive Safeguards on Major Suppliers 12
  • Article   12.12 Treatment by Major Suppliers 12
  • Article   12.13 Regulatory Principles 12
  • Article   12.14 Authorisation  (4) 12
  • Article   12.15 Transparency 12
  • Article   12.16 Universal Service Obligation 12
  • Article   12.17 International Mobile Roaming Services 12
  • Article   12.18 Dispute Resolution 12
  • Article   12.19 Confidentiality 12
  • Article   12.20 Flexibility In the Choice of Technology 12
  • Article   12.21 Cooperation 12
  • Chapter   13 TEMPORARY ENTRY OF BUSINESS PERSONS 12
  • Article   13.1 Definitions 12
  • Article   13.2 Objectives 12
  • Article   13.3 Scope 12
  • Article   13.4 Application Procedures 12
  • Article   13.5 Grant of Temporary Entry 13
  • Article   13.6 Provision of Information 13
  • Article   13.7 Institutional Arrangements 13
  • Article   13.8 Relation to other Chapters 13
  • Article   13.9 Dispute Settlement 13
  • Article   13.10 Cooperation on Return and Readmissions 13
  • Chapter   14 INVESTMENT 13
  • Article   14.1 Objectives 13
  • Article   14.2 Definitions 13
  • Article   14.3 Scope 13
  • Article   14.4 Relation to other Chapters 13
  • Article   14.5 Market Access 13
  • Article   14.6 National Treatment 13
  • Article   14.7 Most-Favoured-Nation Treatment 13
  • Article   14.8 Performance Requirements 13
  • Article   14.9 Senior Management and Boards of Directors 13
  • Article   14.10 Non-Conforming Measures 13
  • Article   14.11 Minimum Standard of Treatment  (14) 14
  • Article   14.12 Treatment In Case of Armed Conflict or Civil Strife 14
  • Article   14.13 Transfers 14
  • Article   14.14 Expropriation and Compensation  (15) 14
  • Article   14.15 Subrogation 14
  • Article   14.16 Special Formalities and Disclosure of Information 14
  • Article   14.17 Denial of Benefits 14
  • Article   14.18 Investment and Environmental, Health, and other Regulatory Objectives 14
  • Article   14.19 Corporate Social Responsibility 14
  • Annex 14A  CUSTOMARY INTERNATIONAL LAW 14
  • Annex 14 B  EXPROPRIATION 14
  • Chapter   15 DIGITAL TRADE 14
  • Article   15.1 Definitions 14
  • Article   15.2 Objectives 14
  • Article   15.3 Scope and General Provisions 14
  • Article   15.4 Customs Duties 14
  • Article   15.5 Conclusion of Contracts by Electronic Means 14
  • Article   15.6 Domestic Electronic Transactions Framework 15
  • Article   15.7 Electronic Authentication 15
  • Article   15.8 Digital Identities 15
  • Article   15.9 Electronic Invoicing 15
  • Article   15.10 Paperless Trading 15
  • Article   15.11 Unsolicited Commercial Electronic Messages 15
  • Article   15.12 Commercial Information and Communication Technology Products That UseCryptography 15
  • Article   15.13 Personal Information Protection 15
  • Article   15.14 Cross-Border Transfer of Information by Electronic Means 15
  • Article   15.15 Location of Computing Facilities 15
  • Article   15.16 Open Internet Access 15
  • Article   15.17 Open Government Data 15
  • Article   15.18 Cooperation on Cyber Security Matters 15
  • Article   15.19 Digital Innovation and Emerging Technologies 15
  • Article   15.20 Digital Inclusion 15
  • Article   15.21 Cooperation 15
  • Article   15.22 Review 15
  • Chapter   16 GOVERNMENT PROCUREMENT 15
  • Article   16.1 Definitions 15
  • Article   16.2 Scope 16
  • Article   16.3 General Exceptions 16
  • Article   16.4 General Principles 16
  • Article   16.5 Information on the Procurement System 16
  • Article   16.6 Notices 16
  • Article   16.7 Conditions for Participation 16
  • Article   16.8 Qualification of Suppliers 16
  • Article   16.9 Technical Specifications and Tender DocumentationTechnical Specifications 17
  • Article   16.10 Environmental, Social, and Labour Considerations 17
  • Article   16.11 Facilitation of Participation by SMEs 17
  • Article   16.12 Time Periods 17
  • Article   16.13 Negotiation 17
  • Article   16.14 Limited Tendering 17
  • Article   16.15 Electronic Auctions 17
  • Article   16.16 Treatment of Tenders and Awarding of Contracts 17
  • Article   16.17 Transparency of Procurement Information 17
  • Article   16.18 Ensuring Integrity In Procurement Practices 18
  • Article   16.19 Disclosure of Information 18
  • Article   16.20 Domestic Review Procedures 18
  • Article   16.21 Modifications and Rectifications of Annex 18
  • Article   16.22 Government Procurement Working Group 18
  • Article   16.23 Further Negotiations 18
  • Chapter   17 Intellectual Property 18
  • Section   A General Provisions 18
  • Article   17.1 Definitions 18
  • Article   17.2 Objectives 18
  • Article   17.3 Principles 18
  • Article   17.4 Understandings In Respect of this Chapter 18
  • Article   17.5 Nature and Scope of Obligations 18
  • Article   17.6 Understandings Regarding Certain Public Health Measures 18
  • Article   17.7 National Treatment 18
  • Article   17.8 International Agreements 18
  • Article   17.9 Transparency 19
  • Article   17.10 Application of Chapter to Existing Subject Matter and Prior Acts 19
  • Article   17.11 Exhaustion of Intellectual Property Rights 19
  • Section   B Cooperation 19
  • Article   17.12 Contact Points 19
  • Article   17.13 Cooperation and Dialogue 19
  • Article   17.14 Intellectual Property Working Group 19
  • Article   17.15 Patent Cooperation and Work Sharing 19
  • Article   17.16 Cooperation on Request 19
  • Section   C Intellectual Property and Issues Related to Genetic Resources, Traditional Knowledge, and Traditional Cultural Expressions 19
  • Article   17.17 Cooperation 19
  • Article   17.18 Patent Examination and Traditional Knowledge Associated with Genetic Resources 19
  • Article   17.19 WIPO Intergovernmental Committee on Intellectual Property and Genetic Resources, Traditional Knowledge and Folklore 19
  • Article   17.20 Section Review 19
  • Section   D Trade Marks 19
  • Article   17.21 Types of Signs Registrable as Trade Marks 19
  • Article   17.22 Rights Conferred 19
  • Article   17.23 Exceptions 19
  • Article   17.24 Well-Known Trade Marks 19
  • Article   17.25 Procedural Aspects of Examination, Opposition, and Cancellation 19
  • Article   17.26 Bad Faith Applications 19
  • Article   17.27 Electronic Trade Marks Systems 19
  • Article   17.28 Term of Protection for Trade Marks 19
  • Article   17.29 Efforts Toward the Harmonisation of Trade Mark Systems 19
  • Article   17.30 Domain Names 19
  • Article   17.28 Term of Protection for Trade Marks 19
  • Article   17.29 Efforts Toward the Harmonisation of Trade Mark Systems 19
  • Article   17.30 Domain Names 19
  • Section   E Geographical Indications 19
  • Article   17.31 Scope of Application of this Section 19
  • Article   17.32 Recognition and Protection of Geographical Indications 19
  • Article   17.33 Consultations on Recognition and Protection of Geographical Indications 19
  • Article   17.34 Alternative Review of this Section 20
  • Article   17.35 Lists of Geographical Indications 20
  • Section   F Registered Designs 20
  • Article   17.36 Protection of Registered Designs 20
  • Article   17.37 Duration of Protection 20
  • Article   17.38 Electronic Industrial Design System 20
  • Article   17.39 Relationship to Copyright 20
  • Article   17.40 International Registration of Industrial Designs 20
  • Section   G Copyright and Related Rights 20
  • Article   17.41 Authors 20
  • Article   17.42 Performers 20
  • Article   17.43 Producers of Phonograms 20
  • Article   17.44 Broadcasting Organisations 20
  • Article   17.45 Broadcasting and Communication to the Public of Phonograms Published for Commercial Purposes  (16) 20
  • Article   17.46 Artist's Resale Right 20
  • Article   17.47 Limitations and Exceptions 20
  • Article   17.48 Term of Protection 20
  • Article   17.49 Collective Management Organisations 20
  • Article   17.50 Technological Protection Measures 20
  • Article   17.51 Rights Management Information 20
  • Section   H Patents 20
  • Article   17.52 Rights Conferred 20
  • Article   17.53 Patentable Subject Matter 20
  • Article   17.54 Exceptions 20
  • Article   17.55 Regulatory Review Exception 20
  • Article   17.56 Other Use without Authorisation of the Right Holder 20
  • Article   17.57 Amendments, Corrections, and Observations 20
  • Article   17.58 Publication of Patent Applications 20
  • Article   17.59 Information Relating to Published Patent Applications and Granted Patents 20
  • Article   17.60 Conditions on Patent Applicants 20
  • Section   I Undisclosed Test or other Data 20
  • Article   17.61 Protection of Undisclosed Test or other Data for Agricultural Chemical Products 20
  • Article   17.62 Protection of Undisclosed Test or other Data for Pharmaceutical Products 21
  • Section   J Trade Secrets 21
  • Article   17.63 Trade Secrets 21
  • Section   K Enforcement 21
  • Subsection   K.1 Enforcement - General Obligations 21
  • Article   17.64 General Obligations 21
  • Subsection   K.2 Enforcement - Civil Remedies 21
  • Article   17.65 Entitled Applicants 21
  • Article   17.66 Provisional Measures for Preserving Evidence 21
  • Article   17.67 Provisional and Precautionary Measures 21
  • Article   17.68 Safeguards 21
  • Article   17.69 Right to Information 21
  • Article   17.70 Injunctions 21
  • Article   17.71 Corrective Measures 21
  • Article   17.72 Damages 21
  • Article   17.73 Costs 21
  • Subsection   K.3 Enforcement - Border Measures 21
  • Article   17.74 Border Measures 21
  • Subsection   K.4 Enforcement - Criminal Remedies 21
  • Article   17.75 Criminal Offences 21
  • Article   17.76 Penalties 21
  • Article   17.77 Seizure, Forfeiture, and Destruction 21
  • Article   17.78 Ex Officio Enforcement 22
  • Article   17.79 Liability of Legal Persons 22
  • Subsection   K.5 Enforcement In the Digital Environment 22
  • Article   17.80 General Obligations on Enforcement In the Digital Environment 22
  • Article   17.81 Limitations on Liability of Online Service Providers 22
  • Article   17.82 Blocking Orders 22
  • Article   17.83 Procedures for Domain Registries 22
  • Article   17.84 Disclosure of Information 22
  • Subsection   K.6 Enforcement Practices with Respect to Intellectual Property Rights 22
  • Article   17.85 Transparency of Judicial Decisions and Administrative Rulings 22
  • Article   17.86 Voluntary Stakeholder Initiatives 22
  • Article   17.87 Public Awareness 22
  • Article   17.88 Specialised Enforcement Expertise, Information and Domestic Coordination 22
  • Article   17.89 Environmental Considerations In Destruction and Disposal of Infringing Goods 22
  • Chapter   18 COMPETITION 22
  • Article   18.1 Objectives 22
  • Article   18.2 Competition Law and Authorities 22
  • Article   18.3 Procedural Fairness 22
  • Article   18.4 Private Rights of Action 22
  • Article   18.5 Cooperation 22
  • Article   18.6 Transparency 22
  • Article   18.7 Consultation 22
  • Article   18.8 Non-Application of Dispute Settlement 22
  • Chapter   19 STATE-OWNED ENTERPRISES AND DESIGNATED MONOPOLIES 22
  • Article   19.1 Definitions 22
  • Article   19.2 Scope  (8) 22
  • Article   19.3 Delegated Authority 23
  • Article   19.4 Non-Discriminatory Treatment and Commercial Considerations 23
  • Article   19.5 Legal and Regulatory Framework 23
  • Article   19.6 Non-Commercial Assistance 23
  • Article   19.7 Adverse Effects 23
  • Article   19.8 Injury 23
  • Article   19.9 Transparency 23
  • Article   19.10 Technical Cooperation 23
  • Article   19.11 Contact Points 23
  • Article   19.12 Exceptions 23
  • Article   19.13 Process for Developing Information 24
  • Chapter   20 CONSUMER PROTECTION 24
  • Article   20.1 Objectives 24
  • Article   20.2 Consumer Protection Law 24
  • Article   20.3 Online Consumer Protection 24
  • Article   20.4 Transparency 24
  • Article   20.5 Consumer Redress In Cross-Border Transactions 24
  • Article   20.6 Cooperation 24
  • Article   20.7 Consultations 24
  • Chapter   21 GOOD REGULATORY PRACTICE AND REGULATORY COOPERATION 24
  • Article   21.1 Definitions 24
  • Article   21.2 General Principles 24
  • Article   21.3 Internal Coordination Processes and Mechanisms 24
  • Article   21.4 Public Consultation 24
  • Article   21.5 Impact Assessment 24
  • Article   21.6 Access to Regulatory Measures 24
  • Article   21.7 Periodic Review of Measures 24
  • Article   21.8 Cooperation General Provisions 24
  • Article   21.9 Cooperation on Good Regulatory Practice 24
  • Article   21.10 Contact Points on Good Regulatory Practice 24
  • Article   21.11 General Principles on Regulatory Cooperation 24
  • Article   21.12 Regulatory Cooperation Activities 25
  • Article   21.13 Contact Points on Regulatory Cooperation 25
  • Article   21.14 Relation to other Chapters 25
  • Article   21.15 Dispute Settlement 25
  • Chapter   22 ENVIRONMENT 25
  • Article   22.1 Definitions 25
  • Article   22.2 Maori Environmental Concepts 25
  • Article   22.3 Context and Objectives 25
  • Article   22.4 General Commitments 25
  • Article   22.5 Multilateral Environmental Agreements 25
  • Article   22.6 Climate Change 25
  • Article   22.7 Environmental Goods and Services 25
  • Article   22.8 Fossil Fuel Subsidy Reform and Transition to Clean Energy 25
  • Article   22.9 Marine Capture Fisheries (4) 25
  • Article   22.10 Sustainable Agriculture 26
  • Article   22.11 Sustainable Forest Management 26
  • Article   22.12 Conservation of Biological Diversity 26
  • Article   22.13 Resource Efficient and Circular Economy 26
  • Article   22.14 Ozone Depleting Substances and Hydrofluorocarbons 26
  • Article   22.15 Air Quality 26
  • Article   22.16 Protection of the Marine Environment from Ship Pollution and Marine Litter 26
  • Article   22.17 Voluntary Mechanisms to Enhance Environmental Performance 26
  • Article   22.18 Responsible Business Conduct and Corporate Social Responsibility 26
  • Article   22.19 Cooperation 26
  • Article   22.20 Institutional Arrangements 27
  • Article   22.21 Public Submissions 27
  • Article   22.22 Independent Advisory Groups 27
  • Article   22.23 Environment Consultations 27
  • Article   22.24 Joint Committee Consultations 27
  • Article   22.25 Ministerial Consultations 27
  • Article   22.26 Dispute Resolution 27
  • Chapter   23 TRADE AND LABOUR 27
  • Article   23.1 Definitions 27
  • Article   23.2 Objective 27
  • Article   23.3 Statement of Shared Commitment 27
  • Article   23.4 Right to Regulate and Levels of Protection 27
  • Article   23.5 Labour Rights  (1) 27
  • Article   23.6 Trade and Labour 27
  • Article   23.7 Decent Work 27
  • Article   23.8 Non-Discrimination and Gender Equality In the Workplace 27
  • Article   23.9 Modern Slavery 27
  • Article   23.10 Corporate Social Responsibility and Responsible Business Conduct 27
  • Article   23.11 Labour Cooperation 27
  • Article   23.12 Public Awareness 27
  • Article   23.13 Procedural Guarantees 27
  • Article   23.14 Advisory Groups 27
  • Article   23.15 Public Submissions 27
  • Article   23.16 Contact Points 28
  • Article   23.17 Labour Sub-Committee 28
  • Article   23.18 Labour Consultations 28
  • Article   23.19 Joint Committee Consultations 28
  • Article   23.20 Ministerial Consultations 28
  • Article   23.21 Consultation Procedure 28
  • Article   23.22 Dispute Settlement 28
  • Chapter   24 SMALL AND MEDIUM-SIZED ENTERPRISES 28
  • Article   24.1 General Principles 28
  • Article   24.2 Information Sharing 28
  • Article   24.3 Cooperation to Increase Trade and Investment Opportunities for SMEs 28
  • Article   24.4 Cooperation on Implementation of this Agreement 28
  • Article   24.5 SME Contact Points 28
  • Article   24.6 Obligations In the Agreement That Benefit SMEs 28
  • Article   24.7 Non-Application of Dispute Settlement 28
  • Chapter   25 TRADE AND GENDER EQUALITY 28
  • Article   25.1 Maori Terminology 28
  • Article   25.2 Objectives 28
  • Article   25.3 General Commitments 28
  • Article   25.4 International Instruments 28
  • Article   25.5 Cooperation 28
  • Article   25.6 Inclusive Trade Sub-Committee 29
  • Article   25.7 Contact Points 29
  • Article   25.8 Non-Application of Dispute Settlement 29
  • Chapter   26 MAORI TRADE AND ECONOMIC COOPERATION 29
  • Article   26.1 Maori Terminology 29
  • Article   26.2 Context and Purpose 29
  • Article   26.3 International Instruments 29
  • Article   26.4 Provisions Across the Agreement Benefitting Maori 29
  • Article   26.5 Cooperation Activities 29
  • Article   26.6 Recognition of Haka Ka Mate 29
  • Article   26.7 Inclusive Trade Sub-Committee 29
  • Article   26.8 Non-Application of Dispute Settlement 29
  • Chapter   27 TRADE AND DEVELOPMENT 29
  • Article   27.1 General Provisions 29
  • Article   27.2 Cooperation 29
  • Article   27.3 Inclusive Trade Sub-Committee 29
  • Article   27.4 Contact Points 29
  • Article   27.5 Dispute Settlement 29
  • Chapter   28 ANTI-CORRUPTION 29
  • Article   28.1 Definitions 29
  • Article   28.2 Scope 29
  • Article   28.3 Measures to Prevent and Combat Bribery and Corruption 29
  • Article   28.4 Persons That Report Bribery or Corruption Offences 30
  • Article   28.5 Promoting Integrity Among Public Officials 30
  • Article   28.6 Participation of Private Sector and Civil Society 30
  • Article   28.7 Application and Enforcement of Measures to Prevent and Combat Bribery and Corruption 30
  • Article   28.8 Relation to other Agreements 30
  • Article   28.9 Cooperation, Consultation, and Dispute Settlement 30
  • Chapter   29 TRANSPARENCY 30
  • Article   29.1 DefinitionsFor the Purposes of this Chapter: 30
  • Article   29.2 Publication 30
  • Article   29.3 Administrative Proceedings 30
  • Article   29.4 Review and Appeal  (1) 30
  • Article   29.5 Provision of Information 30
  • Article   29.6 Accessible and Open Government 30
  • Chapter   30 INSTITUTIONAL PROVISIONS 30
  • Article   30.1 Establishment of the Joint Committee 30
  • Article   30.2 Functions of the Joint Committee 30
  • Article   30.3 General Review 30
  • Article   30.5 Contact Points 30
  • Article   30.6 Exchange of Information 30
  • Article   30.7 Domestic Engagement 30
  • Article   30.8 Inclusive Trade Sub-Committee 30
  • Article   30.9 Sub-Committees 31
  • Article   30.10 Working Groups 31
  • Chapter   31 DISPUTE SETTLEMENT 31
  • Article   31.1 Definitions 31
  • Article   31.2 Objective 31
  • Article   31.3 Cooperation 31
  • Article   31.4 Scope 31
  • Article   31.5 Consultations 31
  • Article   31.6 Establishment of a Panel 31
  • Article   31.7 Composition of a Panel 31
  • Article   31.8 Qualifications of ArbitratorsAll Arbitrators Shall: 31
  • Article   31.9 Functions of a Panel 31
  • Article   31.10 Terms of Reference of a Panel 31
  • Article   31.11 Rules of Interpretation of a Panel 31
  • Article   31.12 Reports of a Panel 31
  • Article   31.13 Compliance with the Final Report 31
  • Article   31.14 Compliance Review 32
  • Article   31.15 Temporary Remedies In Case of Non-Compliance 32
  • Article   31.16 Compliance Review after the Adoption of Temporary Remedies 32
  • Article   31.17 Administration of the Dispute Settlement Procedure 32
  • Article   31.18 Choice of Forum 32
  • Article   31.19 Cases of Urgency 32
  • Article   31.20 Good Offices, Conciliation, and Mediation 32
  • Article   31.21 Mutually Agreed Solution 32
  • Article   31.22 Suspension and Termination of Proceedings 32
  • Article   31.23 Rules of Procedure and Code of Conduct 32
  • Article   31.24 Time Periods 32
  • Article   31.25 Expenses 32
  • Annex 31 A  RULES OF PROCEDURE 32
  • Appendix 31 A-a  CONFIDENTIAL INFORMATION 33
  • Appendix 31 A-b  DECLARATION OF NON-DISCLOSURE 33
  • Annex 31 B  CODE OF CONDUCT 33
  • Section   A Provision of Code of Conduct 33
  • Section   B Governing Principles 33
  • Section   C Disclosure Obligations 33
  • Section   D Performance of Duties 33
  • Section   E Independence and Impartiality of Arbitrators 33
  • Section   F Duties of Former Arbitrators 33
  • Section   G Maintenance of Confidentiality 33
  • Section   H Responsibilities of Experts, Assistants, Staff, and ADR Providers 33
  • Appendix 31 B-a  INITIAL DISCLOSURE STATEMENT 33
  • Chapter   32 GENERAL EXCEPTIONS AND GENERAL PROVISIONS 33
  • Article   32.1 General Exceptions 33
  • Article   32.2 Security Exceptions 33
  • Article   32.3 Measures to Safeguard the Balance of Payments 33
  • Article   32.4 Taxation Measures 33
  • Article   32.5 Treaty of Waitangi 34
  • Article   32.6 The National Health Service of the United Kingdom and the New Zealand Health and Disability System 34
  • Article   32.7 Disclosure of Information 34
  • Article   32.8 Confidentiality 34
  • Chapter   33 FINAL PROVISIONS 34
  • Article   33.1 Annexes, Appendices, and Footnotes 34
  • Article   33.2 Amended or Successor International Agreements 34
  • Article   33.3 Amendments 34
  • Article   33.4 Termination 34
  • Article   33.5 Laws and Regulations and Their Amendments 34
  • Article   33.6 Territorial Extension 34
  • Article   33.7 Territorial Disapplication 34
  • Article   33.8 Entry Into Force 34
  • Annex I  CROSS-BORDER TRADE IN SERVICES AND INVESTMENT. NON-CONFORMING MEASURES 34
  • Annex I  Schedule of New Zealand 34
  • Annex I  Schedule of the United Kingdom 35
  • Annex II  CROSS-BORDER TRADE IN SERVICES AND INVESTMENT. NON-CONFORMING MEASURES 35
  • Annex II  Schedule of New Zealand 36
  • Annex II  Schedule of the United Kingdom 39