Central America Republics - Korea, Republic of FTA (2018)
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(2) Sub-subparagraph (iii) does not cover measures of a Party which limit inputs for the supply of services.

Article 10.5. LOCAL PRESENCE

Neither Party may require a service supplier of the other Party to establish or maintain a representative office or any form of enterprise, or to be resident, in its territory as a condition for the cross-border supply of a service.

Article 10.6. NON-CONFORMING MEASURES

1. Articles 10.2, 10.3, 10.4, and 10.5 shall not apply to:

(a) any existing non-conforming measure that is maintained by a Party at:

(i) the central level of government, as set out by that Party in its Schedule to Annex I; or

(ii) a local level of government;

(b) the continuation or prompt renewal of any non-conforming measure referred to in subparagraph (a); or

(c) an amendment to any non-conforming measure referred to in subparagraph (a) to the extent that the amendment does not decrease the conformity of the measure, as it existed immediately before the amendment, with Articles 10.2, 10.3, 10.4 and 10.5.

2. Articles 10.2, 10.3, 10.4 and 10.5 shall not apply to any measure that a Party adopts or maintains with respect to sectors, subsectors or activities as set out in its Schedule to Annex II.

Article 10.7. DOMESTIC REGULATION

1. Where a Party requires authorization for the supply of a service, the Party’s competent authorities shall, within a reasonable time after the submission of an  application considered complete under its laws and regulations, inform the applicant of the decision concerning the application. At the request of the applicant, the Party’s competent authorities shall provide, without undue delay, information concerning the status of the application. This obligation shall not apply to authorization requirements that a Party adopts or maintains with respect to sectors, subsectors or activities as set out in its Schedule to Annex II.

2. While recognizing the right to regulate and to introduce new regulations on the supply of services in order to meet national policy objectives, and with a view to ensuring that measures related to qualification requirements and procedures, technical standards, and licensing requirements do not constitute unnecessary barriers to trade in services, each Party shall endeavor to ensure, as appropriate for individual sectors, that such measures are:

(a) based on objective and transparent criteria, such as competence and the ability to supply the service;

(b) not more burdensome than necessary to ensure the quality of the service;

and

(c) in the case of licensing procedures, not in themselves a restriction on the supply of the service.

3. If the results of the negotiations related to Article VI:4 of GATS (or the results of any similar negotiations undertaken in other multilateral fora in which the Parties participate) enter into effect, this Article shall be amended, as appropriate, after consultations among the Parties, to bring those results into effect under this Agreement. The Parties shall coordinate on such negotiations, as appropriate.

Article 10.8. TRANSPARENCY IN DEVELOPING AND APPLYING REGULATIONS (3)

Further to Chapter 18 (Transparency):

(a) each Party shall establish or maintain appropriate mechanisms for responding to inquiries from interested persons regarding its regulations related to the subject matter of this Chapter; and

(b) to the extent possible, each Party shall allow reasonable time between publication of final regulations related to the subject matter of this Chapter and their effective date.

(3) For greater certainty, regulations includes regulations establishing or applying to licensing authorization or criteria.

Article 10.9. RECOGNITION

1. For the purposes of the fulfillment, in whole or in part, of its standards or criteria for the authorization, licensing, or certification of services suppliers, and subject to the requirements of paragraph 4, a Party may recognize the education or experience obtained, requirements met, or licenses or certifications granted in a particular country. Such recognition, which may be achieved through harmonization or otherwise, may be based upon an agreement or arrangement with the country concerned or may be accorded autonomously.

2. Where a Party recognizes, autonomously or by agreement or arrangement, the education or experience obtained, requirements met, or licenses or certifications granted in the territory of a non-Party, nothing in Article 10.3 shall be construed to require the Party to accord such recognition to the education or experience obtained, requirements met, or licenses or certifications granted in the territory of the other Party.

3. A Party that is a party to an agreement or arrangement of the type referred to in paragraph 1, whether existing or future, shall afford adequate opportunity for the other Party, if the other Party is interested, to negotiate its accession to such an agreement or arrangement or to negotiate a comparable one with it. Where a Party accords recognition autonomously, it shall afford adequate opportunity for the other Party to demonstrate that education, experience, licenses, or certifications obtained or requirements met in the other Party’s territory should be recognized.

4. Neither Party may accord recognition in a manner that would constitute a means of discrimination among countries in the application of its standards or criteria for the authorization, licensing, or certification of services suppliers, or a disguised restriction on trade in services.

Article 10.10. TRANSFERS AND PAYMENTS

1. Each Party shall permit all transfers and payments related to the cross-border supply of services to be made freely and without delay into and out of its territory.

2. Each Party shall permit such transfers and payments related to the cross-border supply of services to be made in a freely usable currency at the market rate of exchange prevailing at the time of transfer.

3. Notwithstanding paragraphs 1 and 2, a Party may prevent or delay a transfer or payment through the equitable, non-discriminatory, and good faith application of its laws related to:

(a) bankruptcy, insolvency, or the protection of the rights of creditors;

(b) issuing, trading, or dealing in securities, futures, options, or derivatives;

(c) financial reporting or record keeping of transfers when necessary to assist law enforcement or financial regulatory authorities;

(d) criminal or penal offences; or

(e) ensuring compliance with orders or judgments in judicial or administrative proceedings.

Article 10.11. DENIAL OF BENEFITS

1. A Party may deny the benefits of this Chapter to a service supplier of the other Party if the service supplier is an enterprise owned or controlled by persons of a nonParty, and the denying Party adopts or maintains measures with respect to the non-Party that prohibit transactions with the enterprise or that would be violated or circumvented if the benefits of this Chapter were accorded to the enterprise.

2. A Party may deny the benefits of this Chapter to a service supplier of the other Party if the service supplier is an enterprise owned or controlled by persons of a non-Party or of the denying Party that has no substantial business activities in the territory of the other Party. The denying Party shall, to the maximum extent possible, notify the other Party before denying the benefits under this paragraph. If the denying Party provides such notice, it shall consult with the other Party at the other Party’s request.

Article 10.12. DEFINITIONS

aircraft repair and maintenance services means such activities when undertaken on an aircraft or a part thereof while it is withdrawn from service and does not include so-called line maintenance;

computer reservation system services (CRS) means services provided by computerized systems that contain information about air carriers’ schedules, availability, fares, and fare rules, through which reservations can be made or tickets may be issued;

cross-border trade in services or cross-border supply of services means the supply of a service:

(a) from the territory of one Party into the territory of the other Party;

(b) in the territory of one Party by a person of that Party to a person of the other Party; or

(c) by a national of a Party in the territory of the other Party, but does not include the supply of a service in the territory of a Party by a covered investment;

enterprise means an “enterprise” as defined in Article 1.6 (Definitions), and a branch of an enterprise;

enterprise of a Party means an enterprise organized or constituted under the laws of a Party, and a branch located in the territory of a Party and carrying out business activities there;

selling and marketing of air transport services means opportunities for the air carrier concerned to sell and market freely its air transport services, including all aspects of marketing such as market research, advertising, and distribution. These activities do not include the pricing of air transport services nor the applicable conditions; and

service supplier of a Party means a person of that Party that seeks to supply or supplies a service. (4)

(4) For the purposes of Articles 10.2 and 10.3, “service suppliers” has the same meaning as “services and service suppliers” as used in Articles II and XVII of GATS.

Chapter 11. FINANCIAL SERVICES

Article 11.1. SCOPE

1. This Chapter shall apply to measures adopted or maintained by a Party relating to:

(a) financial institutions of the other Party;

(b) investors of the other Party, and investments of such investors, in financial institutions in the Party’s territory; and

(c) cross-border trade in financial services.

2. Chapters 9 (Investment) and 10 (Cross-Border Trade in Services) shall apply to measures described in paragraph 1 only to the extent that these Chapters or Articles of these Chapters are incorporated into this Chapter.

(a) Articles 9.7 (Expropriation and Compensation), 9.8 (Transfers), 9.11 (Investment and Environment), 9.12 (Denial of Benefits), 9.14 (Special Formalities and Information Requirements), and 10.11 (Denial of Benefits) are hereby incorporated into and made part of this Chapter.

(b) Section B (Investor-State Dispute Settlement) of Chapter 9 (Investment) is hereby incorporated into and made part of this Chapter solely for claims that a Party has breached Article 9.7 (Expropriation and Compensation), 9.8 (Transfers), 9.12 (Denial of Benefits), or 9.14 (Special Formalities and Information Requirements) as incorporated into this Chapter.

(c) Article 10.10 (Transfers and Payments) is incorporated into and made part of this Chapter to the extent that cross-border trade in financial services is subject to obligations under Article 11.5.

3. This Chapter shall not apply to measures adopted or maintained by a Party relating to:

(a) activities or services forming part of a public retirement plan or statutory system of social security; or

(b) activities or services conducted for the account or with the guarantee or using the financial resources of the Party, including its public entities, except that this Chapter shall apply to the extent that a Party allows any of the activities or services referred to in subparagraph (a) or (b) to be conducted by its financial institutions in competition with a public entity or a financial institution.

4. This Chapter shall not apply to laws, regulations or requirements governing the  procurement by government agencies of financial services purchased for governmental purposes and not with a view to commercial resale or use in the supply of services for commercial sale.

Article 11.2. NATIONAL TREATMENT

1. Each Party shall accord to investors of the other Party treatment no less favorable than that it accords to its own investors, in like circumstances, with respect to the establishment, acquisition, expansion, management, conduct, operation, and sale or other disposition of financial institutions and investments in financial institutions in its territory.

2. Each Party shall accord to financial institutions of the other Party and to investments of investors of the other Party in financial institutions treatment no less favorable than that it accords to its own financial institutions, and to investments of its own investors in financial institutions, in like circumstances, with respect to the establishment, acquisition, expansion, management, conduct, operation, and sale or other disposition of financial institutions and investments.

3. For the purposes of the national treatment obligations in Article 11.5.1, a Party shall accord to cross-border financial service suppliers of the other Party treatment no less favorable than that it accords to its own financial service suppliers, in like circumstances, with respect to the supply of the relevant service.

Article 11.3. MOST-FAVORED-NATION TREATMENT

Each Party shall accord to investors of the other Party, financial institutions of the other Party, investments of investors in financial institutions, and cross-border financial service suppliers of the other Party treatment no less favorable than that it accords to the investors, financial institutions, investments of investors in financial institutions and cross-border financial service suppliers of a non-Party, in like circumstances.

Article 11.4. MARKET ACCESS FOR FINANCIAL INSTITUTIONS

1. A Party shall not adopt or maintain, with respect to financial institutions of the other Party, either on the basis of a regional subdivision or on the basis of its entire territory, measures that:

(a) impose limitations on:

(i) the number of financial institutions whether in the form of numerical quotas, monopolies, exclusive service suppliers, or the requirements of an economic needs test;

(ii) the total value of financial service transactions or assets in the form of numerical quotas or the requirement of an economic needs test; 

(iii) the total number of financial service operations or on the total quantity of financial services output expressed in terms of designated numerical units in the form of quotas or the requirement of an economic needs test; (1) or

(iv) the total number of natural persons that may be employed in a particular financial service sector or that a financial institution may employ and who are necessary for, and directly related to, the supply of a specific financial service in the form of numerical quotas or the requirement of an economic needs test; or

(b) restrict or require specific types of legal entity or joint venture through which a financial institution may supply a service.

2. For the purposes of this Article, financial institutions of the other Party includes financial institutions that investors of the other Party seek to establish in the territory of the Party.

(1) This subparagraph shall not cover measures of a Party which limit inputs for the supply of financial services.

Article 11.5. CROSS-BORDER TRADE

1. Each Party shall permit, under terms and conditions that accord national treatment, cross-border financial service suppliers of the other Party to supply the services specified in Annex 11-A.

2. Each Party shall permit persons located in its territory and its nationals wherever located, to purchase financial services from cross-border financial service suppliers of the other Party located in the territory of the other Party. This obligation does not require a Party to permit such suppliers to do business or solicit in its territory. Each Party may define “doing business” and “solicitation” for the purposes of this obligation, provided that those definitions are not inconsistent with paragraph 1.

3. Without prejudice to other means of prudential regulation of cross-border trade in financial services, a Party may require the registration of cross-border financial service suppliers of the other Party and of financial instruments.

Article 11.6. (2)

Each Party shall permit a financial institution of the other Party to supply any new financial service that the Party would permit its own financial institutions, in like circumstances, to supply without additional legislative action by the Party. Notwithstanding Article 11.4(b), a Party may determine the institutional and juridical form through which the new financial service may be supplied and may require authorization for the supply of the service. Where a Party requires a financial institution to obtain authorization to supply a new financial service, the Party shall decide within a reasonable time whether to issue the authorization and the authorization may be refused only for prudential reasons.

(2) The Parties understand that nothing in this Article prevents a financial institution of a Party from applying to the other Party to request that it authorize the supply of a financial service that is supplied in neither Party’s territory. Such application shall be subject to the law of the Party to which the application is made and, for greater certainty, shall not be subject to the obligations of this Article.

Article 11.7. TREATMENT OF CERTAIN INFORMATION

Nothing in this Chapter requires a Party to furnish or allow access to:

(a) information related to the financial affairs and accounts of individual customers of financial institutions or cross-border financial service suppliers; or

(b) any confidential information the disclosure of which would impede law enforcement or otherwise be contrary to the public interest or prejudice legitimate commercial interests of particular enterprises.

Article 11.8. SENIOR MANAGEMENT AND BOARDS OF DIRECTORS

1. Neither Party may require financial institutions of the other Party to engage individuals of any particular nationality as senior managerial or other essential personnel.

2. Neither Party may require that more than a minority of the board of directors of a financial institution of the other Party be composed of nationals of the Party, persons residing in the territory of the Party, or a combination thereof.

Article 11.9. NON-CONFORMING MEASURES

1. Articles 11.2 through 11.5 and 11.8 shall not apply to:

(a) any existing non-conforming measure that is maintained by a Party at

(i) the central level of government, as set out by that Party in Section A of its Schedule set out in Annex III; or

(ii) a local level of government;

(b) the continuation or prompt renewal of any non-conforming measure referred to in subparagraph (a); or

(c) an amendment to any non-conforming measure referred to in subparagraph (a) to the extent that the amendment does not decrease the conformity of the measure, as it existed immediately before the amendment, with Article 11.2, 11.3, 11.4, or 11.8. (3)

2. Articles 11.2 through 11.5 and 11.8 shall not apply to any measure that a Party adopts or maintains with respect to sectors, subsectors, or activities, as set out by the Party in Section B of its Schedule set out in Annex III. (4) 

3. A non-conforming measure set out in an entry in a Party’s Schedule set out in Annex I or II as not subject to Article 9.3 (National Treatment), 9.4 (Most-FavoredNation Treatment), 10.2 (National Treatment), 10.3 (Most-Favored-Nation Treatment) or

10.4 (Market Access), shall be treated as a non-conforming measure not subject to Article 11.2, 11.3 or 11.4, as the case may be, to the extent that the measure, sector, subsector, or activity set out in the entry is covered by this Chapter.

(3) For greater certainty, Article 11.5 shall apply to an amendment to any non-conforming measure referred to in subparagraph (a) only to the extent that the amendment decreases the conformity of the measure, as it existed on the date of entry into force of the Agreement, with Article 11.5.
(4)  For Nicaragua and Panama, Section B of Annex III shall not apply.

Article 11.10. EXCEPTIONS

1. Notwithstanding any other provision of this Chapter or Chapters 9 (Investment), 13 (Telecommunications), including specifically Article 13.22 (Relation to Other Chapters), or 14 (Electronic Commerce), and, in addition, Article 10.1.3 (Scope) with respect to the supply of financial services in the territory of a Party by a covered investment, a Party shall not be prevented from adopting or maintaining measures for prudential reasons (5), including for the protection of investors, depositors, policy holders, or persons to whom a fiduciary duty is owed by a financial institution or cross-border financial service supplier, or to ensure the integrity and stability of the financial system. Where such measures do not conform with the provisions of this Agreement referred to in this paragraph, they shall not be used as a means of avoiding the Party’s commitments or obligations under such provisions.

2. Nothing in this Chapter or Chapters 9 (Investment), 13 (Telecommunications), including specifically Article 13.22 (Relation to Other Chapters), or 14 (Electronic Commerce), and, in addition, Article 10.1.3 (Scope) with respect to the supply of financial services in the territory of a Party by a covered investment, shall apply to nondiscriminatory measures of general application taken by any public entity in pursuit of monetary and related credit policies or exchange rate policies. This paragraph shall not affect a Party’s obligations under Article 9.9 (Performance Requirements) with respect to measures covered by Chapter 9 (Investment) or under Article 9.8 (Transfers) or 10.10 (Transfers and Payments).

3. Notwithstanding Articles 9.8 (Transfers) and 10.10 (Transfers and Payments), as incorporated into this Chapter, a Party may prevent or limit transfers by a financial institution or cross-border financial service supplier to, or for the benefit of, an affiliate of or person related to such institution or supplier, through the equitable, nondiscriminatory, and good faith application of measures relating to maintenance of the safety, soundness, integrity, or financial responsibility of financial institutions or crossborder financial service suppliers. This paragraph does not prejudice any other provision of this Agreement that permits a Party to restrict transfers.

4. For greater certainty, nothing in this Chapter shall be construed to prevent a Party from adopting or enforcing measures necessary to secure compliance with laws or regulations that are not inconsistent with this Chapter, including those relating to the prevention of deceptive and fraudulent practices or to deal with the effects of a default on financial services contracts, subject to the requirement that such measures are not applied in a manner which would constitute a means of arbitrary or unjustifiable discrimination between countries where like conditions prevail, or a disguised restriction on investment in financial institutions or cross-border trade in financial services.

(5) It is understood that the term “prudential reasons” includes the maintenance of the safety, soundness, integrity, or financial responsibility of individual financial institutions or cross-border financial service suppliers.

Article 11.11. TRANSPARENCY

1. The Parties recognize that transparent regulations and policies governing the activities of financial institutions and cross-border financial service suppliers are important in facilitating access of foreign financial institutions and foreign cross-border financial service suppliers to, and their operations in, each other’s markets. Each Party commits to promoting regulatory transparency in financial services.

2. In lieu of Article 18.1.2 (Publication), each Party, to the extent practicable:

(a) shall publish in advance any regulations of general application relating to the subject matter of this Chapter that it proposes to adopt and the purpose of the regulation; and

(b) shall provide interested persons and the other Party a reasonable opportunity to comment (6) on such proposed regulations.

3. At the time it adopts final regulations, a Party should, to the extent practicable, address in writing substantive comments received from interested persons with respect to the proposed regulations.

4. To the extent practicable, each Party should allow reasonable time between publication of final regulations of general application and their effective date.

5. Each Party shall ensure that the rules of general application adopted or maintained by self-regulatory organizations of the Party are promptly published or otherwise made available in such a manner as to enable interested persons to become acquainted with them.

6. Each Party shall establish or maintain appropriate mechanisms for responding to inquiries from interested persons regarding measures of general application covered by this Chapter.

7. Each Party’s regulatory authorities shall make publicly available the requirements, including any documentation required, for completing applications relating to the supply of financial services.

8. On the request of an applicant, a Party’s regulatory authority shall inform the applicant of the status of its application. If the authority requires additional information  from the applicant, it shall notify the applicant without undue delay.

9. A Party’s regulatory authority shall make an administrative decision on a completed application of an investor in a financial institution, a financial institution, or a cross-border financial service supplier of the other Party relating to the supply of a financial service within 120 days, and shall promptly notify the applicant of the decision. An application shall not be considered complete until all relevant hearings are held and all necessary information is received. Where it is not practicable for a decision to be made within 120 days, the regulatory authority shall notify the applicant without undue delay and shall endeavor to make the decision within a reasonable time thereafter.

10. On the request of an unsuccessful applicant, a regulatory authority that has denied an application shall, to the extent practicable, inform the applicant of the reasons for denial of the application.

Article 11.12. DOMESTIC REGULATION

Except with respect to non-conforming measures listed in its Schedule to Annex III, each Party shall ensure that all measures of general application to which this Chapter applies are administered in a reasonable, objective, and impartial manner.

Article 11.13. SELF-REGULATORY ORGANIZATIONS

When a Party requires a financial institution or a cross-border financial service supplier of the other Party to be a member of, participate in, or have access to, a self-regulatory organization to provide a financial service in or into the territory of that Party, the Party shall ensure that the self-regulatory organization observes the obligations of Articles 11.2 and 11.3.

Article 11.14. PAYMENT AND CLEARING SYSTEMS

Under terms and conditions that accord national treatment, each Party shall grant financial institutions of the other Party established in its territory access to payment and clearing systems operated by public entities, and to official funding and refinancing facilities available in the normal course of ordinary business. This Article is not intended to confer access to the Party’s lender of last resort facilities.

Article 11.15. RECOGNITION

1. A Party may recognize prudential measures of a non-Party in the application of measures covered by this Chapter. Such recognition may be:

(a) accorded autonomously;

(b) achieved through harmonization or other means; or

(c) based on an agreement or arrangement with the non-Party.

2. A Party according recognition of prudential measures under paragraph 1 shall provide adequate opportunity to the other Party to demonstrate that circumstances exist in which there are or would be equivalent regulation, oversight, implementation of regulation, and, if appropriate, procedures concerning the sharing of information between the Parties.

3. Where a Party accords recognition of prudential measures under paragraph 1(c) and the circumstances described in paragraph 2 exist, the Party shall provide adequate opportunity to the other Party to negotiate accession to the agreement or arrangement, or to negotiate a comparable agreement or arrangement.

Article 11.16. FINANCIAL SERVICES COMMITTEE

1. The Parties hereby establish a Financial Services Committee (hereinafter referred to as the “Committee”). The principal representative of each Party shall be an official of the Party’s authority responsible for financial services set out in Annex 11-B.

2. The Committee shall:

(a) supervise the implementation of this Chapter and its further elaboration;

(b) consider issues regarding financial services that are referred to it by a Party;

(c) participate in the dispute settlement procedures in accordance with Article11.19; and

(d) carry out other functions as may be assigned by the Joint Committee or agreed by the Parties.

3. Unless the Parties otherwise agree, the Committee shall meet annually, to assess the functioning of this Agreement as it applies to financial services. Meetings may be conducted in person or by any technological means available to the Parties. The Committee shall inform the Joint Committee of the results of each of its meetings.

Article 11.17. CONSULTATIONS

  • Chapter   1 INITIAL PROVISIONS AND GENERAL DEFINITIONS 1
  • Section   A Initial Provisions 1
  • Article   1.1 ESTABLISHMENT OF A FREE TRADE AREA 1
  • Article   1.2 OBJECTIVES 1
  • Article   1.3 RELATION TO OTHER AGREEMENTS 1
  • Article   1.4 EXTENT OF OBLIGATIONS 1
  • Article   1.5 SCOPE 1
  • Section   B General Definitions 1
  • Article   1.6 DEFINITIONS 1
  • Chapter   2 NATIONAL TREATMENT AND MARKET ACCESS FOR GOODS 1
  • Article   2.1 SCOPE 1
  • Section   A National Treatment 1
  • Article   2.2 NATIONAL TREATMENT 1
  • Section   B Elimination of Customs Duties 1
  • Article   2.3 CLASSIFICATION OF GOODS 1
  • Article   2.4 ELIMINATION OF CUSTOMS DUTIES 1
  • Section   C Special Regimes 1
  • Article   2.5 WAIVER OF CUSTOMS DUTIES 1
  • Article   2.6 TEMPORARY ADMISSION OF GOODS 1
  • Article   2.7 GOODS RE-ENTERED AFTER REPAIR OR ALTERATION 1
  • Article   2.8 DUTY-FREE ENTRY OF COMMERCIAL SAMPLES OF NEGLIGIBLE VALUE AND PRINTED ADVERTISING MATERIALS 1
  • Section   D Non-Tariff Measures 1
  • Article   2.9 IMPORT AND EXPORT RESTRICTIONS 1
  • Article   2.10 IMPORT LICENSING 2
  • Article   2.11 ADMINISTRATIVE FEES AND FORMALITIES 2
  • Article   2.12 EXPORT DUTIES, TAXES, OR OTHER CHARGES 2
  • Article   2.13 STATE TRADING ENTERPRISES 2
  • Article   2.14 TRADE RELATED NON-TARIFF MEASURES 2
  • Article   2.15 TARIFF RATE QUOTA (TRQ) ADMINISTRATION 2
  • Section   E Institutional Provisions 2
  • Article   2.16 COMMITTEE ON TRADE IN GOODS 2
  • Section   F Definitions 2
  • Article   2.17 DEFINITIONS 2
  • Chapter   3 RULES OF ORIGIN AND ORIGIN PROCEDURES 2
  • Section   A Rules of Origin 2
  • Article   3.1 ORIGINATING GOODS 2
  • Article   3.2 WHOLLY OBTAINED OR PRODUCED GOODS 2
  • Article   3.3 REGIONAL VALUE CONTENT (RVC) 2
  • Article   3.4 INTERMEDIATE MATERIALS 2
  • Article   3.5 NON-QUALIFYING OPERATIONS 2
  • Article   3.6 ACCUMULATION. 2
  • Article   3.7 DE MINIMIS 2
  • Article   3.8 FUNGIBLE GOODS OR MATERIALS 2
  • Article   3.9 SETS 2
  • Article   3.10 ACCESSORIES, SPARE PARTS, AND TOOLS 2
  • Article   3.11 PACKAGING MATERIALS AND CONTAINERS FOR RETAIL SALE 3
  • Article   3.12 PACKING MATERIALS AND CONTAINERS FOR SHIPMENT 3
  • Article   3.13 INDIRECT MATERIALS 3
  • Article   3.14 DIRECT TRANSPORT 3
  • Article   3.15 OUTWARD PROCESSING 3
  • Article   3.16 RE-EXPORTATION OF GOODS (4)  3
  • Section   B Origin Procedures 3
  • Article   3.17 CERTIFICATE OF ORIGIN 3
  • Article   3.18 WAIVER OF CERTIFICATE OF ORIGIN 3
  • Article   3.19 VALIDITY OF CERTIFICATE OF ORIGIN 3
  • Article   3.20 CLAIMS FOR PREFERENTIAL TARIFF TREATMENT 3
  • Article   3.21 POST-IMPORTATION CLAIMS FOR PREFERENTIAL TARIFF TREATMENT 3
  • Article   3.22 RECORD KEEPING REQUIREMENTS 3
  • Article   3.23 DISCREPANCIES AND FORMAL ERRORS 3
  • Article   3.24 VERIFICATION 3
  • Article   3.25 DENIAL OF PREFERENTIAL TARIFF TREATMENT 3
  • Article   3.26 UNIFORM REGULATIONS 3
  • Article   3.27 THIRD COUNTRY INVOICING 3
  • Article   3.28 DEFINITIONS 3
  • Chapter   4 CUSTOMS PROCEDURES AND TRADE FACILITATION 4
  • Article   4.1 PUBLICATION 4
  • Article   4.2 RELEASE OF GOODS 4
  • Article   4.3 AUTOMATION 4
  • Article   4.4 RISK MANAGEMENT 4
  • Article   4.5 COOPERATION 4
  • Article   4.6 AUTHORIZED ECONOMIC OPERATOR 4
  • Article   4.7 CONFIDENTIALITY 4
  • Article   4.8 EXPRESS SHIPMENTS 4
  • Article   4.9 REVIEW AND APPEAL 4
  • Article   4.10 PENALTIES 4
  • Article   4.11 ADVANCE RULINGS 4
  • Article   4.12 MUTUAL ADMINISTRATIVE ASSISTANCE IN CUSTOMS MATTERS 4
  • Article   4.13 COMMITTEE ON RULES OF ORIGIN AND ORIGIN PROCEDURES, AND CUSTOMS PROCEDURES AND TRADE FACILITATION 4
  • Article   4.14 TECHNICAL CONSULTATION 4
  • Chapter   5 SANITARY AND PHYTOSANITARY MEASURES 4
  • Article   5.1 OBJECTIVES 4
  • Article   5.2 SCOPE 4
  • Article   5.3 RIGHTS AND OBLIGATIONS 4
  • Article   5.4 COOPERATION 4
  • Article   5.5 INFORMATION EXCHANGE 4
  • Article   5.6 COMMITTEE ON SANITARY AND PHYTOSANITARY MATTERS 4
  • Article   5.7 DISPUTE SETTLEMENT 4
  • Chapter   6 TECHNICAL BARRIERS TO TRADE 4
  • Article   6.1 OBJECTIVES 4
  • Article   6.2 GENERAL PROVISION 5
  • Article   6.3 DEFINITIONS 5
  • Article   6.4 SCOPE 5
  • Article   6.5 INTERNATIONAL STANDARDS 5
  • Article   6.6 TECHNICAL REGULATIONS 5
  • Article   6.7 CONFORMITY ASSESSMENT PROCEDURES 5
  • Article   6.8 TRANSPARENCY 5
  • Article   6.9 COOPERATION 5
  • Article   6.10 MARKING AND LABELING 5
  • Article   6.11 BORDER CONTROL AND MARKET SURVEILLANCE 5
  • Article   6.12 COMMITTEE ON TECHNICAL BARRIERS TO TRADE 5
  • Article   6.13 INFORMATION EXCHANGE 5
  • Chapter   7 TRADE REMEDIES 5
  • Section   A Safeguard Measures 5
  • Article   7.1 APPLICATION OF A BILATERAL SAFEGUARD MEASURE 5
  • Article   7.2 CONDITIONS AND LIMITATIONS 5
  • Article   7.3 PROVISIONAL MEASURES 5
  • Article   7.4 COMPENSATION 5
  • Article   7.5 PROCEDURAL RULES 5
  • Article   7.6 GLOBAL SAFEGUARD MEASURES 5
  • Section   B Anti-Dumping and Countervailing Duties 5
  • Article   7.7 GENERAL PROVISIONS 5
  • Article   7.8 NOTIFICATION AND CONSULTATION 5
  • Article   7.9 (2) 5
  • Article   7.10 LESSER DUTY RULE 5
  • Article   7.11 CONSIDERATION OF PUBLIC INTERESTS 5
  • Article   7.12 HEARING 5
  • Article   7.13 INVESTIGATION AFTER TERMINATION RESULTING FROM A REVIEW 6
  • Article   7.14 DISPUTE SETTLEMENT 6
  • Section   C Definitions 6
  • Article   7.15 DEFINITIONS 6
  • Chapter   8 GOVERNMENT PROCUREMENT 6
  • Article   8.1 GENERAL PROVISIONS 6
  • Article   8.2 SCOPE 6
  • Article   8.3 EXCEPTIONS 6
  • Article   8.4 GENERAL PRINCIPLES 6
  • Article   8.5 PUBLICATION OF PROCUREMENT INFORMATION AND MEASURES 6
  • Article   8.6 NOTICES 6
  • Article   8.7 CONDITIONS FOR PARTICIPATION 6
  • Article   8.8 REGISTRATION AND QUALIFICATION OF SUPPLIERS 6
  • Article   8.9 TIME PERIODS 6
  • Article   8.10 INFORMATION ON INTENDED PROCUREMENTS 6
  • Article   8.11 LIMITED TENDERING 7
  • Article   8.12 ELECTRONIC AUCTIONS 7
  • Article   8.13 NEGOTIATION 7
  • Article   8.14 TREATMENT OF TENDERS AND AWARDING OF CONTRACTS 7
  • Article   8.15 POST-AWARD INFORMATION 7
  • Article   8.16 DOMESTIC REVIEW PROCEDURES 7
  • Article   8.17 MICRO, SMALL, AND MEDIUM ENTERPRISES’ PARTICIPATION 7
  • Article   8.18 COOPERATION AND TECHNICAL ASSISTANCE ON GOVERNMENT PROCUREMENT 7
  • Article   8.19 RECTIFICATIONS AND MODIFICATIONS TO COVERAGE 7
  • Article   8.20 COMMITTEE ON GOVERNMENT PROCUREMENT 7
  • Article   8.21 DEFINITIONS 7
  • Chapter   9 Investment 8
  • Section   A Investment 8
  • Article   9.1 Scope 8
  • Article   9.2 RELATION TO OTHER CHAPTERS 8
  • Article   9.3 NATIONAL TREATMENT 8
  • Article   9.4 MOST-FAVORED-NATION TREATMENT (1) 8
  • Article   9.5 MINIMUM STANDARD OF TREATMENT (2) 8
  • Article   9.6 LOSSES AND COMPENSATION 8
  • Article   9.7 EXPROPRIATION AND COMPENSATION (3) 8
  • Article   9.8 TRANSFERS 8
  • Article   9.9 PERFORMANCE REQUIREMENTS 8
  • Article   9.10 SENIOR MANAGEMENT AND BOARDS OF DIRECTORS 8
  • Article   9.11 INVESTMENT AND ENVIRONMENT 8
  • Article   9.12 DENIAL OF BENEFITS 8
  • Article   9.13 NON-CONFORMING MEASURES 8
  • Article   9.14 SPECIAL FORMALITIES AND INFORMATION REQUIREMENTS 8
  • Article   9.15 SUBROGATION 8
  • Section   B Investor-State Dispute Settlement 8
  • Article   9.16 CONSULTATION AND NEGOTIATION 8
  • Article   9.17 SUBMISSION OF A CLAIM TO ARBITRATION 8
  • Article   9.18 CONSENT OF EACH PARTY TO ARBITRATION 9
  • Article   9.19 CONDITIONS AND LIMITATIONS ON CONSENT OF EACH PARTY 9
  • Article   9.20 SELECTION OF ARBITRATORS 9
  • Article   9.21 CONDUCT OF THE ARBITRATION 9
  • Article   9.22 TRANSPARENCY OF ARBITRAL PROCEEDINGS 9
  • Article   9.23 GOVERNING LAW 9
  • Article   9.24 INTERPRETATION OF ANNEXES 9
  • Article   9.25 EXPERT REPORTS 9
  • Article   9.26 CONSOLIDATION 9
  • Article   9.27 AWARDS 9
  • Article   9.28 SERVICE OF DOCUMENTS 9
  • Section   C Definitions 9
  • Article   9.29 DEFINITIONS 9
  • Section   D Termination of Bilateral Investment Treaties 10
  • Article   9.30 TERMINATION OF BILATERAL INVESTMENT TREATIES 10
  • Annex 9-A  CUSTOMARY INTERNATIONAL LAW 10
  • Annex 9-B  PUBLIC PURPOSE 10
  • Annex 9-C  EXPROPRIATION 10
  • Annex 9-D  SERVICE OF DOCUMENTS ON A PARTY UNDER SECTION B 10
  • Annex 9-E  TAXATION AND EXPROPRIATION 10
  • Annex 9-F  TRANSFERS 10
  • Annex 9-G  AMICUS CURIAE 10
  • Chapter   10 CROSS-BORDER TRADE IN SERVICES 10
  • Article   10.1 SCOPE 10
  • Article   10.2 NATIONAL TREATMENT 10
  • Article   10.3 MOST-FAVORED-NATION TREATMENT 10
  • Article   10.4 MOST-FAVORED-NATION TREATMENT 10
  • Article   10.5 LOCAL PRESENCE 11
  • Article   10.6 NON-CONFORMING MEASURES 11
  • Article   10.7 DOMESTIC REGULATION 11
  • Article   10.8 TRANSPARENCY IN DEVELOPING AND APPLYING REGULATIONS (3) 11
  • Article   10.9 RECOGNITION 11
  • Article   10.10 TRANSFERS AND PAYMENTS 11
  • Article   10.11 DENIAL OF BENEFITS 11
  • Article   10.12 DEFINITIONS 11
  • Chapter   11 FINANCIAL SERVICES 11
  • Article   11.1 SCOPE 11
  • Article   11.2 NATIONAL TREATMENT 11
  • Article   11.3 MOST-FAVORED-NATION TREATMENT 11
  • Article   11.4 MARKET ACCESS FOR FINANCIAL INSTITUTIONS 11
  • Article   11.5 CROSS-BORDER TRADE 11
  • Article   11.6 (2) 11
  • Article   11.7 TREATMENT OF CERTAIN INFORMATION 11
  • Article   11.8 SENIOR MANAGEMENT AND BOARDS OF DIRECTORS 11
  • Article   11.9 NON-CONFORMING MEASURES 11
  • Article   11.10 EXCEPTIONS 11
  • Article   11.11 TRANSPARENCY 11
  • Article   11.12 DOMESTIC REGULATION 11
  • Article   11.13 SELF-REGULATORY ORGANIZATIONS 11
  • Article   11.14 PAYMENT AND CLEARING SYSTEMS 11
  • Article   11.15 RECOGNITION 11
  • Article   11.16 FINANCIAL SERVICES COMMITTEE 11
  • Article   11.17 CONSULTATIONS 12
  • Article   11.18 DISPUTE SETTLEMENT 12
  • Article   11.19 INVESTMENT DISPUTES IN FINANCIAL SERVICES 12
  • Article   11.20 DEFINITIONS 12
  • Chapter   12 TEMPORARY ENTRY FOR BUSINESS PERSONS 12
  • Article   12.1 GENERAL PRINCIPLES 12
  • Article   12.2 GENERAL OBLIGATIONS 12
  • Article   12.3 GRANT OF TEMPORARY ENTRY 12
  • Article   12.4 PROVISION OF INFORMATION 12
  • Article   12.5 DISPUTE SETTLEMENT 12
  • Article   12.6 COOPERATION 12
  • Article   12.7 WORKING GROUP 12
  • Subsection   12.8 RELATION TO OTHER CHAPTERS 12
  • Article   12.9 DEFINITIONS 12
  • Chapter   13 TELECOMMUNICATION (1) 12
  • Article   13.1 SCOPE 12
  • Article   13.2 ACCESS AND USE OF PUBLIC TELECOMMUNICATIONS NETWORKS AND SERVICES (2) 13
  • Article   13.3 OBLIGATIONS RELATING TO SUPPLIERS OF PUBLIC TELECOMMUNICATIONS SERVICES 13
  • Article   13.4 TREATMENT BY MAJOR SUPPLIERS 13
  • Article   13.5 COMPETITIVE SAFEGUARDS 13
  • Article   13.6 RESALE 13
  • Article   13.7 UNBUNDLING OF NETWORK ELEMENTS 13
  • Article   13.8 INTERCONNECTION 13
  • Article   13.9 PROVISIONING AND PRICING OF LEASED CIRCUITS SERVICES (7) 13
  • Article   13.10 CO-LOCATION 13
  • Article   13.11 ACCESS TO POLES, DUCTS, CONDUITS, AND RIGHTS-OF-WAY (8)  13
  • Article   13.12 SUBMARINE CABLE SYSTEMS 13
  • Article   13.13 CONDITIONS FOR THE SUPPLY OF INFORMATION SERVICES 13
  • Article   13.14 INDEPENDENT REGULATORY BODIES (10) 13
  • Article   13.15 UNIVERSAL SERVICE 13
  • Article   13.16 LICENSES AND OTHER AUTHORIZATIONS 13
  • Article   13.17 ALLOCATION AND USE OF SCARCE RESOURCES 13
  • Article   13.18 ENFORCEMENT 13
  • Article   13.19 RESOLUTION OF TELECOMMUNICATIONS DISPUTES 13
  • Article   13.20 TRANSPARENCY 13
  • Article   13.21 MEASURES CONCERNING TECHNOLOGIES AND STANDARDS 13
  • Article   13.22 RELATION TO OTHER CHAPTERS 13
  • Article   13.23 DEFINITIONS 13
  • Chapter   14 ELECTRONIC COMMERCE 14
  • Article   14.1 GENERAL 14
  • Article   14.2 ELECTRONIC SUPPLY OF SERVICES 14
  • Article   14.3 DIGITAL PRODUCTS 14
  • Article   14.4 14
  • Article   14.5 PERSONAL DATA PROTECTION 14
  • Article   14.6 PAPERLESS TRADING 14
  • Article   14.7 COOPERATION 14
  • Article   14.8 RELATION TO OTHER CHAPTERS 14
  • Article   14.9 DEFINITIONS 14
  • Chapter   15 INTELLECTUAL PROPERTY RIGHTS 14
  • Section   A General Provisions 14
  • Article   15.1 OBJECTIVES 14
  • Article   15.2 INTERNATIONAL AGREEMENTS 14
  • Article   15.3 MORE EXTENSIVE PROTECTION 14
  • Article   15.4 NATIONAL TREATMENT 14
  • Article   15.5 APPLICATION OF CHAPTER TO EXISTING SUBJECT MATTER AND PRIOR ACTS 14
  • Article   15.6 TRANSPARENCY 14
  • Article   15.7 GENERAL PROVISIONS 14
  • Section   B Trademarks 14
  • Article   15.8 TRADEMARKS PROTECTION 14
  • Article   15.9 EXCEPTIONS 14
  • Article   15.10 WELL-KNOWN TRADEMARKS 14
  • Article   15.11 REGISTRATION AND APPLICATION OF TRADEMARKS 14
  • Article   15.12 CLASSIFICATION OF GOODS AND SERVICES 14
  • Article   15.13 NON-RECORDATION OF A LICENSE 14
  • Section   C Patents 14
  • Article   15.14 PATENTABLE SUBJECT MATTER 14
  • Article   15.15 EXCEPTIONS 14
  • Article   15.16 GRACE PERIOD 14
  • Article   15.17 AMENDMENTS, CORRECTIONS, AND OBSERVATIONS 14
  • Article   15.18 CLAIMED INVENTION 14
  • Article   15.19 ACCELERATED EXAMINATION 15
  • Section   D Measures Related to Certain Regulated Products 15
  • Article   15.20 MEASURES RELATED TO CERTAIN REGULATED PRODUCTS 15
  • Section   E Designs 15
  • Article   15.21 DESIGNS PROTECTION 15
  • Article   15.22 EXCEPTIONS 15
  • Section   F Unfair Competition and Undisclosed Information 15
  • Article   15.23 UNFAIR COMPETITION 15
  • Article   15.24 UNDISCLOSED INFORMATION 15
  • Section   G Copyright and Related Rights 15
  • Subsection   A Copyright and Related Rights 15
  • Article   15.25 COPYRIGHT AND RELATED RIGHTS 15
  • Article   15.26 RIGHT OF REPRODUCTION 15
  • Article   15.27 RIGHT OF DISTRIBUTION 15
  • Article   15.28 TERM OF PROTECTION 15
  • Article   15.29 APPLICATION OF ARTICLE 18 OF THE BERNE CONVENTION AND ARTICLE 14.6 OF THE TRIPS AGREEMENT 15
  • Article   15.30 NO FORMALITY 15
  • Article   15.31 CONTRACTUAL TRANSFERS 15
  • Article   15.32 TECHNOLOGICAL PROTECTION MEASURES 15
  • Article   15.33 RIGHTS MANAGEMENT INFORMATION 15
  • Article   15.34 LIMITATIONS AND EXCEPTIONS 15
  • Article   15.35 PROTECTION OF ENCRYPTED PROGRAM-CARRYING SATELLITE SIGNALS 15
  • Article   15.36 COLLECTIVE MANAGEMENT OF COPYRIGHT AND RELATED RIGHTS 15
  • Subsection   B Copyright 15
  • Article   15.37 RIGHT OF COMMUNICATION TO THE PUBLIC 15
  • Subsection   C Related Rights 15
  • Article   15.38 PROTECTED SUBJECT MATTER 15
  • Article   15.39 RIGHTS OF PERFORMERS 15
  • Article   15.40 RIGHT OF PHONOGRAM PRODUCERS 15
  • Article   15.41 RIGHT TO REMUNERATION OF PERFORMERS AND PHONOGRAM PRODUCERS 15
  • Article   15.42 RIGHT OF BROADCASTING ORGANIZATIONS 15
  • Article   15.43 DEFINITIONS 15
  • Section   H Enforcement of Intellectual Property Rights 15
  • Subsection   A General Obligations 15
  • Article   15.44 ENFORCEMENT PRACTICES WITH RESPECT TO INTELLECTUAL PROPERTY RIGHTS 15
  • Article   15.45 PRESUMPTIONS 15
  • Subsection   B Civil and Administrative Procedures and Remedies 15
  • Article   15.46 ENTITLED RIGHT HOLDERS 15
  • Article   15.47 DAMAGES 15
  • Article   15.48 PRE-ESTABLISHED DAMAGES 15
  • Article   15.49 LEGAL COSTS 15
  • Article   15.50 SEIZURE 15
  • Article   15.51 DESTRUCTION 15
  • Article   15.52 RIGHT OF INFORMATION 16
  • Article   15.53 CONFIDENTIALITY ORDER 16
  • Article   15.54 ADMINISTRATIVE PROCEDURES 16
  • Article   15.55 REMEDIES 16
  • Article   15.56 PROHIBITION OF INFRINGING IMPORTS AND THEIR EXPORTATION 16
  • Article   15.57 EXPERTS’ COSTS 16
  • Article   15.58 ALTERNATIVE DISPUTE RESOLUTION 16
  • Article   15.59 PROVISIONAL MEASURES 16
  • Subsection   C Special Requirements Related to Border Measures 16
  • Article   15.60 INFORMATION PROVIDED BY RIGHT HOLDERS TO COMPETENT AUTHORITIES 16
  • Article   15.61 INFORMATION PROVIDED BY COMPETENT AUTHORITIES TO RIGHT HOLDERS 16
  • Article   15.62 REASONABLE SECURITY OR ASSURANCE 16
  • Article   15.63 EX OFFICIO BORDER ENFORCEMENT 16
  • Article   15.64 DESTRUCTION 16
  • Article   15.65 FEES 16
  • Article   15.66 EXCHANGE OF TECHNICAL INFORMATION 16
  • Subsection   D Criminal Procedures and Remedies 16
  • Article   15.67 CRIMINAL PROCEDURES AND PENALTIES 16
  • Article   15.68 PENALTIES, SEIZURE, FORFEITURE, AND DESTRUCTION 16
  • Subsection   E Effective Action Against Infringement In the Digital Environment 16
  • Article   15.69 LIMITATIONS ON LIABILITY OF SERVICE PROVIDERS 16
  • Article   15.70 MEASURES AGAINST REPETITIVE INFRINGEMENT ON THE INTERNET 16
  • Section   I Technology Transfer and Cooperation 16
  • Article   15.71 TECHNOLOGY TRANSFER 16
  • Article   15.72 COOPERATION 16
  • Section   J Committee on Intellectual Property Right 16
  • Article   15.73 COMMITTEE ON INTELLECTUAL PROPERTY RIGHTS 16
  • Chapter   16 LABOR 16
  • Article   16.1 CONTEXT AND OBJECTIVES 16
  • Article   16.2 GENERAL PRINCIPLES AND COMMITMENTS 16
  • Article   16.3 PROCEDURAL GUARANTEES AND PUBLIC AWARENESS 16
  • Article   16.4 INSTITUTIONALARRANGEMENTS 16
  • Article   16.5 CONSULTATION 16
  • Article   16.6 COOPERATION 16
  • Chapter   17 ENVIRONMENT 16
  • Article   17.1 CONTEXT AND OBJECTIVES 16
  • Article   17.2 SCOPE 17
  • Article   17.3 GENERAL PRINCIPLES 17
  • Article   17.4 SPECIFIC COMMITMENTS 17
  • Article   17.5 ENFORCEMENT OF LAWS 17
  • Article   17.6 PROCEDURAL GUARANTEE 17
  • Article   17.7 TRANSPARENCY 17
  • Article   17.8 ENVIRONMENTAL COMMITTEE 17
  • Article   17.9 CONTACT POINTS 17
  • Article   17.10 ENVIRONMENTAL CONSULTATIONS 17
  • Article   17.11 COOPERATION 17
  • Chapter   18 TRANSPARENCY 17
  • Article   18.1 PUBLICATION 17
  • Article   18.2 NOTIFICATION AND PROVISION OF INFORMATION 17
  • Article   18.3 ADMINISTRATIVE PROCEEDINGS 17
  • Article   18.4 REVIEW AND APPEAL 17
  • Article   18.5 DEFINITIONS 17
  • Chapter   19 COOPERATION 17
  • Article   19.1 SCOPE 17
  • Article   19.2 OBJECTIVE 17
  • Article   19.3 METHODS AND MODALITIES 17
  • Article   19.4 COOPERATION COMMITTEE 17
  • Article   19.5 CONTACT POINTS 17
  • Article   19.6 AREAS OF COOPERATION 17
  • Article   19.7 DISPUTE SETTLEMENT 17
  • Chapter   20 COMPETITION POLICY 17
  • Article   20.1 OBJECTIVE AND PRINCIPLES 17
  • Article   20.2 COMPETITION LAW AND AUTHORITIES 18
  • Article   20.3 IMPLEMENTATION 18
  • Article   20.4 COOPERATION 18
  • Article   20.5 NOTIFICATIONS 18
  • Article   20.6 CONSULTATIONS 18
  • Article   20.7 EXCHANGE OF INFORMATION AND CONFIDENTIALITY 18
  • Article   20.8 TECHNICAL ASSISTANCE 18
  • Article   20.9 STATE ENTERPRISES AND DESIGNATED MONOPOLIES 18
  • Article   20.10 DISPUTE SETTLEMENT 18
  • Article   20.11 TRANSITIONAL ARRANGEMENTS 18
  • Article   20.12 DEFINITIONS 18
  • Chapter   21 INSTITUTIONAL PROVISIONS 18
  • Article   21.1 JOINT COMMITTEE 18
  • Article   21.2 AGREEMENT COORDINATORS 18
  • Article   21.3 CONTACT POINTS 18
  • Chapter   22 DISPUTE SETTLEMENT 18
  • Section   A Dispute Settlement 18
  • Article   22.1 COOPERATION 18
  • Article   22.2 SCOPE 18
  • Article   22.3 CHOICE OF FORUM 18
  • Article   22.4 CONSULTATIONS 18
  • Article   22.5 REFERRAL TO THE JOINT COMMITTEE (2) 18
  • Article   22.6 GOOD OFFICES, CONCILIATION, OR MEDIATION 18
  • Article   22.7 ESTABLISHMENT OF PANEL 18
  • Article   22.8 MODEL RULES OF PROCEDURE 19
  • Article   22.9 THIRD PARTIES 19
  • Article   22.10 PANEL REPORT 19
  • Article   22.11 SUSPENSION AND TERMINATION OF PROCEEDINGS 19
  • Article   22.12 IMPLEMENTATION OF THE FINAL REPORT 19
  • Article   22.13 NON-IMPLEMENTATION AND SUSPENSION OF BENEFITS 19
  • Article   22.14 COMPLIANCE REVIEW 19
  • Article   22.15 TIME LIMITS 19
  • Article   22.16 ADMINISTRATION OF DISPUTE SETTLEMENT PROCEEDINGS 19
  • Section   B Domestic Proceedings and Private Commercial Dispute Settlement 19
  • Article   22.17 REFERRAL OF MATTERS FROM JUDICIAL OR ADMINISTRATIVE PROCEEDINGS 19
  • Article   22.18 PRIVATE RIGHTS 19
  • Article   22.19 ALTERNATIVE DISPUTE RESOLUTION 19
  • Chapter   23 EXCEPTIONS 19
  • Article   23.1 GENERAL EXCEPTIONS 19
  • Article   23.2 ESSENTIAL SECURITY 19
  • Article   23.3 TAXATION 19
  • Article   23.4 DISCLOSURE OF INFORMATION 19
  • Article   23.5 MEASURES TO SAFEGUARD THE BALANCE OF PAYMENTS 19
  • Chapter   24 FINAL PROVISIONS 19
  • Article   24.1 ANNEXES, APPENDICES, AND FOOTNOTES 19
  • Article   24.2 AMENDMENTS 19
  • Article   24.3 AMENDMENT OF THE WTO AGREEMENT 19
  • Article   24.4 ACCESSION 19
  • Article   24.5 ENTRY INTO FORCE 19
  • Article   24.6 WITHDRAWAL AND TERMINATION 19
  • Article   24.7 RESERVATIONS AND INTERPRETATIVE DECLARATIONS 19
  • Article   27.8 AUTHENTIC TEXTS 19
  • Annex I: Non-Conforming Measures of Services and Investment 19
  • Annex II: Non-Conforming Measures of Services and Investment 20