diff --git "a/36_years1991-06.jsonl" "b/36_years1991-06.jsonl" new file mode 100644--- /dev/null +++ "b/36_years1991-06.jsonl" @@ -0,0 +1,695 @@ +{"cellarURIs": "http://publications.europa.eu/resource/cellar/37d431aa-7012-4c3b-9a39-282b01655274", "title": "Proposal for a COUNCIL REGULATION ( EEC ) amending Regulation ( EEC ) No 1442/88 on the granting of permanent abandonment premiums in respect of wine\u00adgrowing areas and amending Regulation ( EEC ) No 2239/86 on a specific common measure to improve wine\u00adgrowing structures in Portugal", "langIdentifier": "ENG", "mtypes": "pdf,pdfa1b,print", "workTypes": "http://publications.europa.eu/ontology/cdm#act_preparatory,http://publications.europa.eu/ontology/cdm#proposal_act,http://publications.europa.eu/ontology/cdm#proposal_regulation_ec,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Commission", "date": "1991-07-01", "subjects": "Portugal,cessation of farming,farm development plan,grubbing premium,viticulture", "workIds": "celex:51991PC0241,comnat:COM_1991_0241_FIN,oj:JOC_1991_211_R_0005_01", "eurovoc_concepts": ["Portugal", "cessation of farming", "farm development plan", "grubbing premium", "viticulture"], "url": "http://publications.europa.eu/resource/cellar/37d431aa-7012-4c3b-9a39-282b01655274", "lang": "eng", "formats": ["pdf", "pdfa1b", "print"], "text": "COMMISSION OF THE EUROPEAN COMMUNITIES \n\nC0M(91) 241 final \n\nBrussels, 1 July 1991 \n\nProposal for a \n\nCOUNCIL REGULATION (EEC) \n\namending Regulation (EEC) No 1442/88 on the granting \n\nof permanent abandonment premiums in respect of wine-growing areas and \n\namending Regulation (EEC) No 2239/86 on a specific common \n\nmeasure to iinprove wine-growing structures in Portugal \n\n(presented by the Commission) \n\n\fEXPLANATORY MEMORANDUM \n\nThe transition to the second stage of accession in the wine-growing sector \nis an opportune occasion, in so far as the abandonment of wine-growing \nareas is concerned, on which to incorporate In the Community arrangements \nthe specific provisions laid down In 1986 for Portugal. Tne particular \nsituation of wine-growing structures In that country justifies the amounts \nof the abandonment premiums being maintained at the levels now applicable. proposal for a \n\nCouncil Regulation (EEC) \n\namending Regulation (EEC) No 1442/88 on the granting \n\nof permanent abandonment premiums in respect of wine-growing areas and \n\namending Regulation (EEC) No 2239/86 on a specific common \n\nmeasure to improve wine-growing structures in Portugal \n\nTHE COUNCIL OF THE EUROPEAN COMMUNITIES, \n\nHaving regard to the Treaty establishing the European Economic Community, \n\nand in particular Article 43 thereof, \n\nHaving regard to the proposal from the Commission, \n\nHaving regard to the opinion of the European Parliament, \n\nWhereas Council Regulation (EEC) No 1442/88 of 24 May 1988 on the \n\ngranting, for the 1988/89 to 1995/96 wine years, of permanent abandonment \npremiums in respect of wine-growing areas^1), as amended by Regulation \n(EEC) No 1327/90(2), does not at present apply in Portugal; \n\nWhereas Council Regulation (EEC) No 2239/86 of 14 July 1986 on a specific \ncommon measure to improve wine-growing structures in Portugal^3) provides \nfor measures for the permanent abandonment and restructuring of \n\nwine-growing areas; \n\n(1) O J N oL 132, 28. 5. 1988, p. 3. (2) OJ NO L 132, 23. 5. 1990, p. 23. (3) QJ No L 196, 18. 7. 1986, p. 1. } \n\n\f- 2 \n\nWhereas the system of premiums for the permanent abandonment of \n\nwine-growing applicable in the other Member States has been transferred to \n\nthe Guarantee Section of the EAGGF by Council Regulation (EEC) No 1327/90 \n\nof 14 May 1990(4) and the level of Community funding has been fixed at 100 \n\n%; \n\nWhereas, in accordance with the Act of Accession of Spain and Portugal, the \n\nprovisions concerning the common organization of the market in wine apply \n\nin Portugal from the second stage of transition; whereas the general \n\npermanent abandonment arrangements should also be made applicable in that \n\nMember State and the amounts of the premiums currently applicable should be \n\nretained in order to take account of the specific structural situation; \n\nWhereas Regulation (EEC) No 1442/88 should therefore be amended and the \n\nprovisions relating to the abandonment of wine-growing laid down in \n\nRegulation (EEC) No 2239/86 should be repealed; whereas those provisions \n\nwill continue to apply, however, to applications for reimbursement \n\nsubmitted by Portugal under the latter Regulation, \n\nHAS ADOPTED THIS REGULATION: \n\nArticle 1 \n\nRegulation (EEC) No 1442/88 is hereby amended as follows: \n\n1. The following paragraph is added to Article 2: \n\n\"5. As regards Portugal, the premiums and amounts applicable shall be \n\nthe following: \n\nfor areas of not less than 10 ares but not more than 25 ares \n\ncultivated with wine-grape varieties and constituting the entire \n\nwine-growing area of the holding concerned: ECU 2 500; \n\n(4) QJ No L 132, 23. 5. 1990, p. 23. 4 \n\n\f- 3 -\n\nfor areas of more than 25 ares cultivated with wine-grape \n\nvarieties: \n\nECU 1 000 if the average yield per hectare is not more than \n\n20 hi, \n\nECU 1 600 if the average yield per hectare is more than 20 \n\nhi but not more than 25 hi, \n\nECU 2 200 if the average yield per hectare is more than 25 \n\nhi but not more than 30 hi, \n\nECU 2 800 if the average yield per hectare is more than 30 \n\nhi but not more than 50 hi, \n\nECU 3 500 if the average yield per hectare is more than 50 \n\nhi but not more than 90 hi, \n\nECU 5 000 if the average yield per hectare is more than 90 \n\nhi but not more than 130 hi, \n\nECU 6 200 if the average yield per hectare is more than 130 \n\nhi but not more than 160 hi, \n\nECU 6 500 if the average yield per hectare is more than 160 \nhi, \n\nfor areas cultivated with varieties classified in the \n\nadministrative unit concerned either as table grapes or as both \n\ntable and wine grapes: \n\n\f- 4 -\n\nECU 5 500 in the case of varieties trained by the pergola \n\nmethod, \n\nECU 3 500 in the case of varieties trained by a method \n\nother than the pergola method. The amounts specified in the second and third indents of the first \n\nsubparagraph shall be increased by ECU 300 per hectare if the areas \n\nconcerned constitute the entire wine-growing area cultivated by the \n\napplicant. 2. The following is added to Article 7(1): \n\nPortugal shall have authority to reduce the amounts provided for in \n\nArticle 2(5) if the applicant for a permanent abandonment premium is a \n\nmember of a wine cooperative or other association of wine-growers. In \n\nsuch case, the premium shall be reduced by not more than 7 % and the sum \n\ncorresponding to this reduction shall be paid to the cooperative or \n\nassociation in question. 3. In Article 20, the following is added after the second indent: \n\nthe application of this Regulation in Portugal,\". 4. Article 22 is deleted. Article 3 \n\nTitle II and Article 9(l)(c), Article 9(2),(3),(4) and the second and third \n\nsubparagraphs of Article 9(5) of Regulation (EEC) No 2239/86 are hereby \n\nrepealed. The provisions of that Regulation shall continue to apply, \n\nhowever, to applications for reimbursement submitted by Portugal before the \n\nentry into force of this Regulation. c \n\n\f- 5 -\n\nArticle 3 \n\nThis Regulation shall enter into force on the third day following its \n\npublication in the Official Journal of the European Communities. This Regulation shall be binding in its entirety and directly applicable in \n\nall Member States. Done at Brussels, \n\nFor the Council \n\n\fF I N A N C I AL \n\nS T A T E M E NT \n\nDate : \n\n30 \n\nMay \n\n1991 \n\n-X. BUDGET HEADING : 184 \n\nAPPROPRIATIONS : ECU 445,0 m \n\n,af TITLE : \n\nAmendment of Regulation (EEC) No 1442/88 on the granting of permanent abandonment premiums in respect of \nwine-growing areas and amendment of Regulation (EEC) No 2239/88 on a specific common measure to Improve \nvine-growing structures In Portugal. 3. LEGAL BASIS : Article 43 of the Treaty \n\n4. AIMS \n\nFunding of 100* by the EAGGF Guarantee Section for the grubbing of vines in Portugal and mointenance of \nthe level of grubbing premiums set in Council Regulation (EEC) No 2239/86 of 14 July 1986. S. FINANCIAL IMPLICATIONS \n\nPERIOD OF 12 MONTHS \n\nCURRENT FINANCIAL YEAR \n\nECU m \n\n( \u00bb1 \n\nECU m \n\n) \n\n5. 0 EXPENDITURE \n\n- CHARGED TO THE EC BUDGET \n(REFUNDS/INTERVENT IONS) \n\n20. 0 \n\nFOLLOWING FINANCIAL YEAR \n92 \n\n) \n\n( \nECU m \n\n20. 0 \n\n3. 1 REVENUE \n\n- OWN RESOURCES OF THE EC \n(LEVIES/CUSTOM DUTIES) \n\n- NATIONAL \n\n5. 0. 1 ESTIMATED EXPENDITURE \n5. 1. 1 ESTIMATED REVENUE \n\n5. 2 METHOD OF CALCULATION \n\n1993 \n\n20. 0 \n\n1994 \n\n20. 0 \n\n1995 \n\n20. 0 \n\n1996 \n\n20. 0 \n\nThe area grubbed annually is presumed to be 5 000 ha. The average premium selected Is ECU 3 500/ha. 5 000 ha x ECU 3 500/ha x 1. 145 (DR) - ECU 20 m \n\n6. 0 CAN THE PROJECT BE FINANCED FROM APPROPRIATIONS ENTERED IN THE RELEVANT CHAPTER OF THE CURRENT BUDGET ? \n\n6. 1 CAN THE PROJECT BE FINANCED BY TRANSFER BETWEEN CHAPTERS OF THE CURRENT BUDGET ? \n\n6. 2 WILL A SUPPLEMENTARY BUDGET BE NECESSARY ? \n\n6. 3 WILL FUTURE BUDGET APPROPRIATIONS BE NECESSARY ? \n\nYES \n\nYES \n\nNO \n\nYES \n\nCOMMENTS : \n\nThe sum ef ECU 20. 0 m \u00abIII be entered In the letter of amendment concerning the preliminary draft budget \n7 for 1992 which will be presented to the Budget Authority as a result of the decisions taken as part of the \n\npricee package for 1991/92. \u2022\u2022v\u00bb-. *\u2022\u2022>\u2022\u2022 ' ' \n\n\fFICHE D'IMPACT \n\nObjet : Projet de proposition de r\u00e8glement (CEE) n\u00b0 \n\ndu Conseil \n\nmodifiant le r\u00e8glement (CEE) n\u00b0 1442/88, relatif \u00e0 l'octroi de \nprimes d'abandon d\u00e9finitif de superficies viticoles et \nmodifiant le r\u00e8glement (CEE) n\u00b0 2239/86 concernant une action \ncommune sp\u00e9cifique pour l'am\u00e9lioration des structures viti-\nvinicoles au Portugal. Cette mesure n'a pas d'impact sur les PME et l'emploi. Diese Mapnahme hat weder Auswirkungen auf Klein- und Mittelbetriebe \nnoch auf die Beschaftigungslage. This measure has no impact on the small and medium-sized businesses and \nemployment. 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CONCERNE LA VERSION ANGLAISE. COM(91)228 final/2 \n\nBrussels, 20 August 1991 \n\nPROPOSAL FOR A COUNCIL RECOMMENDATION \n\nON THE CONVERGENCE QF \n\nSOCIAL PROTECTION OBJECTIVES AND POLICIES \n\n(presented by the Commission) \n\nJm \n\n4-\n\nmm \n\nMU\u00c9U \n\n^ \u2022 \u2022 \u2022! \n\nWM\u00ae ' mimufc'\"\u00ef\u00bbB \n\nrjs;?s/*vm*m&&m?* \n\n\f- 13 -\n\n- to remove obstacles to occupational activity by parents through measures \n\nallowing the reconciliation of family and professional responsibilities and \n\nto extend support, including financial support, to persons who, by reason of \n\nthe need to raise children or care for an elderly or disabled relative, have \n\nto reduce or cease work. - to contribute to reduce inequality of opportunities amongst children \n\nresulting from the diversity of their family situation and, especially, from \n\ndifferences in their parents' income. AND TO THIS END REQUESTS THE COMMISSION: \n\n1. To submit regular reports to the Council on progress achieved in relation \n\nto these objectives, to determine and develop the use of appropriate \n\nindicators to this effect, and to present suitable proposals talcing into \n\naccount demographic, economic and social changes in the Community. 2. To organize regular consultation with Member States on the development of \n\nsocial protection policy. ISSN 0254-1475 \n\nCOM(91) 228/2 final \n\nDOCUMENTS \n\nEN \n\n05 \n\nCatalogue number : CB-CO-91-374-EN-C \n\nISBN 92-77-75366-8 \n\nOffice for Official Publications of the European Communities \n\nL-2985 Luxembourg"} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/32e57449-a1f4-485b-ad1a-08dab82c3677", "title": "WRITTEN QUESTION No. 1371/91 by Mr J\u00f3se VALVERDE L\u00d3PEZ to the Commission. 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01001901. xml\n\n\n\n\n\n\n\n\n\n\n29. 7. 1991\u00a0\u00a0\u00a0\n\n\nEN\n\n\nOfficial Journal of the European Communities\n\n\nL 206/19\n\n\n\n\n\nCOUNCIL DIRECTIVE\nof 25 June 1991\nsupplementing the measures to encourage improvements in the safety and health at work of workers with a fixed-duration employment relationship or a temporary employment relationship\n(91/383/EEC)\nTHE COUNCIL OF THE EUROPEAN COMMUNITIES,\nHaving regard to the Treaty establishing the European Economic Community, and in particular Article 118a thereof,\nHaving regard to the proposal from the Commission\u00a0(1),\nIn cooperation with the European Parliament\u00a0(2),\nHaving regard to the opinion of the Economic and Social Committee\u00a0(3),\nWhereas Article 118a of the Treaty provides that the Council shall adopt, by means of Directives, minimum requirements for encouraging improvements, especially in the working environment, to guarantee a better level of protection of the safety and health of workers;\nWhereas, pursuant to the said Article, Directives must avoid imposing administrative, financial and legal constraints which would hold back the creation and development of small and medium-sized undertakings;\nWhereas recourse to forms of employment such as fixed-duration employment and temporary employment has increased considerably;\nWhereas research has shown that in general workers with a fixed-duration employment relationship or temporary employment relationship are, in certain sectors, more exposed to the risk of accidents at work and occupational diseases than other workers;\nWhereas these additional risks in certain sectors are in part linked to certain particular modes of integrating new workers into the undertaking; whereas these risks can be reduced through adequate provision of information and training from the beginning of employment;\nWhereas the Directives on health and safety at work, notably Council Directive 89/391/EEC of 12 June 1989 on the introduction of measures to encourage improvements in the safety and health of workers at work\u00a0(4), contain provisions intended to improve the safety and health of workers in general;\nWhereas the specific situation of workers with a fixed-duration employment relationship or a temporary employment relationship and the special nature of the risks they face in certain sectors calls for special additional rules, particularly as regards the provision of information, the training and the medical surveillance of the workers concerned;\nWhereas this Directive constitutes a practical step within the framework of the attainment of the social dimension of the internal market,\nHAS ADOPTED THIS DIRECTIVE:\nSECTION I\n\nSCOPE AND OBJECT\n\nArticle 1\nScope\nThis Directive shall apply to:\n\n\n\n\n\n\n1. employment relationships governed by a fixed-duration contract of employment concluded directly between the employer and the worker, where the end of the contract is established by objective conditions such as: reaching a specific date, completing a specific task or the occurence of a specific event;\n\n\n\n\n\n\n\n\n\n\n2. temporary employment relationships between a temporary employment business which is the employer and the worker, where the latter is assigned to work for and under the control of an undertaking and /or establishment making use of his services. Article 2\nObject\n1. The purpose of this Directive is to ensure that workers with an employment relationship as referred to in Article 1 are afforded, as regards safety and health at work, the same level of protection as that of other workers in the user undertaking and/or establishment. 2. The existence of an employment relationship as referred to in Article 1 shall not justify different treatment with respect to working conditions inasmuch as the protection of safety and health at work are involved, especially as regards access to personal protective equipment. 3. Directive 89/391/EEC and the individual Directives within the meaning of Article 16 (1) thereof shall apply in full to workers with an employment relationship as referred to in Article 1, without prejudice to more binding and/or more specific provisions set out in this Directive. SECTION II\n\nGENERAL PROVISIONS\n\nArticle 3\nProvision of information to workers\nWithout prejudice to Article 10 of Directive 89/391/EEC, Member States shall take the necessary steps to ensure that:\n\n\n\n\n\n\n1. before a worker with an employment relationship as referred to in Article 1 takes up any activity, he is informed by the undertaking and/or establishment making use of his services of the risks which he faces;\n\n\n\n\n\n\n\n\n\n\n2. such information:\n\n\n\n\n\n\n\u2014\n\n\ncovers, in particular, any special occupational qualifications or skills or special medical surveillance required, as defined in national legislation, and\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nstates clearly any increased specific risks, as defined in national legislation, that the job may entail. Article 4\nWorkers' training\nWithout prejudice to Article 12 of Directive 89/391/EEC, Member States shall take the necessary measures to ensure that, in the cases referred to in Article 3, each worker receives sufficient training appropriate to the particular characteristics of the job, account being taken of his qualifications and experience. Article 5\nUse of workers' services and medical surveillance of workers\n1. Member States shall have the option of prohibiting workers with an employment relationship as referred to in Article 1 from being used for certain work as defined in national legislation, which would be particularly dangerous to their safety or health, and in particular for certain work which requires special medical surveillance, as defined in national legislation. 2. Where Member States do not avail themselves of the option referred to in paragraph 1, they shall, without prejudice to Article 14 of Directive 89/391/EEC, take the necessary measures to ensure that workers with an employment relationship as referred to in Article 1 who are used for work which requires special medical surveillance, as defined in national legislation, are provided with appropriate special medical surveillance. 3. It shall be open to Member States to provide that the appropriate special medical surveillance referred to in paragraph 2 shall extend beyond the end of the employment relationship of the worker concerned. Article 6\nProtection and prevention services\nMember States shall take the necessary measures to ensure that workers, services or persons designated, in accordance with Article 7 of Directive 89/391/EEC, to carry out activities related to protection from and prevention of occupational risks are informed of the assignment of workers with an employment relationship as referred to in Article 1, to the extent necessary for the workers, services or persons designated to be able to carry out adequately their protection and prevention activities for all the workers in the undertaking and/or establishment. SECTION III\n\nSPECIAL PROVISIONS\n\nArticle 7\nTemporary employment relationships: information\nWithout prejudice to Article 3, Member States shall take the necessary steps to ensure that:\n\n\n\n\n\n\n1. before workers with an employment relationship as, referred to in Article 1 (2) are supplied, a user undertaking and/or establishment shall specify to the temporary employment business, inter alia, the occupational qualifications required and the specific features of the job to be filled;\n\n\n\n\n\n\n\n\n\n\n2. the temporary employment business shall bring all these facts to the attention of the workers concerned. Member States may provide that the details to be given by the user undertaking and/or establishment to the temporary employment business in accordance with point 1 of the first subparagraph shall appear in a contract of assignment. Article 8\nTemporary employment relationships: responsibility\nMember States shall take the necessary steps to ensure that:\n\n\n\n\n\n\n1. without prejudice to the responsibility of the temporary employment business as laid down in national legislation, the user undertaking and/or establishment is/are responsible, for the duration of the assignment, for the conditions governing performance of the work;\n\n\n\n\n\n\n\n\n\n\n2. for the application of point 1, the conditions governing the performance of the work shall be limited to those connected with safety, hygiene and health at work. SECTION IV\n\nMISCELLANEOUS PROVISIONS\n\nArticle 9\nMore favourable provisions\nThis Directive shall be without prejudice to existing or future national or Community provisions which are more favourable to the safety and health protection of workers with an employment relationship as referred to in Article 1. Article 10\nFinal provisions\n1. Member States shall bring into force the laws, regulations and administrative provisions necessary to comply with this Directive by 31 December 1992 at the latest. They shall forthwith inform the Commission thereof. When Member States adopt these measures, the latter shall contain a reference to this Directive or shall be accompanied by such reference on the occasion of their official publication. The methods of making such a reference shall be laid down by the Member States. 2. Member States shall forward to the Commission the texts of the provisions of national law which they have already adopted or adopt in the field covered by this Directive. 3. Member States shall report to the Commission every five years on the practical implementation of this Directive, setting out the points of view of workers and employers. The Commission shall bring the report to the attention of the European Parliament, the Council, the Economic and Social Committee and the Advisory Committee on Safety, Hygiene and Health Protection at Work. 4. The Commission shall submit to the European Parliament, the Council and the Economic and Social Committee a regular report on the implementation of this Directive, due account being taken of paragraphs 1, 2 and 3. Article 11\nThis Directive is addressed to the Member States. Done, at Luxembourg, 25 June 1991\n\n\nFor the Council\n\n\nThe President\n\nJ. -C. JUNCKER\n\n\n\n\n(1)\u00a0\u00a0OJ No C 224, 8. 9. 1990, p. 4. (2)\u00a0\u00a0Opinion delivered on 20 November 1990 (not yet published in the Official Journal) and OJ No C 158, 17. 6. 1991. (3)\u00a0\u00a0OJ No C 332, 31. 12. 1990, p. 167\n\n\n(4)\u00a0\u00a0OJ No L 183, 29. 6. 1989, p. 1"} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/9abb2d8d-bfd2-4733-bb8e-69e42b99193b", "title": "The Schengen acquis - Agreement on the Accession of the Kingdom of Spain to the Convention implementing the Schengen Agreement of 14 June 1985 between the Governments of the States of the Benelux Economic Union, the Federal Republic of Germany and the French Republic on the gradual abolition of checks at their common borders signed at Schengen on 19 June 1990, to which the Italian Republic acceded by the Agreement signed at Paris on 27 November 1990", "langIdentifier": "ENG", "mtypes": "html,print", "workTypes": "http://publications.europa.eu/ontology/cdm#agreement_member-states,http://publications.europa.eu/ontology/cdm#legislation_complementary,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": 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Omission of characters on standard keyboards", "langIdentifier": "ENG", "mtypes": "print", "workTypes": "http://publications.europa.eu/ontology/cdm#question_parliamentary,http://publications.europa.eu/ontology/cdm#question_written,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Parliament,OOSTLANDER,PRONK", "date": "1991-06-24", "subjects": "EU market,ISO,information processing,international standard,office automation,office equipment", "workIds": "celex:91991E001351", "eurovoc_concepts": ["EU market", "ISO", "information processing", "international standard", "office automation", "office equipment"], "url": "http://publications.europa.eu/resource/cellar/d944c305-f380-4ccd-9f2e-db6b366bfd67", "lang": "eng", "formats": ["print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/8e6973f6-85b1-400b-ac5a-bb97b8e54f02", "title": "PROPOSAL FOR A COUNCIL DIRECTIVE ON AIR POLLUTION BY OZONE", "langIdentifier": "ENG", "mtypes": "pdf,pdfa1b,print", "workTypes": "http://publications.europa.eu/ontology/cdm#act_preparatory,http://publications.europa.eu/ontology/cdm#proposal_act,http://publications.europa.eu/ontology/cdm#proposal_directive_ec,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Commission", "date": "1991-06-24", "subjects": "European Environment Agency,action programme,air quality,ozone,pollution control,public health", "workIds": "celex:51991PC0220,comnat:COM_1991_0220_FIN,oj:JOC_1991_192_R_0017_01", "eurovoc_concepts": ["European Environment Agency", "action programme", "air quality", "ozone", "pollution control", "public health"], "url": "http://publications.europa.eu/resource/cellar/8e6973f6-85b1-400b-ac5a-bb97b8e54f02", "lang": "eng", "formats": ["pdf", "pdfa1b", "print"], "text": "COMMISSION OF THE EUROPEAN COMMUNITIES \n\nC0M(91) 220 final \n\nBrussels, 24 June 1991 \n\nProposal for a \n\nCOUNCIL DIRECTIVE \n\nCM \n\nAIRPOimrCN HT O0ONE \n\n(presented by the Commission) \n\n\fEXPLANATORY MEMORANDUM \n\nl. mtroduflti\u00fb\u00fb \n\nAir quality problems have been tackled at Community level since the 1980s. Since then the presence in the air of a number of recognized pollutants \n(SOg, particulates, Pb and NOg) has been regulated. At the present time, however, the problem of air pollution by photochemical \noxidants* is regarded as one of the major environmental problems of the \nturn of the oentury. The concentrations of photo-cxidants in general and ozone in particular \nrecorded in Europe are a source of concern because they have adverse \neffects on: \n\nhuman health: causing eye irritations, headaches, respiratory \ndifficulties; \n\nnature: slowing down or disturbing plant growth; \n\nmaterials: damaging buildings (paint, polymers, etc. ). Ozone concentration measurement in Europe is of recent origin and is far \nfrom being general practice in all Member States; the measurement networks \nin place at present do not guarantee optimum and complete monitoring of the \nlevels of ozone in the air; moreover, the information available does not \nallow an accurate overall assessment of the problem. Also, the mechanisms \ninvolved in the phenomena in question are multifarious, complex and at \npresent inadequately understood. The Commission would therefore like to see action taken to monitor ozone, \ncollect and exchange Information and inform the public Only in this way \nwill it be possible to obtain a better understanding of the problem, \nformulate rational plans of action, decide upon the most suitable measures \nto be taken and identify the sources to be addressed. Also known as photo-oxidants. Ozone (O3) is the main jtooto-oxidant \namong all the oompounds in this category. - 2 -\n\n2. A O U OD to ormrnt, tfinfrocftpnlorfl pollution \n\nAt Oommunity level a series of measures are in progress or in preparation \nto reduce emissions of a number of souroes of air pollutants and in \nparticular the precursors of ozone (oxides of nitrogen and volatile organic \noompounds). These measures oonoern both stationary souroes (large \noombustion plants) and mobile souroes (oars/lorries). Given that it takes several years to Implement these measures in the \nMember States (in view of transposition times, gradual application and the \nreplacement rate), it is proposed that initially the impact of these \nmeasures on ozone levels in Europe should be monitored. During this first \nstage, and in view of the difficulty of monitoring emissions of other \nsouroes of less significant precursors, it is preferable to leave it to \neach Member State to take the initiative with regard to other emission \nreductions for other industrial sectors. These additional measures could \nbe optimized during a second stage. 3. l*wwrt\u00abrtK1\u00ab nrwren+raMrffW nf f^ in thft * 1r \n\nThe World Health Organization (WHO) reoommends that, in order to protect \nfirst of all human health and then vegetation, the following values for \nO3 concentration levels in the air should not be exceeded: \n\nCriterion \n\nExposure \n(hours) \n\nHealth \n\nVegetation \n\n1 \n8 \n\n1 \n24 \nGrowing period \n(100 days) \n\nRecommended \nconcentrations \n(ug/m3) \n\n1 5 0 - 2 00 \n1 0 0 - 1 20 \n\n200 \n65 \n60 \n\nThe thresholds set in this Directive are based on these values. - 3-\n\n4. ttmltnHTg \npollution \u00efg o?. onft \n\n\u00abnnhftngft r^f l^nnnmtlrm \u00abnd \n\nramlrg \u00abygt/m f or a ir \n\nThe ozone levels now recorded in Europe are regularly above the values \nrecommended to guarantee the protection first of all of health and then of \necosystems; the current state of knowledge of this problem does not allow \na date to be set from which these recommendations could be met. It would \ntherefore be premature to set objective and binding limit values for ozone \nconcentrations in the air at present. It Is, however, possible now to launch at Community level a number of \nmeasures designed to improve our understanding of the problem of O3 \npollution and to limit the impact on human health of episodes of heavy O3 \nconcentrations. The measures envisaged are as follows: \n\n4. 1 Monitoring \n\nIt is proposed that the Member States should set up new or supplement \nexisting networks for the measurement of O5 in ambient air; a number of \nstation-siting criteria set out in Annex II have to be met. A reference method for measuring ozone Is proposed, tut any other method Is \npermissible, subject to proof of equivalence. 4. 2 Tftrtnngft of Information, \n\nSome of the data collected in the context of this monitoring will be \nexchanged between the Member States and the Commission in order to pool \nIndividual experience and knowledge and to provide objective information \nfor a subsequent stage in the control of photochemical pollution. In order \nto limit the amount of information to be exchanged, only annual statistics \nand values in excess of the thresholds above which there is a risk for \nhealth or vegetation will have to be transmitted. 4. 3 KaxnlDg_S3Sj\u00a3BL \n\nWhen an ozone pollution episode occurs, it is no longer possible (because \nof the nature of the phenomena involved) to reduce concentration levels by \nreducing precursor emissions; the Directive therefore seeks to limit the \nimpact of such episodes on public health by setting up publio information \nor warning systems for oases where ozone levels exceed the thresholds above \nwhich there is a health risk. This should enable the publio to take a \nnumber of precautions and preventive measures in the event of pollution \nepisodes. Such a publio information procedure is also part of the new \napproach to access to information on the environment, the principles of \nwhich are laid down in Directive 90/313/EBC. - 4 -\n\nThe thresholds set out in the Directive are reference levels corresponding \nto health or vegetation protection requirements in accordance with WHO \nrecommendations. 6. fiihfiflqu/arrt notion \n\nA second stage is already provided for in this process of combating ozone \npollution: a further proposal setting limit values for O3 in the air, \ntogether with an implementation timetable, will be prepared after five \nYears of operation of the procedure envisaged in this proposal. This \nsubsequent proposal could also be based on other ideas developed In \nconnection with the Introduction of a new overall approach to the \nestablishment of air quality Directives. That will be a two-stage \napproach: a framework DLreotive will first of all be prepared to oover \ngeneral aspects connected with air pollution: objectives pursued, minimum \ncriteria for the establishment of networks, setting of various types of \nlimit values corresponding to specific objectives (statutory inspection, \naotivation of warning system, Information, e t c ), frequency of transmission \nof Information; following this general Directive, specifio Directives are \nenvisaged: they will oonoern specif io pollutants and will be limited tc -, \nsmall number of provisions (numerical concentration limit values, \nmeasurement methods, e t c ). _ 1 -\n\nProposai for a Council Directive on air pollution by ozone \n\nTHE COUNCIL OF THE EUROPEAN CEMMONITIES, \n\nHaving regard to the Treaty establishing the European Economio Community, \nand in particular Article 130s thereof, \n\nHaving regard to the proposal from the Commission, \n\nHaving regard to the opinion of the European Parliament, \n\nHaving regard to the opinion of the Eoonomio and Social Committee, \n\nWhereas the 1987 fourth Community action programme on the environment1 \nprovides for the possibility of action on photochemical pollution, and in \nparticular ozone, in view of its harmful effects and the state of knowledge \nconcerning its impact on human health and the environment; \n\nWhereas, In order to protect human health, ozone concentrations in the air \nshould be limited; whereas the scientific and technical Information \navailable and knowledge of the formation and transport of photochemical \npollutants does not make it possible at present to adopt limit values for \nthose concentrations; \n\nWhereas, however, as ocmplete a knowledge as possible of ozone pollution \nlevels is required in all Member States; \n\nWhereas to obtain this knowledge it is necessary to set up measurement \nstations to provide data on ozone conoentrations In the air; \n\nWhereas, in order to obtain comparable results, the methods used by the \nMember States to determine concentrations should be equivalent; \n\nWhereas, in view of the special nature of photochemical pollution, the \nreciprocal exchange of information between the Member States and the \nCommission including, once it is effectively set up, the European \nEnvironment Agency,2 is essential for a better understanding of the \nproblem; \n\n1 CJ No C 328, 7. 12. 1989. p. 1. 2 OJ No L 120, 11. 5. 1990, p. 1. Whereas the setting of warning levels at which precautions should be taken \nby the publio will make it possible to limit the impact of pollution \nepisodes on health; \n\nWhereas the numerical values of these levels should be based on the \nfindings of work carried out in the framework of the World Health \nOrganization (WHO), In particular as regards the dose-effect relationships \nestablished for the pollutant in question; \n\nWhereas the Information collected under this Directive will make it \npossible to monitor the development of air pollution by ozone and the \nimpact of national and Community provisions to reduce photochemical \nprecursors and establish in the future new provisions concerning ozone and \nair quality, \n\nHAS ADOPTED THIS DERBCTIVE: \n\nArticle 1 \n\n1. The purpose of this Directive is to establish a common procedure: \n\nfor monitoring, \nfor the exchange of information, \nfor warning, \n\nconcerning air pollution by ozone in order to enable the competent \nauthorities of the Member States and the Commission to obtain wider \nknowledge of this form of air pollution in the Community and guarantee \na minimum amount of publio Information where concentration thresholds \nare exceeded and there may be a risk to human health or vegetation. 2. For the purposes of this Directive: \n\n\"health protection threshold\" means the O3 concentration value \ngiven in Annex I, point 1 beyond which there is a risk to human \nhealth In the event of prolonged pollution episodes; \n\n\"vegetation protection thresholds\" means the O3 concentration \nvalues given in Annex I, point 2 beyond which there is a risk to \nvegetation; \n\n\"warning threshold\" means the O3 concentration value given In \nAnnex I, point 3 beyond which there is a risk to human health in \nthe event of short exposure and at which steps must be taken by the \nMember States as specified In the following articles. - 3 \n\nArticle 2 \n\nEach Member State shall designate at national level a central body to \nImplement the procedure set out In Article 1 point 1, and shall \nforthwith Inform the Commission thereof. Article 3 \n\nMember States shall establish measuring stations to supply the data \nnecessarY for the application of this Directive. Such stations must meet \nthe specifications In Annex II. Article 4 \n\n1. For the measurement of O3 conoentrations, Member States shall use: \n\neither the reference method referred to in Annex V; \nor any other method of analysis shown to produce measurement \nresults equivalent to those obtained using the reference method. To this end, each Member State shall designate one or more central \nlaboratories responsible for evaluating the method used at national \nlevel in relation to the reference method. Furthermore, they shall organize at national level intercomparisons \nbetween laboratories taking part in the collection and analysis of the \ndata. 2. Once the measuring stations have been established, Member States shall \n\nprovide the Commission with the following information: \n\nthe method used to determine O3 concentrations and, if it is \ndifferent from the reference method, proof of its equivalence with \nthe latter; \nthe geographical coordinates of the measuring stations, a \ndescription of the area covered by the stations, and the \nsite-selection criteria; \nthe results of any indicative measurement programmes carried out \nunder the provisions of Annex II, point 2. 3. The Commission may organize, on a Community scale, inteixDomparison \n\nprogrammes between central laboratories. - 4 -\n\nArticle 5 \n\nMember States shall make the necessary arrangements for Informing the \npublic by the most appropriate means (radio, television, newspapers) \nwhere the warning value given In Annex I, point 3 is exceeded. The data \nto be diffused is that be found on the text contained in Annex IV. Article 6 \n\n1. As from [1 January 1994], Member States shall provide the Commission \n\nwith the following information no later than three months following the \nannual reference period: \n\nthe maximum, the median and the 98th percentile of the mean values \nover one hour and eight hours recorded during the year in each \nmeasuring station; the percentiles shall be calculated in \naccordance with the method given in Annex III; \nthe number, date and duration of periods during which the \nthresholds in Annex I, points 1 and 2 are exceeded. 2. Where the warning threshold in Annex I, point 3 is exceeded, \n\nMember States shall inform the Commission no later than seven days \nfollowing the period in question of: \n\nthe date of the occurrence; \nthe duration of the occurrence; \nthe maximum hourly concentration recorded during this period. Where possible, this information should be supplemented by relevant \ndata concerning sources of precursors and weather conditions which \nmight explain the reasons for the occurrence. 3. Where the data referred to in paragraphs 1 and 2 above are available in \n\nthe Member States for periods preceding the date referred to in \nArticle 9 of this Directive, Member States shall send them to the \nCommission at the latest when they send the data relating to the first \nreference period. Article 7 \n\nMember States and the Commission shall regularly exchange information \nconcerning: \n\nthe data collected under this Directive; \nmeasures taken or planned and programmes established by the \nMember States to improve air quality; \nexperience and knowledge concerning the problem of photocheml cal \npollution. - 5 -\n\nArticle 6 \n\nOn the basis of the information collected, the Commission shall submit to \nthe Council no later than [1 July 1997] a proposal on the control of air \npollution by O3, including in particular limit values for O3 \nconoentrations in the air and time limits for compliance therewith. Article 9 \n\nMember States shall bring into foroe the laws, regulations and \nadministrative provisions necessary to comply with this DLreotlve no later \nthan [31 December 1992]. They shall forthwith Inform the Commission \nthereof. When Member States adopt such provisions, they shall contain a reference to \nthis Directive or shall be accompanied by such a reference at the time of \ntheir official publication. The procedures for making such a reference \nshall be laid down by the Member States. Article 1Q \n\nThis DLreotlve is addressed to the Member States. Done at Brussels, \n\nFOr the Council \nThe President \n\n\f- 6 -\n\nA N N EX \n\nI \n\n7\u00ceWftn\u2122ff for Q7i0nft concentrations In tfo \n\n^Tl \n\n(The values are expressed In ug 03/m3. The volume must be standardized \nat the following conditions of temperature and pressure: 293* K and \n101. 3 kPa). I - Wft*ltfr protection threshold \n(Lengthy exposure) \n\n110 ug/m3 for the mean value over eight hours2 \n\n2 - Vegetation protection thrfifihOld^ \n\n200 ug/m3 for the mean value over one hour \n65 ug/m3 for the mean value over 24 hours \n\ng - Health protection warning value \n(Short exposure) \n\n175 ug/m3 for the mean value over one hour \n\n1 Conoentrations must be measured continuously. 2 The mean over eight hours is a simple moving average calculated each \n\nhour h from the eight hourly values between h and h-9. - 7 -\n\nA N N EX \n\nII \n\nMonitoring of ozone, concentrations. 1. The purpose of measuring ozone concentrations in ambient air Is to \nassess \u2022 \n\n(1) as closely as possible the individual risk of exposure of human \nbeings to values In excess of the health protection thresholds; \nthe exposure of vegetation (e. g. forests, natural ecosystems, \ncrops) to the values given In Annex I. (11) \n\n2. The measurement points shall be located at geographically and \nolimatologioally representative sites where: \n\n(1) \n\nthe risk of approaching or exceeding the thresholds in Annex I is \nthe highest; \n\n(11) it is likely that one of the targets mentioned in paragraph 1 is \n\nAt places where the Member States do not have Information oonoernlng the \nsites mentioned under (i) and (11), they shall carry out indicative \nmeasurement programmes in order to determine the siting of the measurement \npoints to supply the data necessary for the application of this Directive. 3. Member States shall establish additional measurement points in order: \n\n(i) to contribute towards the identification and description of the \n\nformation and transport of ozone and its precursors; \n\n(11) to monitor changes In ozone concentrations In areas affected by \n\nbackground pollution. Parallel measurement of photochemical precursors (oxides of nitrogen, \nvolatile organic compounds) is recommended in order to make it possible to \nidentify links between the different pollutants. 4. The final reading of the measurement Instruments must be carried out in \nsuch a way that the mean values over one hour and eight hours can be \ncalculated, In accordance with the provisions of Annex H I. - 8 -\n\nA N N EX \n\nI II \n\n1. Concentrations must be measured continuously. 2. The annual reference period shall begin on 1 January and end on \n\n31 December in any given calendar year. 3. For the validity of the calculation of the percentiles* to be \n\nrecognized, 75% of the possible values must be available and, as far as \npossible, distributed uniformly throughout the period In question for \nthe particular measurement site. If that is not the case, this fact \nmust be mentioned when the results are communicated. The calculation of the 50th (96th) percentile on the basis of the \nvalues recorded throughout the year shall be carried out as follows: \nthe 50th (96th) percentile must be calculated from the values actually \nmeasured. The measured values shall be rounded off to the nearest \nug/m3. All the values are to be listed in increasing order for each \nsite: \n\nXj JL Xg j. Xg _<. iXfcjl \n\n- %-1-i % \n\nThe 50th (96th) percentile is the value of k, to be calculated from the \nfollowing formula: \n\nk - 0. 50 (0. 96). N \n\nN being the number of values actually measured. The value of 0. 50 (0. 98). K \nshall be rounded off to the nearest whole number. The median shall be calculated as the 50th percentile. - 9 -\n\nA NN BX \n\nIV \n\nThe information set out below must be circulated on a sufficiently large \nscale as soon as possible to enable the publio to take all appropriate \npreventive protective action. Standard text for Informing the public \nabout a high level of ozojtt In thft ajj \n\nSituation \nToday,1 at \nwere recorded. hrs, significant concentrations of ozone in the air \n\nAt the following measurement points: \n\nconoentrations in excess of 175 ug/m3 (European warning value) were \nrecorded. The details of the recorded values are as follows: \n\nStation \n\nTime \n\nConcentration \n(hourly mean) \n\nFftTflOrtfrtii \n\nSince no significant change in weather conditions is foreseeable in the \nnext few days, significant conoentrations can still be expected \ntani^t/tomorrow/this weekend between \n\nhrs and \n\nhrs \n\nThe most recent weather forecasts Indicate an ijaprovement in the situation \nby \n\nhrs/ within. days. or \n\nWhere information Is provided In newspapers a reference to the previous \nday may be added. - 10 -\n\nPrecautions: \n\nAs a pr\u00e9caution, those people who are particularly at risk from air \npollution (children, the elderly, people with respiratory problems, \neto. ) should avoid unaooustomed physical effort and all outdoor \nexercise during the next \n\nhrs. In general, it is recommended that sustained physical effort (e. g. Jogging) should be avoided during this period. For the publio in general, it is recommended that all physical effort \nshould be avoided. A number of symptoms such as eye irritations, \nheadaches, respiratory difficulties and a reduction in physical \ncapacities may occur. 1 \n\nThis paragraph is to be added in the event of concentrations in excess \nof 350 vg/mu. - 11 -\n\nA N N BX \n\nV \n\nThe reference method of analysis used to determine ozone shall be the \nchemiluminesoenoe method. This method is being standardized by the ISO. Once the latter has published the standard In question, the method \ndescribed therein shall constitute the reference method. The following points must be taken into oonsl deration when the measurement \nmethods and instruments are used by the Member States in the field: \n\n1. The conformity of the operating characteristics of the measurement \ninstrument with those indicated by the manufacturer, in particular \nbackground noise, response time and linearity, must be verified in the \nlaboratory. 2. The Instrument must be totally calibrated regularly, using acLbQQ \n\npreconditioned standard gases. The potassium iodide method or the method based on gas titration using \nNO as reagent is to be used in parallel In the laboratory to analyse \nthe O3 content of the standard gases and/or the accuracy and \nprecision of the other methods of measurement provided for in Article 4 \n(double-checking principle). Special care must be taken with regard to interferences inherent in the \nmethod and the instrument in order to optimize flow rates and guarantee \nthe condition of the apparatus during the calibration procedure. 3. In the field, the Instruments must be calibrated regularly, e. g. every \n\n23 or 25 hours. In addition, the validity of the calibration must be verified by \nregularly operating in parallel an instrument calibrated in accordance \nwith paragraph 1. If the instrument inlet filter is changed before calibration, \ncalibration must be carried out after an appropriate period of exposure \n(from 30 minutes to several hours) of the filter to ambient O3 \nconcentrations. 4. The sampling head must be plaoed at least 1 m away from buildings in \n\norder to avoid any screening effect. 5. The sampling head opening must be protected against rain and Insects. No prefllter is to be used. - 12 -\n\n6. Sampling must not be influenced by adjoining installations (the \n\naix-oonditioning or data-transmission equipment). 7. The sampling U ne must be of inert material (e. g. glass, PTFE, \nstainless steel) which is not affected by the presence of Q3. It must be exposed beforehand to appropriate O3 conoentrations. 8. The sampling line between the sampling head and the analysis Instrument \nmust be as short as possible. In particular, the time taken for the \ngas volume sample to pass through the sampling line must be as short as \npossible (e. g. of the order of a few seconds in the presence of other \nreagents such as NO). 9. Condensation In the sampling line must be avoided. 10. The sampling line must be cleaned regularly, taking local conditions \n\ninto account. 11. The sampling U ne must be tight and the flow rate must be inspected \n\nregularly. 12. Sampling must not be Influenced by gas discharges from the instrument \n\nor from the calibration system. 13. All necessary precautions must be taken to prevent temperature \n\nvariations from producing measurement errors. FICHE D'IMPACT SUR LA COMPETITIVITE ET L'EMPLOI \n\nI. Quelle est la Justification principale de la mesure? \n\nIl s'agit d'initial Iser sur le pian communautaire une s\u00e9rie \nd'actions en mati\u00e8re de pollution atmopsh\u00e9rIque par l'ozone. A \nl'heure actuelle la pollution photochImlque, \u00e0 laquelle l'ozone \ncontribue de mani\u00e8re Importante, constitue un probl\u00e8me s\u00e9rieux; \nles concentrations en ozone observ\u00e9es en Europe peuvent \npr\u00e9senter des risques pour la sant\u00e9 et la v\u00e9g\u00e9tation. II. Caract\u00e9ristiques des entreprises concern\u00e9es. En particulier: \n\nLes PME ne sont pas directement concern\u00e9es. a) Y a-t-ll un grand nombre de PME? \n\nb) Note t-on des concentrations dans des r\u00e9glons? \n\n- \u00e9llglbles aux aides r\u00e9gionales des Etats membres? \n\n- \u00e9llglbles au FEDER? \n\nIII. Quelles sont \nentreprises? \n\nAucune \n\nles obligations \n\nImpos\u00e9es directement \n\naux \n\nIV. Quelles sont les obligations susceptibles d'\u00eatre Impos\u00e9e? \nIndirectement aux entreprises via les autorit\u00e9s locales? \n\nSans objet \n\nV. Y a-t-ll des mesures sp\u00e9ciales pour les PME? Lesquelles? \n\nNon \n\nVI. Quel est l'effet pr\u00e9visible? \n\na) sur la comp\u00e9titivit\u00e9 des entreprises \n\naucun effet \n\nb) sur I'emploi \n\naucun effet \n\nVII. Les partenaires sociaux ont-Ils \u00e9t\u00e9 consult\u00e9s? Quels sont leurs \navis? \n\nPas applicable dans le cadre de cette proposition. \u00cfSSN 0254-1475 \n\nCOM (91) 220 final \n\nDOCUMENTS \n\nEN \n\n14 \n\nCatalogue number : CB-CO-91-271-EN-C \n\nISBN 92-77-73533-3 \n\nOffice for Officiai Publications of the European Communities \nL-2985 Luxembourg"} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/dc240795-0f5c-46ec-9c99-5f1cc214e64e", "title": "Commission Regulation (EEC) No 1788/91 of 24 June 1991 on the sale by the procedure laid down in Regulation (EEC) No 2539/84 of beef held by certain intervention agencies and intended for processing within the Community and repealing Regulation (EEC) No 1018/91", "langIdentifier": "ENG", "mtypes": "html,pdfa1b,print", "workTypes": "http://publications.europa.eu/ontology/cdm#legislation_secondary,http://publications.europa.eu/ontology/cdm#regulation,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Commission", "date": "1991-06-24", "subjects": "beef,food processing,sale,tied sales outlet", "workIds": "celex:31991R1788,oj:JOL_1991_160_R_0024_029", "eurovoc_concepts": ["beef", "food processing", "sale", "tied sales outlet"], "url": "http://publications.europa.eu/resource/cellar/dc240795-0f5c-46ec-9c99-5f1cc214e64e", "lang": "eng", "formats": ["html", "pdfa1b", "print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/f718c777-04c1-4a9c-8711-d1a01b8d5ff9", "title": "WRITTEN QUESTION No. 1342/91 by Mr Yves VERWAERDE to the Commission. Part-time work by European officials", "langIdentifier": "ENG", "mtypes": "print", "workTypes": "http://publications.europa.eu/ontology/cdm#question_parliamentary,http://publications.europa.eu/ontology/cdm#question_written,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Parliament,VERWAERDE", "date": "1991-06-24", "subjects": "European official,arrangement of working time,part-time employment,statistics", "workIds": "celex:91991E001342", "eurovoc_concepts": ["European official", "arrangement of working time", "part-time employment", "statistics"], "url": "http://publications.europa.eu/resource/cellar/f718c777-04c1-4a9c-8711-d1a01b8d5ff9", "lang": "eng", "formats": ["print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/2bb98ec9-ca31-4a70-880c-6e77a023d6a7", "title": "WRITTEN QUESTION No. 1303/91 by Mr Henry McCUBBIN to the Commission. EC loans to companies", "langIdentifier": "ENG", "mtypes": "print", "workTypes": "http://publications.europa.eu/ontology/cdm#question_parliamentary,http://publications.europa.eu/ontology/cdm#question_written,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Parliament,MCCUBBIN", "date": "1991-06-24", "subjects": "Community loan,ECSC loan,financial analysis,industrial conversion,industrial credit,investment project,job creation,job preservation", "workIds": "celex:91991E001303", "eurovoc_concepts": ["Community loan", "ECSC loan", "financial analysis", "industrial conversion", "industrial credit", "investment project", "job creation", "job preservation"], "url": "http://publications.europa.eu/resource/cellar/2bb98ec9-ca31-4a70-880c-6e77a023d6a7", "lang": "eng", "formats": ["print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/b348be12-320b-40da-a11a-0b63a692faa1", "title": "WRITTEN QUESTION No. 1326/91 by Mr Llewellyn SMITH to the Commission. Article 78 of the EURATOM Treaty", "langIdentifier": "ENG", "mtypes": "print", "workTypes": "http://publications.europa.eu/ontology/cdm#question_parliamentary,http://publications.europa.eu/ontology/cdm#question_written,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Parliament,SMITH LLEWELLYN", "date": "1991-06-24", "subjects": "EAEC Treaty,nuclear law,nuclear power station,nuclear safety,siting of power stations", "workIds": "celex:91991E001326", "eurovoc_concepts": ["EAEC Treaty", "nuclear law", "nuclear power station", "nuclear safety", "siting of power stations"], "url": "http://publications.europa.eu/resource/cellar/b348be12-320b-40da-a11a-0b63a692faa1", "lang": "eng", "formats": ["print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/cde73664-c86c-4133-80e8-31bbfc2fddfd", "title": "WRITTEN QUESTION No. 1332/91 by Mr Henri SABY to the Council. Famine in Africa", "langIdentifier": "ENG", "mtypes": "print", "workTypes": "http://publications.europa.eu/ontology/cdm#question_parliamentary,http://publications.europa.eu/ontology/cdm#question_written,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Parliament,SABY", "date": "1991-06-24", "subjects": "Africa,Central and Eastern Europe,Council of the European Union,EU aid,Middle East,coordination of aid,emergency aid,health aid,hunger", "workIds": "celex:91991E001332", "eurovoc_concepts": ["Africa", "Central and Eastern Europe", "Council of the European Union", "EU aid", "Middle East", "coordination of aid", "emergency aid", "health aid", "hunger"], "url": "http://publications.europa.eu/resource/cellar/cde73664-c86c-4133-80e8-31bbfc2fddfd", "lang": "eng", "formats": ["print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/b1aa7af3-7850-4755-a279-8168d7e4f4c8", "title": "WRITTEN QUESTION No. 1315/91 by Mr Florus WIJSENBEEK to the Commission. Rail transport cooperative", "langIdentifier": "ENG", "mtypes": "print", "workTypes": "http://publications.europa.eu/ontology/cdm#question_parliamentary,http://publications.europa.eu/ontology/cdm#question_written,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Parliament,WIJSENBEEK", "date": "1991-06-24", "subjects": "France,Germany,incorporation,inter-company agreement,rail transport,restriction on competition", "workIds": "celex:91991E001315", "eurovoc_concepts": ["France", "Germany", "incorporation", "inter-company agreement", "rail transport", "restriction on competition"], "url": "http://publications.europa.eu/resource/cellar/b1aa7af3-7850-4755-a279-8168d7e4f4c8", "lang": "eng", "formats": ["print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/51413857-f44f-4e6c-b6e6-6fc9e87a44aa", "title": "WRITTEN QUESTION No. 1341/91 by Mr Charles BAUR to the Commission. Comparison of the taxes and other standard charges paid by farmers", "langIdentifier": "ENG", "mtypes": "print", "workTypes": "http://publications.europa.eu/ontology/cdm#question_parliamentary,http://publications.europa.eu/ontology/cdm#question_written,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "BAUR,European Parliament", "date": "1991-06-24", "subjects": "agricultural holding,agricultural labour force,capital transfer tax,farm accountancy data network,farmer,local tax,social security,tax on income,tax system", "workIds": "celex:91991E001341", "eurovoc_concepts": ["agricultural holding", "agricultural labour force", "capital transfer tax", "farm accountancy data network", "farmer", "local tax", "social security", "tax on income", "tax system"], "url": "http://publications.europa.eu/resource/cellar/51413857-f44f-4e6c-b6e6-6fc9e87a44aa", "lang": "eng", "formats": ["print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/8041aeb4-3412-4d46-8bc7-fed3dda36fee", "title": "WRITTEN QUESTION No. 1328/91 by Mr Llewellyn SMITH to the Commission. Nuclear reprocessing activities", "langIdentifier": "ENG", "mtypes": "print", "workTypes": "http://publications.europa.eu/ontology/cdm#question_parliamentary,http://publications.europa.eu/ontology/cdm#question_written,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Parliament,SMITH LLEWELLYN", "date": "1991-06-24", "subjects": "confidentiality,correspondence,fuel reprocessing,nuclear fuel,nuclear policy,nuclear power station", "workIds": "celex:91991E001328", "eurovoc_concepts": ["confidentiality", "correspondence", "fuel reprocessing", "nuclear fuel", "nuclear policy", "nuclear power station"], "url": "http://publications.europa.eu/resource/cellar/8041aeb4-3412-4d46-8bc7-fed3dda36fee", "lang": "eng", "formats": ["print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/b1421e09-89bc-4ed8-8d97-0c5b97cb0130", "title": "WRITTEN QUESTION No. 1348/91 by Mr Ben FAYOT to the Commission. Coordination of European Community aid to the Kurdish refugees", "langIdentifier": "ENG", "mtypes": "print", "workTypes": "http://publications.europa.eu/ontology/cdm#question_parliamentary,http://publications.europa.eu/ontology/cdm#question_written,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Parliament,FAYOT", "date": "1991-06-24", "subjects": "EU aid,Kurdistan question,aid to refugees,coordination of aid,refugee", "workIds": "celex:91991E001348", "eurovoc_concepts": ["EU aid", "Kurdistan question", "aid to refugees", "coordination of aid", "refugee"], "url": "http://publications.europa.eu/resource/cellar/b1421e09-89bc-4ed8-8d97-0c5b97cb0130", "lang": "eng", "formats": ["print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/8e56dc72-2e71-437e-aa3f-faed3b2371f3", "title": "WRITTEN QUESTION No. 1333/91 by the following Members: Renzo IMBENI, Roberto BARZANTI, Rinaldo BONTEMPI, Luciana CASTELLINA, Fernando P\u00c9REZ ROYO, Luigi COLAJANNI, Renzo TRIVELLI and Luciano VECCHI to the Commission. Situation of the Palestinian universities since January 1988", "langIdentifier": "ENG", "mtypes": "print", "workTypes": "http://publications.europa.eu/ontology/cdm#question_parliamentary,http://publications.europa.eu/ontology/cdm#question_written,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "BARZANTI,BONTEMPI,CASTELLINA,COLAJANNI,European Parliament,IMBENI,PEREZ ROYO,TRIVELLI,VECCHI", "date": "1991-06-24", "subjects": "Israel,Palestine question,occupied territory,right to education,scientific cooperation,university", "workIds": "celex:91991E001333", "eurovoc_concepts": ["Israel", "Palestine question", "occupied territory", "right to education", "scientific cooperation", "university"], "url": "http://publications.europa.eu/resource/cellar/8e56dc72-2e71-437e-aa3f-faed3b2371f3", "lang": "eng", "formats": ["print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/5a117fa2-9594-437b-bec7-983ed1f2df83", "title": "WRITTEN QUESTION No. 1305/91 by Mr Alonso PUERTA to the Commission. Protection of the Bay of Algeciras (Spain)", "langIdentifier": "ENG", "mtypes": "print", "workTypes": "http://publications.europa.eu/ontology/cdm#question_parliamentary,http://publications.europa.eu/ontology/cdm#question_written,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Parliament,PUERTA", "date": "1991-06-24", "subjects": "Andalusia,Gibraltar,environmental impact,environmental protection,location of industry,reclaimed land,territorial waters", "workIds": "celex:91991E001305", "eurovoc_concepts": ["Andalusia", "Gibraltar", "environmental impact", "environmental protection", "location of industry", "reclaimed land", "territorial waters"], "url": "http://publications.europa.eu/resource/cellar/5a117fa2-9594-437b-bec7-983ed1f2df83", "lang": "eng", "formats": ["print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/b291dd6b-ae3e-4fb0-b22f-ffc946f9959a", "title": "WRITTEN QUESTION No. 1343/91 by Mr Yves VERWAERDE to the Commission. Cooperation with the State of Israel", "langIdentifier": "ENG", "mtypes": "print", "workTypes": "http://publications.europa.eu/ontology/cdm#question_parliamentary,http://publications.europa.eu/ontology/cdm#question_written,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Parliament,VERWAERDE", "date": "1991-06-24", "subjects": "EIB loan,Israel,cooperation policy,environmental protection,financial agreement,financial cooperation,industrial project", "workIds": "celex:91991E001343", "eurovoc_concepts": ["EIB loan", "Israel", "cooperation policy", "environmental protection", "financial agreement", "financial cooperation", "industrial project"], "url": "http://publications.europa.eu/resource/cellar/b291dd6b-ae3e-4fb0-b22f-ffc946f9959a", "lang": "eng", "formats": ["print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/d0b9159f-c259-4ee1-825c-b74082d91edb", "title": "PROPOSAL FOR A COUNCIL REGULATION ( EEC ) IMPOSING A DEFINITIVE ANTI-DUMPING DUTY ON IMPORTS OF SMALL-SCREEN COLOUR TELEVISION RECEIVERS ORIGINATING IN HONG KONG AND THE PEOPLE' S REPUBLIC OF CHINA AND COLLECTING DEFINITIVELY THE PROVISIONAL DUTY", "langIdentifier": "ENG", "mtypes": "pdf", "workTypes": "http://publications.europa.eu/ontology/cdm#act_preparatory,http://publications.europa.eu/ontology/cdm#proposal_act,http://publications.europa.eu/ontology/cdm#proposal_regulation_ec,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Commission", "date": "1991-06-24", "subjects": "China,Hong Kong,anti-dumping duty,free-at-frontier price,import,television equipment", "workIds": "celex:51991PC0231,comnat:COM_1991_0231_FIN", "eurovoc_concepts": ["China", "Hong Kong", "anti-dumping duty", "free-at-frontier price", "import", "television equipment"], "url": "http://publications.europa.eu/resource/cellar/d0b9159f-c259-4ee1-825c-b74082d91edb", "lang": "eng", "formats": ["pdf"], "text": "COMMISSION OF THE EUROPEAN COMMUNITIES \n\nC0M(91) 231 final \n\nBrussels, 24 June 1991 \n\nt_- \n\n^. Proposal for a \n\nCOUNCIL REGULATION (EEC! \n\nimposing a definitive anti-dumping duty on imports of \n\nsmall-screen colour television receivers originating in \n\nHong Kong and the People's Republic of China and \n\ncollecting definitively the provisional duty \n\n(presented by the Commission) \n\n\f- 2 \n\nEXPLANATORY M5MQRANPUM \n\n1. By Regulation (EEC) No 129/91 the Commission Imposed a provisional \n\nanti-dumping duty on imports of small screen colour television \n\nreceivers (hereafter SCTVs) originating In Hong Kong and the People's \n\nRepublic of China. That duty was extended for a maximum period of two \n\nmonths by Regulation (EEC) No 250/91. 2. Following the imposition of provisional measures, the Commission has \n\ncontinued its investigation and has examined the arguments of the \n\ncomplainants and exporters which have demanded to be heard. 3. The findings made on dumping have, in general, been confirmed although \n\nsome adjustments have been made in response to arguments and data \n\npresented by the parties. The most Important was that some \n\nadjustments were made for differences in physical characteristics for \n\nsome models Imported from the People's Republic of China. 4. Provisional findings that the Community SCTV Industry has suffered \n\nmaterial Injury in terms of loss of sales volume and market share, \n\nprice undercutting, loss of profitability, accelerated relocation of \n\nproduction with consequent loss of employment, were confirmed. It was \n\nalso confirmed that the dumped imports from Hong Kong and the People's \n\nRepublic of China had, in isolation, caused material Injury to the \n\nCommunity SCTV Industry. Injury thresholds were calculated on the \n\nbasis of the undercutting found, expressed at a c. i. f. level. 5. In the provisional findings, dumping margins were established for the \n\nChinese exporters Individually. As the Chinese exporters cannot \n\nindependently fix the conditions for exporting their products, the \n\nCommission considers appropriate to establish one dumping margin and \n\none duty for all Chinese exporters. Additionally, it is considered \n\nthat Individual duties could lead to circumvention of the duties as \n\nall exports are controlled by a single body. - 3 \n\nHowever for two of the exporters which are Joint ventures with \n\nJapanese participation, it was established that they cou id freely fix \n\ntheir export prices and therefore Individual dumping margins and \n\nduties were determined for them. 6. It is also confirmed - no new facts or arguments having been preser,u;o \n\n- that it is In the Community's interest to eliminate the injurious \n\neffects of the dumping determined. The benefits of such protection \n\nfor the current viability and future development of the Community SCTV \n\nindustry outweigh the temporary disadvantages to consumers of limited \n\nprice Increases for certain Imported SCTVs. 7. It Is proposed therefore to Impose definitive ant I-dumping duties \n\nranging from 2. 1% to 4. 8% on SCTVs from Hong Kong and from 7. 5% to \n\n15. 3% on SCTVs from the People's Republic of China. It Is also proposed that the amounts secured by way of the provisional \n\nduty should be collected up to the levels of the definitive duties \n\nfInalI y determined. - 4 -\n\nProposal for a \n\nCOUNCIL REGULATION (EEC) \n\nimposing a definitive anti-dumping duty on imports of \n\nsmall-screen colour television receivers originating In \n\nHong Kong and the People's Republic of China and \n\ncollecting definitively the provisional duty \n\nTHE COUNCIL OF THE EUROPEAN COMMUNITIES, \n\nHaving regard to the Treaty establishing the European Economic Community, \n\nHaving regard to Council Regulation (EEC) No 2423/88 of 11 July 1988 on \n\nprotection against dumped or subsidized imports from countries not members \nof the European Economic Community^1), and in particular Article 12 \n\nthereof, \n\nHaving regard to the proposal from the Commission submitted after \n\nconsultation within the Advisory Committee as provided for under the above \n\nR\u00e9gul\u00e2t ion, \n\nWhereas: \n\nA. PROVISIONAL MEASURES \n\n(1) \n\nThe Commission, by Regulation (EEC) No 129/91( 2 ), (hereinafter the \n\nProvisional Duty Regulation), imposed a provisional anti-dumping \n\nduty on imports into the Community of small-screen colour television \n\nreceivers (hereinafter referred to as SCTVs) originating In Hong \n\nKong and the People's Republic of China and corresponding to CN code \n\n(1) \n\n(2) \n\nOJ No L 209, 2. 1. 1988, p. 1. OJ No L 14, 19. 1. 1991. p. 31. 5 -\n\nS528 10 71. The Council, by Regulation \n\n(lEEC) No 1283/91<3> \n\nextended this duty for a period not exceeding two montre-* \n\nB. SUBSEQUENT PROCEDURE \n\nFollowing the imposition of the provisional anti-dumping duty, *' \n\ninterested parties who so requested were granted an opportun sty to \n\nbe heard by the Commission. They also made written submissions \n\nmaking known their views on the findings. Upon request, parties were informed of the essential facts and \n\nconsiderations on the basis of which it was intended to recommend \n\nthe imposition of definitive duties and the definitive collection of \n\namounts secured by way of a provisional duty. They were also \n\ngranted a period within which to make representations subsequent to \n\nthe disclosure. The oral and written comments submitted by the parties were \n\nconsidered and, where appropriate, the Commission's findings were \n\nmodified to take account of them. Due to the complexity of the proceeding, in particular to the \n\ndetailed verification of the voluminous data involved and the \n\nnumerous arguments put forward, including the study of related \n\nissues which arose during the proceeding and which could not have \n\nbeen foreseen at its outset, the investigation could not be \n\nconcluded within the normal time limit as was mentioned in Recital 5 \n\nof the Provisional Duty Regulation. (3) \n\nOJ No L 122, 17. 5. 1991, p. 1. - 6 -\n\nC. PRODUCT UNDER CONSIDERATION \n\nORIGIN FOR CUSTOMS PURPOSES \n\nIn its provisional findings the Commission, subsequent to a claim \n\nmade by a Hong Kong producer exporter and consistently with the \nconclusions in Council Regulation (EEC) No 1048/90<4) imposing \n\ndefinitive anti-dumping duties on imports of SCTVs originating in \n\nthe Republic of Korea, decided to exclude from the scope of the \n\nproceeding SCTVs with a diagonal screen size of 15. 5 cm (six inches) \n\nor less. As no objections by any of the interested parties have been made to \n\nthis course of action, the Council confirms the conclusions \n\ncontained in Recitals 6, 7 and 8 of the Provisional Duty Regulation, \n\nas well as the conclusions set out in Recitals 9 and 10 of that \n\nRegulation concerning the consideration of SCTVs produced by the \n\nCommunity industry, as like products to the SCTVs exported from Hong \n\nKong and China and the origin of those SCTVs. No comments were \n\nreceived from interested parties on those conclusions. D. DUMPING \n\na. Normal value \n\nFor the purpose of definitive findings, normal value was, in \n\ngeneral, established on the basis of the same methods as those used \n\nin the provisional determination of dumping, after taking into \n\nconsideration new facts and arguments presented by the parties. (4) \n\nOJ No L 107, 27. 4. 1990, p. 56. - 7 * \n\n!) \n\nHgpg K\u00e7ng \n\nOne of the Hong Kong exporters claimed that normal value, which hid \n\nbeen established for OEM sales on the basts of the resale price of a \n\nrelated trading company to the first independent purchaser adjust*? \n\nby the allowable selling expenses - as mentioned In Recital 13 of \n\nthe Provisional Duty Regulation - should have been established on \n\nthe basis of the sales to the trading company which should be \n\nconsidered as unrelated, and that the commissions paid to the \n\ntrading company should have been deducted from the normal value. The Commission considers that there is no Justification for treating \n\nthe trading company as an unrelated company. The trading company \n\nand the producer are both fully owned subsidiaries of the same \n\nparent company. It does not perform any activities apart from \n\ntrading and selling and carried out all the producer's sales of the \n\nproduct concerned in the domestic market during the reference \n\nperiod. Even if it was admitted that, as this exporter claims, the \n\nmanufacturing company carried out certain selling activities, it \n\nwould still be true that the trading company performed selling \n\nactivities normally carried out by a sales department of the \n\nmanufacturer and this would fully Justify its consideration as a \n\nrelated sales company. In these circumstances, the Commission confirms its consideration of \n\nthe two companies as forming part of the same economic entity and \n\nits determination of normal value as described in Recital 13 of the \n\nProvisional Duty Regulation. The Council confirms these conclusions. Another Hong Kong exporter contested tho method used to establish \n\nthe constructed values. It argued that the sales, general and \n\nadministrative expenses and the profit which had been used in \n\nconstructing the values, as explained in Recital 16 of the \n\nProvisional Duty Regulation, were excessive and did not adequately \n\nreflect its situation, mainly because the company whose SG & A \n\nexpenses had been used was a Stock Exchange listed company and \n\ntherefore required a larger and more specialized staff. The Commission considers that the arguments put forward by the \n\nexporter are not duly Justified. The mere a I legation that a Stock \n\nExchange listed company requires a larger and more specialized staff \n\nthan a comparable fully private Company cannot be considered \n\nsufficient argument to reduce the SG & A expenses used by the \n\nCommission on constructing the value. The investigation carried out \n\nby the Commission shows that this Company and the one of which the \n\nSG t A expenses were taken in order to construct the normal value, \n\nmay be consi red comparable as far as costs and type of operation \n\nare concerned. No Justifiable argument to the contrary has been put \n\nforward. In any event, this latter Company was the only one with \n\ndomestic sales on an OEM basis which could be considered \n\nrepresentative since they exceeded 5% in volume of the sales on the \n\nsame basis to the Community market. It was therefore considered \n\nthat this Company's figures which were verified by the Commission, \n\nform the most reasonable basis for the addition of SG ft A expenses \n\nto manufacturing costs as provided for by Article 2(3)(b)(ii) of \n\nRegulation (EEC) No 2423/88. As far as profit is concerned, this exporter argued that the profit \n\nmargin taken into consideration (i. e. 5%) should not be the same as \n\nthe one which had been used in the previous investigation concerning \n\n\f9 -\n\nthe Republic of Korea, the Hong Kong market being more competitive \n\nand having lower profit margins. The Commission considers that this \n\nargument neglects the fact that the Commission investigation, as \n\nindicated In Recital 15 of the Provisional Duty Regulation, showed \n\nthat the profit margin of the soie Company with representative OEM \n\nsales in the domestic market exceeded the 5% profit margin retained. The Council confirms these conclusions. M) \n\nPeople's Republic of China \n\n10 \n\nNo comments from any of the interested parties were received \n\nconcerning the way in which the Commission had established normal \n\nvalues for all export sales from the People's Republic of China to \n\nthe Community on the basis of the constructed values for comparable \n\nmodels manufactured in Hong Kong as set out in Recitals 17 and 18 of \n\nthe Provisional Duty Regulation. The Council confirms these conclusions. b. Export price \n\ni) \n\nHong Kong \n\n11 \n\nFor purposes of the Provisional Duty Regulation the export prices \n\nwere established on the basis of the prices paid or payable for \n\nexport as all export sales were made either directly to unrelated \n\nimporters or through unrelated trading companies in Hong Kong. No \n\ncomments from any party have been made on this course of action and \n\n\f10 -\n\nthe Council confirms the conclusions of the Commission as set out in \n\nRecital 19 of the Provisional Duty Regulation. N) \n\nPeople's Republic of China \n\n12 \n\nThe export prices for the Chinese exporters have been establI shed on \n\nthe basis of prices paid or payable where no related importers were \n\ninvolved and on the basis of resale prices to the first independent \n\nbuyer adjusted to take account of all costs incurred between \n\nImportation and resale including customs duties and a 10% profit on \n\nturnover where exports were made to related importers as was the \n\ncase for FuJIan Hitachi Television Co Ltd and Huaquiang Sanyo \n\nElectronics Co ltd as described in Recitals 20 and 21 of the \n\nProvisional Duty Regulation. 13 \n\nOne of the exporters considered that the profit margin used in the \n\nconstruction of the export price could not be considered reasonable. In support of its consideration it was argued by the exporter that a \n\n5% profit margin had been used in previous proceedings Involving \n\nconsumer products, that SCTVs were a mature and well established \n\nproduct, the 10% margin being therefore unrealistic, and that the \n\nmargin of 10% was not adapted to the size and organization of the \n\nrelated importers Involved. The Commission notes, however, that it has been consistent in its \n\napproach with the methodology used in the previous investigation \n\nconcerning SCTVs originating in the Republic of Korea. The \n\nCommission does not contest the fact that the current generation of \n\nSCTVs can be considered as a technologically-mature product but this \n\ndoes not preclude the fact that the SCTV sector was, during both \n\n\f11 -\n\nreference periods for the Korean and the Chinese and Hong Kong \n\nInvestigation, quite buoyant and profitable for \n\nindependent \n\nimporters. In this respect, it should be noted that in the case of \n\nimports of another consumer electronic product whose investigation \n\nperiod corresponded \n\nin large part to that of the Korean \n\ninvestigation a rate higher than 10% was used for definitive \n\ndeterminations. The information collected and verified from independent Importers in \n\nthe course of this proceeding has shown that the level of profit \n\nduring the reference period did not depart significantly from that \n\nobserved and used for definitive determinations In the Korean \n\nproceeding and therefore the use of a different profit rate was not \n\nJustified. As far as the size and the organisation of the related \n\nimporter are concerned, the Commission retained the profit of one \n\nindependent importer as explained in Recital 17 of Regulation (EEC) \n\nNo 1048/90, whose structure and size are comparable to both the \n\nrelated importers Involved in that proceeding and those related \n\nimporters involved In the present proceeding. This independent \n\nimporter is of considerable size, is well established in the \n\nCommunity market, possesses an important network, deals with a wide \n\nproduct range and sells its products under a very well known brand \n\nname. These are obviously characteristics which are also common to \n\nthe related importers and therefore the Commission considers that \n\nthe size and organization aspects have been properly taken into \n\naccount. In the light of these considerations and those set out in Recitals \n\n20, 21 and 22 of the Provisional Duty Regulation, the Council \n\nconfirms the Commission's findings and conclusions. - 12 -\n\nc. ComparIson \n\n14 \n\nAs explained in the Provisional Duty Regulation at Recitals 23 to \n\n27, all comparisons were made at the ex-works level for the exports \n\noriginating in Hong Kong and at f. o. b. level for the exports \n\noriginating in the People's Republic of China. For the purposes of \n\nensuring a fair comparison between normal value and export prices, \n\nthe Commission took account where appropriate of differences \n\naffecting price comparability, such as differences in physical \n\ncharacteristics and selling expenses, where a direct relationship \n\nbetween these differences and the sales under consideration could be \n\nsatisfactorily demonstrated. Under the heading of selling expenses \n\nfor export sales of Hong Kong exporters, adjustments were made for \n\ndifferences in commissions, transport, insurance, handling, loading \n\nand ancillary costs, payment terms, warranty expenses and salesmen's \n\nsalaries and for export sales of Chinese exporters adjustments were \n\nmade for differences in warranty expenses. i) \n\nHong Kong \n\n15 \n\nOne of the Hong Kong exporters disputed the calculations made by the \n\nCommission in the determination of the cost of transporting the \n\nexported product to the Community. The Commission informed this \n\nexporter in writing of the basis of its calculation. The same \n\nexporter also disputed the allowance made by the Commission for \n\nsalesmen's salaries on the export price on the grounds that these \n\nwere not true salesmen. The Commission informed the exporter in \n\nwriting that the results of the investigation had shown that these \n\nsalesmen were wholly involved in direct selling activities and \n\nexplained the basis for the allocation made on calculating the \n\n\f- 13 \n\namount of the allowance, \u00abo further comments on any of these points \n\nwere received by the Commission. 16 \n\nAnother Hong Kong exporter claimed that a number of adjustments for \n\ndifferences in physical characteristics should have been made with \n\nregard to the model used in the calculation of the constructed value \n\nreferred to in Recital 16 of the Provisional Duty Regulation. It \n\nalleged, in particular, that the model on which the constructed \n\nvalue had been based may have obtained approval in accordance with \n\nGerman certification practice and may have been equipped with an \n\nindoor rod antenna component. The Commission cannot accept this claim as it could not obtain \n\nconfirmation \n\nas to whether \n\nthe alleged \n\ncertification and \n\nincorporation of antenna actually existed and,, if so, on what \n\nfactual basis these adjustments should have been made and what \n\nimpact those differences would have had on the price comparability. In any event, even if it was established that all mode is exported to \n\nGermany had obtained that approval, that all models were equipped \n\nwith the indoor rod antenna component and that the costs indicated \n\nby this exporter were correct, the impact on the outcome of the \n\ninvestigation would be negligible. M> \n\nPeople's Republic of China \n\n17 \n\nThe China Commercial Chamber of Audio-Video Products Exporters \n\nrequested through its legal representative that a number of \n\nadjustments for physical characteristics be made on the models used \n\nin the calculation of the constructed value referred to in Recital \n\n17 of the Provisional Duty Regulation. In particular, the Chamber \n\nrequested adjustments for the lack of cable tuner and earphone Jack \n\nand for the different number of preselections, differences in \n\n\f- 14 -\n\nsound output available and differences in outlook and design. The \n\nCommission, in view of the arguments presented by the Chamber, \n\nrecognized that a cable tuner was a feature relevant to consumers in \n\nHong Kong and agreed to make the appropriate adjustment. The rest \n\nof the claimed allowances could not, on the contrary, be accepted by \n\nthe Commission as they did not prove to be duly Justified: \n\nthe sound output available was considered not to be of \n\nrelevance to consumers; \n\na large majority of the units exported from the People's \n\nRepublic of China were equipped with earphone Jacks; \n\ndue to the limited number of channels available for viewing in \n\nHong Kong during the reference period the discussed number of \n\npreselections was irrelevant and \n\nin so fr as the outlook was concerned, it appeared that the \n\ncost of manufacturing a conventionai-look receiver in Hong \n\nKong was higher than that of a monitor-look receiver and that \n\nfor comparable models of two of the Hong Kong exporters \n\ninvolved in the proceeding, the price of the conventionaI-look \n\nmodel was higher than that of the monitor-look model. For all those reasons, only the request for the cable tuner \n\nadjustment can be accepted by the Commission which must reject \n\nthe other claims. The Council confirms these conclusions. - 15 -\n\nd. Dumping margins \n\n18 \n\nExport prices were compared on a transaction by transaction basis \n\nwith normal values for each of the exporters concerned with the \n\nexception mentioned below. The final examination of the facts shows \n\nthe existence of dumping in respect of SCTVs originating in Hong \n\nKong and the People's Republic of China from all the exporters \n\ninvolved, the margin of dumping being equal to the amount by which \n\nthe normal value as established exceeds the price for export to the \n\nCommunity. 19 \n\nIn its provisional findings contained in Recital 28 of the \n\nProvisional Duty Regulation, the Commission established five \n\nindividual dumping margins for each of the Chinese exporters who had \n\ncooperated in the investigation. However, for the purposes of \n\ndefinitive findings, the Commission took the view that a single \n\ndumping margin should be established for all the Chinese exporters \n\nwith the exception of the two Sino-Japanese Joint venture exporters. This is Justified by the fact that the Chinese exporters, even if \n\nthey appear as independent companies which invoice their customers \n\ndirectly, have in fact a very limited, if any, degree of \n\nindependence in their relationship with importers in other countries \n\nas they lack the possibility of establishing export prices and any \n\nother conditions or terms of sales by themselves. The three \n\ncooperating Chinese exporters (i. e. China Great Wall Industry \n\nCorporation, China National Electronics Import & Export Corporation \n\nand China National Light Industrial Products Import & Export \n\nCorporation) are members of the China Commercial Chamber of Audio \n\nand \n\nVideo \n\nProducts \n\nExporters who acknowledged \n\nduring \n\nthe \n\ninvestigation that the export of SCTVs from all their members was \n\nmade under their strict control. It was also declared by the \n\nChamber that all exporters had to be members of the Chamber and that \n\n\f- 16 -\n\nonly the Joint ventures could export and \n\nimport \n\nproducts \n\nindependently. In addition, the Commission considered that maintaining individual \n\ndumping margins for the Chinese exporters subject to the control of \n\nthe Chamber could provide an opportunity for circumvention as \n\nexports to the Community could be channelled through the company \n\nwith the lowest dumping margin. The lack of independence of these exporters in conducting their \n\nexport policy \n\nis further confirmed by the fact that the \n\nrepresentation of the three Chinese exporters in this proceeding has \n\nbeen carried out by the Chamber and its legal representatives which \n\nat all times have submitted Joint arguments and considerations for \n\nall three exporters without individualizing any positions. In these \n\ncircumstances, the Commission considered that the establishment of \n\nthree individual dumping margins led to purely arbitrary results \n\nwhich were net Justified and that a single dumping margin, obtained \n\nby comparing all export transactions of the three Companies with the \n\nnormal values, should be established. All the cooperating Chinese \n\nexporters were informed by the Commission of its intention to follow \n\nthis course of action. 20 \n\nIn so far as the other two Chinese exporters are concerned (i. e. the \n\ntwo Sino-Japanese Joint ventures) the Commission was able to \n\nestablish to its satisfaction that these companies, even if they did \n\nnot operate fully on a market economy basis, enjoyed a high degree \n\nof independence in their operations basically because they were able \n\nto import components and export finished products without control \n\nfrom the Chamber or from any other body. Furthermore, the fact that \n\nthese companies were able to transfer their profits, subject to \n\ncertain administrative requirements, out of the People's Republic of \n\n\f- 17 \n\nChina, ensured that these profit-oriented companies enjoyed a \n\nsufficient degree of independence which Justifies their individual \n\ntreatment. For these reasons the Commission considered that \n\nindividual dumping margins should be established for the two Joint \n\nventure exporters who cooperated with the investigation by comparing \n\nthe normal values and the export prices established on the basis set \n\nout in Recitals 10 and 12. The Council confirms the above conclusions in Recitals 18, 19 \n\nand 20. 21 \n\nThe weighted average margins, expressed as a percentage of c. i. f. frontier prices varied according to exporter as follows: \n\ni. Hong Kong \n\nCony Electronic Products Ltd \n\nHanwah Electronics Ltd \n\nKong Wah Electronic Enterprises Ltd \n\nKoyoda Electronics Ltd \n\n' \n\nLuks industrial Co Ltd \n\nTai Wah Television Industries Ltd \n\n3. 19 \n\n4. 88 \n\n3. 13 \n\n4. 61 \n\n4. 17 \n\n2. 16 \n\ni I. People's Republic of China \n\nFujian Hitachi Television Co Ltd \n\nHuaquiang Sanyo Electronics Co Ltd \n\nAll other cooperating Chinese \n\nexporters \n\n17. 04 \n\n7. 55 \n\n15. 31 \n\n\f- 18 -\n\nE. INJURY \n\n22 \n\nThe Commission concluded in its provisional findings that the \n\nCommunity SCTV industry had suffered material injury. It based this \n\nfinding principally on the Hong Kong and Chinese exporters' rapid \n\nincrease in volume of exports and in market share, the price \n\nundercutting practised by these exporters in the Community market \n\nand the price erosion resulting therefrom for the complainant \n\nproducers' selling prices. In addition, further relocation of \n\nCommunity industrial capacity in third countries was foreseeable \n\nwith consequent loss of Community employment and the continuation of \n\nthe significant losses incurred by the complainant Community \n\nproducers which increased dramatically in 1988. 23 \n\nNo new facts concerning these findings were submitted to the \n\nCommission after the publication of the Provisional Duty Regulation. Some exporters, both Chinese and from Hong Kong contested the \n\ncumulation o; imports from both countries effected by the Commission \n\nwhen assessing the impact of dumped imports on the Community \n\nindustry. The Commission, however, maintains its arguments set out \n\nin Recitals 30 and 31 of the Provisional Duty Regulation, i. e. that \n\nthe SCTVs exported by both countries are homogenous and similar to \n\nthe Community products, that they competed with each other and with \n\nthe Community products and were sold through the same distribution \n\nchannels and that the volumes imported from each of the two \n\ncountries taken in isolation can, in no way, be described as \n\nnegligible. In addition, the Commission notes that the market \n\nbehaviour of the Chinese and the Hong Kong exporters can be \n\nconsidered very similar. In these circumstances, in accordance with \n\nthe standard practice in antI-dumping proceedings, it is considered \n\nappropriate to cumulate the injurious effect of imports from Hong \n\nKong and from the People's Republic of China. 19 -\n\n24 \n\nSome exporters contested the model comparison which formed the basis \n\nfor the Commission's analysis of undercutting. Their arguments on \n\nthe question referred basically to the fact that the Community \n\nmodels used in the comparison offered an enhanced appeal to \n\nconsumers as a result of the presence of a number of features or \n\ncharacteristics incorporated in them and which were lacking in the \n\nexported models. The China Commercial Chamber of Audio and Video Products Exporters \n\nargued that the Community models which had been used for the price \n\nundercutting comparison contained more and better features than the \n\nChinese models with which they had been compared and proposed that \n\neither adjustments on the basis of market value differences should \n\nbe made or that all Chinese models should be compared to the lowest \n\nfeatured of the Cor*; \u00abunity models used in the comparison. The \n\nCommission considered that accepting adjustments on the model \n\ncomparison would imply a significant departure from the methodology \n\nused in the recent SCTVs Korean investigation which was confirmed in \n\nthe present investigation. This methodology has not been challenged \n\nby any of the parties involved in either proceeding with the \n\nexception of the Chamber. Furthermore, it was considered that the \n\nwide variety of models and of technical characteristics would make a \n\ncomparison based on adjustments too complicated and unworkable. However, the Commission, recognizing that some of the Community \n\nmodels used in the comparison may be over featured in relation to the \n\nChinese models, has proceeded to compare all but one of the Chinese \n\nmodels, with the exception of those exported by the Joint venture \n\nexporters, with the lowest-featured Community models. 25 \n\nOn that basis and applying the method of comparison explained in \n\nRecital 39 of the Provisional Duty Regulation, the overall average \n\n\f- 20 -\n\nundercutting results expressed at c. l. f. level is 16. 85% for the \n\nexporters represented by the China Commercial Chamber of Audio and \n\nVideo Products Exporters. For all the other exporters the undercutting comparison findings as \n\nset out in Recital 40 of the Provisional Duty Regulation are hereby \n\nconfirmed. 26 \n\nNo other arguments nor facts concerning determination of injury were \n\npresented to the Commission. The Council confirms the conclusions of the Commission as set out in \n\nRecitals 30 to 39 and 41 to 48 of the Provisional Duty Regulation \n\nand in Recitals 22 to 25 of this Regulation. \\ \n\n27 \n\nIn Recitals 49 to 53 of the Provisional Duty Regulation, the \n\nF. CAUSATION OF INJURY \n\nCommission concluded that the cumulated dumped imports from Hong \n\nKong and the People's Republic of China had caused material injury \n\nto the Community industry. The Commission found that the rapid \n\nincrease of Hong Kong and Chinese low priced imports coincided with \n\nan equally rapid loss of market share by the Community industry, \n\nprice erosion for the Community's SCTV models and heaviIy-increased \n\nfinancial losses on the part of Community companies together with an \n\naccelerated relocation of Community producers' assembly facilities \n\noutside the Community. In this respect, the Commission notes that prices play a very \n\nimportant role in the market and price undercutting due to dumping \n\nhas therefore an immediate negative effect on the prices practised \n\nby the Community industry. It should be stressed, as already \n\n\f- 21 -\n\nindicated in Recital 40 of the Provisional Duty Regulation, that the \n\neffects of the price undercutting found do not refer only to the \n\nmodels of SCTVs in the Community which may be considered to be \n\ndirectly comparable to the Hong Kong and Chinese exports, but that \n\nthey apply to the whole range including the newest and most enhanced \n\nmodels. Undercutting at the lower-priced end of the range - the \n\nmajor volume market segment - naturally has a depressive effect on \n\nprice throughout the whole SCTV range by reducing the consumer's \n\nperception of the value of the product and of the different features \n\nof the various models. No new facts nor new arguments concerning these findings were \n\nsubmitted to the Commission after the publication of the Provisional \n\nDuty Regulation. The Council therefore confirms the conclusions of \n\nthe Commission as set out in Recitals 49 to 53 of the Provisional \n\nDuty Regulation. G. COMMUNITY INTEREST \n\n28 \n\nNo further facts or arguments concerning this subject were submitted \n\nto the Commission by any of the parties. The Council therefore \n\nconfirms the Commission's conclusions set out in Recitals 54 to 57. -\"*- =~\u00abK. &r \n\nof the Provisional Duty Regulation, that it is in the Community's \n\ninterest to eliminate the injurious effects to the Community \n\nindustry of the dumping determined. The benefits of such protection \n\nfor the current viability and future development of that industry \n\noutweigh the possible disadvantages, of a temporary nature, for the \n\nconsumer in terms of limited price increase for certain Imported \n\nSCTVt. - 22 -\n\nH. DUTY \n\n29 \n\nProvisional measures took the form of anti-dumping duties. These \n\nwere imposed at the level of the dumping margins determined, with \n\nthe exception of one Chinese Joint venture exporter for which the \n\nlevel imposed was that adequate to remove the injury caused. 30 \n\nAlthough the Commission's findings on injury set out in the \n\nProvisional Duty Regulation have now been modified, the level of \n\nduty necessary to remove the injury remains higher than the dumping \n\nmargin definitively determined, with the exception of one Chinese \n\nJoint venture exporter. Therefore, duties should be imposed at the \n\nlevel of the dumping margins found except for FuJIan Hitachi \n\nTelevision Co Ltd for whom the duty should be imposed at a level \n\nsufficient to eliminate the price undercutting. 31 \n\nAs explained above in Recital 19, the Commission decided to \n\nestablish a single dumping margin for all the Chinese exporters with \n\nthe exception of the two Joint ventures concerned and, consequently, \n\na single duty was established for these companies. The Council confirms these conclusions. I. COLLECTION OF PROVISIONAL DUTIES \n\n32 \n\nIn view of the dumping margins established, and the seriousness of \n\nthe injury caused to the Community industry, the Council considers \n\nit necessary that amounts collected by way of provisional anti \n\ndumping duties should be definitively collected to the extent of the \n\namount of the duty definitively imposed. HAS ADOPTED THIS REGULATION: \n\n- 23 -\n\nArticle 1 \n\n1. A definitive anti-dumping duty is hereby imposed on imports of \n\nsmall-screen colour television receivers with a diagonal screen size of \n\nmore than 15. 5 cm but no greater than 42 cm, whether or not combined in the \n\nsame housing with a radio broadcast receiver and/or a clock, falling within \n\nCN code ex 8528 10 71 (Taric code: 8528 10 71*10) and originating In \n\nHong Kong or in the People's Republic of China. 2. The rate of duty shall be 4. 8% of the net free-at-Community-front 1er \n\nprice before duty for products originating in Hong Kong (Taric additional \n\ncode: 8500) and 15. 3% of the net free-at-Community-front1er price before \n\nduty for products originating in the People's Republic of China (Taric \n\nadditional code: 8506). However, the rates of duty for products specified in paragraph 1 and \n\nmanufactured and sold for export by the following companies shall be as set \n\nout below, expressed as a percentage of the net, free-at-Community-frontier \n\nprice before duty: \n\nRate of duty Taric additional \n\n\u00a3ojje_ \n\na. Hong Kong \n\nCony Electronic Products Ltd \n\nHanwah Electronics Ltd \n\nKong Wah Electronic Enterprises Ltd \n\nKoyoda Electronics Ltd \n\nLuks industrial Co Ltd \n\nTai Wah Television Industries Ltd \n\n3. 1 \n\n4. 8 \n\n3. 1 \n\n4. 6 \n\n4. 1 \n\n2. 1 \n\n8494 \n\n8495 \n\n8488 \n\n8497 \n\n8498 \n\n8499 \n\n\f- 24 -\n\nb. People's Republic of China \n\nFuJIan Hitachi Television Co Ltd \n\nHuaquiang Sanyo Electronics Co Ltd \n\n13. 1 \n\n7. 5 \n\n8504 \n\n8505 \n\n3. The provisions in force concerning customs duties shall apply. Article 2 \n\nThe amounts collected or secured by way of provisional anti-dumping duty \n\nunder Regulation (EEC) No 129/91 shall be collected at the rates of duty \n\ndefinitively imposed where the definitive rate of duty is lower than the \n\nprovisional anti-dumping duty and at the rates of provisional duty in all \n\nother cases. Secured amounts which are not covered by the rates of duty \n\ndefinitively imposed shall be released. Article 3 \n\nThis Regulation shall enter into force on the day following that of its \n\npublication in the Official Journal of the European Communities. This Regulation shall be binding In its entirety and directly applicable in \n\na 11 Member States. Done at Brussels, \n\nFor the Council \n\nThe President \n\n\f- 25 -\n\nISSN 0254-1475 \n\nCOM(91) 231 final \n\nDOCUMENTS \n\nEN \n\n02 \n\nCatalogue number : CB-CO-91-277-EN-C \n\nISBN 92-77-73603-8 \n\nOffice for Officia] Publications of the European Communities \n\nL-2985 Luxembourg"} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/acc916db-24e2-4ada-ba44-a6f1717cf653", "title": "WRITTEN QUESTION No. 1314/91 by Mr Luigi VERTEMATI to the Commission. Use of anabolic substances in sport", "langIdentifier": "ENG", "mtypes": "print", "workTypes": "http://publications.europa.eu/ontology/cdm#question_parliamentary,http://publications.europa.eu/ontology/cdm#question_written,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Parliament,VERTEMATI", "date": "1991-06-24", "subjects": "code of conduct,resolution (EU),sport", "workIds": "celex:91991E001314", "eurovoc_concepts": ["code of conduct", "resolution (EU)", "sport"], "url": "http://publications.europa.eu/resource/cellar/acc916db-24e2-4ada-ba44-a6f1717cf653", "lang": "eng", "formats": ["print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/1877e386-e450-4bdc-9cd5-c9465299fdca", "title": "WRITTEN QUESTION No. 1340/91 by Mr Jaak VANDEMEULEBROUCKE to the Council. Decisions of the Council of Europe on minorities", "langIdentifier": "ENG", "mtypes": "print", "workTypes": "http://publications.europa.eu/ontology/cdm#question_parliamentary,http://publications.europa.eu/ontology/cdm#question_written,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Parliament,VANDEMEULEBROUCKE", "date": "1991-06-24", "subjects": "Council of Europe,international meeting,national minority", "workIds": "celex:91991E001340", "eurovoc_concepts": ["Council of Europe", "international meeting", "national minority"], "url": "http://publications.europa.eu/resource/cellar/1877e386-e450-4bdc-9cd5-c9465299fdca", "lang": "eng", "formats": ["print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/3415067a-eb5d-4f6a-8231-422280c5ed15", "title": "WRITTEN QUESTION No. 1339/91 by Mr Jaak VANDEMEULEBROUCKE to the Commission. Decisions of the Council of Europe on minorities", "langIdentifier": "ENG", "mtypes": "print", "workTypes": "http://publications.europa.eu/ontology/cdm#question_parliamentary,http://publications.europa.eu/ontology/cdm#question_written,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Parliament,VANDEMEULEBROUCKE", "date": "1991-06-24", "subjects": "Council of Europe,EC Directive,OSCE,interinstitutional relations,national minority", "workIds": "celex:91991E001339", "eurovoc_concepts": ["Council of Europe", "EC Directive", "OSCE", "interinstitutional relations", "national minority"], "url": "http://publications.europa.eu/resource/cellar/3415067a-eb5d-4f6a-8231-422280c5ed15", "lang": "eng", "formats": ["print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/50af53a2-cca8-4a4c-9985-efb0a5230c07", "title": "Commission Regulation (EEC) No 1787/91 of 24 June 1991 on the sale by tender, for processing in the Community, of bone-in beef held by the United Kingdom intervention agency", "langIdentifier": "ENG", "mtypes": "html,pdfa1b,print", "workTypes": "http://publications.europa.eu/ontology/cdm#legislation_secondary,http://publications.europa.eu/ontology/cdm#regulation,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Commission", "date": "1991-06-24", "subjects": "United Kingdom,award of contract,beef,food processing,intervention stock", "workIds": "celex:31991R1787,oj:JOL_1991_160_R_0021_028", "eurovoc_concepts": ["United Kingdom", "award of contract", "beef", "food processing", "intervention stock"], "url": "http://publications.europa.eu/resource/cellar/50af53a2-cca8-4a4c-9985-efb0a5230c07", "lang": "eng", "formats": ["html", "pdfa1b", "print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/6ba5c26f-d8e4-4227-ad75-cfbb9ea463c0", "title": "Commission Regulation (EEC) No 1804/91 of 24 June 1991 re-establishing the levying of customs duties on products of category 16 (order No 40.0160), originating in Thailand, to which the preferential tariff arrangements set out in Council Regulation (EEC) No 3832/90 apply", "langIdentifier": "ENG", "mtypes": "html,pdfa1b,print", "workTypes": "http://publications.europa.eu/ontology/cdm#legislation_secondary,http://publications.europa.eu/ontology/cdm#regulation,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Commission", "date": "1991-06-24", "subjects": "Thailand,restoration of customs duties,tariff preference", "workIds": "celex:31991R1804,oj:JOL_1991_165_R_0010_016", "eurovoc_concepts": ["Thailand", "restoration of customs duties", "tariff preference"], "url": "http://publications.europa.eu/resource/cellar/6ba5c26f-d8e4-4227-ad75-cfbb9ea463c0", "lang": "eng", "formats": ["html", "pdfa1b", "print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/987288f6-680a-42ac-8f55-6c3505212486", "title": "Council Regulation (EEC) No 2092/91 of 24 June 1991 on organic production of agricultural products and indications referring thereto on agricultural products and foodstuffs", "langIdentifier": "ENG", "mtypes": "html,pdfa1b,print", "workTypes": "http://publications.europa.eu/ontology/cdm#legislation_secondary,http://publications.europa.eu/ontology/cdm#regulation,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "Council of the European Union", "date": "1991-06-24", "subjects": "agricultural product,foodstuff,free movement of goods,labelling,organic farming", "workIds": "celex:31991R2092,oj:JOL_1991_198_R_0001_004", "eurovoc_concepts": ["agricultural product", "foodstuff", "free movement of goods", "labelling", "organic farming"], "url": "http://publications.europa.eu/resource/cellar/987288f6-680a-42ac-8f55-6c3505212486", "lang": "eng", "formats": ["html", "pdfa1b", "print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/561998ec-50c1-4043-b20e-5fc028a4f415", "title": "WRITTEN QUESTION No. 1319/91 by Mr Karel PINXTEN to the Commission. Netherlands banking sector -special annual levy on accounts of non-residents employed in the Netherlands", "langIdentifier": "ENG", "mtypes": "print", "workTypes": "http://publications.europa.eu/ontology/cdm#question_parliamentary,http://publications.europa.eu/ontology/cdm#question_written,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Parliament,PINXTEN", "date": "1991-06-24", "subjects": "Netherlands,bank charges,bank deposit,free movement of capital,migrant worker,residence", "workIds": "celex:91991E001319", "eurovoc_concepts": ["Netherlands", "bank charges", "bank deposit", "free movement of capital", "migrant worker", "residence"], "url": "http://publications.europa.eu/resource/cellar/561998ec-50c1-4043-b20e-5fc028a4f415", "lang": "eng", "formats": ["print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/3b72475a-e716-491f-a4ed-fbd4f5375567", "title": "AMENDED PROPOSAL FOR A COUNCIL DECISION ADOPTING A SPECIFIC RESEARCH AND TECHNOLOGICAL DEVELOPMENT PROGRAMME IN THE FIELD OF HUMAN CAPITAL AND MOBILITY ( 1990-1994 )", "langIdentifier": "ENG", "mtypes": "pdf,pdfa1b,print", "workTypes": "http://publications.europa.eu/ontology/cdm#act_preparatory,http://publications.europa.eu/ontology/cdm#proposal_act,http://publications.europa.eu/ontology/cdm#proposal_other,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Commission", "date": "1991-06-24", "subjects": "industrial development,research and development,research staff,vocational training", "workIds": "celex:51991PC0234,comnat:COM_1991_0234_FIN,oj:JOC_1991_188_R_0011_01", "eurovoc_concepts": ["industrial development", "research and development", "research staff", "vocational training"], "url": "http://publications.europa.eu/resource/cellar/3b72475a-e716-491f-a4ed-fbd4f5375567", "lang": "eng", "formats": ["pdf", "pdfa1b", "print"], "text": "s \n\nCOMMISSION OF THE EUROPEAN COMMUNITIES \n\nC0M(91) 234 final - SYN 270 \n\nBrussels, 24 June 1991 \n\nAmended Proposal for a \n\nCOUNCIL DECISION \n\nadopting a specific research and technological development \n\nprogramme in the field of human capital and mobility \n\n(1990-1994) \n\n(presented by the Commission pursuant to Article 149(3) \n\nof the EEC Treaty) \n\n\fExplanatory Memorandum \n\nOn the 28 May 1990, the Commission presented the \"Proposal for a \nCouncil Decision on a specific research and technological development \nprogramme in the field of Human Capital and Mobility\". Essentially, the amendments adopted by the European Parliament on the \ncontent of the Programme aim to bring its content closer to the \npriority accorded to the strengthening of the Community's Human Capital \nin the area of science and technology. The Parliament also defined the indicative allocation of expenditure \nmentioning, where relevant, the percentage of the expenditure destined \nfor the researchers themselves. Finally, the Parliament took into account certain points resulting from \nthe agreement reached between the Council, the Parliament and the \nCommission on 17 April last (\"Trilogue\"). In accordance with the \"tri logue\" of 17 April, the Commission withdrew \namendments no. 3 (on condition that it is reformulated to conform \nprecisely with the \"tri logue\" of 17 April 1991), 11, 14 (second part) \nand 16. On the other hand, taking into account the agreement of 17 April 1991, \nthe Commission was unable to accept amendments no. 1, 12, 13, 14 (first \npart), 15, 18 (paragraph on staff) or the paragraph on the \ndissemination of knowledge in amendment no. 19. Concerning the specific amendments relating to the scientific and \ntechnical content of the Programme, the Commission accepted amendments \nno. 2, 4 to 10, 17 (provided that the paragraph on the eastern European \ncountries and those on the form and nature of networks are \nreformulated), 18 (except that part which is of a horizontal nature, \nalready quoted). On the other hand the Commission cannot give its \napproval to the part of amendment no. 19 which is concerned with the \nselection procedure for grant recipients, this being impracticable and \nd i ff icu11 to manage. In order to take into account the amendments of the European \nParliament, the Commission is presenting a modified proposal to the \nCouncil based on Article 149, paragraph 3 of the E. E. C. Treaty which \nwill include all of the elements of the agreement of the 17 April. - 1 -\n\nModified proposal for a \n\nCOUNCIL DECISION \n\nadopting a specific research and technological development \n\nprogramme in the field of Human Capital and Mobility \n\n(1990-1994) \n\nTHE COUNCIL OF THE EUROPEAN COMMUNITIES, \n\nHaving regard to the Treaty establishing the European Economic Community, \n\nand In particular Article 130q(2) thereof, \n\nHaving regard to the proposal from the Commission,*1) \n\nIn cooperation with the European Par I lament,(2) \n\nHaving regard to the opinion of the Economic and Social Committee,^3) \n\n(1 ) 0J No C \n(2) OJ No C \n(3) OJ No C 332, 31. 12. 90, p. 45. - 2 -\n\nWhereas, by its Decision 90/221/Euratom, EEC( 4 ), the Council adopted a \n\nthird framework programme for Community activities in the field of research \n\nand technological development (1990-94), specifying inter alia the \n\nactivities to be pursued for the management of intellectual resources \n\n(human capital and mobility); whereas this Decision should be taken in the \n\nlight of the grounds set out in the preamble to that Decision; \n\nWhereas Article 130k of the Treaty stipulates that the framework programme \n\nis to be implemented through specific programmes developed within each \n\nact ivi ty; \n\nWhereas the Joint Research Centre shall contribute through its own \n\nprogramme to the implementation of the aforesaid activities; \n\nWhereas, pursuant to Article 4 and Annex I of Decision 90/221/Euratom, EEC, \n\nthe amount deemed necessary for the whole framework programme includes an \n\namount of 57 million ecus for the centralized dissemination and \n\nexploitation of results, to be divided up in proportion to the amount \n\nenvisaged for each of the actions; \n\nWhereas in the context of this programme an assessment should be made of \n\nthe economic and social impact as well as any eventual technological risks; \n\nWhereas the training of young European scientists is one of the priorities \n\nof the third Framework Programme as is the mobility of research staff and \n\nthe creation of scientific and technological cooperation networks; \n\nWhereas any action designed to exploit the potential of the Community's \n\nintellectual resources must essentially be of benefit to the scientists and \n\nresearchers themselves; \n\n(4) OJ No L 117, 8. 5. 1990, P. 28. - 3 \n\nWhereas a further objective of this programme should be the creation of a \n\n\"researchers' Europe\", through the internationalization of their advanced \n\ntraining, enabling it to take place outside their Member State of origin; \n\nWhereas a suitable application of the subsidiarity principle in this field \n\nimplies the extending of training received by young researchers in their \n\nown country by enabling them, through traineeships made available by the \n\nCommunity to develop a research activity in a team or laboratory of \n\nexcellence situated in another Member State; \n\nWhereas in order to increase and improve the supply of host opportunities, \n\nit would appear useful also to provide for networks of associated teams or \n\nlaboratories of excellence and for possibilities for access to major \n\ninstallat ions; \n\nWhereas the JRC with its laboratories and installations can effectively be \n\nincluded among those organisations capable of playing an important role in \n\nthe training of young researchers; \n\nWhereas it is appropriate to adopt decentralised methods of selecting \n\ncandidates thereby closely associating teams or laboratories of excellence \n\nwith the implementation of this action-, \n\nWhereas the setting up of the network infrastructure is of crucial \n\nimportance for the achievement of the objectives of the Community's R&TD \n\npolicy, since it will consolidate and supplement the structuring effects of \n\nthe thematic programmes; \n\nWhereas the Scientific and Technical Research Committee (CREST) has been \n\nconsul ted, \n\n\fHAS ADOPTED THIS DECISION: \n\n- 4 -\n\nArticle 1 \n\nA specific research and technological development programme for the \n\nEuropean Economic Community in the field of human capital and mobility, as \n\ndefined in Annex I, Is hereby adopted for a period commencing on. (date \n\nof adoption by Council) and ending on 31 December 1994. Article 2 \n\n1. The funds estimated as necessary for the execution of the programme \n\namount to 488. 07 million ecus. This includes funds for personnel and \n\nadministration, of an amount of 15 million ecus. 2. An indicative allocation of funds is set out in Annex II. 3. If the Council takes a decision in application of Article 1(4) of \n\nDecision 90/221/Euratom, EEC, this decision shall be adapted to take \n\ninto account the aforementioned decision. Art icle 3 \n\n1. Rules for the implementation of the programme are set out in Annex III \n\n2. The rate of the Community financial contribution shall be laid down in \n\naccordance with Annex IV to Decision 90/221/Euratom, EEC. - 5 -\n\nArticle 4 \n\n1. During the second year, the Commission shall review the programme and \n\naddress a report to the Council and the European Parliament on the \n\nresults of the review together with a proposal for any necessary \n\nchanges. 2. At the end of the programme the Commission, by means of a group of \n\nindependent experts, shall assess the results. The report of the \n\ngroup, together with the observations of the Commission, shall be \n\npresented to the Council and the European Parliament. 3. The reports mentioned in paragraphs 1 and 2 shall be drawn up having \n\nregard to the objectives set out in Annex I to this Decision and in \n\naccordance with Article 2(4) of Decision 90/221/Euratom, EEC. Art icle 5 \n\n1. The Commission shall assure the implementation of the programme. 2. Contracts concluded by the Commission shall govern the rights and \n\nobligations of each party, in particular the arrangements for the \n\ndissemination, protection and exploitation of research results, in \n\naccordance with the provisions adopted pursuant to the second \n\nsubparagraph of Article 130k of the Treaty. 3. A work programme shall be drawn up in accordance with the aims set out \n\nin Annex I and updated where necessary. It shall set out the detailed \n\nobjectives and types of projects to be undertaken, and the financial \n\narrangements to be made for them. The Commission shall make calls for \n\nproposals for projects on the basis of the work programme. - 6 -\n\nArticle 6 \n\nThe Commission shall be assisted by a Committee composed of representatives \n\nof the Member States and chaired by the representative of the Commission. The representative of the Commission shall submit to the Committee a draft \n\nof the measures to be taken. The Committee shall deliver its opinion \n\nwithin a time limit which the Chairman may lay down according to the \n\nurgency of the matter. The opinion shall be delivered by the majority \n\nprovided for in Article 148(2) of the Treaty as regards adoption of \n\ndecisions which the Council is required to adopt on a proposal from the \n\nCommission. When the Committee votes, the votes of the representatives of \n\nthe Member States shall be weighed as laid down in the abovementioned \n\nArticle. The Chairman shall not vote. The Commission shall adopt the proposed measures when they are In \n\naccordance with the Committee's opinion. When the proposed measures are not in accordance with the Committee's \n\nopinion, or where no opinion is delivered, the Commission shall submit to \n\nthe Council without delay a proposal concerning the measures to be taken. The Council shall act by a qualified majority. If, on the expiry of a period of three months from referral of the matter \n\nto the Councj I , the latter has not acted, the proposed measures shall be \n\nadopted by the Commission. - 7 -\n\nArticle 7 \n\n1. The procedure laid down in Article 6 shall apply: \n\nto the preparation and updating of the work programme referred to in \n\nArticle 5 ( 3 ); \n\nto the contents of the calls for proposals; \n\nto the assessment of the projects provided for in Annex III and the \n\nestimated amount of the Community's contribution to them where this \n\namount exceeds ECU 0. 3 million; \n\nto departures from the general rules set out in Annex III; \n\nto the participation in any project by non-Community organizations and \n\nenterprises referred to in Article 8(1) and ( 2 ); \n\nto any adaptation of the indicative allocation of the amount set out in \n\nAnnex I I ; \n\nto the measures to be undertaken to evaluate the programme; \n\nto arrangements for the dissemination, protection and exploitation of \n\nthe results of research carried out under the programme. 2. Where, pursuant to the third indent of paragraph I, the amount of the \n\nCommunity contribution deemed necessary is less than or equal to ECU \n\n0. 3 million, the Commission shall inform the Committee of the projects \n\nand of the outcome of their assessment. The Commission shall also inform the Committee of the implementation of \n\nthe accompanying measures and concerted action referred to in Annex \n\n\f- 8 -\n\n3. The Commission may, and at the request of the representatives of four \n\nMember States, must consult the Committee on any matter falling within \n\nthe scope of this Decision. Article 8 \n\nThe Commission is authorized to negotiate, in accordance with Article \n\n130n of the Treaty, international agreements with third countries \n\nbelonging to COST, In particular the member countries of EFTA and the \n\ncountries of Central and Eastern Europe, with a view to associating \n\nthem with all or part of the programme. Organizations and enterprises established in third European countries \n\nmay, on the principle of mutual benefit, be admitted to an action \n\nundertaken within the arrangements of this programme. No contracting organization established outside the Community and \n\nparticipating in an action undertaken within the arrangements of the \n\nprogramme shall benefit from the financing granted to the programme by \n\nthe Community. The organization in question shall contribute to the \n\ngeneral administrative costs. Article 9 \n\nThis Decision is addressed to the Member States \n\nDone at \n\nFor the Counc i I , \n\nThe President \n\n\f3 \n\nAnnex \n\nSCIENTIFIC AND TECHNICAL OBJECTIVES AND CONTENT \n\nThis specific programme fully reflects the approach embodied in the Third \nFramework Programme in terms of the scientific and technical goals and the \nunderlying aims which it pursues. Paragraph 6 of Annex II of the Framework Programme forms an integral part \nof the present specific programme. I. Object ives \n\nThe central objective of the programme is to help to increase the \nhuman resources available for research and technological development \nwhich will be needed by the Member States in the coming years, thus \nassisting the creation of a European scientific and technical \nCommunity. Such action should generate added value for the Community which will \nbenefit all the Member States. As a contribution towards strengthening human resources in Central \nand Eastern European countries, the programme shall be open to \nparticipation by these countries. The expenditure arising from \nthe participation of scientists from those countries in this \nprogramme shall be covered from the funds allocated for \ncooperation projects with the countries of Central and Eastern \nEurope. The action should be organized in a transversal manner in accordance \nwith 'bottom-up' management, focused on two main aims; the training \nand mobility of staff and the formation of networks. In the pursuit of these objectives account will be taken of the \nexperience acquired in the current SCIENCE, SPES and large-scale \nScientific Facilities programmes. The activities carried out as part \nof these programmes will be redirected and developed in accordance \nwith the spirit of this programme and taking into account its central \nobject i ve. The activities will therefore be adapted so that they may play a more \nimportant role in the training and specialization of young European \nscientists attached to university laboratories and public or private \nresearch inst i tutes. \u2022 \n\nThe present specific programme will be developed by means of the \nfoI low i ng act i v i t i es : \n\n- the development of a Community system of research fellowships \n\n- the creation and development of scientific and technical \n\ncooperation networks \n\n\fJO \n\n- measures to promote the access of researchers to large-scale \n\nscientific and technical facilities \n\n- the launching of a Community system of 'R&D Euroconferences'. The various activities will be carried out with a view to increasing \nthe mobility of Community scientists, in particular young researchers \nat post-doctoral level. Scientists shall be considered as being at \npost-doctoral level if they have had at least six years' higher \neducation and hold a doctorate or equivalent degree, or, if not, have \nhad two years' research experience following a post-graduate course. Young researchers at doctoral level may also benefit from the \nCommunity action carried out under this programme in the case of \nrecently developed scientific disciplines in which there is a \nshortage of scientists at post-doctoral level. Support under this programme may also be given to established \nresearchers who need specific training in a field other than their \nown in the context of the retraining requirements demanded by the \nrapid pace of scientific and technological change, or in order to \napply their scientific knowledge in new areas where their \nparticipation is required. The building-up of the infrastructure of networks envisaged under \nthis programme is of crucial importance for the achievement of the \nobjectives of Community R&TD policy, since it will consolidate and \nadd to the structuring effects of the thematic programmes. Together, these networks must extend across all the regions of the \nCommunity countries, with particular reference to the special needs \nof the peripheral areas and the at present least-favoured regions. This will facilitate the establishment in those regions of a highly \nqualified scientific and technological potential. To this end, \nencouragement shall be given to the setting up in such regions of new \nresearch teams centred on young scientists trained abroad. The Human Capital activities are to complement rather than replace \nthe training carried out under the specific programmes and other \nCommunity training activities such as COMETT, EUROTECNET, etc. Most of the financial resources available will be devoted to the \ndevelopment of human resources. In accordance with this aim the \nresearchers themselves will be the main beneficiaries of Community \naid. Specific aid shall be granted to facilitate the execution of \nR&D projects carried out by researchers receiving Community aid in \nthe organisations receiving them, the training or scientific and \ntechnological cooperation networks or in a large-scale facility. M \n\nCommunity activities and their funding \n\n1. The development of a Community system of research fellowships: \n\nR&TD teams, laboratories or centres of recognized quality for the \ntraining or specialization of researchers, may receive separately \nor Jointly (in the case of a network), young scientists in \naccordance with the procedures described in Annex III. To this end the Community shall grant financial aid to specific \nR&TD teams or laboratories or training networks consisting of a \nnumber of R&TD teams and laboratories covering a number of \nCommunity countries, to allow them to award research fellowships \nto researchers who are to undergo training or specialization there \nby participating in R&D work. In general these fellowships, to \nbe known by the name of a man or a woman who have made an \nimportant contribution to the development of European Culture will \nbe awarded in general for a period of two years for researchers at \na doctoral or post-doctoral level. In certain cases and with a view to ensuring a balanced \ngeographical spread of human resources, the two-year fellowships \nmay be extended for a further year in order to enable researchers \nfrom less-favoured regions to return to those regions and to \nconsolidate the knowledge acquired. The fellowships for established researchers shall last a number of \nmonths (less than one year). The training of researchers shall consist in their participation \nin practical research projects carried out in teams or research \nlaboratories. In order to prevent a 'brain drain' from the disadvantaged regions \nof the Community and to increase the effectiveness of training, \nCommunity financial support may also be granted to an experienced \nresearcher (whether a university researcher or not) to enable him \nto carry out R&D projects in a centre located in one of the said \nregions so as to train a number of young scientists locally. This experienced researcher (\"visiting professor\" charged with the \nresearch) shall be from a Community country other than that of the \nregion concerned. The purpose of this Community system of research fellowships is to \ncomplete and enhance the training activities carried out under \nother specific programmes, thus laying the foundation of the \nEuropean scientific and technical community. A \n\nThe purpose of the grant is to enable the researcher concerned to \ncover subsistance and mobility related expenses. Special \nexpenditure incurred by the researcher concerned in the course of \npublishing the findings of the research may be reimbursed. grant also includes a contribution to the research expenses in the \nreceiving laboratory and the expenses incurred by the laboratory \nin administering the grant. If the researcher receiving the grant \nis a scientist from an industrial firm seconded to a public \nresearch laboratory in another Community country, the amount of \nthe grant shall be limited to covering the incidental expenses \narising from his secondment and a contribution to research \nexpenditure in the host laboratory. The \n\n2. Assistance for the creation and development of scientific and \n\ntechnical cooperation networks \n\nThe scientific and technical cooperation networks shall consist in \ngeneral of at least five research laboratories or teams in at \nleast three Community countries working jointly on one or more R&D \nprojects. The networks shall consist of either public or private research \nlaboratories and teams in the Member States, to enable the best of \nthem to exert as much influence as possible for the benefit of ail \nthe others. In particular, they shall encourage the interaction \nof different disciplines, the combining of various technologies \nand the application of techniques from one field in other fields. If the innovative or complex nature of a scientific area so \nrequires, encouragement shall be given to the setting-up of new \nnetworks consisting of research teams or laboratories with \nadd i t ionaI capac i ty. In order to assist the consolidation and development of scientific \nand\" technical cooperation networks, Community funding shall cover \nexpenses incurred in engaging researchers outside the network \nneeded to complete the research project, incidental costs \nresulting from international cooperation (travel, accommodation \nand joint meetings), a contribution to research expenditure \n(experimental products, special purchases and the use of \nlarge-scale facilities if required) and administrative costs. If a researcher trained under this programme sets up a new \nresearch team in a disadvantaged region of the Community, \nCommunity aid may include funds to equip the team if it joins a \nscientific and technical cooperation network supported by the \nCommunity. This specific programme will pursue and further develop the \nactivities already being carried out under the SCIENCE and SPES \nprogrammes, including them into a broader activity and giving them \na new direction in order to take into account the principal \nobjective of this specific programme. The follow up of SPES action \nwill be expanded to include the human and social sciences. M> \n\n3. Establishment of access to large scale scientific and technical \n\nfaciIi t ies \n\nThe purpose of this activity is to promote access for Community \nresearchers to large-scale scientific and/or technical facilities \nof great importance already existing in the Community. In \nparticular, it will be geared to increasing the training \nopportunities offered to European researchers by enabling them to \nbecome familiar with the use of such facilities in the execution \nof research projects. A 'large scale facility' is understood as being an establishment \nwhich requires substantial initial investment or a group of \nsmaller establishments which have complementary capacities. The Community financial aid granted to selected facilities will be \ndesigned to cover the costs arising from giving new scientists \naccess to them (travel, subsistence expenses and user fees). The aid will not be granted to purchase durable equipment or \nconstruct infrastructure. 4. Euroconferences \n\nThe aim of this activity is to enable young scientists to take \npart in especially important high-level conferences - meetings of \nscientists on subjects at the cutting edge of scientific or \ntechnical knowledge, at which specialists present and discuss \ntheir work and ideas. Participation in such conferences will enable promising young \nscientists to keep up to date with the advance of knowledge in a \npart icular field. The-Community's financial support will cover the participation \nexpenses (registration, travel and subsistence) of young \nscientists attending the conferences, with priority being given to \nthose from less-favoured regions. Scientific and technological sectors \n\nBy virtue of its horizontal nature, the present programme will cover \nall scientific and technological sectors. Thus it may in particular \ndeal with strategic projects and projects drawn up in connection with \nthe research sectors referred to in the first five activities \nmentioned in Article 1 of the third Framework Programme which are \nspecified in Annex II. thereto. Nevertheless, the training measures carried out under this programme \nshall not be directly determined by the objectives of other specific \nprogrammes. This means that, in the sectors covered by the other \nspecific programmes, measures may be carried out under this \nprogramme, but such measures must be in addition to the specific \ntraining carried out under the specific programmes themselves and any \nduplication of effort must be avoided. M \n\nIn accordance with the open nature of the programme, the subjects to \nbe included in basic research in the exact and natural sciences, \nincluding mathematics, will not be defined 'a priori'. With regard to the social and human sciences, the programme shall \nessentially deal with training in projects likely to improve or \nenhance European competitiveness and bring about sustainable economic \ndevelopment, in fields such as the economic and management sciences, \nincluding environmental economics, as well as the interfaces between \nscience, technology and society. Attention shall also be given to \nproblems connected with the general public's understanding and \nacceptance of science and technology. M s~ \n\nANNEX I I \n\nIndicative allocation of expenditure, specifying, where relevant, the \npercentage to be allocated to expenditure related to the researchers \nthemselves. % of total \n\nexpenditure \nrelated to the \nresearchers \n\n1. Training \n\n2. Networks \n\n2. 1 \n\nDevelopment of networks \n\n2. 2 \n\nTeams of young researchers \n\n3. Access for researchers to \nlarge-scale facilities \n\n4. Euroconferences \n\n58 \n\n30 \n\n24 \n\n6 \n\n10 \n\n2 \n\n90% \n\n75% \n\nNote: Personnel expenses come to 9. 5 million Ecus and the expenses of \n\nadministration to 5. 5 million Ecus. An additional sum of 25 million \nEcus will be destined for JRC activities in the field of human \ncapital and mobility, including a sum of 0. 25 million Ecus \nrepresenting the contribution of the JRC to centralised action for \ndissemination under this specific programme. A sum of 4. 93 million \nEcus, not included in the 488. 07 million Ecus for the programme, wil \nbe res'erved as a specific contribution to the Human Capital and \nMobility programme, for centralised action for the dissemination and \nvalorisation of the results. A \n\nANNEX I \n\nRULES FOR IMPLEMENTING THE PROGRAMME \n\n1. 2. The Commission shall Implement the programme on the basis of the \ncontent described in Annex I. The rules for implementing the programme, referred to in Article 3, \ncomprise training actions and accompanying measures. I. DEVELOPMENT OF A COMMUNITY SYSTEM OF RESEARCH FELLOWSHIPS \n\nParticipants in this action will comprise two categories: \n\n(I) \n\nindividual recipients of training fellowships; \n\n(II) \n\nlaboratories or research teams receiving fellowship \nrecipients. The individual fellowship recipients defined in (I) must be natural persons \nestablished in the Community. The laboratories or research teams defined \nin (ii) must be themselves based within the framework of legal entitles \nestablished in the C o m m u n ! t y C ), such as research centres, academic \ninstitutions, scientific foundations having their own research activities \nor industrial firms. The participants in the training actions shall be chosen on the basis of a \nannual procedure aimed at matching host organisations with applicant \nresearchers. The procedure shall comprise two successive calls for proposals which will \nbe published-in the Official Journal of the European Communities. (1) \n\nFor the purposes of this programme, the European Organization for \nNuclear Research (CERN), based in Geneva but with the major part of \nits installations on Community territory, may be a participant in the \ncontracts. M \n\nThe first call for proposals shall be made in accordance with the work \nprogramme cited in Article 5 paragraph 3. It shall outline the scientific \ndomains considered as having priority. It shall refer to three categories \nof organisations which may receive fellowship recipients: \n\n(i) \n\nindividual research teams or laboratories; \n\n(II) \n\nresearch teams or laboratories as outlined in (I) grouped to \nform intra-European networks linked for the purposes of a \nscientific and technical theme or a scientific and technical \nproject; such a network shall in general involve at least \nfive teams or research laboratories in at least three Member \nStates of the Community; \n\n(iii) \n\ninstitutions offering large-scale, unique research \nfaciIities. The proposals received from organisations which may receive fellowship \nrecipients shall be selected by the Commission in respect of the \narrangements of Articles 6 and 7 and published In the Official Journal of \nthe European Communities. The second call for proposals shall be primarily addressed to young \nresearchers at a post-doctoral level to fill positions made available \nfollowing the first call outlined above. Criteria for the selection of proposals shall include: the curriculum \nvitae of the researcher candidate; the scientific or technological quality \nof the intended project with respect to the EC research policy-, the impact \non cohesion and the suitability and quality of the hosting research team. The selection shall be decentralized and carried out by the teams or \nlaboratories concerned. The Commission shall monitor the Community \nselection criteria in particular as regards Community cohesion. The terms given to the recipients of Community training fellowships shall \nbe equal for all (allowances, mobility expenses, social insurance), \nirrespective-of the category of host organisation, and taking into account \nthe cost of living in the host countries. II. SCIENTIFIC AND TECHNICAL COOPERATION NETWORKS \n\nThe participants in scientific and technical development actions are \nnetworks of research laboratories undertaking joint research and \ndevelopment work. The number of Member States taking part in each network \nshould be as high as possible. In no case shall a network have fewer than \nfive public or private laboratories from a minimum of three Member States. The association of recognized high-quality laboratories and promising \nlaboratories situated in the less-favoured regions of the Community shall \nbe particularly sought. It will allow researchers working in isolation in \nan advanced area to unite their efforts. A \n\nThe selection of proposals shall be made by the Commission in respect of \nthe arrangements of Articles 6 and 7 from a call for proposals which shall \nbe open continuously. III. ACCESS TO LARGE-SCALE FACILITIES \n\nThe participants in the actions planned to favour access for researchers to \nlarge-scale facilities In the Community are those organizations having such \nfacilities at their disposal or a group of smaller facilities which \ntogether have the capacity of a large-scale facility. The beneficiaries of Community support shall be of two types: \n\n- scientists wishing to have access to the facilities for whom \ntravel, subsistence and cost of using the equipment will be \ncovered. - organisations having such facilities at their disposal. The selection procedure for choosing beneficiary organizations shall \ncomprise two successive calls for proposals which shall be published in the \nOfficial Journal of the European Communities. The first call for proposals shall be addressed to centres having large-\nscale scientific and technical facilities at their disposal. The proposals \nreceived in response shall be accompanied by expression of interest from \npotential users. The selection of proposals shall be made by the Commission in respect of \nthe arrangements of Articles 6 and 7. The second call for proposals shall be published w. ith the list of \norganizations pre-selected according to the previous procedure; it will aim \nto obtain joint equipment-user proposals. The final selection shall b\u00e8 made by the Commission in respect of the \narrangements-of Articles 6 and 7. The extent of Community support shall be based on the quality and unique \nfeatures of the facility; interest shown by potential users; cost/benefit \nratio of Community support; value for the Community in terms of Importance \nof the facility in respect of the Community's overall scientific and \ntechnicaI potent ial. IV. EUROCONFERENCES \n\nThe participants in the action for the development of Euroconferences shall \nbe organizations, scientific associations or learned societies organizing a \nseries of high-level meetings for debating the latest work undertaken in \nadvanced scientific or technical areas. Specific training of promising \nyoung researchers allowing them to become familiar with the latest \ndevelopments in the sector shall also be carried out. f\u00e8 \n\nThe procedure shall comprise a call for proposals defining the priority \nscientific areas selected for the work programme as cited in Article 5 \nparagraph 3. The selection of proposals shall be made by the Commission In respect of \nthe arrangements of Articles 6 and 7. V. DISSEMINATION OF THE RESULTS \n\nThe dissemination of the results of the training actions shall be carried \nout within the specific programme as well as through the centralised action \nof dissemination and exploitation, pursuant to the Decision referred to in \nArticle 4, third paragraph of Decision 90/221/Euratom, EEC. ISSN 0254-1475 \n\nCOM(91) 234 final \n\nDOCUMENTS \n\nEN \n\n15 04 \n\nCatalogue number : CB-CO-91-281-EN-C \n\nISBN 92-77-73738-7 \n\nOffice for Official Publications of the European Communities \n\nL-2985 Luxembourg"} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/2a102584-3393-479d-98e7-e65028522356", "title": "WRITTEN QUESTION No. 1347/91 by Mr Elio DI RUPO to the Commission. 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"http://publications.europa.eu/ontology/cdm#decision,http://publications.europa.eu/ontology/cdm#legislation_secondary,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Commission", "date": "1991-06-21", "subjects": "aquaculture,fishery management,fishery research,fishing industry,inter-company cooperation", "workIds": "celex:31991D0327,oj:JOL_1991_181_R_0115_013", "eurovoc_concepts": ["aquaculture", "fishery management", "fishery research", "fishing industry", "inter-company cooperation"], "url": "http://publications.europa.eu/resource/cellar/30c8af04-6a40-4291-9a85-b13c54f864c1", "lang": "eng", "formats": ["html", "pdfa1b", "print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/c3cfb12a-d71d-49a4-b621-f4aa77ab1650", "title": "Commission Regulation (EEC) No 1958/91 of 21 June 1991 amending Regulation (EEC) No 1871/87 laying down detailed rules for implementing Council Regulation (EEC) No 4028/86 as regards schemes to encourage exploratory fishing", "langIdentifier": "ENG", "mtypes": "html,pdfa1b,print", "workTypes": "http://publications.europa.eu/ontology/cdm#legislation_secondary,http://publications.europa.eu/ontology/cdm#regulation,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Commission", "date": "1991-06-21", "subjects": "financial aid,fishery research,fishing industry,investment promotion", "workIds": "celex:31991R1958,oj:JOL_1991_181_R_0053_010", "eurovoc_concepts": ["financial aid", "fishery research", "fishing industry", "investment promotion"], "url": "http://publications.europa.eu/resource/cellar/c3cfb12a-d71d-49a4-b621-f4aa77ab1650", "lang": "eng", "formats": ["html", "pdfa1b", "print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/6fbc635a-f31e-4496-ba64-e1243b35a2eb", "title": "Commission Regulation (EEC) No 1956/91 of 21 June 1991 laying down detailed rules for the application of Council Regulation (EEC) No 4028/86 as regards measures to encourage the creation of joint enterprises", "langIdentifier": "ENG", "mtypes": "html,pdfa1b,print", "workTypes": "http://publications.europa.eu/ontology/cdm#legislation_secondary,http://publications.europa.eu/ontology/cdm#regulation,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Commission", "date": "1991-06-21", "subjects": "EU policy,financial aid,fishing industry,market", "workIds": "celex:31991R1956,oj:JOL_1991_181_R_0001_008", "eurovoc_concepts": ["EU policy", "financial aid", "fishing industry", "market"], "url": "http://publications.europa.eu/resource/cellar/6fbc635a-f31e-4496-ba64-e1243b35a2eb", "lang": "eng", "formats": ["html", "pdfa1b", "print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/8e51ad28-751e-48ac-b2ed-787c209899a1", "title": "Resolution of the Council and of the representatives of the Governments of the Member States, meeting within the Council of 21 June 1991 on a Community programme of action on road safety", "langIdentifier": "ENG", "mtypes": "html,pdfa1b,print", "workTypes": "http://publications.europa.eu/ontology/cdm#act_other_oj_l,http://publications.europa.eu/ontology/cdm#legislation_complementary,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "Council of the European Union,Representatives of the Governments of the Member States", "date": "1991-06-21", "subjects": "accident prevention,action programme,common transport policy,road safety,transport safety", "workIds": "celex:41991X0709,oj:JOC_1991_178_R_0001_01", "eurovoc_concepts": ["accident prevention", "action programme", "common transport policy", "road safety", "transport safety"], "url": "http://publications.europa.eu/resource/cellar/8e51ad28-751e-48ac-b2ed-787c209899a1", "lang": "eng", "formats": ["html", "pdfa1b", "print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/a7523e51-c2bc-4c55-b466-7abc7a142bca", "title": "91/341/EEC: Council Decision of 20 June 1991 on the adoption of a programme of Community action on the subject of the vocational training of customs officials (Matthaeus programme)", "langIdentifier": "ENG", "mtypes": "html,pdfa1b,print", "workTypes": "http://publications.europa.eu/ontology/cdm#decision,http://publications.europa.eu/ontology/cdm#legislation_secondary,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "Council of the European Union", "date": "1991-06-20", "subjects": "action programme,civil servant,customs,single market,vocational training", "workIds": "celex:31991D0341,oj:JOL_1991_187_R_0041_052", "eurovoc_concepts": ["action programme", "civil servant", "customs", "single market", "vocational training"], "url": 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policy", "fishing agreement"], "url": "http://publications.europa.eu/resource/cellar/1d5b2df9-a3ed-475d-b0c1-1412b9d91a91", "lang": "eng", "formats": ["html", "pdfa1b", "print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/bf8916b0-0ad0-4740-a5d4-0fefd3257534", "title": "Question No 52 by Mr LATAILLADE (H-0622/91) to the Commission: Drugs in sport", "langIdentifier": "ENG", "mtypes": "print", "workTypes": "http://publications.europa.eu/ontology/cdm#question_parliamentary,http://publications.europa.eu/ontology/cdm#question_parliamentary_question_time,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Parliament,LATAILLADE", "date": "1991-06-20", "subjects": "code of conduct,sport", "workIds": "celex:91991H000622", "eurovoc_concepts": ["code of conduct", "sport"], "url": "http://publications.europa.eu/resource/cellar/bf8916b0-0ad0-4740-a5d4-0fefd3257534", "lang": "eng", "formats": ["print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/fcb0e83c-5bce-4344-9fe5-52b467f2895e", "title": "Council Directive 91/342/EEC of 20 June 1991 amending Directive 83/643/EEC on the facilitation of physical inspections and administrative formalities in respect of the carriage of goods between Member States", "langIdentifier": "ENG", "mtypes": "html,pdfa1b,print", "workTypes": "http://publications.europa.eu/ontology/cdm#directive,http://publications.europa.eu/ontology/cdm#legislation_secondary,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "Council of the European Union", "date": "1991-06-20", "subjects": "carriage of goods,cross-border transport,customs formalities", "workIds": "celex:31991L0342,oj:JOL_1991_187_R_0047_053", "eurovoc_concepts": ["carriage of goods", "cross-border transport", "customs formalities"], "url": 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"eurovoc_concepts": ["Switzerland", "agreement (EU)", "freedom to provide services", "insurance", "right of establishment"], "url": "http://publications.europa.eu/resource/cellar/ab83611d-3199-4977-811b-5b43d1e142c2", "lang": "eng", "formats": ["fmx4", "html", "pdfa1b", "print", "xhtml"], "text": "L_1991205EN. 01004801. xml\n\n\n\n\n\n\n\n\n\n\n27. 7. 1991\u00a0\u00a0\u00a0\n\n\nEN\n\n\nOfficial Journal of the European Communities\n\n\nL 205/48\n\n\n\n\n\nCOUNCIL DIRECTIVE\nof 20 June 1991\non the implementation of the Agreement between the European Economic Community and the Swiss Confederation concerning direct insurance other than life assurance\n(91/371/EEC)\nTHE COUNCIL OF THE EUROPEAN COMMUNITIES,\nHaving regard to the Treaty establishing the European Economic Community, and in particular the last sentence of Article 57 (2) and Article 235 thereof,\nHaving regard to the proposal from the Commission\u00a0(1),\nIn cooperation with the European Parliament\u00a0(2),\nHaving regard to the opinion of the Economic and Social Committee\u00a0(3),\nWhereas an Agreement between the European Economic Community and the Swiss Confederation concerning direct insurance other than life assurance was signed at Luxembourg on 10 October 1989;\nWhereas one of the effects of that Agreement is to impose, in relation to insurance undertakings which have their head offices in Switzerland, legal rules different from those applicable, under Title III of Council Directive 73/239/EEC of 24 July 1973 on the coordination of laws, regulations and administrative provisions relating to the taking up and pursuit of the business of direct insurance other than life assurance\u00a0(4), to agencies and branches established within the Community of undertakings whose head offices are outside the Community;\nWhereas the coordinated rules relating to the pursuit of these activities within the Community by the Swiss undertakings subject to the provisions of the said Agreement must take effect on the same date in all the Member States of the Community; whereas that Agreement will not come into force until the first day of the calendar year following the date on which the instruments of approval are exchanged,\nHAS ADOPTED THIS DIRECTIVE:\nArticle 1\nThe Member States shall amend their national provisions to comply with the Agreement between the European Economic Community and the Swiss Confederation within a period of 24 months following the notification of this Directive. They shall immediately inform the Commission thereof. When Member States adopt these measures, they shall contain a reference to this Directive or shall be accompanied by such reference on the occasion of their official publication. The methods of making such a reference shall be laid down by the Member States. Article 2\nThe Member States shall specify in their national provisions that the amendments thereto made pursuant to the Agreement shall not come into force until the date on which the Agreement enters into force. Article 3\nThis Directive is addressed to the Member States. Done at Luxembourg, 20 June 1991. For the Council\n\n\nThe President\n\nR. GOEBBELS\n\n\n\n\n(1)\u00a0\u00a0OJ No C 53, 5. 3. 1990, p. 45. (2)\u00a0\u00a0OJ No C 72,18. 3. 1991, p. 175, and Decision of 12 June 1991 (not yet published in the Official Journal). (3)\u00a0\u00a0OJ No C 56, 7. 3. 1990, p. 27. (4)\u00a0\u00a0OJ No L 228, 16. 8. 1973, p. 3"} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/805c63fb-05cf-4da2-8a86-1da68aeb43fc", "title": "Question No 45 by Mr McMAHON (H-0616/91) to the Commission: Application for membership by Malta and Cyprus", "langIdentifier": "ENG", "mtypes": "print", "workTypes": "http://publications.europa.eu/ontology/cdm#question_parliamentary,http://publications.europa.eu/ontology/cdm#question_parliamentary_question_time,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Parliament,MCMAHON", "date": "1991-06-20", "subjects": "Cyprus,EC opinion,Malta,accession to the European Union", "workIds": "celex:91991H000616", "eurovoc_concepts": ["Cyprus", "EC opinion", "Malta", "accession to the European Union"], "url": "http://publications.europa.eu/resource/cellar/805c63fb-05cf-4da2-8a86-1da68aeb43fc", "lang": "eng", "formats": ["print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/aaf8b539-7f8c-42b4-8818-7f7471aefeac", "title": "Council Regulation (EEC) No 2155/91 of 20 June 1991 laying down particular provisions for the application of Articles 37, 39 and 40 of the Agreement between the European Economic Community and the Swiss Confederation on direct insurance other than life assurance", "langIdentifier": "ENG", "mtypes": "fmx4,html,pdfa1b,print,xhtml", "workTypes": "http://publications.europa.eu/ontology/cdm#legislation_secondary,http://publications.europa.eu/ontology/cdm#regulation,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "Council of the European Union", "date": "1991-06-20", "subjects": "Switzerland,agreement (EU),insurance", "workIds": "celex:31991R2155,oj:JOL_1991_205_R_0001_005", "eurovoc_concepts": ["Switzerland", "agreement (EU)", "insurance"], "url": "http://publications.europa.eu/resource/cellar/aaf8b539-7f8c-42b4-8818-7f7471aefeac", "lang": "eng", "formats": ["fmx4", "html", "pdfa1b", "print", "xhtml"], "text": "L_1991205EN. 01000101. xml\n\n\n\n\n\n\n\n\n\n\n27. 7. 1991\u00a0\u00a0\u00a0\n\n\nEN\n\n\nOfficial Journal of the European Communities\n\n\nL 205/1\n\n\n\n\n\nCOUNCIL REGULATION (EEC) No 2155/91\nof 20 June 1991\nlaying down particular provisions for the application of Articles 37, 39 and 40 of the Agreement between the European Economic Community and the Swiss Confederation on direct insurance other than life assurance\nTHE COUNCIL OF THE EUROPEAN COMMUNITIES,\nHaving regard to the Treaty establishing the European Economic Community, and in particular the last sentence of Article 57 (2) and Article 235 thereof,\nHaving regard to the proposal from the Commission\u00a0(1),\nIn cooperation with the European Parliament\u00a0(2),\nHaving regard to the opinion of the Economic and Social Committee\u00a0(3),\nWhereas an Agreement between the European Economic Community and the Swiss Confederation on direct insurance other than life assurance was signed at Luxembourg on 10 October 1989;\nWhereas under that Agreement a Joint Committee is to be set up to administer the Agreement, ensure that it is properly implemented and take decisions in the circumstances provided for therein; whereas the Community's representatives on the Joint Committee have to be designated and particular provisions have to be adopted concerning the determination of the Community's positions in the Committee,\nHAS ADOPTED THIS REGULATION:\nArticle 1\nThe Community shall be represented on the Joint Committee provided for in Article 37 of the Agreement by the Commission, assisted by representatives of the Member States. Article 2\nThe Community's position in the Joint Committee shall be adopted by the Council acting by a qualified majority on a proposal from the Commission. With regard to the adoption of decisions to be taken by the Joint Committee pursuant to Articles 37, 39 and 40 of the Agreement, the Commission shall submit proposals to the Council, which shall act by a qualified majority. Article 3\nThis Regulation shall enter into force on the day following that of its publication in the Official Journal of the European Communities. This Regulation shall be binding in its entirety and directly applicable in all Member States. Done at Luxembourg, 20 June 1991. For the Council\n\n\nThe President\n\nR. GOEBBELS\n\n\n\n\n(1)\u00a0\u00a0OJ No C 53, 5. 3. 1990, p. 46. (2)\u00a0\u00a0OJ No C 72, 18. 3. 1991, p. 175, and Decision of 12 June 1991 (not yet published in the Official Journal). (3)\u00a0\u00a0OJ No C 56, 7. 3. 1990, p. 27"} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/84fad8db-6b3e-407c-b905-420cd84bbda0", "title": "Report on social developments : Year 1989.", "langIdentifier": "ENG", "mtypes": "pdfa1b,print_sftcv", "workTypes": "http://publications.europa.eu/ontology/cdm#publication_general,http://publications.europa.eu/ontology/cdm#work", "authors": "European Commission", "date": "1991-06-20", "subjects": "EU Member State,European social policy,employment structure,labour relations,occupational safety,vocational training,working conditions", "workIds": "PUB_CM7091354", "eurovoc_concepts": ["EU Member State", "European social policy", "employment structure", "labour relations", "occupational safety", "vocational training", "working conditions"], "url": "http://publications.europa.eu/resource/cellar/84fad8db-6b3e-407c-b905-420cd84bbda0", "lang": "eng", "formats": ["pdfa1b", "print_sftcv"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/45ecd85a-d320-4ca4-9bc8-098498e8c370", "title": "91/370/EEC: Council Decision of 20 June 1991 on the conclusion of the Agreement between the European Economic Community and the Swiss Confederation concerning direct insurance other than life assurance", "langIdentifier": "ENG", "mtypes": "fmx4,html,pdfa1b,print,xhtml", "workTypes": "http://publications.europa.eu/ontology/cdm#decision,http://publications.europa.eu/ontology/cdm#legislation_secondary,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "Council of the European Union", "date": "1991-06-20", "subjects": "Switzerland,agreement (EU),insurance", "workIds": "celex:31991D0370", "eurovoc_concepts": ["Switzerland", "agreement (EU)", "insurance"], "url": "http://publications.europa.eu/resource/cellar/45ecd85a-d320-4ca4-9bc8-098498e8c370", "lang": "eng", "formats": ["fmx4", "html", "pdfa1b", "print", "xhtml"], "text": "L_1991205EN. 01000201. xml\n\n\n\n\n\n\n\n\n\n\n27. 7. 1991\u00a0\u00a0\u00a0\n\n\nEN\n\n\nOfficial Journal of the European Communities\n\n\nL 205/2\n\n\n\n\n\nCOUNCIL DECISION\nof 20 June 1991\non the conclusion of the Agreement between the European Economic Community and the Swiss Confederation concerning direct insurance other than life assurance\n(91/370/EEC)\nTHE COUNCIL OF THE EUROPEAN COMMUNITIES,\nHaving regard to the Treaty establishing the European Economic Community, and in particular the last sentence of Article 57 (2) and Article 235 thereof,\nHaving regard to the proposal from the Commission\u00a0(1),\nIn cooperation with the European Parliament\u00a0(2),\nHaving regard to the opinion of the Economic and Social Committee\u00a0(3),\nWhereas it is desirable to approve the Agreement with Switzerland concerning direct insurance other than life assurance, signed at Luxembourg on 10 October 1989,\nHAS DECIDED AS FOLLOWS:\nArticle 1\nThe Agreement between the European Economic Community and the Swiss Confederation concerning direct insurance other than life assurance is hereby approved on behalf of the Community. The text of the Agreement is attached to this Decision. Article 2\nThe President of the Council shall take the measures necessary for the exchange of instruments provided for in Article 44 of the Agreement\u00a0(4). Done at Luxembourg, 20 June 1991. For the Council\n\n\nThe President\n\nR. GOEBBELS\n\n\n\n\n(1)\u00a0\u00a0OJ No C 53, 5. 3. 1990, p. 1. (2)\u00a0\u00a0OJ No C 72, 18. 3. 1991, p. 175, and Decision of 12 June 1991 (not yet published in the Official Journal). (3)\u00a0\u00a0OJ No C 56, 7. 3. 1990, p. 27. (4)\u00a0\u00a0The date of entry into force of the Agreement will be published in the Official Journal of the European Communities by the General-Secretariat of the Council"} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/87b21e76-bc00-4197-947a-b3d4a718283b", "title": "Council Directive 91/368/EEC of 20 June 1991 amending Directive 89/392/EEC on the approximation of the laws of the Member States relating to machinery", "langIdentifier": "ENG", "mtypes": "html,pdfa1b,print", "workTypes": "http://publications.europa.eu/ontology/cdm#directive,http://publications.europa.eu/ontology/cdm#legislation_secondary,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "Council of the European Union", "date": "1991-06-20", "subjects": "dangerous substance,industrial hazard,occupational accident,occupational safety,storage", "workIds": "celex:31991L0368,oj:JOL_1991_198_R_0016_005", "eurovoc_concepts": ["dangerous 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"ENG", "mtypes": "html,pdfa1b,print", "workTypes": "http://publications.europa.eu/ontology/cdm#legislation_secondary,http://publications.europa.eu/ontology/cdm#regulation,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Commission", "date": "1991-06-19", "subjects": "EU waters,conservation of fish stocks,fishing net,fishing regulations,fishing vessel,technical standard", "workIds": "celex:31991R1752,oj:JOL_1991_157_R_0016_021", "eurovoc_concepts": ["EU waters", "conservation of fish stocks", "fishing net", "fishing regulations", "fishing vessel", "technical standard"], "url": "http://publications.europa.eu/resource/cellar/77d02b94-6758-4e7e-8694-d809215947f1", "lang": "eng", "formats": ["html", "pdfa1b", "print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/1a2e36df-4502-4653-ad54-65202431fd82", "title": "Consolidated version of the Rules of Procedure of the Court of Justice of 19\u00a0June 1991", "langIdentifier": "ENG", "mtypes": "fmx4,pdfa1a,print,xhtml", "workTypes": "http://publications.europa.eu/ontology/cdm#arrangement_institutional,http://publications.europa.eu/ontology/cdm#legislation_secondary,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "Court of Justice of the European Union", "date": "1991-06-19", "subjects": "Court of Justice of the European Union,operation of the Institutions,rules of procedure", "workIds": "celex:32010Q0702(01),oj:JOC_2010_177_R_0001_01", "eurovoc_concepts": ["Court of Justice of the European Union", "operation of the Institutions", "rules of procedure"], "url": "http://publications.europa.eu/resource/cellar/1a2e36df-4502-4653-ad54-65202431fd82", "lang": "eng", "formats": ["fmx4", "pdfa1a", "print", "xhtml"], "text": "C_2010177EN. 01000101. xml\n\n\n\n\n\n\n\n\n\n\n2. 7. 2010\u00a0\u00a0\u00a0\n\n\nEN\n\n\nOfficial Journal of the European Union\n\n\nC 177/1\n\n\n\n\n\n\n\n\n CONSOLIDATED VERSION OF THE\n \n\n RULES OF PROCEDURE OF THE COURT OF JUSTICE\n \n(2010/C 177/01)\n\nThis edition consolidates:\nthe Rules of Procedure of the Court of Justice of the European Communities of 19\u00a0June 1991 (OJ L\u00a0176 of 4. 7. 1991, p. 7, and OJ L\u00a0383 of 29. 12. 1992, p. 117 (corrigenda)) and the amendments resulting from the following measures:\n\n\n\n\n\n\n1. Amendments to the Rules of Procedure of the Court of Justice of the European Communities of 21\u00a0February 1995 (OJ L\u00a044 of 28. 2. 1995, p. 61),\n\n\n\n\n\n\n\n\n\n\n2. Amendments to the Rules of Procedure of the Court of Justice of the European Communities of 11\u00a0March 1997 (OJ L\u00a0103 of 19. 4. 1997, p. 1, and OJ L\u00a0351 of 23. 12. 1997, p. 72 (corrigenda)),\n\n\n\n\n\n\n\n\n\n\n3. Amendments to the Rules of Procedure of the Court of Justice of the European Communities of 16\u00a0May 2000 (OJ L\u00a0122 of 24. 5. 2000, p. 43),\n\n\n\n\n\n\n\n\n\n\n4. Amendments to the Rules of Procedure of the Court of Justice of the European Communities of 28\u00a0November 2000 (OJ L\u00a0322 of 19. 12. 2000, p. 1),\n\n\n\n\n\n\n\n\n\n\n5. Amendments to the Rules of Procedure of the Court of Justice of the European Communities of 3\u00a0April 2001 (OJ L\u00a0119 of 27. 4. 2001, p. 1),\n\n\n\n\n\n\n\n\n\n\n6. Amendments to the Rules of Procedure of the Court of Justice of the European Communities of 17\u00a0September 2002 (OJ L\u00a0272 of 10. 10. 2002, p. 1, and OJ L\u00a0281 of 19. 10. 2002, p. 24 (corrigenda)),\n\n\n\n\n\n\n\n\n\n\n7. Amendments to the Rules of Procedure of the Court of Justice of the European Communities of 8\u00a0April 2003 (OJ L\u00a0147 of 14. 6. 2003, p. 17),\n\n\n\n\n\n\n\n\n\n\n8. Amended decision of 10\u00a0June 2003 on official holidays annexed to the Rules of Procedure (OJ L\u00a0172 of 10. 7. 2003, p. 12),\n\n\n\n\n\n\n\n\n\n\n9. Amendments to the Rules of Procedure of the Court of Justice of the European Communities of 19\u00a0April 2004 (OJ L\u00a0132 of 29. 4. 2004, p. 2),\n\n\n\n\n\n\n\n\n\n\n10. Amendments to the Rules of Procedure of the Court of Justice of the European Communities of 20\u00a0April 2004 (OJ L\u00a0127 of 29. 4. 2004, p. 107),\n\n\n\n\n\n\n\n\n\n\n11. Amendments to the Rules of Procedure of the Court of Justice of the European Communities of 12\u00a0July 2005 (OJ L\u00a0203 of 4. 8. 2005, p. 19),\n\n\n\n\n\n\n\n\n\n\n12. Amendments to the Rules of Procedure of the Court of Justice of the European Communities of 18\u00a0October 2005 (OJ L\u00a0288 of 29. 10. 2005, p. 51),\n\n\n\n\n\n\n\n\n\n\n13. Amendments to the Rules of Procedure of the Court of Justice of the European Communities of 18\u00a0December 2006 (OJ L\u00a0386 of 29. 12. 2006, p. 44, and OJ L\u00a0332 of 18. 12. 2007, pp. 108 and 109 (corrigenda)),\n\n\n\n\n\n\n\n\n\n\n14. Amendments to the Rules of Procedure of the Court of Justice of the European Communities of 15\u00a0January 2008 (OJ L\u00a024 of 29. 1. 2008, p. 39),\n\n\n\n\n\n\n\n\n\n\n15. Amendments to the Rules of Procedure of the Court of Justice of the European Communities of 23\u00a0June 2008 (OJ L\u00a0200 of 29. 7. 2008, p. 20),\n\n\n\n\n\n\n\n\n\n\n16. Amendments to the Rules of Procedure of the Court of Justice of the European Communities of 8\u00a0July 2008 (OJ L\u00a0200 of 29. 7. 2008, p. 18),\n\n\n\n\n\n\n\n\n\n\n17. Amendments to the Rules of Procedure of the Court of Justice of the European Communities of 13\u00a0January 2009 (OJ L\u00a024 of 28. 1. 2009, p. 8),\n\n\n\n\n\n\n\n\n\n\n18. Amendments to the Rules of Procedure of 23\u00a0March 2010 (OJ L\u00a092 of 13. 4. 2010, p. 12). This edition has no legal force and the preambles have therefore been omitted. CONSOLIDATED VERSION OF THE\n \n\n RULES OF PROCEDURE OF THE COURT OF JUSTICE\n \nof 19\u00a0June 1991\n \n \u00a0(1)\n\n\n\nCONTENTS\n\n\n\n\n\n\n\nInterpretation (article\u00a01)\n\n\n\u00a0\n\n5\n\n\n\n\n\n\n\n\n\n\n\nTitle\u00a0I\n\n\n\n\u2014 Organisation of the Court\n\n5\n\n\n\n\n\n\n\n\n\n\nChapter\u00a01\n\n\u2014 Judges and Advocates General (Articles\u00a02 to 6)\n5\n\n\n\n\n\n\n\n\n\n\nChapter\u00a02\n\n\u2014 Presidency of the Court and constitution of the Chambers (Articles\u00a07 to 11)\n6\n\n\n\n\n\n\n\n\n\n\nChapter\u00a02a\n\n\u2014 Formations of the Court (Articles\u00a011a to 11e)\n7\n\n\n\n\n\n\n\n\n\n\nChapter\u00a03\n\n\u2014 Registry\n8\n\n\n\n\n\n\n\n\n\n\nSection\u00a01\n\n\u2014 The Registrar and Assistant Registrars (Articles\u00a012 to 19)\n8\n\n\n\n\n\n\n\n\n\n\nSection\u00a02\n\n\u2014 Other departments (Articles\u00a020 to 23)\n9\n\n\n\n\n\n\n\n\n\n\nChapter\u00a04\n\n\u2014 Assistant Rapporteurs (Article\u00a024)\n9\n\n\n\n\n\n\n\n\n\n\nChapter\u00a05\n\n\u2014 The working of the Court (Articles\u00a025 to 28)\n9\n\n\n\n\n\n\n\n\n\n\nChapter\u00a06\n\n\u2014 Languages (Articles\u00a029 to 31)\n11\n\n\n\n\n\n\n\n\n\n\nChapter\u00a07\n\n\u2014 Rights and obligations of agents, advisers and lawyers (Articles\u00a032 to 36)\n12\n\n\n\n\n\n\n\n\n\n\n\nTitle\u00a0II\n\n\n\n\u2014 Procedure\n\n13\n\n\n\n\n\n\n\n\n\n\nChapter\u00a01\n\n\u2014 Written procedure (Articles\u00a037 to 43)\n13\n\n\n\n\n\n\n\n\n\n\nChapter\u00a01a\n\n\u2014 The preliminary report and assignment of cases to formations (Articles\u00a044 and 44a)\n15\n\n\n\n\n\n\n\n\n\n\nChapter\u00a02\n\n\u2014 Preparatory inquiries and other preparatory measures\n15\n\n\n\n\n\n\n\n\n\n\nSection\u00a01\n\n\u2014 Measures of inquiry (Articles\u00a045 and 46)\n15\n\n\n\n\n\n\n\n\n\n\nSection\u00a02\n\n\u2014 The summoning and examination of witnesses and experts (Articles\u00a047 to 53)\n16\n\n\n\n\n\n\n\n\n\n\nSection\u00a03\n\n\u2014 Closure of the preparatory inquiry (Article\u00a054)\n17\n\n\n\n\n\n\n\n\n\n\nSection\u00a04\n\n\u2014 Preparatory measures (Article\u00a054a)\n18\n\n\n\n\n\n\n\n\n\n\nChapter\u00a03\n\n\u2014 Oral procedure (Articles\u00a055 to 62)\n18\n\n\n\n\n\n\n\n\n\n\nChapter\u00a03a\n\n\u2014 Expedited procedures (Article\u00a062a)\n18\n\n\n\n\n\n\n\n\n\n\nChapter\u00a04\n\n\u2014 Judgments (Articles\u00a063 to 68)\n19\n\n\n\n\n\n\n\n\n\n\nChapter\u00a05\n\n\u2014 Costs (Articles\u00a069 to 75)\n20\n\n\n\n\n\n\n\n\n\n\nChapter\u00a06\n\n\u2014 Legal aid (Article\u00a076)\n21\n\n\n\n\n\n\n\n\n\n\nChapter\u00a07\n\n\u2014 Discontinuance (Articles\u00a077 and 78)\n21\n\n\n\n\n\n\n\n\n\n\nChapter\u00a08\n\n\u2014 Service (Article\u00a079)\n21\n\n\n\n\n\n\n\n\n\n\nChapter\u00a09\n\n\u2014 Time-limits (Articles\u00a080 to 82)\n22\n\n\n\n\n\n\n\n\n\n\nChapter\u00a010\n\n\u2014 Stay of proceedings (Article\u00a082a)\n22\n\n\n\n\n\n\n\n\n\n\n\nTitle\u00a0III\n\n\n\n\u2014 Special forms of procedure\n\n23\n\n\n\n\n\n\n\n\n\n\nChapter\u00a01\n\n\u2014 Suspension of operation or enforcement and other interim measures (Articles\u00a083 to 90)\n23\n\n\n\n\n\n\n\n\n\n\nChapter\u00a02\n\n\u2014 Preliminary issues (Articles\u00a091 and 92)\n24\n\n\n\n\n\n\n\n\n\n\nChapter\u00a03\n\n\u2014 Intervention (Article\u00a093)\n24\n\n\n\n\n\n\n\n\n\n\nChapter\u00a04\n\n\u2014 Judgments by default and applications to set them aside (Article\u00a094)\n25\n\n\n\n\n\n\n\n\n\n\nChapter\u00a05\n\n\u2014 (Articles\u00a095 and 96 repealed)\n26\n\n\n\n\n\n\n\n\n\n\nChapter\u00a06\n\n\u2014 Exceptional review procedures\n26\n\n\n\n\n\n\n\n\n\n\nSection\u00a01\n\n\u2014 Third-party proceedings (Article\u00a097)\n26\n\n\n\n\n\n\n\n\n\n\nSection\u00a02\n\n\u2014 Revision (Articles\u00a098 to 100)\n26\n\n\n\n\n\n\n\n\n\n\nChapter\u00a07\n\n\u2014 Appeals against decisions of the Arbitration Committee (Article\u00a0101)\n26\n\n\n\n\n\n\n\n\n\n\nChapter\u00a08\n\n\u2014 Interpretation of judgments (Article\u00a0102)\n27\n\n\n\n\n\n\n\n\n\n\nChapter\u00a09\n\n\u2014 Preliminary rulings and other references for interpretation (Articles\u00a0103 to 104b)\n27\n\n\n\n\n\n\n\n\n\n\nChapter\u00a010\n\n\u2014 Special procedures under Articles\u00a0103\u00a0TEAEC to 105\u00a0TEAEC (Articles\u00a0105 and 106)\n29\n\n\n\n\n\n\n\n\n\n\nChapter\u00a011\n\n\u2014 Opinions (Articles\u00a0107 and 108; Article\u00a0109 repealed)\n30\n\n\n\n\n\n\n\n\n\n\nChapter\u00a012\n\n\u2014 (Article\u00a0109a repealed)\n30\n\n\n\n\n\n\n\n\n\n\nChapter\u00a013\n\n\u2014 Settlement of the disputes referred to in Article\u00a035 of the Union Treaty in the version in force before the entry into force of the Treaty of Lisbon (Article\u00a0109b)\n30\n\n\n\n\n\n\n\n\n\n\n\nTitle\u00a0IV\n\n\n\n\u2014 Appeals against decisions of the General Court (Articles\u00a0110 to 123)\n\n31\n\n\n\n\n\n\n\n\n\n\n\nTitle\u00a0IVa\n\n\n\n\u2014 Review of decisions of the General Court (Articles\u00a0123a to 123e)\n\n33\n\n\n\n\n\n\n\n\n\n\n\nTitle\u00a0V\n\n\n\n\u2014 Procedures provided for by the EEA Agreement (Articles\u00a0123f and 123g)\n\n34\n\n\n\n\n\n\n\n\n\n\n\nMiscellaneous provisions (Articles\u00a0124 to 127)\n\n\n\n\u00a0\n\n34\n\n\n\n\n\n\n\n\n\n\n\nAnnex\n\n\n\u2014 Decision on official holidays\n36\n\n\n\n\nINTERPRETATION\n\nArticle\u00a01\nIn these Rules:\n\n\n\n\n\n\n\u2014\n\n\nprovisions of the Treaty on European Union are referred to by the number of the article followed by \u2018TEU\u2019,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nprovisions of the Treaty on the Functioning of the European Union are referred to by the number of the article concerned followed by \u2018TFEU\u2019,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nprovisions of the Treaty establishing the European Atomic Energy Community are referred to by the number of the article followed by \u2018TEAEC\u2019,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\n\n \u2018Statute\u2019 means the Protocol on the Statute of the Court of Justice of the European Union,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\n\n \u2018EEA Agreement\u2019 means the Agreement on the European Economic Area. For the purposes of these Rules:\n\n\n\n\n\n\n\u2014\n\n\n\n \u2018institutions\u2019 means the institutions of the Union and bodies, offices and agencies established by the Treaties, or by an act adopted in implementation thereof, which may be parties before the Court,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\n\n \u2018EFTA Surveillance Authority\u2019 means the surveillance authority referred to in the EEA Agreement. TITLE 1\n\nORGANISATION OF THE COURT\n\n\n\nChapter 1\n\n\nJUDGES AND ADVOCATES GENERAL\n\n\nArticle\u00a02\nThe term of office of a Judge shall begin on the date laid down in his instrument of appointment. In the absence of any provisions regarding the date, the term shall begin on the date of the instrument. Article\u00a03\n\n1. Before taking up his duties, a Judge shall at the first public sitting of the Court which he attends after his appointment take the following oath:\n\n\n \u2018I swear that I will perform my duties impartially and conscientiously; I swear that I will preserve the secrecy of the deliberations of the Court\u2019. 2. Immediately after taking the oath, a Judge shall sign a declaration by which he solemnly undertakes that, both during and after his term of office, he will respect the obligations arising therefrom, and in particular the duty to behave with integrity and discretion as regards the acceptance, after he has ceased to hold office, of certain appointments and benefits. Article\u00a04\nWhen the Court is called upon to decide whether a Judge no longer fulfils the requisite conditions or no longer meets the obligations arising from his office, the President shall invite the Judge concerned to make representations to the Court, in closed session and in the absence of the Registrar. Article\u00a05\nArticles\u00a02, 3 and 4 of these Rules shall apply to Advocates General. Article\u00a06\nJudges and Advocates General shall rank equally in precedence according to their seniority in office. Where there is equal seniority in office, precedence shall be determined by age. Retiring Judges and Advocates General who are reappointed shall retain their former precedence. Chapter 2\n\n\nPRESIDENCY OF THE COURT AND CONSTITUTION OF THE CHAMBERS\n\n\nArticle\u00a07\n\n1. The Judges shall, immediately after the partial replacement provided for in Article\u00a0253\u00a0TFEU, elect one of their number as President of the Court for a term of three years. 2. If the office of the President of the Court falls vacant before the normal date of expiry thereof, the Court shall elect a successor for the remainder of the term. 3. The elections provided for in this Article shall be by secret ballot. The Judge obtaining the votes of more than half the Judges composing the Court shall be elected. If no Judge obtains that majority, further ballots shall be held until that majority is attained. Article\u00a08\nThe President shall direct the judicial business and the administration of the Court; he shall preside at hearings and deliberations. Article\u00a09\n\n1. The Court shall set up Chambers of five and three Judges in accordance with Article\u00a016 of the Statute and shall decide which Judges shall be attached to them. The Court shall designate the Chamber or Chambers of five Judges which, for a period of one year, shall be responsible for cases of the kind referred to in Article\u00a0104b. The composition of the Chambers and the designation of the Chamber or Chambers responsible for cases of the kind referred to in Article\u00a0104b shall be published in the Official Journal of the European Union. 2. As soon as an application initiating proceedings has been lodged, the President shall designate a Judge to act as Rapporteur. For cases of the kind referred to in Article\u00a0104b, the Judge-Rapporteur shall be selected from among the Judges of the Chamber designated in accordance with paragraph\u00a01 of this Article, on a proposal from the President of that Chamber. If the Chamber decides that the case is not to be dealt with under the urgent procedure, the President of the Court may reassign the case to a Judge-Rapporteur attached to another Chamber. The President of the Court shall take the necessary steps if a Judge-Rapporteur is absent or prevented from acting. 3. For cases assigned to a formation of the Court in accordance with Article\u00a044(3), the word \u2018Court\u2019 in these Rules shall mean that formation. 4. In cases assigned to a Chamber of five or three Judges, the powers of the President of the Court shall be exercised by the President of the Chamber. Article\u00a010\n\n1. The Judges shall, immediately after the election of the President of the Court, elect the Presidents of the Chambers of five Judges for a term of three years. The Judges shall elect the Presidents of the Chambers of three Judges for a term of one year. The Court shall appoint for a period of one year the First Advocate General. The provisions of Article\u00a07(2) and (3) shall apply. The elections and appointment made in pursuance of this paragraph shall be published in the Official Journal of the European Union. 2. The First Advocate General shall assign each case to an Advocate General as soon as the Judge-Rapporteur has been designated by the President. He shall take the necessary steps if an Advocate General is absent or prevented from acting. Article\u00a011\nWhen the President of the Court is absent or is prevented from attending or when the office of President is vacant, the functions of President shall be exercised by a President of a Chamber of five Judges according to the order of precedence laid down in Article\u00a06 of these Rules. When the President of the Court and the Presidents of the Chambers of five Judges are all absent or prevented from attending at the same time, or their posts are vacant at the same time, the functions of President shall be exercised by one of the Presidents of the Chambers of three Judges according to the order of precedence laid down in Article\u00a06 of these Rules. If the President of the Court and all the Presidents of Chambers are all absent or prevented from attending at the same time, or their posts are vacant at the same time, the functions of President shall be exercised by one of the other Judges according to the order of precedence laid down in Article\u00a06 of these Rules. Chapter 2 a\n\n\nFORMATIONS OF THE COURT\n\n\nArticle\u00a011a\nThe Court shall sit in the following formations:\n\n\n\n\n\n\n\u2014\n\n\nthe full Court, composed of all the Judges;\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nthe Grand Chamber, composed of 13 Judges in accordance with Article\u00a011b,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nChambers composed of five or three Judges in accordance with Article\u00a011c. Article\u00a011b\n\n1. For each case the Grand Chamber shall be composed of the President of the Court, the Presidents of the Chambers of five Judges, the Judge-Rapporteur and the number of Judges necessary to reach 13. The last-mentioned Judges shall be designated from the list referred to in paragraph\u00a02, following the order laid down therein. The starting-point on that list, in every case assigned to the Grand Chamber, shall be the name of the Judge immediately following the last Judge designated from the list for the preceding case assigned to that formation of the Court. 2. After the election of the President of the Court and of the Presidents of the Chambers of five Judges, a list of the other Judges shall be drawn up for the purposes of determining the composition of the Grand Chamber. That list shall follow the order laid down in Article\u00a06 of these Rules, alternating with the reverse order: the first Judge on that list shall be the first according to the order laid down in that Article, the second Judge shall be the last according to that order, the third Judge shall be the second according to that order, the fourth Judge the penultimate according to that order, and so on. The list shall be published in the Official Journal of the European Union. 3. In cases which are assigned to the Grand Chamber between the beginning of a year in which there is a partial replacement of Judges and the moment when that replacement has taken place, two substitute Judges shall also sit. Those substitute Judges shall be the two Judges appearing in the list referred to in the previous paragraph immediately after the last Judge designated for the composition of the Grand Chamber in the case. The substitute Judges shall replace, in the order of the list referred to in the previous paragraph, such Judges as are unable to take part in the decision on the case. Article\u00a011c\n\n1. The Chambers of five Judges and three Judges shall, for each case, be composed of the President of the Chamber, the Judge-Rapporteur and the number of Judges required to attain the number of five and three Judges respectively. Those last-mentioned Judges shall be designated from the lists referred to in paragraph\u00a02 and following the order laid down in them. The starting-point in those lists, for every case assigned to a Chamber, shall be the name of the Judge immediately following the last Judge designated from the list for the preceding case assigned to the Chamber concerned. 2. For the composition of the Chambers of five Judges, after the election of the Presidents of those Chambers lists shall be drawn up including all the Judges attached to the Chamber concerned, with the exception of its President. The lists shall be drawn up in the same way as the list referred to in Article\u00a011b(2). For the composition of the Chambers of three Judges, after the election of the Presidents of those Chambers lists shall be drawn up including all the Judges attached to the Chamber concerned, with the exception of its President. The lists shall be drawn up according to the order laid down in Article\u00a06 of these Rules. The lists referred to in this paragraph shall be published in the Official Journal of the European Union. Article\u00a011d\n\n1. Where the Court considers that several cases must be heard and determined together by one and the same formation of the Court, the composition of that formation shall be that fixed for the case in respect of which the preliminary report was first examined. 2. Where a Chamber to which a case has been assigned refers the case back to the Court under Article\u00a044(4), in order that it may be reassigned to a formation composed of a greater number of Judges, that formation shall include the members of the Chamber which has referred the case back. Article\u00a011e\nWhen a member of the formation determining a case is prevented from attending, he shall be replaced by a Judge according to the order of the lists referred to in Article\u00a011b(2) or 11c(2). When the President of the Court is prevented from attending, the functions of the President of the Grand Chamber shall be exercised in accordance with the provisions of Article\u00a011. When the President of a Chamber of five Judges is prevented from attending, the functions of President of the Chamber shall be exercised by a President of a Chamber of three Judges, where necessary according to the order laid down in Article\u00a06 of these Rules or, if that Chamber does not include a President of a Chamber of three Judges, by one of the other Judges according to the order laid down in Article\u00a06. When the President of a Chamber of three Judges is prevented from attending, the functions of President of the Chamber shall be exercised by a Judge of that Chamber according to the order laid down in Article\u00a06 of these Rules. Chapter 3\n\n\nREGISTRY\n\n\nSection\u00a01 \u2014 The Registrar and Assistant Registrars\n\nArticle\u00a012\n\n1. The Court shall appoint the Registrar. Two weeks before the date fixed for making the appointment, the President shall inform the Members of the Court of the applications which have been made for the post. 2. An application shall be accompanied by full details of the candidate's age, nationality, university degrees, knowledge of any languages, present and past occupations and experience, if any, in judicial and international fields. 3. The appointment shall be made following the procedure laid down in Article\u00a07(3) of these Rules. 4. The Registrar shall be appointed for a term of six years. He may be reappointed. 5. The Registrar shall take the oath in accordance with Article\u00a03 of these Rules. 6. The Registrar may be deprived of his office only if he no longer fulfils the requisite conditions or no longer meets the obligations arising from his office; the Court shall take its decision after giving the Registrar an opportunity to make representations. 7. If the office of Registrar falls vacant before the normal date of expiry of the term thereof, the Court shall appoint a new Registrar for a term of six years. Article\u00a013\nThe Court may, following the procedure laid down in respect of the Registrar, appoint one or more Assistant Registrars to assist the Registrar and to take his place in so far as the Instructions to the Registrar referred to in Article\u00a015 of these Rules allow. Article\u00a014\nWhere the Registrar and the Assistant Registrars are absent or prevented from attending or their posts are vacant, the President shall designate an official or other servant to carry out temporarily the duties of Registrar. Article\u00a015\nInstructions to the Registrar shall be adopted by the Court acting on a proposal from the President. Article\u00a016\n\n1. There shall be kept in the Registry, under the control of the Registrar, a register in which all pleadings and supporting documents shall be entered in the order in which they are lodged. 2. When a document has been registered, the Registrar shall make a note to that effect on the original and, if a party so requests, on any copy submitted for the purpose. 3. Entries in the register and the notes provided for in the preceding paragraph shall be authentic. 4. Rules for keeping the register shall be prescribed by the Instructions to the Registrar referred to in Article\u00a015 of these Rules. 5. Persons having an interest may consult the register at the Registry and may obtain copies or extracts on payment of a charge on a scale fixed by the Court on a proposal from the Registrar. The parties to a case may on payment of the appropriate charge also obtain copies of pleadings and authenticated copies of judgments and orders. 6. Notice shall be given in the Official Journal of the European Union of the date of registration of an application initiating proceedings, the names and addresses of the parties, the subject-matter of the proceedings, the form of order sought by the applicant and a summary of the pleas in law and of the main supporting arguments. 7. Where the Council or the European Commission is not a party to a case, the Court shall send to it copies of the application and of the defence, without the annexes thereto, to enable it to assess whether the inapplicability of one of its acts is being invoked under Article\u00a0277\u00a0TFEU. Copies of that act shall likewise be sent to the European Parliament, to enable it to assess whether the inapplicability of an act adopted jointly by that institution and by the Council is being invoked under Article\u00a0277\u00a0TFEU. Article\u00a017\n\n1. The Registrar shall be responsible, under the authority of the President, for the acceptance, transmission and custody of documents and for effecting service as provided for by these Rules. 2. The Registrar shall assist the Court, the President and the Presidents of Chambers and the Judges in all their official functions. Article\u00a018\nThe Registrar shall have custody of the seals. He shall be responsible for the records and be in charge of the publications of the Court. Article\u00a019\nSubject to Articles\u00a04 and 27 of these Rules, the Registrar shall attend the sittings of the Court and of the Chambers. Section\u00a02 \u2014 Other departments\n\nArticle\u00a020\n\n1. The officials and other servants of the Court shall be appointed in accordance with the provisions of the Staff Regulations. 2. Before taking up his duties, an official shall take the following oath before the President, in the presence of the Registrar:\n\n\n \u2018I swear that I will perform loyally, discreetly and conscientiously the duties assigned to me by the Court of Justice of the European Union. \u2019\n \n\n\n\n\nArticle\u00a021\nThe organisation of the departments of the Court shall be laid down, and may be modified, by the Court on a proposal from the Registrar. Article\u00a022\nThe Court shall set up a translating service staffed by experts with adequate legal training and a thorough knowledge of several official languages of the Court. Article\u00a023\nThe Registrar shall be responsible, under the authority of the President, for the administration of the Court, its financial management and its accounts; he shall be assisted in this by an administrator. Chapter 4\n\n\nASSISTANT RAPPORTEURS\n\n\nArticle\u00a024\n\n1. Where the Court is of the opinion that the consideration of and preparatory inquiries in cases before it so require, it shall, pursuant to Article\u00a013 of the Statute, propose the appointment of Assistant Rapporteurs. 2. Assistant Rapporteurs shall in particular:\n\n\n\n\n\n\n\u2014\n\n\nassist the President in connection with applications for the adoption of interim measures and\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nassist the Judge-Rapporteurs in their work. 3. In the performance of their duties the Assistant Rapporteurs shall be responsible to the President of the Court, the President of a Chamber or a Judge-Rapporteur, as the case may be. 4. Before taking up his duties, an Assistant Rapporteur shall take before the Court the oath set out in Article\u00a03 of these Rules. Chapter 5\n\n\nTHE WORKING OF THE COURT\n\n\nArticle\u00a025\n\n1. The dates and times of the sittings of the Grand Chamber and of the full Court shall be fixed by the President. 2. The dates and times of the sittings of the Chambers of five and three Judges shall be fixed by their respective Presidents. 3. The Court may choose to hold one or more sittings in a place other than that in which the Court has its seat. Article\u00a026\n\n1. Where, by reason of a Judge being absent or prevented from attending, there is an even number of Judges, the most junior Judge within the meaning of Article\u00a06 of these Rules shall abstain from taking part in the deliberations unless he is the Judge-Rapporteur. In that case the Judge immediately senior to him shall abstain from taking part in the deliberations. 2. If after the Grand Chamber or full Court has been convened it is found that the quorum referred to in the third or fourth paragraph of Article\u00a017 of the Statute has not been attained, the President shall adjourn the sitting until there is a quorum. 3. If in any Chamber of five or three Judges the quorum referred to in the second paragraph of Article\u00a017 of the Statute has not been attained and it is not possible to replace the Judges prevented from attending in accordance with Article\u00a011e, the President of that Chamber shall so inform the President of the Court who shall designate another Judge to complete the Chamber. Article\u00a027\n\n1. The Court shall deliberate in closed session. 2. Only those Judges who were present at the oral proceedings and the Assistant Rapporteur, if any, entrusted with the consideration of the case may take part in the deliberations. 3. Every Judge taking part in the deliberations shall state his opinion and the reasons for it. 4. Any Judge may require that any questions be formulated in the language of his choice and communicated in writing to the Court before being put to the vote. 5. The conclusions reached by the majority of the Judges after final discussion shall determine the decision of the Court. Votes shall be cast in reverse order to the order of precedence laid down in Article\u00a06 of these Rules. 6. Differences of view on the substance, wording or order of questions or on the interpretation of the voting shall be settled by decision of the Court. 7. Where the deliberations of the Court concern questions of its own administration, the Advocates General shall take part and have a vote. The Registrar shall be present, unless the Court decides to the contrary. 8. Where the Court sits without the Registrar being present it shall, if necessary, instruct the most junior Judge within the meaning of Article\u00a06 of these Rules to draw up minutes. The minutes shall be signed by that Judge and by the President. Article\u00a028\n\n1. Subject to any special decision of the Court, its vacations shall be as follows:\n\n\n\n\n\n\n\u2014\n\n\nfrom 18 December to 10 January,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nfrom the Sunday before Easter to the second Sunday after Easter,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nfrom 15 July to 15 September. During the vacations, the functions of President shall be exercised at the place where the Court has its seat either by the President himself, keeping in touch with the Registrar, or by a President of Chamber or other Judge invited by the President to take his place. 2. In a case of urgency, the President may convene the Judges and the Advocates General during the vacations. 3. The Court shall observe the official holidays of the place where it has its seat. 4. The Court may, in proper circumstances, grant leave of absence to any Judge or Advocate General. Chapter 6\n\n\nLANGUAGES\n\n\nArticle\u00a029\n\n1. The language of a case shall be Bulgarian, Czech, Danish, Dutch, English, Estonian, Finnish, French, German, Greek, Hungarian, Irish, Italian, Latvian, Lithuanian, Maltese, Polish, Portuguese, Romanian, Slovak, Slovene, Spanish or Swedish. 2. The language of a case shall be chosen by the applicant, except that:\n\n\n\n\n\n\n(a)\n\n\nwhere the defendant is a Member State or a natural or legal person having the nationality of a Member State, the language of the case shall be the official language of that State; where that State has more than one official language, the applicant may choose between them;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nat the joint request of the parties, the use of another of the languages mentioned in paragraph\u00a01 for all or part of the proceedings may be authorised;\n\n\n\n\n\n\n\n\n\n\n(c)\n\n\nat the request of one of the parties, and after the opposite party and the Advocate General have been heard, the use of another of the languages mentioned in paragraph\u00a01 as the language of the case for all or part of the proceedings may be authorised by way of derogation from subparagraphs (a) and (b); such a request may not be submitted by an institution of the European Union. In cases to which Article\u00a0103 of these Rules applies, the language of the case shall be the language of the national court or tribunal which refers the matter to the Court. At the duly substantiated request of one of the parties to the main proceedings, and after the opposite party and the Advocate General have been heard, the use of another of the languages mentioned in paragraph\u00a01 may be authorised for the oral procedure. Requests as above may be decided on by the President; the latter may, and where he wishes to accede to a request without the agreement of all the parties, must, refer the request to the Court. 3. The language of the case shall in particular be used in the written and oral pleadings of the parties and in supporting documents, and also in the minutes and decisions of the Court. Any supporting documents expressed in another language must be accompanied by a translation into the language of the case. In the case of lengthy documents, translations may be confined to extracts. However, the Court may, of its own motion or at the request of a party, at any time call for a complete or fuller translation. Notwithstanding the foregoing provisions, a Member State shall be entitled to use its official language when intervening in a case before the Court or when taking part in any reference of a kind mentioned in Article\u00a0103. This provision shall apply both to written statements and to oral addresses. The Registrar shall cause any such statement or address to be translated into the language of the case. The States, other than the Member States, which are parties to the EEA Agreement, and also the EFTA Surveillance Authority, may be authorised to use one of the languages mentioned in paragraph\u00a01, other than the language of the case, when they intervene in a case before the Court or participate in preliminary ruling proceedings envisaged by Article\u00a023 of the Statute. This provision shall apply both to written statements and oral addresses. The Registrar shall cause any such statement or address to be translated into the language of the case. Non-member States taking part in proceedings for a preliminary ruling pursuant to the fourth paragraph of Article\u00a023 of the Statute may be authorised to use one of the languages mentioned in paragraph (1) of this Article other than the language of the case. This provision shall apply both to written statements and to oral statements. The Registrar shall cause any such statement or address to be translated into the language of the case. 4. Where a witness or expert states that he is unable adequately to express himself in one of the languages referred to in paragraph (1) of this Article, the Court may authorise him to give his evidence in another language. The Registrar shall arrange for translation into the language of the case. 5. The President of the Court and the Presidents of Chambers in conducting oral proceedings, the Judge-Rapporteur both in his preliminary report and in his report for the hearing, Judges and Advocates General in putting questions and Advocates General in delivering their opinions may use one of the languages referred to in paragraph\u00a01 of this Article other than the language of the case. The Registrar shall arrange for translation into the language of the case. Article\u00a030\n\n1. The Registrar shall, at the request of any Judge, of the Advocate General or of a party, arrange for anything said or written in the course of the proceedings before the Court to be translated into the languages he chooses from those referred to in Article\u00a029(1). 2. Publications of the Court shall be issued in the languages referred to in Article\u00a01 of Council Regulation No\u00a01. Article\u00a031\nThe texts of documents drawn up in the language of the case or in any other language authorised by the Court pursuant to Article\u00a029 of these Rules shall be authentic. Chapter 7\n\n\nRIGHTS AND OBLIGATIONS OF AGENTS, ADVISERS AND LAWYERS\n\n\nArticle\u00a032\n\n1. Agents, advisers and lawyers appearing before the Court or before any judicial authority to which the Court has addressed letters rogatory, shall enjoy immunity in respect of words spoken or written by them concerning the case or the parties. 2. Agents, advisers and lawyers shall enjoy the following further privileges and facilities:\n\n\n\n\n\n\n(a)\n\n\npapers and documents relating to the proceedings shall be exempt from both search and seizure; in the event of a dispute the customs officials or police may seal those papers and documents; they shall then be immediately forwarded to the Court for inspection in the presence of the Registrar and of the person concerned;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nagents, advisers and lawyers shall be entitled to such allocation of foreign currency as may be necessary for the performance of their duties;\n\n\n\n\n\n\n\n\n\n\n(c)\n\n\nagents, advisers and lawyers shall be entitled to travel in the course of duty without hindrance. Article\u00a033\nIn order to qualify for the privileges, immunities and facilities specified in Article\u00a032, persons entitled to them shall furnish proof of their status as follows:\n\n\n\n\n\n\n(a)\n\n\nagents shall produce an official document issued by the party for whom they act, and shall forward without delay a copy thereof to the Registrar;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nadvisers and lawyers shall produce a certificate signed by the Registrar. The validity of this certificate shall be limited to a specified period, which may be extended or curtailed according to the length of the proceedings. Article\u00a034\nThe privileges, immunities and facilities specified in Article\u00a032 of these Rules are granted exclusively in the interests of the proper conduct of proceedings. The Court may waive the immunity where it considers that the proper conduct of proceedings will not be hindered thereby. Article\u00a035\n\n1. If the Court considers that the conduct of an adviser or lawyer towards the Court, a Judge, an Advocate General or the Registrar is incompatible with the dignity of the Court or with the requirements of the proper administration of justice, or that such adviser or lawyer is using his rights for purposes other than those for which they were granted, it shall inform the person concerned. If the Court informs the competent authorities to whom the person concerned is answerable, a copy of the letter sent to those authorities shall be forwarded to the person concerned. On the same grounds, the Court may at any time, having heard the person concerned and the Advocate General, exclude the person concerned from the proceedings by order. That order shall have immediate effect. 2. Where an adviser or lawyer is excluded from the proceedings, the proceedings shall be suspended for a period fixed by the President in order to allow the party concerned to appoint another adviser or lawyer. 3. Decisions taken under this Article may be rescinded. Article\u00a036\nThe provisions of this Chapter shall apply to university teachers who have a right of audience before the Court in accordance with Article\u00a019 of the Statute. TITLE\u00a0II\n\nPROCEDURE\n\n\n\nChapter 1\n\n\nWRITTEN PROCEDURE\n\n\nArticle\u00a037\n\n1. The original of every pleading must be signed by the party's agent or lawyer. The original, accompanied by all annexes referred to therein, shall be lodged together with five copies for the Court and a copy for every other party to the proceedings. Copies shall be certified by the party lodging them. 2. Institutions shall in addition produce, within time-limits laid down by the Court, translations of all pleadings into the other languages provided for by Article\u00a01 of Council Regulation No\u00a01. The second subparagraph of paragraph\u00a01 of this Article shall apply. 3. All pleadings shall bear a date. In the reckoning of time-limits for taking steps in proceedings, only the date of lodgment at the Registry shall be taken into account. 4. To every pleading there shall be annexed a file containing the documents relied on in support of it, together with a schedule listing them. 5. Where in view of the length of a document only extracts from it are annexed to the pleading, the whole document or a full copy of it shall be lodged at the Registry. 6. Without prejudice to the provisions of paragraphs\u00a01 to 5, the date on which a copy of the signed original of a pleading, including the schedule of documents referred to in paragraph\u00a04, is received at the Registry by telefax or other technical means of communication available to the Court shall be deemed to be the date of lodgment for the purposes of compliance with the time-limits for taking steps in proceedings, provided that the signed original of the pleading, accompanied by the annexes and copies referred to in the second subparagraph of paragraph\u00a01 above, is lodged at the Registry no later than 10 days thereafter. Article\u00a081(2) shall not be applicable to this period of 10 days. 7. Without prejudice to the first subparagraph of paragraph\u00a01 or to paragraphs\u00a02 to 5, the Court may by decision determine the criteria for a procedural document sent to the Registry by electronic means to be deemed to be the original of that document. That decision shall be published in the Official Journal of the European Union. Article\u00a038\n\n1. An application of the kind referred to in Article\u00a021 of the Statute shall state:\n\n\n\n\n\n\n(a)\n\n\nthe name and address of the applicant;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nthe designation of the party against whom the application is made;\n\n\n\n\n\n\n\n\n\n\n(c)\n\n\nthe subject-matter of the proceedings and a summary of the pleas in law on which the application is based;\n\n\n\n\n\n\n\n\n\n\n(d)\n\n\nthe form of order sought by the applicant;\n\n\n\n\n\n\n\n\n\n\n(e)\n\n\nwhere appropriate, the nature of any evidence offered in support. 2. For the purpose of the proceedings, the application shall state an address for service in the place where the Court has its seat and the name of the person who is authorised and has expressed willingness to accept service. In addition to, or instead of, specifying an address for service as referred to in the first subparagraph, the application may state that the lawyer or agent agrees that service is to be effected on him by telefax or other technical means of communication. If the application does not comply with the requirements referred to in the first and second subparagraphs, all service on the party concerned for the purpose of the proceedings shall be effected, for so long as the defect has not been cured, by registered letter addressed to the agent or lawyer of that party. By way of derogation from Article\u00a079(1), service shall then be deemed to be duly effected by the lodging of the registered letter at the post office of the place where the Court has its seat. 3. The lawyer acting for a party must lodge at the Registry a certificate that he is authorised to practise before a court of a Member State or of another State which is a party to the EEA Agreement. 4. The application shall be accompanied, where appropriate, by the documents specified in the second paragraph of Article\u00a021 of the Statute. 5. An application made by a legal person governed by private law shall be accompanied by:\n\n\n\n\n\n\n(a)\n\n\nthe instrument or instruments constituting or regulating that legal person or a recent extract from the register of companies, firms or associations or any other proof of its existence in law;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nproof that the authority granted to the applicant's lawyer has been properly conferred on him by someone authorised for the purpose. 6. An application submitted under Article\u00a0273\u00a0TFEU shall be accompanied by a copy of the special agreement concluded between the Member States concerned. 7. If an application does not comply with the requirements set out in paragraphs\u00a03 to 6 of this Article, the Registrar shall prescribe a reasonable period within which the applicant is to comply with them whether by putting the application itself in order or by producing any of the abovementioned documents. If the applicant fails to put the application in order or to produce the required documents within the time prescribed, the Court shall, after hearing the Advocate General, decide whether the non-compliance with these conditions renders the application formally inadmissible. Article\u00a039\nThe application shall be served on the defendant. In a case where Article\u00a038(7) applies, service shall be effected as soon as the application has been put in order or the Court has declared it admissible notwithstanding the failure to observe the formal requirements set out in that Article. Article\u00a040\n\n1. Within one month after service on him of the application, the defendant shall lodge a defence, stating:\n\n\n\n\n\n\n(a)\n\n\nthe name and address of the defendant;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nthe arguments of fact and law relied on;\n\n\n\n\n\n\n\n\n\n\n(c)\n\n\nthe form of order sought by the defendant;\n\n\n\n\n\n\n\n\n\n\n(d)\n\n\nthe nature of any evidence offered by him. The provisions of Article\u00a038(2) to (5) of these Rules shall apply to the defence. 2. The time-limit laid down in paragraph\u00a01 of this Article may be extended by the President on a reasoned application by the defendant. Article\u00a041\n\n1. The application initiating the proceedings and the defence may be supplemented by a reply from the applicant and by a rejoinder from the defendant. 2. The President shall fix the time-limits within which these pleadings are to be lodged. Article\u00a042\n\n1. In reply or rejoinder a party may offer further evidence. The party must, however, give reasons for the delay in offering it. 2. No new plea in law may be introduced in the course of proceedings unless it is based on matters of law or of fact which come to light in the course of the procedure. If in the course of the procedure one of the parties puts forward a new plea in law which is so based, the President may, even after the expiry of the normal procedural time-limits, acting on a report of the Judge-Rapporteur and after hearing the Advocate General, allow the other party time to answer on that plea. The decision on the admissibility of the plea shall be reserved for the final judgment. Article\u00a043\nThe Court may, at any time, after hearing the parties and the Advocate General, if the assignment referred to in Article\u00a010(2) has taken place, order that two or more cases concerning the same subject-matter shall, on account of the connection between them, be joined for the purposes of the written or oral procedure or of the final judgment. The cases may subsequently be disjoined. The President may refer these matters to the Court. Chapter 1a\n\n\nTHE PRELIMINARY REPORT AND ASSIGNMENT OF CASES TO FORMATIONS\n\n\nArticle\u00a044\n\n1. The President shall fix a date on which the Judge-Rapporteur is to present his preliminary report to the general meeting of the Court, either:\n\n\n\n\n\n\n(a)\n\n\nafter the rejoinder has been lodged; or\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nwhere no reply or no rejoinder has been lodged within the time-limit fixed in accordance with Article\u00a041(2); or\n\n\n\n\n\n\n\n\n\n\n(c)\n\n\nwhere the party concerned has waived his right to lodge a reply or rejoinder; or\n\n\n\n\n\n\n\n\n\n\n(d)\n\n\nwhere the expedited procedure referred to in Article\u00a062a is to be applied, when the President fixes a date for the hearing. 2. The preliminary report shall contain recommendations as to whether a preparatory inquiry or any other preparatory step should be undertaken and as to the formation to which the case should be assigned. It shall also contain the Judge-Rapporteur's recommendation, if any, as to whether to dispense with a hearing as provided for in Article\u00a044a and as to whether to dispense with an Opinion of the Advocate General pursuant to the fifth subparagraph of Article\u00a020 of the Statute. The Court shall decide, after hearing the Advocate General, what action to take upon the recommendations of the Judge-Rapporteur. 3. The Court shall assign to the Chambers of five and three Judges any case brought before it in so far as the difficulty or importance of the case or particular circumstances are not such as to require that it should be assigned to the Grand Chamber. However, a case may not be assigned to a Chamber of five or three Judges if a Member State or an institution of the Union, being a party to the proceedings, has requested that the case be decided by the Grand Chamber. For the purposes of this provision, \u2018party to the proceedings\u2019 means any Member State or any institution which is a party to or an intervener in the proceedings or which has submitted written observations in any reference of a kind mentioned in Article\u00a0103. A request such as that referred to in this subparagraph may not be made in proceedings between the Union and its servants. The Court shall sit as a full Court where cases are brought before it pursuant to the provisions referred to in the fourth paragraph of Article\u00a016 of the Statute. It may assign a case to the full Court where, in accordance with the fifth paragraph of Article\u00a016 of the Statute, it considers that the case is of exceptional importance. 4. The formation to which a case has been assigned may, at any stage of the proceedings, refer the case back to the Court in order that it may be reassigned to a formation composed of a greater number of Judges. 5. Where a preparatory inquiry has been opened, the formation determining the case may, if it does not undertake it itself, assign the inquiry to the Judge-Rapporteur. Where the oral procedure is opened without an inquiry, the President of the formation determining the case shall fix the opening date. Article\u00a044a\nWithout prejudice to any special provisions laid down in these Rules, the procedure before the Court shall also include an oral part. However, after the pleadings referred to in Article\u00a040(1) and, as the case may be, in Article\u00a041(1) have been lodged, the Court, acting on a report from the Judge-Rapporteur and after hearing the Advocate General, and if none of the parties has submitted an application setting out the reasons for which he wishes to be heard, may decide otherwise. The application shall be submitted within a period of three weeks from notification to the party of the close of the written procedure. That period may be extended by the President. Chapter 2\n\n\nPREPARATORY INQUIRIES AND OTHER PREPARATORY MEASURES\n\n\nSection\u00a01 \u2014 Measures of inquiry\n\nArticle\u00a045\n\n1. The Court, after hearing the Advocate General, shall prescribe the measures of inquiry that it considers appropriate by means of an order setting out the facts to be proved. Before the Court decides on the measures of inquiry referred to in paragraph\u00a02(c), (d) and (e) the parties shall be heard. The order shall be served on the parties. 2. Without prejudice to Articles\u00a024 and 25 of the Statute, the following measures of inquiry may be adopted:\n\n\n\n\n\n\n(a)\n\n\nthe personal appearance of the parties;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\na request for information and production of documents;\n\n\n\n\n\n\n\n\n\n\n(c)\n\n\noral testimony;\n\n\n\n\n\n\n\n\n\n\n(d)\n\n\nthe commissioning of an expert's report;\n\n\n\n\n\n\n\n\n\n\n(e)\n\n\nan inspection of the place or thing in question. 3. The Advocate General shall take part in the measures of inquiry. 4. Evidence may be submitted in rebuttal and previous evidence may be amplified. Article\u00a046\nThe parties shall be entitled to attend the measures of inquiry. Section\u00a02 \u2014 The summoning and examination of witnesses and experts\n\nArticle\u00a047\n\n1. The Court may, either of its own motion or on application by a party, and after hearing the Advocate General, order that certain facts be proved by witnesses. The order of the Court shall set out the facts to be established. The Court may summon a witness of its own motion or on application by a party or at the instance of the Advocate General. An application by a party for the examination of a witness shall state precisely about what facts and for what reasons the witness should be examined. 2. The witness shall be summoned by an order of the Court containing the following information:\n\n\n\n\n\n\n(a)\n\n\nthe surname, forenames, description and address of the witness;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nan indication of the facts about which the witness is to be examined;\n\n\n\n\n\n\n\n\n\n\n(c)\n\n\nwhere appropriate, particulars of the arrangements made by the Court for reimbursement of expenses incurred by the witness, and of the penalties which may be imposed on defaulting witnesses. The order shall be served on the parties and the witnesses. 3. The Court may make the summoning of a witness for whose examination a party has applied conditional upon the deposit with the cashier of the Court of a sum sufficient to cover the taxed costs thereof; the Court shall fix the amount of the payment. The cashier shall advance the funds necessary in connection with the examination of any witness summoned by the Court of its own motion. 4. After the identity of the witness has been established, the President shall inform him that he will be required to vouch the truth of his evidence in the manner laid down in these Rules. The witness shall give his evidence to the Court, the parties having been given notice to attend. After the witness has given his main evidence the President may, at the request of a party or of his own motion, put questions to him. The other Judges and the Advocate General may do likewise. Subject to the control of the President, questions may be put to witnesses by the representatives of the parties. 5. After giving his evidence, the witness shall take the following oath:\n\n\n \u2018I swear that I have spoken the truth, the whole truth and nothing but the truth. \u2019\n \n\nThe Court may, after hearing the parties, exempt a witness from taking the oath. 6. The Registrar shall draw up minutes in which the evidence of each witness is reproduced. The minutes shall be signed by the President or by the Judge-Rapporteur responsible for conducting the examination of the witness, and by the Registrar. Before the minutes are thus signed, witnesses must be given an opportunity to check the content of the minutes and to sign them. The minutes shall constitute an official record. Article\u00a048\n\n1. Witnesses who have been duly summoned shall obey the summons and attend for examination. 2. If a witness who has been duly summoned fails to appear before the Court, the Court may impose upon him a pecuniary penalty not exceeding EUR\u00a05\u00a0000\n \u00a0(2) and may order that a further summons be served on the witness at his own expense. The same penalty may be imposed upon a witness who, without good reason, refuses to give evidence or to take the oath or where appropriate to make a solemn affirmation equivalent thereto. 3. If the witness proffers a valid excuse to the Court, the pecuniary penalty imposed on him may be cancelled. The pecuniary penalty imposed may be reduced at the request of the witness where he establishes that it is disproportionate to his income. 4. Penalties imposed and other measures ordered under this Article shall be enforced in accordance with Articles\u00a0280\u00a0TFEU and 299\u00a0TFEU and Article\u00a0164\u00a0TEAEC. Article\u00a049\n\n1. The Court may order that an expert's report be obtained. The order appointing the expert shall define his task and set a time-limit within which he is to make his report. 2. The expert shall receive a copy of the order, together with all the documents necessary for carrying out his task. He shall be under the supervision of the Judge-Rapporteur, who may be present during his investigation and who shall be kept informed of his progress in carrying out his task. The Court may request the parties or one of them to lodge security for the costs of the expert's report. 3. At the request of the expert, the Court may order the examination of witnesses. Their examination shall be carried out in accordance with Article\u00a047 of these Rules. 4. The expert may give his opinion only on points which have been expressly referred to him. 5. After the expert has made his report, the Court may order that he be examined, the parties having been given notice to attend. Subject to the control of the President, questions may be put to the expert by the representatives of the parties. 6. After making his report, the expert shall take the following oath before the Court:\n\n\n \u2018I swear that I have conscientiously and impartially carried out my task. \u2019\n \n\nThe Court may, after hearing the parties, exempt the expert from taking the oath. Article\u00a050\n\n1. If one of the parties objects to a witness or to an expert on the ground that he is not a competent or proper person to act as witness or expert or for any other reason, or if a witness or expert refuses to give evidence, to take the oath or to make a solemn affirmation equivalent thereto, the matter shall be resolved by the Court. 2. An objection to a witness or to an expert shall be raised within two weeks after service of the order summoning the witness or appointing the expert; the statement of objection must set out the grounds of objection and indicate the nature of any evidence offered. Article\u00a051\n\n1. Witnesses and experts shall be entitled to reimbursement of their travel and subsistence expenses. The cashier of the Court may make a payment to them towards these expenses in advance. 2. Witnesses shall be entitled to compensation for loss of earnings, and experts to fees for their services. The cashier of the Court shall pay witnesses and experts their compensation or fees after they have carried out their respective duties or tasks. Article\u00a052\nThe Court may, on application by a party or of its own motion, issue letters rogatory for the examination of witnesses or experts, as provided for in the supplementary rules mentioned in Article\u00a0125 of these Rules. Article\u00a053\n\n1. The Registrar shall draw up minutes of every hearing. The minutes shall be signed by the President and by the Registrar and shall constitute an official record. 2. The parties may inspect the minutes and any expert's report at the Registry and obtain copies at their own expense. Section\u00a03 \u2014 Closure of the preparatory inquiry\n\nArticle\u00a054\nUnless the Court prescribes a period within which the parties may lodge written observations, the President shall fix the date for the opening of the oral procedure after the preparatory inquiry has been completed. Where a period had been prescribed for the lodging of written observations, the President shall fix the date for the opening of the oral procedure after that period has expired. Section\u00a04 \u2014 Preparatory Measures\n\nArticle\u00a054a\nThe Judge-Rapporteur and the Advocate General may request the parties to submit within a specified period all such information relating to the facts, and all such documents or other particulars, as they may consider relevant. The information and/or documents provided shall be communicated to the other parties. Chapter 3\n\n\nORAL PROCEDURE\n\n\nArticle\u00a055\n\n1. Subject to the priority of decisions provided for in Article\u00a085 of these Rules, the Court shall deal with the cases before it in the order in which the preparatory inquiries in them have been completed. Where the preparatory inquiries in several cases are completed simultaneously, the order in which they are to be dealt with shall be determined by the dates of entry in the register of the applications initiating them respectively. 2. The President may in special circumstances order that a case be given priority over others. The President may in special circumstances, after hearing the parties and the Advocate General, either on his own initiative or at the request of one of the parties, defer a case to be dealt with at a later date. On a joint application by the parties the President may order that a case be deferred. Article\u00a056\n\n1. The proceedings shall be opened and directed by the President, who shall be responsible for the proper conduct of the hearing. 2. The oral proceedings in cases heard in camera shall not be published. Article\u00a057\nThe President may in the course of the hearing put questions to the agents, advisers or lawyers of the parties. The other Judges and the Advocate General may do likewise. Article\u00a058\nA party may address the Court only through his agent, adviser or lawyer. Article\u00a059\n\n1. The Advocate General shall deliver his opinion orally at the end of the oral procedure. 2. After the Advocate General has delivered his opinion, the President shall declare the oral procedure closed. Article\u00a060\nThe Court may at any time, in accordance with Article\u00a045(1), after hearing the Advocate General, order any measure of inquiry to be taken or that a previous inquiry be repeated or expanded. The Court may direct the Judge-Rapporteur to carry out the measures so ordered. Article\u00a061\nThe Court may after hearing the Advocate General order the reopening of the oral procedure. Article\u00a062\n\n1. The Registrar shall draw up minutes of every hearing. The minutes shall be signed by the President and by the Registrar and shall constitute an official record. 2. The parties may inspect the minutes at the Registry and obtain copies at their own expense. Chapter 3a\n\n\nEXPEDITED PROCEDURES\n\n\nArticle\u00a062a\n\n1. On application by the applicant or the defendant, the President may exceptionally decide, on the basis of a recommendation by the Judge-Rapporteur and after hearing the other party and the Advocate General, that a case is to be determined pursuant to an expedited procedure derogating from the provisions of these Rules, where the particular urgency of the case requires the Court to give its ruling with the minimum of delay. An application for a case to be decided under an expedited procedure shall be made by a separate document lodged at the same time as the application initiating the proceedings or the defence, as the case may be. 2. Under the expedited procedure, the originating application and the defence may be supplemented by a reply and a rejoinder only if the President considers this to be necessary. An intervener may lodge a statement in intervention only if the President considers this to be necessary. 3. Once the defence has been lodged or, if the decision to adjudicate under an expedited procedure is not made until after that pleading has been lodged, once that decision has been taken, the President shall fix a date for the hearing, which shall be communicated forthwith to the parties. He may postpone the date of the hearing where the organisation of measures of inquiry or of other preparatory measures so requires. Without prejudice to Article\u00a042, the parties may supplement their arguments and offer further evidence in the course of the oral procedure. They must, however, give reasons for the delay in offering such further evidence. 4. The Court shall give its ruling after hearing the Advocate General. Chapter 4\n\n\nJUDGMENTS\n\n\nArticle\u00a063\nThe judgment shall contain:\n\n\n\n\n\n\n\u2014\n\n\na statement that it is the judgment of the Court,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nthe date of its delivery,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nthe names of the President and of the Judges taking part in it,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nthe name of the Advocate General,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nthe name of the Registrar,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nthe description of the parties,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nthe names of the agents, advisers and lawyers of the parties,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\na statement of the forms of order sought by the parties,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\na statement that the Advocate General has been heard,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\na summary of the facts,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nthe grounds for the decision,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nthe operative part of the judgment, including the decision as to costs. Article\u00a064\n\n1. The judgment shall be delivered in open court; the parties shall be given notice to attend to hear it. 2. The original of the judgment, signed by the President, by the Judges who took part in the deliberations and by the Registrar, shall be sealed and deposited at the Registry; the parties shall be served with certified copies of the judgment. 3. The Registrar shall record on the original of the judgment the date on which it was delivered. Article\u00a065\nThe judgment shall be binding from the date of its delivery. Article\u00a066\n\n1. Without prejudice to the provisions relating to the interpretation of judgments the Court may, of its own motion or on application by a party made within two weeks after the delivery of a judgment, rectify clerical mistakes, errors in calculation and obvious slips in it. 2. The parties, whom the Registrar shall duly notify, may lodge written observations within a period prescribed by the President. 3. The Court shall take its decision in closed session after hearing the Advocate General. 4. The original of the rectification order shall be annexed to the original of the rectified judgment. A note of this order shall be made in the margin of the original of the rectified judgment. Article\u00a067\nIf the Court should omit to give a decision on a specific head of claim or on costs, any party may within a month after service of the judgment apply to the Court to supplement its judgment. The application shall be served on the opposite party and the President shall prescribe a period within which that party may lodge written observations. After these observations have been lodged, the Court shall, after hearing the Advocate General, decide both on the admissibility and on the substance of the application. Article\u00a068\nThe Registrar shall arrange for the publication of reports of cases before the Court. Chapter 5\n\n\nCOSTS\n\n\nArticle\u00a069\n\n1. A decision as to costs shall be given in the final judgment or in the order which closes the proceedings. 2. The unsuccessful party shall be ordered to pay the costs if they have been applied for in the successful party's pleadings. Where there are several unsuccessful parties the Court shall decide how the costs are to be shared. 3. Where each party succeeds on some and fails on other heads, or where the circumstances are exceptional, the Court may order that the costs be shared or that the parties bear their own costs. The Court may order a party, even if successful, to pay costs which the Court considers that party to have unreasonably or vexatiously caused the opposite party to incur. 4. The Member States and institutions which intervene in the proceedings shall bear their own costs. The States, other than the Member States, which are parties to the EEA Agreement, and also the EFTA Surveillance Authority, shall bear their own costs if they intervene in the proceedings. The Court may order an intervener other than those mentioned in the preceding subparagraphs to bear his own costs. 5. A party who discontinues or withdraws from proceedings shall be ordered to pay the costs if they have been applied for in the other party's observations on the discontinuance. However, upon application by the party who discontinues or withdraws from proceedings, the costs shall be borne by the other party if this appears justified by the conduct of that party. Where the parties have come to an agreement on costs, the decision as to costs shall be in accordance with that agreement. If costs are not claimed, the parties shall bear their own costs. 6. Where a case does not proceed to judgment the costs shall be in the discretion of the Court. Article\u00a070\nWithout prejudice to the second subparagraph of Article\u00a069(3) of these Rules, in proceedings between the Union and its servants the institutions shall bear their own costs. Article\u00a071\nCosts necessarily incurred by a party in enforcing a judgment or order of the Court shall be refunded by the opposite party on the scale in force in the State where the enforcement takes place. Article\u00a072\nProceedings before the Court shall be free of charge, except that:\n\n\n\n\n\n\n(a)\n\n\nwhere a party has caused the Court to incur avoidable costs the Court may, after hearing the Advocate General, order that party to refund them;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nwhere copying or translation work is carried out at the request of a party, the cost shall, in so far as the Registrar considers it excessive, be paid for by that party on the scale of charges referred to in Article\u00a016(5) of these Rules. Article\u00a073\nWithout prejudice to the preceding Article, the following shall be regarded as recoverable costs:\n\n\n\n\n\n\n(a)\n\n\nsums payable to witnesses and experts under Article\u00a051 of these Rules;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nexpenses necessarily incurred by the parties for the purpose of the proceedings, in particular the travel and subsistence expenses and the remuneration of agents, advisers or lawyers. Article\u00a074\n\n1. If there is a dispute concerning the costs to be recovered, the formation of the Court to which the case has been referred shall, on application by the party concerned and after hearing the opposite party and the Advocate General, make an order. 2. The parties may, for the purposes of enforcement, apply for an authenticated copy of the order. Article\u00a075\n\n1. Sums due from the cashier of the Court and from its debtors shall be paid in euro. 2. Where costs to be recovered have been incurred in a currency other than the euro or where the steps in respect of which payment is due were taken in a country of which the euro is not the currency, conversions of currency shall be made at the European Central Bank's official rates of exchange on the day of payment. Chapter 6\n\n\nLEGAL AID\n\n\nArticle\u00a076\n\n1. A party who is wholly or in part unable to meet the costs of the proceedings may at any time apply for legal aid. The application shall be accompanied by evidence of the applicant's need of assistance, and in particular by a document from the competent authority certifying his lack of means. 2. If the application is made prior to proceedings which the applicant wishes to commence, it shall briefly state the subject of such proceedings. The application need not be made through a lawyer. 3. The President shall designate a Judge to act as Rapporteur. The Court, on the Judge-Rapporteur's proposal and after hearing the Advocate General, shall refer the application to a formation of the Court which shall decide whether legal aid should be granted in full or in part, or whether it should be refused. That formation shall consider whether there is manifestly no cause of action. The formation of the Court shall give its decision by way of order. Where the application for legal aid is refused in whole or in part, the order shall state the reasons for that refusal. 4. The formation of the Court may at any time, either of its own motion or on application, withdraw legal aid if the circumstances which led to its being granted alter during the proceedings. 5. Where legal aid is granted, the cashier of the Court shall advance the funds necessary to meet the expenses. In its decision as to costs the Court may order the payment to the cashier of the Court of the whole or any part of amounts advanced as legal aid. The Registrar shall take steps to obtain the recovery of these sums from the party ordered to pay them. Chapter 7\n\n\nDISCONTINUANCE\n\n\nArticle\u00a077\nIf, before the Court has given its decision, the parties reach a settlement of their dispute and intimate to the Court the abandonment of their claims, the President shall order the case to be removed from the register and shall give a decision as to costs in accordance with Article\u00a069(5), having regard to any proposals made by the parties on the matter. This provision shall not apply to proceedings under Articles\u00a0263\u00a0TFEU and 265\u00a0TFEU. Article\u00a078\nIf the applicant informs the Court in writing that he wishes to discontinue the proceedings, the President shall order the case to be removed from the register and shall give a decision as to costs in accordance with Article\u00a069(5). Chapter 8\n\n\nSERVICE\n\n\nArticle\u00a079\n\n1. Where these Rules require that a document be served on a person, the Registrar shall ensure that service is effected at that person's address for service either by the dispatch of a copy of the document by registered post with a form for acknowledgement of receipt or by personal delivery of the copy against a receipt. The Registrar shall prepare and certify the copies of documents to be served, save where the parties themselves supply the copies in accordance with Article\u00a037(1) of these Rules. 2. Where, in accordance with the second subparagraph of Article\u00a038(2), the addressee has agreed that service is to be effected on him by telefax or other technical means of communication, any procedural document other than a judgment or order of the Court may be served by the transmission of a copy of the document by such means. Where, for technical reasons or on account of the nature or length of the document, such transmission is impossible or impracticable, the document shall be served, if the addressee has failed to state an address for service, at his address in accordance with the procedures laid down in paragraph\u00a01 of this article. The addressee shall be so advised by telefax or other technical means of communication. Service shall then be deemed to have been effected on the addressee by registered post on the 10th day following the lodging of the registered letter at the post office of the place where the Court has its seat, unless it is shown by the acknowledgement of receipt that the letter was received on a different date or the addressee informs the Registrar, within three weeks of being advised by telefax or other technical means of communication, that the document to be served has not reached him. Chapter 9\n\n\nTIME-LIMITS\n\n\nArticle\u00a080\n\n1. Any period of time prescribed by the Treaties, the Statute or these Rules for the taking of any procedural step shall be reckoned as follows:\n\n\n\n\n\n\n(a)\n\n\nwhere a period expressed in days, weeks, months or years is to be calculated from the moment at which an event occurs or an action takes place, the day during which that event occurs or that action takes place shall not be counted as falling within the period in question;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\na period expressed in weeks, months or in years shall end with the expiry of whichever day in the last week, month or year is the same day of the week, or falls on the same date, as the day during which the event or action from which the period is to be calculated occurred or took place. If, in a period expressed in months or in years, the day on which it should expire does not occur in the last month, the period shall end with the expiry of the last day of that month;\n\n\n\n\n\n\n\n\n\n\n(c)\n\n\nwhere a period is expressed in months and days, it shall first be reckoned in whole months, then in days;\n\n\n\n\n\n\n\n\n\n\n(d)\n\n\nperiods shall include official holidays, Sundays and Saturdays;\n\n\n\n\n\n\n\n\n\n\n(e)\n\n\nperiods shall not be suspended during the judicial vacations. 2. If the period would otherwise end on a Saturday, Sunday or an official holiday, it shall be extended until the end of the first following working day. A list of official holidays drawn up by the Court shall be published in the Official Journal of the European Union. Article\u00a081\n\n1. Where the period of time allowed for initiating proceedings against a measure adopted by an institution runs from the publication of that measure, that period shall be calculated, for the purposes of Article\u00a080(1)(a), from the end of the 14th day after publication thereof in the Official Journal of the European Union. 2. The prescribed time-limits shall be extended on account of distance by a single period of 10 days. Article\u00a082\nAny time-limit prescribed pursuant to these Rules may be extended by whoever prescribed it. The President and the Presidents of Chambers may delegate to the Registrar power of signature for the purpose of fixing time-limits which, pursuant to these Rules, it falls to them to prescribe or of extending such time-limits. Chapter 10\n\n\nSTAY OF PROCEEDINGS\n\n\nArticle\u00a082a\n\n1. The proceedings may be stayed:\n\n\n\n\n\n\n(a)\n\n\nin the circumstances specified in the third paragraph of Article\u00a054 of the Statute, by order of the Court, made after hearing the Advocate General;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nin all other cases, by decision of the President adopted after hearing the Advocate General and, save in the case of references for a preliminary ruling as referred to in Article\u00a0103, the parties. The proceedings may be resumed by order or decision, following the same procedure. The orders or decisions referred to in this paragraph shall be served on the parties. 2. The stay of proceedings shall take effect on the date indicated in the order or decision of stay or, in the absence of such indication, on the date of that order or decision. While proceedings are stayed time shall cease to run for the purposes of prescribed time-limits for all parties. 3. Where the order or decision of stay does not fix the length of stay, it shall end on the date indicated in the order or decision of resumption or, in the absence of such indication, on the date of the order or decision of resumption. From the date of resumption time shall begin to run afresh for the purposes of the time-limits. TITLE\u00a0III\n\nSPECIAL FORMS OF PROCEDURE\n\n\n\nChapter 1\n\n\nSUSPENSION OF OPERATION OR ENFORCEMENT AND OTHER INTERIM MEASURES\n\n\nArticle\u00a083\n\n1. An application to suspend the operation of any measure adopted by an institution, made pursuant to Article\u00a0278\u00a0TFEU or Article\u00a0157\u00a0TEAEC, shall be admissible only if the applicant is challenging that measure in proceedings before the Court. An application for the adoption of any other interim measure referred to in Article\u00a0279\u00a0TFEU shall be admissible only if it is made by a party to a case before the Court and relates to that case. 2. An application of a kind referred to in paragraph\u00a01 of this Article shall state the subject-matter of the proceedings, the circumstances giving rise to urgency and the pleas of fact and law establishing a prima facie case for the interim measures applied for. 3. The application shall be made by a separate document and in accordance with the provisions of Articles\u00a037 and 38 of these Rules. Article\u00a084\n\n1. The application shall be served on the opposite party, and the President shall prescribe a short period within which that party may submit written or oral observations. 2. The President may order a preparatory inquiry. The President may grant the application even before the observations of the opposite party have been submitted. This decision may be varied or cancelled even without any application being made by any party. Article\u00a085\nThe President shall either decide on the application himself or refer it to the Court. If the President is absent or prevented from attending, Article\u00a011 of these Rules shall apply. Where the application is referred to it, the Court shall postpone all other cases, and shall give a decision after hearing the Advocate General. Article\u00a084 shall apply. Article\u00a086\n\n1. The decision on the application shall take the form of a reasoned order, from which no appeal shall lie. The order shall be served on the parties forthwith. 2. The enforcement of the order may be made conditional on the lodging by the applicant of security, of an amount and nature to be fixed in the light of the circumstances. 3. Unless the order fixes the date on which the interim measure is to lapse, the measure shall lapse when final judgment is delivered. 4. The order shall have only an interim effect, and shall be without prejudice to the decision of the Court on the substance of the case. Article\u00a087\nOn application by a party, the order may at any time be varied or cancelled on account of a change in circumstances. Article\u00a088\nRejection of an application for an interim measure shall not bar the party who made it from making a further application on the basis of new facts. Article\u00a089\nThe provisions of this Chapter shall apply to applications to suspend the enforcement of a decision of the Court or of any measure adopted by another institution, submitted pursuant to Articles\u00a0280\u00a0TFEU and 299\u00a0TFEU or Article\u00a0164\u00a0TEAEC. The order granting the application shall fix, where appropriate, a date on which the interim measure is to lapse. Article\u00a090\n\n1. An application of a kind referred to in the third and fourth paragraphs of Article\u00a081\u00a0TEAEC shall contain:\n\n\n\n\n\n\n(a)\n\n\nthe names and addresses of the persons or undertakings to be inspected;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nan indication of what is to be inspected and of the purpose of the inspection. 2. The President shall give his decision in the form of an order. Article\u00a086 of these Rules shall apply. If the President is absent or prevented from attending, Article\u00a011 of these Rules shall apply. Chapter 2\n\n\nPRELIMINARY ISSUES\n\n\nArticle\u00a091\n\n1. A party applying to the Court for a decision on a preliminary objection or other preliminary plea not going to the substance of the case shall make the application by a separate document. The application must state the pleas of fact and law relied on and the form of order sought by the applicant; any supporting documents must be annexed to it. 2. As soon as the application has been lodged, the President shall prescribe a period within which the opposite party may lodge a document containing a statement of the form of order sought by that party and its pleas in law. 3. Unless the Court decides otherwise, the remainder of the proceedings shall be oral. 4. The Court shall, after hearing the Advocate General, decide on the application or reserve its decision for the final judgment. If the Court refuses the application or reserves its decision, the President shall prescribe new time-limits for the further steps in the proceedings. Article\u00a092\n\n1. Where it is clear that the Court has no jurisdiction to take cognisance of an action or where the action is manifestly inadmissible, the Court may, by reasoned order, after hearing the Advocate General and without taking further steps in the proceedings, give a decision on the action. 2. The Court may at any time of its own motion, after hearing the parties, decide whether there exists any absolute bar to proceeding with a case or declare that the action has become devoid of purpose and that there is no need to adjudicate on it; it shall give its decision in accordance with Article\u00a091(3) and (4) of these Rules. Chapter 3\n\n\nINTERVENTION\n\n\nArticle\u00a093\n\n1. An application to intervene must be made within six weeks of the publication of the notice referred to in Article\u00a016(6) of these Rules. The application shall contain:\n\n\n\n\n\n\n(a)\n\n\nthe description of the case;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nthe description of the parties;\n\n\n\n\n\n\n\n\n\n\n(c)\n\n\nthe name and address of the intervener;\n\n\n\n\n\n\n\n\n\n\n(d)\n\n\nthe intervener's address for service at the place where the Court has its seat;\n\n\n\n\n\n\n\n\n\n\n(e)\n\n\nthe form of order sought, by one or more of the parties, in support of which the intervener is applying for leave to intervene;\n\n\n\n\n\n\n\n\n\n\n(f)\n\n\na statement of the circumstances establishing the right to intervene, where the application is submitted pursuant to the second or third paragraph of Article\u00a040 of the Statute. The intervener shall be represented in accordance with Article\u00a019 of the Statute. Articles\u00a037 and 38 of these Rules shall apply. 2. The application shall be served on the parties. The President shall give the parties an opportunity to submit their written or oral observations before deciding on the application. The President shall decide on the application by order or shall refer the application to the Court. 3. If the President allows the intervention, the intervener shall receive a copy of every document served on the parties. The President may, however, on application by one of the parties, omit secret or confidential documents. 4. The intervener must accept the case as he finds it at the time of his intervention. 5. The President shall prescribe a period within which the intervener may submit a statement in intervention. The statement in intervention shall contain:\n\n\n\n\n\n\n(a)\n\n\na statement of the form of order sought by the intervener in support of or opposing, in whole or in part, the form of order sought by one of the parties;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nthe pleas in law and arguments relied on by the intervener;\n\n\n\n\n\n\n\n\n\n\n(c)\n\n\nwhere appropriate, the nature of any evidence offered. 6. After the statement in intervention has been lodged, the President shall, where necessary, prescribe a time-limit within which the parties may reply to that statement. 7. Consideration may be given to an application to intervene which is made after the expiry of the period prescribed in paragraph\u00a01 but before the decision to open the oral procedure provided for in Article\u00a044(3). In that event, if the President allows the intervention, the intervener may submit his observations during the oral procedure, if that procedure takes place. Chapter 4\n\n\nJUDGMENTS BY DEFAULT AND APPLICATIONS TO SET THEM ASIDE\n\n\nArticle\u00a094\n\n1. If a defendant on whom an application initiating proceedings has been duly served fails to lodge a defence to the application in the proper form within the time prescribed, the applicant may apply for judgment by default. The application shall be served on the defendant. The Court may decide to open the oral procedure on the application. 2. Before giving judgment by default the Court shall, after hearing the Advocate General, consider whether the application initiating proceedings is admissible, whether the appropriate formalities have been complied with, and whether the application appears well founded. The Court may order a preparatory inquiry. 3. A judgment by default shall be enforceable. The Court may, however, grant a stay of execution until the Court has given its decision on any application under paragraph\u00a04 to set aside the judgment, or it may make execution subject to the provision of security of an amount and nature to be fixed in the light of the circumstances; this security shall be released if no such application is made or if the application fails. 4. Application may be made to set aside a judgment by default. The application to set aside the judgment must be made within one month from the date of service of the judgment and must be lodged in the form prescribed by Articles\u00a037 and 38 of these Rules. 5. After the application has been served, the President shall prescribe a period within which the other party may submit his written observations. The proceedings shall be conducted in accordance with Article\u00a044 et seq. of these Rules. 6. The Court shall decide by way of a judgment which may not be set aside. The original of this judgment shall be annexed to the original of the judgment by default. A note of the judgment on the application to set aside shall be made in the margin of the original of the judgment by default. Chapter 5\n\n\nArticle\u00a095\n\n(repealed)\n\n\n\nArticle\u00a096\n\n(repealed)\n\n\n\n\n\nChapter 6\n\n\nEXCEPTIONAL REVIEW PROCEDURES\n\n\nSection\u00a01 \u2014 Third-party proceedings\n\nArticle\u00a097\n\n1. Articles\u00a037 and 38 of these Rules shall apply to an application initiating third-party proceedings. In addition such an application shall:\n\n\n\n\n\n\n(a)\n\n\nspecify the judgment contested;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nstate how that judgment is prejudicial to the rights of the third party;\n\n\n\n\n\n\n\n\n\n\n(c)\n\n\nindicate the reasons for which the third party was unable to take part in the original case. The application must be made against all the parties to the original case. Where the judgment has been published in the Official Journal of the European Union, the application must be lodged within two months of the publication. 2. The Court may, on application by the third party, order a stay of execution of the judgment. The provisions of Title\u00a0III, Chapter\u00a0I, of these Rules shall apply. 3. The contested judgment shall be varied on the points on which the submissions of the third party are upheld. The original of the judgment in the third-party proceedings shall be annexed to the original of the contested judgment. A note of the judgment in the third-party proceedings shall be made in the margin of the original of the contested judgment. Section\u00a02 \u2014 Revision\n\nArticle\u00a098\nAn application for revision of a judgment shall be made within three months of the date on which the facts on which the application is based came to the applicant's knowledge. Article\u00a099\n\n1. Articles\u00a037 and 38 of these Rules shall apply to an application for revision. In addition such an application shall:\n\n\n\n\n\n\n(a)\n\n\nspecify the judgment contested;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nindicate the points on which the judgment is contested;\n\n\n\n\n\n\n\n\n\n\n(c)\n\n\nset out the facts on which the application is based;\n\n\n\n\n\n\n\n\n\n\n(d)\n\n\nindicate the nature of the evidence to show that there are facts justifying revision of the judgment, and that the time-limit laid down in Article\u00a098 has been observed. 2. The application must be made against all parties to the case in which the contested judgment was given. Article\u00a0100\n\n1. Without prejudice to its decision on the substance, the Court, in closed session, shall, after hearing the Advocate General and having regard to the written observations of the parties, give in the form of a judgment its decision on the admissibility of the application. 2. If the Court finds the application admissible, it shall proceed to consider the substance of the application and shall give its decision in the form of a judgment in accordance with these Rules. 3. The original of the revising judgment shall be annexed to the original of the judgment revised. A note of the revising judgment shall be made in the margin of the original of the judgment revised. Chapter 7\n\n\nAPPEALS AGAINST DECISIONS OF THE ARBITRATION COMMITTEE\n\n\nArticle\u00a0101\n\n1. An application initiating an appeal under the second paragraph of Article\u00a018\u00a0TEAEC shall state:\n\n\n\n\n\n\n(a)\n\n\nthe name and address of the applicant;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nthe description of the signatory;\n\n\n\n\n\n\n\n\n\n\n(c)\n\n\na reference to the arbitration committee's decision against which the appeal is made;\n\n\n\n\n\n\n\n\n\n\n(d)\n\n\nthe description of the parties;\n\n\n\n\n\n\n\n\n\n\n(e)\n\n\na summary of the facts;\n\n\n\n\n\n\n\n\n\n\n(f)\n\n\nthe pleas in law of and the form of order sought by the applicant. 2. Articles\u00a037(3) and (4) and 38(2), (3) and (5) of these Rules shall apply. A certified copy of the contested decision shall be annexed to the application. 3. As soon as the application has been lodged, the Registrar of the Court shall request the arbitration committee registry to transmit to the Court the papers in the case. 4. Articles\u00a039, 40 and 55 et seq. of these Rules shall apply to these proceedings. 5. The Court shall give its decision in the form of a judgment. Where the Court sets aside the decision of the arbitration committee it may refer the case back to the committee. Chapter 8\n\n\nINTERPRETATION OF JUDGMENTS\n\n\nArticle\u00a0102\n\n1. An application for interpretation of a judgment shall be made in accordance with Articles\u00a037 and 38 of these Rules. In addition it shall specify:\n\n\n\n\n\n\n(a)\n\n\nthe judgment in question;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nthe passages of which interpretation is sought. The application must be made against all the parties to the case in which the judgment was given. 2. The Court shall give its decision in the form of a judgment after having given the parties an opportunity to submit their observations and after hearing the Advocate General. The original of the interpreting judgment shall be annexed to the original of the judgment interpreted. A note of the interpreting judgment shall be made in the margin of the original of the judgment interpreted. Chapter 9\n\n\nPRELIMINARY RULINGS AND OTHER REFERENCES FOR INTERPRETATION\n\n\nArticle\u00a0103\n\n1. In cases governed by Article\u00a023 of the Statute, the procedure shall be governed by the provisions of these Rules, subject to adaptations necessitated by the nature of the reference for a preliminary ruling. 2. The provisions of paragraph\u00a01 shall apply to the references for a preliminary ruling provided for in the Protocol concerning the interpretation by the Court of Justice of the Convention of 29\u00a0February 1968 on the mutual recognition of companies and legal persons and the Protocol concerning the interpretation by the Court of Justice of the Convention of 27\u00a0September 1968 on jurisdiction and the enforcement of judgments in civil and commercial matters, signed at Luxembourg on 3\u00a0June 1971, and to the references provided for by Article\u00a04 of the latter Protocol. The provisions of paragraph\u00a01 shall apply also to references for interpretation provided for by other existing or future agreements. Article\u00a0104\n\n1. The decisions of national courts or tribunals referred to in Article\u00a0103 shall be communicated to the Member States in the original version, accompanied by a translation into the official language of the State to which they are addressed. Where appropriate on account of the length of the national court's decision, such translation shall be replaced by the translation into the official language of the State to which it is addressed of a summary of the decision, which will serve as a basis for the position to be adopted by that State. The summary shall include the full text of the question or questions referred for a preliminary ruling. That summary shall contain, in particular, in so far as that information appears in the national court's decision, the subject-matter of the main proceedings, the essential arguments of the parties in the main proceedings, a succinct presentation of the reasoning in the reference for a preliminary ruling and the case-law and the provisions of European Union and domestic law relied on. In the cases governed by the third paragraph of Article\u00a023 of the Statute, the decisions of national courts or tribunals shall be notified to the States, other than the Member States, which are parties to the EEA Agreement and also to the EFTA Surveillance Authority in the original version, accompanied by a translation of the decision, or where appropriate of a summary, into one of the languages mentioned in Article\u00a029(1), to be chosen by the addressee of the notification. Where a non-Member State has the right to take part in proceedings for a preliminary ruling pursuant to the fourth paragraph of Article\u00a023 of the Statute, the original version of the decision of the national court or tribunal shall be communicated to it together with a translation of the decision, or where appropriate of a summary, into one of the languages mentioned in Article\u00a029(1), to be chosen by the non-Member State concerned. 2. As regards the representation and attendance of the parties to the main proceedings in the preliminary ruling procedure the Court shall take account of the rules of procedure of the national court or tribunal which made the reference. 3. Where a question referred to the Court for a preliminary ruling is identical to a question on which the Court has already ruled, or where the answer to such a question may be clearly deduced from existing case-law, the Court may, after hearing the Advocate General, at any time give its decision by reasoned order in which reference is made to its previous judgment or to the relevant case-law. The Court may also give its decision by reasoned order, after informing the court or tribunal which referred the question to it, hearing any observations submitted by the persons referred to in Article\u00a023 of the Statute and after hearing the Advocate General, where the answer to the question referred to the Court for a preliminary ruling admits of no reasonable doubt. 4. Without prejudice to paragraph (3) of this Article, the procedure before the Court in the case of a reference for a preliminary ruling shall also include an oral part. However, after the statements of case or written observations referred to Article\u00a023 of the Statute have been submitted, the Court, acting on a report from the Judge-Rapporteur, after informing the persons who under the aforementioned provisions are entitled to submit such statements or observations, may, after hearing the Advocate General, decide otherwise, provided that none of those persons has submitted an application setting out the reasons for which he wishes to be heard. The application shall be submitted within a period of three weeks from service on the party or person of the written statements of case or written observations which have been lodged. That period may be extended by the President. 5. The Court may, after hearing the Advocate General, request clarification from the national court. 6. It shall be for the national court or tribunal to decide as to the costs of the reference. In special circumstances the Court may grant, by way of legal aid, assistance for the purpose of facilitating the representation or attendance of a party. Article\u00a0104a\nAt the request of the national court, the President may exceptionally decide, on a proposal from the Judge-Rapporteur and after hearing the Advocate General, to apply an accelerated procedure derogating from the provisions of these Rules to a reference for a preliminary ruling, where the circumstances referred to establish that a ruling on the question put to the Court is a matter of exceptional urgency. In that event, the President may immediately fix the date for the hearing, which shall be notified to the parties in the main proceedings and to the other persons referred to in Article\u00a023 of the Statute when the decision making the reference is served. The parties and other interested persons referred to in the preceding paragraph may lodge statements of case or written observations within a period prescribed by the President, which shall not be less than 15 days. The President may request the parties and other interested persons to restrict the matters addressed in their statement of case or written observations to the essential points of law raised by the question referred. The statements of case or written observations, if any, shall be notified to the parties and to the other persons referred to above prior to the hearing. The Court shall rule after hearing the Advocate General. Article\u00a0104b\n\n1. A reference for a preliminary ruling which raises one or more questions in the areas covered by Title\u00a0V of Part Three of the Treaty on the Functioning of the European Union may, at the request of the national court or tribunal or, exceptionally, of the Court's own motion, be dealt with under an urgent procedure which derogates from the provisions of these Rules. The national court or tribunal shall set out, in its request, the matters of fact and law which establish the urgency and justify the application of that exceptional procedure and shall, in so far as possible, indicate the answer it proposes to the questions referred. If the national court or tribunal has not submitted a request for the urgent procedure to be applied, the President of the Court may, if the application of that procedure appears, prima facie, to be required, ask the Chamber referred to below to consider whether it is necessary to deal with the reference under that procedure. The decision to deal with a reference for a preliminary ruling under the urgent procedure shall be taken by the designated Chamber, acting on a report of the Judge-Rapporteur and after hearing the Advocate General. The composition of that Chamber shall be determined in accordance with Article\u00a011c on the day on which the case is assigned to the Judge-Rapporteur if the application of the urgent procedure is requested by the national court or tribunal, or, if the application of that procedure is considered at the request of the President of the Court, on the day on which that request is made. 2. A reference for a preliminary ruling of the kind referred to in the preceding paragraph shall, where the national court or tribunal has requested the application of the urgent procedure or where the President has requested the designated Chamber to consider whether it is necessary to deal with the reference under that procedure, be notified forthwith by the Registrar to the parties to the action before the national court or tribunal, to the Member State from which the reference is made and to the institutions referred to in the first paragraph of Article\u00a023 of the Statute, in accordance with that provision. The decision as to whether or not to deal with the reference for a preliminary ruling under the urgent procedure shall be notified forthwith to the national court or tribunal and to the parties, Member State and institutions referred to in the preceding subparagraph. The decision to deal with the reference under the urgent procedure shall prescribe the period within which those parties or entities may lodge statements of case or written observations. The decision may specify the matters of law to which such statements of case or written observations must relate and may specify the maximum length of those documents. As soon as the notification referred to in the first subparagraph above has been made, the reference for a preliminary ruling shall also be communicated to the interested persons referred to in Article\u00a023 of the Statute, other than the persons notified, and the decision whether or not to deal with the reference for a preliminary ruling under the urgent procedure shall be communicated to those interested persons as soon as the notification referred to in the second subparagraph has been made. The parties and other interested persons referred to in Article\u00a023 of the Statute shall be informed as soon as may be possible of the foreseeable date of the hearing. Where the reference is not to be dealt with under the urgent procedure, the proceedings shall continue in accordance with the provisions of Article\u00a023 of the Statute and the applicable provisions of these Rules. 3. A reference for a preliminary ruling which is to be dealt with under an urgent procedure, together with the statements of case or written observations which have been lodged, shall be served on the persons referred to in Article\u00a023 of the Statute other than the parties and the entities referred to in the first subparagraph of the preceding paragraph of this Article. The reference for a preliminary ruling shall be accompanied by a translation, where appropriate in summary form, in accordance with Article\u00a0104(1). The statements of case or written observations which have been lodged shall also be served on the parties and the other persons referred to in the first subparagraph of Article\u00a0104b(2). The date of the hearing shall be notified to the parties and those other persons at the same time as the documents referred to in the preceding paragraphs are served. 4. The Chamber may, in cases of extreme urgency, decide to omit the written part of the procedure referred to in the second subparagraph of paragraph\u00a02 of this Article. 5. The designated Chamber shall rule after hearing the Advocate General. It may decide to sit in a formation of three Judges. In that event, it shall be composed of the President of the designated Chamber, the Judge-Rapporteur and the first Judge or, as the case may be, the first two Judges designated from the list referred to in Article\u00a011c(2) on the date on which the composition of the designated Chamber is determined in accordance with the fourth subparagraph of paragraph\u00a01 of this Article. It may also decide to refer the case back to the Court in order for it to be assigned to a formation composed of a greater number of Judges. The urgent procedure shall continue before the new formation, where necessary after the reopening of the oral procedure. 6. The procedural documents referred to in this Article shall be deemed to have been lodged on the transmission to the Registry, by telefax or other technical means of communication available to the Court, of a copy of the signed original and the documents relied on in support of it, together with the schedule referred to in Article\u00a037(4). The original of the document and the annexes referred to above shall be sent to the Registry. Where this Article requires that a document be notified to or served on a person, such notification or service may be effected by the transmission of a copy of the document by telefax or other technical means of communication available to the Court and the addressee. Chapter 10\n\n\nSPECIAL PROCEDURES UNDER ARTICLES\u00a0103\u00a0TEAEC TO 105\u00a0TEAEC\n\n\nArticle\u00a0105\n\n1. Four certified copies shall be lodged of an application under the third paragraph of Article\u00a0103\u00a0TEAEC. The European Commission shall be served with a copy. 2. The application shall be accompanied by the draft of the agreement or contract in question, by the observations of the European Commission addressed to the State concerned and by all other supporting documents. The European Commission shall submit its observations to the Court within a period of 10 days, which may be extended by the President after the State concerned has been heard. A certified copy of the observations shall be served on that State. 3. As soon as the application has been lodged the President shall designate a Judge to act as Rapporteur. The First Advocate General shall assign the case to an Advocate General as soon as the Judge-Rapporteur has been designated. 4. The decision shall be taken in closed session after the Advocate General has been heard. The agents and advisers of the State concerned and of the European Commission shall be heard if they so request. Article\u00a0106\n\n1. In cases provided for in the last paragraph of Article\u00a0104\u00a0TEAEC and the last paragraph of Article\u00a0105\u00a0TEAEC, the provisions of Article\u00a037 et seq. of these Rules shall apply. 2. The application shall be served on the State to which the respondent person or undertaking belongs. Chapter 11\n\n\nOPINIONS\n\n\nArticle\u00a0107\n\n1. A request by the European Parliament for an opinion pursuant to Article\u00a0218\u00a0TFEU shall be served on the Council, on the European Commission and on the Member States. Such a request by the Council shall be served on the European Commission and on the European Parliament. Such a request by the European Commission shall be served on the Council, on the European Parliament and on the Member States. Such a request by a Member State shall be served on the Council, on the European Commission, on the European Parliament and on the other Member States. The President shall prescribe a period within which the institutions and Member States which have been served with a request may submit their written observations. 2. The Opinion may deal not only with the question whether the envisaged agreement is compatible which the provisions of the Treaties but also with the question whether the Union or any Union institution has the power to enter into that agreement. Article\u00a0108\n\n1. As soon as the request for an Opinion has been lodged, the President shall designate a Judge to act as Rapporteur. 2. The Court sitting in closed session shall, after hearing the Advocates General, deliver a reasoned Opinion. 3. The Opinion, signed by the President, by the Judges who took part in the deliberations and by the Registrar, shall be served on the Council, the European Commission, the European Parliament and the Member States. Article\u00a0109\n(repealed)\n\n\n\n\nChapter 12\n\n\nREQUESTS FOR INTERPRETATION UNDER ARTICLE\u00a068 OF THE EC TREATY\n\n\nArticle\u00a0109a\n(repealed)\n\n\n\n\nChapter 13\n\n\nSETTLEMENT OF THE DISPUTES REFERRED TO IN ARTICLE\u00a035 OF THE UNION TREATY IN THE VERSION IN FORCE BEFORE THE ENTRY INTO FORCE OF THE TREATY OF LISBON\n\n\nArticle\u00a0109b\n\n1. In the case of disputes between Member States as referred to in Article\u00a035(7)\u00a0TEU in the version in force before the entry into force of the Treaty of Lisbon, as maintained in force by Protocol No\u00a036 annexed to the Treaties, the matter shall be brought before the Court by an application by a party to the dispute. The application shall be served on the other Member States and on the European Commission. In the case of disputes between Member States and the European Commission as referred to in Article\u00a035(7)\u00a0TEU in the version in force before the entry into force of the Treaty of Lisbon, as maintained in force by Protocol No\u00a036 annexed to the Treaties, the matter shall be brought before the Court by an application by a party to the dispute. The application shall be served on the other Member States, the Council and the European Commission if it was made by a Member State. The application shall be served on the Member States and on the Council if it was made by the European Commission. The President shall prescribe a time-limit within which the institutions and the Member States on which the application has been served are to submit their written observations. 2. As soon as the application referred to in paragraph\u00a01 has been submitted, the President shall designate the Judge-Rapporteur. The First Advocate General shall thereupon assign the application to an Advocate General. 3. The Court shall, after the Advocate General has delivered his Opinion, give its ruling on the dispute by way of judgment. The procedure relating to the application shall include an oral part where a Member State or one of the institutions referred to in paragraph\u00a01 so requests. 4. The same procedure shall apply where an agreement concluded between the Member States confers jurisdiction on the Court to rule on a dispute between Member States or between Member States and an institution. TITLE\u00a0IV\n\nAPPEALS AGAINST DECISIONS OF THE GENERAL COURT\n\n\nArticle\u00a0110\nWithout prejudice to the arrangements laid down in Article\u00a029(2)(b) and (c) and the fourth subparagraph of Article\u00a029(3) of these Rules, in appeals against decisions of the General Court as referred to in Articles\u00a056 and 57 of the Statute, the language of the case shall be the language of the decision of the General Court against which the appeal is brought. Article\u00a0111\n\n1. An appeal shall be brought by lodging an application at the Registry of the Court of Justice or of the General Court. 2. The Registry of the General Court shall immediately transmit to the Registry of the Court of Justice the papers in the case at first instance and, where necessary, the appeal. Article\u00a0112\n\n1. An appeal shall contain:\n\n\n\n\n\n\n(a)\n\n\nthe name and address of the appellant;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nthe names of the other parties to the proceedings before the General Court;\n\n\n\n\n\n\n\n\n\n\n(c)\n\n\nthe pleas in law and legal arguments relied on;\n\n\n\n\n\n\n\n\n\n\n(d)\n\n\nthe form or order sought by the appellant. Article\u00a037 and Article\u00a038(2) and (3) of these Rules shall apply to appeals. 2. The decision of the General Court appealed against shall be attached to the appeal. The appeal shall state the date on which the decision appealed against was notified to the appellant. 3. If an appeal does not comply with Article\u00a038(3) or with paragraph\u00a02 of this Article, Article\u00a038(7) of these Rules shall apply. Article\u00a0113\n\n1. An appeal may seek:\n\n\n\n\n\n\n\u2014\n\n\nto set aside, in whole or in part, the decision of the General Court;\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nthe same form of order, in whole or in part, as that sought at first instance and shall not seek a different form of order. 2. The subject-matter of the proceedings before the General Court may not be changed in the appeal. Article\u00a0114\nNotice of the appeal shall be served on all the parties to the proceedings before the General Court. Article\u00a039 of these Rules shall apply. Article\u00a0115\n\n1. Any party to the proceedings before the General Court may lodge a response within two months after service on him of notice of the appeal. The time-limit for lodging a response shall not be extended. 2. A response shall contain:\n\n\n\n\n\n\n(a)\n\n\nthe name and address of the party lodging it;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nthe date on which notice of the appeal was served on him;\n\n\n\n\n\n\n\n\n\n\n(c)\n\n\nthe pleas in law and legal arguments relied on;\n\n\n\n\n\n\n\n\n\n\n(d)\n\n\nthe form of order sought by the respondent. Article\u00a037 and Article\u00a038(2) and (3) of these Rules shall apply. Article\u00a0116\n\n1. A response may seek:\n\n\n\n\n\n\n\u2014\n\n\nto dismiss, in whole or in part, the appeal or to set aside, in whole or in part, the decision of the General Court;\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nthe same form of order, in whole or in part, as that sought at first instance and shall not seek a different form of order. 2. The subject-matter of the proceedings before the General Court may not be changed in the response. Article\u00a0117\n\n1. The appeal and the response may be supplemented by a reply and a rejoinder where the President, on application made by the appellant within seven days of service of the response, considers such further pleading necessary and expressly allows the submission of a reply in order to enable the appellant to put forward his point of view or in order to provide a basis for the decision on the appeal. The President shall prescribe the date by which the reply is to be submitted and, upon service of that pleading, the date by which the rejoinder is to be submitted. 2. Where the response seeks to set aside, in whole or in part, the decision of the General Court on a plea in law which was not raised in the appeal, the appellant or any other party may submit a reply on that plea alone within two months of the service of the response in question. Paragraph\u00a01 shall apply to any further pleading following such a reply. Article\u00a0118\nSubject to the following provisions, Articles\u00a042(2), 43, 44, 55 to 90, 93, 95 to 100 and 102 of these Rules shall apply to the procedure before the Court of Justice on appeal from a decision of the General Court. Article\u00a0119\nWhere the appeal is, in whole or in part, clearly inadmissible or clearly unfounded, the Court may at any time, acting on a report from the Judge-Rapporteur and after hearing the Advocate General, by reasoned order dismiss the appeal in whole or in part. Article\u00a0120\nAfter the submission of pleadings as provided for in Article\u00a0115(1) and, if any, Article\u00a0117(1) and (2) of these Rules, the Court, acting on a report from the Judge-Rapporteur and after hearing the Advocate General and the parties, may decide to dispense with the oral part of the procedure unless one of the parties submits an application setting out the reasons for which he wishes to be heard. The application shall be submitted within a period of three weeks from notification to the party of the close of the written procedure. That period may be extended by the President. Article\u00a0121\nThe report referred to in Article\u00a044(2) shall be presented to the Court after the pleadings provided for in Article\u00a0115(1) and where appropriate Article\u00a0117(1) and (2) of these Rules have been lodged. Where no such pleadings are lodged, the same procedure shall apply after the expiry of the period prescribed for lodging them. Article\u00a0122\nWhere the appeal is unfounded or where the appeal is well founded and the Court itself gives final judgment in the case, the Court shall make a decision as to costs. In proceedings between the Union and its servants:\n\n\n\n\n\n\n\u2014\n\n\nArticle\u00a070 of these Rules shall apply only to appeals brought by institutions;\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nby way of derogation from Article\u00a069(2) of these Rules, the Court may, in appeals brought by officials or other servants of an institution, order the parties to share the costs where equity so requires. If the appeal is withdrawn Article\u00a069(5) shall apply. When an appeal brought by a Member State or an institution which did not intervene in the proceedings before the General Court is well founded, the Court of Justice may order that the parties share the costs or that the successful appellant pay the costs which the appeal has caused an unsuccessful party to incur. Article\u00a0123\nAn application to intervene made to the Court in appeal proceedings shall be lodged before the expiry of a period of one month running from the publication referred to in Article\u00a016(6). TITLE\u00a0IVA\n\nREVIEW OF DECISIONS OF THE GENERAL COURT\n\n\nArticle\u00a0123a\nWithout prejudice to the arrangements laid down in Article\u00a029(2)(b) and (c) and the fourth and fifth subparagraphs of Article\u00a029(3) of these Rules, where, in accordance with the second paragraph of Article\u00a062 of the Statute, the Court decides to review a decision of the General Court, the language of the case shall be the language of the decision of the General Court which is subject to review. Article\u00a0123b\nA special Chamber shall be set up for the purpose of deciding, in accordance with Article\u00a0123d, whether a decision of the General Court is to be reviewed in accordance with Article\u00a062 of the Statute. That Chamber shall be composed of the President of the Court and of four of the Presidents of the Chambers of five Judges designated according to the order of precedence laid down in Article\u00a06 of these Rules. Article\u00a0123c\nAs soon as the date for the delivery of a decision to be given under Article\u00a0256(2) or (3)\u00a0TFEU is fixed, the Registry of the General Court shall inform the Registry of the Court of Justice. The decision shall be communicated immediately upon its delivery. Article\u00a0123d\nThe proposal of the First Advocate General to review a decision of the General Court shall be forwarded to the President of the Court of Justice and notice of that transmission shall be given to the Registrar at the same time. Where the decision of the General Court has been given under Article\u00a0256(3)\u00a0TFEU, the Registrar shall forthwith inform the General Court, the national court and the parties to the proceedings before the national court of the proposal to review. As soon as the proposal to review has been received, the President shall designate the Judge-Rapporteur from among the Judges of the Chamber referred to in Article\u00a0123b. That Chamber, acting on a report from the Judge-Rapporteur, shall decide whether the decision of the General Court is to be reviewed. The decision to review the decision of the General Court shall indicate the questions which are to be reviewed. Where the decision of the General Court has been given under Article\u00a0256(2)\u00a0TFEU, the General Court, the parties to the proceedings before it and the other interested parties referred to in the second paragraph of Article\u00a062a of the Statute shall forthwith be informed by the Registrar of the decision of the Court of Justice to review the decision of the General Court. Where the decision of the General Court has been given under Article\u00a0256(3)\u00a0TFEU, the General Court, the national court, the parties to the proceedings before the national court and the other interested parties referred to in the second paragraph of Article\u00a062a of the Statute shall forthwith be informed by the Registrar of the decision of the Court of Justice as to whether or not the decision of the General Court is to be reviewed. Notice of a decision to review the decision of the General Court shall be given in the Official Journal of the European Union. Article\u00a0123e\nThe decision to review a decision of the General Court shall be notified to the parties and other interested parties referred to in the second paragraph of Article\u00a062a of the Statute. The notification to the Member States, and the States, other than the Member States, which are parties to the EEA Agreement, as well as the EFTA Surveillance Authority, shall be accompanied by a translation of the decision of the Court of Justice in accordance with the provisions of the first and second subparagraphs of Article\u00a0104(1) of these Rules. The decision of the Court of Justice shall also be communicated to the General Court and, in cases involving a decision given by that Court under Article\u00a0256(3)\u00a0TFEU, to the national court concerned. Within one month of the notification referred to in the preceding paragraph, the parties and other persons to whom the decision of the Court of Justice has been notified may lodge statements or written observations on the questions which are subject to review. As soon as a decision to review a decision of the General Court has been taken, the First Advocate General shall assign the review to an Advocate General. After designating the Judge-Rapporteur, the President shall fix the date on which the latter is to present a preliminary report to the general meeting of the Court. That report shall contain the recommendations of the Judge-Rapporteur as to whether any preparatory steps should be taken, as to the formation of the Court to which the review should be assigned and as to whether a hearing should take place, and also as to the manner in which the Advocate General should present his views. The Court shall decide, after hearing the Advocate General, what action to take upon the recommendations of the Judge-Rapporteur. Where the decision of the General Court which is subject to review was given under Article\u00a0256(2)\u00a0TFEU, the Court of Justice shall make a decision as to costs. TITLE\u00a0V\n\nPROCEDURES PROVIDED FOR BY THE EEA AGREEMENT\n\n\nArticle\u00a0123f\n\n1. In the case governed by Article\u00a0111(3) of the EEA Agreement,\u00a0(3) the matter shall be brought before the Court by a request submitted by the Contracting Parties to the dispute. The request shall be served on the other Contracting Parties, on the European Commission, on the EFTA Surveillance Authority and, where appropriate, on the other persons to whom a reference for a preliminary ruling raising the same question of interpretation of European Union legislation would be notified. The President shall prescribe a period within which the Contracting Parties and the other persons on whom the request has been served may submit written observations. The request shall be made in one of the languages mentioned in Article\u00a029(1). Paragraphs\u00a03 to 5 of that Article shall apply. The provisions of Article\u00a0104(1) shall apply mutatis mutandis. 2. As soon as the request referred to in paragraph\u00a01 of this Article has been submitted, the President shall appoint a Judge-Rapporteur. The First Advocate General shall, immediately afterwards, assign the request to an Advocate General. The Court shall, after hearing the Advocate General, give a reasoned decision on the request in closed session. 3. The decision of the Court, signed by the President, by the Judges who took part in the deliberations and by the Registrar, shall be served on the Contracting Parties and on the other persons referred to in paragraph\u00a01. Article\u00a0123g\nIn the case governed by Article\u00a01 of Protocol 34 to the EEA Agreement, the request of a court or tribunal of an EFTA State shall be served on the parties to the case, on the Contracting Parties, on the European Commission, on the EFTA Surveillance Authority and, where appropriate, on the other persons to whom a reference for a preliminary ruling raising the same question of interpretation of European Union legislation would be notified. If the request is not submitted in one of the languages mentioned in Article\u00a029(1), it shall be accompanied by a translation into one of those languages. Within two months of this notification, the parties to the case, the Contracting Parties and the other persons referred to in the first paragraph shall be entitled to submit statements of case or written observations. The procedure shall be governed by the provisions of these Rules, subject to the adaptations called for by the nature of the request. MISCELLANEOUS PROVISIONS\n\nArticle\u00a0124\n\n1. The President shall instruct any person who is required to take an oath before the Court, as witness or expert, to tell the truth or to carry out his task conscientiously and impartially, as the case may be, and shall warn him of the criminal liability provided for in his national law in the event of any breach of this duty. 2. The witness shall take the oath either in accordance with the first subparagraph of Article\u00a047(5) of these Rules or in the manner laid down by his national law. Where his national law provides the opportunity to make, in judicial proceedings, a solemn affirmation equivalent to an oath as well as or instead of taking an oath, the witness may make such an affirmation under the conditions and in the form prescribed in his national law. Where his national law provides neither for taking an oath nor for making a solemn affirmation, the procedure described in paragraph\u00a01 shall be followed. 3. Paragraph\u00a02 shall apply mutatis mutandis to experts, a reference to the first subparagraph of Article\u00a049(6) replacing in this case the reference to the first subparagraph of Article\u00a047(5) of these Rules. Article\u00a0125\nSubject to the provisions of Article\u00a0253\u00a0TFEU and after consultation with the Governments concerned, the Court shall adopt supplementary rules concerning its practice in relation to:\n\n\n\n\n\n\n(a)\n\n\nletters rogatory;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\napplications for legal aid;\n\n\n\n\n\n\n\n\n\n\n(c)\n\n\nreports of perjury by witnesses or experts, delivered pursuant to Article\u00a030 of the Statute. Article\u00a0125a\nThe Court may issue practice directions relating in particular to the preparation and conduct of the hearings before it and to the lodging of written statements of case or written observations. Article\u00a0126\nThese Rules replace the Rules of Procedure of the Court of Justice of the European Communities adopted on 4\u00a0December 1974 (\nOfficial Journal of the European Communities L\u00a0350 of 28\u00a0December 126\n\n\n1974, p. 1), as last amended on 15\u00a0May 1991. Article\u00a0127\nThese Rules, which are authentic in the languages mentioned in Article\u00a029(1) of these Rules, shall be published in the Official Journal of the European Union and shall enter into force on the first day of the second month following their publication. (1)\u00a0\u00a0\n OJ L\u00a0176 of 4. 7. 1991, p. 7, and OJ L\u00a0383 of 29. 12. 1992, p. 117 (corrigenda), with amendments dated 21\u00a0February 1995 (published in OJ L\u00a044 of 28. 2. 1995, p. 61), 11\u00a0March 1997 (published in OJ L\u00a0103 of 19. 4. 1997, p. 1, and OJ L\u00a0351 of 23. 12. 1997, p. 72 (corrigenda)), 16\u00a0May 2000 (published in OJ L\u00a0122 of 24. 5. 2000, p. 43), 28\u00a0November 2000 (published in OJ L\u00a0322 of 19. 12. 2000, p. 1), 3\u00a0April 2001 (published in OJ L\u00a0119 of 27. 4. 2001, p. 1), 17\u00a0September 2002 (published in OJ L\u00a0272 of 10. 10. 2002, p. 24, and OJ L\u00a0281 of 19. 10. 2002, p. 24 (corrigenda)), 8\u00a0April 2003 (published in OJ L\u00a0147 of 14. 6. 2003, p. 17), and for the Annex to these Rules, the decision of the Court of Justice of 10\u00a0June 2003 (published in OJ L\u00a0172 of 10. 7. 2003, p. 12), 19\u00a0April 2004 (published in OJ L\u00a0132 of 29. 4. 2004, p. 2), 20\u00a0April 2004 (published in OJ L\u00a0127 of 29. 4. 2004, p. 107), 12\u00a0July 2005 (published in OJ L\u00a0203 of 4. 8. 2005, p. 19), 18\u00a0October 2005 (OJ L\u00a0288 of 29. 10. 2005, p. 51), 18\u00a0December 2006 (OJ L\u00a0386 of 29. 12. 2006, p. 44, and OJ L\u00a0332 of 18. 12. 2007, pp. 108 and 109 (corrigenda)), 15\u00a0January 2008 (OJ L\u00a024 of 29. 1. 2008, p. 39), 23\u00a0June 2008 (OJ L\u00a0200 of 29. 7. 2008, p. 20), 8\u00a0July 2008 (OJ L\u00a0200 of 29. 7. 2008, p. 18), 13\u00a0January 2009 (OJ L\u00a024 of 28. 1. 2009, p. 8) and 23\u00a0March 2010 (OJ L\u00a092 of 13. 4. 2010, p. 12). (2)\u00a0\u00a0See Article\u00a02 of Council Regulation (EC) No\u00a01103/97 of 17\u00a0June 1997 on certain provisions relating to the introduction of the euro (OJ L\u00a0162 of 19. 6. 1997, p. 1). (3)\u00a0\u00a0\n OJ L\u00a01 of 3. 1. 1994, p. 27. ANNEX\nDECISION ON OFFICIAL HOLIDAYS\nTHE COURT OF JUSTICE OF THE EUROPEAN UNION,\nhaving regard to Article\u00a080(2) of the Rules of Procedure, which requires the Court to draw up a list of official holidays;\nDECIDES:\n\nArticle\u00a01\nFor the purposes of Article\u00a080(2) of the Rules of Procedure the following shall be official holidays:\n\n\n\n\n\n\n\u2014\n\n\nNew Year's Day;\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nEaster Monday;\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\n1\u00a0May;\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nAscension Day;\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nWhit Monday;\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\n23\u00a0June;\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\n15\u00a0August;\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\n1\u00a0November;\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\n25\u00a0December;\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\n26\u00a0December. The official holidays referred to in the first paragraph hereof shall be those observed at the place where the Court of Justice has its seat. Article\u00a02\nArticle\u00a080(2) of the Rules of Procedure shall apply only to the official holidays mentioned in Article\u00a01 of this Decision. Article\u00a03\nThis Decision, which shall be annexed to the Rules of Procedure, shall enter into force on the day of their publication in the Official Journal of the European Union"} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/a8b87f07-16da-43ee-bb61-90525e19c87b", "title": "Commission Regulation (EEC) No 1781/91 of 19 June 1991 amending Regulation (EEC) No 1014/90 laying down detailed implementing rules on the definition, description and presentation of spirit drinks", "langIdentifier": "ENG", "mtypes": "html,pdfa1b,print", "workTypes": "http://publications.europa.eu/ontology/cdm#legislation_secondary,http://publications.europa.eu/ontology/cdm#regulation,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Commission", "date": "1991-06-19", "subjects": "alcoholic beverage,labelling,marketing standard", "workIds": "celex:31991R1781,oj:JOL_1991_160_R_0005_022", "eurovoc_concepts": ["alcoholic 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"http://publications.europa.eu/resource/cellar/c4951f94-7c93-44cf-aec8-6cd746bc62fe", "lang": "eng", "formats": ["fmx4", "html", "pdfa1b", "print", "xhtml"], "text": "L_1991256EN. 01005101. xml\n\n\n\n\n\n\n\n\n\n\n13. 9. 1991\u00a0\u00a0\u00a0\n\n\nEN\n\n\nOfficial Journal of the European Communities\n\n\nL 256/51\n\n\n\n\n\nCOUNCIL DIRECTIVE\nof 18 June 1991\non control of the acquisition and possession of weapons\n(91/477/EEC)\nTHE COUNCIL OF THE EUROPEAN COMMUNITIES,\nHaving regard to the Treaty establishing the European Economic Community, and in particular Article 100a thereof,\nHaving regard to the proposal from the Commission\u00a0(1),\nIn cooperation with the European Parliament\u00a0(2),\nHaving regard to the opinion of the Economic and Social Committee\u00a0(3),\nWhereas Article 8a of the Treaty provides that the internal market must be established by not later than 31 December 1992; whereas the internal market comprises an area without internal frontiers in which the free movement of goods, persons, services and capital is ensured, in accordance with the provisions of the Treaty;\nWhereas, at its meeting in Fontainebleau on 25 and 26 June 1984, the European Council expressly set the objective of abolishing all police and customs formalities at intra-Communiry frontiers;\nWhereas the total abolition of controls and formalities at intra-Community frontiers entails the fulfilment of certain fundamental conditions; whereas in its white paper \u2018Completing the internal market\u2019 the Commission stated that the abolition of controls on the safety of objects transported and on persons entails, among other things, the approximation of weapons legislation;\nWhereas abolition of controls on the possession of weapons at intra-Community frontiers necessitates the adoption of effective rules enabling controls to be carried out within Member States on the acquisition and possession of firearms and on their transfer to another Member State; whereas systematic controls must therefore be abolished at intra-Community frontiers;\nWhereas the mutual confidence in the field of the protection of the safety of persons which these rules will generate between Member States will be the greater if they are underpinned by partially harmonized legislation; whereas it would therefore be useful to determine category of firearms whose acquisition and possession by private persons are to be prohibited, or subject to authorization, or subject to declaration;\nWhereas passing from one Member State to another while in possession of a weapon should, in principle, be prohibited; whereas a derogation therefrom is acceptable only if a procedure is adopted that enables Member States to be notified that a firearm is to be brought into their territory;\nWhereas, however, more flexible rules should be adopted in respect of hunting and target shooting in order to avoid impeding the free movement of persons more that is necessary;\nWhereas the Directive does not affect the right of Member States to take measures to prevent illegal trade in weapons,\nHAS ADOPTED THIS DIRECTIVE:\nCHAPTER 1\n\nScope\n\nArticle 1\n1. For the purposes of this Directive \u2018weapons\u2019 and \u2018firearms\u2019 shall have the meanings ascribed to them in Annex I. Firearms are classified and defined in section II of that Annex. 2. For the purposes of this Directive \u2018dealer\u2019 shall mean any natural or legal person whose trade or business consists wholly or partly in the manufacture, trade, exchange, hiring out, repair or conversion of firearms. 3. For the purposes of this Directive, a person shall be deemed to be a resident of the country indicated by the address appearing on a document establishing his place of residence, such as a passport or an identity card, which, on a check on possession or on acquisition, is submitted to the authorities of a Member State or to a dealer. 4. The \u2018European firearms pass\u2019 is a document which is issued on request by the authorities of a Member State to a person lawfully entering into possession of and using a firearm. It shall be valid for a maximum period of five years. The period of validity may be extended. Where only firearms classified in category D appear on the pass, the maximum period of validity thereof shall be ten years. It shall contain the information set out in Annex II. The \u2018European firearms pass\u2019 is a non-transferable document, on which shall be entered the firearm or firearms possessed and used by the holder of the pass. The pass must always be in the possession of the person using the firearm. Changes in the possession or characteristics of the firearms shall be indicated on the pass, as well as the loss or theft of the firearm. Article 2\n1. This Directive is without prejudice to the application of national provisions concerning the carrying of weapons, hunting or target shooting. 2. This Directive shall not apply to the acquisition or possession of weapons and ammunition, in accordance with national law, by the armed forces, the police, the public authorities or by collectors and bodies concerned with the cultural and historical aspects of weapons and recognized as such by the Member State in whose territory they are established. Nor shall it apply to commercial transfers of weapons and ammunition of war. Article 3\nMember States may adopt in their legislation provisions which are more stringent than those provided for in this Directive, subject to the rights conferred on residents of the Member States by Article 12 (2). CHAPTER 2\n\nHarmonization of legislation concerning firearms\n\nArticle 4\nAt least in respect of categories A and B, each Member State shall make the pursuit of the activity of dealer within its territory conditional upon authorization on the basis of at least a check on the private and professional integrity of the dealer. In the case of a legal person, the check shall be on the person who directs the undertaking. In respect of categories C and D, each Member State which does not make the pursuit of the activity of dealer conditional upon authorization shall make such activity subject to a declaration. Each dealer shall be required to keep a register in which information concerning all firearms classified in category A, B or C received or disposed of by him shall be recorded, including such particulars as enable the weapon to be identified, in particular the type, make, model, calibre and serial number thereof and the names and addresses of the supplier and the person acquiring the weapon. The Member States shall regularly check dealers' compliance with this obligation. The dealer shall conserve the register for a period of five years, even after he has ceased his activity. Article 5\nWithout prejudice to Article 3, Member States shall allow the acquisition and possession of firearms classified in category B only by persons who have good cause and who:\n\n\n\n\n\n\n(a)\n\n\nare 18 years old or more, except for hunting or target shooting;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nare not likely to be a danger to themselves, to public order or to public safety. Without prejudice to Article 3, Member States shall allow the possession of firearms classified in categories C and D only by persons satisfying the conditions in point (a) of the first paragraph. Member States may withdraw authorization for possession of the firearm if any of the conditions in point (b) of the first paragraph is no longer satisfied. Member States may not prohibit persons resident within their territories from possessing a weapon acquired in another Member State unless they prohibit the acquisition of the same weapon within their own territories. Article 6\nMember States shall take all appropriate steps to prohibit the acquisition and the possession of the firearms and ammunition classified in category A. In special cases, the competent authorities may grant authorizations for such firearms and ammunition where this is not contrary to public security or public order. Article 7\n1. No one may acquire a firearm classified in category B within the territory of a Member State unless that Member State has so authorized him. No such authorization may be given to a resident of another Member State without the latter's prior agreement. 2. No one may be in possession of a firearm classified in category B within the territory of a Member State unless that Member State has so authorized him. If he is a resident of another Member State, that other Member State shall be informed accordingly. 3. An authorization to acquire and an authorization to possess a firearm classified in category B may take the form of a single administrative decision. Article 8\n1. No one may be in possession of a firearm classified in category C unless he has declared it to the authorities of the Member State in which that firearm is held. The Member States shall provide for the compulsory declaration of all firearms classified in category C at present held within their territories but not previously declared within one year of the entry into force of the national provisions transposing this Directive. 2. Every seller, dealer or private person shall inform the authorities of the Member State in which it takes place of every transfer or handing over of a firearm classified in category C, giving the particulars by which the firearm and the person acquiring it may be identified. If the person acquiring such a firearm is a resident of another Member State, that other Member State shall be informed of the acquisition by the Member State in which it took place and by the person acquiring the firearm. 3. If a Member State prohibits or makes subject to authorization the acquisition and possession within its territory of a firearm classified in category B, C or D, it shall so inform the other Member States, which shall expressly include a statement to that effect on any European firearms pass they issue for such a firearm, pursuant to Article 12 (2). Article 9\n1. The handing over of a firearm classified in category A, B or C to a person who is not resident in the Member State in question shall be permitted, subject to compliance with the obligations laid down in Articles 6, 7 and 8:\n\n\n\n\n\n\n\u2014\n\n\nwhere the person acquiring it has been authorized in accordance with Article 11 himself to effect a transfer to his country of residence,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nwhere the person acquiring it submits a written declaration testifying to and justifying his intention to be in possession of the firearm in the Member State of acquisition, provided that he fulfils the legal conditions for possession in that Member State. 2. Member States may authorize the temporary handing over of firearms in accordance with procedures which they shall lay down. Article 10\nThe arrangements for the acquisition and possession of ammunition shall be the same as those for the possession of the firearms for which the ammunition is intended. CHAPTER 3\n\nFormalities for the movement of weapons within the Community\n\nArticle 11\n1. Firearms may, without prejudice to Article 12, be transferred from one Member State to another only in accordance with the procedure laid down in the following paragraphs. These provisions shall also apply to transfers of firearms following a mail order sale. 2. Where a firearm is to be transferred to another Member State, the person concerned shall, before it is taken there, supply the following particulars to the Member State in which such firearm is situated:\n\n\n\n\n\n\n\u2014\n\n\nthe names and addresses of the person selling or disposing of the firearm and of the person purchasing or acquiring it or, where appropriate, of the owner,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nthe address to which the firearm is to be consigned or transported,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nthe number of firearms to be consigned or transported,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nthe particulars enabling the firearm to be identified and also an indication that the firearm has undergone a check in accordance with the Convention of 1 July 1969 on the Reciprocal Recognition of Proofmarks on Small Arms,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nthe means of transfer,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nthe date of departure and the estimated date of arrival. The information referred to in the last two indents need not be supplied where the transfer takes place between dealers. The Member State shall examine the conditions under which the transfer is to be carried out, in particular with regard to security. Where the Member State authorizes such transfer, it shall issue a licence incorporating all the particulars referred to in the first subparagraph. Such licence shall accompany the firearm until it reaches its destination; it shall be produced whenever so required by the authorities of the Member States. 3. In the case of transfer of the firearms, other than weapons of war, excluded from the scope of this Directive pursuant to Article 2 (2), each Member State may grant dealers the right to effect transfers of firearms from its territory to a dealer established in another Member State without the prior authorization referred to in paragraph 2. To that end it shall issue an authorization valid for no more than three years, which may at any time be suspended or cancelled by reasoned decision. A document referring to that authorization must accompany the firearm until it reaches its destination; it must be produced whenever so required by the authorities of the Member States. Not later than the time of transfer, the dealer shall communicate to the authorities of the Member State from which the transfer is to be effected all the particulars listed in the first subparagraph of paragraph 2. 4. Each Member State shall supply the other Member States with a list of firearms the transfer of which to its territory may not be authorized without its prior consent. Such lists of firearms shall be communicated to dealers who have obtained approval for transferring firearms without prior authorization under the procedure laid down in paragraph 3. Article 12\n1. If the procedure provided for in Article 11 is not employed, the possession of a firearm during a journey through two or more Member States shall not be permitted unless the person concerned has obtained the authorization of each of those Member States. Member States may grant such authorization for one or more journeys for a maximum period of one year, subject to renewal. Such authorizations shall be entered on the European firearms pass, which the traveller must produce whenever so required by the authorities of the Member States. 2. Notwithstanding paragraph 1, hunters, in respect of categories C and D, and marksmen, in respect of category B, C and D, may without prior authorization be in possession of one or more firearms classified in these categories during a journey through two or more Member States with a view to engaging in their activities, provided that they are in possession of a European firearms pass listing such firearm or firearms and provided that they are able to substantiate the reasons for their journey, in particular by producing an invitation. However, this derogation shall not apply to journeys to a Member State which prohibits the acquisition and possession of the firearm in question or which, pursuant to Article 8 (3), makes it subject to authorization; in that case, an express statement to that effect shall be entered on the European firearms pass. In the context of the report referred to in Article 17, the Commission in consultation with the Member States, will also consider the effects of applying the second subparagraph, particularly as regards its impact on public order and public security. 3. Under agreements for the mutual recognition of national documents, two or more Member States may provide for arrangements more flexible than those prescribed in this Article for movement with firearms within their territories. Article 13\n1. Each Member State shall communicate all useful information at its disposal concerning definitive transfers of firearms to the Member State to the territory of which such a transfer has been effected. 2. All information that Member States receive by way of the procedures laid down in Article 11 for transfers of firearms and in Article 7 (2) and Article 8 (2) for the acquisition and possession of firearms by non-residents shall be communicated, not later than the time of the relevant transfers, to the Member States of destination and, where appropriate, not later than the time of transfer to the Member States of transit. 3. Member States shall set up, by 1 January 1993 at the latest, networks for the exchange of information for the purposes of applying this Article. They shall inform the other Member States and the Commission of the national authorities responsible for transmitting and receiving information and for applying the formalities referred to in Article 11 (4). Article 14\nMember States shall adopt all relevant provisions prohibiting entry into their territory:\n\n\n\n\n\n\n\u2014\n\n\nof a firearm except in the cases defined in Articles 11 and 12 and provided the conditions laid down therein are met,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nof a weapon other than a firearm provided that the national provisions of the Member State in question so permit. CHAPTER 4\n\nFinal provisions\n\nArticle 15\n1. Member States shall intensify controls on the possession of weapons at external Community frontiers. They shall in particular ensure that travellers from third countries who intend to proceed to another Member State comply with Article 12. 2. This Directive shall not preclude the carrying out of controls by Member States or by the carrier at the time of boarding of a means of transport. 3. Member States shall inform the Commission of the manner in which the controls referred to in paragraphs 1 and 2 are carried out. The Commission shall collate this information and make it available to all Member States. 4. Member States shall notify the Commission of their national provisions, including changes relating to the acquisition and possession of weapons, where the national law is more stringent than the minimum standard they are required to adopt. The Commission shall pass on such information to the other Member States. Article 16\nMember States shall introduce penalties for failure to comply with the provisions adopted pursuant to this Directive. Such penalties must be sufficient to promote compliance with such provisions. Article 17\nWithin five years from the date of transposition of this Directive into national law, the Commission shall submit a report to the European Parliament and to the Council on the situation resulting from the application of this Directive, accompanied, if appropriate, by proposals. Article 18\nMember States shall bring into force the laws, regulations and administrative provisions necessary to comply with this Directive in good time so that the measures provided for by this Directive may be put into effect not later than 1 January 1993. They shall forthwith inform the Commission and the other Member States of the measures taken. When Member States adopt these measures, they shall contain a reference to this Directive or shall be accompanied by such reference on the occasion of their official publication. The methods of making such a reference shall be laid down by the Member States. Article 19\nThis Directive is addressed to the Member States. Done at Luxembourg, 18 June 1991. For the Council\n\n\nThe President\n\nG. WOHLFART\n\n\n\n\n(1)\u00a0\u00a0OJ No C 235, 1. 9. 1987, p. 8 and\n\nOJ No C 299, 28. 11. 1989, p. 6. (2)\u00a0\u00a0OJ No C 231, 17. 9. 1990, p. 69 and\n\nOJ No C 158, 17. 6. 1991, p. 89. (3)\u00a0\u00a0OJ No C 35, 8. 2. 1988, p. 5. ANNEX I\n\n\n\n\n\n\nI. For the purposes of this Directive, \u2018weapon\u2019 means:\n\n\n\n\n\n\n\u2014\n\n\nany firearm as defined in section II of this Annex,\n\n\n\n\n\n\n\n\n\n\n\u2014\n\n\nweapons other than firearms as defined in national legislation. II. For the purposes of this Directive, \u2018firearm\u2019 means:\n\n\n\n\n\n\nA. Any object which falls into one of the following categories, unless it meets the definition but is excluded for one of the reasons listed in section III. Category A \u2014\u00a0\u00a0\u00a0Prohibited firearms\n\n\n\n\n\n\n\n\n\n1. Explosive military missiles and launchers. 2. Automatic firearms. 3. Firearms disguised as other objects. 4. Ammunition with penetrating, explosive or incendiary projectiles, and the projectiles for such ammunition. 5. Pistol and revolver ammunition with expanding projectiles and the projectiles for such ammunition, except in the case of weapons for hunting or for target shooting, for persons entitled to use them. Category B \u2014\u00a0\u00a0\u00a0Firearms subject to authorization\n\n\n\n\n\n\n\n\n\n1. Semi-automatic or repeating short firearms. 2. Single-shot short firearms with centre-fire percussion. 3. Single-shot short firearms with rimfire percussion whose overall length is less than 28 cm. 4. Semi-automatic long firearms whose magazine and chamber can together hold more than three rounds. 5. Semi-automatic long firearms whose magazine and chamber cannot together hold more than three rounds, where the loading device is removable or where it is not certain that the weapon cannot be converted, with ordinary tools, into a weapon whose magazine and chamber can together hold more than three rounds. 6. Repeating and semi-automatic long firearms with smooth-bore barrels not exceeding 60 cm in length. 7. Semi-automatic firearms for civilian use which resemble weapons with automatic mechanisms. Category C \u2014\u00a0\u00a0\u00a0Firearms subject to declaration\n\n\n\n\n\n\n\n\n\n1. Repeating long firearms other than those listed in category B, point 6. 2. Long firearms with single-shot rifled barrels. 3. Semi-automatic long firearms other than those in category B, points 4 to 7. 4. Single-shot short firearms with rimfire percussion whose overall length is not less than 28 cm. Category D \u2014\u00a0\u00a0\u00a0Other firearms\n\nSingle-shot long firearms with smooth-bore barrels. B. Any essential component of such firearms:\nThe breach-closing mechanism, the chamber and the barrel of a firearm which, being separate objects, are included in the category of the firearms on which they are or are intended to be mounted. III. For the purposes of this Annex objects which correspond to the definition of a \u2018firearm\u2019 shall not be included in that definition if they:\n\n\n\n\n\n\n(a)\n\n\nhave been rendered permanently unfit for use by the application of technical procedures which are guaranteed by an official body or recognized by such a body;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nare designed for alarm, signalling, life-saving, animal slaughter or harpoon fishing or for industrial or technical purposes provided that they can be used for the stated purpose only;\n\n\n\n\n\n\n\n\n\n\n(c)\n\n\nare regarded as antique weapons or reproductions of such where these have not been included in the previous categories and are subject to national laws. Pending coordination throughout the Community, Member States may apply their national laws to the firearms listed in this Section. IV. For the purposes of this Annex:\n\n\n\n\n\n\n(a)\n\n\n\u2018short firearm\u2019 means a firearm with a barrel not exceeding 30 centimetres or whose overall length does not exceed 60 centimetres;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\n\u2018long firearm\u2019 means any firearm other than a short firearm;\n\n\n\n\n\n\n\n\n\n\n(c)\n\n\n\u2018automatic firearm\u2019 means a firearm which reloads automatically each time a round is fired and can fire more than one round with one pull on the trigger;\n\n\n\n\n\n\n\n\n\n\n(d)\n\n\n\u2018semi-automatic firearm\u2019 means a firearm which reloads automatically each time a round is fired and can fire only one round with one pull on the trigger;\n\n\n\n\n\n\n\n\n\n\n(e)\n\n\n\u2018repeating firearm\u2019 means a firearm which after a round has been fired is designed to be reloaded from a magazine or cylinder by means of a manually-operated action;\n\n\n\n\n\n\n\n\n\n\n(f)\n\n\n\u2018single-shot firearm\u2019 means a firearm with no magazine which is loaded before each shot by the manual insertion of a round into the chamber or a loading recess at the breech of the barrel;\n\n\n\n\n\n\n\n\n\n\n(g)\n\n\n\u2018ammunition with penetrating projectiles\u2019 means ammunition for military use where the projectile is jacketed and has a penetrating hard core;\n\n\n\n\n\n\n\n\n\n\n(h)\n\n\n\u2018ammunition with explosive projectiles\u2019 means ammunition for military use where the projectile contains a charge which explodes on impact;\n\n\n\n\n\n\n\n\n\n\n(i)\n\n\n\u2018ammunition with incendiary projectiles\u2019 means ammunition for military use where the projectile contains a chemical mixture which bursts into flame on contact with the air or on impact. ANNEX II\nEUROPEAN FIREARMS PASS\nThe pass must include the following sections:\n\n\n\n\n\n\n(a)\n\n\nidentity of the holder;\n\n\n\n\n\n\n\n\n\n\n(b)\n\n\nidentification of the weapon or firearm, including a reference to the category within the meaning of the Directive;\n\n\n\n\n\n\n\n\n\n\n(c)\n\n\nperiod of validity of the pass;\n\n\n\n\n\n\n\n\n\n\n(d)\n\n\nsection for use by the Member State issuing the pass (type and references of authorizations, etc. );\n\n\n\n\n\n\n\n\n\n\n(e)\n\n\nsection for entries by other Member States (authorizations to enter their territory, etc. );\n\n\n\n\n\n\n\n\n\n\n(f)\n\n\nthe statements:\n\u2018The right to travel to another Member State with one or more of the firearms in categories B, C or D mentioned in this pass shall be subject to one or more prior corresponding authorizations from the Member State visited. This or these authorizations may be recorded on the pass. The prior authorization referred to above is not in principle necessary in order to travel with a firearm in categories C or D with a view to engaging in hunting or with a firearm in categories B, C or D for the purpose of taking part in target shooting, on condition that the traveller is in possession of the firearms pass and can establish the reason for the journey. \u2019\nWhere a Member State has informed the other Member States, in accordance with Article 8 (3), that the possession of certain firearms in categories B, C or D is prohibited or subject to authorization, one of the following statements shall be added:\n\u2018A journey to. (State(s) concerned) with the firearm. (identification) shall be prohibited. \u2019\n\u2018A journey to. (State(s) concerned) with the firearm. 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Canal for push-tow vessels near Antwerp (Belgium)", "langIdentifier": "ENG", "mtypes": "print", "workTypes": "http://publications.europa.eu/ontology/cdm#question_parliamentary,http://publications.europa.eu/ontology/cdm#question_written,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Parliament,STAES", "date": "1991-06-14", "subjects": "Belgium,common transport policy,inland waterway,inland waterway shipping,transport infrastructure", "workIds": "celex:91991E001264", "eurovoc_concepts": ["Belgium", "common transport policy", "inland waterway", "inland waterway shipping", "transport infrastructure"], "url": "http://publications.europa.eu/resource/cellar/f2367d75-1d98-4375-a8fe-3917635985fd", "lang": "eng", "formats": ["print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/49695d7d-5c52-4abd-8337-9568039e8f0b", "title": "WRITTEN QUESTION No. 1254/91 by Mr Sotiris KOSTOPOULOS to the Council. Danger of encirclement of Greece by countries sympathetic to Turkey", "langIdentifier": "ENG", "mtypes": "print", "workTypes": "http://publications.europa.eu/ontology/cdm#question_parliamentary,http://publications.europa.eu/ontology/cdm#question_written,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Parliament,KOSTOPOULOS", "date": "1991-06-14", "subjects": "Association Council (EU),European political cooperation,Greece,T\u00fcrkiye,military occupation,territorial law", "workIds": "celex:91991E001254", "eurovoc_concepts": ["Association Council (EU)", "European political cooperation", "Greece", "T\u00fcrkiye", "military occupation", "territorial law"], "url": "http://publications.europa.eu/resource/cellar/49695d7d-5c52-4abd-8337-9568039e8f0b", "lang": "eng", "formats": ["print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/3ad9350f-e4be-4492-8e3c-c98a28bc941d", "title": "WRITTEN QUESTION No. 1253/91 by Mr Sotiris KOSTOPOULOS to the Council. 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For the \n\n1984/85 marketing year, the aid was reduced along with the intervention \n\nprices for butter and the Community subsidy was completely withdrawn from \n\n1985/86. However, in order to prevent consumption from falling as a result \n\nof the increase in prices, national aid has been authorised since then! As \n\n^ \nIl \n\ndirect consumption continues to drop steadily, it is proposed to retain the \n\nnational subsidy option for 1991/92 and the maximum aid level is proposed to \n\nbe kept unchanged at 50 ECU/100 kg. I \n\n\fProposal for a \n\nCOUNCIL REGULATION (EEC) No \nof \nemending Regulation (EEC) No 1307/85 authorizing the \nMember States to grant consumption aid for butter \n\nTHE COUNCIL OF THE EUROPEAN COMMUNITIES, \n\nHaving regard to the Treaty establishing the European Economic Community and in \n\nparticular Articles 42 and 43 thereof, \n\nHaving regard to the proposal from the Commission, \n\nHaving regard to the opinion of the European Par I iament(1), \n\nWhereas the arrangement introduced by Regulation (EEC) No 1307/85^2^, as last \n\namended by Regulation (EEC) No 3232/90^), which authorizes Member States to \n\ngrant an aid for butter in favour of the final private consumer, expires at the \n\nend of the milk year; whereas in order to prevent a drop in butter consumption \n\nthe aid arrangement introduced by Regulation (EEC) No 1307/85 should be prolonged \n\nfor the 1991/92 milk year; whereas given the market situation, the maximum level \n\nof aid should remain unchanged, \n\nHAS ADOPTED THIS REGULATION: \n\nArt i cle 1 \n\nIn Article I of Regulation (EEC) No 1307/85 \"1990/91\" is replaced by \"1991/92\". This Regulation shall enter into force on the day of its publicaiton in the \n\nOfficial Journal of the European Communities. Article 2 \n\nIt shall apply from the beginning of the 1991/92 milk year. This Regulation shall be binding in its entirety and directly applicable in all \n\nMember States. Done at Brussels, \n\nFor the Council \n\n(1) OJ No L \n(2) OJ No L 137, 27. 5. 1985, p. 15. (3) OJ No L 310, 9. 11. 1990, p. 8. 1 \n\n\fFICHE FINANCIERE \n\nDATE \n\n>1. LIGNE BUDGETAIRE : Articles B1-203 et 2C4 \n\nCREDITS \n\n852 Mio ECU \n\n2. INTITULE DE LA MESURE : \n\nProposition d'un r\u00e8glement du Conseil mocifiant le r\u00e8glement (CEE) n\u00b0 1307/85 autor \nsant les Etats membres d'accorder une a ice \u00e0 la consommation de beurre. 3. BASE JURIDIQUE : Article 43 du Trait\u00e9 \n\n\u2022 \n\ni. n. \u2022 \n\ni \n\ni \n\ni \n\ni \n\n4. OBJECTIFS DE LA MESURE : \n\nMaintien de la facult\u00e9 d'octroyer une sut vent ion nationale \u00e0 la consommation de \nbeurre pour la campagne 1991/92. 1ER IODE DE \n12 MOIS \n\nEXERCICE EN \nCOURS (91) \n\nEXERCICE \nSUIVANT (92) \n\nntgl igeable \n\nn\u00e9gligeable \n\nn\u00e9gIigeabIe \n\nINCIDENCES FINANCIERES \n\n5. 0 DEPENSES A LA CHARGE \n\n- DU BUDGET DES CE \n(INTERVENTIONS) \n\n- DES BUDGETS NATIONAUX \n- D'AUTRES SECTEURS \n\n5. 1 RECETTES \n\n- RESSOURCES PROPRES DES CE \n\n(PRELEVEMENTS/DROITS DE DOUANE) \n\n- SUR LE PLAN NATIONAL \n\n1993 \n\n1994 \n\n1995 \n\n1996 \n\n5. 0. 1 PREVISIONS DES DEPENSES \n5. 1. 1 PREVISIONS DES RECETTES \n\n5. 2 MODE DE CALCUL \n\n6. 0 FINANCEMENT POSSIBLE PAR CREDITS INSCRITS AU CHAPITRE CONCERNE DU BUDGET \n\nEN COURS D'EXECUTION \n\n6. 1 FINANCEMENT POSSIBLE PAR VIREMENT ENTRE CHAPITRES DU BUDGET EN COURS \n\nD'EXECUTION \n\n6. 2 NECESSITE D'UN BUDGET SUPPLEMENTAIRE \n\n6. 3 CREDITS A INSCRIRE DANS LES BUDGETS FUTJRS \n\nOBSERVATIONS : \n\nOUI/NON \n\nOU I/NON \n\nOUI/NON \n\nOU I/NON \n\nLa consommation de beurre est soutenue par l'aide nationale et conduit, par cons\u00e9quent, \u00e0 \nun moindre besoin de subvention communautair3 sur le march\u00e9. Dans l'hypoth\u00e8se o\u00f9 le Luxembourg uniquement donne suite \u00e0 cette facult\u00e9, l'effet sur le \n\n\fISSN 0254-147! \n\nCOM(91)224fin c-*i \n\nDOCUMENTS \n\nEN \n\n03 \n\nCatalogue number : CB-CO-91-269-EN-C \n\nISBN 92-77-73515-5 \n\nOffice for Official Publications of the European Communities \nI ,-2985 Luxembourg"} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/7cb9f6ea-6da3-46f9-9216-f5b76d948103", "title": "WRITTEN QUESTION No. 1289/91 by Mrs Pauline GREEN to the Commission. 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Tax on credit cards in Italy", "langIdentifier": "ENG", "mtypes": "print", "workTypes": "http://publications.europa.eu/ontology/cdm#question_parliamentary,http://publications.europa.eu/ontology/cdm#question_written,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Parliament,MUSCARDINI", "date": "1991-06-14", "subjects": "EU law,Italy,electronic money,fiscal policy,stamp duty,tax system", "workIds": "celex:91991E001278", "eurovoc_concepts": ["EU law", "Italy", "electronic money", "fiscal policy", "stamp duty", "tax system"], "url": "http://publications.europa.eu/resource/cellar/75364dbd-bdd7-4cc2-b806-1074de3db911", "lang": "eng", "formats": ["print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/3182e690-bc16-4f97-8bba-28d22023fa78", "title": "WRITTEN QUESTION No. 1299/91 by Mr Ian WHITE to the Commission. 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Social integration of the disabled", "langIdentifier": "ENG", "mtypes": "print", "workTypes": "http://publications.europa.eu/ontology/cdm#question_parliamentary,http://publications.europa.eu/ontology/cdm#question_written,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Parliament,VERWAERDE", "date": "1991-06-14", "subjects": "data collection,disabled person,dissemination of information,non-governmental organisation,reintegration into working life,social integration,software,special education", "workIds": "celex:91991E001269", "eurovoc_concepts": ["data collection", "disabled person", "dissemination of information", "non-governmental organisation", "reintegration into working life", "social integration", "software", "special education"], "url": "http://publications.europa.eu/resource/cellar/7d4d63f3-0537-4199-a70b-d908c78ea449", "lang": "eng", "formats": ["print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/e3cfdd71-49f5-4b20-85d9-7180b0ce6b81", "title": "WRITTEN QUESTION No. 1296/91 by Mr G\u00e9rard MONNIER-BESOMBES to the Commission. Implementation of Directive 79/409/EEC: poaching of turtle doves (Streptopelia turtur) in France", "langIdentifier": "ENG", "mtypes": "print", "workTypes": "http://publications.europa.eu/ontology/cdm#question_parliamentary,http://publications.europa.eu/ontology/cdm#question_written,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Parliament,MONNIER-BESOMBES", "date": "1991-06-14", "subjects": "France,application of EU law,hunting regulations,protected species,protection of animal life,wildlife", "workIds": "celex:91991E001296", "eurovoc_concepts": ["France", "application of EU law", "hunting regulations", "protected species", "protection of animal life", "wildlife"], "url": "http://publications.europa.eu/resource/cellar/e3cfdd71-49f5-4b20-85d9-7180b0ce6b81", "lang": "eng", "formats": ["print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/6a3eff2c-8ccf-4867-92e0-afcd39eced4c", "title": "WRITTEN QUESTION No. 1284/91 by Mr Mark KILLILEA to the Commission. Export refunds on beef exports to Japan", "langIdentifier": "ENG", "mtypes": "print", "workTypes": "http://publications.europa.eu/ontology/cdm#question_parliamentary,http://publications.europa.eu/ontology/cdm#question_written,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Parliament,KILLILEA", "date": "1991-06-14", "subjects": "Japan,beef,export,export refund,health control,liberalisation of trade,market access", "workIds": "celex:91991E001284", "eurovoc_concepts": ["Japan", "beef", "export", "export refund", "health control", "liberalisation of trade", "market access"], "url": "http://publications.europa.eu/resource/cellar/6a3eff2c-8ccf-4867-92e0-afcd39eced4c", "lang": "eng", "formats": ["print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/20108b69-7e23-4aa8-b61b-6164c876a4ae", "title": "WRITTEN QUESTION No. 1279/91 by Mr Ernest GLINNE to the Commission. Shortcomings of the World Health Organization", "langIdentifier": "ENG", "mtypes": "print", "workTypes": "http://publications.europa.eu/ontology/cdm#question_parliamentary,http://publications.europa.eu/ontology/cdm#question_written,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Parliament,GLINNE", "date": "1991-06-14", "subjects": "Member States' contribution,World Health Organisation,budget,interinstitutional relations,public health", "workIds": "celex:91991E001279", "eurovoc_concepts": ["Member States' contribution", "World Health Organisation", "budget", "interinstitutional relations", "public health"], "url": "http://publications.europa.eu/resource/cellar/20108b69-7e23-4aa8-b61b-6164c876a4ae", "lang": "eng", "formats": ["print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/3a0e75ae-68b5-49b6-b077-6fbcd38fe053", "title": "WRITTEN QUESTION No. 1275/91 by Mr Alonso PUERTA to the Commission. ' Las Oma\u00f1as' reservoir (Le\u00f3n -Spain)", "langIdentifier": "ENG", "mtypes": "print", "workTypes": "http://publications.europa.eu/ontology/cdm#question_parliamentary,http://publications.europa.eu/ontology/cdm#question_written,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Parliament,PUERTA", "date": "1991-06-14", "subjects": "Castile-Leon,agricultural structure,common agricultural policy,engineering structure,environmental impact,impact study,project evaluation,water management in agriculture", "workIds": "celex:91991E001275", "eurovoc_concepts": ["Castile-Leon", "agricultural structure", "common agricultural policy", "engineering structure", "environmental impact", "impact study", "project evaluation", "water management in agriculture"], "url": "http://publications.europa.eu/resource/cellar/3a0e75ae-68b5-49b6-b077-6fbcd38fe053", "lang": "eng", "formats": ["print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/6f5ec5d7-1ae3-413d-9217-6532c9ade373", "title": "WRITTEN QUESTION No. 1288/91 by Mr Terence WYNN to the Commission. Reform of the CAP", "langIdentifier": "ENG", "mtypes": "print", "workTypes": "http://publications.europa.eu/ontology/cdm#question_parliamentary,http://publications.europa.eu/ontology/cdm#question_written,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Parliament,WYNN", "date": "1991-06-14", "subjects": "Community budget,EAGGF Guarantee Section,budgetary expenditure,common agricultural policy,farm prices,reform of the CAP", "workIds": "celex:91991E001288", "eurovoc_concepts": ["Community budget", "EAGGF Guarantee Section", "budgetary expenditure", "common agricultural policy", "farm prices", "reform of the CAP"], "url": "http://publications.europa.eu/resource/cellar/6f5ec5d7-1ae3-413d-9217-6532c9ade373", "lang": "eng", "formats": ["print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/f57b28b9-9128-4ff8-a936-4d179ba32ded", "title": "Commission Regulation (EEC) No 1666/91 of 14 June 1991 fixing for the 1991 marketing year the maximum levels of the withdrawal prices for tomatoes grown under glass", "langIdentifier": "ENG", "mtypes": "html,pdfa1b,print", "workTypes": "http://publications.europa.eu/ontology/cdm#legislation_secondary,http://publications.europa.eu/ontology/cdm#regulation,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Commission", "date": "1991-06-14", "subjects": "fruit vegetable,glasshouse cultivation,producer organisation,withdrawal price", "workIds": "celex:31991R1666,oj:JOL_1991_151_R_0063_056", "eurovoc_concepts": ["fruit vegetable", "glasshouse cultivation", "producer organisation", "withdrawal price"], "url": "http://publications.europa.eu/resource/cellar/f57b28b9-9128-4ff8-a936-4d179ba32ded", "lang": "eng", "formats": ["html", "pdfa1b", "print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/60dfb950-b5be-46da-b23c-21443f476a36", "title": "PROPOSAL FOR A COUNCIL REGULATION ( EEC ) AMENDING REGULATION ( EEC ) NO 2658/87 ON THE TARIFF AND STATISTICAL NOMENCLATURE AND ON THE COMMON CUSTOMS TARIFF", "langIdentifier": "ENG", "mtypes": "pdf", "workTypes": "http://publications.europa.eu/ontology/cdm#act_preparatory,http://publications.europa.eu/ontology/cdm#proposal_act,http://publications.europa.eu/ontology/cdm#proposal_regulation_ec,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Commission", "date": "1991-06-14", "subjects": "CCT duties,animal oil,tariff nomenclature,vegetable oil", "workIds": "celex:51991PC0196,comnat:COM_1991_0196_FIN", "eurovoc_concepts": ["CCT duties", "animal oil", "tariff nomenclature", "vegetable oil"], "url": "http://publications.europa.eu/resource/cellar/60dfb950-b5be-46da-b23c-21443f476a36", "lang": "eng", "formats": ["pdf"], "text": "COMMISSION OF THE EUROPEAN COMMUNITIES \n\nC0M(91) 196 final \n\nBrussels, 14 June 1991 \n\nProposal for a \n\nCOUNCIL REGULATION (EEC) \n\namending Regulation (EEC) No 2658/87 \n\non the tariff and statistical nomenclature \n\nand on the Common Customs Tariff \n\n(presented by the Commission) \n\nm \n\n\f-2 -\n\n[Ogy PCHQKANDUH \n\nIn the framework of the wultilaterial GATT negotiations on the \nintroduction of the harmonized system, customs duties on the \nimport of certain inedible animal and vegetable fats and oils \nwere increased. This increase in customs duties is proving \ndisadvantageous to the Community's economic operators. It is for this reason that, since 1 July 1990, the customs \nduty has been suspended to a rate of 2% (0J L 164 of \n29. 6. 1990). ' \n\nIt appears more appropriate, for better management, to \nintroduce this suspended rate into the Common Customs Tariff \nby a reduction in the autonomous duty rate. 1 \n\n\f- 3 -\n\nProposal for a \n\nCOUNCIL REGULATION (EEC) \n\namending Regulation (EEC) No 2658/87 \n\non the tariff and statistical nomenclature \n\non the Common Customs Tariff \n\nTHE COUNCIL OF THE EUROPEAN COMMUNITIES, \n\nHaving regard to the Treaty establishing the European Economic \n\nCommunity and in particular Article 28 thereof, \n\nHaving regard to the proposal from the Commission, \n\nWhereas during the GATT negotiations on the introduction of the \n\nharmonized system, customs duties on the import of certain inedible \n\nanimal and vegetable fats and oils were increased; \n\nWhereas this increase in customs duties is proving disadvantageous to \n\neconomic operators; whereas it is therefore expedient to apply the \n\ncustoms duties which applied prior to the negotiations; \n\nWhereas the balance of concessions and obligations under the GATT \n\nshould not, however, be called into question; \n\nWhereas it is expedient to amend the autonomous customs duties applied \n\nto these products-, whereas therefore Council Regulation (EEC) \n\nNo 2668/871, as last amended by Regulation (EEC) No. /. 2, should \n\nbe amended accordingly. 1 OJ No L 256, 7. 9. 1987, p. 1 \n\n2 OJ No L \n\n\fHAS ADOPTED THIS REGULATION: \n\n- 4 -\n\nArticle 1 \n\n1. The combined nomenclature attached to Regulation (EEC) No 2658/87 \n\nis hereby amended in accordance with the Annex hereto. 2. The amendments to combined nomenclature subheadings provided for in \n\nthis Regulation shall be applied as Taric subdivisions until their \n\ninsertion in the combined nomenclature under the conditions laid \n\ndown in Article 12 of Regulation (EEC) No 2658/87. Article 2 \n\nThis Regulation shall enter into force on the third day following that \n\nof its publication in the Official Journal of the European Communities. It shall apply from 1 July 1991. This Regulation shall be binding in its entirety and directly \n\napplicable in all Member States. Done at Brussels, \n\nFor the Council \n\nThe President \n\n\f- 5 -\n\nCN code \n\nDescription \n\nRate of duty \n\nautonomous \n(%) or levy \n( AGR) \n\nconventional \n\nSupplemen \ntary unit \n\n1518 00 \n\nAnimal or vegetable fats and oils and their \nfractions, boiled, oxidized, dehydrated, \nsulphurized, blown, polymerized by heat in \nvacuum or in inert gas or otherwise chemically \nmodified, excluding those of heading No 1516; \ninedible mixtures or preparations of animal \nor vegetable fats or oils or of fractions of \ndifferent fats or oils of this chapter, not \nelsewhere specified or included : \n\n1518 00 10 \n\n- Linoxyn \n\n20 \n\n12 \n\nFixed vegetable oils, fluid, mixed, for \ntechnical or industrial uses other than \nthe manufacture of foodstuffs for human \nconsumption (1) : \n\n1518 00 31 \n\n- - Crude \n\n1518 00 39 \n\n- - Other \n\n5 (2) \n\n8 (2) \n\n(1) L'ntry under this subheading is subject to conditions laid down in the relevant Community \nprovisions. (2) In certain conditions, the collection of a compensatory amount is provided for in addition \nto customs duty. - 6 -\n\nCN code \n\nDescription \n\nRate of duty \n\nautonomous \n(%) or levy \n( AGR) \n\nconventional \n(%) \n\nSupplemen \ntary unit \n\n1 \n\n2 \n\n3 \n\n4 \n\n5 \n\n- Other : \n\n1518 00 xx \n\n(1) \n\n- - Animal or vegetable fats and oils and \ntheir fractions, boiled, oxidized, \ndehydrated, sulphurized, blown, polymerized \nby heat in vacuum or in inert gas or \notherwise chemically modified, excluding \nthose of heading No 1516 \n\n1518 00 xx \n\n(2) \n\n- - ether \n\n15 \n\n2 \n\n12 \n\n12 \n\n(1) Taric codes for 1991: 1518 00 90 * 20 \n\n(2) Taric codes for 1991: 1518 00 90 * 90 \n\n\fISSN 0254-14*5 \n\nCOM(91) 196 final \n\nDOCUMENTS \n\nEN \n\n02 \n\nCatalogue number : CB-CO-91-263-EN-C \n\nISBN 92-77-73431-0 \n\nOffice for Official Publications of the European Communities \nL-2985 Luxembourg"} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/6b669f81-1220-4904-8a2c-d4c3108b2a66", "title": "WRITTEN QUESTION No. 1282/91 by Mrs Brigitte LANGENHAGEN to the Commission. 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"lang": "eng", "formats": ["pdf", "pdfa1b", "print"], "text": "COMMISSION OF THE EUROPEAN COMMUNITIES \n\nC0MC91) 215 final - SYN 345 \n\nBrussels, 12 June 1991 \n\nProposal for a \n\nCOUNCIL DIRECTIVE \n\non the frequency bands to be designated for the \n\ncoordinated introduction of digital short-range radio \n\n(DSRR) in the Community \n\n(presented by the Commission) \n\n\f- 2 -\n\nEXPLANATORY MEMORANDUM \n\nContents \n\n1. Introduction \n\n1. 1 Background \n\n1. 2 The current state of short-range mobile communications in the \n\nCommunity \n\n1. 3 Market opportunities and requirements \n\n1. 4 Limitations of existing short-range radio communications \n\n2. Potential benefits of digital short-range radio (DSRR) \n\n3. ETSI standard for DSRR \n\n3. 1 Simplex, one-frequency operating mode \n\n3. 2 Semi-duplex, two-frequency operating mode \n\n4. Time scale for the introduction of DSRR \n\n4. 1 Time scale for the completion of a single standard \n\n4. 2 Time scale for manufacturers to produce equipment \n\n5. Frequency requirements \n\n6. Objective of the proposed Directive \n\n(2) \n\n\f\f- 3 \n\n1. Introduction \n\n1. 1 \n\nBackground \n\nAs foreseen in the Commission's 1987 Green Paper on the development of the \n\ncommon market for telecommunications services and equipment, future \n\nintra-Community communications will depend on achieving Europe-wide \n\ncompatibility and interoperability of current and future services, \n\nincluding mobile communications, which should be provided universally at a \n\nEuropean level. These requirements must be based in particular on \n\nDecision 87/95/EEC of 22 December 1986 on standardization in the field of \n\ninformation \n\ntechnology \n\nand \n\ntelecommunications,1 \n\nCouncil \n\nDirective 83/189/EEC of 28 March 1983 establishing a procedure for the \n\nprovision of information in the field of technical standards and \n\nregulations,2 \n\nas amended \n\nby \n\nDirective \n\n88/182/EEC, \n\nand Council \n\nRecommendation 84/549/EEC of 12 November 1984 on the implementation of \n\nharmonization in the field of telecommunications. 3 \n\nFor its part, the European Parliament has requested that the current \n\ngeneral incompatibility of mobile communications systems be resolved, and \n\nthat work towards Community-wide mobile communications be undertaken. 4 \n\nThe Commission's June 1987 Green Paper on telecommunications included a \n\nproposal to set up a European Telecommunications Standards Institute \n\n(ETSI). This has resulted \n\nin a major reform of the European \n\nstandards-setting process with the establishment of ETSI in March 1988 in \n\nSophia-Antipolis, near Nice in France. ETSI has instructed its Technical \n\nSubcommittee RES 7 to produce a standard for digital short-range radio by \n\nthe end of 1990. 1 0J No L 36, 7. 2. 1987, p. 31. 2 0J No L 109, 26. 4. 1983, p. 8. 3 OJ No L 298, 16. 11. 1984, p. 49. 4 European Parliament report on telecommunications in the Community \n\n(Leonard! report), doc. 1. 1477/3 of 3 March 1984. - 4 -\n\n1 -2 \n\nThe current state of short-range mobile communications in the \n\nCommunity \n\nin the early 1980s the United Kingdom allocated the 933-935 MHz frequency \n\nband to CB (Citizen's Band Radio) in order to limit the spread of 27 MHz \n\nequipment. However, the United Kingdom did not get the support of the other \n\nEuropean administrations and CEPT adopted a recommendation on a 27 MHz CB \n\nservice. Japan, however, had prepared analogue equipment equivalent to CB \n\nequipment for the 933-935 MHz frequency band. The Europeans subsequently \n\nreached agreement within CEPT to use the 933-935 MHz band for digital \n\nequipment. The basic idea was to have low-power (1 Watt) portable \n\nequipment. When ETSI was set up, the working party responsible for drafting \n\nspecifications for the equipment was transferred from CEPT to ETSI (RES). At the same time, CEPT adopted Recommendation T/R 24-04 allocating the \n\nfrequency bands 933-935 MHz and 888-890 MHz for short-range digital \n\ncommunications. It also recommended that this system should be capable of \n\nusing both the simplex and duplex mode. The 933-935 MHz frequency band is \n\nused in the simplex mode and, in the semi-duplex mode, communications can \n\ntake place in the associated 888-890 MHz band. 1-3 \n\nMarket opportunities and requirements \n\nIt is difficult to make accurate projections of the demand for DSRR in view \n\nof the variety of services offered and the novelty of this concept: the \n\noriginal concept was intended to cover only voice communication, but this \n\napplication has been extended to include data. A recent study funded by the \n\nCommission indicates that by 1995 there are likely to be 330 000 mobile or \n\nportable stations in the United Kingdom and the Netherlands. This figure is based on an extrapolation of the traditional market for \n\nprivate mobile equipment but, given the cheapness of DSRR, it is difficult \n\nto estimate at present the inroads it will make into the small business \n\nmarkets (services, agriculture, transport, etc. ), and some market studies \n\nconsider that the rate of penetration will be higher. - 5 -\n\nAnother market study has yielded comparable results: 1. 2 million users in \n\nthe Community in 1995. However, the study specifies that a very large \n\nproportion of them do not at present use public or private radio \n\ncommunications systems. They will buy DSRR, however, because of the low \n\ncost of the equipment, the absence of charges for use without a relay, and \n\nthe service rendered. 1. 4 \n\nLimitations of existing short-range radio communications \n\nProfessionals will be able to use public services such as GSM or DECT \n\nthroughout the Community. These systems are connected up to the public \n\nswitched network but they are much more expensive than DSRR. Professionals \n\ncan also use private network equipment, but that presupposes obtaining a \n\nfrequency. In several Member States public demand can no longer be \n\nsatisfied because the private networks are saturated. DSRR will offer a new \n\nopportunity for obtaining a frequency without having to get authorization \n\nfrom the national administration to use it in a given service area. Allocating frequencies by sharing the frequency spectrum resource will make \n\nit possible to use the equipment without interference and with a large \n\nmeasure of mobility. 2. Potential benefits of digital short-range radio (DSRR) \n\nThere is unanimous agreement among European manufacturers and users that \n\nthe DSRR approach is the most appropriate for Europe in the medium and long \n\nterm for this category of mobile services. Users will be able to benefit to \n\nthe full from the advantages of the single market of 1992, using their \n\nequipment throughout the Community without the need for specific \n\nauthorization from the national administration if they use two sets of \n\nmobile equipment or with the authorization of the national administration \n\nif a relay is used. The DSRR approach offers the following benefits: \n\nDSRR will offer major benefits to private and business users \n\nand will stimulate the development and exploitation of major \n\nnew market opportunities for European industry; \n\n\f- 6 -\n\nEuropean industry will be developing a system and products, \n\nand will thus acquire greater experience in consumer \n\nelectronics; \n\nDSRR will provide European industry with an advanced \n\ntechnology with considerable potential for world-wide sales \n\nand distribution opportunities; \n\nthe successful development and implementation of DSRR will \n\nprovide the necessary technical and operational framework to \n\nfacilitate \n\nthe \n\nintroduction \n\nof \n\na \n\nuniversal \n\nmobile \n\ntelecommunications system as the successor to DSRR. Another advantage of DSRR is that it uses the voice coders developed for \n\nthe GSM system. In the case of DSRR the rate is 16 k/bit per second. As a \n\nresult of DSRR using the GSM coder, European industry will benefit from \n\nlonger series for this comparatively expensive equipment. Lastly, DSRR has the advantage of being technologically far more efficient \n\nin the use of the frequency spectrum than conventional private systems. 3. ETSI standard for DSRR \n\nThe ETSI Technical Subcommittee RES 3 was given the task of specifying the \n\ntechnical standard for DSRR. Following a reorganization within ETSI the \n\nwork was transferred from RES 3 to RES 7. The work is being supported by \n\nthe European industry via ECTEL (European Telecommunications and \n\nProfessional Electronics Association). DSRR sets are low-power transmitters-receivers operating either in simplex \n\nmode in the 933-935 MHz band or in semi-duplex or full-duplex mode in the \n\n933-935 MHz band in association with 888-890 MHz. Direct digital modulation of the carrier is used to send the selective \n\nsignalling code and the voice or data. - 7 -\n\nDSRR sets are equipped with: \n\nautomatic multi-channel access with no need for a central monitor; \n\na selective signalling code; \n\nDSSRs may use the simplex, the semi-duplex and the full-duplex \n\nmode. Base, mobile and portable relay stations may be used. 3. 1 \n\nSimplex, one-frequency operating mode \n\nWhen the simplex operating mode is used, two-way communications can be \n\nestablished between portable stations and/or mobile stations. In stand-by mode all the stations receive one or other of the monitoring \n\nchannels. 3. 2 \n\nSemi-duplex, two-frequency operating mode \n\nWhen the two-frequency mode is used, two-way communications are possible \n\nbetween the base station and the portable set or between mobile sets on \n\nvehicles. When the two-frequency mode is used, two-way communications are possible \n\nbetween the base stations and the portable set and/or the mobile set. In order to enable base stations to monitor the use of the traffic channel, \n\nall the base stations operating in two-frequency mode, whether they are \n\nregarded as relay stations or as base stations, operate in full-duplex mode \n\nwith continuous transmission and reception on the traffic channel. In order to select the channel without traffic, all the base stations are \n\ncapable of receiving the frequencies transmitted by the base station and \n\nthose transmitted by the mobile station. - 8 -\n\n4. Tlwa scale for the Introduction of DSRR \n\n4. 1 \n\nTime scale for the completion of a single standard \n\nHarmonization implies the use of a single European standard. The DSRR \n\nspecifications will cover all aspects of the system and a timetable for \n\ncompleting the specifications has been agreed by ETSI. The date for \n\ncompletion of the I ETS is the end of 1990 and the date of completion of \n\nthe standard following a public enquiry is October 1991. Member States \n\nshould ensure that progress towards the introduction of DSRR can be \n\nmaintained and that DSRR can be introduced by the end of 1993. 4. 2 Time scale for manufacturers to produce equipment \n\nManufacturers should continue to support the work of ETSI as at present. They must also be prepared to manufacture their equipment to the ETSI \n\nstandard as soon as possible. 5. Frequency requirements \n\nA prerequisite for the successful introduction of a fully harmonized DSRR \n\nservice is the availability of common frequencies throughout the European \n\nCommunity. CEPT has adopted recommendation T/R 75-02 designating the \n\n888-890 MHz frequency band in association with 933-935 MHz for DSRRs using \n\nthe one or two frequency transmission mode. It is absolutely essential \n\nthat the frequencies should be common throughout the Community to enable \n\nEuropean citizens to use their equipment in all twelve Member States. This \n\nequipment does not require frequencies to be allocated by the \n\ntelecommunications regulatory authorities. The coordinated and timely \n\navailability of the necessary common frequencies is imperative if a fully \n\nharmonized system is to be introduced. - 9 -\n\n6. Objective of the proposed Directive \n\nTo maintain progress in the areas described above, it is necessary to \n\nguarantee: \n\nthe completion of the DSRR specifications (I ETS) by October 1991; \n\nthe development of the ETS in 1992 and its completion in early \n\n1993; \n\nthe coordinated introduction of DSRR according to a strict \n\ntimetable; \n\nthe availability of common, Europe-wide frequencies for the \n\nintroduction of the DSRR system; \n\nease of market access for manufacturers through the single market. In order to guarantee the availability of frequencies for DSRR the \n\nCommission has prepared a draft Directive calling for common frequency \n\nbands for DSRR throughout the Community. The Directive is based on the \n\nwork of the CEPT which has recommended the 888-890 MHz band in association \n\nwith 933-935 MHz for DSRR. The provision of frequencies in the Member States is laid down by law, \n\nregulation or administrative action. Given this situation and the fact \n\nthat the provision of radio frequencies is the most critical factor in the \n\nimplementation of DSRR, a Council Directive based on Article 100a of the \n\nTreaty is necessary. The proposed Council Directive on the frequency bands to be designated for \n\nthe coordinated introduction of digital short-range radio in the Community \n\nhas the primary objective of ensuring the availability of sufficient \n\nfrequency resources in order to implement the system at the earliest \n\npossible date. - 10 -\n\nThe following additional Community measures are proposed in order to \n\naccelerate the development and introduction of the digital short-range \n\nradio communication service on the basis of the frequencies set out in the \n\nDirective: \n\nthe Commission will give high priority to the mutual recognition of \n\ntelecommunications equipment type approval and the specification of \n\nthe appropriate European telecommunications standard. This will \n\nfacilitate international \"roaming\" and promote the market for DSRR; \n\nthe Commission will apply strictly Council Directive 83/189/EEC on \n\nthe provision of information in the field of technical standards \n\nand regulations, and Council Decision 87/95/EEC on standardization \n\nin the field of information technology and telecommunications. Finally, the Commission in collaboration and in consultation with \n\ninterested parties will help develop a strategy for the development of GSM, \n\nERMES, DECT, DSRR and other private mobile systems into a universal \n\npersonal communications system. The proposals will make it possible to take an important step forward for \n\nthe introduction of DSRR throughout the Community and substantially improve \n\nthe development of advanced telecommunications services and networks as \n\nrequested by the Council on 17 December 1984. The Council is therefore requested: \n\nto adopt the attached proposal for a Directive; \n\nto take note of the additional preparatory measures which the \n\nCommission will undertake in close cooperation and collaboration \n\nwith ETSI and CEPT. - 11 -\n\nProposal for a \n\nCOUNCIL DIRECTIVE \n\non the frequency bands to be designated for the \n\ncoordinated introduction of digital short-range radio \n\n(DSRR) in the Community \n\nTHE COUNCIL OF THE EUROPEAN COMMUNITIES, \n\nHaving regard to the Treaty establishing the European Economic Community, \n\nand in particular Article 100a thereof, \n\nHaving regard to the proposal from the Commission,1 \n\nIn cooperation with the European Parliament,2 \n\nHaving regard to the opinion of the Economic and Social Committee,3 \n\n1. Whereas Council \n\nRecommendation 84/549/EEC4 calls for the \n\nintroduction of services on the basis of a common harmonized \n\napproach in the field of telecommunications; \n\n2. Whereas in its Resolution of 30 June 1988 on the development of the \n\ncommon market for telecommunications services and equipment,5 the \n\nCouncil calls for the promotion of Europe-wide services according \n\nto market requirements; \n\n3. Whereas the resources offered by modern telecommunications networks \n\nshould be utilized to the full for the economic development of the \n\nCommunity; \n\n1 \n\n2 \n\n3 \n\n4 OJ No L 298, 16. 11. 1984, p. 49. 5 0J No C 257, 4. 10. 1988, p. 1. - 12 -\n\n4. Whereas Council Directive 89/336/EEC of 3 May 1989 on the \n\napproximation of the laws of the Member States relating to \n\nelectromagnetic compatibility6 is applicable, and particular care \n\nshould be taken to avoid harmful electromagnetic interference; \n\n5. Whereas current short-range systems in use in the Community, and \n\nthe frequency bands in which they operate, vary widely and do not \n\nallow the benefits of Europe-wide services or the economies of \n\nscale associated with a truly European market to be enjoyed; \n\n6. Whereas the work to be carried out in this area should take full \n\naccount, inter al la. of the framework constituted by the provisions \n\nof Council Directive 83/189/EEC of 28 March 1983 establishing a \n\nprocedure for the provision of information in the field of \n\ntechnical standards and regulations,7 as last amended by Decision \n\n90/230/EEC,8 Council Directive 86/361/EEC of 24 July 1986 on the \n\ninitial stage of the mutual recognition of type approval for \n\ntelecommunications terminal equipment9 and Council Decision \n\n87/95/EEC on standardization in the field of information technology \n\nand telecommunications;10 \n\n7. Whereas the European Telecommunications Standards Institute (ETSI) \n\nis currently drafting the European telecommunications standard \n\n(ETS) for digital short-range radio (DSRR); \n\n6 OJ No L 139, 23. 5. 1989, p. 19. 7 OJ No L 109, 26. 4. 1983, p. 8. 8 OJ No L 128, 18. 5. 1990, p. 15, \n\n9 OJ No L 217, 5. 8. 1986, p. 21. 10 OJ No L 36, 7. 2. 1987, p. 31. - 13 -\n\n8. Whereas that standard must take account of the safety of users and \n\nthe need for Europe-wide interoperability; \n\n9. Whereas the implementation of DSRR in Europe will provide a unique \n\nopportunity to establish a truly European and very inexpensive \n\nshort-range digital radio system and DSRR will not normally be \n\nconnected to the public network; \n\n10. Whereas it must be possible for users of DSRR terminals in a \n\nMember State to use their equipment in all the other Community \n\nMember States; \n\n11. Whereas ETSI has estimated that DSRR will require 2 x2 MHz in all \n\nthe Member States; \n\n12. Whereas the European Conference of Postal and Telecommunications \n\nAdministrations (CEPT) has adopted Recommendation T/R 20-10 on \n\nDSRR; \n\n13. Whereas the CEPT has chosen the common European frequency bands \n\n888-890 MHz and 933-935 MHz for DSRR in accordance with CEPT \n\nRecommendation T/R 24-04; \n\n14. Whereas DSRR should be given priority and protected in the \n\n888-890 MHz and 933-935 MHz bands; whereas, in view of the \n\nparticular features of the system, protection of the monitoring \n\nchannels (channels 1 and 79) is essential; \n\n15. Whereas low-power applications exist at these frequencies; \n\n1,6. Whereas Council Directive. /. /. of. on the approximation \n\nof the laws of the Member States concerning telecommunications \n\nterminal equipment, including the mutual recognition of their \nconformity,11 will allow the rapid establishment of common \n\nconformity specifications for DSRR; \n\n11 0J No L \n\n\f- 14 -\n\n17. Whereas the establishment of DSRR in the Community depends on the \n\nallocation and availability of a frequency band in order to \n\ntransmit and receive between base stations and mobile stations; \n\n18. Whereas the availability of the full range of the abovementioned \n\nfrequency band will be indispensable for the establishment of DSRR \n\non a Europe-wide basis. HAS ADOPTED THIS DIRECTIVE: \n\nArticle 1 \n\nFor the purposes of this Directive, \"Digital Short-Range Radio - DSRR\" \n\nmeans any equipment conforming to the European telecommunications standard \n\n(ETS) for this type of equipment. Article 2 \n\n1. Member States shall designate the frequency bands indicated in CEPT \n\nRecommendation T/R 75/02 (888-890 and 933-935 MHz) for DSRR systems \n\nby 1 January 1992. 2. DSRR systems shall have priority and shall be protected in the \n\ndesignated frequency bands. Article 3 \n\n1. Member States shall bring into force the laws, regulations and \n\nadministrative provisions necessary to comply with this Directive \n\nby 31 December 1991, and shall forthwith inform the Commission \n\nthereof. The provisions adopted by Member States shall contain a reference \n\nto this Directive or be accompanied by such a reference on official \n\npublication. Details of this reference shall be decided by the \n\nMember States. - 15 -\n\n2. Member States shall communicate to the Commission the text of the \n\nprovisions of national law which they adopt in the field governed \n\nby this Directive. Article 4 \n\nThe Commission shall report to the Council on the implementation of this \n\nDirective by the end of 1995. Article 5 \n\nThis Directive is addressed to the Member States. Done at Brussels, \n\nFor the Council \n\nThe President \n\n\f\f\fISSN 0254-1475 \n\nCOM(91) 215 final \n\nDOCUMENTS \n\nEN \n\n15 \n\nCatalogue number : CB-CO-91-292-EN-C \n\nISBN 92-77-73900-2 \n\nOffice for Official Publications of the European Communities \n\nL-2985 Luxembourg"} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/49bd059b-8cca-4b17-9034-19e73ad9c019", "title": "Commission Regulation (EEC) No 1589/91 of 12 June 1991 re-establishing the levying of customs duties on products of category 20 (order No 40.0200), originating in Thailand, to which the preferential tariff arrangements set out in Council Regulation (EEC) No 3832/90 apply", "langIdentifier": "ENG", "mtypes": "html,pdfa1b,print", "workTypes": "http://publications.europa.eu/ontology/cdm#legislation_secondary,http://publications.europa.eu/ontology/cdm#regulation,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Commission", 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"langIdentifier": "ENG", "mtypes": "html,pdfa1b,print", "workTypes": "http://publications.europa.eu/ontology/cdm#act_other_oj_l,http://publications.europa.eu/ontology/cdm#legislation_complementary,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "Council of the European Union,Representatives of the Governments of the Member States", "date": "1991-06-09", "subjects": "EU act,EU publication,health policy,public health", "workIds": "celex:41991X0629(02),oj:JOC_1991_170_R_0003_01", "eurovoc_concepts": ["EU act", "EU publication", "health policy", "public health"], "url": "http://publications.europa.eu/resource/cellar/60de329c-de39-4fc8-b8ea-eda090f0bdd8", "lang": "eng", "formats": ["html", "pdfa1b", "print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/2ab45593-f5ef-4947-bdc2-d9a279d4d66e", "title": "91/352/EEC: Council Decision of 7 June 1991 adopting a specific research and technological development programme in the field of communication technologies (1990 to 1994)", "langIdentifier": "ENG", "mtypes": "html,pdfa1b,print", "workTypes": "http://publications.europa.eu/ontology/cdm#decision,http://publications.europa.eu/ontology/cdm#legislation_secondary,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "Council of the European Union", "date": "1991-06-07", "subjects": "COST,research programme,scientific research,telecommunications", "workIds": "celex:31991D0352,oj:JOL_1991_192_R_0008_007", "eurovoc_concepts": ["COST", "research programme", "scientific research", "telecommunications"], "url": "http://publications.europa.eu/resource/cellar/2ab45593-f5ef-4947-bdc2-d9a279d4d66e", "lang": "eng", "formats": ["html", "pdfa1b", "print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/61ba36ca-d427-4da6-8071-c6b53dee11ea", "title": "Commission Regulation (EEC) No 1559/91 of 7 June 1991 amending Regulation (EEC) No 2077/85 laying down detailed rules for the application of the system of production aid for tinned pineapple", "langIdentifier": "ENG", "mtypes": "html,pdfa1b,print", "workTypes": "http://publications.europa.eu/ontology/cdm#legislation_secondary,http://publications.europa.eu/ontology/cdm#regulation,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Commission", "date": "1991-06-07", "subjects": "preserved product,production aid,tropical fruit", "workIds": "celex:31991R1559,oj:JOL_1991_144_R_0040_027", "eurovoc_concepts": ["preserved product", "production aid", "tropical fruit"], "url": "http://publications.europa.eu/resource/cellar/61ba36ca-d427-4da6-8071-c6b53dee11ea", "lang": "eng", "formats": ["html", "pdfa1b", "print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/eeaa9076-b5d8-46cf-a8da-6300a40ce5db", "title": "PROPOSAL FOR A COUNCIL RECOMMENDATION ON THE HARMONIZED PROVISION OF A MINIMUM SET OF PACKET-SWITCHED DATA SERVICES IN ACCORDANCE WITH OPEN NETWORK PROVISION ( ONP ) PRINCIPLES", "langIdentifier": "ENG", "mtypes": "pdf", "workTypes": "http://publications.europa.eu/ontology/cdm#act_preparatory,http://publications.europa.eu/ontology/cdm#proposal_act,http://publications.europa.eu/ontology/cdm#proposal_recommendation_ec,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Commission", "date": "1991-06-07", "subjects": "data transmission,harmonisation of standards,interactive network,telephone charges", "workIds": "celex:51991PC0208,comnat:COM_1991_0208_FIN", "eurovoc_concepts": ["data transmission", "harmonisation of standards", "interactive network", "telephone charges"], "url": "http://publications.europa.eu/resource/cellar/eeaa9076-b5d8-46cf-a8da-6300a40ce5db", "lang": "eng", "formats": ["pdf"], "text": "COMMISSION OF THE EUROPEAN COMMUNITIES \n\nCOM(91) 208 final \n\nBrussels, 7 June 1991 \n\nProposal for a \n\nCOUNCIL RECOMMENDATION \n\non the harmonised provision of a minimum set of Packet-Switched \n\nData Services in accordance with Open Network Provision \n\n(ONP) principles \n\n(presented by the Commission) \n\n\f- 2 \n\n-\n\nEXPLANATORY MEMORANDUM \n\nI. INTRODUCTION \n\nThe Telecommunications Council of December 1989 decided that the Community's \n\ntelecommunications policy should combine in a balanced way harmonization and \n\nliberalisation. Consequently, on June 28, 1990 the Council of Ministers for Telecommunications \n\nadopted \n\na Directive on \n\nthe establishment of \n\nthe \n\ninternal market \n\nfor \n\ntelecommunications services through the implementation of open network provision \n\n(ONP) and the Commission adopted a Directive on competition in the markets for \n\ntelecommunication services. The first Directive (known as the ONP framework Directive), considers the area of \n\npacket switched data services (PSDSs) as a priority. The Directive received broad \n\nsupport in the European Parliament and in the Economic and Social Committee. The \n\nDirective asks for the implementation of harmonized technical interfaces and/or \n\nservice features for PSDSs and in this respect the Commission published in the \n\nOfficial JournaP on the 29. 12. 90 the list of packet switched public data networks \n\nstandards suitable for ONP. The Directive also foresees as a priority the adoption of a \n\nCouncil Recommendation on the harmonised provision of a minimum set of Packet \n\nSwitched Data Services \n\nin accordance with Open Network Provision \n\n(ONP) \n\nprinciples. It is in this context that the Commission presents this proposal for a Recommendation \n\nto the Council of Ministers. II. T HE ROLE OF PACKET SWITCHED PUBLIC DATA NETWORKS IN T HE \n\nDEVELOPMENT O I: EUROPEAN V A L UE A D D ED SERVICES \n\nThe late 70s saw the introduction of packet switched public data networks in several \n\nEuropean countries. 1 \n\nOJ No C \n\ni. V, \n\n?'?. ]?. 1 7 7 0, \n\np. 1 9- \n\nL i st \n\nof \n\n:;t;inrl. ii-iJ-, \n\nr <\u2022 f o n - iu e \" \n\ni '. c. k et \n\ns w i t c h ed p u b l ic \n\nd. i Ut \n\nn e t w o r ks , \n\n\f-3 \n\n-\n\nThe \n\nintroduction of these national networks followed different timetables and \n\ndifferent commercial priorities however, and hence \n\nthe availability of a \n\nfully \n\nharmonised and up to date international service was held up. From an industrial and manufacturing point of view it was only after 1976 that the set \n\nof packet switched associated standards reached a mature enough stage to allow the \n\ndevelopment and marketing of commercially exploitable packet switching public \n\nsystems, although \n\nthe \n\nfirst packet switched public data networks were not \n\ncommercially available before 1978/1979^. Administrations began to plan for, and implement national packet switched services \n\nagainst a range of target dates, and some administrations were therefore working with \n\nmore mature CCITT recommendations than those that had launched public services \n\nearlier. By 1984, when the new and revised CCITT recommendations (Red Book) became \n\navailable, most European countries already had their packet switched public data \n\nnetworks up and running on the basis of different \n\nimplementations of the 1980 \n\nversions of CCITT \n\nrecommendations, and \n\nthe \n\nfirst \n\ninternational \n\ngateway \n\ninterconnections between networks had been established, based on bilateral \n\narrangements without any administrative or management functions, for the provision \n\nof transborder services at European level. All these factors led to national variations of the basic service, which has made full \n\ninternational interworking difficult to achieve. The market for networks and services has clearly became application driven on an \n\nEuropean scale, and incompatible products and services, as well as internal skills \n\nshortages are seen by the users as major constraints on data communications networks \n\ndevelopment over the next years. The development and availability of international value added services to support the \n\napplications required by the users is largely dependent on PSDSs because without \n\nsuch an adequate transeuropean transport service, higher layer value added services \n\n2 \n\nIn \n\nt he c o n t e xt of \n\ni ts \n\ninforni. it ion m. irket p o l i cy \n\nt he O. cru. ni ty \n\ni n i ti >tr-d \n\nt he \u00ab. -stabl i shment of a \n\np. i n o u r o p o nn p. i c k et \n\n'. w i t c h ed p u b l ic d. it. i n e t w o rk \n\n( L u n n i - ; ), which \u00bb. v. in s e r v i ce \n\nfrom 193'J \n\nto \n\n1 9 8 4, when \n\nit was r e p l a c ed by \n\nt he n. i t i o n. i l ly b. tsed p o c k et. w i t c h ed p u b l ic d. it. i n e t w o r k s. - A -\n\nwill be difficult to offer to users on a Community wide scale. Such services will flourish if, and only if, a high quality, reasonable priced, ubiquitous \n\ntransport service is available. Existing packet switched public data networks have developed into a major transport \n\nmedia for the operation of value-added-services throughout the Community. Suitably \n\nexpanded and enhanced to adhere to European standards, they offer the most suitable \n\nmechanism to meet the tight deadlines imposed by the 1992 Single Market goal on the \n\navailability of value added services necessary to support European wide industry, \n\ntrade and administration. III. THE CONSULTATIVE PROCESS \n\nThe concept of ONP conditions for open provision of packet switched public data \n\nnetworks was \n\nintroduced by the Commission \n\nin the Communication on \n\nthe \n\nImplementation of the Green PapeA In its Council Resolution of 30 June 1988 the \n\nCouncil urged for the \"rapid definition\" of ONP conditions for public data networks. Since the Commission deemed it necessary that the analytical work on public data \n\nnetworks was taken up as soon as possible the Commission started to analyse the \n\nsubject in parallel with its work on the ONP framework Directive. Preparatory work \n\non the application of ONP principles \n\nto public data networks was \n\ntherefore \n\nundertaken by the SOG-T (Senior Officials Group - Telecommunications) and its sub \n\ngroup GAP (Groupe d'Analyse et de Pr\u00e9vision) as early as 1989. In the spirit of the then pending framework Directive, the SOG-T arranged for the \n\nparticipation of \n\nrepresentatives of European \n\nindustrial \n\norganizations, \n\ntrade \n\nassociations, service providers, telecommunications users, and telecommunications in \n\ngeneral. To that end. public comments on the proposals^ of GAP were invited by \n\nnotice in the Official Journal dated 6 April 1990. UK1 two fora were organized in \n\n3 \n\n4 \n\n($$) 48 : Implementing \n\nC OM \nTelecommunications Services anti Hquipmenl. the C\u00eerccn Paper on \n\nthe Development of \n\nihe Common Market \n\nfor \n\nProposal by the \"Analysis ami Forecast im; Croup\" (CAP) on Open Network Provision (ONP) for Public \nData Networks Lines in the Community <>l ?. S Fcbni. uv l\u00b0')i> \u2022 \n\n5 \n\nOJ No C p. 1-40). (') In o r d er \n\nto refer \n\nthe relevants standards body should be \nc o n t a c t e d. Where the three stage description process for I S DN services is r. -rA ( M SI ISM report E T R, \n10. S. 1990), stages 1, 2 and 3a are included. the precise status of each standard, \n\nto. V N o te \n\nID Article- :> (. ') of D i r e c t i ve 7 3/ >. \\7/}. i- ' \" ,. liiipli. n;. icom:--*:::-\u2014 111s <>;. i \n\n\\>. i:h the \n\nl \\ ; : s u a ni \ntii:- pit-vumjnu>n of c o n l o r m a n rr \nc o v e r ed by t h e se s t a n d a r ds a nd \n90/3S7/I-i-:C and '. O/3. SS/I-:KC. :jcuv. itfist. uuliii; \n\n:;). \"( \n\nr e q u i r c m e i i: \n\n\u2022\u2022<: \u2022. :^s -A in car ;\\-\n\u2022'\u2022'::i. i;i as Jar. o \n::. i;n D i r ec t. ' vs \n\nIi! a c c o r d a n ce v. ith D i r e c t i ve V 0 / 3 M / /J i;c; ilns ! -\u2022 \nm o r d er to c o m p ly with new access r e q u i r e m e n ts r e s u l t i ng f r om u s er d e m a nd a nd \nd e v e l o p m e n t. : ;i. ,y |,t- st:;i;>lemc:;:rd hy ::. ,-iri(i s t a n d a r ds \nt c c l i n o l o j ' i t al \n\n\f- 7 -\n\nDisclosure of information \n\nPoint 3 establishes the format in which the information is to be published in order to \n\ncomply with the requirement that ONP conditions must be transparent and published \n\nin an appropriate manner. Supply Conditions \n\nThe supply conditions for PSDSs are addressed in Point 4. It requires organizations to \n\nuse a set of general supply conditions which contains at least a number of parameters \n\nwhich are of vital importance to users, e. g. the delivery period for a type of PSDS, the \n\nduration of the contractual period and the repair time. It also refers to the refund \n\npolicy and the network performance targets. Common ordering, hilling and maintenance procedures \n\nPoint 5 expresses the requirement of users to be able to order PSDSs in a common \n\nfashion, and where requested, to be able to communicate with a single organization \n\nfor ordering, billing and maintenance purposes. Through the implementation of a \"green number\" arrangement at a Community level \n\nit allows, on the one hand, for the establishment of permanent arrangements for \n\nreverse charging capabilities allowing Community wide service providers to bill their \n\ncustomers in a global bill. The \"kiosk type arrangement\" allows, on the other hand, for \n\nthe possibility of a combined collection, in a global bill, of the cost of the value-added \n\nservice and of the cost of the call, by the organisation supplying PSDSs, thus \n\nfacilitating the provision of value-added services across the Community, specially by \n\nsmall and medium size service providers. Quality of Service \n\nPoints 6 and 7 refer to quality of service and ask for the adoption of common \n\nindicators \n\nfor \n\nthe network performance aspects of quality of service, and \n\ncorresponding measurements methods. Both are indicated in Annex III. - 8 -\n\nTariffing Principles \n\nPoints 8 and 9 refer to the basic principle of application independence which is to be \n\napplied for tariffs of PSDSs and identifies separate tariff elements which will normally \n\nbe contained in the tariffs. Notification \n\nPoints 10 and 11 deal with the information which the national regulatory authority has \n\nto provide to enable the Commission \n\nto monitor the \n\nimplementation of \n\nthis \n\nRecommendation, notably which organizations will conform with the provisions of the \n\nRecommendation. User Support \n\nPoint 12 refers to a procedure for user support if difficulties are encountered in \n\nrelation to the objectives of this Recommendation, in particular in connection with the \n\nprovisions on the general supply conditions and quality of service. Progress of work \n\nPoint 13 recommends that the Commission examines the progress of work in \n\nimplementing the Recommendations in consultation with the ONP Committee. CONCLUSIONS \n\nDirective 387/90/l:I::C calls in its Annex 111. 3 for the adoption by the Council by 1 \n\nJuly 1991, acting on a proposal from the Commission, of a recommendation on the \n\nsupply of technical interfaces, conditions of usage and tariff principles applying to \n\nprovision of packet switched data services complying with open network principles; at \n\nthe same time this recommendation would in particular call on Member States to \n\nensure at least one such service was provided on their territory. The present Commission proposal for a Council Recommendation on the harmonised \n\nprovision of a minimum set of Packet Switched Data Services in accordance with \n\nOpen Network Provision (ONP) principles takes account of the. harmonized general \n\nprinciples laid down in the. ONP Iraniewoik Diiective and specifics which services \n\n\f- 9 \n\n-\n\nshould be provided in all Member States in a harmonized way. It is flexible and open \n\nfor future adaptation in line with market demand and technology progress. Thus, the \n\nproposal significantly \n\nimproves \n\nthe competitive conditions \n\nin \n\nthe European \n\ntelecommunications market. The Council \n\nis \n\ntherefore \n\nrequested \n\nto adopt \n\nthe attached proposal \n\nfor a \n\nRecommendation. - 10 -\n\nProposal for a \nCOUNCIL RECOMMENDATION \n\non the harmonised provision of a minimum set of Packet-Switched Data Services in \naccordance with Open Network Provision (ONP) principles \n\nTHE COUNCIL OF THE EUROPEAN COMMUNITIES, \n\nHaving regard to the Treaty e s t a b l i s h i ng \n\nthe European Economic Community, \n\nHaving regard to Council Directive \n\n90/387/EEC of 28 June 1990 on the establishment \n\nof the internal market for telecommunications services through the implementation of \n\nOpen Network Provision (ONP), \n\nHaving regard to the proposal from the Commission, \n\nWhereas D i r e c t i ve 90/387/EEC considers,, i n t er a l i a, \n\nthe p r i n c i p l es \n\nf or \n\nthe \n\na p p l i c a t i on of Open Network P r o v i s i on to the areas of p a c k e t- and c i r c u i t-\n\nswitched data s e r v i c e s; \n\nWhereas D i r e c t i ve 90/387/EEC p r o v i d e s, \nadoption of a Recommendation on the supply of \n\nin \n\ni ts Annex I I I, paragraph 3, \n\nf or \n\nt e c h n i c al \n\ni n t e r f a c e s, c o n d i t i o ns \n\nof usage and t a r i ff p r i n c i p l es a p p l y i ng to p r o v i s i on of p a c k e t - s w i t c h ed data \n\ns e r v i c es complying w i th open network p r i n c i p l e s; \n\nWhereas Packet-Switched Public Data Networks are the most common networks through \n\nwhich packet-switched data services are made available in all Member States; \n\nWhereas Packet-Switched Public Data Networks have developed on a national basis and \n\nthe availability in each Member State of Packet-Switched Public Data Networks with \n\nequivalent capabilities and providing lull inierconnectivity is important to meet the \n\n1 \n\n2 \n\n0J No L 192, 2 4. 7. 1 9 9 0, p. 1 \n\nOJ No C. - 11 \n\n-\n\nrequirements of pan-European data networking for value-added services provision; \n\nWhereas Packet-Switched Data Services are used in every Member State to support value \n\nadded services at a European-wide level; \n\nWhereas \n\nDi r e ct i ve \n\n9 0 / 3 8 7 / E EC calls for the availability in each Member State of \n\na harmonized packet-switched data service (PSDS); \n\nWhereas in application of the principle of non-discrimination, PSDSs shall be available and \n\nprovided on request without discrimination to all users; therefore the terms and conditions \n\nwhich apply to telecommunication organizations when using PSDSs for the provision of \n\ncompetitive services must be equivalent to the terms and conditions which apply to other \n\nusers; \n\nWhereas in accordance with Directive 90/387/EEC, the conditions of Open Network \n\nProvision may not restrict access to and use of PSDSs except in application of essential \n\nrequirements as defined \n\nin the said Directive; those restrictions must be objectively \n\njustified, must follow the principle of proportionality and must not be excessive in relation \n\nto the aim pursued; \n\nWhereas in accordance with Article 3(5) of Directive 9 0 / 3 8 7 / E EC the Commission will \n\ndetermine the rules for uniform application of the essential requirements; \n\nWhereas usage conditions for PSDSs must be d e r i v ed \n\nfrom e s s e n t i al \n\nrequirements compatible with Community law, and are imposed through regulator)' means, \n\nand not through technical restrictions; \n\nWhereas in accordance with Commission D i r e c t i ve 9 0 / 3 8 8 / E E C3 Member States may \n\nmake the supply of packet- or circuit switched data services subject \n\nto licensing or \n\ndeclaration procedures which are aimed at compliance with essential requirements, or \n\ntrade regulations relating to conditions of permanence, availability and quality of service, \n\nor measures to safeguard the task of general economic interest which they have entrusted \n\nto a telecommunications organization for the provision of switched data services, if the \n\nperformance of that task is likely to be obstructed by the activities of private service \n\nproviders; \n\n3 OJNoL 192, 24. 7. 1990, p. 10. - 12 -\n\nWhereas in accordance with Directive 90/387/EEC, the Commission has published in the \n\nOfficial Journal'* the list of packet-switched public data networks standards suitable for \n\nONP; this list may be amended by further publication; \n\nWhereas common ordering procedures, one-stop-ordering and one-stop billing and \n\nmaintenance are essential to promote the use of PSDSs throughout the Community; any \n\ncooperation of the organizations in that respect is subject to compliance with Community \n\nCompetition law; in particular, such procedures should not result in any price fixing or \n\nmarket sharing; these procedures are to be promoted through market mechanisms, e. g. through Memoranda of Understanding between the organisations supplying PSDSs, in \n\naccordance with t h is Recommendation; \n\nWhereas in order to promote Europe-wide operation by service providers using PSDSs it \n\nis desirable to allow for a system where the called party pays for the calls on the basis of the \n\nnumber called, allowing the offering of free-of-charge calls to the subscriber accessing the \n\nservice offered by the provider (green number); \n\nWhereas in order to promote the use of PSDSs by small-and medium-size providers of \n\nvalue-added services it is desirable to establish billing arrangements which facilitate such \n\noperations across the Community; such billing arrangements should allow for a system \n\nwhere the cost of the value-added service and the cost of the call are combined in a single \n\nbill collected by the organisation supplying PSDSs (\"Kiosk type arrangement\"); \n\nWhereas it is important in this context that appropriate allocation of harmonised \n\nnumbering capacity is made to allow the establishment of such service arrangements across \n\nthe Community; such allocation should be made in accordance with the principles of \n\ntransparency and equality of treatment; \n\nWhereas quality of service as perceived by the users is an essential aspect of packet-\n\nswitching; \n\nWhereas m accordance with Directive 90/3N7/KI;C, tariffs should be based on objective \n\ncriteria, taking into account that in a competitive environment tariffs v. ill align with cost; \n\nthey must be transparent and properly published, thev must be sufficiently unbundled in \n\naccordance with the competition rules of the Treaty and thev must be non-discriminatorv \n\nOJ No C S?. 7, 29. 12. 1VV. 'J, p. I V- \n\nl i st \n\nof \n\nst nr. d. ir ck \n\nr vf <\u2022; \u2022\u2022n. v \n\nf. ic *\u2022-. -: \n\n- M c h od p u b l ic d. t; \n\nn e t w o r k s. - 13 -\n\nand guarantee equality of treatment; \n\nWhereas a high level of data protection should be applied to PSDSs equivalent to the level \n\nof protection for other public digital telecommunications services; such requirements \n\nshould be taken into account in the implementation of PSDSs; \n\nWhereas other offerings, provided by organisations supplying PSDSs, in addition to those \n\nprovided in accordance with the provisions of this Recommendation, should not \n\nimpede \n\nthe \n\nprovision of the minimum set. ; \n\nWhereas in conformity with the principle of separation of regulatory and operational \n\nfunctions and in application of the principle of subsidiarity, the national regulatory \n\nauthority of each Member State should play an important role in the implementation of \n\nthis Recommendation; \n\nWhereas to enable the Commission to monitor \n\nthe \n\nimplementation of \n\nt h is \n\nRecommendation, Member States should p r o v i de \n\nthe r e l e v a nt \n\ni n f o r m a t i o n, \n\n\f- 14 -\n\nHEREBY RECOMMENDS: \n\n1. That Member States ensure \n\nthe provision of a minimum set of PSDSs with \n\nharmonised technical characteristics in accordance with Annex I, taking account of \n\nmarket demand. 2. That the Commi. ssion determine \n\nthe modifications necessary to adapt Annex I to new \n\ntechnical developments and to changes in market demand in accordance with Article 9 \n\nof Directive 9 0 / 3 8 7 / E E C. 3. That Member States ensure that information in respect of the PSDSs provided in \n\naccordance with point 1 on technical characteristics, general supply conditions, usage \n\nconditions, tariffs and the conditions for the attachment of terminal equipment is \n\npublished in accordance with the presentation given in Annex II. 4. That the general supply conditions referred to in point 3 include at least: \n\n- \n\nthe typical delivery periods, which are the periods, counted from the date from \n\nwhich the user makes a firm request for the service in question, in which 80 percent \n\nof the demands for the PSDSs has been put through to the users. Each period shallbeestablished on the basis of the actual delivery periods of the \n\nPSDSs in question during a recent \n\ntime \n\ninterval of reasonable duration. The \n\ncalculation must not include cases where late delivery periods were requested bv \n\nusers. For new type's of PSDSs a target deliverv period shall be published instead of \n\nthe typical delivei y pei iod; \n\n- \n\nthe contractual pei iods. which include the peiiods which are in general l a id down \n\nfor the contracts and the minimum contractual periods which the user is obliged to \n\naccept for the PSDSs; \n\n\f- 15 -\n\nthe typical repair times , which are the periods, counted from the time when a \n\nfailure message has been given to the responsible unit within the organizations \n\nsupplying PSDSs up to the moment, in which 80 percent of the reported PSDSs \n\nhave been repaired and notified back in operation to the user. For new types of \n\nPSDSs a target repair time period shall be published instead of the typical repair \n\ntime. Where different classes of quality of repair are offered for the same PSDS, \n\nthe different typical repair times shall be published. the refund policy, \n\nindicators for quality of service established in accordance with point 6. 5. That Member States, taking into account the work of CEPT5 , note the value and \npromote the establishment, in conformity with the procedural and substantive rules of \n\nthe Treaty and in consultation with users, of harmonised procedures for user access \n\nthe PSDSs, in particular via the establishment of the following procedures: \n\n- a common ordering procedure, i. e. an ordering procedure for the procurement of \n\nintra-community PSDSs which ensures that there is commonality across the \n\norganizations supplying PSDSs in the information that has to be supplied by the \n\nuser and the organization supplying PSDSs, and in the format \n\nin which the \n\ninformation is presented; \n\n- a one stop ordering procedure, i. e. a system whereby all transactions involving a \n\nuser, required for the procurement of intra-community PSDSs supplied by more \n\nthan one organization, can be completed between the user and a single organization \n\nsupplying PSDSs; \n\n- a one-stop-billing procedure, i. e. a system whereby the payment transaction for \n\nintracommunity PSDSs supplied by more than one organization to a single user can \n\nbe completed at one location between the user and a single: organization supplying \n\nPSDSs, and \n\n3 \n\nOne-stop shopping Service Specific Schedule for PSf'OM, CAC Oct. V0, \n\n\f- 16 -\n\n- a one-stop-maintenance procedure, i. e. a system whereby the reporting of faults for \n\nintracommunity PSDSs supplied by more than one organization to a single user can \n\nbe done at one location between the user and a single organization supplying \n\nPSDSs, which will take full responsibility for restoration of service. These procedures should include the establishment of Community - wide service \n\narrangements allowing for: \n\n- a capability where the called party pays for the calls (Green Number); \n\n- a capability where the cost of the value-added service and the cost of the call are \n\ncombined in a single bill collected by the organisation supplying PSDSs (Kiosk type \n\narrangements). These procedures are to be promoted through market mechanisms, e. g. through a \n\nMemorandum of Understanding open to all organisations supplying PSDSs in \n\naccordance with t h is Recommendation. 6. That common indicators for the network performance aspects of the quality of service \n\nand common measurement methods be adopted, notably for those indicators in \n\nAnnex III. 7. That the national regulatory authorities ensure the availability of periodic, statistical \n\nreports showing the performance in relation to the quality of service indicators, in \n\naccordance with point 6, at least for each calendar year, from 1 January 1993. 8. That tariffs be based on objective criteria and \n\nindependent of the type of \n\napplication implemented by the users of the PSDSs, where the same type of facilities \n\nare used. - 17 -\n\n9. That the tariffs for PSDSs normally contain the following elements : \n\n-an initial Charge, \n\n-a periodic Rental Charge, \n\n-a usage charge, including normally a fixed per call charge based either on a \n\nminimum time and/or volume charge or a call set-up charge, a volume related \ncharge based on the use of an integral number of segments0 , and a duration \nrelated charge based on an interval of time sufficiently short to avoid discrimination \n\nagainst short type transactions. Where other tariff elements are applied, these must be transparent and based on \n\nobjective criteria. 10. That the national regulatory authorities notify the Commission before 31 December \n\n1991 of the organizations which provide PSDSs in accordance with \n\nthis Recommendation, and thereafter of any changes to this information. 11. That the national regulatory authorities ensure the availability of summary reports in \n\nparticular with regard to the availability of PSDSs provided in accordance with point \n\n1, the implementation of the general supply conditions under points 3 and 4 and the \n\nreports under point 7 at least for each calendar year and that the summary reports be \n\nsent to the Commission no later than 3 months after the end of the annual reporting \n\nperiod. 12. That the national regulatory authority ensure the establishment of an ea. sy procedure \n\nfor users of packet-switched data services to invoke with regard to any difficulties \n\nencountered in relation to the objectives of this Recommendation, in particular in \n\nconnection with points 1. 3 , 4 ,6 and 0; \n\nA segment \n\nis up \n\nto M o >. i e ts ( or b y t e s) of uSIM \"ct-; of ?h-. - tpality of -, e \" v i r. e of internat ional \n\npacket switched services \n\n^ \n\nMonitoring of network performance aspects of rp. it ity J' int-. -rrvitiun. il :. v;ket switched service \n\nusing internally derived indicators \n\n5 \n\nMonitoring of network performance aspects of quality of inrern. ition. il :. i'ket switched service \n\nusing externally derived indicators \n\n\f- 27 \n\n-\n\nRound trip delay (RTD), \n\nCall set-up delay (CSD). Results of network performance measurements should be made publicly available, so \n\nthat users of PSDSs can be informed about the achieved levels of performance for \n\nnational and European services. These statistics should permit comparison with the \n\nestablished target values for network performance, to be published under Point 3 of \n\nthe Recommendation. - 28 \n\n-\n\nRound trip delay (RTD), \n\nCall set-up delay (CSD). Results of network performance measurements should be made publicly available, so \n\nthat users of PSDSs can be informed about the achieved levels of performance for \n\nnational and European services. These statistics should permit comparison with the \n\nestabUshed target values for network performance, to be published under Point 3 of \n\nthe Recommendation. ISSN 0254-1475 \n\nCOM(91) 208 final \n\nDOCUMENTS \n\nSN \n\nJLLf \n\n15 \n\nCatalogue number : CB-CO-91-267-EN-C \n\nISBN 92-77-73506-6 \n\nOffice for Official Publications of the European Communities \n\nLr-2985 Luxembourg"} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/f3f3bb2c-7411-4746-99f5-c00abf6eb83c", "title": "Conclusions of the Ministers for Culture meeting within the Council of 7 June 1991 on copyright and neighbouring rights", "langIdentifier": "ENG", "mtypes": "html,pdfa1b,print", "workTypes": "http://publications.europa.eu/ontology/cdm#act_other_oj_l,http://publications.europa.eu/ontology/cdm#legislation_complementary,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "Representatives of the Governments of the Member States", "date": "1991-06-07", "subjects": "approximation of laws,copyright,cultural transmission,heritage protection,right to culture", "workIds": 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THE APPLICATION OF CERTAIN CONTROL MEASURES ADOPTED BY THE NORTHWEST ATLANTIC FISHERIES ORGANIZATION", "langIdentifier": "ENG", "mtypes": "pdf", "workTypes": "http://publications.europa.eu/ontology/cdm#act_preparatory,http://publications.europa.eu/ontology/cdm#proposal_act,http://publications.europa.eu/ontology/cdm#proposal_regulation_ec,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Commission", "date": "1991-06-07", "subjects": "European Commission,North-West Atlantic Fisheries Organisation,exchange of information,fishing area,fishing controls,fishing vessel", "workIds": "celex:51991PC0214,comnat:COM_1991_0214_FIN", "eurovoc_concepts": ["European Commission", "North-West Atlantic Fisheries Organisation", "exchange of information", "fishing area", "fishing controls", "fishing vessel"], "url": "http://publications.europa.eu/resource/cellar/9c5fbc42-a311-4958-bc3c-bf622c60b2a5", "lang": "eng", "formats": ["pdf"], "text": "COMMISSION OF THE EUROPEAN COMMUNITIES \n\nCOM(91)214 final \n\nBrussels, 7 June 1991 \n\nProposal for a \n\nCOUNCIL REGULATION (EEC) \n\nadopting provisions for the application of certain control Measures \nadopted by the Northwest Atlantic Fisheries Organization \n\n(presented by the Commission) \n\nk \n\nil; \u2022; ~;l. -\n\nSI \n\n\fEXPLANATORY MEMORANDUM \n\nIn the interests of improving the control of fishing activities in its \n\nRegulatory Area the Northwest Atlantic Fisheries Organisation (NAFO) has \n\nadopted a proposal for the introduction of a control measure making it a \n\nrequirement for fishing vessels of Contracting Parties to communicate to their \n\ncompetent authorities their entry into and exit from the NAFO Regulatory Area \n\nas well as any movements between divisions. The competent authorities of Contracting Parties are required to transmit the \n\ninformation, which they receive from their fishing vessels, to the Executive \n\nSecretary of NAFO and other Contracting Parties with an inspection presence in \n\nthe Regulatory Area. This control measure is commonly referred to as a \"hail \n\nsystem\". The purpose of this proposed regulation is to apply the \"hail system\" in the \n\nCommunity and to make certain other necessary related provisions. PROPOSAL \nfor a \nCOUNCIL REGULATION (ESC) No \nOf \nadopting provisions for the application of certain control measures \nadopted by the Northwest Atlantic Fisheries Organization \n\nTHE COUNCIL OF THE EUROPEAN COMMUNITIES, \n\nHaving regard to the Treaty establishing the European Economic Community, \n\nHaving regard to Council Regulation (EEC) No 170/83 of 25 January 1983 \n\nestablishing a Community system for the conservation and management of \n\nfishery resources(1), and in particular Article 11 thereof, \n\nHaving regard to the proposal from the Commission, \n\nWhereas the Convention on Future Multilateral Co-operation in the Northwest \n\nAtlantic Fisheries, hereinafter referred to as the NAFO Convention, was \n\napproved by the Council by Regulation (EEC) No 3179/78(2) and entered into \n\nforce on 1 January 1979; \n\nWhereas the Northwest Atlantic Fisheries Organization (NAFO) established by \n\nthe NAFO Convention adopted a Scheme of Joint International Inspection which \nwas adopted by the Council in Regulation (EEC) No 1956/88<3); \n\nWhereas the NAFO Fisheries Commission adopted a proposal for the \n\nestablishment of a control measure, requiring fishing vessels to communicate \n\ncertain information regarding their activities in the NAFO Regulatory Area; \n\nwhereas the proposal has been accepted by the Community; \n\n(1) OJ No L 24, 27. 01. 1983, p. 1 \n(2) OJ No L 378, 30. 12. 1978, p. 1 \n(3) OJ No L 175, 06. 07. 1988, p. 1 \n\n\u2022/. HAS ADOPTED THIS REGULATION: \n\nArticle 1 \n\nVessels flying the flag of a Member State of the Community to which the NAFO \n\nScheme of Joint International Inspection applies shall transmit to the \n\nCommission of the European Communities, in accordance with the rules laid \n\ndown in the Annex, the information set out therein. Article 2 \n\nWithin 24 hours of receipt of the reports, whenever possible, the Commission \n\nshall transmit the information contained therein to the Member States whose \n\nflag the vessels concerned are flying and to the competent authorities of \n\nother contracting parties of NAFO which have an inspection presence in the \n\nRegulatory Area. The Commission shall also forward the information to the \n\nExecutive Secretary of NAFO. Article 3 \n\nThis Regulation shall enter into force on the third day following its \n\npublication in the Official Journal of the European Communities. This Regulation shall be binding in its entirety and directly applicable in \n\nall Member States. For the Council \n\n\fA N N EX \n\n1. 1. 1 \n\nThe communications described below shall be entitled \"NAFO REPORT\". The information to be \ntransmitted, which shall be presented in the form specified, is as follows: \n\nEach entry of the vessel into the Regulatory Area. This report shall be made at least six hours \nin advance of the vessel's entry and shall contain the following particulars in the following \norder: \n\nName of vessel, \n\nCall sign, \n\nExternal identification letters and numbers, \n\nThe date, the time and geographical position, \n\nIndication of the message code: \"ENTRY\", \n\nThe NAFO division into which the vessel is about to enter, \n\nThe name of the master. 1. 2 \n\nEach movement from one NAFO division to another NAFO division. These reports shall be made prior \nto the vessel's entry into a NAFO division and shall contain the following particulars in the \nfollowing order: \n\nName of vessel, \n\nCall sign, \n\nExternal identification letters and numbers, \n\nThe date, the time and geographical position, \n\nIndication of the message code: \"MOVE\", \n\nThe NAFO division into which the vessel is about to enter, \n\nThe name of the master. 1. 3 \n\nEach exit from the Regulatory Area. These reports shall be made prior to the vessel's exit from \nthe Regulatory Area and shall contain the following particulars in the following order: \n\nName of vessel, \n\nCall sign. External identification letters and numbers, \n\nThe date, the time and geographical position, \n\nIndication of the message code: \"EXIT\", \n\n\u2022 \n\n\u2022 \n\nThe NAFO division from which the vessel is about to leave, \n\nThe name of the master. /. 5\" \n\n\f2. 3. 1 \n\n3. 2 \n\nWithout prejudice to the provisions set down in Commission Regulation (EEC) No 2807/83 laying down \ndetailed rules for recording information on Member States catches of fisM1*, after each radio \ntransmission of the information described in 1 above the following details are to be immediately \nentered in the logbook: \n\nDate and time of the transmission. In the case of radio transmissions, the name of the radio station through which the \ntransmission was made. The information specified under point 1 shall be transmitted to the Commission of the European \nCommunities in Brussels (telex 24189 FISEU-B). If it is impossible for reasons of force majeure for the message to be transmitted by the vessel, \nit may be transmitted on the vessel's behalf by another vessel. 11) \n\nO J L 2 7 6, 10. 10. 1983, p. 1 \n\n\fISSN 0254-1475 \n\nCOM(91) 214 final \n\nDOCUMENTS \n\nEN \n\n03 \n\nCatalogue number : CB-CO-91-257-EN-C \n\nISBN 92-77-73313-6 \n\nOffice for Official Publications of the European Communities \nL-2985 Luxembourg"} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/346ac421-a20f-4435-af14-7a175ff82aa8", "title": "Commission Regulation (EEC) No 1558/91 of 7 June 1991 laying down detailed rules for the application of the system of production aid for products processed from fruit and vegetables", "langIdentifier": "ENG", "mtypes": "html,pdfa1b,print", "workTypes": 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In 1982, the Council decided by Directive 82/606/EEC*1) \nthat the surveys would be conducted every two years. Experience gained from the 1984, 1986 and 1988 surveys conducted under \nthat Directive has shown that a periodicity of two years is not the \nmost appropriate for the characteristics of the survey. By nature this survey is a source of medium-term statistics designed to \nprovide the Commission at regular Intervals with the fullest possible \nInformation on the earnings of workers In agriculture. The periodicity \ninitially planned now appears excessively short In relation to the \ncomplexity of the survey, which demands a relatively substantial amount \nof work. In order to balance the requirements of reducing the workload and \nmaking information available, the Eurostat Working Party on Statistics \non Earnings In Agriculture has decided that a periodicity of three \nyears would be more In keeping with the characteristics of the survey. The immediate effect of the new periodicity would be to postpone until \n1991 the survey to be carried out In 1990, and then to undertake the \nsurvey every three years. (1) OJ No L 247 of 23. 8. 1982, p. 22. COUNCIL DIRECTIVE \n\nof \n\namending Directive 82/606/EEC on the organization \nby Member States of surveys on the earnings of \npermanent and seasonal workers employed In agriculture \n\nHaving regard to the Treaty establishing the European Economic \nCommunity\u00bb and In particular Article 213 thereof, \n\nHaving regard to the proposal from the Commission, \n\nWhereas Directive 82/606/EEC^) lays down that the Member states shall \ncarry out during 1990 a survey on the earnings of permanent and \nseasonal workers employed in agriculture; \n\nWhereas the experience gained from the 1984\u00bb 1986 and 1988 surveys \nshows that the periodicity of the surveys laid down In the said \nDirective is not the most appropriate\u00bb \n\nCI) OJ NO L 247 Of 23*8. 1982, p. 22 \n\n\u2022 \n\n3 \n\n\fHAS ADOPTED THIS DIRECTIVE: \n\nArticle 1 \n\nArticle 1 paragraph 1 of Directive 82/606/EEC shall be replaced by the \nfol lowing text: \n\n-Article 1 \n\n1. The Member States shall carry out In 1984, and every two years \nthereafter, a survey on the actual earnings of male and female \npermanent full-time and/or seasonal workers employed In \nagriculture. From 1988 onwards, the surveys shall be conducted \nevery three years. The categories of workers to be covered by this \nsurvey In each Member State are set out in Annex I. \" \n\nThis Directive Is addressed to the Member States. Article 2 \n\nDone at Brussels, \n\nFor the CounclI, \n\nThe President \n\n\fCOMPETITIVENESS AND EMPLOYMENT IMPACT STATEMENT \n\nTask Force PME \n\nI. What is the main reason for introducing the measure? \n\nThe changes of the directive consist exclusively in the modification of the frequency \nof the surveys. These would be carried out every three years. Hence, the next survey \nwill be carried out in 1991 instead of 1990. \u2022\n\n:\n\n*\n\n\u2022\n\n*\u2022 \n\nII. Features of the business in question. In particular: \n\nThe survey covers all sizes of agricultural holdings employing manual workers. The \nsurvey are sampling surveys. a) are there many SMEs? \n\nb) are they concentrated in regions which are: \n\ni. ii. eligible for regional aid in the Member States? \n\neligible under the ERDF? \n\nIII. What direct obligations does this measure impose on businesses? \n\nThe holding of the sample have to fill a questionnaire on salaries and working time of \ntheir manual workers. IV. What indirect obligations are local authorities likely to impose on businesses? \n\nLocal authorities have no influence on the survey. V. Are there any special measures in respect of SMEs? Please specify. There are no special measures in respect of SME. VI. What is the likely effect on: \n\na) the competitiveness of businesses? No \nb) employment? No \n\nVII. Have both sides of industry been consulted? Yes \n\nPlease indicate their opinions. Both social partners agreed with this proposal. \u00ca \n\nr \n\n\f\f; : * * j 5u \n\nISSN 0254-1475 \n\nCOM(91) 205 final \n\nDOCUMENTS \n\nEN \n\n04 \n\nCatalogue number : CB-CO-91-240-EN-C \n\nISBN 92-77-72958-9 \n\nOffice for Officiai Publications of the European Communities \n\nL-2985 Luxembourg"} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/951deff6-5142-4696-a9df-a437b469edc7", "title": "PROPOSAL FOR A COUNCIL DIRECTIVE AMENDING DIRECTIVE 89/299/EEC ON THE OWN FUNDS OF CREDIT INSTITUTIONS", "langIdentifier": "ENG", "mtypes": "pdfa1b,print", "workTypes": "http://publications.europa.eu/ontology/cdm#act_preparatory,http://publications.europa.eu/ontology/cdm#proposal_act,http://publications.europa.eu/ontology/cdm#proposal_directive_ec,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Commission", "date": "1991-06-06", "subjects": "Denmark,credit institution,credit union,mortgage bank,public limited company", "workIds": "celex:51991PC0188,comnat:COM_1991_0188_FIN,oj:JOC_1991_172_R_0003_01", "eurovoc_concepts": ["Denmark", "credit institution", "credit union", "mortgage bank", "public limited company"], "url": "http://publications.europa.eu/resource/cellar/951deff6-5142-4696-a9df-a437b469edc7", "lang": "eng", "formats": ["pdfa1b", "print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/b0148384-6229-4d6c-a90c-69843cbbc3ce", "title": "WRITTEN QUESTION No. 1181/91 by Mr Llewellyn SMITH to the Commission. 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"lang": "eng", "formats": ["html", "pdfa1b", "print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/7c931ea7-ab2f-49ff-8b5a-fcbac02a35d7", "title": "RE-EXAMINED PROPOSAL FOR A COUNCIL DIRECTIVE AMENDING FOR THE 11TH TIME DIRECTIVE 76/769/EEC ON THE APPROXIMATION OF THE LAWS, REGULATIONS AND ADMINISTRATIVE PROVISIONS OF THE MEMBER STATES RELATING TO RESTRICTIONS ON THE MARKETING AND USE OF CERTAIN DANGEROUS SUBSTANCES AND PREPARATIONS", "langIdentifier": "ENG", "mtypes": "pdf", "workTypes": "http://publications.europa.eu/ontology/cdm#act_preparatory,http://publications.europa.eu/ontology/cdm#proposal_act,http://publications.europa.eu/ontology/cdm#proposal_directive_ec,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Commission", "date": "1991-06-04", "subjects": "approximation of laws,chemical product,dangerous substance,marketing,toxic substance", "workIds": "celex:51991PC0186,comnat:COM_1991_0186_FIN", "eurovoc_concepts": ["approximation of laws", "chemical product", "dangerous substance", "marketing", "toxic substance"], "url": "http://publications.europa.eu/resource/cellar/7c931ea7-ab2f-49ff-8b5a-fcbac02a35d7", "lang": "eng", "formats": ["pdf"], "text": "COMVIISSION OF THE EUROPEAN COMMUNITIES \n\nC0M(91) 186 flnal \" SYN 239 \n\nBrussels, 4 June 1991 \n\nRe-examined proposal for a \n\nCOUNCIL PIRECTIVE \n\namending for the 11th time Directive 76/769/EEC \non the approximation of the laws, regulations and \nadministrative provisions of the Member States \nrelating to restrictions on the marketing \nuse of certain dangerous substances and pr\u00e9par\u00e2t I \n\nand \n\nons \n\n(presented by the Commission pursuant to Article 149. 2(d) \nof the EEC treaty) \n\n\fEXPLANATORY MEMORANDUM \n\nOn 17 April 1991 the European Parliament amended the common \nposition adopted by the Council on 5 February 1991 on the \nabovementioned proposal. Pursuant to Article 149(2)(d) of the EEC Treaty, the \nCommission has re-examined its proposal and decided: \n\nto accept the first part of amendment No 3; \n\nnot to accept amendment No 1 and the second part of \namendment No 3, as annexed. The Commission is of the opinion that: \n\namendment No 1, a recital referring to the Sixth \nLuxembourg Report, Is out of place In such a proposal; \n\nthe second part of amendment No 3 referring to disposal \nplans fpr UGILEC 141 Is unnecessary. There Is already \na proposal for a Council Directive on this subject. This proposal takes account of the amendment requested by \nthe European Parliament which the Commission has been able \nto accept. RE-EXAMINED PROPOSAL FOR A COUNCIL DIRECTIVE \n\namending for the 11th time Directive 76/769/EEC \non the approximation of the laws, regulations and \nadministrative provisions of the Member States \nrelating to restrictions on the marketing \nand use of certain dangerous substances and preparations \n\nIn Article 1 of Annex I, paragraph 1 in the right-hand \ncolumn of point 25 is hereby amended as follows: \n\n\"In the case of plant and machinery already in service three \nyears after the date of adoption of this Directive, until \nsuch plant and machinery is disposed of or until It reaches \nthe end of its service life, which shall be no later than \neight years after adoption of this Directive for mining \nmachinery and fifteen years for transformers. \" \n\nz \n\n\fANNEX \n\n(Amendments not accepted by the Commission) \n\nAmendment No 1 Introducing a new recital 9a worded as \nfOIlOWS: \n\n\"Whereas substitutes for use as hydraulic fluids In mining \nthat satisfy all the provisions of the Sixth Luxembourg \nReport on requirements and tests for non-flammable hydraulic \nfluids for hydrostatic and hydrokinetlc transmission and \nsteering In mining operations, particularly the fire test \nand the thermal decomposition test, are not currently \navailable In all Member States owing to varying national \ninterpretations of the Luxembourg Report; whereas the only \nother solution In these cases Is to convert the technology \nin question, which for technical and economic reasons \nrequires a transitional period or derogations; whereas, In \nthe light of the requirements both to reduce the risk to the \nenvironment and to increase the safety of miners, the \nLuxembourg Report should be amended in order to permit the \nuse as hydraulic fluids (e. g. on a polyglycol basis) in all \nMember States of the fluids currently being tested as \nsubst I tutes-, \" \n\nCommission proposal \n\nSuch an amendment is out of place In this proposal, the sole \npurpose of which Is to prohibit the marketing of these three \nsubstances. This new recital Is concerned, above all, with \nprotection at the workplace. Amendment Hp 3 (second part) adding to paragraph 1 in \nright-hand column of point 25 of Article 1 of Annex I \nword Ing: \n\nthe \nthe \n\n\"Disposal plans shall be drawn up to this end;\" \n\nCommission position \n\nAlthough the Commission has no fundamental disagreement with \nParliament on the Introduction of disposal plans for \nUGILEC 141, it cannot accept this amendment In the context \nof this Directive, where the sole objective Is to prohibit \nthe marketing and use of the substance. Moreover, there is already a proposal for a Council \nDirective en this subject (C0M(88)559 of 18 October 1988). r \n\n\f\fISSN 0254-1475 \n\nCOM(91) 186 final \n\nDOCUMENTS \n\nEN \n\n06 \n\nCatalogue number : CB-CO-91-214-EN-C \nISBN 92-77-72414-5 \n\nPRICE \n\n1-30 pages: 3 JO ECU \n\nper additional 10 p$sc \u00ce5S ECU \n\nOffice for Official Publications of the European Communities \n\nL-2985 Luxembourg"} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/ae6cbf23-292f-4926-8ed1-ca93d83a6f2b", "title": "Commission Regulation (EEC) No 1504/91 of 4 June 1991 re-establishing the levying of customs duties on the products falling within CN code 2905 14 90, originating in Brazil, to which the preferential tariff arrangements set out in Council Regulation (EEC) No 3831/90 apply", "langIdentifier": "ENG", "mtypes": "html,pdfa1b,print", "workTypes": 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"http://publications.europa.eu/ontology/cdm#question_parliamentary,http://publications.europa.eu/ontology/cdm#question_parliamentary_question_time,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Parliament,MARTIN SIMONE", "date": "1991-06-03", "subjects": "Netherlands,animal nutrition,import (EU),import levy,import policy,maize,tariff nomenclature", "workIds": "celex:91991H000569", "eurovoc_concepts": ["Netherlands", "animal nutrition", "import (EU)", "import levy", "import policy", "maize", "tariff nomenclature"], "url": "http://publications.europa.eu/resource/cellar/326b128b-a4c9-40ea-9ab3-83428e6ec813", "lang": "eng", "formats": ["print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/c1c8ae9e-43cb-4512-815a-6af7325c0f8c", "title": "Council Directive 91/287/EEC of 3 June 1991 on the frequency band to be designated for the coordinated introduction of digital European cordless telecommunications (DECT) into the Community", "langIdentifier": "ENG", "mtypes": "fmx4,html,pdfa1b,print,xhtml", "workTypes": "http://publications.europa.eu/ontology/cdm#directive,http://publications.europa.eu/ontology/cdm#legislation_secondary,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "Council of the European Union", "date": "1991-06-03", "subjects": "European standard,approximation of laws,electronic equipment,radio telecommunications,waveband", "workIds": "celex:31991L0287,oj:JOL_1991_144_R_0045_030", "eurovoc_concepts": ["European standard", "approximation of laws", "electronic equipment", "radio telecommunications", "waveband"], "url": "http://publications.europa.eu/resource/cellar/c1c8ae9e-43cb-4512-815a-6af7325c0f8c", "lang": "eng", "formats": ["fmx4", "html", "pdfa1b", "print", "xhtml"], "text": "L_1991144EN. 01004501. xml\n\n\n\n\n\n\n\n\n\n\n8. 6. 1991\u00a0\u00a0\u00a0\n\n\nEN\n\n\nOfficial Journal of the European Communities\n\n\nL 144/45\n\n\n\n\n\nCOUNCIL DIRECTIVE\nof 3 June 1991\non the frequency band to be designated for the coordinated introduction of digital European cordless telecommunications (DECT) into the Community\n(91/287/EEC)\nTHE COUNCIL OF THE EUROPEAN COMMUNITIES,\nHaving regard to the Treaty establishing the European Economic Community, and in particular Article 100a thereof,\nHaving regard to the proposal from the Commission\u00a0(1),\nIn cooperation with the European Parliament\u00a0(2),\nHaving regard to the opinion of the Economic and Social Committee\u00a0(3),\nWhereas recommendation 84/549/EEC\u00a0(4) calls for the introduction of services on the basis of a common harmonized approach in the field of telecommunications;\nWhereas the Council in its resolution of 30 June 1988\u00a0(5) on the development of the common market for telecommunications services and equipment calls for the promotion of Europe-wide services according to market requirements;\nWhereas the resources offered by modern telecommunications networks should be utilized to the full for the economic development of the Community;\nWhereas Council Directive 89/336/EEC of 3 May 1989 on the approximation of the laws of Member States relating to electromagnetic compatibility\u00a0(6) is applicable, and particular attention should be taken to avoid harmful electromagnetic interference;\nWhereas current cordless telephone systems in use in the Community, and the frequency bands they operate in, vary widely and may not allow the benefits of Europe-wide services or benefit from the economies of scale associated with a truly European market;\nWhereas the European Telecommunications Standard Institute (ETSI) is currently developing the European Telecommunications Standard (ETS) or digital European cordless telecommunications (DECT);\nWhereas the development of the European Telecommunications Standard (ETS) must take account of the safety of users, and the need for Europe-wide interoperability and enable users provided with a service based on DECT technology in one Member State to gain access to the service in any other Member State, where appropriate;\nWhereas the European implementation of DECT will provide an important opportunity to establish truly European digital cordless telephone facilities;\nWhereas ETSI has estimated that DECT will require 20 MHz in high density areas;\nWhereas the European Conference of Postal and Telecommunications Administrations (CEPT) has recommended the common European frequency band 1880-1900 MHz for DECT, recognizing that, subject to the system, development of DECT additional frequency spectrum may be required;\nWhereas this should be taken into account in the preparation for the 1992 World Administrative Radio Conference (WARC);\nWhereas after the date of designation of the frequency band for DECT, existing services may continue in the band, providing that they do not interfere with DECT systems that may be established according to commercial demand;\nWhereas the implementation of Council recommendation 91/288/EEC of 3 June 1991 on the coordinated introduction of DECT into the Community\u00a0(7), will ensure the implementation of DECT by 31 December 1992 at the latest;\nWhereas Council Directive 91/263/EEC of 29 April 1991 on the approximation of the laws of the Member States concerning telecommunications terminal equipment, including the mutual recognition of their conformity\u00a0(8) will allow the rapid establishment of common conformity specifications for DECT;\nWhereas the establishment of DECT depends on the allocation and availability of a frequency band in order to transmit and receive between fixed-base stations and mobile stations;\nWhereas some flexibility will be needed in order to take account of different frequency requirements in different Member States; it will be necessary to ensure that such flexibility does not slow down the implementation of DECT technology according to commercial demand across the Community;\nWhereas the progressive availability of the full range of the frequency band set out above will be indispensable for the establishment of DECT on a Europe-wide basis,\nHAS ADOPTED THIS DIRECTIVE:\nArticle 1\nFor the purposes of this Directive, the digital European cordless telecommunications (DECT) system shall mean technology conforming to the European Telecommunications Standard (ETS) for digital cordless telecommunications referred to in recommendation 91/288/EEC, and the telecommunications systems, both public and private, which directly utilize such technology. Article 2\nMember States shall, in accordance with CEPT Recommendation T/R 22-02 of the European Conference of Postal and Telecommunications Administration designate the frequency band 1880-1900 MHz for digital European cordless telecommunications (DECT) by 1 January 1992. In accordance with the CEPT Recommendation, DECT shall have priority over other services in the same band, and be protected in the designated band. Article 3\n1. Member States shall bring into force the laws, regulations and administrative provisions necessary to comply with this Directive by 31 December 1991. They shall forthwith inform the Commission thereof. 2. When Member States adopt these measures, they shall contain a reference to this Directive or shall be accompanied by such reference on the occasion of their official publication. The methods of making such a reference shall be laid down by the Member States. Article 4\nThe Commission shall report to the Council on the implementation of this Directive not later than the end of 1995. Article 5\nThis Directive is addressed to the Member States. Done at Luxembourg, 3 June 1991. For the Council\n\n\nThe President\n\nA. BODRY\n\n\n\n\n(1)\u00a0\u00a0OJ No C 187, 27. 7. 1990, p. 5. (2)\u00a0\u00a0OJ No C 19, 28. 1. 1991, p. 97 and\n\nOJ No C 106, 22. 4. 1991, p. 78. (3)\u00a0\u00a0OJ No C 332, 31. 12. 1990, p. 172. (4)\u00a0\u00a0OJ No L 298, 16. 11. 1984, p. 49. (5)\u00a0\u00a0OJ No C 257, 4. 10. 1988, p. 1. (6)\u00a0\u00a0OJ No L 139, 23. 5. 1989, p. 19. (7)\u00a0\u00a0See page 47 of this Official Journal. (8)\u00a0\u00a0OJ No L 128, 23. 5. 1991, p. 1"} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/45f995f9-364b-4c88-8d29-6210d8eb65b8", "title": "Commission Regulation (EEC) No 1497/91 of 3 June 1991 amending Regulation (EEC) No 2191/81 on the granting of aid for the purchase of butter by non-profit-making institutions and organizations", "langIdentifier": "ENG", "mtypes": "html,pdfa1b,print", "workTypes": "http://publications.europa.eu/ontology/cdm#legislation_secondary,http://publications.europa.eu/ontology/cdm#regulation,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Commission", "date": "1991-06-03", "subjects": "butter,discount sale,economic support,purchase,voluntary organisation", "workIds": "celex:31991R1497,oj:JOL_1991_140_R_0019_024", "eurovoc_concepts": ["butter", "discount sale", "economic support", "purchase", "voluntary organisation"], "url": "http://publications.europa.eu/resource/cellar/45f995f9-364b-4c88-8d29-6210d8eb65b8", "lang": "eng", "formats": ["html", "pdfa1b", "print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/b7fb67d5-eddf-445a-9395-f0bc0365732c", "title": "Commission Regulation (EEC) No 1496/91 of 3 June 1991 amending Regulation (EEC) No 1562/85 laying down detailed rules for the application of measures to encourage the processing of certain citrus fruit and the marketing of products processed from lemons", "langIdentifier": "ENG", "mtypes": "html,pdfa1b,print", "workTypes": "http://publications.europa.eu/ontology/cdm#legislation_secondary,http://publications.europa.eu/ontology/cdm#regulation,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Commission", "date": "1991-06-03", "subjects": "food processing,marketing", "workIds": "celex:31991R1496,oj:JOL_1991_140_R_0017_023", "eurovoc_concepts": ["food processing", "marketing"], "url": "http://publications.europa.eu/resource/cellar/b7fb67d5-eddf-445a-9395-f0bc0365732c", "lang": "eng", "formats": ["html", "pdfa1b", "print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/47ecd7e7-fd8f-45e3-a7d9-f1f02c194b47", "title": "ORAL QUESTION B3-1088/91 with debate by the following Members: RAGGIO, GUTI\u00c9RREZ DIAZ, ORTIZ CLIMENT, FERRER, MATTINA, da CUNHA OLIVEIRA, STAES, ANGER, BETTINI, PAPAYANNAKIS, MELIS, RAFFARIN and CALVO ORTEGA to the Commission: Role and involvement of the regions in the process of bringing about Economic and Monetary Union and Political Union", "langIdentifier": "ENG", "mtypes": "print", "workTypes": "http://publications.europa.eu/ontology/cdm#question_oral,http://publications.europa.eu/ontology/cdm#question_parliamentary,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "ANGER,BETTINI,CALVO ORTEGA,European Parliament,FERRER,GUTIERREZ DIAZ,MATTINA,MELIS,ORTIZ CLIMENT,PAPAYANNAKIS,RAFFARIN,RAGGIO,STAES", "date": "1991-06-03", "subjects": "Economic and Monetary Union,Structural Funds,decentralisation,economic convergence,economic integration,institutional activity,political involvement,region,regional development,regional disparity,territorial jurisdiction,transfer of competence", "workIds": "celex:91991O000141", "eurovoc_concepts": ["Economic and Monetary Union", "Structural Funds", "decentralisation", "economic convergence", "economic integration", "institutional activity", "political involvement", "region", "regional development", "regional disparity", "territorial jurisdiction", "transfer of competence"], "url": "http://publications.europa.eu/resource/cellar/47ecd7e7-fd8f-45e3-a7d9-f1f02c194b47", "lang": "eng", "formats": ["print"]} +{"cellarURIs": "http://publications.europa.eu/resource/cellar/331c0f57-137f-4938-beb2-e4b1a771ea4d", "title": "91/331/EEC: Commission Decision of 3 June 1991 determining the arrangements for defraying the measures for vaccination against African horse sickness in Spain (Only the Spanish text is authentic)", "langIdentifier": "ENG", "mtypes": "html,pdfa1b,print", "workTypes": "http://publications.europa.eu/ontology/cdm#decision,http://publications.europa.eu/ontology/cdm#legislation_secondary,http://publications.europa.eu/ontology/cdm#resource_legal,http://publications.europa.eu/ontology/cdm#work", "authors": "European Commission", "date": "1991-06-03", "subjects": "Spain,animal plague,disease prevention,equidae,financial equalisation,vaccination", "workIds": "celex:31991D0331,oj:JOL_1991_178_R_0038_040", "eurovoc_concepts": ["Spain", "animal plague", "disease prevention", "equidae", "financial equalisation", "vaccination"], "url": "http://publications.europa.eu/resource/cellar/331c0f57-137f-4938-beb2-e4b1a771ea4d", "lang": "eng", "formats": ["html", "pdfa1b", "print"]}