Canada - Ukraine Modernized Free Trade Agreement (2023)
Previous page Next page

(b) is a Member of the International Forum of Sovereign Wealth Funds or endorses the Generally Accepted Principles and Practices ("Santiago Principles") issued by the International Working Group of Sovereign Wealth Funds, October 2008, or other principles and practices as may be agreed to by the Parties;

and includes any special purpose vehicles established solely for the activities described in subparagraph (a) wholly owned by the enterprise, or wholly owned by the Party but managed by the enterprise; and

state-owned enterprise means an enterprise that is principally engaged in commercial activities, and in which a Party:

(a) directly owns more than 50 per cent of the share capital;

(b) controls, through ownership interests, the exercise of more than 50 per cent of the voting rights; or

(c) holds the power to appoint a majority of members of the board of directors or any other equivalent management body.

Article 10.2. Scope

1. This Chapter applies with respect to the activities of state-owned enterprises, state enterprises, or designated monopolies of a Party that affect trade or investment between Parties within the free trade area.

2. This Chapter does not apply to:

(a) the regulatory or supervisory activities, or monetary and related credit policy and exchange rate policy, of a central bank or monetary authority of a Party;

(b) the regulatory or supervisory activities of a financial regulatory body of a Party, including a non-governmental body, such as a securities or futures exchange or market, clearing agency, or other organization or association, that exercises regulatory or supervisory authority over financial services suppliers; or

(c) activities undertaken by a Party or one of its state enterprises or state‑owned enterprises for the purpose of the resolution of a failing or failed financial institution or any other failing or failed enterprise principally engaged in the supply of financial services.

3. This Chapter does not apply to a sovereign wealth fund of a Party.

4. This Chapter does not apply to:

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

(b) an enterprise owned or controlled by an independent pension fund of a Party.

5. This Chapter does not apply to government procurement.

6. Articles 10.3, 10.4, and 10.6 do not apply to a service supplied in the exercise of governmental authority. 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 Financial Services Annex if applicable.

7. Articles 10.3 and 10.4 do 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 17.18(1) (Non-Conforming Measures), Article 18.7(1) (Reservations), or Article 20.10(1) (Non-Conforming Measures), as set out in its Schedule to Annex I or in Section A of its Schedule to Annex III; or

(b) any non-conforming measure that the Party adopts or maintains with respect to sectors, subsectors, or activities in accordance with Article 17.18(2) (Non-Conforming Measures), Article 18.7(2) (Reservations), or Article 20.10(2) (Non-Conforming Measures), as set out in its Schedule to Annex II or in Section B of its Schedule to Annex III.

Article 10.3. Designated Monopolies

1. This Chapter does not prevent a Party from maintaining or designating a monopoly.

2. Each Party shall promptly notify the other Party or publish 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. Each Party shall ensure that a privately owned monopoly that it designates or a government monopoly that it maintains or designates:

(a) acts in a manner that is consistent with the Party's obligations under this Agreement whenever the monopoly exercises regulatory, administrative, or other governmental authority that the Party has delegated to it in connection with the monopoly good or service, such as the power to grant an import or export licence, approve a commercial transaction, or impose a quota, fee, or other charge;

(b) acts solely in accordance with commercial considerations in its purchase or sale of the monopoly good or service in the relevant market, including with regard to price, quality, availability, marketability, transportation, and other terms and conditions of purchase or sale, except to fulfil any terms of its designation that are not inconsistent with subparagraphs (c), (d), or (e);

(c) 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; and

(d) 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

(e) 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, anticompetitive practices in a non-monopolized market in its territory that negatively affect trade or investment between the Parties.

4. Paragraphs 3(c) and 3(d) do not preclude a 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 the differential treatment or refusal is undertaken in accordance with commercial considerations. For greater certainty, paragraph 4 does not allow a designated monopoly to violate a Party's domestic laws.

Article 10.4. State-Owned Enterprises

1. This Agreement does not prevent a Party from maintaining or establishing a state enterprise or a state-owned enterprise.

2. Each Party shall ensure that a state enterprise or a state-owned enterprise acts in a manner that is consistent with the Party's obligations whenever the enterprise exercises a regulatory, administrative, or other governmental authority that the Party has delegated to it, such as the power to expropriate, grant a licence, approve a commercial transaction, or impose a quota, fee, or other charge.

3. Each Party shall ensure that each of its state-owned enterprises, when engaging in commercial activities in its sale of a good or service, 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.

4. Paragraph 3 does not preclude a state-owned enterprise from:

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

(b) refusing to sell goods or services;

provided that the differential treatment or refusal is undertaken in accordance with commercial considerations. For greater certainty, paragraph 4 does not allow a state‑owned enterprise to violate a Party's domestic laws.

Article 10.5. Courts and Administrative Bodies

1. 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. This paragraph does not 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. This paragraph does not 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.

2. Each Party shall ensure that any administrative body that the national government of a 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. 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 10.6. Transparency

1. On the written request of a Party, the other Party shall provide within a reasonable time the following information in writing 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

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

2. 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 10.7. Technical Cooperation

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

(a) exchanging information regarding 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) organizing international seminars, workshops, or any other appropriate forum for sharing technical information and expertise related to the governance and operations of state-owned enterprises.

Article 10.8. Contact Points

Each Party shall designate a Contact Point on State-Owned Enterprises and Designated Monopolies and notify the other Party to facilitate communications between the Parties on any matter covered by this Chapter.

Article 10.9. Exceptions

1. Articles 10.3 and 10.4 do not:

(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. Article 10.4(3) does 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:

(a) supports exports or imports, provided that these services are:

(i) not intended to displace commercial financing; or

(ii) offered on terms no more favourable than those that could be obtained for comparable financial services in the commercial market. In circumstances in which no comparable financial services are offered in the commercial market:

(A) for the purposes of paragraphs 2(a)(ii) and 2(b)(ii), the state-owned enterprise may rely as necessary on available evidence to establish a benchmark of the terms on which those services would be offered in the commercial market; and

(B) for the purposes of paragraphs 2(a)(i) and 2(b)(i), the supply of the financial services must be deemed not to be intended to displace commercial financing;

(b) supports private investment outside the territory of the Party, provided that these services are:

(i) not intended to displace commercial financing, or

(ii) offered on terms no more favourable than those that could be obtained for comparable financial services in the commercial market; or

(c) is offered on terms consistent with the Arrangement, provided that it falls within the scope of the Arrangement.

3. Articles 10.3, 10.4, 10.6, and 10.8 do not apply to a state-owned enterprise or designated monopoly if in any one of the three previous consecutive fiscal years, the revenue derived from the commercial activities of the state-owned enterprise or designated monopoly was less than a threshold amount which must be calculated in accordance with Annex 10-A (Threshold Calculation).

4. If a Party invokes the exception in paragraph 3 during consultations under Article 28.5 (Consultations), the Parties should exchange and discuss available evidence concerning the revenue of the state-owned enterprise or the designated monopoly derived from the commercial activities during the three previous consecutive fiscal years in an effort to resolve during the consultations any disagreement regarding the application of this exception.

Chapter 11. Government Procurement

Article 11.1. Incorporation and Application of Certain Provisions of the GPA 2012

1. Articles I to IV, VI to XV, XVI(1) to XVI(3), and XVII to XVIII set forth in the Annex to the Protocol Amending the Agreement on Government Procurement, done at Geneva on 30 March 2012, (“GPA 2012”) are incorporated into and made part of this Agreement.

2. The articles of the GPA 2012 incorporated into this Agreement under paragraph 1, as well as Articles 11.2, 11.3, 11.4 and 11.5, shall apply to the Parties’ annexes to their Market Access Schedule for this Chapter.

3. Further to Article 1.4 (Reference to Other Agreements), amendments to the articles of the GPA 2012 incorporated into this Agreement under paragraph 1 are also incorporated into this Agreement, except as decided by the Parties.

Article 11.2. Environmental, Socio-Economic, and Labour-related Considerations

1. The Parties recognize the role of government procurement in:

(a) advancing environmental and climate change objectives, including those set out in the Paris Agreement, done in Paris on 12 December 2015;

(b) creating opportunities for socially or economically disadvantaged groups; and

(c) promoting internationally recognized labour principles and rights, including those set out in the International Labour Organization Declaration on Fundamental Principles and Rights at Work (1998), as amended in 2022.

2. For greater certainty, a Party, including its procuring entities, may take into account environmental, socio-economic, or labour-related considerations in the procurement process, including through conditions for participation, technical specifications, or evaluation criteria, provided that those considerations are consistent with Article IV(1) and (2) of the GPA 2012 and do not constitute an unnecessary obstacle to international trade.

Article 11.3. Ensuring Integrity In Procurement Practices

1. Each Party shall ensure that criminal, civil, or administrative measures exist to address corruption, fraud, and other wrongful acts in its government procurement.

2. The criminal, civil, or administrative measures may include procedures to debar, suspend, or declare ineligible from participation in a Party’s procurements, for a stated period of time, a supplier that the Party has determined to have engaged in corruption, fraud, or other wrongful acts relevant to a supplier’s eligibility to participate in the Party’s government procurement.

3. Each Party shall adopt or maintain measures to address potential conflicts of interest on the part of those engaged in or having influence over a procurement.

Article 11.4. Facilitation of Participation by Small and Medium Sized Enterprises

1. The Parties recognize the important contribution that small and medium sized enterprises (SMEs) can make to economic growth and employment and, accordingly, the importance of facilitating the participation of SMEs in government procurement.

2. To facilitate participation by SMEs in covered procurement, each Party shall, to the extent possible and if appropriate:

(a) ensure that information on how to participate in government procurement is readily available;

(b) endeavour to make all tender documentation available free of charge;

(c) conduct procurement by electronic means, including through new information and communication technologies;

(d) consider the size, design, and structure of the procurement, including subcontracting with SMEs; and

(e) promote prompt payment upon satisfactory provision of the goods or services.

Article 11.5. Cooperation In Government Procurement

1. The Parties recognize the importance of cooperation between them in helping to ensure the effective implementation of this Chapter. Taking into account the available and existing instruments, resources, and mechanisms, the Parties shall, to the extent possible, cooperate and exchange information, including through networks, seminars, and workshops, in matters such as:

(a) sustainable procurement practices; and

(b) streamlining and simplifying procurement processes to facilitate the participation of suppliers in government procurement.

Chapter 12. Intellectual Property

Article 12.1. Objectives

The objectives of this Chapter are to:

(a) maintain a balance between the rights of intellectual property right holders and the legitimate interests of intellectual property users with regard to intellectual property;

(b) facilitate international trade and economic, social and cultural development through the dissemination of ideas, technology and creative works; and

(c) facilitate the enforcement of intellectual property rights with a view, among other things, to eliminating trade in goods infringing intellectual property rights.

Article 12.2. Affirmation of International Agreements

1. The Parties affirm their rights and obligations under the WTO Agreement on Trade-Related Aspects of Intellectual Property Rights (TRIPS Agreement) and other intellectual property agreements to which both Parties are party.

2. The Parties confirm that the TRIPS Agreement can and should be interpreted and implemented in a manner supportive of WTO Members' right to protect public health and, in particular, to promote access to medicines for all. In this regard, the Parties affirm the right to fully avail themselves of the flexibilities established in the TRIPS Agreement, including those related to the protection of public health and in particular the promotion of access to medicines for all. The Parties take note of the WTO's General Council Decision on the Implementation of Paragraph 6 of the Doha Declaration on the TRIPS Agreement and Public Health of 30 August 2003 and the Protocol amending the TRIPS Agreement adopted 6 December 2005.

Article 12.3. Protection of Geographical Indications

1. This Article concerns the protection in each of the Parties of geographical indications of wines and spirits originating in the territory of the other Party.

2. Part A of Annex 12-A contains geographical indications originating and protected in Canada. The terms listed in Part A of Annex 12-A are eligible for registration as protected geographical indications in Ukraine.

3. Part B of Annex 12-A contains geographical indications originating and protected in Ukraine. The terms listed in Part B of Annex 12-A are eligible for registration as protected geographical indications in Canada.

4. In order to secure protection, the authorities responsible for particular geographical indications in each Party shall apply for registration for protection in the territory of the other Party, in accordance with the procedures and requirements prescribed by the law of the other Party. The protection by each Party of these geographical indications shall be in accordance with Articles 22 through 24 of the TRIPS Agreement and subject to the exceptions provided in Article 24 of the TRIPS Agreement.

5. Each Party may adopt or maintain procedures that provide for the cancellation of the protection afforded to a geographical indication within its territory.

6. If a geographical indication of a Party listed in Annex 12-A ceases to be protected in the territory of its place of origin or falls into disuse in that place, that Party shall notify the other Party and request cancellation of the registration.

7. In accordance with the procedure established in paragraph 9, the Joint Commission referred to under Article 27.1 (Joint Commission) may amend Annex 12-A by removing a geographical indication of a wine or spirit which has ceased to be protected, or has fallen into disuse in Canada from Part A, or a geographical indication of a wine and spirit which has ceased to be protected, or has fallen into disuse in Ukraine from Part B.

8. In accordance with the procedure established in paragraph 9, the Joint Commission may amend Annex 12-A by adding a geographical indication of a wine or spirit originating and protected in Canada to Part A, and a geographical indication of a wine or a spirit originating and protected in Ukraine to Part B.

9. The Joint Commission, when exercising its powers of paragraph 7 or 8, shall act by consensus and on a recommendation by the Committee on Intellectual Property referred to under Article 12.12.

Article 12.4. Enforcement of Intellectual Property Rights

1. Each Party shall ensure that enforcement procedures are available under its legislation so as to permit effective action against any act of infringement of intellectual property rights (1), including expeditious remedies to prevent infringements and remedies which constitute a deterrent to further infringements. These procedures shall be applied in such a manner as to avoid the creation of barriers to legitimate trade and to provide for safeguards against their abuse.

2. Procedures concerning the enforcement of intellectual property rights shall be fair and equitable. They shall not be unnecessarily complicated or costly, or entail unreasonable time-limits or unwarranted delays.

(1) For the purposes of this Chapter, intellectual property rights refer to all categories of intellectual property rights that are the subject of Sections 1 through 7 of Part II of the TRIPS Agreement.

Article 12.5. Criminal Procedures

Each Party shall provide for criminal procedures and penalties to be applied at least in cases of wilful trademark counterfeiting or copyright piracy on a commercial scale. Remedies available shall include either imprisonment or monetary fines or both, sufficient to provide a deterrent, consistent with the level of penalties applied for crimes of a corresponding gravity. In appropriate cases, remedies available shall also include the seizure, forfeiture and destruction of the infringing goods and any materials or implements the predominant use of which has been in the commission of the offence. Each Party may provide for criminal procedures and penalties to be applied in other cases of infringement of intellectual property rights, in particular when they are committed wilfully and on a commercial scale.

Article 12.6. Camcording

1. Each Party shall provide for criminal procedures and penalties to be applied in accordance with that Party's laws and regulations for the unauthorised copying of a cinematographic work, or any part thereof, from a performance in a movie theatre.

2. For an offence specified in paragraph 1, each Party shall provide penalties that include imprisonment as well as monetary fines (2) sufficiently high to provide a deterrent against future acts of infringement, consistent with the level of penalties applied for crimes of a corresponding gravity.

(2) For greater certainty, there is no obligation for a Party to provide for the possibility of imprisonment and monetary fines to be imposed in parallel.

Article 12.7. Special Measures Against Copyright Infringers on the Internet or other Digital Networks

1. Each Party's civil and criminal enforcement procedures shall apply to infringement of copyright or related rights on the Internet or other digital networks, which may include the unlawful use of means of widespread distribution for infringing purposes.

2. A Party may provide its competent authorities, in accordance with its law, with the authority to order an online service provider to disclose expeditiously to a right holder information sufficient to identify a subscriber whose account was allegedly used for infringement, if that right holder has filed a legally sufficient claim for copyright or related rights infringement, and if that information is being sought for the purpose of protecting or enforcing those rights.

3. Each Party shall endeavour to promote cooperative efforts within the business community to effectively address copyright or related rights infringement while preserving legitimate competition and, consistent with that Party's domestic law, preserving fundamental principles such as freedom of expression, fair process, and privacy.

4. Each Party shall adopt or maintain measures to curtail copyright and related right infringement on the Internet or other digital network.

5. Each Party shall implement the procedures referred to in this Article in a manner that avoids the creation of barriers to legitimate activity, including electronic commerce and, consistent with that Party's law, preserves fundamental principles such as freedom of expression, fair process, and privacy. (3)

(3) For instance, the procedures in this Article are without prejudice to a Party's law, adopting or maintaining a regime providing for limitations on the liability of, or on the remedies available against, online service providers while preserving the legitimate interests of right holders.

Article 12.8. Special Requirements Related to Border Measures

1. For the purposes of this Article, goods infringing an intellectual property right mean counterfeit trademark goods or pirated copyright goods as defined in footnote 14 of Article 51 of the TRIPS Agreement. (4)

2. Each Party shall permit its competent authorities to request that a right holder supply relevant information to assist in taking the border measures referred to in this Article. A Party may also allow a right holder to supply relevant information to its competent authorities.

3. Each Party shall adopt or maintain procedures with respect to import and export shipments (5) under which its competent authorities may act upon their own initiative to suspend the release of, or to detain, goods suspected of infringing an intellectual property right.

4. Each Party shall adopt or maintain procedures with respect to import and export shipments under which a right holder may request the competent authorities of the Party providing the procedures to suspend the release of, or to detain, goods suspected of infringing an intellectual property right.

5. Each Party may provide that, if the applicant has abused the procedures described in this Article or if there is due cause, that Party's competent authorities have the authority to deny, suspend, or void the application.

  • Chapter   1 General Provisions and Definitions 1
  • Section   A General Provisions 1
  • Article   1.1 Establishment of the Free Trade Area 1
  • Article   1.2 Relation to other Agreements 1
  • Article   1.3 Extent of Obligations 1
  • Article   1.4 Reference to other Agreements 1
  • Section   B General Definitions 1
  • Article   1.5 Definitions of General Application 1
  • Article   1.6 Country-specific Definitions 1
  • Chapter   2 National Treatment and Market Access 1
  • Article   2.1 Definitions 1
  • Article   2.2 Scope and Coverage 1
  • Section   A National Treatment 1
  • Article   2.3 National Treatment 1
  • Section   B Tariffs 1
  • Article   2.4 Tariff Elimination on Imports 1
  • Section   C Non-Tariff Measures 1
  • Article   2.5 Import and Export Restrictions 1
  • Article   2.6 Customs User Fees and Similar Charges 1
  • Article   2.7 Balance-of Payments Exception 1
  • Article   2.8 Customs Valuation 1
  • Article   2.9 Customs Duties on Exports 1
  • Article   2.10 Agriculture Export Subsides 1
  • Article   2.11 Special Safeguard on Agricultural Goods 1
  • Article   2.12 Distilled Spirits 1
  • Section   D Institutional Provisions 1
  • Article   2.13 Committee on Trade In Goods and Rules of Origin 2
  • Chapter   3 Rules of Origin and Origin Procedures 2
  • Section   A General Provisions 2
  • Article   3.1 Definitions 2
  • Section   B Rules of Origin 2
  • Article   3.2 General Requirements 2
  • Article   3.3 Cumulation of Origin 2
  • Article   3.4 Wholly Obtained Products 2
  • Article   3.5 Sufficient Production 2
  • Article   3.6 Tolerance 2
  • Article   3.7 Unit of Classification 2
  • Article   3.8 Packaging and Packing Materials and Containers 2
  • Article   3.9 Accounting Segregation of Fungible Materials or Products 2
  • Article   3.10 Accessories, Spare Parts and Tools 2
  • Article   3.11 Sets 2
  • Article   3.12 Neutral Elements 2
  • Article   3.13 Transport Through a Non-Party 2
  • Article   3.14 Returned Originating Products 2
  • Section   C Origin Procedures 2
  • Article   3.15 Proof of Origin 2
  • Article   3.16 Obligations Regarding Exportations 2
  • Article   3.17 Validity of the Origin Declaration 2
  • Article   3.18 Obligations Regarding Importations 2
  • Article   3.19 Proof Related to Transport Through a Non-Party 2
  • Article   3.20 Importation by Instalments 3
  • Article   3.21 Exemptions from Origin Declarations 3
  • Article   3.22 Supporting Documents 3
  • Article   3.23 Preservation of Records 3
  • Article   3.24 Discrepancies and Formal Errors 3
  • Article   3.25 Cooperation 3
  • Article   3.26 Origin Verification 3
  • Article   3.27 Review and Appeal 3
  • Article   3.28 Penalties 3
  • Article   3.29 Confidentiality 3
  • Article   3.30 Advance Rulings Relating to Origin 3
  • Article   3.31 The Subcommittee on Origin Procedures 3
  • Chapter   4 Trade Facilitation 3
  • Article   4.1 Objectives, Principles, and General Provisions 3
  • Article   4.2 Transparency 3
  • Article   4.3 Release of Goods 3
  • Article   4.4 Customs Valuation 3
  • Article   4.5 Fees and Charges 3
  • Article   4.6 Risk Management 3
  • Article   4.7 Automation 3
  • Article   4.8 Advance Rulings for Tariff Classification 3
  • Article   4.9 Review and Appeal 3
  • Article   4.10 Penalties 4
  • Article   4.11 Confidentiality 4
  • Article   4.12 Cooperation 4
  • Article   4.13 Future Work Program 4
  • Chapter   5 Trade Remedies 4
  • Section   A Definitions 4
  • Article   5.1 Definitions 4
  • Article   B Global Safeguards and Anti-Dumping and Countervailing Measures 4
  • Article   5.2 Article XIX of the GATT 1994 and the Agreement on Safeguards 4
  • Article   5.3 Relation to other Agreements 4
  • Article   5.4 Transparency 4
  • Chapter   6 Sanitary and Phytosanitary Measures 4
  • Article   6.1 Relation to other Agreements 4
  • Article   6.2 Scope and Coverage 4
  • Article   6.3 Sanitary and Phytosanitary Contact Points 4
  • Article   6.4 Sanitary and Phytosanitary Issue Prevention and Resolution 4
  • Chapter   7 Technical Barriers to Trade 4
  • Article   7.1 Definitions 4
  • Article   7.2 WTO Agreement on Technical Barriers to Trade 4
  • Article   7.3 Scope 4
  • Article   7.4 Joint Cooperation 4
  • Article   7.5 International Standards 4
  • Article   7.6 Conformity Assessment 4
  • Article   7.7 Transparency 4
  • Article   7.8 Contact Points 4
  • Chapter   8 Digital Trade 4
  • Article   8.1 Definitions 4
  • Article   8.2 Scope 4
  • Article   8.3 Access to and Use of the Internet for Digital Trade 5
  • Article   8.4 Electronic Transactions 5
  • Article   8.5 Electronic Authentication and Electronic Signatures 5
  • Article   8.6 Online Consumer Protection 5
  • Article   8.7 Personal Data Protection 5
  • Article   8.8 Unsolicited Commercial Electronic Messages 5
  • Article   8.9 Prohibition of Customs Duties on Digital Products Transmitted Electronically 5
  • Article   8.10 Cross-Border Transfer of Information by Electronic Means 5
  • Article   8.11 Location of Computing Facilities 5
  • Article   8.12 Source Code 5
  • Article   8.13 Open Government Data 5
  • Chapter   9 Competition Policy 5
  • Article   9.1 Objectives 5
  • Article   9.2 Competition Laws and Authorities 5
  • Article   9.3 Procedural Fairness 5
  • Article   9.4 Transparency 5
  • Article   9.5 Confidentiality 5
  • Article   9.6 Cooperation 5
  • Article   9.7 Consultations 5
  • Article   9.8 Non-Application of Dispute Settlement 5
  • Chapter   10 Designated Monopolies and State-Owned Enterprises 5
  • Article   10.1 Definitions 5
  • Article   10.2 Scope 6
  • Article   10.3 Designated Monopolies 6
  • Article   10.4 State-Owned Enterprises 6
  • Article   10.5 Courts and Administrative Bodies 6
  • Article   10.6 Transparency 6
  • Article   10.7 Technical Cooperation 6
  • Article   10.8 Contact Points 6
  • Article   10.9 Exceptions 6
  • Chapter   11 Government Procurement 6
  • Article   11.1 Incorporation and Application of Certain Provisions of the GPA 2012 6
  • Article   11.2 Environmental, Socio-Economic, and Labour-related Considerations 6
  • Article   11.3 Ensuring Integrity In Procurement Practices 6
  • Article   11.4 Facilitation of Participation by Small and Medium Sized Enterprises 6
  • Article   11.5 Cooperation In Government Procurement 6
  • Chapter   12 Intellectual Property 6
  • Article   12.1 Objectives 6
  • Article   12.2 Affirmation of International Agreements 6
  • Article   12.3 Protection of Geographical Indications 6
  • Article   12.4 Enforcement of Intellectual Property Rights 6
  • Article   12.5 Criminal Procedures 6
  • Article   12.6 Camcording 6
  • Article   12.7 Special Measures Against Copyright Infringers on the Internet or other Digital Networks 6
  • Article   12.8 Special Requirements Related to Border Measures 6
  • Article   12.9 Cooperation on Enforcement of Intellectual Property Rights 7
  • Article   12.10 Other Areas of Cooperation 7
  • Article   12.11 Designation of Contact Points 7
  • Article   12.12 Committee on Intellectual Property 7
  • Article   12.13 Transparency 7
  • Article   12.14 Disclosure of Information 7
  • Article   12.15 Consultations 7
  • Article   12.16 Non-Application of Dispute Settlement 7
  • Chapter   13 Environment 7
  • Article   13.1 Definitions 7
  • Article   13.2 Context and Objectives 7
  • Article   13.3 Right to Regulate and Levels of Protection 7
  • Article   13.4 Enforcement of Environmental Laws 7
  • Article   13.5 Public Information and Participation 7
  • Article   13.6 Procedural Matters 7
  • Article   13.7 Scientific and Technical Information 7
  • Article   13.8 Environmental Impact Assessment 7
  • Article   13.9 Multilateral Environmental Agreements 7
  • Article   13.10 Climate Change 7
  • Article   13.11 Protection of the Ozone Layer 7
  • Article   13.12 Protection of the Marine Environment from Ship Pollution 7
  • Article   13.13 Circular Economy 7
  • Article   13.14 Air Quality 7
  • Article   13.15 Chemicals Management 7
  • Article   13.16 Plastic Pollution and Waste 7
  • Article   13.17 Corporate Social Responsibility and Responsible Business Conduct 8
  • Article   13.18 Voluntary Mechanisms to Enhance Environmental Performance 8
  • Article   13.19 Trade and Biological Diversity 8
  • Article   13.20 Sustainable Agriculture 8
  • Article   13.21 Marine Sustainable Fisheries and Aquaculture (14) 8
  • Article   13.22 Sustainable Forest Management and Trade 8
  • Article   13.23 Environmental Goods and Services 8
  • Article   13.24 Cooperation 8
  • Article   13.25 Contact Points and the Committee on the Environment 8
  • Article   13.26 Environment Consultations 8
  • Article   13.27 Senior Representative Consultations 8
  • Article   13.28 Ministerial Consultations 8
  • Article   13.29 Dispute Resolution 8
  • Chapter   14 Labour 8
  • Article   14.1 Definitions 8
  • Section   A Shared Commitments 8
  • Article   14.2 General Commitments 8
  • Section   B Obligations 9
  • Article   14.3 General Obligations 9
  • Article   14.4 Fair and Balanced Labour Laws 9
  • Article   14.5 Levels of Protection 9
  • Article   14.6 Enforcement of Labour Laws 9
  • Article   14.7 Forced or Compulsory Labour 9
  • Article   14.8 Violence Against Workers 9
  • Article   14.9 Public Awareness and Procedural Guarantees 9
  • Section   C Institutional Mechanisms 9
  • Article   14.10 Labour Council 9
  • Article   14.11 National Administrative Office 9
  • Article   14.12 Public Engagement 9
  • Article   14.13 Public Submissions 9
  • Article   14.14 Cooperation 9
  • Article   14.15 Labour Consultations 9
  • Article   14.16 Council Consultations 9
  • Chapter   15 Transparency, Anti-Corruption, and Responsible Business Conduct 9
  • Section   A Definitions 9
  • Article   15.1 Definitions 9
  • Section   B Transparency 10
  • Article   15.2 Publication 10
  • Article   15.3 Notification and Provision of Information 10
  • Article   15.4 Administrative Proceedings 10
  • Article   15.5 Review and Appeal 10
  • Article   15.6 Cooperation on Promoting Increased Transparency 10
  • Section   C Anti-Corruption 10
  • Article   15.7 Scope 10
  • Article   15.8 Measures to Combat Corruption 10
  • Article   15.9 Cooperation In International Fora 10
  • Article   15.10 Promoting Integrity Among Public Officials 10
  • Article   15.11 Participation of Private Sector and Society 10
  • Article   15.12 Application and Enforcement of Anti-Corruption Laws 10
  • Article   15.13 Relation to other Agreements 10
  • Section   D Responsible Business Conduct 10
  • Article   15.14 Responsible Business Conduct 10
  • Chapter   16 Trade-Related Cooperation 10
  • Article   16.1 Trade-Related Cooperation 10
  • Article   16.2 Contact Points 10
  • Chapter   17 Investment 10
  • Section   A Definitions 10
  • Article   17.1 Definitions 10
  • Section   B Investment Protections 11
  • Article   17.2 Scope 11
  • Article   17.3 Relation to other Chapters 11
  • Article   17.4 Right to Regulate 11
  • Article   17.5 Non-Derogation 11
  • Article   17.6 National Treatment 11
  • Article   17.7 Most-Favoured-Nation Treatment 11
  • Article   17.8 Treatment In Case of Armed Conflict, Civil Strife, or Natural Disaster 11
  • Article   17.9 Minimum Standard of Treatment 11
  • Article   17.10 Expropriation 11
  • Article   17.11 Transfer of Funds 11
  • Article   17.12 Performance Requirements 11
  • Article   17.3 Senior Management and Boards of Directors 12
  • Article   17.14 Subrogation 12
  • Article   17.15 Responsible Business Conduct 12
  • Article   17.16 Denial of Benefits 12
  • Article   17.17 Special Formalities and Information Requirements 12
  • Section   C Reservations, Exceptions, Exclusions 12
  • Article   17.18 Non-Conforming Measures 12
  • Article   17.19 Exclusions 12
  • Section   D Investor-State Dispute Settlement 12
  • Article   17.20 Scope and Purpose 12
  • Article   17.21 Request for Consultations 12
  • Article   17.22 Mediation 12
  • Article   17.23 Submission of a Claim to Arbitration 12
  • Article   17.24 Consent to Arbitration 12
  • Article   17.25 Discontinuance 12
  • Article   17.26 Arbitrators 12
  • Article   17.27 Agreement to Appointment of Arbitrators by ICSID 12
  • Article   17.28 Applicable Law and Interpretation 12
  • Article   17.29 Preliminary Objections 12
  • Article   17.30 Consolidation 12
  • Article   17.31 Seat of Arbitration 13
  • Article   17.32 Transparency of Proceedings 13
  • Article   17.33 Participation of a Non-Disputing Party 13
  • Article   17.34 Expert Reports 13
  • Article   17.35 Interim Measures of Protection 13
  • Article   17.36 Final Award 13
  • Article   17.37 Finality and Enforcement of an Award 13
  • Article   17.38 Third Party Funding 13
  • Article   17.39 Service of Documents 13
  • Article   17.40 Establishment of a First Instance Investment Tribunal or an Appellate Mechanism for Investor-State Dispute Settlement 13
  • Section   E Expedited Arbitration 13
  • Article   17.41 Consent to Expedited Arbitration 13
  • Article   17.42 Mediation 13
  • Article   17.43 Constitution of the Tribunal 13
  • Article   17.44 Method of Appointing the Sole Arbitrator 13
  • Article   17.45 First Session In Expedited Arbitration 13
  • Article   17.46 Procedural Schedule for Expedited Arbitration 13
  • Article   17.47 Consolidation 13
  • Annex 17-A  Exclusions from Dispute Settlement 13
  • Annex 17-B  Arbitrator Code of Conduct for Investor-State Dispute Settlement 13
  • Chapter   18 Cross-Border Trade In Services 14
  • Article   18.1 Definitions 14
  • Article   18.2 Scope 14
  • Article   18.3 National Treatment 14
  • Article   18.4 Most-Favoured-Nation Treatment 14
  • Article   18.5 Market Access 14
  • Article   18.6 Formal Requirements 14
  • Article   18.7 Reservations 14
  • Article   18.8 Recognition 15
  • Article   18.9 Denial of Benefits 15
  • Article   18.10 Payments and Transfers 15
  • Annex 18-A  Professional Services 15
  • Appendix 18-A  Guidelines for Mutual Recognition Agreements or Arrangements for Professional Services 15
  • Section   A Conduct of Negotiations and Relevant Obligations 15
  • Section   B Form and Content of MRAs 15
  • Annex 18-B  Understanding on New Services Not Classified in the United Nations Provisional Central Product Classification (CPC), 1991 15
  • Chapter   19 Development and Administration of Measures 15
  • Article   19.1 Definitions 15
  • Article   19.2 Scope 15
  • Article   19.3 Right to Regulate 16
  • Article   19.4 Development of Licensing and Qualification Requirements and Procedures 16
  • Article   19.5 Administration of Licensing and Qualification Requirements and Procedures 16
  • Article   19.6 Fees 16
  • Article   19.7 Review of Administrative Decisions 16
  • Article   19.8 Transparency 16
  • Chapter   20 Financial Services 16
  • Article   20.1 Definitions 16
  • Article   20.2 Scope 16
  • Article   20.3 National Treatment 16
  • Article   20.4 Most-Favoured-Nation Treatment 16
  • Article   20.5 Market Access for Financial Institutions 16
  • Article   20.6 Cross-Border Trade 16
  • Article   20.7 New Financial Services (5) 17
  • Article   20.8 Treatment of Customer Information 17
  • Article   20.9 Senior Management and Boards of Directors 17
  • Article   20.10 Non-Conforming Measures 17
  • Article   20.11 Exceptions 17
  • Article   20.12 Recognition 17
  • Article   20.13 Transparency 17
  • Article   20.14 Processing of Applications 17
  • Article   20.15 Self-Regulatory Organizations 17
  • Article   20.16 Payment and Clearing Systems 17
  • Article   20.17 Expedited Availability of Insurance Services 17
  • Article   20.18 Performance of Back-Office Functions 17
  • Article   20.19 Cross-Border Electronic Payments 17
  • Article   20.20 Transfer of Information 17
  • Article   20.21 Financial Services Committee 17
  • Article   20.22 Consultations 17
  • Article   20.23 Dispute Settlement 17
  • Article   20.24 Investment Disputes In Financial Services 17
  • Annex 20-A  Cross-Border Trade 17
  • Canada (20) 17
  • Ukraine 18
  • Annex 20-B  Authorities Responsible for Financial Services 18
  • Chapter   21 Temporary Entry for Business Persons 18
  • Article   21.1 Definitions 18
  • Article   21.2 Scope 18
  • Article   21.3 Grant of Temporary Entry 18
  • Article   21.4 Application Procedures 18
  • Article   21.5 Provision of Information 18
  • Article   21.6 Contact Points 18
  • Article   21.7 Dispute Settlement 18
  • Article   21.8 Relation to other Chapters 18
  • Article   21.9 Review of Commitments 18
  • Annex 21-A  Temporary Entry for Business Persons 18
  • Section   A Business Visitors 18
  • Section   B Investors 18
  • Section   C Intra-Company Transferees 18
  • Section   D Professionals 19
  • Appendix 21-1  Activities for Business Visitors 19
  • Appendix 21-1  Professionals 19
  • Chapter   22 Telecommunications 19
  • Article   22.1 Definitions 19
  • Article   22.2 Scope of Application 19
  • Article   22.3 Approaches to Regulation 19
  • Article   22.4 Access to and Use of Public Telecommunications Networks or Services 19
  • Article   22.5 Number Portability 19
  • Article   22.6 Competitive Safeguards 19
  • Article   22.7 Treatment by Major Suppliers 19
  • Article   22.8 Resale 19
  • Article   22.9 Interconnection: Obligations Relating to Suppliers of Public Telecommunications Services 19
  • Article   22.10 Interconnection: Obligations Relating to Major Suppliers 19
  • Article   22.11 Access to Essential Facilities 19
  • Article   22.12 Co-location 19
  • Article   22.13 International Submarine Cable Systems 19
  • Article   22.14 Independent Telecommunications Regulatory Body 19
  • Article   22.15 Universal Service 20
  • Article   22.16 Licensing 20
  • Article   22.17 Allocation and Use of Scarce Resources 20
  • Article   22.18 Transparency 20
  • Article   22.19 Enforcement 20
  • Article   22.20 Resolution of Telecommunications Disputes 20
  • Article   22.21 Relation to International Organisations 20
  • Article   22.22 Relation to other Chapters 20
  • Chapter   23 Trade and Gender 20
  • Article   23.1 General Understandings 20
  • Article   23.2 International Instruments 20
  • Article   23.3 Non-Derogation 20
  • Article   23.4 Cooperation Activities 20
  • Article   23.5 Committee on Trade and Gender 20
  • Article   23.6 Dispute Settlement 20
  • Chapter   24 Trade and Small and Medium-Sized Enterprises 20
  • Article   24.1 General Provisions 20
  • Article   24.2 Information Sharing 20
  • Article   24.3 Cooperation Activities on SMEs 20
  • Article   24.4 Committee on SMEs 21
  • Article   24.5 Non-Application of Dispute Settlement 21
  • Chapter   25 Trade and Indigenous Peoples 21
  • Article   25.1 General Provisions 21
  • Article   25.2 Non-Derogation 21
  • Article   25.3 Responsible Business Conduct 21
  • Article   25.4 Cooperation Activities to Facilitate Indigenous Peoples' Participation In International Trade and Investment 21
  • Article   25.5 Committee on Trade and Indigenous Peoples 21
  • Article   25.6 Provisions In the Agreement That Benefit Indigenous Peoples 21
  • Article   25.7 Dispute Settlement 21
  • Chapter   26 Good Regulatory Practices 21
  • Article   26.1 Definitions 21
  • Article   26.2 General Provisions 21
  • Article   26.3 Scope of Application 21
  • Article   26.4 Internal Coordination of Regulatory Development 21
  • Article   26.5 Early Planning 21
  • Article   26.6 Regulatory Impact Assessment 21
  • Article   26.7 Public Consultations and Transparency 21
  • Article   26.8 Use of Plain Language 21
  • Article   26.9 Consideration of other Measures 21
  • Article   26.10 Public Access 21
  • Article   26.11 Retrospective Review 21
  • Article   26.12 Cooperation 21
  • Article   26.13 Report on Implementation and Review 21
  • Article   26.14 Contact Points 22
  • Article   26.15 Relationship to other Chapters 22
  • Article   26.16 Non-Application of Dispute Settlement 22
  • Chapter   27 Administration of the Agreement 22
  • Article   27.1 Joint Commission 22
  • Article   27.2 Agreement Coordinators 22
  • Annex 27-A  Committees, Subcommittees, and Other Bodies 22
  • Chapter   28 Dispute Settlement 22
  • Section   A State to State Dispute Settlement 22
  • Article   28.1 Definitions 22
  • Article   28.2 Cooperation 22
  • Article   28.3 Scope and Coverage 22
  • Article   28.4 Choice of Forum 22
  • Article   28.5 Consultations 22
  • Article   28.6 Good Offices, Conciliation, and Mediation 22
  • Article   28.7 Establishment of a Panel 22
  • Article   28.8 Panel Selection 22
  • Article   28.9 Qualifications of Panellists 22
  • Article   28.10 Rules of Procedure 22
  • Article   28.11 Panel Reports 23
  • Article   28.12 Implementation of the Final Report 23
  • Article   28.13 Non-Implementation – Suspension of Benefits 23
  • Article   28.14 Review of Compliance and Suspension of Benefits 23
  • Article   28.15 Referrals of Matters from Judicial or Administrative Proceedings 23
  • Section   B Other Dispute Settlement 23
  • Article   28.16 Private Rights 23
  • Article   28.17 Alternative Dispute Resolution 23
  • Annex 28-A  Nullification or Impairment 23
  • Annex 28-B  Dispute Settlement for Transparency, Anti-Corruption, and Responsible Business Conduct 23
  • Annex 28-C  Rules of Procedure 23
  • Chapter   29 Exceptions 23
  • Article   29.1 Definitions 23
  • Article   29.2 General Exceptions 24
  • Article   29.3 National Security 24
  • Article   29.4 Taxation 24
  • Article   29.5 Disclosure of Information 24
  • Article   29.6 Indigenous Peoples' Rights 24
  • Article   29.7 Cultural Industries 24
  • Article   29.8 World Trade Organization Waivers 24
  • Chapter   30 Final Provisions 24
  • Article   30.1 Transitional Provision from the 2017 Agreement 24
  • Article   30.2 Annexes, Appendices, and Footnotes 24
  • Article   30.3 Review Clause 24
  • Article   30.4 Amendments 24
  • Article   30.5 Reservations and Unilateral Declarations 24
  • Article   30.6 Entry Into Force 24
  • Article   30.7 Termination of this Agreement 24
  • Article   30.8 Termination of the 2017 Agreement 24
  • Article   30.9 Suspension of other Agreements 24
  • Article   30.10 Accession 24
  • Annex I  Cross-Border Trade in Services and Investment Non-Conforming Measures 24
  • Annex I  Explanatory Note 24
  • Annex I  Schedule of Canada 24
  • Annex I  Schedule of Ukraine 28
  • Annex II  Cross-Border Trade in Services and Investment Non-Conforming Measures 29
  • Annex II  Explanatory Note 29
  • Annex II  Schedule of Canada 29
  • Annex II  Schedule of Ukraine 31