This document is an excerpt from the EUR-Lex website
Document C:2019:229:FULL
Official Journal of the European Union, C 229, 8 July 2019
Official Journal of the European Union, C 229, 8 July 2019
Official Journal of the European Union, C 229, 8 July 2019
ISSN 1977-091X |
||
Official Journal of the European Union |
C 229 |
|
![]() |
||
English edition |
Information and Notices |
Volume 62 |
Contents |
page |
|
|
II Information |
|
|
INFORMATION FROM EUROPEAN UNION INSTITUTIONS, BODIES, OFFICES AND AGENCIES |
|
|
European Commission |
|
2019/C 229/01 |
Commission Notice — Technical Guidelines on Data Protection according to Regulation (EC) No 1107/2009 ( 1 ) |
|
2019/C 229/02 |
Non-opposition to a notified concentration (Case M.9252 — CMOC/IXM) ( 1 ) |
|
IV Notices |
|
|
NOTICES FROM EUROPEAN UNION INSTITUTIONS, BODIES, OFFICES AND AGENCIES |
|
|
European Commission |
|
2019/C 229/03 |
|
V Announcements |
|
|
OTHER ACTS |
|
|
European Commission |
|
2019/C 229/04 |
|
Corrigenda |
|
2019/C 229/05 |
|
|
|
(1) Text with EEA relevance. |
EN |
|
II Information
INFORMATION FROM EUROPEAN UNION INSTITUTIONS, BODIES, OFFICES AND AGENCIES
European Commission
8.7.2019 |
EN |
Official Journal of the European Union |
C 229/1 |
COMMISSION NOTICE
Technical Guidelines on Data Protection according to Regulation (EC) No 1107/2009
(Text with EEA relevance)
(2019/C 229/01)
The document provides Member States and applicants with guidance on the procedures and policies surrounding various elements of data protection, as related to plant protection products legislation. It considers the practical application of the legal provisions of Articles 59 – 62 and 80 of Regulation (EC) No 1107/2009 of the European Parliament and of the Council (1). Throughout the document references to Articles refer to Regulation (EC) No 1107/2009 unless otherwise stated.
These Guidelines are intended to help Member States to apply the rules in a consistent way, and for applicants to understand those rules. It does not produce any legally binding effects.
This document covers 2 main areas;
— |
Section 1 – explaining the periods of protection applied to studies under different circumstances – the ‘why, when and how long’; |
— |
Section 2 – clarification of the special procedures and provisions that apply to vertebrate data sharing. |
Since the adoption of the first Guidance document (2) in 2013, Member States have gained experience and the document should be updated. The use of these revised Guidelines is recommended for applicants and Member States for any applications for active substance and/or plant protection products submitted after 3 October 2019.
This document is intended to assist businesses and national authorities in the application of the EU legislation, more specifically Articles 59-62 and 80 of Regulation (EC) No 1107/2009. It is without prejudice to interpretation of Union law by the Court of Justice of the European Union.
Revision history
The following parts have been revised compared to the first version of the document dating from 1 February 2013 (2).
When |
What |
3 July 2019 |
Change to provisions for protection of confirmatory data. Clarification of general requirements for applying protection via increased emphasis of paragraph 6. Clarification of other points of the technical Guidelines which were raised by Member States, thanks to their gained experience and while developing other guidelines, such as the one on Article 43 of Regulation (EC) No 1107/2009. Change of rules for the acceptance of duplicate studies. |
Contents
SECTION 1 PERIODS OF PROTECTION AND HOW TO APPLY THEM | 2 |
Status and scope of this guidance | 2 |
Background — the legal provisions | 3 |
General considerations before claiming and granting protection for a test or a study | 3 |
Preparation of lists of studies | 11 |
Product or active data under Directive 91/414/EEC | 11 |
Special situations — data protection of Annex III data in Draft Assessment Report (DAR) (Directive 91/414/EEC) | 12 |
Data protection at renewal of authorisation | 12 |
SECTION 2 VERTEBRATE DATA SHARING | 13 |
When do the vertebrate data sharing rules apply? | 13 |
What type of vertebrate studies are included under the special provisions? | 13 |
How does a potential applicant determine if vertebrate studies are available? | 14 |
What are the requirements of a prospective applicant? | 14 |
Who must be involved in the access negotiations? | 15 |
What does the Member States do to determine whether ‘every effort’ has been made? | 15 |
Requirements for accepting an application | 15 |
Issuing an authorisation | 15 |
Acceptance of duplicate vertebrate studies | 15 |
Appendix – standard letter to vertebrate data owner | 17 |
SECTION 1
PERIODS OF PROTECTION AND HOW TO APPLY THEM
Status and scope of this guidance
1. |
This document provides Member States and applicants with guidance on the procedures and policies surrounding various elements of data protection, as related to plant protection products legislation. It considers the practical application of the legal provisions of Articles 59 – 62 and 80 of Regulation (EC) No 1107/2009. Throughout the document references to Articles refer to Regulation (EC) No 1107/2009 unless otherwise stated. |
2. |
These Guidelines are intended to help Member States apply the rules in a consistent way, and for applicants to understand those rules. |
3. |
This document covers 2 main areas:
|
Background — the legal provisions
4. |
Since 14 June 2011, all data protection provisions are legislated by Articles 59-62 (Chapter 5) and Article 80 of Regulation (EC) No 1107/2009 (hereafter ‘the Regulation’).
|
5. |
For some time (until the transitional measures are completed) Member States must reflect the data protection provisions under three possible different data protection regimes:
|
General considerations before claiming and granting protection for a test or a study
6. |
The Regulation specifies that in order to be eligible for protection tests and studies should meet the following requirements:
The claim for data protection and whether submitted studies have been previously protected must be specified by the applicant in their approval and authorisation submissions. The applicant must also identify vertebrate studies. Whether the tests and studies are GLP or GEP and necessary, should be determined by the Rapporteur Member State/Zonal Rapporteur Member State (RMS/ZRMS) (for the approval and zonal assessments respectively), and reflected in the lists of studies produced in accordance with Article 60 of the Regulation. |
7. |
It is critical that Member States consider carefully the context in which data have been submitted in order to correctly apply the periods of protection. Below is a summary of several different scenarios for data submission, and the data protection applied in each case:
|
29. |
One general principle of data protection which applies equally to Directive 91/414/EEC and the Regulation is that once a test or study report has been used and protected under the PPP legislation in a Member State, the study should not be protected further via a new submission in the same Member State (8). |
30. |
The question of whether a study has been used before (and received protection previously) is a complex issue which raises many practical difficulties for Member States. Whilst the Member State can identify active substance data that may have been protected previously ‘at an EU level’, they may not be able to easily identify data used nationally to support authorisations. It is thus crucial that the applicant claims protection and accurately confirms via their submission to that Member State whether studies have been protected previously in that Member State or at an EU level (or whether that protection has expired) as required in Article 59(3) of the Regulation. This consideration particularly applies to active substance data, representative product data and data used previously to support other formulations/uses. |
31. |
It may not be possible for Member States to routinely check whether each submitted study has been protected previously, so they may be reliant on the information provided by the applicant. Member States may however check some of this information for accuracy, and applicants are respectfully reminded that the provision of knowingly false data protection claims may result in no authorisation/revocation of authorisation. |
32. |
According to Article 60, Member States must prepare lists of protected studies for each product authorised. It would be good practice for the Member States to confirm to the authorisation holder, which data have been protected, for how long and under which data protection regime/scenario. |
33. |
Modelling calculations e.g. PEC (9) calculations or OPEX (10) calculations are neither tests nor studies and are not conducted according to GLP/GEP standards. Therefore, they cannot be eligible for data protection. |
Preparation of lists of studies
34. |
This is covered by Guidance Document (11) on preparing lists of test and study reports according to article 60 of Regulation (EC) No 1107/2009, summarised below:
|
Product or active data under Directive 91/414/EEC
35. |
Data protection under Directive 91/414/EEC was and is applied at Member State level, however Annex II data to be protected was/is determined centrally (and triggered by date of inclusion/approval), while the list of Annex III data protection was determined by the Member State concerned. |
36. |
As data protection under Directive 91/414/EEC was applied differently to active and product data, it is necessary to make a clear distinction between the two types of data. Essentially the data were divided into ‘active substance’ and ‘product’ data by virtue of the Annex point they address in the data requirements. If the data were submitted to meet an Annex II requirement, then they are considered as ‘active’ data. If data were submitted to address an Annex III requirement, then they are considered as ‘product’ data. |
37. |
Some Annex II data requirements are met using data generated using a specific product formulation. Although the data were generated using a product, they should be protected as active substance data, since they were generated to meet an Annex II requirement. Note dermal absorption (product) and mesocosm studies were/are Annex III requirements. |
38. |
Some Annex II and III data requirements in the area of residues and environmental fate and behaviour were (are) the same. In this situation, the context of the submission would determine the protection status. Residues data to support the representative product/use for Annex I inclusion, where submitted as an Annex II data point, would be protected as Annex II data. Residues data to support a product/use authorisation would be protected as Annex III data. |
39. |
Article 80(2) allows for national data protection measures under Directive 91/414/EC (and before) to continue to be applied for active substance for a period of 5 (from the re-approval of EAS) or 10 (from the first approval of NAS) years. |
40. |
Essentially, if the active or product was/is assessed in accordance with Directive 91/414/EEC (including those situations covered under Article 80(1), then the data protection applied to those data must follow ‘91/414 national rules’. At re-registration, Directive 91/414/EEC specified that new or additional Annex III data necessary for re-registration does not attract any additional protection (i.e. past the expiry date for protection given under previous national rules). However, where, at re-registration, a new ‘form’ of the product is used to replace the original, the new data necessary to support what becomes a first authorisation for that ‘form’ of the product, attracts protection for 10 years in accordance with Article 13(4)(b) of Directive 91/414/EEC. In many cases this means that data submitted to support re-registration are protected. In all such cases the only data to attract protection should be bridging data considered essential to establish the relevance of data on earlier products together with essential new data on the product that cannot be bridged from other data on other products. |
Special situations — data protection of Annex III data in Draft Assessment Report (DAR) (Directive 91/414/EEC)
41. |
Applications for inclusion under Directive 91/414/EEC required the submission and assessment of a ‘representative product’ data package alongside the active substance. Under Directive 91/414/EEC rules, these data should not specifically attract protection under Article 13(4) of Directive 91/414/EEC, since these data were not being used to support an authorisation (it is noted that these data may have attracted protection nationally in accordance with Article 13(4)(c) of Directive 91/414/EEC). |
42. |
However, when the same data were/are submitted subsequently nationally to support the representative product authorisation in a Member State (either as a new product or at re-registration), they would attract protection under Article 13(4)(b) of Directive 91/414/EEC. It is thus possible that studies which did not attract protection in the DAR may subsequently attract protection in a Member State when submitted to support a new product authorisation. Applicants should be aware of this difference in approach between Member States when citing product data from the DAR. Where such product data has been cited with an application for authorisation, it should be made clear that the studies were assessed in the DAR, to allow each Member State to determine the national data protection status of the studies. |
Data protection at renewal of authorisation
43. |
Article 59 states that 30 months protection shall be given to all data necessary for the renewal or review of an authorisation. To support the renewal of approval of the active substance, various new active substance data will be submitted (to ‘upgrade’ the data package to modern requirements), and it may also be necessary to submit product data during the active substance renewal and the Article 43 process (again to ‘upgrade’ the data package to modern standards). If these data were necessary to support the renewal of authorisation then they would be eligible for the 30 month protection, applied in each Member State at the date of renewal of authorisation. |
44. |
To support products at renewal, all authorisation holders must make a submission to address the ‘updating’ issues (active and product), within 3 months of the date of renewal of approval for the active substance. The active substance ‘updating’ data package may be protected (in each Member State) as soon as the first renewal of authorisation is issued if the data is deemed necessary for the re-authorisation of the product. Any accompanying product ‘updating’ package may be protected (in each Member State) as soon as the first renewal of that product authorisation is issued in that Member State. |
45. |
For PPPs containing more than one active substance where an assessment of the application for renewal of the authorisation will be carried out after the renewal of the approval of each active substance, each of these renewals of authorisation may trigger data protection. In case the renewal of the authorisation will take place only after the renewal of the second active substance, then the data protection will cover all the data submitted at different time points but will only start from the date of the renewal of the authorisation. |
SECTION 2
VERTEBRATE DATA SHARING
When do the vertebrate data sharing rules apply?
46. |
Article 62 of the Regulation introduced new vertebrate data sharing provisions, in order to reduce the number of tests carried out on vertebrate animals. Member States must not accept duplication of tests and studies on vertebrate animals or those initiated where alternative methods described in the Commission Communications adopted according to point 6 of the Introduction of the Annex to the Implementing Regulation (EU) No 283/2013 (13), to point 6 of the Introduction of the Annex to the Implementing Regulation (EU) No 284/2013 (14) and to Regulation (EC) No 1272/2008 (15) could reasonably have been used. Article 62 also allows member States to use vertebrate studies for the purpose of the application of a prospective applicant who has not been able to reach agreement on sharing the data with the data owners. |
47. |
The rules outlined under Article 62 of the Regulation are not covered under the transitional measures (Article 80(2) of Regulation (EC) No 1107/2009 refers only to Articles 13(1)-(4) as continuing to apply). Article 13(7) of Directive 91/414/EEC (relating to vertebrate data sharing) was not carried forward under the transitional measures, thus Article 62 of the Regulation applies from 14 June 2011. Member States should thus apply the vertebrate data arrangements of the Regulation to all submissions made after 14 June 2011, including those for:
|
48. |
For new applications made after 14 June 2011, Article 62 applies and the applicant may request access to data which were submitted with applications prior to 14 June 2011. Article 62 does not apply to any submissions made before 14 June 2011, including those for re-registrations. However prior to this, Article 13(7) of Directive 91/414/EEC encouraged data sharing, particularly with regard to vertebrate studies. |
What type of vertebrate studies are included under the special provisions?
49. |
Regulation (EC) No 1107/2009 provides for specific rules concerning in particular the duplication and sharing of ‘tests and studies involving vertebrate animals’ (ref. Article 62(2), (3) and (4)). The question arises which studies are considered ‘tests and studies involving vertebrate animals’ in the meaning of Regulation (EC) No 1107/2009. For example in the case of monitoring of birds and mammals in the fields, it is not very clear whether these constitute ‘tests and studies involving vertebrate animals’. |
50. |
The terms ‘tests and studies involving vertebrate animals’ should be interpreted as experiments within the scope of Directive 86/609/EEC regarding the protection of animals used for experimental and other scientific purposes (16) and after 1 January 2013 within the scope of Directive 2010/63/EU on the protection of animals used for scientific purposes (17). |
51. |
Directive 86/609/EEC covers animals used in ‘experiments’ defined as ‘any use of an animal for experimental or other scientific purposes which may cause it pain, suffering, distress or lasting harm’. Drawing from Articles 1(5)(f) and 3(1) of Directive 2010/63/EU, if the study involves a procedure which will cause the animal pain, suffering, distress or lasting harm equivalent to, or higher than, that caused by an introduction of a needle, this study is covered by Directive 2010/63/EU. |
52. |
In conclusion for monitoring studies, only the studies involving procedure(s) causing a certain level of distress, suffering or lasting harm will be covered. (NB: It is important to note that this includes also non-invasive interventions such as restrain and/or restrictions to housing/care if the minimum threshold of pain, suffering distress or lasting harm is reached). In practice, monitoring studies conducted as a condition of authorisation granted previously are unlikely to be covered. |
53. |
Finally for studies approved and performed after 1 January 2013, it should be clear which studies are concerned because the performance of the studies falling within the scope of Directive 2010/63/EU will require a case-by-case project evaluation and authorisation prior to the work being allowed to start. |
How does a potential applicant determine if vertebrate studies are available?
54. |
Article 61 of the Regulation introduces general rules on the avoidance of duplicate testing. It requires prospective applicants for authorisation to consult details of products authorised in the relevant member State(s). Where authorised products contain the same active substance, safener or synergist as their prospective product, applicants must request from the Member State(s) a list of test and study reports such as those prepared in accordance with Article 60 in order to identify the studies to which access may be gained according to Article 61. |
55. |
It is noted that these lists may be publically available (on websites, etc.) thus it may not always be necessary for the prospective applicant to request these lists. |
56. |
Under the Regulation, RMS/ZRMS are required to produce these lists of studies (see Section 2 above), however this was not a legal requirement under Directive 91/414/EEC. Whilst lists of Annex II data were routinely prepared in accordance with the Guidance document (18) in place under the Directive, lists of product data used to support authorisations were not routinely prepared in Member States. Thus information relating to (particularly product) data used to support authorisations prior to the Regulation may be difficult to provide/obtain. However to ensure duplicative vertebrate testing is not undertaken, Member States should make efforts to provide information on submitted/used vertebrate studies where requested. |
What are the requirements of a prospective applicant?
57. |
The Member State determines whether an applicant is a prospective applicant. Whilst a prospective applicant may ask for the data list, they must provide all data regarding the identity and impurities of the active substance they propose to use before they can be considered as a prospective applicant. However, it is not a requirement for the Member State to assess those data (i.e. determine technical equivalence) before the applicant is considered as prospective applicants. |
58. |
Note that a Member State may not be able to identify a prospective applicant until an application is received in that Member State, thus it is important that the Member State alerts the data owner at that stage to comply with their obligations under Article 61 2. A standard letter is provided at Annex. |
59. |
It is important that all applicants clarify the position on data access in their application, since Member States should not accept an application without data, or a letter of access, or evidence that studies are no longer protected, or (in the case of vertebrate studies) confirmation that negotiations on access have failed (to date). |
60. |
The prospective applicant should contact the data owner at the earliest opportunity to initiate negotiations, prior to making their application. |
Who must be involved in the access negotiations?
61. |
Article 62(3) requires the prospective applicant and data owners to make ‘every effort’ to ensure that they share vertebrate tests and studies, and specifies that the costs must be determined in a ‘fair, transparent and non-discriminatory way’. There is an obligation for the two parties concerned. Note there may be multiple potential applicants negotiating together, similarly the data owner may be made up from multiple data owners (task force). |
62. |
Where necessary, and if available in the Member State, the parties may wish to consider participating in arbitration as an alternative dispute resolution procedure to resolve the terms of sharing vertebrate studies. Since arbitration schemes are applied nationally, decisions arising from such consideration may only apply in that Member State. It is also noted that some arbitration schemes may only apply to companies based in that Member State. |
63. |
Litigation may also be used to determine costs, although this should be a last resort, noting such proceedings may attract additional legal costs for both parties. |
64. |
It is important that the context of those negotiations is clear to both parties; for example, prospective applicants should inform the data owner whether they are seeking authorisation of a new product in all or specific member States. Access negotiations conducted historically (e.g. for ‘Step 1’ re-registration purposes) may not be considered relevant to those for new product submissions. |
What does the Member State do to determine whether ‘every effort’ has been made?
65. |
The Member State does not need to determine whether ‘every effort’ has been taken by the two parties, since failure to reach agreement does not prevent Member States from taking the actions provided in second paragraph of Article 62(4). |
Requirements for accepting an application
66. |
It is a requirement that applications must contain a complete dossier for all vertebrate and non-vertebrate studies (or access to the same, or make reference to unprotected data). The potential applicant must inform the Member State that they have failed to reach agreement with the data owner regarding vertebrate studies, when they submit their application. This will indicate to the Member State that negotiations are underway, and that all elements of the data package have been addressed by the applicant (and that the application is acceptable). In the event that the parties fail to reach agreement, the determination of whether ‘every effort’ has been made will become relevant in the assessment during possible arbitration or litigation. |
Issuing an authorisation
67. |
The time between accepting the application and issuing the authorisation should be sufficient for access negotiations to continue to a mutually satisfactory conclusion (letters of access to be issued). However in the event that access negotiations are prolonged, Member States may issue the authorisation without the provision of a letter of access to vertebrate studies. Letters of access to non-vertebrate studies (or equivalent studies) must be provided if appropriate. |
Acceptance of duplicate vertebrate studies
68. |
Article 62(2) states that Member States shall not accept the duplication of tests and studies on vertebrate animals or those vertebrate studies carried out when other methods (calculation) could have been used instead. If vertebrate studies are submitted, this must be fully justified (see Article 8(1)(d)). |
69. |
Vertebrate studies should never be accepted, unless fully justified (see Article 8(1)(d), if any of the following conditions apply:
Vertebrate studies conducted for regulatory regimes outside the EU should also never be accepted where any of the above conditions apply. |
70. |
Exceptions to the rules in paragraph 69 are:
|
71. |
Applicants should always demonstrate that they have undertaken any attempts to find out if there are comparable formulations for which vertebrate data already exist. |
72. |
In case of zonal applications, where possible the ZRMS should advise during the pre-submission phase whether the applicant, prior to initiating tests and studies on vertebrate animals, has either gained sufficient information from the Member State(s) on existing vertebrate test and study reports (see paragraphs 58-60 above), or has provided a justification on why no existing vertebrate test or study reports are expected (e.g. in case of a new active substance). |
(1) Regulation (EC) No 1107/2009 of the European Parliament and of the Council of 21 October 2009 concerning the placing of plant protection products on the market and repealing Council Directives 79/117/EEC and 91/414/EEC (OJ L 309, 24.11.2009, p. 1).
(2) Guidance Document on Data Protection (SANCO/12576/2012– rev. 1.1, from 1 February 2013, https://ec.europa.eu/food/plant/pesticides/approval_active_substances/guidance_documents_en).
(3) Council Directive 91/414/EEC of 15 July 1991 concerning the placing of plant protection products on the market (OJ L 230, 19.8.1991, p. 1).
(4) Implementing Regulation (EU) No 283/2013 setting out the data requirements for active substances, in accordance with Regulation (EC) No 1107/2009 of the European Parliament and of the Council concerning the placing of plant protection products on the market (OJ L 93, 3.4.2013 p. 1).
(5) Guidance document on the procedures for submission and assessment of confirmatory information following approval of an active substance in accordance with Regulation (EC) No 1107/2009 (SANCO/5634/2009 rev. 6.1 from December 2013 or later, https://ec.europa.eu/food/plant/pesticides/approval_active_substances/guidance_documents_en).
(6) Implementing Regulation (EU) No 284/2013 setting out the data requirements for plant protection products, in accordance with Regulation (EC) No 1107/2009 of the European Parliament and of the Council concerning the placing of plant protection products on the market (OJ L 93, 3.4.2013, p. 85).
(7) Guidance docment on significant and non-significant changes of the chemical composition of authorised plant protection products (SANCO 12638/2011, November 2012, https://ec.europa.eu/food/plant/pesticides/approval_active_substances/guidance_documents_en).
(8) The notable exception to this rule is that under the Regulation, data protection periods can be extended by three months for every minor extension of use added by the authorisation holder (when submitted within 5 years of product authorisation).
(9) Predicted Environmental Concentrations.
(10) Exposure of operators, workers, bystanders and residents.
(11) Guidance Document on Preparing Lists of Test and Study Reports according to Article 60 of Regulation (EC) No 1107/2009 (SANCO/12580/2012– rev. 3.1, from May 2013 or later, https://ec.europa.eu/food/plant/pesticides/approval_active_substances/guidance_documents_en).
(12) See paragraphs 54 to 58 hereunder.
(13) Implementing Regulation (EU) No 283/2013 setting out the data requirements for active substances, in accordance with Regulation (EC) No 1107/2009 of the European Parliament and of the Council concerning the placing of plant protection products on the market (OJ L 93, 3.4.2013 p. 1).
(14) Implementing Regulation (EU) No 284/2013 setting out the data requirements for plant protection products, in accordance with Regulation (EC) No 1107/2009 of the European Parliament and of the Council concerning the placing of plant protection products on the market (OJ L 93, 3.4.2013, p. 85).
(15) Regulation (EC) No 1272/2008 of the European Parliament and of the Council of 16 December 2008 on classification, labelling and packaging of substances and mixtures, amending and repealing Directives 67/548/EEC and 1999/45/EC, and amending Regulation (EC) No 1907/2006 (OJ L 353, 31.12.2008, p. 1).
(16) Council Directive 86/609/EEC of 24 November 1986 on the approximation of laws, regulations and administrative provisions of the Member States regarding the protection of animals used for experimental and other scientific purposes (OJ L 358, 18.12.1986, p. 1).
(17) Directive 2010/63/EU of the European Parliament and of the Council of 22 September 2010 on the protection of animals used for scientific purposes (OJ L 276, 20.10.2010, p. 33).
(18) Guidance document on preparation of lists of studies relied upon with a view to Annex I-inclusion of existing active substances (SANCO/10435/2004 15 April 2005 rev 7, superseded by the current technical guidelines).
Appendix
Standard letter to vertebrate data owner
Notification of application for new product — vertebrate data access requested (for new product)
or
Notification of requests for continued authorisation for [insert product or active] - vertebrate data access requested (for re-registration)
[competent authority] wish to notify you of an application for new product/request for re-registration of existing products. The applicant name and address is provided below:
[Insert applicant name and address].
They confirmed that negotiations are underway to access your protected vertebrate studies. They have provided all data regarding the identity and impurities of the active substance.
Whilst we will ensure an appropriate data package has been provided to allow an assessment to Uniform Principles, you are respectfully reminded that, in accordance with Article 62 4 of Regulation (EC) No 1107/2009, failure to reach an agreement on access to those vertebrate studies in question will not prevent us from using those studies on their behalf.
Regulation (EC) No 1107/2009 requires applicants and authorisation holders to ‘make every effort to ensure that they share tests and studies involving vertebrate animals’ and we urge you to enter into/continue negotiations at the earliest opportunity.
8.7.2019 |
EN |
Official Journal of the European Union |
C 229/18 |
Non-opposition to a notified concentration
(Case M.9252 — CMOC/IXM)
(Text with EEA relevance)
(2019/C 229/02)
On 28 June 2019, the Commission decided not to oppose the above notified concentration and to declare it compatible with the internal market. This decision is based on Article 6(1)(b) of Council Regulation (EC) No 139/2004 (1). The full text of the decision is available only in English and will be made public after it is cleared of any business secrets it may contain. It will be available:
— |
in the merger section of the Competition website of the Commission (http://ec.europa.eu/competition/mergers/cases/). This website provides various facilities to help locate individual merger decisions, including company, case number, date and sectoral indexes, |
— |
in electronic form on the EUR-Lex website (http://eur-lex.europa.eu/homepage.html?locale=en) under document number 32019M9252. EUR-Lex is the online access to European law. |
IV Notices
NOTICES FROM EUROPEAN UNION INSTITUTIONS, BODIES, OFFICES AND AGENCIES
European Commission
8.7.2019 |
EN |
Official Journal of the European Union |
C 229/19 |
Euro exchange rates (1)
5 July 2019
(2019/C 229/03)
1 euro =
|
Currency |
Exchange rate |
USD |
US dollar |
1,1260 |
JPY |
Japanese yen |
121,77 |
DKK |
Danish krone |
7,4635 |
GBP |
Pound sterling |
0,89703 |
SEK |
Swedish krona |
10,5575 |
CHF |
Swiss franc |
1,1126 |
ISK |
Iceland króna |
141,70 |
NOK |
Norwegian krone |
9,6325 |
BGN |
Bulgarian lev |
1,9558 |
CZK |
Czech koruna |
25,471 |
HUF |
Hungarian forint |
323,41 |
PLN |
Polish zloty |
4,2449 |
RON |
Romanian leu |
4,7246 |
TRY |
Turkish lira |
6,3135 |
AUD |
Australian dollar |
1,6057 |
CAD |
Canadian dollar |
1,4712 |
HKD |
Hong Kong dollar |
8,7758 |
NZD |
New Zealand dollar |
1,6912 |
SGD |
Singapore dollar |
1,5282 |
KRW |
South Korean won |
1 318,43 |
ZAR |
South African rand |
15,8865 |
CNY |
Chinese yuan renminbi |
7,7425 |
HRK |
Croatian kuna |
7,3975 |
IDR |
Indonesian rupiah |
15 899,68 |
MYR |
Malaysian ringgit |
4,6566 |
PHP |
Philippine peso |
57,664 |
RUB |
Russian rouble |
71,5048 |
THB |
Thai baht |
34,529 |
BRL |
Brazilian real |
4,2895 |
MXN |
Mexican peso |
21,3872 |
INR |
Indian rupee |
77,1095 |
(1) Source: reference exchange rate published by the ECB.
V Announcements
OTHER ACTS
European Commission
8.7.2019 |
EN |
Official Journal of the European Union |
C 229/20 |
INFORMATION NOTICE — PUBLIC CONSULTATION
Name from Mexico to be protected as Geographical Indication of spirit drinks in the European Union
(2019/C 229/04)
In the regular process of updating the spirit drinks lists in Annexes I and II to the Agreement between the European Community and the United Mexican States on the mutual recognition and protection of designations for spirit drinks of 1997 (hereafter ‘the 1997 Spirits Agreement’), Mexico has submitted, for protection under the 1997 Spirits Agreement, the name in the table attached. The European Commission is currently considering whether this name should be protected under the 1997 Spirits Agreement as Geographical Indication within the meaning of Article 22(1) of the Agreement on Trade-Related Aspects of Intellectual Property Rights.
The Commission invites any Member State or third country or any natural or legal person having a legitimate interest, resident or established in a Member State or in a third country, to submit opposition to such protection by lodging a duly substantiated statement.
Statements of opposition must reach the Commission within one month of the date of this publication. Statements of opposition should be sent to the following email address: AGRI-A3@ec.europa.eu
Statements of opposition will be examined only if they are received within the time limit set out above and if they show that the protection of the name proposed would:
(a) |
conflict with the name of a plant variety or an animal breed and as a result is likely to mislead the consumer as to the true origin of the product; |
(b) |
be wholly or partially homonymous with that of a name already protected in the Union under Regulation (EU) 2019/787 on the definition, description, presentation, labelling of spirit drinks, the use of names of spirit drinks in the presentation and labelling of other foodstuffs, the protection of geographical indications of spirit drinks and the use of ethyl alcohol distillates of agricultural origin in alcoholic beverages, and repealing Regulation (EC) No 110/2008 (1), or contained in the agreements the Union has concluded with the following countries:
|
(c) |
in light of a trade mark’s reputation and renown and the length of time it has been used, be liable to mislead the consumer as to the true identity of the product; |
(d) |
jeopardise the existence of an entirely or partly identical name or of a trade mark or the existence of products which have been legally on the market for at least five years preceding the date of the publication of this notice; |
(e) |
or if they can give details from which it can be concluded that the name for which protection is considered is generic. |
The criteria referred to above will be evaluated in relation to the territory of the Union, which in the case of intellectual property rights refers only to the territory or territories where the said rights are protected. The possible protection of this name in the European Union is subject to the conclusion of a legal act amending the Annexes to the 1997 Spirits Agreement.
Name from Mexico to be protected as Geographical Indication in the European Union for spirit drinks (14)
Name |
Short description |
Raicilla |
Agave spirit drink |
(1) OJ L 130, 17.5.2019, p. 1.
(2) Council Decision of 25 May 2009 on the conclusion of the Agreement between the European Community and the Swiss Confederation amending the Agreement between the European Community and the Swiss Confederation on trade in agricultural products (OJ L 136, 30.5.2009, p. 1).
(3) Council Decision 2011/265/EU of 16 September 2010 on the signing, on behalf of the European Union, and provisional application of the Free Trade Agreement between the European Union and its Member States, of the one part, and the Republic of Korea, of the other part (OJ L 127, 14.5.2011, p. 1).
(4) Agreement establishing an Association between the European Union and its Member States, on the one hand, and Central America on the other (OJ L 346, 15.12.2012, p. 3).
(5) Agreement establishing an association between the European Community and its Member States, of the one part, and the Republic of Chile, of the other part — Final act (OJ L 352, 30.12.2002, p. 3).
(6) Trade Agreement between the European Union and its Member States, of the one part, and Colombia and Peru, of the other part (OJ L 354, 21.12.2012, p. 3).
(7) Council and Commission Decision 2013/490/EU, Euratom of 22 July 2013 on the conclusion of the Stabilisation and Association Agreement between the European Communities and their Member States, of the one part, and the Republic of Serbia, of the other part (OJ L 278, 18.10.2013, p. 14).
(8) Decision No 1/2016 of the Geographical Indications Sub-Committee of 18 October 2016 amending Annexes XXX-C and XXX-D to the Association Agreement between the European Union and the European Atomic Energy Community and their Member States, of the one part, and the Republic of Moldova, of the other part [2016/2127] (OJ L 335, 9.12.2016, p. 1).
(9) Decision No 1/2016 of the Geographical Indications Sub-Committee of 10 November 2016 amending Annex XVII-C and Part B of Annex XVII-D to the Association Agreement between the European Union and the European Atomic Energy Community and their Member States, of the one part, and Georgia, of the other part [2016/2128] (OJ L 335, 9.12.2016, p. 133).
(10) Additional Agreement between the European Community, the Swiss Confederation and the Principality of Liechtenstein extending to the Principality of Liechtenstein the Agreement between the European Community and the Swiss Confederation on trade in agricultural products (OJ L 270, 13.10.2007, p. 6).
(11) Agreement in The Form of an Exchange of Letters between the European Community and the United States of America on the mutual recognition of certain distilled spirits/spirit drinks (OJ L 157, 24.6.1994, p. 37).
(12) Agreement between the European Community and Canada on trade in wines and spirit drinks (OJ L 35, 6.2.2004, p. 3).
(13) Association Agreement between the European Union and its Member States, of the one part, and Ukraine, of the other part (OJ L 161, 29.5.2014, p. 3).
(14) Name provided by the Mexican authorities in the framework of the updating of Annexes I and II to the 1997 Spirits Agreement. The name included in the list is registered in Mexico.
Corrigenda
8.7.2019 |
EN |
Official Journal of the European Union |
C 229/22 |
Corrigendum to Call for proposals 2019 — EAC/A05/2018 — European Solidarity Corps
( Official Journal C 444 of 10 December 2018 )
(2019/C 229/05)
On page 20, point 5 ‘Deadline for the submission of applications’, entry ‘Volunteering Teams in high priority areas’:
for:
‘28 September 2019’,
read:
‘24 January 2020’.