EU - Mexico Modernised Global Agreement (2026)
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Scope

1.    This Chapter applies to state-owned enterprises, enterprises granted special rights or privileges and designated monopolies engaged in commercial activities. If a state-owned enterprise, an enterprise granted special rights or privileges or a designated monopoly combines commercial and non-commercial activities 18 , only the commercial activities are covered by this Chapter.

2.    This Chapter does not apply to:

(a)    state-owned enterprises, enterprises granted special rights or privileges and designated monopolies when acting as procuring entities conducting covered procurement as defined in Article 21.1(c) (Definitions);

(b)    any service supplied in the exercise of governmental authority;

(c)    activities carried out by:

(i)    a financial institution or other legal entity, owned or controlled by a Party, that is established or operated temporarily and solely for resolution purposes 19 ;

(ii)    a public entity, including a public trust that, pursuant solely to a public service mandate which aims to contribute to the balanced and steady development of the Party concerned, supplies financial services for the account or with the guarantee or using the financial resources of that Party; and

(iii)    a public entity pursuant to a public service mandate relating to a statutory system of social security or public retirement plans; and

(d)    state-owned enterprises, enterprises granted special rights or privileges and designated monopolies if, at the time the determination of the amount of the threshold is made, in any one of the three previous consecutive fiscal years the annual revenue derived from its commercial activities was less than 200 million special drawing rights.

3.    Article 22.6 does not apply to the supply of financial services by a state-owned enterprise, enterprise granted special rights or privileges and designated monopoly pursuant to a government mandate, if that supply of financial services:

(a)    supports exports or imports, provided that those 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 20 ;

(b)    supports private investment outside the territory of the Party, provided that those 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.

4.    Article 22.6 does not apply to the sectors set out in subparagraphs 2(c) to (e) of Article 10.5 (Scope).

5.    Article 22.6 does not apply to the extent that a Party's state-owned enterprises, enterprises granted special rights or privileges and designated monopolies make 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 Articles 10.12 (Non-Conforming Measures and Exceptions), 11.8 (Non‑Conforming Measures and Exceptions) or Article 18.12 (Reservations and Non‑Conforming Measures) as set out in Annex I (Existing Measures), and Section B of Annex VI (Financial Services); or

(b)    any non-conforming measure that the Party adopts or maintains with respect to sectors, subsectors, or activities in accordance with Articles 10.12 (Non-Conforming Measures and Exceptions), 11.8 (Non-Conforming Measures and Exceptions) or 18.12 (Reservations and Non-Conforming Measures) as set out in Annex II (Future Measures), and Section B (Future Measures) of Annex VI (Financial Services).

6.    The Parties share the understanding that a measure adopted or maintained under Annex 22-A (Non-Conforming Activities of Mexico), or excluded from the scope of this Chapter, may be maintained, provided that such measure, to the extent that it falls within the scope of the WTO Agreement, is applied in accordance with the rights and obligations of the Party taking such measure under the WTO Agreement. 21

ARTICLE 22.4

Non-Conforming Activities

Article 22.6 does not apply with respect to the non-conforming activities of state-owned enterprises or designated monopolies listed in Annex 22-A (Non-Conforming Activities of Mexico) in accordance with the terms of that Annex.

ARTICLE 22.5

General Provisions

1.    Without prejudice to the rights and obligations of each Party under this Chapter, nothing in this Chapter shall be construed as preventing a Party from establishing or maintaining a state-owned enterprise, granting an enterprise special rights or privileges or designating or maintaining a monopoly.

2.    A Party shall not require or encourage a state-owned enterprise, an enterprise granted special rights or privileges or a designated monopoly to act in a manner inconsistent with this Chapter.

ARTICLE 22.6

Non-Discriminatory Treatment and Commercial Considerations

1.    Each Party shall ensure that each of its state-owned enterprises, enterprises granted special rights or privileges and designated monopolies, when engaging in commercial activities:

(a)    acts in accordance with commercial considerations in its purchase or sale of a good or a service, except to fulfil the terms of a public service mandate that is not inconsistent with subparagraphs (b) or (c);

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

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

(ii)    accords to a good or service supplied by an enterprise that is a covered investment within the meaning of Article 10.1.1(c) (Definitions) in the Party's territory treatment no less favourable than it accords to a like good or a like service supplied by enterprises of the Party in the relevant market in the Party's territory; and

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

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

(ii)    accords to an enterprise that is a covered investment within the meaning of Article 10.1.1(c) (Definitions) in the Party's territory treatment no less favourable than it accords to enterprises of the Party in the relevant market in the Party's territory. 22

2.    Provided that such different terms or conditions or refusal are in accordance with commercial considerations, paragraph 1 does not preclude state-owned enterprises, enterprises granted special rights or privileges or designated monopolies from:

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

(b)    refusing to purchase or supply goods or services.

ARTICLE 22.7

Regulatory Framework

1.    The Parties shall endeavour to respect and make best use of relevant international standards, including the OECD Guidelines on Corporate Governance of State-Owned Enterprises.

2.    Each Party shall ensure that any regulatory body or competent authority exercising a regulatory function that the Party establishes or maintains:

(a)    is independent from and not accountable to any of the enterprises that that regulatory body or competent authority regulates in order to ensure the effectiveness of the regulatory function; and

(b)    acts impartially 23  in like circumstances with respect to all enterprises that that regulatory body or competent authority regulates, including state-owned enterprises, enterprises granted special rights or privileges and designated monopolies. 24

3.    Each Party shall ensure the enforcement of laws and regulations in a consistent and non-discriminatory manner, including with respect to state-owned enterprises, enterprises granted special rights or privileges and designated monopolies.

ARTICLE 22.8

Transparency

1.    A Party shall, on written request of the other Party, promptly provide the following information concerning a state-owned enterprise, an enterprise granted special rights or privileges or a designated monopoly, provided that the request includes an explanation of how the activities of that state-owned enterprise, enterprise granted special rights or privileges or designated monopoly may be affecting the requesting Party's interests under this Chapter:

(a)    the percentage of shares that the requested Party, its state-owned enterprises, enterprises granted special rights or privileges or designated monopolies cumulatively own, and the percentage of voting rights that they cumulatively hold, in the state-owned enterprise, enterprise granted special rights or privileges or designated monopoly;

(b)    a description of any special shares or special voting or other rights that the requested Party, its state-owned enterprises, enterprises granted special rights or privileges or designated monopolies hold, to the extent that those rights are different from the rights attached to the general common shares of such state-owned enterprise, enterprise granted special rights or privileges or designated monopoly;

(c)    the organisational structure of the state-owned enterprise, enterprise granted special rights or privileges or designated monopoly, the composition of its board of directors or of an equivalent body, the official titles of any public official serving as an officer or member of the board of directors or that equivalent body;

(d)    a description of the government departments or public bodies which regulate or monitor the state-owned enterprises, the enterprises granted special rights or privileges or the designated monopolies, a description of the reporting requirements imposed on them by those departments or public bodies if practicable, and the rights and practices 25  of the government departments or any public bodies with respect to the appointment, dismissal or remuneration of senior executives and members of the board of directors or any other equivalent body;

(e)    annual revenue and total assets of the state-owned enterprise, enterprise granted special rights or privileges or designated monopoly over the most recent three-year period for which information is available;

(f)    any exemptions and immunities from which the state-owned enterprise, enterprise granted special rights or privileges or designated monopoly benefits under the law of the requested Party; and

(g)    any additional information regarding the state-owned enterprise, enterprise granted special rights or privileges or designated monopoly that is publicly available, including annual financial reports and third-party audits.

2.    If the requested information is not available, the requested Party shall provide the reasons for this in writing to the requesting Party.

3.    If a Party provides written information pursuant to a request in accordance with this Article and informs the requesting Party that it considers that information to be confidential, the requesting Party shall not disclose that information without the prior consent of the Party providing the information.

Chapter 23. COMPETITION POLICY

ARTICLE 23.1

General Principles

The Parties recognise the importance of free and undistorted competition in their trade and investment relations. The Parties acknowledge that anticompetitive business practices and State interventions have the potential to distort the proper functioning of markets and undermine the benefits of the liberalisation of trade and investment. The Parties share the view that proscribing such conduct, implementing competition policy, promoting advocacy actions and cooperating on matters covered by this Chapter will help secure the benefits of this Agreement.

ARTICLE 23.2

Competition Law and Anticompetitive Business Practices

1.    Each Party shall maintain or adopt in its territory comprehensive competition law which applies to all sectors of the economy 26  and addresses the following business practices in an effective manner:

(a)    agreements between enterprises, decisions by associations of enterprises and concerted practices which have as their object or effect the prevention, restriction or distortion of competition;

(b)    abuses by one or more enterprises, which individually or jointly have substantial power in the relevant market, and which abuses have or may have as object or effect the prevention, restriction or distortion of competition in that relevant market or any related market; and

(c)    concentrations between enterprises which result or may result in a substantial lessening of competition or which significantly impede or may significantly impede effective competition, in particular as a result of the creation or strengthening of a dominant position.

2.    All enterprises, private or public, shall be subject to the competition law referred to in this Article.

3.    Each Party shall take appropriate action with respect to anticompetitive business practices, with the objective of promoting competition policy.

4.    To the extent provided for in the law of a Party, the application of the competition law should not obstruct the performance, in law or in fact, of the particular tasks of public interest that may be assigned to enterprises. Exemptions from the competition law of a Party should be limited to tasks of public interest, proportionate to the desired public policy objective and transparent.

ARTICLE 23.3

Implementation

1.    Each Party shall maintain its autonomy in amending and enforcing its competition law.

2.    Each Party shall establish or maintain a functionally independent authority or authorities responsible for, and appropriately equipped with the powers and resources necessary for the full application and the effective enforcement of their respective competition law.

3.    Each Party shall apply its competition law in a transparent and non-discriminatory manner, respecting the principles of procedural fairness and right of defence of the enterprises concerned, including the right to be heard prior to a final decision or resolution.

4.    In their enforcement policy the competition authority or authorities of a Party shall not discriminate on the basis of the nationality of the respondent in an enforcement procedure 27  or of the third persons granted a right to participate in such enforcement procedure.

5.    Each Party shall ensure that a respondent in an enforcement procedure, carried out to determine whether that respondent's conduct violates its competition law or what administrative sanctions or remedies should be ordered for violation of that law, is afforded the opportunity to be heard and provide evidence in its defence. In particular, each Party shall ensure that the respondent has a reasonable opportunity to review and contest the evidence on which the determination may be based.

6.    Each Party shall guarantee that the addressee of a decision or resolution imposing an administrative sanction or a remedy for violation of its competition law is given the opportunity to seek judicial review of that decision or resolution.

ARTICLE 23.4

Transparency

1.    The Parties recognise the value of transparency in their competition enforcement policies.

2.    Each Party shall publish its administrative or procedural rules contained in legal acts pursuant to which its competition law investigations and enforcement procedures are conducted. Those administrative or procedural rules may, to the extent provided in each Party's competition law, include procedures with reasonable timeframes for providing evidence in those procedures.

3.    Each Party shall ensure that a non-confidential version of any final decision or resolution determining a violation of its competition law and, as the case may be, any order implementing a resolution, is published in order to enable interested persons to become acquainted with them.

4.    Each Party shall ensure that all final decisions or resolutions determining a violation of its competition law are in writing and set out the findings of fact and the reasoning, including the legal and, if applicable, economic analysis, on which the decision or resolution is based.

ARTICLE 23.5

Cooperation and Coordination

1.    The Parties recognise the importance of cooperation and coordination between their respective competition authorities on matters related to their competition law and policies in the free trade area. Accordingly, the competition authorities of the Parties shall endeavour to cooperate on matters related to their respective competition law, including through assistance, notification, consultation, and exchange of information.

2.    The Parties shall strengthen cooperation in the enforcement of their competition law to the extent compatible with their respective laws and important interests, and within the limits of their reasonably available resources. For that purpose, the competition authorities of the Parties shall endeavour to exchange non-confidential information, experiences and views with regard to:

(a)    their respective competition law, policies and practices, including information about exemptions granted under their competition law;

(b)    the enforcement of their respective competition law; and

(c)    their respective advocacy actions.

3.    The Parties shall endeavour to strengthen coordination between their respective competition authorities in areas of mutual concern and to the extent compatible with their respective laws and important interests, and within the limits of their reasonably available resources. For that purpose, the Parties shall endeavour to coordinate, to the extent possible, their enforcement activities relating to the same or related cases.

4.    The Parties affirm that their competition authorities recognise the use of confidentiality waivers in their areas of enforcement and acknowledge that the decision of an enterprise to waive its right for the protection of confidential information is voluntary.

5.    Nothing in this Article shall limit the discretion of the competition authorities of a Party to decide whether to take action on particular requests by the other Party's competition authorities.

6.    Nothing in this Article shall preclude the competition authorities of either Party from taking action with respect to particular cases.

7.    The Parties' competition authorities may consider entering into a separate cooperation arrangement that sets out mutually agreed terms for implementing cooperation.

ARTICLE 23.6

Technical Cooperation

The Parties consider that it is in their common interest to support the objectives of this Agreement with technical cooperation for the purposes of sharing experiences in developing and implementing competition policy and in enforcing their respective competition law, subject to the resources reasonably available to each Party.

ARTICLE 23.7

Consultations

1.    To foster mutual understanding between the Parties, or to address specific matters on the interpretation or application of this Chapter, a Party shall, upon the request of the other Party, enter into consultations on matters raised by the other Party. The Party requesting consultations shall indicate, if relevant, how the matter affects trade or investment between the Parties.

2.    The Parties shall promptly discuss any questions arising from the interpretation or application of this Chapter.

3.    To facilitate discussion of the matter that is the subject of the consultations, each Party shall endeavour to provide relevant non-confidential information to the other Party.

ARTICLE 23.8

Confidentiality of Information

1.    Notwithstanding any other provision of this Chapter, a Party is not required to provide information if the disclosure of this information is prohibited by the laws of the Party possessing the information.

2.    If a Party provides information under this Chapter, the other Party shall maintain the confidentiality of that information.

3.    If a Party's competition authorities receive confidential information from the competition authorities of the other Party subject to a confidentiality waiver, the Party's competition authorities shall use the information received in accordance with the terms of the waiver.

ARTICLE 23.9

Competition Authorities

For the purposes of this Chapter, the competition authorities are the following, or their successors:

(a)    in the case of the European Union:

the European Commission; and

(b)    in the case of Mexico:

(i)    National Antitrust Commission (Comisión Nacional Antimonopolio); and

(ii)    Telecommunication Regulatory Commission (Comisión Reguladora de Telecomunicaciones (CRT)).

ARTICLE 23.10

Non-Application of Dispute Settlement

A Party shall not have recourse to dispute settlement under Chapter 31 (Dispute Settlement) concerning the interpretation or application of the provisions of this Chapter.

Chapter 24. SUBSIDIES

ARTICLE 24.1

Definitions

For the purposes of this Chapter:

(a)    "subsidy provided for goods" means a measure which fulfils the conditions set out in Article 1.1 of the SCM Agreement and is specific in accordance with and within the meaning of Article 2 of the SCM Agreement.

(b)    "subsidy provided for services" means a measure which involves a financial contribution by a government or a public body and confers a benefit and is specific to an enterprise or industry or a group of enterprises or industries in accordance with and within the meaning of Article 2 of the SCM Agreement. 28

ARTICLE 24.2

General Principles

The Parties recognise that subsidies may be granted when they are necessary to achieve a public policy objective. The Parties acknowledge, however, that certain subsidies have the potential to distort the proper functioning of markets and undermine the benefits of the liberalisation of trade and investment. In principle, a Party should not grant subsidies to enterprises providing goods or services if they negatively affect, or are likely to negatively affect, trade or investment.

ARTICLE 24.3

Scope

1.    This Chapter applies to subsidies to all enterprises pursuing an economic activity. If an enterprise combines economic and non-economic activities, this Chapter only applies to the economic activities of that enterprise.

2.    This Chapter does not apply to subsidies granted to enterprises entrusted with the provision of particular services of public interest, including those entrusted through special rights or privileges, to the extent that such subsidies are limited to the amount necessary to cover the costs of the service in question.

3.    This Chapter does not apply to subsidies provided for agricultural goods and subsidies provided for fish and fisheries products.

4.    With the exception of Article 24.5, this Chapter does not apply to subsidies provided in the audio-visual sector.

5.    Article 24.7 does not apply to subsidies provided for services.

ARTICLE 24.4

Relationship with the WTO

The Parties affirm their rights and obligations pursuant to Article XV of GATS, Article XVI of GATT 1994, and under the SCM Agreement.

ARTICLE 24.5

Transparency

1.    Each Party shall, with respect to any subsidy granted or maintained within its territory, make the following information available to the public:

(a)    the legal basis of the subsidy;

(b)    the form of the subsidy;

(c)    the amount of the subsidy or the amount budgeted for the subsidy; and

  • Part   I GENERAL PROVISIONS (1) 1
  • Article   1 Objectives of the Agreement 1
  • Article   2 General Principles 1
  • Part   II POLITICAL DIALOGUE AND COOPERATION (2) 1
  • Chapter   1 POLITICAL DIALOGUE, INTERNATIONAL PEACE AND SECURITY 1
  • Article   1.1 Political Dialogue 1
  • Article   1.2 Democratic Principles, Human Rights and the Rule of Law 1
  • Article   1.3 Gender Equality and Women's Empowerment, Peace,Security and Sustainable Development 1
  • Article   1.4 Countering Proliferation of Weapons of Mass Destruction 1
  • Article   1.5 Small Arms and Light Weapons and other Conventional Weapons 1
  • Article   1.6 International Criminal Court 1
  • Article   1.7 Counter-Terrorism 1
  • Article   1.8 Peacekeeping and Crisis Management 1
  • Article   1.9 Citizen Security 1
  • Chapter   2 COOPERATION IN INTERNATIONAL AND REGIONAL ORGANISATIONS 1
  • Article   2.1 International Organisations 1
  • Article   2.2 Regional Organisations 1
  • Chapter   3 FREEDOM, SECURITY AND JUSTICE 2
  • Subsection   3.1 Legal and Judicial Cooperation 2
  • Article   3.2 Law Enforcement and the Prevention and Fight Against Corruption and Transnational Organised Crime 2
  • Article   3.3 Migration, Asylum and Border Management 2
  • Article   3.4 World Drug Problem 2
  • Article   3.5 Money Laundering and the Financing of Terrorism 2
  • Article   3.6 Cybercrime 2
  • Article   3.7 Personal Data Protection 2
  • Article   3.8 Consumer Policy 2
  • Article   3.9 Consular Protection 2
  • Article   3.10 Disaster Risk Management and Civil Protection 2
  • Chapter   4 SUSTAINABLE DEVELOPMENT 2
  • Article   4.1 Sustainable Development 2
  • Article   4.2 Sustainable Development Cooperation 2
  • Article   4.3 Sustainable Urban Agenda 2
  • Article   4.4 Regional and Urban Policy Development 2
  • Chapter   5 ENVIRONMENT, CLIMATE CHANGE AND ENERGY 2
  • Article   5.1 Environment 2
  • Article   5.2 Climate Change 2
  • Article   5.3 Energy 2
  • Chapter   6 AGRICULTURE, MARITIME AFFAIRS AND FISHERIES 2
  • Article   6.1 Cooperation In Agriculture and Rural Development 2
  • Article   6.2 Maritime Affairs and Fisheries 2
  • Chapter   7 ECONOMIC POLICY 3
  • Article   7.1 Macroeconomic Policies 3
  • Article   7.2 Enterprise and Industry, Including Small and Medium-Sized Enterprises 3
  • Article   7.3 Business and Human Rights 3
  • Article   7.4 Raw Materials 3
  • Article   7.5 Statistics 3
  • Article   7.6 Transport 3
  • Chapter   8 EDUCATION, CULTURE AND SOCIAL ISSUES 3
  • Article   8.1 Education 3
  • Article   8.2 Culture 3
  • Article   8.3 Employment and Social Issues 3
  • Article   8.4 Exponential Technological Change 3
  • Article   8.5 Social Cohesion and Inclusion 3
  • Article   8.6 Health 3
  • Article   8.7 Tourism 3
  • Chapter   9 RESEARCH, INNOVATION AND DIGITAL ECONOMY 3
  • Article   9.1 Research and Innovation 3
  • Article   9.2 Digital Economy 3
  • Part   III TRADE AND INVESTMENT (1) 3
  • Chapter   1 GENERAL AND INSTITUTIONAL PROVISIONS 3
  • Section   A General Provisions 3
  • Article   1.1 Establishment of a Free Trade Area 3
  • Article   1.2 Objectives 3
  • Article   1.3 Definitions of General Application 3
  • Article   1.4 Relation to the WTO Agreement 4
  • Article   1.5 References to Laws and other Agreements 4
  • Article   1.6 Fulfilment of Obligations 4
  • Section   B Institutional Provisions 4
  • Article   1.7 Specific Functions of the Joint Council 4
  • Article   1.8 Specific Functions of the Joint Committee 4
  • Article   1.9 Coordinators of Part III of this Agreement 4
  • Article   1.10 Sub-Committees and other Bodies of Part III of this Agreement 4
  • Article   1.11 Relationship with Civil Society 4
  • Chapter   2 TRADE IN GOODS 4
  • Section   A General Provisions 4
  • Article   2.1 Definitions 4
  • Article   2.2 Scope 4
  • Article   2.3 National Treatment 4
  • Article   2.4 Elimination or Reduction of Customs Duties 4
  • Article   2.5 Export Duties, Taxes or other Charges 4
  • Article   2.6 Fees and Formalities 4
  • Article   2.7 Goods Re-Entered after Repair or Alteration 4
  • Article   2.8 Remanufactured Goods 4
  • Article   2.9 Import and Export Restrictions 4
  • Article   2.10 Import Licensing 4
  • Article   2.11 Export Licensing 4
  • Article   2.12 Customs Valuation 5
  • Article   2.13 Temporary Admission of Goods 5
  • Article   2.14 Cooperation 5
  • Article   2.15 Committee on Trade In Goods 5
  • Section   B Trade In Agricultural Goods 5
  • Article   2.16 Scope 5
  • Article   2.17 Cooperation In Multilateral Fora 5
  • Article   2.18 Export Competition 5
  • Article   2.19 Administration of Tariff Rate Quotas 5
  • Article   2.20 Sub-Committee on Agriculture 5
  • Section   C Trade In Wine and Spirits 5
  • Article   2.21 Scope 5
  • Article   2.22 Oenological Practices 5
  • Article   2.23 Labelling of Wine Products and Spirits 5
  • Article   2.24 Certification of Wine Products and Spirits 5
  • Article   2.25 Applicable Rules 5
  • Article   2.26 Transitional Measures 5
  • Article   2.27 Notifications 5
  • Article   2.28 Cooperation on Trade In Wines and Spirits 5
  • Article   2.29 Sub-Committee on Trade In Wines and Spirits 5
  • Section   D Non-Tariff Market Access Commitments for other Sectors 6
  • Article   2.30 Pharmaceuticals 6
  • Article   2.31 Motor Vehicles 6
  • Chapter   3 RULES OF ORIGIN AND ORIGIN PROCEDURES 6
  • Section   A Rules of Origin 6
  • Article   3.1 Definitions 6
  • Article   3.2 General Requirements 6
  • Article   3.3 Cumulation of Origin 6
  • Article   3.4 Wholly Obtained Products 6
  • Article   3.5 Tolerances 6
  • Article   3.6 Insufficient Working or Processing Operations 6
  • Article   3.7 Unit of Qualification 6
  • Article   3.8 Accounting Segregation 6
  • Article   3.9 Accessories, Spare Parts and Tools 6
  • Article   3.10 Sets 6
  • Article   3.11 Neutral Elements 6
  • Article   3.12 Packing Materials, Packaging Materials and Containers 6
  • Article   3.13 Returned Goods 6
  • Article   3.14 Non-Alteration 6
  • Article   3.15 Exhibitions 6
  • Section   B Origin Procedures 6
  • Article   3.16 Claim for Preferential Tariff Treatment and Statement on Origin 6
  • Article   3.17 Claims for Preferential Treatment after Importation 6
  • Article   3.18 Conditions for Making Out a Statement on Origin 7
  • Article   31.9 Validity of the Statement on Origin 7
  • Article   3.20 Importation by Instalments 7
  • Article   3.21 Discrepancies and Minor Errors 7
  • Article   3.22 Record Keeping Requirements 7
  • Article   3.23 Exemptions from the Statement on Origin 7
  • Article   3.24 Verification of Origin and Administrative Cooperation 7
  • Article   3.25 Confidentiality 7
  • Article   3.26 Administrative Measures and Sanctions 7
  • Section   C Other Provisions 7
  • Article   3.27 Application of the Chapter to Ceuta and Melilla 7
  • Article   3.28 The Principality of Andorra and the Republic of San Marino 7
  • Article   3.29 Explanatory Notes 7
  • Article   3.30 Transitional Provisions 7
  • Article   3.31 Amendments to the Chapter 7
  • Article   3.32 The Sub-Committee on Customs, Trade Facilitation and Rules of Origin 7
  • Chapter   4 CUSTOMS AND TRADE FACILITATION 7
  • Article   4.1 General Objectives 7
  • Article   4.2 Transparency and Publication 7
  • Article   4.3 Data and Documentation Requirements 7
  • Article   4.4 Automation and Use of Information Technology 7
  • Article   4.5 Release of Goods 7
  • Article   4.6 Risk Management 7
  • Article   4.7 Advance Rulings 7
  • Article   4.8 Authorised Economic Operators 8
  • Article   4.9 Review or Appeal 8
  • Article   4.10 Penalties 8
  • Article   4.11 Customs Cooperation and Mutual Administrative Assistance 8
  • Article   4.12 Single Window 8
  • Article   4.13 Transit and Transhipment 8
  • Article   4.14 Post-Clearance Audit 8
  • Article   4.15 Customs Brokers 8
  • Article   4.16 Preshipment Inspections 8
  • Article   4.17 Sub-Committee on Customs, Trade Facilitation and Rules of Origin 8
  • Chapter   5 TRADE REMEDIES 8
  • Section   A Anti-Dumping and Countervailing Measures 8
  • Article   5.1 General Provisions 8
  • Article   5.2 Transparency and Due Process 8
  • Article   5.3 Imposition of Anti-Dumping and Countervailing Duties 8
  • Article   5.4 Final Determination 8
  • Article   5.5 Non-Application of Dispute Settlement 8
  • Section   B Global Safeguard Measures 8
  • Article   5.6 General Provisions 8
  • Article   5.7 Transparency 8
  • Article   5.8 Non-Application of Dispute Settlement 8
  • Section   C Bilateral Safeguard Measures 8
  • Subsection   C.1 General Provisions 8
  • Article   5.9 Definitions 8
  • Article   5.10 Application of a Bilateral Safeguard Measure 8
  • Article   5.11 Conditions and Limitations 8
  • Article   5.12 Provisional Measures 8
  • Article   5.13 Compensation and Suspension of Concessions 8
  • Article   5.14 Use of Safeguard Measures and Time Lapse In between Measures 8
  • Article   5.15 Outermost Regions 9
  • Subsection   C.2 Procedural Rules Applicable to Bilateral Safeguard Measures 9
  • Article   5.16 Applicable Law 9
  • Article   5.17 Initiation of a Safeguard Procedure 9
  • Article   5.18 Investigation 9
  • Article   5.19 Determination of Serious Injury or Threat Thereof and Causal Link 9
  • Article   5.20 Hearings 9
  • Article   5.21 Confidential Information 9
  • Article   5.22 Adoption, Notification, Consultation and Publication 9
  • Chapter   6 SANITARY AND PHYTOSANITARY MEASURES 9
  • Article   6.1 Definitions 9
  • Article   6.2 Objectives 9
  • Article   6.3 Scope 9
  • Article   6.4 Relation to the SPS Agreement 9
  • Article   6.5 Resources for Implementation 9
  • Article   6.6 Equivalence 9
  • Article   6.7 Risk Assessment 9
  • Article   6.8 Adaptation to Regional Conditions, Including Pest- or Disease-Free Areasand Areas of Low Pest or Disease Prevalence 9
  • Article   6.9 Transparency 9
  • Article   6.10 Trade Facilitation 10
  • Article   6.11 Audits 10
  • Article   6.12 Import Checks 10
  • Article   6.13 Certification 10
  • Article   6.14 Application of SPS Measures 10
  • Article   6.15 Elimination of Redundant Control Measures 10
  • Article   6.16 Emergency Measures 10
  • Article   6.17 Cooperation 10
  • Article   6.18 Exchange of Information 10
  • Article   6.19 Consultations 10
  • Article   6.20 Contact Points 10
  • Article   6.21 Sub-Committee on Sanitary and Phytosanitary Measures 10
  • Chapter   7 COOPERATION ON ANIMAL WELFARE AND ANTI-MICROBIAL RESISTANCE 10
  • Article   7.1 Objectives 10
  • Article   7.2 Animal Welfare 10
  • Article   7.3 Anti-Microbial Resistance 10
  • Article   7.4 Working Group on Animal Welfare and Anti-Microbial Resistance 10
  • Article   7.5 Non-Application of Dispute Settlement 10
  • Chapter   8 RECOGNITION OF THE PARTIES' RIGHT TO REGULATE THE ENERGY SECTOR 10
  • Article   8.1 Recognition of the Parties' Right to Regulate the Energy Sector 10
  • Chapter   9 TECHNICAL BARRIERS TO TRADE 10
  • Article   9.1 Objective 10
  • Article   9.2 Scope 11
  • Article   9.3 Relation with the TBT Agreement 11
  • Article   9.4 International Standards 11
  • Article   9.5 Conformity Assessment Procedures 11
  • Article   9.6 Transparency 11
  • Article   9.7 Technical Regulations 11
  • Article   9.8 Regulatory Cooperation 11
  • Article   9.9 Marking and Labelling 11
  • Article   9.10 Information Exchange and Discussions 11
  • Article   9.11 Contact Points 11
  • Article   9.12 Sub-Committee on Technical Barriers to Trade 11
  • Chapter   10 INVESTMENT 11
  • Section   A General Provisions 11
  • Article   10.1 Definitions 11
  • Article   10.2 Scope 12
  • Article   10.3 Right to Regulate 12
  • Article   10.4 Relation to other Chapters 12
  • Section   B Liberalisation of Investments 12
  • Article   10.5 Scope 12
  • Article   10.6 Market Access 12
  • Article   10.7 National Treatment 12
  • Article   10.8 Most-Favoured-Nation Treatment 12
  • Article   10.9 Performance Requirements 12
  • Article   10.10 Senior Management and Board of Directors 12
  • Article   10.11 Formal Requirements 12
  • Article   10.12 Non-Conforming Measures and Exceptions 12
  • Section   C Investment Protection 12
  • Article   10.13 Scope 12
  • Article   10.14 Investment and Regulatory Objectives and Measures 12
  • Article   10.15 Treatment of Investors and of Covered Investments 12
  • Article   10.16 Transfers 13
  • Article   10.17 Compensation for Losses 13
  • Article   10.18 Expropriation and Compensation 13
  • Article   10.19 Subrogation 13
  • Section   D Resolution of Investment Disputes 13
  • Article   10.20 Definitions 13
  • Article   10.21 Scope 13
  • Article   10.22 Consultations 13
  • Article   10.23 Mediation 13
  • Article   10.24 Determination of the Respondent for Disputes with the European Union or a Member State of the European Union 13
  • Article   10.25 Procedural and other Requirements for the Submission of a Claim to the Tribunal 13
  • Article   10.26 Submission of a Claim to the Tribunal 13
  • Article   10.27 Concurrent Proceedings 13
  • Article   10.28 Consent to the Resolution of the Dispute by the Tribunal 13
  • Article   10.29 Third Party Funding 13
  • Article   10.30 Tribunal 13
  • Article   10.31 Appeal Tribunal 14
  • Article   10.32 Ethics 14
  • Article   10.33 Multilateral Dispute Settlement Mechanism 14
  • Article   10.34 Applicable Law 14
  • Article   10.35 Anti-Circumvention 14
  • Article   10.36 Claims Manifestly without Legal Merit 14
  • Article   10.37 Claims Unfounded as a Matter of Law 14
  • Article   10.38 Transparency of the Proceedings 14
  • Article   10.39 Interim Measures of Protection 14
  • Article   10.40 Discontinuance 14
  • Article   10.41 Security for Costs 14
  • Article   10.42 The Non-Disputing Party 14
  • Article   10.43 Interventions by Third Persons 14
  • Article   10.44 Expert Reports 14
  • Article   10.45 Indemnification or other Compensation 14
  • Article   10.46 Role of the Parties 14
  • Article   10.47 Consolidation 14
  • Article   10.48 Award 14
  • Article   10.49 Appeal Procedure 14
  • Article   10.50 Enforcement of Awards 15
  • Article   10.51 Service of Documents 15
  • Section   E FINAL PROVISIONS 15
  • Article   10.52 Denial of Benefits 15
  • Article   10.53 Termination 15
  • Article   10.54 Relation to other Agreements 15
  • Article   10.55 Sub-Committee on Services and Investment 15
  • Chapter   11 CROSS-BORDER TRADE IN SERVICES 15
  • Article   11.1 Definitions 15
  • Article   11.2 Scope 15
  • Article   11.3 Right to Regulate 15
  • Article   11.4 Market Access 15
  • Article   11.5 Local Presence 15
  • Article   11.6 National Treatment 15
  • Article   11.7 Most-Favoured-Nation Treatment 15
  • Article   11.8 Non-Conforming Measures and Exceptions 15
  • Article   11.9 Denial of Benefits 15
  • Chapter   12 TEMPORARY PRESENCE OF NATURAL PERSONS FOR BUSINESS PURPOSES 15
  • Article   12.1 Definitions 15
  • Article   12.2 Objectives, Scope and General Provisions 15
  • Article   12.3 Obligations In other Chapters 16
  • Article   12.4 Business Visitors for Investment Purposes, Intra-corporate Transferees and Investors 16
  • Article   12.5 Short Term Business Visitors 16
  • Article   12.6 Contractual Service Suppliers 16
  • Article   12.7 Independent Professionals 16
  • Article   12.8 Transparency 16
  • Article   12.9 Dispute Settlement 16
  • Chapter   13 DOMESTIC REGULATION 16
  • Article   13.1 Scope 16
  • Article   13.2 Development of Measures 16
  • Article   13.3 Administration of Measures 16
  • Article   13.4 Limited Numbers of Licences 16
  • Article   13.5 Technical Standards 16
  • Article   13.6 Transparency 16
  • Article   13.7 Review 16
  • Chapter   14 MUTUAL RECOGNITION OF PROFESSIONAL QUALIFICATIONS 16
  • Article   14.1 General Provisions 16
  • Chapter   15 DELIVERY SERVICES 16
  • Article   15.1 Definitions 16
  • Article   15.2 Objective 16
  • Article   15.3 Universal Service 16
  • Article   15.4 Universal Service Funding 16
  • Article   15.5 Prevention of Market Distortive Practices 16
  • Article   15.6 Licenses 16
  • Article   15.7 Independence of the Regulatory Body 16
  • Chapter   16 TELECOMMUNICATIONS SERVICES 16
  • Article   16.1 Definitions 16
  • Article   16.2 Scope and Principles of the Regulatory Framework 17
  • Article   16.3 Telecommunications Regulatory Authority 17
  • Article   16.4 Licensing Procedures 17
  • Article   16.5 Interconnection 17
  • Article   16.6 Access to and Use of Public Telecommunications Networks and Services 17
  • Article   16.7 Resolution of Disputes on Telecommunications 17
  • Article   16.8 Competitive Safeguards on Major Suppliers 17
  • Article   16.9 Interconnection with Major Suppliers 17
  • Article   16.10 Access to Essential Facilities 17
  • Article   16.11 Scarce Resources 17
  • Article   16.12 Number Portability 17
  • Article   16.13 Universal Service 17
  • Article   16.14 Confidentiality of Information 17
  • Article   16.15 Technological Neutrality 17
  • Article   16.16 Treatment by Major Suppliers 17
  • Article   16.17 International Mobile Roaming 17
  • Article   16.18 International Standards and Organisations 17
  • Chapter   17 INTERNATIONAL MARITIME TRANSPORT SERVICES 17
  • Article   17.1 Definitions 17
  • Article   17.2 Objective 17
  • Article   17.3 Principles 17
  • Chapter   18 FINANCIAL SERVICES 17
  • Chapter   19 DIGITAL TRADE 19
  • Chapter   20 CAPITAL MOVEMENTS, PAYMENTS AND TRANSFERS AND TEMPORARY SAFEGUARD MEASURES 20
  • Chapter   21 PUBLIC PROCUREMENT 20
  • Chapter   22 STATE-OWNED ENTERPRISES, ENTERPRISES GRANTED SPECIAL RIGHTS ORPRIVILEGES AND DESIGNATED MONOPOLIES 22
  • Chapter   23 COMPETITION POLICY 23
  • Chapter   24 SUBSIDIES 23
  • Chapter   25 INTELLECTUAL PROPERTY 24
  • Chapter   26 TRADE AND SUSTAINABLE DEVELOPMENT 27
  • Chapter   27 TRANSPARENCY 28
  • Chapter   28 GOOD REGULATORY PRACTICES 28
  • Chapter   29 SMALL AND MEDIUM-SIZED ENTERPRISES 29
  • Chapter   30 RAW MATERIALS 29
  • Chapter   31 DISPUTE SETTLEMENT 29
  • Chapter   32 EXCEPTIONS 31
  • Part   IV INSTITUTIONAL AND FINAL PROVISIONS (1) 31
  • Chapter   1 INSTITUTIONAL FRAMEWORK 31
  • Chapter   2 FINAL PROVISIONS 31
  • PROTOCOL ON THE PREVENTION OF AND FIGHT AGAINST CORRUPTION 32
  • ANNEX I  EXISTING MEASURES 33
  • Appendix I-A  RESERVATIONS FOR EXISTING MEASURES LIST OF THE EU 33
  • Appendix I-B-1  RESERVATIONS FOR EXISTING MEASURES LIST OF MEXICO 33
  • Appendix I-B-2  RESERVATIONS FOR EXISTING MEASURES LIST OF MEXICO 33
  • ANNEX II  FUTURE MEASURES 33
  • Appendix II-A  RESERVATIONS FOR FUTURE MEASURES LIST OF THE EU 33
  • Appendix II-B  RESERVATIONS FOR FUTURE MEASURES LIST OF MEXICO 33
  • ANNEX III  MARKET ACCESS COMMITMENTS 33
  • Appendix III-A  MARKET ACCESS COMMITMENTS SCHEDULE OF THE EU 33
  • Appendix III-B-1  MARKET ACCESS COMMITMENTS SCHEDULE OF MEXICO 33
  • Appendix III-B-2  MARKET ACCESS COMMITMENTS SCHEDULE OF MEXICO 33
  • ANNEX IV  BUSINESS VISITORS FOR INVESTMENT PURPOSES, INTRA-CORPORATE TRANSFEREES, INVESTORS AND SHORT-TERM BUSINESS VISITORS 33
  • Appendix IV-A  BUSINESS VISITORS FOR INVESTMENT PURPOSES,  INTRA-CORPORATE TRANSFEREES AND SHORT-TERM BUSINESS VISITORS LIST OF THE EU 33
  • Appendix IV-B  BUSINESS VISITORS FOR INVESTMENT PURPOSES, INTRA-CORPORATE TRANSFEREES, INVESTORS AND SHORT-TERM BUSINESS VISITORS LIST OF MEXICO 33
  • ANNEX V  CONTRACTUAL SERVICE SUPPLIERS AND INDEPENDENT PROFESSIONALS 33
  • Appendix V-A  CONTRACTUAL SERVICE SUPPLIERS AND INDEPENDENT PROFESSIONALS LIST OF THE EU 33
  • Appendix V-B  CONTRACTUAL SERVICE SUPPLIERS AND INDEPENDENT PROFESSIONALS LIST OF MEXICO 33
  • ANNEX VI  FINANCIAL SERVICES 33
  • Appendix VI-A  RESERVATIONS FOR FINANCIAL SERVICES LIST OF THE EU (applicable in all Member States unless otherwise indicated) 33
  • Appendix VI-B  RESERVATIONS FOR FINANCIAL SERVICES LIST OF MEXICO 33
  • ANNEX VII  UNDERSTANDING ON NEW SERVICES NOT CLASSIFIED IN THE UNITED NATIONS PROVISIONAL CENTRAL PRODUCT CLASSIFICATION 1991 33
  • JOINT DECLARATION ON TRADE AND GENDER EQUALITY BY THE EUROPEAN UNION AND MEXICO IN THE FRAMEWORK OF THE POLITICAL, ECONOMIC AND COOPERATION STRATEGIC PARTNERSHIP AGREEMENT 33