Korea, Republic of - United States FTA (2007)
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Article 21.6. ANTI-CORRUPTION

1. The Parties reaffirm their resolve to eliminate bribery and corruption in international trade and investment.

2. Each Party shall adopt or maintain the necessary legislative or other measures to establish that it is a criminal offense under its law, in matters affecting international trade or investment, for:

(a) a public official of the Party or a person who performs public functions for the Party intentionally to solicit or accept, directly or indirectly, any article of monetary value or other benefit, such as a favor, promise, or advantage, for himself or for another person, in exchange for any act or omission in the performance of his public functions;

(b) any person subject to the jurisdiction of the Party intentionally to offer or grant, directly or indirectly, to a public official of the Party or a person who performs public functions for the Party any article of monetary value or other benefit, such as a favor, promise, or advantage, for himself or for another person, in exchange for any act or omission in the performance of his public functions;

(c) any person subject to the jurisdiction of the Party intentionally to offer, promise, or give any undue pecuniary or other advantage, directly or indirectly, to a foreign official, for that official or for another person, in order that the official act or refrain from acting in relation to the performance of official duties, in order to obtain or retain business or other improper advantage in the conduct of international business; and

(d) any person subject to the jurisdiction of the Party to aid or abet, or to conspire in, the commission of any of the offenses described in subparagraphs (a) through (c).

3. Each Party shall adopt or maintain appropriate penalties and procedures to enforce the criminal measures that it adopts or maintains in conformity with paragraph 2.

4. Each Party shall adopt or maintain appropriate measures to protect persons who, in good faith, report acts of bribery described in paragraph 2.

5. The Parties recognize the importance of regional and multilateral initiatives to

eliminate bribery and corruption in international trade and investment. The Parties shall endeavor to work jointly to encourage and support appropriate initiatives in relevant international fora.

Article 21.7. DEFINITIONS

For purposes of this Chapter:

act or refrain from acting in relation to the performance of official duties includes any use of the official's position, whether or not within the official's authorized competence;

administrative ruling of general application means an administrative ruling or interpretation that applies to all persons and fact situations that fall generally within its ambit and that establishes a norm of conduct but does not include:

(a) a determination or ruling made in an administrative or quasi-judicial proceeding that applies to a particular person, good, or service of the other Party in a specific case; or

(b) aruling that adjudicates with respect to a particular act or practice;

foreign official means any person holding a legislative, administrative, or judicial office of a foreign country, at any level of government, whether appointed or elected; any person exercising a public function for a foreign country at any level of government, including for a public agency or public enterprise; and any official or agent of a public international organization;

public function means any temporary or permanent, paid or honorary activity, performed by a natural person in the name of a Party or in the service of a Party, such as procurement, at the central level of government; and

public official means any official or employee of a Party at the central level of government, whether appointed or elected.

Chapter Twenty-Two. INSTITUTIONAL PROVISIONS AND DISPUTE SETTLEMENT

Section A. Institutional Provisions and Administration

Article 22.1. CONTACT POINTS

1. Each Party shall designate a contact point or points to facilitate communications between the Parties on any matter covered by this Agreement.

2. On request of the other Party, a Party's contact point shall identify the office or official responsible for the matter and assist, as necessary, in facilitating communications with the other Party.

Article 22.2. JOINT COMMITTEE

1. The Parties hereby establish a Joint Committee comprising officials of each Party, which shall be co-chaired by the United States Trade Representative and the Minister for Trade of Korea, or their respective designees.

2. The Joint Committee shall:

(a) supervise the implementation of this Agreement;

(b) supervise the work of all committees, working groups, and other bodies established under this Agreement;

(c) consider ways to further enhance trade relations between the Parties;

(d) seek to resolve disputes that may arise regarding the interpretation or application of this Agreement;

(e) establish the amount of remuneration and expenses that will be paid to panelists; and

( consider any other matter that may affect the operation of this Agreement.

3. The Joint Committee may:

(a) establish and delegate responsibilities to ad hoc and standing committees, working groups, or other bodies;

(b) seek the advice of non-governmental persons or groups;

(c) consider amendments to this Agreement or make modifications to the commitments therein;

(d) issue interpretations of the provisions of this Agreement, including as provided in Articles 11.22 (Governing Law) and 11.23 (Interpretation of Annexes);

(e) adopt its own rules of procedure; and

(f) take such other action in the exercise of its functions as the Parties may agree.

4. Unless the Parties otherwise agree, the Joint Committee shall convene:

(a) in regular session every year, with such sessions to be held alternately in the territory of each Party; and

(b) in special session within 30 days of the request of a Party, with such sessions to be held in the territory of the other Party or at such location as the Parties may agree.

5. Each Party shall treat any confidential information exchanged in relation to a meeting of the Joint Committee or any body created under paragraph 3(a) on the same basis as the Party providing the information.

6. Recognizing the importance of transparency and openness, the Parties affirm their respective practices of considering the views of members of the public in order to draw on a broad range of perspectives in the implementation of this Agreement.

7. All decisions of the Joint Committee and all committees, working groups, and other bodies established under this Agreement shall be taken by consensus of the Parties.

Section B. Dispute Settlement Proceedings

Article 22.3. COOPERATION

The Parties shall endeavor to agree on the interpretation and application of this Agreement, and shall make every attempt through cooperation and consultations to arrive at a mutually satisfactory resolution of any matter that might affect its operation.

Article 22.4. SCOPE OF APPLICATION

Except as otherwise provided in this Agreement or as the Parties otherwise agree, this Section shall apply with respect to the avoidance or settlement of all disputes between the Parties regarding the interpretation or application of this Agreement or wherever a Party considers that:

(a) a measure of the other Party is inconsistent with its obligations under this Agreement;

(b) the other Party has otherwise failed to carry out its obligations under this Agreement; or

(c) a benefit the Party could reasonably have expected to accrue to it under Chapter Two (National Treatment and Market Access for Goods), Three(Agriculture), Four (Textiles and Apparel), Six (Rules of Origin and Origin Procedures), Twelve (Cross-Border Trade in Services), Seventeen (Government Procurement), or Eighteen (Intellectual Property Rights) (1) is being nullified or impaired as a result of a measure that is not inconsistent with this Agreement, except that neither Party may invoke this subparagraph with respect to a benefit under Chapter Twelve (Cross- Border Trade in Services) or Eighteen (Intellectual Property Rights) if the measure is subject to an exception under Article 23.1 (General Exceptions).

(1) Neither Party will invoke subparagraph (c) with respect to a measure affecting benefits under Chapter Eighteen (Intellectual Property Rights) during any period for which WTO Members have agreed not to initiate complaints of the type provided for under subparagraph 1(b) of Article XXIII of GATT 1994 under the TRIPS Agreement.

Article 22.5. ADMINISTRATION OF DISPUTE SETTLEMENT PROCEEDINGS

Each Party shall designate an office that shall be responsible for providing administrative assistance to panels established under Article 22.9. Each Party shall be responsible for the operation and costs of its designated office and shall notify the other Party of its location.

Article 22.6. CHOICE OF FORUM

1. Where a dispute regarding any matter arises under this Agreement and under the WTO Agreement or any other agreement to which both Parties are party, the complaining Party may select the forum in which to settle the dispute.

2. Once the complaining Party has requested the establishment of, or referred a matter to, a dispute settlement panel under an agreement referred to in paragraph 1, the forum selected shall be used to the exclusion of other fora.

Article 22.7. CONSULTATIONS

1. Either Party may request consultations with the other Party with respect to any matter described in Article 22.4 by delivering written notification to the other Party. The complaining Party shall set out the reasons for the request, including identification of the measure or other matter at issue and an indication of the legal basis for the complaint. The other Party shall reply promptly to the request and enter into consultations.

2. Promptly after requesting or receiving a request for consultations pursuant to this Article, each Party shall seek the views of interested parties and other members of the public on the matter in order to draw on a broad range of perspectives.

3. Each Party shall:

(a) provide sufficient information in the consultations to enable a full examination of how the matter subject to consultations might affect the operation of this Agreement; and

(b) treat any confidential information exchanged in the course of consultations on the same basis as the Party providing the information.

4. A Party may request the other Party to make available during consultations under this Article personnel of its government agencies or other regulatory bodies who have expertise in the matter subject to consultations.

Article 22.8. REFERRAL TO THE JOINT COMMITTEE

1. If the Parties fail to resolve a matter within 60 days of the delivery of a request for consultations under Article 22.7, or 20 days where the matter concerns perishable goods, (2) either Party may refer the matter to the Joint Committee by delivering written notification to the other Party.

2. If the Parties fail to resolve a matter within 60 days of the delivery of a request for consultations under Article 19.7 (Labor Consultations) or 20.9 (Environmental Consultations and Panel Procedure), either Party may also refer the matter to the Joint Committee by delivering written notification to the other Party.

3. The Joint Committee shall promptly meet and endeavor to resolve the matter.

(2) For greater certainty, perishable goods means perishable agricultural and fish goods classified in HS Chapters 1 through 24.

Article 22.9. ESTABLISHMENT OF PANEL  (3)

1. If the Joint Committee has not resolved a matter within 60 days after delivery ofa notification described in Article 22.8, within 30 days where the matter concerns perishable goods, or within such other period as the Parties may agree, the complaining Party may refer the matter to a dispute settlement panel by delivering written notification to the other Party. The complaining Party shall set out the reasons for the request, including identification of the measure or other matter at issue and a brief summary of the legal basis for the complaint sufficient to present the problem clearly.

2. Unless the Parties otherwise agree, the Parties shall apply the following procedures in selecting a panel:

(a) The panel shall have three members.

(b) Each Party shall propose one panelist within 28 days after the matter has been referred to a panel. If a Party fails to propose a panelist within that period, the Parties shall meet within seven days and select a panelist by lot from among the members of the contingent list established under paragraph 3 who are nationals of that Party.

(c) A Party may exercise a peremptory challenge against any individual not on the contingent list within 14 days after the individual has been proposed as a panelist. Ifa Party has exercised three peremptory challenges, the other Party shall select a panelist from the contingent list.

(d) The Parties shall endeavor to agree on a third panelist who shall serve as chair.

(e) If the Parties are unable to agree on the chair within 28 days after the date on which the second panelist has been appointed, the Parties shall meet within seven days and select the chair by lot from among the members of the contingent list established under paragraph 3 who are not nationals of either Party. (4)

(f) A panelist shall be considered appointed to a panel when that person is proposed pursuant to subparagraph (b) and no peremptory challenge is exercised pursuant to subparagraph (c), or when that person is selected from the contingent list pursuant to this paragraph.

3. Within 180 days of the date this Agreement enters into force, the Parties shall establish a contingent list of individuals who are willing and able to serve as panelists. Unless the Parties otherwise agree, the contingent list shall include at least six nationals of each Party and at least eight individuals who are not nationals of either Party. An individual on the contingent list shall be appointed by agreement of the Parties for a minimum term of three years, and shall remain on the list until the individual is replaced or is unable to serve. The Parties shall review the contingent list every three years and may replace individuals on the list as appropriate. The Parties may also appoint a replacement where a member of the contingent list is no longer available to serve.

4. Individuals appointed to a panel pursuant to paragraph 2 or to the contingent list pursuant to paragraph 3 shall:

(a) be chosen strictly on the basis of objectivity, reliability, and sound judgment;

(b) have expertise or experience in law, international trade, or the resolution of disputes arising under international trade agreements;

(c) be independent of, and not be affiliated with or take instructions from, either Party; and

(d) comply with a code of conduct to be established by the Joint Committee. In addition, in any dispute arising under Chapter Nineteen (Labor) or Twenty (Environment), panelists other than those chosen by lot from the contingent list shall have expertise or experience relevant to the subject matter under dispute. Paragraph 2(c) shall not apply to disputes arising under Chapter Nineteen or Twenty.

(3) Article 13.18 (Dispute Settlement) contains additional provisions relating to the establishment of a panel for matters arising under Chapter Thirteen (Financial Services).
(4) If a panelist selected by lot under subparagraph (b) or (e) is unable to serve on the panel, the Parties shall meet within seven days of learning that the panelist is unavailable to select another panelist by lot from among the remaining members of the contingent list who are nationals of the relevant Party (in the case of subparagraph (b)) or not nationals of either Party (in the case of subparagraph (e)). If a panelist becomes unable to serve during the course of the proceeding or when the panel is reconvened pursuant to Article 22.13 or 22.14, then within seven days of learning that the panelist is unavailable, the relevant Party shall select a replacement panelist from the contingent list or, in the case of the chair, the Parties shall meet to select a replacement chair by lot from among the members of the contingent list who are not nationals of either Party.

Article 22.10. RULES OF PROCEDURE

1. By the date this Agreement enters into force, the Parties shall establish model tules of procedure, which shall ensure:

(a) aright to at least one hearing before the panel;

(b) that, subject to subparagraph (f), any hearing before the panel shall be open to the public;

(c) an opportunity for each Party to provide initial and rebuttal submissions;

(d) that each Party's written submissions, written versions of its oral statements, and written responses to a request or questions from the panel shall be made available to the public within seven days after they are submitted, subject to subparagraph (f);

(e) that the panel shall consider requests from non-governmental entities located in the Parties' territories to provide written views regarding the dispute that may assist the panel in evaluating the submissions and arguments of the Parties; and

(f) the protection of confidential information.

2. Unless the Parties otherwise agree, the panel shall follow the model rules of procedure and may, after consulting with the Parties, adopt additional rules of procedure not inconsistent with the model rules.

3. Unless the Parties otherwise agree within 20 days from the date of the delivery of the request for the establishment of the panel, the panel's terms of reference shall be:

"To examine, in the light of the relevant provisions of this Agreement, the matter referenced in the request for the establishment of the panel, to make findings, determinations, and recommendations as provided in paragraphs 1 and 2 of Article 22.11, and to present the written reports referred to in paragraphs 1 and 4 of Article 22.11."

4. On request of a Party, or on its own initiative, the panel may seek information and technical advice from any person or body that it deems appropriate, provided that the Parties so agree and subject to such terms and conditions as the Parties may agree.

Article 22.11. PANEL REPORT

1. Unless the Parties otherwise agree, the panel shall, within 180 days after the chair is appointed, present to the Parties an initial report containing findings of fact and its determination as to:

(a) (i) whether the measure at issue is inconsistent with the obligations of this Agreement;

(ii) whether a Party has otherwise failed to carry out its obligations under this Agreement; or

(iii) whether the measure at issue is causing nullification or impairment in the sense of Article 22.4(c); and

(b) any other matter that the Parties have jointly requested that the Panel address,

as well as the reasons for its findings and determinations.

2. The panel shall base its report on the relevant provisions of this Agreement and the submissions and arguments of the Parties. The panel shall consider this Agreement in accordance with customary rules of interpretation of public international law, which are reflected in Articles 31 through 33 of the Vienna Convention on the Law of Treaties (1969). The panel may, at the request of the Parties, make recommendations for the resolution of the dispute.

3. Each Party may submit written comments to the panel on its initial report within 14 days of the presentation of the report. After considering any written comments by the Parties on the initial report, the panel may modify its report and make any further examination it considers appropriate.

4. The panel shall present a final report to the Parties within 45 days of presentation of the initial report, unless the Parties otherwise agree. The Parties shall make the final report available to the public within 15 days thereafter, subject to the protection of confidential information.

Article 22.12. IMPLEMENTATION OF THE FINAL REPORT

1. On receipt of the final report of a panel, the Parties shall agree on the resolution of the dispute, which normally shall conform with the determinations and recommendations, if any, of the panel.

2. If, in its final report, the panel determines that a Party has not conformed with its obligations under this Agreement or that a Party’s measure is causing nullification or impairment in the sense of Article 22.4(c), the resolution, whenever possible, shall be to eliminate the non-conformity or the nullification or impairment.

Article 22.13. NON-IMPLEMENTATION

1. If a panel has made a determination of the type described in Article 22.12.2, and the Parties are unable to reach agreement on a resolution pursuant to Article 22.12.1 within 45 days of receiving the final report, or such other period as the Parties agree, the Party complained against shall enter into negotiations with the complaining Party with a view to developing mutually acceptable compensation.

2. If the Parties:

(a) are unable to agree on compensation within 30 days after the period for developing such compensation has begun; or

(b) have agreed on compensation or on a resolution pursuant to Article 22.12.1 and the complaining Party considers that the Party complained against has failed to observe the terms of the agreement,

the complaining Party may at any time thereafter provide written notice to the Party complained against that it intends to suspend the application to the Party complained against of benefits of equivalent effect. The notice shall specify the level of benefits that the complaining Party proposes to suspend. Subject to paragraph 5, the complaining Party may begin suspending benefits 30 days after the later of the date on which it provides notice to the other Party under this paragraph or the panel issues its determination under paragraph 3, as the case may be.

3. If the Party complained against considers that:

(a) the level of benefits that the complaining Party has proposed to be suspended is manifestly excessive; or

(b) it has eliminated the non-conformity or the nullification or impairment that the panel has found,

it may, within 30 days after the complaining Party provides notice under paragraph 2, request that the panel be reconvened to consider the matter. The Party complained against shall deliver its request in writing to the complaining Party. The panel shall reconvene as soon as possible after delivery of the request and shall present its determination to the Parties within 90 days after it reconvenes to review a request under either subparagraph (a) or (b), or within 120 days for a request under both subparagraphs (a) and (b). If the panel determines that the level of benefits proposed to be suspended is manifestly excessive, it shall determine the level of benefits it considers to be of equivalent effect.

4. The complaining Party may suspend benefits up to the level the panel has determined under paragraph 3 or, if the panel has not determined the level, the level the Party has proposed to suspend under paragraph 2, unless the panel has determined that the Party complained against has eliminated the non-conformity or the nullification or impairment.

5. The complaining Party may not suspend benefits if, within 30 days after it provides written notice of intent to suspend benefits or, if the panel is reconvened under paragraph 3, within 20 days after the panel provides its determination, the Party complained against provides written notice to the other Party that it will pay an annual monetary assessment. The Parties shall consult, beginning no later than ten days after the Party complained against provides notice, with a view to reaching agreement on the amount of the assessment. If the Parties are unable to reach an agreement within 30 days after consultations begin, the amount of the assessment shall be set at a level, in U.S. dollars, equal to 50 percent of the level of the benefits the panel has determined under paragraph 3 to be of equivalent effect or, if the panel has not determined the level, 50 percent of the level that the complaining Party has proposed to suspend under paragraph 2.

6. Unless the Joint Committee decides otherwise, a monetary assessment shall be paid to the complaining Party in U.S. currency, or in an equivalent amount of Korean currency, in equal, quarterly installments beginning 60 days after the Party complained against gives notice that it intends to pay an assessment. Where the circumstances warrant, the Joint Committee may decide that an assessment shall be paid into a fund established by the Joint Committee and expended at the direction of the Joint Committee for appropriate initiatives to facilitate trade between the Parties, including by further reducing unreasonable trade barriers or by assisting a Party in carrying out its obligations under this Agreement.

7. If the Party complained against fails to pay a monetary assessment, the complaining Party may suspend the application to the Party complained against of benefits in accordance with paragraph 4.

Article 22.14. COMPLIANCE REVIEW

1. Without prejudice to the procedures set out in Article 22.13.3, if the Party complained against considers that it has eliminated the non-conformity or the nullification or impairment that the panel has found, it may refer the matter to the panel by providing written notice to the complaining Party. The panel shall reconvene as soon as possible after delivery of the request and shall issue its report on the matter within 90 days after the Party complained against provides notice.

2. If the panel decides that the Party complained against has eliminated the non- conformity or the nullification or impairment, the complaining Party shall promptly reinstate any benefits it has suspended under Article 22.13, and the Party complained against shall no longer be required to pay any monetary assessment it has agreed to pay under Article 22.13.5.

Article 22.15. FIVE-YEAR REVIEW

The Joint Committee shall review the operation and effectiveness of Article 22.13 not later than five years after the date this Agreement enters into force, or within six months after benefits have been suspended or monetary assessments have been paid in five proceedings initiated under this Chapter, whichever occurs first.

Section C. Domestic Proceedings and Private Commercial Dispute Settlement

Article 22.16. PRIVATE RIGHTS

Neither Party may provide for a right of action under its law against the other Party on the ground that a measure of the other Party is inconsistent with this Agreement.

Article 22.17. ALTERNATIVE DISPUTE RESOLUTION

1. Each Party shall, to the maximum extent possible, encourage and facilitate the use of arbitration and other means of alternative dispute resolution for the settlement of international commercial disputes between private parties in the free trade area established under Article 1.1 (Establishment of a Free Trade Area).

2. To this end, each Party shall provide appropriate procedures to ensure observance of agreements to arbitrate and for the recognition and enforcement of arbitral awards in such disputes. such disputes.

3. A Party shall be deemed to be in compliance with paragraph 2 if it is a party to and is in compliance with the United Nations Convention on the Recognition and Enforcement of Foreign Arbitral Awards, done at New York, June 10, 1958.

Chapter Twenty-Three. EXCEPTIONS

Article 23.1. GENERAL EXCEPTIONS

1. For purposes of Chapters Two through Four (National Treatment and Market Access for Goods, Agriculture, and Textiles and Apparel) and Six through Nine (Rules of Origin and Origin Procedures, Customs Administration and Trade Facilitation, Sanitary and Phytosanitary Measures, and Technical Barriers to Trade), Article XX of GATT 1994 and its interpretive notes are incorporated into and made part of this Agreement, mutatis mutandis. The Parties understand that the measures referred to in Article XX(b) of GATT 1994 include environmental measures necessary to protect human, animal, or plant life or health, and that Article XX(g) of GATT 1994 applies to measures relating to the conservation of living and non-living exhaustible natural resources.

2. For purposes of Chapters Twelve (Cross-Border Trade in Services), Fourteen (Telecommunications), and Fifteen (Electronic Commerce), (1) Article XIV of GATS (including its footnotes) is incorporated into and made part of this Agreement, mutatis mutandis. The Parties understand that the measures referred to in Article XTV(b) of GATS include environmental measures necessary to protect human, animal, or plant life or health.

(1) Article 23.1 is without prejudice to whether digital products should be classified as goods or services.

Article 23.2. ESSENTIAL SECURITY

Nothing in this Agreement shall be construed:

(a) to require a Party to furnish or allow access to any information the disclosure of which it determines to be contrary to its essential security interests; or

(b) to preclude a Party from applying measures that it considers necessary for the fulfillment of its obligations with respect to the maintenance or restoration of international peace or security or the protection of its own essential security interests. (2)

  • Chapter   One INITIAL PROVISIONS AND DEFINITIONS 1
  • Section   A Initial Provisions 1
  • Article   1.1 ESTABLISHMENT OF A FREE TRADE AREA 1
  • Article   1.2 RELATION TO OTHER AGREEMENTS 1
  • Article   1.3 EXTENT OF OBLIGATIONS 1
  • Section   B General Definitions 1
  • Article   1.4 DEFINITIONS 1
  • Chapter   Two NATIONAL TREATMENT AND MARKET ACCESS FOR GOODS 1
  • Article   2.1 SCOPE AND COVERAGE 1
  • Section   A National Treatment 1
  • Article   2.2 NATIONAL TREATMENT 1
  • Article   2.3 ELIMINATION OF CUSTOMS DUTIES 1
  • Section   C Special Regimes 1
  • Article   2.4 WAIVER OF CUSTOMS DUTIES 1
  • Article   2.5 TEMPORARY ADMISSION OF GOODS 1
  • Article   2.6 GOODS RE-ENTERED AFTER REPAIR OR ALTERATION 1
  • Article   2.7 DUTY-FREE ENTRY OF COMMERCIAL SAMPLES OF NEGLIGIBLE VALUE AND PRINTED ADVERTISING MATERIALS 1
  • Section   D Non-Tariff Measures 1
  • Article   2.8 IMPORT AND EXPORT RESTRICTIONS 1
  • Article   2.9 IMPORT LICENSING 1
  • Article   2.10 ADMINISTRATIVE FEES AND FORMALITIES 2
  • Article   2.11 EXPORT DUTIES, TAXES, OR OTHER CHARGES 2
  • Article   2.12 ENGINE DISPLACEMENT TAXES 2
  • Section   E Other Measures 2
  • Article   2.13 DISTINCTIVE PRODUCTS 2
  • Section   F Institutional Provisions 2
  • Article   2 COMMITTEE ON TRADE IN GOODS 2
  • Section   G Definitions 2
  • Article   2.15 DEFINITIONS 2
  • Chapter   Three AGRICULTURE 2
  • Article   3.1 SCOPE AND COVERAGE 2
  • Article   3.2 ADMINISTRATION AND IMPLEMENTATION OF TARIFF-RATE QUOTAS 2
  • Article   3.3 AGRICULTURAL SAFEGUARD MEASURES 2
  • Article   3.4 COMMITTEE ON AGRICULTURAL TRADE 2
  • Article   3.5 DEFINITIONS 2
  • Chapter   Four TEXTILES AND APPAREL 2
  • Article   4.1 BILATERAL EMERGENCY ACTIONS 2
  • Article   4.2 RULES OF ORIGIN AND RELATED MATTERS 2
  • Article   4.3 CUSTOMS COOPERATION FOR TEXTILE OR APPAREL GOODS 3
  • Article   4.4 COMMITTEE ON TEXTILE AND APPAREL TRADE MATTERS 3
  • Article   4.5 DEFINITIONS for Purposes of this Chapter: 3
  • Chapter   Five PHARMACEUTICAL PRODUCTS AND MEDICAL DEVICES 3
  • Article   5.1 GENERAL PROVISIONS 3
  • Article   5.2 ACCESS TO INNOVATION 3
  • Article   5.3 TRANSPARENCY 3
  • Article   5.4 DISSEMINATION OF INFORMATION 3
  • Article   5.5 ETHICAL BUSINESS PRACTICES 3
  • Article   5.6 REGULATORY COOPERATION 3
  • Article   5.7 MEDICINES AND MEDICAL DEVICES COMMITTEE 3
  • Article   5.8 DEFINITIONS 3
  • Chapter   Six RULES OF ORIGIN AND ORIGIN PROCEDURES 3
  • Section   A Rules of Origin 3
  • Article   6.1 ORIGINATING GOODS  (1) 3
  • Article   6.2 REGIONAL VALUE CONTENT. 3
  • Article   6.3 VALUE OF MATERIALS 4
  • Article   6.4 FURTHER ADJUSTMENTS TO THE VALUE OF MATERIALS 4
  • Article   6.5 ACCUMULATION 4
  • Article   6.6 DE MINIMIS 4
  • Article   6.7 FUNGIBLE GOODS AND MATERIALS  (5) 4
  • Article   6.8 ACCESSORIES, SPARE PARTS, AND TOOLS 4
  • Article   6.9 SETS OF GOODS 4
  • Article   6.10 PACKAGING MATERIALS AND CONTAINERS FOR RETAIL SALE 4
  • Article   6.11 PACKING MATERIALS AND CONTAINERS FOR SHIPMENT 4
  • Article   6.12 INDIRECT MATERIALS 4
  • Article   6.13 TRANSIT AND TRANSSHIPMENT 4
  • Article   6.14 CONSULTATION AND MODIFICATION 4
  • Section   B Origin Procedures 4
  • Article   6.15 CLAIMS FOR PREFERENTIAL TARIFF TREATMENT 4
  • Article   6.16 WAIVER OF CERTIFICATION OR OTHER INFORMATION 4
  • Article   6.17 RECORD KEEPING REQUIREMENTS 4
  • Article   6.18 VERIFICATION 4
  • Article   6.19 OBLIGATIONS RELATING TO IMPORTATIONS 4
  • Article   6.20 OBLIGATIONS RELATING TO EXPORTATIONS 4
  • Article   6.21 COMMON GUIDELINES 4
  • Article   6.22 DEFINITIONS 4
  • Article   6.21 COMMON GUIDELINES 5
  • Article   6.22 DEFINITIONS 5
  • Chapter   Seven CUSTOMS ADMINISTRATION AND TRADE FACILITATION 5
  • Article   7.1 PUBLICATION 5
  • Article   7.2 RELEASE OF GOODS 5
  • Article   7.3 AUTOMATION 5
  • Article   7.4 RISK MANAGEMENT 5
  • Article   7.5 COOPERATION 5
  • Article   7.6 CONFIDENTIALITY 5
  • Article   7.7 EXPRESS SHIPMENTS 5
  • Article   7.8 REVIEW AND APPEAL 5
  • Article   7.9 PENALTIES 5
  • Article   7.10 ADVANCE RULINGS 5
  • Chapter   Eight SANITARY AND PHYTOSANITARY MEASURES 5
  • Article   8.1 SCOPE 5
  • Article   8.2 RIGHTS AND OBLIGATIONS OF THE PARTIES 5
  • Article   8.3 COMMITTEE ON SANITARY AND PHYTOSANITARY MATTERS 5
  • Article   8.4 DISPUTE SETTLEMENT 6
  • Chapter   Nine TECHNICAL BARRIERS TO TRADE 6
  • Article   9.1 AFFIRMATION OF TBT AGREEMENT 6
  • Article   9.2 SCOPE AND COVERAGE 6
  • Article   9.3 INTERNATIONAL STANDARDS 6
  • Article   9.4 JOINT COOPERATION 6
  • Article   9.5 CONFORMITY ASSESSMENT PROCEDURES 6
  • Article   9.6 TRANSPARENCY 6
  • Article   9.7 AUTOMOTIVE STANDARDS AND TECHNICAL REGULATIONS 6
  • Article   9.8 COMMITTEE ON TECHNICAL BARRIERS TO TRADE 6
  • Article   9.9 INFORMATION EXCHANGE 6
  • Article   9.10 DEFINITIONS 6
  • Chapter   Ten TRADE REMEDIES 6
  • Section   A Safeguard Measures 6
  • Article   10.1 APPLICATION OF a SAFEGUARD MEASURE 6
  • Article   10.2 CONDITIONS AND LIMITATIONS 6
  • Article   10.3 PROVISIONAL MEASURES 6
  • Article   10.4 COMPENSATION 6
  • Article   10.5 GLOBAL SAFEGUARD ACTIONS 6
  • Article   10.6 DEFINITIONS 6
  • Section   B Antidumping and Countervailing Duties 6
  • Article   10.7 ANTIDUMPING AND COUNTERVAILING DUTIES 6
  • Section   C Committee on Trade Remedies 6
  • Article   10.8 COMMITTEE ON TRADE REMEDIES 6
  • Chapter   Eleven INVESTMENT 7
  • Section   A Investment 7
  • Article   11.1 SCOPE AND COVERAGE 7
  • Article   11.2 RELATION TO OTHER CHAPTERS 7
  • Article   11.3 NATIONAL TREATMENT 7
  • Article   11.4 MOST-FAVORED-NATION TREATMENT 7
  • Article   11.5 MINIMUM STANDARD OF TREATMENT!  (1) 7
  • Article   11.6 EXPROPRIATION AND COMPENSATION  (2) 7
  • Article   11.7 TRANSFERS  (3) 7
  • Article   11.8 PERFORMANCE REQUIREMENTS 7
  • Article   11.9 SENIOR MANAGEMENT AND BOARDS OF DIRECTORS 7
  • Article   11.10 INVESTMENT AND ENVIRONMENT 7
  • Article   11.11 DENIAL OF BENEFITS 7
  • Article   11.12 NON-CONFORMING MEASURES 7
  • Article   11.13 SPECIAL FORMALITIES AND INFORMATION REQUIREMENTS 7
  • Article   11.14 SUBROGATION 7
  • Section   B Investor-State Dispute Settlement 7
  • Article   11.15 CONSULTATION AND NEGOTIATION 7
  • Article   11.16 SUBMISSION OF a CLAIM TO ARBITRATION 7
  • Article   11.17 CONSENT OF EACH PARTY TO ARBITRATION 8
  • Article   11.18 CONDITIONS AND LIMITATIONS ON CONSENT OF EACH PARTY 8
  • Article   11.19 SELECTION OF ARBITRATORS 8
  • Article   11.20 CONDUCT OF THE ARBITRATION 8
  • Article   11.21 TRANSPARENCY OF ARBITRAL PROCEEDINGS 8
  • Article   11.22 GOVERNING LAW 8
  • Article   11.23 INTERPRETATION OF ANNEXES 8
  • Article   11.24 EXPERT REPORTS 8
  • Article   11.25 CONSOLIDATION 8
  • Article   11.26 AWARDS 8
  • Article   11.27 SERVICE OF DOCUMENTS 8
  • Article   11.27 SERVICE OF DOCUMENTS 9
  • Section   C Definitions 9
  • Article   11.28 DEFINITIONS 9
  • Annex 11-A  CUSTOMARY INTERNATIONAL LAW 9
  • Annex 11-B  EXPROPRIATION 9
  • Annex 11-C  SERVICE OF DOCUMENTS ON A PARTY UNDER SECTION B 9
  • Annex 11-D  POSSIBILITY OF A BILATERAL APPELLATE MECHANISM 9
  • Annex 11-E  SUBMISSION OF A CLAIM TO ARBITRATION 9
  • Annex 11-F  TAXATION AND EXPROPRIATION 9
  • Annex 11-G  TRANSFERS 9
  • Exchange of Letters 9
  • Chapter   Twelve CROSS-BORDER TRADE IN SERVICES 9
  • Article   12.1 SCOPE AND COVERAGE 9
  • Article   12.2 NATIONAL TREATMENT 10
  • Article   12.3 MOST-FAVORED-NATION TREATMENT  (4) 10
  • Article   12.4 MARKET ACCESS 10
  • Article   12.5 LOCAL PRESENCE 10
  • Article   12.6 NON-CONFORMING MEASURES 10
  • Article   12.7 DOMESTIC REGULATION 10
  • Article   12.8 TRANSPARENCY IN DEVELOPING AND APPLYING REGULATIONS  (8) 10
  • Article   12.9 RECOGNITION 10
  • Article   12.10 PAYMENTS AND TRANSFERS  (9) 10
  • Article   12.11 DENIAL OF BENEFITS 10
  • Article   12.12 SPECIFIC COMMITMENTS 10
  • Article   12.13 DEFINITIONS 10
  • Exchange of Letters 10
  • Chapter   Thirtheen FINANCIAL SERVICES 10
  • Article   13.1 SCOPE AND COVERAGE 10
  • Article   13.2 NATIONAL TREATMENT 11
  • Article   13.3 MOST-FAVORED-NATION TREATMENT 11
  • Article   13.4 MARKET ACCESS FOR FINANCIAL INSTITUTIONS 11
  • Article   13.5 CROSS-BORDER TRADE 11
  • Article   13.6 NEW FINANCIAL SERVICES  (2) 11
  • Article   13.7 TREATMENT OF CERTAIN INFORMATION 11
  • Article   13.8 SENIOR MANAGEMENT AND BOARDS OF DIRECTORS 11
  • Article   13.9 NON-CONFORMING MEASURES 11
  • Article   13.10 EXCEPTIONS 11
  • Article   13.11 TRANSPARENCY 11
  • Article   13.12 SELF-REGULATORY ORGANIZATIONS  (8) 11
  • Article   13.13 PAYMENT AND CLEARING SYSTEMS 11
  • Article   13.14 RECOGNITION 11
  • Article   13.15 SPECIFIC COMMITMENTS 11
  • Article   13.16 FINANCIAL SERVICES COMMITTEE 11
  • Article   13.17 CONSULTATIONS 11
  • Article   13.18 DISPUTE SETTLEMENT 11
  • Article   13.19 INVESTMENT DISPUTES IN FINANCIAL SERVICES 11
  • Article   13.20 DEFINITIONS 11
  • Annex 13-A  CROSS-BORDER TRADE 12
  • Annex 13-B  SPECIFIC COMMITMENTS 12
  • Section   A PORTFOLIO MANAGEMENT 12
  • Section   B TRANSFER OF INFORMATION 12
  • Section   C PERFORMANCE OF FUNCTIONS 12
  • Section   D TRANSPARENCY 12
  • Section   E INSURANCE COMPLAINT METHODS AND PROCEDURES 12
  • Section   F SECTORAL COOPERATIVES SELLING INSURANCE 12
  • Section   G SUPERVISORY COOPERATION 12
  • Section   H GOVERNMENT PROCUREMENT 12
  • Section   I EXPEDITED AVAILABILITY OF INSURANCE 12
  • Annex 13-C  FINANCIAL SERVICES COMMITTEE 12
  • Chapter   Fourteen TELECOMMUNICATIONS 12
  • Article   14.1 SCOPE AND COVERAGE 12
  • Section   A Access to and Use of Public Telecommunications Networks and Services 12
  • Article   14.2 ACCESS AND USE 12
  • Section   B Suppliers of Public Telecommunications Services 12
  • Article   14.3 OBLIGATIONS RELATING TO SUPPLIERS OF PUBLIC TELECOMMUNICATIONS SERVICES  (2) 12
  • Article   14.5 COMPETITIVE SAFEGUARDS 13
  • Article   14.6 RESALE 13
  • Article   14.7 UNBUNDLING OF NETWORK ELEMENTS 13
  • Article   14.8 INTERCONNECTION 13
  • Article   14.9 PROVISIONING AND PRICING OF LEASED CIRCUITS SERVICES  (6) 13
  • Article   14.10 CO-LOCATION 13
  • Article   14.11 ACCESS TO POLES, DUCTS, CONDUITS, AND RIGHTS-OF-WAY 13
  • Section   D Other Measures 13
  • Article   14.12 SUBMARINE CABLE SYSTEMS 13
  • Article   14.13 CONDITIONS FOR THE SUPPLY OF VALUE-ADDED SERVICES 13
  • Article   14.14 INDEPENDENT REGULATORY BODIES 13
  • Article   14.15 UNIVERSAL SERVICE 13
  • Article   14.16 LICENSING PROCESS 13
  • Article   14.17 ALLOCATION AND USE OF SCARCE RESOURCES 13
  • Article   14.18 ENFORCEMENT 13
  • Article   14.19 RESOLUTION OF TELECOMMUNICATIONS DISPUTES  (12) 13
  • Article   14.20 TRANSPARENCY 13
  • Article   14.21 MEASURES CONCERNING TECHNOLOGIES AND STANDARDS  (15) 13
  • Article   14.22 FORBEARANCE 13
  • Article   14.23 RELATION TO OTHER CHAPTERS 13
  • Article   14.24 DEFINITIONS 13
  • Chapter   Fifteen ELECTRONIC COMMERCE 14
  • Article   15.1 GENERAL 14
  • Article   15.2 ELECTRONIC SUPPLY OF SERVICES 14
  • Article   15.3 DIGITAL PRODUCTS 14
  • Article   15.4 ELECTRONIC AUTHENTICATION AND ELECTRONIC SIGNATURES 14
  • Article   15.5 ONLINE CONSUMER PROTECTION 14
  • Article   15.6 PAPERLESS TRADING 14
  • Article   15.7 PRINCIPLES ON ACCESS TO AND USE OF THE INTERNET FOR ELECTRONIC COMMERCE 14
  • Article   15.8 CROSS-BORDER INFORMATION FLOWS 14
  • Article   15.9 DEFINITIONS 14
  • Chapter   Sixteen COMPETITION-RELATED MATTERS 14
  • Article   16.1 COMPETITION LAW AND ANTICOMPETITIVE BUSINESS CONDUCT 14
  • Article   16.2 DESIGNATED MONOPOLIES 14
  • Article   16.3 STATE ENTERPRISES 14
  • Article   16.4 DIFFERENCES IN PRICING 14
  • Article   16.5 TRANSPARENCY 14
  • Article   16.6 CROSS-BORDER CONSUMER PROTECTION 14
  • Article   16.7 CONSULTATIONS 14
  • Article   16.8 DISPUTE SETTLEMENT 14
  • Article   16.9 DEFINITIONS 14
  • Chapter   Seventeen GOVERNMENT PROCUREMENT 14
  • Article   17.1 GENERAL PROVISIONS 14
  • Article   17.2 SCOPE AND COVERAGE 14
  • Article   17.3 INCORPORATION OF GPA PROVISIONS 15
  • Article   17.4 GENERAL PRINCIPLES 15
  • Article   17.5 CONDITIONS FOR PARTICIPATION 15
  • Article   17.6 PUBLICATION OF NOTICES 15
  • Article   17.7 TECHNICAL SPECIFICATIONS 15
  • Article   17.8 TIME-PERIODS 15
  • Article   17.9 MODIFICATIONS AND RECTIFICATIONS TO COVERAGE 15
  • Article   17.10 GOVERNMENT PROCUREMENT WORKING GROUP 15
  • Article   17.11 DEFINITIONS 15
  • Chapter   Eighteen INTELLECTUAL PROPERTY RIGHTS 15
  • Article   18.1 GENERAL PROVISIONS 15
  • Article   18.2 TRADEMARKS INCLUDING GEOGRAPHICAL INDICATIONS 16
  • Article   18.3 DOMAIN NAMES ON THE INTERNET 16
  • Article   18.4 COPYRIGHT AND RELATED RIGHTS 16
  • Article   18.5 COPYRIGHT 16
  • Article   18.6 RELATED RIGHTS 16
  • Article   18.7 PROTECTION OF ENCRYPTED PROGRAM-CARRYING SATELLITE AND CABLE SIGNALS 16
  • Article   18.8 PATENTS 16
  • Article   18.9 MEASURES RELATED TO CERTAIN REGULATED PRODUCTS 17
  • Article   18.10 ENFORCEMENT OF INTELLECTUAL PROPERTY RIGHTS 17
  • Article   18.11 UNDERSTANDINGS REGARDING CERTAIN PUBLIC HEALTH MEASURES 17
  • Article   18.11 UNDERSTANDINGS REGARDING CERTAIN PUBLIC HEALTH MEASURES 18
  • Article   18.12 TRANSITIONAL PROVISIONS 18
  • Chapter   Nineteen LABOR 18
  • Article   19.1 STATEMENT OF SHARED COMMITMENT 18
  • Article   19.2 FUNDAMENTAL LABOR RIGHTS 18
  • Article   19.3 APPLICATION AND ENFORCEMENT OF LABOR LAWS 18
  • Article   19.4 PROCEDURAL GUARANTEES AND PUBLIC AWARENESS 18
  • Article   19.5 INSTITUTIONAL ARRANGEMENTS 18
  • Article   19.6 LABOR COOPERATION 18
  • Article   19.7 LABOR CONSULTATIONS 18
  • Article   19.8 DEFINITIONS 18
  • Annex 19-A  LABOR COOPERATION MECHANISM 18
  • Exchange of Letters 18
  • Chapter   Twenty ENVIRONMENT 18
  • Article   20.1 LEVELS OF PROTECTION 18
  • Article   20.2 ENVIRONMENTAL AGREEMENTS 18
  • Article   20.3 APPLICATION AND ENFORCEMENT OF ENVIRONMENTAL LAWS 18
  • Article   20.4 PROCEDURAL MATTERS 18
  • Article   20.5 MECHANISMS TO ENHANCE ENVIRONMENTAL PERFORMANCE 19
  • Article   20.6 INSTITUTIONAL ARRANGEMENTS 19
  • Article   20.7 OPPORTUNITIES FOR PUBLIC PARTICIPATION 19
  • Article   20.8 ENVIRONMENTAL COOPERATION 19
  • Article   20.9 ENVIRONMENTAL CONSULTATIONS AND PANEL PROCEDURE 19
  • Article   20.10 RELATION TO MULTILATERAL ENVIRONMENTAL AGREEMENTS 19
  • Article   20.11 DEFINITIONS 19
  • Annex 20-A  COVERED AGREEMENTS 19
  • Exchange of Letters 19
  • Chapter   Twenty-One TRANSPARENCY 19
  • Article   21.1 PUBLICATION 19
  • Article   21.2 PROVISION OF INFORMATION 19
  • Article   21.3 ADMINISTRATIVE PROCEEDINGS 19
  • Article   21.4 REVIEW AND APPEAL 19
  • Article   21.5 POLICY ON PRIVATE PURCHASES 19
  • Article   21.5 POLICY ON PRIVATE PURCHASES 19
  • Article   21.6 ANTI-CORRUPTION 20
  • Article   21.7 DEFINITIONS 20
  • Chapter   Twenty-Two INSTITUTIONAL PROVISIONS AND DISPUTE SETTLEMENT 20
  • Section   A Institutional Provisions and Administration 20
  • Article   22.1 CONTACT POINTS 20
  • Article   22.2 JOINT COMMITTEE 20
  • Section   B Dispute Settlement Proceedings 20
  • Article   22.3 COOPERATION 20
  • Article   22.4 SCOPE OF APPLICATION 20
  • Article   22.5 ADMINISTRATION OF DISPUTE SETTLEMENT PROCEEDINGS 20
  • Article   22.6 CHOICE OF FORUM 20
  • Article   22.7 CONSULTATIONS 20
  • Article   22.8 REFERRAL TO THE JOINT COMMITTEE 20
  • Article   22.9 ESTABLISHMENT OF PANEL  (3) 20
  • Article   22.10 RULES OF PROCEDURE 20
  • Article   22.11 PANEL REPORT 20
  • Article   22.12 IMPLEMENTATION OF THE FINAL REPORT 20
  • Article   22.13 NON-IMPLEMENTATION 20
  • Article   22.14 COMPLIANCE REVIEW 20
  • Article   22.15 FIVE-YEAR REVIEW 20
  • Section   C Domestic Proceedings and Private Commercial Dispute Settlement 20
  • Article   22.16 PRIVATE RIGHTS 20
  • Article   22.17 ALTERNATIVE DISPUTE RESOLUTION 20
  • Chapter   Twenty-Three EXCEPTIONS 20
  • Article   23.1 GENERAL EXCEPTIONS 20
  • Article   23.2 ESSENTIAL SECURITY 20
  • Article   23.3 TAXATION 21
  • Article   23.4 DISCLOSURE OF INFORMATION 21
  • Chapter   Twenty-Four FINAL PROVISIONS 21
  • Article   24.1 ANNEXES, APPENDICES, AND FOOTNOTES 21
  • Article   24.2 AMENDMENTS 21
  • Article   24.3 AMENDMENT OF THE WTO AGREEMENT 21
  • Article   24.4 ACCESSION 21
  • Article   24.5 ENTRY INTO FORCE AND TERMINATION 21
  • Article   24.6 AUTHENTIC TEXT 21
  • Annex I  EXPLANATORY NOTES 21
  • Annex I  SCHEDULE OF KOREA 21
  • Annex I  SCHEDULE OF THE UNITED STATES 25
  • Appendix I-A  Illustrative list of U.S. regional non-conforming measures (1) 26
  • Appendix I-A  Illustrative list of U.S. regional non-conforming measures  (2) 26
  • Annex II  EXPLANATORY NOTES 26
  • Annex II  SCHEDULE OF KOREA 26
  • Appendix II-A  Korea 28
  • Annex II  Schedule of the United States 28
  • Appendix II-A  United States 29