93-32063. Panel Review Under Article 1904 of the North American Free Trade Agreement  

  • [Federal Register Volume 59, Number 1 (Monday, January 3, 1994)]
    [Unknown Section]
    [Page 0]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 93-32063]
    
    
    [[Page Unknown]]
    
    [Federal Register: January 3, 1994]
    
    
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    Part VI
    
    
    
    
    
    Department of Commerce
    
    
    
    
    
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    International Trade Administration
    
    
    
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    19 CFR Part 356
    
    
    
    
    Panel Review Under Article 1904 of the North American Free Trade 
    Agreement; Final Rule
    DEPARTMENT OF COMMERCE
    
    International Trade Administration
    
    19 CFR Part 356
    
    Docket No. 931247-3347
    
     
    Panel Review Under Article 1904 of the North American Free Trade 
    Agreement
    
    AGENCY: International Trade Administration, Department of Commerce.
    
    ACTION: Interim-final rule and request for comments.
    
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    SUMMARY: Title IV of the North American Free Trade Agreement 
    Implementation Act of 1993 (``NAFTA Act''), establishes procedures for 
    review by a binational panel of United States antidumping and 
    countervailing duty final determinations involving products from Canada 
    or the United Mexican States (``free trade area countries'' as defined 
    by 19 U.S.C. 1516a(f)(10)) and for requesting panel review of free 
    trade area country antidumping and countervailing duty final 
    determinations involving products of the United States. Title IV of the 
    NAFTA Act implements Chapter Nineteen of the North American Free Trade 
    Agreement (``Agreement''). As authorized by section 402(g) of the NAFTA 
    Act, these regulations are intended to implement certain administrative 
    procedures required by Article 1904 of the Agreement and the NAFTA Act. 
    These regulations replace corresponding regulations issued pursuant to 
    the United States-Canada Free Trade Agreement.
    
    DATES: These regulations take effect on January 1, 1994, or on the date 
    that the Agreement enters into force if that date is subsequent to 
    January 1, 1994. The International Trade Administration will publish a 
    document giving notice of the effective date of these regulations if 
    the effective date is not January 1, 1994.
        Written comment must be received not later than March 2, 1994.
    
    ADDRESSES: Address written comments to Stacy J. Ettinger, Attorney-
    Advisor, Office of the Chief Counsel for Import Administration, room B-
    099, U.S. Department of Commerce, 14th and Constitution Avenue, NW., 
    Washington, DC 20230.
    
    FOR FURTHER INFORMATION CONTACT: Lisa B. Koteen, 202-482-0836, or Stacy 
    J. Ettinger, 202-482-4618.
    
    SUPPLEMENTARY INFORMATION:
    
    Background
    
        Chapter Nineteen of the Agreement establishes a mechanism for 
    resolving disputes between the United States and free trade area 
    countries with respect to antidumping and countervailing duty cases. 
    The central feature of the mechanism is the replacement of domestic 
    judicial review of determinations in antidumping and countervailing 
    duty cases involving imports from free trade area countries with review 
    by independent binational panels. The United States and the involved 
    free trade area country will continue to apply their own national 
    antidumping and countervailing duty laws to goods imported from the 
    other country. In such cases, independent binational panels acting in 
    place of national courts will expeditiously review final determinations 
    under these laws to decide whether they are consistent with the 
    antidumping or countervailing duty law of the country that made the 
    determination. These determinations include final antidumping and 
    countervailing duty determinations by the Department of Commerce (``the 
    Department''), and final injury determinations by the International 
    Trade Commission.
        The Agreement provides that only the involved governments may 
    invoke the panel review process; however, the governments of the 
    involved countries will automatically trigger panel review in response 
    to a timely request from any person who otherwise could have challenged 
    the determination in court. Counsel for (or representative of) 
    interested parties that were parties to the administrative proceeding 
    that is being challenged will argue before the panel, as they would 
    before a court. The Agreement also requires that the United States and 
    the free trade area countries protect sensitive business information 
    against unlawful disclosure in the panel review process.
        Title IV of the NAFTA Act (Pub. L. 103-182, 107 Stat. 2057) amends 
    United States law to implement Chapter Nineteen of the Agreement by 
    limiting judicial review in cases involving free trade area country 
    merchandise, establishing procedures whereby private parties may 
    request binational panel review, providing an organizational structure 
    for administering United States responsibilities under Chapter 
    Nineteen, and making other conforming amendments to United States law. 
    More specifically, section 402(g) of the NAFTA Act authorizes the 
    Department, as the administering authority under Title VII of the 
    Tariff Act of 1930 (``Act''), to issue regulations to implement Chapter 
    Nineteen of the Agreement.
        These regulations are intended to implement certain administrative 
    procedures required by Chapter Nineteen of the Agreement before an 
    administrative proceeding has been sent to the Court of International 
    Trade or a binational panel, as well as the administrative 
    responsibilities of the Department that continue during and after panel 
    review. These regulations replace corresponding regulations issued 
    pursuant to the United States-Canada Free Trade Agreement. These 
    regulations are necessary to provide for notice of intent to seek 
    judicial review, request for panel review, notice of receipt by the 
    Government of a free trade area country of scope determinations, 
    continued suspension of liquidation, release of business proprietary 
    and privileged information under protective order during a panel 
    review, and sanctions for violations of such protective orders. The 
    Department currently is reviewing procedures for release of business 
    proprietary information under protective order during antidumping and 
    countervailing duty administrative proceedings. Any changes made in 
    procedures as a result of that review will be considered for 
    incorporation into these regulations. The procedures for proceedings 
    before binational panels are being implemented through Rules of 
    Procedure negotiated by the United States and the free trade area 
    countries. These regulations complement the Rules of Procedure and 
    should be used in conjunction with the Rules.
    
    Administrative Procedure Act
    
        This interim rule is exempt from all requirements of section 553 of 
    the Administrative Procedure Act (5 U.S.C. 553), including notice and 
    opportunity to comment and delay of the effective date, because it 
    implements Chapter Nineteen of the Agreement and thus relates to a 
    foreign affairs function of the United States.
    
    Executive Order 12866
    
        This rule was not reviewed by the Office of Management and Budget 
    under Executive Order 12866.
    
    Paperwork Reduction Act
    
        This rule does not contain a collection of information subject to 
    the requirements of the Paperwork Reduction Act of 1980 (44 U.S.C. 3501 
    et seq.). The collections of information contained in these regulations 
    occur within the course of ongoing investigations or actions initiated 
    prior to the determinations that are reviewable by binational panels 
    under the Agreement. Thus they are not covered by the Paperwork 
    Reduction Act. See 5 CFR 1320.3(c).
    
    Regulatory Flexibility Act
    
        The Regulatory Flexibility Act does not apply to this rule because 
    the rule was not required to be promulgated as a proposed rule before 
    issuance as a final rule by section 553 of the Administrative Procedure 
    Act or by any other law. Accordingly, neither an initial nor final 
    Regulatory Flexibility Analysis has been or will be prepared.
    
    Executive Order 12612
    
        This rule does not contain policies with Federalism implications 
    sufficient to warrant preparation of a Federalism assessment under 
    Executive Order 12612 (52 FR 41685, October 30, 1987).
    
    Entry Into Force
    
        It is anticipated that the Agreement will enter into force on 
    January 1, 1994. The Office of the United States Trade Representative 
    will confirm in a Federal Register notice the precise date of the 
    Agreement's entry into force.
    
    List of Subjects in 19 CFR Part 356
    
        Antidumping, Canada, Countervailing duty, Imports, Judicial review, 
    Penalties, Trade agreements, United Mexican States.
    
        19 CFR Part 356 is revised to read as follows:
    
    PART 356--PROCEDURES AND RULES FOR IMPLEMENTING ARTICLE 1904 OF THE 
    NORTH AMERICAN FREE TRADE AGREEMENT
    
    Subpart A--Scope and Definitions
    
    Sec.
    356.1  Scope.
    356.2  Definitions.
    
    Subpart B--Procedures for Commencing Review of Final Determinations
    
    356.3  Notice of intent to commence judicial review.
    356.4  Request for panel review.
    356.5  [Reserved]
    356.6  Receipt of notice of a scope determination by the Government 
    of a FTA country.
    356.7  Request to determine when the Government of a FTA country 
    received notice of a scope determination.
    356.8 Continued suspension of liquidation.
    
    Subpart C--Proprietary and Privileged Information
    
    356.9  Persons authorized to receive proprietary information.
    356.10  Procedures for obtaining access to proprietary information.
    356.11  Procedures for obtaining access to privileged information.
    
    Subpart D--Violation of a Protective Order or a Disclosure Undertaking
    
    356.12  Sanctions for violation of a protective order or disclosure 
    undertaking.
    356.13  Suspension of rules.
    356.14  Report of violation and investigation.
    356.15  Initiation of proceedings.
    356.16  Charging letter.
    356.17  Request to charge.
    356.18  Interim sanctions.
    356.19  Request for a hearing.
    356.20  Discovery.
    356.21  Subpoenas.
    356.22  Prehearing conference.
    356.23  Hearing.
    356.24  Proceeding without a hearing.
    356.25  Witnesses.
    356.26  Initial decision.
    356.27  Final decision.
    356.28  Reconsideration.
    356.29  Confidentiality.
    356.30  Sanctions for violations of a protective order for 
    privileged information.
    
        Authority: 19 U.S.C. 1516a and 1677f(f), unless otherwise noted.
    
    Subpart A--Scope and Definitions
    
    
    Sec. 356.1  Scope.
    
        This part sets forth procedures and rules for the implementation of 
    Article 1904 of the North American Free Trade Agreement under the 
    Tariff Act of 1930, as amended by title IV of the North American Free 
    Trade Agreement Implementation Act of 1993 (19 U.S.C. 1516a and 
    1677f(f)). This part is authorized by section 402(g) of the North 
    American Free Trade Agreement Implementation Act of 1993.
    
    
    Sec. 356.2  Definitions.
    
        For purposes of this part:
        (a) Act means the Tariff Act of 1930, as amended;
        (b) Administrative law judge means the person appointed under 5 
    U.S.C. 3105 who presides over the taking of evidence as provided by 
    subpart D of this part;
        (c) Affected party means a person against whom sanctions have been 
    proposed for alleged violation of a protective order or disclosure 
    undertaking but who is not a charged party;
        (d) Agreement means the North American Free Trade Agreement between 
    Canada, the United Mexican States and the United States, signed on 
    December 17, 1992; or, with respect to binational panel or 
    extraordinary challenge proceedings underway as of such date, or any 
    binational panel or extraordinary challenge proceedings that may 
    proceed between Canada and the United States following any withdrawal 
    from the Agreement by Canada or the United States, the United States-
    Canada Free Trade Agreement between Canada and the United States, which 
    came into force on January 1, 1989;
        (e) APO Sanctions Board means the Administrative Protective Order 
    Sanctions Board;
        (f) Article 1904 Panel Rules means the NAFTA Article 1904 Panel 
    Rules, negotiated pursuant to Article 1904 of the North American Free 
    Trade Agreement between Canada, the United Mexican States and the 
    United States, and any subsequent amendments; or, with respect to 
    binational panel proceedings underway as of such date, or any 
    binational panel proceedings that may proceed between the Canada and 
    the United States following any withdrawal from the Agreement by Canada 
    or the United States, the Article 1904 Panel Rules, as amended, which 
    came into force on January 1, 1989;
        (g) Authorized agency of a free trade area country means:
        (1) In the case of Canada, any Canadian government agency that is 
    authorized by Canadian law to request the Department to initiate 
    proceedings to impose sanctions for an alleged violation of a 
    disclosure undertaking; and
        (2) In the case of Mexico, any Mexican government agency that is 
    authorized by Mexican law to request the Department to initiate 
    proceedings to impose sanctions for an alleged violation of a 
    disclosure undertaking;
        (h) Binational panel means a binational panel established pursuant 
    to Annex 1901.2 to Chapter Nineteen of the Agreement for the purpose of 
    reviewing a final determination;
        (i) Charged party means a person who is charged by the Deputy Under 
    Secretary with violating a protective order or a disclosure 
    undertaking;
        (j) Chief Counsel means the Chief Counsel for Import 
    Administration, U.S. Department of Commerce, or designee;
        (k) Days means calendar days, except that a deadline which falls on 
    a weekend or holiday shall be extended to the next working day;
        (l) Department means the U.S. Department of Commerce;
        (m) Deputy Under Secretary means the Deputy Under Secretary for 
    International Trade, U.S. Department of Commerce;
        (n) Director means an Office Director under the Deputy Assistant 
    Secretary for Investigations, U.S. Department of Commerce, or designee, 
    if the panel review is of a final determination by the Department under 
    section 751 of the Act, or an Office Director under the Deputy 
    Assistant Secretary for Compliance, or designee, if the panel review is 
    of a final determination by the Department under section 705(a) or 
    735(a) of the Act;
        (o) Disclosure undertaking means:
        (1) In the case of Canada, the Canadian mechanism for protecting 
    proprietary or privileged information during proceedings pursuant to 
    Article 1904 of the Agreement, as prescribed by subsection 77.21(2) of 
    the Special Import Measures Act, as amended; and
        (2) In the case of Mexico, the Mexican mechanism for protecting 
    proprietary or privileged information during proceedings pursuant to 
    Article 1904 of the Agreement, as prescribed by the Ley de Comercio 
    Exterior and its regulations;
        (p) Extraordinary challenge committee means the committee 
    established pursuant to Annex 1904.13 to Chapter Nineteen of the 
    Agreement to review decisions of a panel or conduct of a panelist;
        (q) Final determination means ``final determination'' as defined by 
    Article 1911 of the Agreement;
        (r) Free trade area country or FTA country means ``free trade area 
    country'' as defined by section 516A(f)(10) of the Act (19 U.S.C. 
    1516a(f)(10));
        (s) Investigating authority means the competent investigating 
    authority that issued the final determination subject to review and 
    includes, in respect of the issuance, amendment, modification or 
    revocation of a protective order or disclosure undertaking, any person 
    authorized by the investigating authority;
        (t) Lesser-included sanction means a sanction of the same type but 
    of more limited scope than the proposed sanction for violation of a 
    protective order or disclosure undertaking; thus, a one-year bar on 
    representation before the Department is a lesser-included sanction of a 
    proposed seven-year bar;
        (u) Letter of transmittal means a document marked according to the 
    requirements of 19 CFR 353.31(e)(2)(i)-(v) or 355.31(e)(2)(i)-(v);
        (v) Official publication means:
        (1) In the case of Canada, the Canada Gazette;
        (2) In the case of Mexico, the Diario Oficial de la Federacion; and
        (3) In the case of the United States, the Federal Register;
        (w) Panel review means review of a final determination pursuant to 
    Chapter Nineteen of the Agreement;
        (x) Party to the proceeding means a person that would be entitled, 
    under section 516A of the Act (19 U.S.C. 1516a), to commence 
    proceedings for judicial review of a final determination;
        (y) Participant means a party to the proceeding that files a 
    Complaint or a Notice of Appearance in a panel review, and the 
    Department;
        (z) Parties means, in an action under subpart D of this part, the 
    Department and the charged party or affected party;
        (aa) Person means, an individual, partnership, corporation, 
    association, organization, or other entity;
        (bb) Privileged information means:
        (1) With respect to a panel review of a final determination made in 
    Canada, information of the investigating authority that is subject to 
    the solicitor-client privilege under the laws of Canada, or that 
    constitutes part of the deliberative process with respect to the final 
    determination, and with respect to which the privilege has not been 
    waived;
        (2) With respect to a panel review of a final determination made in 
    Mexico:
        (i) Information of the investigating authority that is subject to 
    attorney-client privilege under the laws of Mexico; or
        (ii) Internal communications between officials of the Secretaria de 
    Comercio y Fomento Industrial in charge of antidumping and 
    countervailing duty investigations or communications between those 
    officials and other government officials, where those communications 
    constitute part of the deliberative process with respect to the final 
    determination; and
        (3) With respect to a panel review of a final determination made in 
    the United States, information of the investigating authority that is 
    subject to the attorney-client, attorney work product or government 
    deliberative process privilege under the laws of the United States and 
    with respect to which the privilege has not been waived;
        (cc) Proprietary information means:
        (1) With respect to a panel review of a final determination made in 
    Canada, information referred to in subsection 84(3) of the Special 
    Import Measures Act, as amended, or subsection 45(3) of the Canadian 
    International Trade Tribunal Act, as amended, with respect to which the 
    person who designated or submitted the information has not withdrawn 
    the person's claim as to the confidentiality of the information;
        (2) With respect to a panel review of a final determination made in 
    Mexico, informacion confidencial, as defined under article 80 of the 
    Ley de Comercio Exterior and its regulations; and
        (3) With respect to a panel review of a final determination made in 
    the United States, business proprietary information under section 
    777(f) of the Act (19 U.S.C. 1677f(f)) and information the disclosure 
    of which the Department has decided is limited under the procedures 
    adopted pursuant to Article 1904.14 of the Agreement, including 
    business or trade secrets; production costs; terms of sale; prices of 
    individual sales, likely sales, or offers; names of customers, 
    distributors, or suppliers; exact amounts of the subsidies received and 
    used by a person; names of particular persons from whom proprietary 
    information was obtained; and any other business information the 
    release of which to the public would cause substantial harm to the 
    competitive position of the submitter;
        (dd) Protective order means a protective order issued by the 
    Department under 19 CFR 356.10(c) or 356.11(c);
        (ee) Scope determination means a determination by the Department, 
    reviewable under section 516A(a)(2)(B)(vi) of the Act (19 U.S.C. 
    1516a(a)(2)(B)(vi), as to whether a particular type of merchandise is 
    within the class or kind of merchandise described in an existing 
    finding of dumping or an antidumping or countervailing duty order 
    covering free trade area country merchandise;
        (ff) Secretariat means the Secretariat established pursuant to 
    Article 2002 of the Agreement and includes the Secretariat sections 
    located in Canada, Mexico and the United States;
        (gg) Secretary means the Secretary of the Canadian section of the 
    Secretariat, the Secretary of the Mexican section of the Secretariat, 
    or the Secretary of the United States section of the Secretariat and 
    includes any person authorized to act on behalf of the Secretary;
        (hh) Service address means the address of the counsel of record for 
    a person, including any facsimile number submitted with that address, 
    or, where a person is not represented by counsel, the address set out 
    by the person in a Request for Panel Review, Complaint or Notice of 
    Appearance as the address at which the person may be served, including 
    any facsimile number submitted with that address, or where a Change of 
    Service Address has been filed by a person, the new service address set 
    out as the service address in that form, including any facsimile number 
    submitted with that address;
        (ii) Service list means, with respect to a panel review of a final 
    determination made in the United States, the list maintained by the 
    investigating authority of persons who have been served in the 
    proceeding leading to the final determination;
        (jj) Under Secretary means the Under Secretary for International 
    Trade, U.S. Department of Commerce, or designee;
        (kk) United States section of the Secretariat means, for the 
    purposes of filing, United States Secretary, NAFTA Secretariat, room 
    2061, U.S. Department of Commerce, 14th and Constitution Avenue, NW., 
    Washington, DC 20230.
    
    Subpart B--Procedures for Commencing Review of Final Determinations
    
    
    Sec. 356.3  Notice of intent to commence judicial review.
    
        A party to a proceeding who intends to commence judicial review of 
    a final determination made in the United States shall file a Notice of 
    Intent to Commence Judicial Review, which shall contain such 
    information, and be in such form, manner, and style, including service 
    requirements, as prescribed by the Article 1904 Panel Rules, within 20 
    days after:
        (a) The date of publication in the Federal Register of the final 
    determination; or
        (b) The date on which the notice of the final determination was 
    received by the Government of the FTA country if the final 
    determination was not published in the Federal Register.
    
    
    Sec. 356.4  Request for panel review.
    
        A party to a proceeding who seeks panel review of a final 
    determination shall file a Request for Panel Review, which shall 
    contain such information, and be in such form, manner, and style, 
    including service requirements, as prescribed by the Article 1904 Panel 
    Rules, within 30 days after:
        (a) The date of publication in the official publication of the 
    final determination; or
        (b) The date on which the notice of the final determination was 
    received by the United States Government or the Government of the FTA 
    country if the final determination was not published in the official 
    publication.
    
    
    Sec. 356.5  [Reserved.]
    
    
    Sec. 356.6  Receipt of notice of a scope determination by the 
    Government of a FTA country.
    
        (a) Where the Department has made a scope determination, notice of 
    such determination shall be deemed received by the Government of a FTA 
    country when a certified copy of the determination is delivered to the 
    chancery of the Embassy of the FTA country during its normal business 
    hours.
        (b) Where feasible, the Department, or an agent therefor, will 
    obtain a certificate of receipt signed by a person authorized to accept 
    delivery of documents to the Embassy of the FTA country acknowledging 
    receipt of the scope determination. The certificate will describe 
    briefly the document being delivered to the Embassy of the FTA country, 
    state the date and time of receipt, and include the name and title of 
    the person who signs the certificate. The certificate will be retained 
    by the Department in its public files pertaining to the scope 
    determination at issue.
    
    
    Sec. 356.7  Request to determine when the Government of a FTA country 
    received notice of a scope determination.
    
        (a) Pursuant to section 516A(g)(10) of the Act (19 U.S.C. 
    1516a(g)(10)), any party to the proceeding may request in writing from 
    the Department the date on which the Government of a FTA country 
    received notice of a scope determination made by the Department.
        (b) A request shall be made by filing a written request and the 
    correct number of copies in accordance with the requirements set forth 
    in 19 CFR 353.31(d) and (e)(2) or 355.31(d) and (e)(2) with the 
    Secretary of Commerce, Attention: Import Administration, Central 
    Records Unit, room B-099, U.S. Department of Commerce, 14th and 
    Constitution Avenue, NW., Washington, DC 20230. A letter of transmittal 
    must be bound to the original and each copy as the first page of the 
    request.
        (c) The requesting party shall serve a copy of the Request to 
    Determine When the Government of [insert name of applicable FTA 
    country] Received Notice of a Scope Determination by first class mail 
    or personal service on any interested party on the Department's service 
    list in accordance with the service requirements listed in 19 CFR 
    353.31(g) or 355.31(g).
        (d) The Department will respond to the request referred to in 
    paragraph (b) of this section within five business days of receipt.
    
    
    Sec. 356.8  Continued suspension of liquidation.
    
        (a) In general. In the case of an administrative determination 
    specified in clause (iii) or (vi) of section 516A(a)(2)(B) of the Act 
    (19 U.S.C. 1516a(a)(2)(B)(iii) and (vi)) and involving free trade area 
    country merchandise, the Department shall not order liquidation of 
    entries of merchandise covered by such a determination until the forty-
    first day after the date of publication of the notice described in 
    clause (iii) or receipt of the determination described in clause (vi), 
    as appropriate. If requested, the Department will order the continued 
    suspension of liquidation of such entries in accordance with the terms 
    of paragraphs (b), (c), and (d) of this section.
        (b) Eligibility to request continued suspension of liquidation. (1) 
    A participant in a binational panel review that was a domestic party to 
    the proceeding, as described in section 771(9)(C), (D), (E), (F), or 
    (G) of the Act (19 U.S.C. 1677(9)(C), (D), (E), (F) and (G)), may 
    request continued suspension of liquidation of entries of merchandise 
    covered by the administrative determination under review by the panel 
    and that would be affected by the panel review.
        (2) A participant in a binational panel review that was a party to 
    the proceeding, as described in section 771(9)(A) of the Act (19 U.S.C. 
    1677(9)(A)), may request continued suspension of liquidation of the 
    merchandise which it manufactured, produced, exported, or imported and 
    which is covered by the administrative determination under review by 
    the panel.
        (c) Request for continued suspension of liquidation. A request for 
    continued suspension of liquidation must include:
        (1) The name of the final determination subject to binational panel 
    review and the case number assigned by the Department;
        (2) The caption of the binational panel proceeding;
        (3) The name of the requesting participant;
        (4) The requestor's status as a party to the proceeding and as a 
    participant in the binational panel review; and
        (5) The specific entries to be suspended by name of manufacturer, 
    producer, exporter, or U.S. importer.
        (d) Filing and service. (1) A request for Continued Suspension of 
    Liquidation must be filed with the Assistant Secretary for Import 
    Administration, room B-099, 14th and Constitution Avenue, NW., 
    Washington, DC 20230, in accordance with the requirements set forth in 
    19 CFR 353.31(d) and (e)(2) or 355.31(d) and (e)(2). A letter of 
    transmittal must be bound to the original and each copy as the first 
    page of the request. The envelope and the first page of the request 
    must be marked: Panel Review--Request for Continued Suspension of 
    Liquidation. The request may be made no earlier than the date on which 
    the first request for binational panel review is filed.
        (2) The requesting party shall serve a copy of the Request for 
    Continued Suspension of Liquidation on the United States Secretary and 
    all parties to the proceeding in accordance with the requirements of 19 
    CFR 353.31(g) or 19 CFR 355.31(g).
        (e) Termination of Continued Suspension. Upon completion of the 
    panel review, including any panel review of remand determinations and 
    any review by an extraordinary challenge committee, the Department will 
    order liquidation of entries, the suspension of which was continued 
    pursuant to this section.
    
    Subpart C--Proprietary and Privileged Information
    
    
    Sec. 356.9  Persons authorized to receive proprietary information.
    
        Persons described in paragraphs (a), (d), (e), (f) and (g) of this 
    section shall, and persons described in paragraphs (b) and (c) of this 
    section may, be authorized by the Department to receive access to 
    proprietary information if they comply with this subpart and such other 
    conditions imposed upon them by the Department:
        (a) The members of, and appropriate staff of, a binational panel or 
    extraordinary challenge committee;
        (b) Counsel to participants in panel reviews and professionals 
    retained by, or under the direction or control of such counsel, 
    provided that the counsel or professional does not participate in 
    competitive decision-making activity (such as advice on production, 
    sales, operations, or investments, but not legal advice) for the 
    participant represented or for any person who would gain competitive 
    advantage through knowledge of the proprietary information sought;
        (c) Other persons who are retained or employed by and under the 
    direction or control of a counsel or professional, panelist, or 
    committee member who has been issued a protective order, such as 
    paralegals, law clerks, and secretaries, if such other persons are:
        (1) Not involved in the competitive decision-making of a 
    participant to the panel review or for any person who would gain 
    competitive advantage through knowledge of the proprietary information 
    sought; and
        (2) Have agreed to be bound by the terms set forth on the 
    application for protective order of the counsel or professional, 
    panelist, or committee member;
        (d) Each Secretary and every member of the staff of the 
    Secretariat;
        (e) Such officials of the United States Government (other than an 
    officer or employee of the investigating authority that issued the 
    final determination subject to review) as the United States Trade 
    Representative informs the Department require access to proprietary 
    information for the purpose of evaluating whether the United States 
    should seek an extraordinary challenge committee review of a panel 
    determination;
        (f) Such officials of the Government of a FTA country as an 
    authorized agency of the FTA country informs the Department require 
    access to proprietary information for the purpose of evaluating whether 
    the FTA country should seek an extraordinary challenge committee review 
    of a panel determination; and
        (g) Every court reporter, interpreter and translator employed in a 
    panel or extraordinary challenge committee review.
    
    
    Sec. 356.10  Procedures for obtaining access to proprietary 
    information.
    
        (a) Persons who must file an application for disclosure under 
    protective order. In order to be permitted access to proprietary 
    information in the administrative record of a final determination under 
    review by a panel, all persons described in Secs. 356.9 (a), (b), (d), 
    (e), (f) and (g) shall file an application for a protective order. The 
    procedures for applying for a protective order described in paragraph 
    (b) of this section apply as well to amendments or modifications filed 
    by persons described in Sec. 356.9.
        (b) Procedures for applying for a protective order--(1) Contents of 
    applications. (i) The Department has adopted application forms for 
    disclosure of proprietary information which are available from the 
    United States section of the Secretariat or the Central Records Unit, 
    room B-099, U.S. Department of Commerce, 14th and Constitution Avenue, 
    NW., Washington, DC 20230. The application forms may be amended from 
    time to time.
        (ii) Such forms require the applicant to submit a personal sworn 
    statement stating, in addition to such other terms as the Department 
    may require, that the applicant shall:
        (A) Not disclose any proprietary information obtained under 
    protective order and not otherwise available to the applicant, to any 
    person other than:
        (1) An official of the Department involved in the particular panel 
    review in which the proprietary information is part of the 
    administrative record;
        (2) The person from whom the information was obtained;
        (3) A person who has been granted access to the proprietary 
    information at issue under Sec. 356.9; and
        (4) A person employed by and under the direction or control of a 
    counsel or professional, panelist, or committee member who has been 
    issued a protective order, such as a paralegal, law clerk, or secretary 
    if such person:
        (i) Is not involved in competitive decision-making for a 
    participant in the panel review or for any person that would gain 
    competitive advantage through knowledge of the proprietary information 
    sought; and
        (ii) Has agreed to be bound by the terms set forth in the 
    application for protective order by the counsel, professional, 
    panelist, or committee member;
        (B) Not use any of the proprietary information not otherwise 
    available to the applicant for purposes other than proceedings pursuant 
    to Article 1904 of the Agreement;
        (C) Upon completion of the panel review, or at such earlier date as 
    may be determined by the Department, return to the Department or 
    certify to the Department the destruction of all documents released 
    under the protective order and all other documents containing the 
    proprietary information (such as briefs, notes, or charts based on any 
    such information received under the protective order); and
        (D) Acknowledge that breach thereof may subject the signatory to 
    sanctions under Sec. 356.12.
        (2) Timing of application for disclosure under protective order--
    (i) Persons described in Sec. 356.9(a) (panelists, etc.). A person 
    described in Sec. 356.9(a) may file an application after a Notice of 
    Request for Panel Review has been filed with the Secretariat.
        (ii) Persons described in Sec. 356.9(b) (counsel, etc.). A person 
    described in Sec. 356.9(b) may file an application at any time but not 
    before that person files a Complaint or a Notice of Appearance.
        (iii) Persons described in Sec. 356.9(d) (Secretaries, etc.). A 
    person described in Sec. 356.9(d) shall file an application immediately 
    upon assuming official responsibilities in the Secretariat.
        (iv) Persons described in Sec. 356.9 (e), (f) or (g) (designated 
    Government officials or court reporters, etc.). A person described in 
    Sec. 356.9 (e), (f) or (g) shall file an application before seeking or 
    obtaining access to proprietary information.
        (3) Filing of applications. A person described in Sec. 356.9 (a), 
    (b), (d), (e), (f) or (g) shall file the completed original and five 
    copies of an application with the United States section of the 
    Secretariat which, in turn, shall submit the original and one copy of 
    the application to the Department. A letter of transmittal must be 
    bound to the original and each copy as the first page of the document.
        (4) Service of applications--(i) Persons described in 
    Secs. 356.9(b) (counsel, etc.). A person described in Sec. 356.9(b) who 
    files an application before the expiration of the time period fixed 
    under the Article 1904 Panel Rules for filing a Notice of Appearance in 
    the panel review shall serve one copy of the application on each person 
    listed on the service list in accordance with paragraphs (b)(4) (ii) 
    and (iii) of this section. In any other case, such person shall serve 
    one copy of the application on each participant, other than the 
    investigating authority, in accordance with paragraphs (b)(4) (ii) and 
    (iii) of this section.
        (ii) Method of service. A document may be served by:
        (A) Delivering a copy of the document to the service address of the 
    participant;
        (B) Sending a copy of the document to the service address of the 
    participant by facsimile transmission or by expedited delivery courier 
    or expedited mail service; or
        (C) Personal service on the participant.
        (iii) Proof and date of service. A proof of service shall appear 
    on, or be affixed to, the document. Where a document is served by 
    expedited delivery courier or expedited mail service, the date of 
    service set out in the affidavit of service or certificate of service 
    shall be the day on which the document is consigned to the expedited 
    delivery courier service or expedited mail service.
        (5) Release to employees of panelists, committee members, and 
    counsel or professionals. A person described in Sec. 356.9(c), 
    including a paralegal, law clerk, or secretary, may be permitted access 
    to proprietary information disclosed under protective order by the 
    counsel, professional, panelist, or extraordinary challenge committee 
    member who retains or employs such person, if such person has agreed to 
    the terms of the protective order issued to the counsel, professional, 
    panelist, or extraordinary challenge committee member, by signing and 
    dating a completed copy of the application for protective order of the 
    representative counsel, professional, panelist or extraordinary 
    challenge committee member in the location indicated in that 
    application.
        (6) Counsel or professional who retains access to proprietary 
    information under a protective order issued during the administrative 
    proceeding. A person described in Sec. 356.9(b) who has been granted 
    access to proprietary information under protective order during an 
    administrative proceeding that resulted in a final determination that 
    becomes the subject of panel review may, if permitted by the terms of 
    the protective order previously issued by the Department, retain such 
    information until the applicant receives a protective order under this 
    part.
        (c) Issuance and service of protective orders--(1) Persons 
    described in Sec. 356.9(a) (panelists, etc.). (i) Upon receipt by the 
    Department of an application from a person described in Sec. 356.9(a), 
    the Department will issue a protective order authorizing disclosure of 
    proprietary information included in the administrative record of the 
    final determination that is the subject of the panel review at issue. 
    The Department shall transmit the original and four copies of the 
    protective order to the United States section of the Secretariat which, 
    in turn, shall transmit the original to the applicant and serve one 
    copy of the order on each participant, other than the investigating 
    authority, in accordance with paragraphs (b)(4) (ii) and (iii) of this 
    section.
        (ii) A member of a binational panel or extraordinary challenge 
    committee proceeding initiated under the United States-Canada Free 
    Trade Agreement to whom the Department issues a protective order must 
    countersign the protective order and return one copy of the 
    countersigned protective order to the United States section of the 
    Secretariat.
        (2) Persons described in Secs. 356.9 (b) or (c) (counsel, etc., or 
    paralegals, etc.)--(i) Opportunity to object to disclosure. The 
    Department will not rule on an application filed by a person described 
    in Sec. 356.9(b) until at least ten days after the request is filed, 
    unless there is compelling need to rule more expeditiously. Unless the 
    Department has indicated otherwise, any person may file an objection to 
    the application within seven days of filing of the application. Any 
    such objection shall state the specific reasons in the view of such 
    person why the application should not be granted. One copy of the 
    objection shall be served on the applicant and on all persons who were 
    served with the application. Service shall be made in accordance with 
    paragraphs (b)(4) (ii) and (iii) of this section. Any reply to an 
    objection will be considered if it is filed before the Department 
    renders a decision.
        (ii) Timing of decisions on applications. Normally, the Department 
    will render a decision to approve or deny an application within 14 
    days. If any person files an objection, the Department will normally 
    render the decision within 30 days.
        (iii) Approval of applications. If appropriate, the Department will 
    issue a protective order permitting the release of proprietary 
    information to the applicant.
        (iv) Denial of applications. If the Department denies an 
    application, it shall issue a letter notifying the applicant of its 
    decision and the reasons therefor.
        (v) Issuance of protective orders. If the Department issues a 
    protective order to a person described in Sec. 356.9(b), that person 
    shall immediately file four copies of the protective order with the 
    United States section of the Secretariat and shall serve one copy of 
    the order on each participant, other than the investigating authority, 
    in accordance with paragraphs (b)(4) (ii) and (iii) of this section.
        (3) Persons described in Sec. 356.9 (d) or (g) (Secretaries, etc., 
    or court reporters, etc.). Upon receipt by the Department of an 
    application from a person described in Sec. 356.9 (d) or (g), the 
    Department will issue a protective order authorizing disclosure of 
    proprietary information to the applicant. The Department shall transmit 
    the original and four copies of the protective order to the United 
    States section of the Secretariat.
        (4) Persons described in Sec. 356.9 (e) or (f) (designated 
    Government officials). (i) Upon receipt by the Department of an 
    application from a person described in Sec. 356.9 (e) or (f), the 
    Department will issue a protective order authorizing disclosure of 
    proprietary information included in the record of the panel review at 
    issue. The Department shall transmit the original and four copies of 
    the protective order to the United States section of the Secretariat 
    which, in turn, shall transmit the original to the applicant and serve 
    one copy of the document on each participant, other than the 
    investigating authority, in accordance with paragraphs (b)(4) (ii) and 
    (iii) of this section.
        (d) Modification or revocation of protective orders--(1) 
    Notification. If any person believes that changed conditions of fact or 
    law, or the public interest, may require that a protective order issued 
    pursuant to paragraph (c) of this section be modified or revoked, in 
    whole or in part, such person may notify the Department in writing. The 
    notification shall state the changes desired and the changed 
    circumstances warranting such action and shall include materials and 
    argument in support thereof. Such notification shall be served by the 
    person submitting it upon the person to whom the protective order was 
    issued. Responses to the notification may be filed within 20 days after 
    the notification is filed unless the Department indicates otherwise. 
    The Department may also consider such action on its own initiative.
        (2) Issuance of modification or revocation. If the Department 
    modifies or revokes a protective order pursuant to paragraph (d) of 
    this section, the Department shall transmit the original and four 
    copies of the modification or Notice of Revocation to the United States 
    section of the Secretariat which, in turn, shall transmit the original 
    to the person to whom the protective order was issued and serve one 
    copy on each participant, other than the investigating authority, in 
    accordance with paragraphs (b)(4) (ii) and (iii) of this section.
    
    
    Sec. 356.11  Procedures for obtaining access to privileged information.
    
        (a) Persons who may apply for access to privileged information 
    under protective order and filing of applications--(1) Panelists. (i) 
    If a panel decides that in camera examination of a document containing 
    privileged information in an administrative record is necessary in 
    order for the panel to determine whether the document, or portions 
    thereof, should be disclosed under a Protective Order for Privileged 
    Information, each panelist who is to conduct the in camera review, 
    pursuant to the rules of procedure adopted by the United States and the 
    free trade area countries to implement Article 1904 of the Agreement, 
    shall submit an application for disclosure of the privileged 
    information under Protective Order for Privileged Information to the 
    United States section of the Secretariat for filing with the 
    Department; and
        (ii) If a panel orders disclosure of a document containing 
    privileged information, any panelist who has not filed an application 
    pursuant to paragraph (a)(1)(i) of this section shall submit an 
    application for disclosure of the privileged information under a 
    Protective Order for Privileged Information to the United States 
    section of the Secretariat for filing with the Department.
        (2) Designated officials of the United States Government. Where, in 
    the course of a panel review, the panel has reviewed privileged 
    information under a Protective Order for Privileged Information, and 
    the issue to which such information pertains is relevant to the 
    evaluation of whether the United States should request an extraordinary 
    challenge committee, each official of the United States Government 
    (other than an officer or employee of the investigating authority that 
    issued the final determination subject to review) whom the United 
    States Trade Representative informs the Department requires access for 
    the purpose of such evaluation shall file the completed original and 
    five copies of an application for a Protective Order for Privileged 
    Information with the United States section of the Secretariat which, in 
    turn, shall submit the original and one copy of the application to the 
    Department.
        (3) Designated officials of the government of a FTA country. Where, 
    in the course of a panel review, the panel has reviewed privileged 
    information under a Protective Order for Privileged Information, and 
    the issue to which such information pertains is relevant to the 
    evaluation of whether the Government of an involved FTA country should 
    request an extraordinary challenge committee, each official of the 
    Government of the involved FTA country whom an authorized agency of the 
    involved FTA country informs the Department requires access for the 
    purpose of such evaluation shall file the completed original and five 
    copies of an application for a Protective Order for Privileged 
    Information with the United States section of the Secretariat which, in 
    turn, shall submit the original and one copy of the application to the 
    Department.
        (4) Members of an extraordinary challenge committee. Where an 
    extraordinary challenge record contains privileged information and a 
    Protective Order for Privileged Information was issued to counsel or 
    professionals representing participants in the panel review at issue, 
    each member of the extraordinary challenge committee shall submit an 
    application for a Protective Order for Privileged Information to the 
    United States section of the Secretariat for filing with the 
    Department.
        (5) Counsel or a professional under the direction or control of 
    counsel. If the panel decides, in accordance with the Article 1904 
    Rules, that disclosure of a document containing privileged information 
    is appropriate, a counsel or a professional under the direction or 
    control of counsel identified in such a decision as entitled to release 
    of information under a Protective Order for Privileged Information 
    shall submit an application for a Protective Order for Privileged 
    Information. Any such person shall:
        (i) File the completed original and five copies of an application 
    with the United States section of the Secretariat which, in turn, shall 
    submit the original and one copy of the application to the Department; 
    and
        (ii) As soon as the deadline fixed under the Article 1904 Panel 
    Rules for filing a Notice of Appearance in the panel review has passed, 
    shall serve a copy of the application on each participant, other than 
    the investigating authority, in accordance with paragraphs (b)(4) (ii) 
    and (iii) of this section.
        (6) Other designated persons. If the panel decides, in accordance 
    with the Article 1904 Panel Rules, that disclosure of a document 
    containing privileged information is appropriate, any person identified 
    in such a decision as entitled to release of information under a 
    Protective Order for Privileged Information, e.g., a Secretary, 
    Secretariat staff, court reporters, interpreters and translators, or a 
    member of the staff of a panelist or extraordinary challenge committee 
    member, shall submit an application for release under Protective Order 
    for Privileged Information to the United States section of the 
    Secretariat for filing with the Department.
        (b) Contents of applications for release under protective order for 
    privileged information. (1) The Department has adopted application 
    forms for disclosure of privileged information which are available from 
    the United States section of the Secretariat and the Central Records 
    Unit, room B-099, U.S. Department of Commerce, 14th and Constitution 
    Avenue NW., Washington, DC 20230. These forms may be amended from time 
    to time.
        (2) Such forms require the applicant for release of privileged 
    information under Protective Order for Privileged Information to submit 
    a personal sworn statement stating, in addition to such other 
    conditions as the Department may require, that the applicant shall:
        (i) Not disclose any privileged information obtained under 
    protective order to any person other than:
        (A) An official of the Department involved in the particular panel 
    review in which the privileged information is part of the record;
        (B) A person who has furnished a similar application and who has 
    been issued a Protective Order for Privileged Information concerning 
    the privileged information at issue; and
        (C) A person retained or employed by counsel, a professional, a 
    panelist or extraordinary challenge committee member who has been 
    issued a Protective Order for Privileged Information, such as a 
    paralegal, law clerk, or secretary, if such person has agreed to be 
    bound by the terms set forth in the application for Protective Order 
    for Privileged Information of the counsel, professional, panelist or 
    extraordinary challenge committee member by signing and dating the 
    completed application at the location indicated in such application;
        (ii) Use such information solely for purposes of the proceedings 
    under Article 1904 of the Agreement;
        (iii) Upon completion of the panel review, or at such earlier date 
    as may be determined by the Department, return to the Department or 
    certify to the Department the destruction of all documents released 
    under the Protective Order for Privileged Information and all other 
    documents containing the privileged information (such as briefs, notes, 
    or charts based on any such information received under the Protective 
    Order for Privileged Information); and
        (iv) Acknowledge that breach thereof may subject the signatory to 
    sanctions under Secs. 356.12 and 356.30.
        (c) Issuance of protective orders for privileged information.--(1) 
    Panelists, designated government officials and members of an 
    extraordinary challenge committee. (i) Upon receipt of an application 
    for protective order under this section from a panelist, designated 
    government official or member of an extraordinary challenge committee, 
    the Department shall issue a Protective Order for Privileged 
    Information. The Department shall transmit the original and four copies 
    of the protective order to the United States section of the Secretariat 
    which, in turn, shall transmit the original to the applicant and serve 
    one copy of the order on each participant, other than the investigating 
    authority, in accordance with Secs. 356.10(b)(4) (ii) and (iii).
        (ii) If the Department issues a Protective Order for Privileged 
    Information to a member of a binational panel or extraordinary 
    challenge proceeding initiated under the United States-Canada Free 
    Trade Agreement, that person must countersign the protective order and 
    return one copy of the countersigned protective order to the United 
    States section of the Secretariat.
        (2) Counsel or a professional under the direction or control of 
    counsel. Upon receipt of an application for protective order under this 
    section from a counsel or a professional under the direction or control 
    of counsel, the Department shall issue a Protective Order for 
    Privileged Information. If the Department issues a protective order to 
    such person, that person shall immediately file four copies of the 
    protective order with the United States section of the Secretariat and 
    shall serve one copy of the order on each participant, other than the 
    investigating authority, in accordance with Secs. 356.10(b)(4) (ii) and 
    (iii).
        (3) Other designated persons described paragraph (a)(6) of this 
    section. Upon receipt of an application for protective order under this 
    section from a designated person described in paragraph (a)(6) of this 
    section, the Department shall issue a Protective Order for Privileged 
    Information. The Department shall transmit the original and four copies 
    of the protective order to the United States section of the 
    Secretariat.
        (d) Modification or revocation of protective order for privileged 
    information.--(1) Notification. If any person believes that changed 
    conditions of fact or law, or the public interest, may require that a 
    Protective Order for Privileged Information be modified or revoked, in 
    whole or in part, such person may notify the Department in writing. The 
    notification shall state the changes desired and the changed 
    circumstances warranting such action and shall include materials and 
    argument in support thereof. Such notification shall be served by the 
    person submitting it upon the person to whom the Protective Order for 
    Privileged Information was issued. Responses to the notification may be 
    filed within 20 days after the notification is filed unless the 
    Department indicates otherwise. The Department may also consider such 
    action on its own initiative.
        (2) Issuance of modification or revocation. If the Department 
    modifies or revokes a Protective Order for Privileged Information 
    pursuant to paragraph (d) of this section, the Department shall 
    transmit the original and four copies of the modification or Notice of 
    Revocation to the United States section of the Secretariat which, in 
    turn, shall transmit the original to the person to whom the protective 
    order was issued and serve one copy on each participant, other than the 
    investigating authority, in accordance with Secs. 356.10(b)(4) (ii) and 
    (iii).
    
    Subpart D--Violation of a Protective Order or a Disclosure 
    Undertaking
    
    
    Sec. 356.12  Sanctions for violation of a protective order or 
    disclosure undertaking.
    
        (a) A person, other than a person exempted from this part by the 
    provisions of section 777f(f)(4) of the Act (19 U.S.C. 1677f(f)(4)), 
    determined under this part to have violated a protective order or a 
    disclosure undertaking may be subjected to any or all or the following 
    sanctions:
        (1) Liable to the United States for a civil penalty not to exceed 
    $100,000 for each violation;
        (2) Barred from appearing before the Department to represent 
    another for a designated time period from the date of publication in an 
    official publication of a notice that a violation has been determined 
    to exist;
        (3) Denied access to proprietary information for a designated time 
    period from the date of publication in an official publication of a 
    notice that a violation has been determined to exist;
        (4) Other appropriate administrative sanctions, including striking 
    from the record of the panel review any information or argument 
    submitted by, or on behalf of, the violating party or the party 
    represented by the violating party; terminating any proceeding then in 
    progress; or revoking any order then in effect; and
        (5) Required to return material previously provided by the 
    investigating authority, and all other materials containing the 
    proprietary information, such as briefs, notes, or charts based on any 
    such information received under a protective order or a disclosure 
    undertaking.
        (b) (1) The firm of which a person determined to have violated a 
    protective order or a disclosure undertaking is a partner, associate, 
    or employee; any partner, associate, employer, or employee of such 
    person; and any person represented by such person may be barred from 
    appearing before the Department for a designated time period from the 
    date of publication in an official publication of notice that a 
    violation has been determined to exist or may be subjected to the 
    sanctions set forth in paragraph (a) of this section, as appropriate.
        (2) Each person against whom sanctions are proposed under paragraph 
    (b)(1) of this section is entitled to all the administrative rights set 
    forth in this subpart separately and apart from rights provided to a 
    person subject to sanctions under paragraph (a) of this section, 
    including the right to a charging letter, right to representation, and 
    right to a hearing, but subject to joinder or consolidation by the 
    administrative law judge under Sec. 356.23(b).
    
    
    Sec. 356.13  Suspension of rules.
    
        Upon request by the Deputy Under Secretary, a charged or affected 
    party, or the APO Sanctions Board, the administrative law judge may 
    modify or waive any rule in this subpart upon determining that no party 
    will be unduly prejudiced and the ends of justice will thereby be 
    served and upon notice to all parties.
    
    
    Sec. 356.14  Report of violation and investigation.
    
        (a) An employee of the Department or any other person who has 
    information indicating that the terms of a protective order or a 
    disclosure undertaking have been violated will provide the information 
    to a Director or the Chief Counsel.
        (b) Upon receiving information which indicates that a person may 
    have violated the terms of a protective order or an undertaking, the 
    Director will conduct an investigation concerning whether there was a 
    violation of a protective order or a disclosure undertaking, and who 
    was responsible for the violation, if any. For purposes of this 
    subpart, the Director will be supervised by the Deputy Under Secretary 
    with guidance from the Chief Counsel. The Director will conduct an 
    investigation only if the information is received within 30 days after 
    the alleged violation occurred or, as determined by the Director, could 
    have been discovered through the exercise of reasonable and ordinary 
    care.
        (c) The Director will provide a report of the investigation to the 
    Deputy Under Secretary, after review by the Chief Counsel, no later 
    than 180 days after receiving information concerning a violation. Upon 
    the Director's request, and if extraordinary circumstances exist, the 
    Deputy Under Secretary may grant the Director up to an additional 180 
    days to conduct the investigation and submit the report.
        (d) The following examples of actions that constitute violations of 
    an administrative protective order shall serve as guidelines to each 
    person subject to a protective order. These examples do not represent 
    an exhaustive list. Evidence that one of the acts described in the 
    guidelines has been committed, however, shall be considered by the 
    Director as reasonable cause to believe a person has violated a 
    protective order within the meaning of Sec. 356.15.
        (1) Disclosure of proprietary information to any person not granted 
    access to that information by protective order, including an official 
    of the Department or member of the Secretariat staff not directly 
    involved with the panel review pursuant to which the proprietary 
    information was released, an employee of any other United States, 
    foreign government or international agency, or a member of the United 
    States Congress, the Canadian Parliament, or the Mexican Congress.
        (2) Failure to follow the detailed procedures outlined in the 
    protective order for safeguarding proprietary information, including 
    maintaining a log showing when each proprietary document is used, and 
    by whom, and requiring all employees who obtain access to proprietary 
    information (under the terms of a protective order granted their 
    employer) to sign and date a copy of that protective order.
        (3) Loss of proprietary information.
        (4) Failure to return or destroy all copies of the original 
    documents and all notes, memoranda, and submissions containing 
    proprietary information at the close of the proceeding for which the 
    data were obtained by burning or shredding of the documents or by 
    erasing electronic memory, computer disk, or tape memory, as set forth 
    in the protective order.
        (5) Failure to delete proprietary information from the public 
    version of a brief or other correspondence filed with the Secretariat.
        (6) Disclosure of proprietary information during a public hearing.
        (e) Each day of a continuing violation shall constitute a separate 
    violation.
    
    
    Sec. 356.15  Initiation of proceedings.
    
        (a) If the Deputy Under Secretary concludes, after an investigation 
    and report by the Director under Sec. 356.14(c) and consultation with 
    the Chief Counsel, that there is reasonable cause to believe that a 
    person has violated a protective order or a disclosure undertaking and 
    that sanctions are appropriate for the violation, the Deputy Under 
    Secretary will, at the Deputy Under Secretary's discretion, either 
    initiate a proceeding under this subpart by issuing a charging letter 
    as set forth in Sec. 356.16 or request that the authorized agency of 
    the involved FTA country initiate a proceeding by issuing a request to 
    charge as set forth in Sec. 356.17. In determining whether sanctions 
    are appropriate and, if so, what sanctions to impose, the Deputy Under 
    Secretary will consider the nature of the violation, the resulting 
    harm, and other relevant circumstances of the case. The Deputy Under 
    Secretary will decide whether to initiate a proceeding no later than 60 
    days after receiving a report of the investigation.
        (b) If the Department receives a request to charge from an 
    authorized agency of a FTA country, the Deputy Under Secretary will 
    promptly initiate proceedings under this part by issuing a charging 
    letter as set forth in Sec. 356.16.
    
    
    Sec. 356.16  Charging letter.
    
        (a) Contents of letter. The Deputy Under Secretary will initiate 
    proceedings by issuing a charging letter to each charged party and 
    affected party which includes:
        (1) A statement of the allegation that a protective order or a 
    disclosure undertaking has been violated and the basis thereof;
        (2) A statement of the proposed sanctions;
        (3) A statement that the charged or affected party is entitled to 
    review the documents or other physical evidence upon which the charge 
    is based and the method for requesting access to, or copies of, such 
    documents;
        (4) A statement that the charged or affected party is entitled to a 
    hearing before an administrative law judge if requested within 30 days 
    of the date of service of the charging letter and the procedure for 
    requesting a hearing, including the name, address, and telephone number 
    of the person to contact if there are further questions;
        (5) A statement that the charged or affected party has a right, if 
    a hearing is not requested, to submit documentary evidence to the 
    Deputy Under Secretary and an explanation of the method for submitting 
    evidence and the date by which it must be received; and
        (6) A statement that the charged or affected party has a right to 
    retain counsel at the party's own expense for purposes of 
    representation.
        (b) Settlement and amendment of the charging letter. The Deputy 
    Under Secretary may amend, supplement, or withdraw the charging letter 
    at any time with the approval of an administrative law judge if the 
    interests of justice would thereby be served. If a hearing has not been 
    requested, the Deputy Under Secretary will ask the Under Secretary to 
    appoint an administrative law judge to make this determination. If a 
    charging letter is withdrawn after a request for a hearing, the 
    administrative law judge will determine whether the withdrawal will bar 
    the Deputy Under Secretary from seeking sanctions at a later date for 
    the same alleged violation. If there has been no request for a hearing, 
    or if supporting information has not been submitted under Sec. 356.28, 
    the withdrawal will not bar future actions on the same alleged 
    violation. The Deputy Under Secretary and a charged or affected party 
    may settle a charge brought under this Subpart by mutual agreement at 
    any time after service of the charging letter; approval of the 
    administrative law judge or the APO Sanctions Board is not necessary.
        (c) Service of charging letter on a resident of the United States. 
    (1) Service of a charging letter on a United States resident will be 
    made by:
        (i) Mailing a copy by registered or certified mail addressed to the 
    charged or affected party at the party's last known address;
        (ii) Leaving a copy with the charged or affected party or with an 
    officer, a managing or general agent, or any other agent authorized by 
    appointment or by law to receive service for the party; or
        (iii) Leaving a copy with a person of suitable age and discretion 
    who resides at the party's last known dwelling.
        (2) Service made in the manner described in paragraph (c)(1) (ii) 
    or (iii) of this section shall be evidenced by a certificate of service 
    signed by the person making such service, stating the method of service 
    and the identity of the person with whom the charging letter was left.
        (d) Service of charging letter on a non-resident. If applicable 
    laws or intergovernmental agreements or understandings make the methods 
    of service set forth in paragraph (c) of this section inappropriate or 
    ineffective, service of the charging letter on a person who is not a 
    resident of the United States may be made by any method that is 
    permitted by the country in which the person resides and that, in the 
    opinion of the Deputy Under Secretary, satisfies due process 
    requirements under United States law with respect to notice in 
    administrative proceedings.
    
    
    Sec. 356.17  Request to charge.
    
        Upon deciding to initiate a proceeding pursuant to Sec. 356.15, the 
    Deputy Under Secretary will request the authorized agency of the 
    involved FTA country to initiate a proceeding for imposing sanctions 
    for violation of a protective order or a disclosure undertaking by 
    issuing a letter of request to charge that includes a statement of the 
    allegation that a protective order or a disclosure undertaking has been 
    violated and the basis thereof.
    
    
    Sec. 356.18  Interim sanctions.
    
        (a) If the Deputy Under Secretary concludes, after issuing a 
    charging letter under Sec. 356.16 and before a final decision is 
    rendered, that interim sanctions are necessary to protect the interests 
    of the Department, an authorized agency of the involved FTA country, or 
    others, including the protection of proprietary information, the Deputy 
    Under Secretary may petition an administrative law judge to impose such 
    sanctions.
        (b) The administrative law judge may impose interim sanctions 
    against a person upon determining that:
        (1) There is probable cause to believe that there was a violation 
    of a protective order or a disclosure undertaking and the Department is 
    likely to prevail in obtaining sanctions under this subpart;
        (2) The Department, authorized agency of the involved FTA country, 
    or others are likely to suffer irreparable harm if the interim 
    sanctions are not imposed; and
        (3) The interim sanctions are a reasonable means for protecting the 
    rights of the Department, authorized agency of the involved FTA 
    country, or others while preserving to the greatest extent possible the 
    rights of the person against whom the interim sanctions are proposed.
        (c) Interim sanctions which may be imposed include any sanctions 
    that are necessary to protect the rights of the Department, authorized 
    agency of the involved FTA country, or others, including, but not 
    limited to:
        (1) Denying a person further access to proprietary information;
        (2) Barring a person from representing another person before the 
    Department;
        (3) Barring a person from appearing before the Department; and
        (4) Requiring the person to return material previously provided by 
    the Department or the investigating authority of the involved FTA 
    country, and all other materials containing the proprietary 
    information, such as briefs, notes, or charts based on any such 
    information received under a protective order or disclosure 
    undertaking.
        (d) The Deputy Under Secretary will notify the person against whom 
    interim sanctions are sought of the request for interim sanctions and 
    provide to that person the material submitted to the administrative law 
    judge to support the request. The notice will include a reference to 
    the procedures of this section.
        (e) A person against whom interim sanctions are proposed has a 
    right to oppose the request through submission of material to the 
    administrative law judge. The administrative law judge has discretion 
    to permit oral presentations and to allow further submissions.
        (f) The administrative law judge will notify the parties of the 
    decision on interim sanctions and the basis therefor within five days 
    of the conclusion of oral presentations or the date of final written 
    submissions.
        (g) If interim sanctions have been imposed, the investigation and 
    any proceedings under this Subpart will be conducted on an expedited 
    basis.
        (h) An order imposing interim sanctions may be revoked at any time 
    by the administrative law judge and expires automatically upon the 
    issuance of a final order.
        (i) The administrative law judge may reconsider imposition of 
    interim sanctions on the basis of new and material evidence or other 
    good cause shown. The Deputy Under Secretary or a person against whom 
    interim sanctions have been imposed may appeal a decision on interim 
    sanctions to the APO Sanctions Board, if such an appeal is certified by 
    the administrative law judge as necessary to prevent undue harm to the 
    Department or authorized agency of the involved FTA country, a person 
    against whom interim sanctions have been imposed or others, or is 
    otherwise in the interests of justice. Interim sanctions which have 
    been imposed remain in effect while an appeal is pending, unless the 
    administrative law judge determines otherwise.
        (j) The Deputy Under Secretary may request an administrative law 
    judge to impose emergency interim sanctions to preserve the status quo. 
    Emergency interim sanctions may last no longer than 48 hours, excluding 
    weekends and holidays. The person against whom such emergency interim 
    sanctions are proposed need not be given prior notice or an opportunity 
    to oppose the request for sanctions. The administrative law judge may 
    impose emergency interim sanctions upon determining that the Department 
    or authorized agency of the involved FTA country is, or others are, 
    likely to suffer irreparable harm if such sanctions are not imposed and 
    that the interests of justice would thereby be served. The 
    administrative law judge will promptly notify a person against whom 
    emergency sanctions have been imposed of the sanctions and their 
    duration.
        (k) If a hearing has not been requested, the Deputy Under Secretary 
    will request that the Under Secretary appoint an administrative law 
    judge for making determinations under this section.
        (l) The Deputy Under Secretary will notify the Secretariat 
    concerning the imposition or revocation of interim sanctions or 
    emergency interim sanctions.
    
    
    Sec. 356.19  Request for a hearing.
    
        (a) Any party may request a hearing by submitting a written request 
    to the Under Secretary within 30 days after the date of service of the 
    charging letter. However, the Deputy Under Secretary may request a 
    hearing only if the interests of justice would thereby be served.
        (b) Upon timely receipt of a request for a hearing, the Under 
    Secretary will appoint an administrative law judge to conduct the 
    hearing and render an initial decision.
    
    
    Sec. 356.20  Discovery.
    
        (a) Voluntary discovery. All parties are encouraged to engage in 
    voluntary discovery procedures regarding any matter, not privileged, 
    which is relevant to the subject matter of the pending sanctions 
    proceeding.
        (b) Limitations on discovery. The administrative law judge shall 
    place such limits upon the kind or amount of discovery to be had or the 
    period of time during which discovery may be carried out as shall be 
    consistent with the time limitations set forth in this Part.
        (c) Interrogatories and requests for admissions or production of 
    documents. A party may serve on any other party interrogatories, 
    requests for admissions, or requests for production of documents for 
    inspection and copying, and the party may then apply to the 
    administrative law judge for such enforcement or protective order as 
    that party deems warranted concerning such discovery. The party will 
    serve a discovery request at least 20 days before the scheduled date of 
    a hearing, if a hearing has been requested and scheduled, unless the 
    administrative law judge specifies a shorter time period. Copies of 
    interrogatories, requests for admissions, and requests for production 
    of documents and responses thereto will be served on all parties. 
    Matters of fact or law of which admission is requested will be deemed 
    admitted unless, within a period designated in the request (at least 10 
    days after the date of service of the request, or within such further 
    time as the administrative law judge may allow), the party to whom the 
    request is directed serves upon the requesting party a sworn statement 
    either admitting or denying specifically the matters of which admission 
    is requested or setting forth in detail the reasons why the party 
    cannot truthfully either admit or deny such matters.
        (d) Depositions. Upon application of a party and for good cause 
    shown, the administrative law judge may order the taking of the 
    testimony of any person who is a party, or under the control or 
    authority of a party, by deposition and the production of specified 
    documents or materials by the person at the deposition. The application 
    shall state the purpose of the deposition and shall set forth the facts 
    sought to be established through the deposition.
        (e) Supplementation of responses. A party who has responded to a 
    request for discovery with a response that was complete when made is 
    under no duty to supplement the party's response to include information 
    thereafter acquired, except as follows:
        (1) A party is under a duty to seasonably supplement the party's 
    response with respect to any question directly addressed to:
        (i) The identity and location of persons having knowledge of 
    discoverable matters; and
        (ii) The identity of each person expected to be called as an expert 
    witness at a hearing, the subject matter on which the witness is 
    expected to testify, and the substance of the testimony.
        (2) A party is under a duty to seasonably amend a prior response if 
    the party obtains information upon the basis of which the party:
        (i) Knows the response was incorrect when made; or
        (ii) Knows that the response, though correct when made, is no 
    longer true, and the circumstances are such that a failure to amend the 
    response is in substance a knowing concealment.
        (3) A duty to supplement responses may be imposed by order of the 
    administrative law judge, agreement of the parties, or at any time 
    prior to a hearing through new requests for supplementation of prior 
    responses.
        (f) Enforcement. The administrative law judge may order a party to 
    answer designated questions, to produce specified documents or items, 
    or to take any other action in response to a proper discovery request. 
    If a party does not comply with such an order, the administrative law 
    judge may make any determination or enter any order in the proceedings 
    as the administrative law judge deems reasonable and appropriate. The 
    administrative law judge may strike related charges or defenses in 
    whole or in part, or may take particular facts relating to the 
    discovery request to which the party failed or refused to respond as 
    being established for purpose of the proceeding in accordance with the 
    contentions of the party seeking discovery. In issuing a discovery 
    order, the administrative law judge will consider the necessity to 
    protect proprietary information and will not order the release of 
    information in circumstances where it is reasonable to conclude that 
    such release will lead to unauthorized dissemination of such 
    information.
    
    
    Sec. 356.21  Subpoenas.
    
        (a) Application for issuance of a subpoena. An application for 
    issuance of a subpoena requiring a person to appear and depose or 
    testify at the taking of a deposition or at a hearing shall be made to 
    the administrative law judge. An application for issuance of a subpoena 
    requiring a person to appear and depose or testify and to produce 
    specified documents, papers, books, or other physical exhibits at the 
    taking of a deposition, at a prehearing conference, at a hearing, or 
    under any other circumstances, shall be made in writing to the 
    administrative law judge and shall specify the material to be produced 
    as precisely as possible, showing the general relevancy of the material 
    and the reasonableness of the scope of the subpoena.
        (b) Use of subpoena for discovery. Subpoenas may be used by any 
    party for purposes of discovery or for obtaining documents, papers, 
    books, or other physical exhibits for use in evidence, or for both 
    purposes. When used for discovery purposes, a subpoena may require a 
    person to produce and permit the inspection and copying of 
    nonprivileged documents, papers, books, or other physical exhibits 
    which constitute or contain evidence relevant to the subject matter 
    involved and which are in the possession, custody, or control of such 
    person.
        (c) Application for subpoenas for nonparty department records or 
    personnel or for records or personnel of other Government agencies. (1) 
    An application for issuance of a subpoena requiring the production of 
    nonparty documents, papers, books, physical exhibits, or other material 
    in the records of the Department, or requiring the appearance of an 
    official or employee of the Department, or requiring the production of 
    records or personnel of other Government agencies shall specify as 
    precisely as possible the material to be produced, the nature of the 
    information to be disclosed, or the expected testimony of the official 
    or employee, and shall contain a statement showing the general 
    relevancy of the material, information, or testimony and the 
    reasonableness of the scope of the application, together with a showing 
    that such material, information, or testimony or their substantial 
    equivalent could not be obtained without undue hardship by alternative 
    means.
        (2) Such applications shall be ruled upon by the administrative law 
    judge. To the extent that the motion is granted, the administrative law 
    judge shall provide such terms and conditions for the production of the 
    material, the disclosure of the information, or the appearance of the 
    official or employee as may appear necessary and appropriate for the 
    protection of the public interest.
        (3) No application for a subpoena for production of documents 
    grounded upon the Freedom of Information Act (5 U.S.C. 552) shall be 
    entertained by the administrative law judge.
        (d) Motion to limit or quash. Any motion to limit or quash a 
    subpoena shall be filed within 10 days after service thereof, or within 
    such other time as the administrative law judge may allow.
        (e) Ex parte rulings on applications for subpoenas. Applications 
    for the issuance of subpoenas pursuant to this section may be made ex 
    parte, and, if so made, such applications and rulings thereon shall 
    remain ex parte unless otherwise ordered by the administrative law 
    judge.
        (f) Role of the Under Secretary. If a hearing has not been 
    requested, the party seeking enforcement will ask the Under Secretary 
    to appoint an administrative law judge to rule on applications for 
    issuance of a subpoena under this section.
    
    
    Sec. 356.22  Prehearing conference.
    
        (a)(1) If an administrative hearing has been requested, the 
    administrative law judge will direct the parties to attend a prehearing 
    conference to consider:
        (i) Simplification of issues;
        (ii) Obtaining stipulations of fact and of documents to avoid 
    unnecessary proof;
        (iii) Settlement of the matter;
        (iv) Discovery; and
        (v) Such other matters as may expedite the disposition of the 
    proceedings.
        (2) Any relevant and significant stipulations or admissions will be 
    incorporated into the initial decision.
        (b) If a prehearing conference is impractical, the administrative 
    law judge will direct the parties to correspond with each other or to 
    confer by telephone or otherwise to achieve the purposes of such a 
    conference.
    
    
    Sec. 356.23  Hearing.
    
        (a) Scheduling of hearing. The administrative law judge will 
    schedule the hearing at a reasonable time, date, and place, which will 
    be in Washington, DC, unless the administrative law judge determines 
    otherwise based upon good cause shown, that another location would 
    better serve the interests of justice. In setting the date, the 
    administrative law judge will give due regard to the need for the 
    parties adequately to prepare for the hearing and the importance of 
    expeditiously resolving the matter.
        (b) Joinder or consolidation. The administrative law judge may 
    order joinder or consolidation if sanctions are proposed against more 
    than one party or if violations of more than one protective order or 
    disclosure undertaking are alleged if to do so would expedite 
    processing of the cases and not adversely affect the interests of the 
    parties.
        (c) Hearing procedures. Hearings will be conducted in a fair and 
    impartial manner by the administrative law judge, who may limit 
    attendance at any hearing or portion thereof if necessary or advisable 
    in order to protect proprietary information from improper disclosure. 
    The rules of evidence prevailing in courts of law shall not apply, and 
    all evidentiary material the administrative law judge determines to be 
    relevant and material to the proceeding and not unduly repetitious may 
    be received into evidence and given appropriate weight. The 
    administrative law judge may make such orders and determinations 
    regarding the admissibility of evidence, conduct of examination and 
    cross-examination, and similar matters as are necessary or appropriate 
    to ensure orderliness in the proceedings. The administrative law judge 
    will ensure that a record of the hearing will be taken by reporter or 
    by electronic recording, and will order such part of the record to be 
    sealed as is necessary to protect proprietary information.
        (d) Rights of parties. At a hearing each party shall have the right 
    to:
        (1) Introduce and examine witnesses and submit physical evidence;
        (2) Confront and cross-examine adverse witnesses;
        (3) Present oral argument; and
        (4) Receive a transcript or recording of the proceedings, upon 
    request, subject to the administrative law judge's orders regarding 
    sealing the record.
        (e) Representation. Each charged or affected party has a right to 
    represent himself or herself or to retain private counsel for that 
    purpose. The Chief Counsel will represent the Department, unless the 
    General Counsel of the Department determines otherwise. The 
    administrative law judge may disallow a representative if such 
    representation constitutes a conflict of interest or is otherwise not 
    in the interests of justice and may debar a representative for 
    contumacious conduct relating to the proceedings.
        (f) Ex parte communications. The parties and their representatives 
    may not make any ex parte communications to the administrative law 
    judge concerning the merits of the allegations or any matters at issue, 
    except as provided in Sec. 356.18(j) regarding emergency interim 
    sanctions.
    
    
    Sec. 356.24  Proceeding without a hearing.
    
        If no party has requested a hearing, the Deputy Under Secretary, 
    within 40 days after the date of service of a charging letter, will 
    submit for inclusion into the record and provide each charged or 
    affected party information supporting the allegations in the charging 
    letter. Each charged or affected party has the right to file a written 
    response to the information and supporting documentation within 30 days 
    after the date of service of the information provided by the Deputy 
    Under Secretary unless the Deputy Under Secretary alters the time 
    period for good cause. The Deputy Under Secretary may allow the parties 
    to submit further information and argument.
    
    
    Sec. 356.25  Witnesses.
    
        Witnesses summoned before the Department shall be paid the same 
    fees and mileage that are paid witnesses in the courts of the United 
    States.
    
    
    Sec. 356.26  Initial decision.
    
        (a) Initial decision. The administrative law judge, if a hearing 
    was requested, or the Deputy Under Secretary will submit an initial 
    decision to the APO Sanctions Board, providing copies to the parties. 
    The administrative law judge or the Deputy Under Secretary will 
    ordinarily issue the decision within 20 days of the conclusion of the 
    hearing, if one was held, or within 15 days of the date of service of 
    final written submissions. The initial decision will be based solely on 
    evidence received into the record and the pleadings of the parties.
        (b) Findings and conclusions. The initial decision will state 
    findings and conclusions as to whether a person has violated a 
    protective order or a disclosure undertaking; the basis for those 
    findings and conclusions; and whether the sanctions proposed in the 
    charging letter, or lesser included sanctions, should be imposed 
    against the charged or affected party. The administrative law judge or 
    the Deputy Under Secretary may impose sanctions only upon determining 
    that the preponderance of the evidence supports a finding of violation 
    of a protective order or a disclosure undertaking and that the 
    sanctions are warranted against the charged or affected party.
        (c) Finality of decision. If the APO Sanctions Board has not issued 
    a decision on the matter within 60 days after issuance of the initial 
    decision, the initial decision becomes the final decision of the 
    Department.
    
    
    Sec. 356.27  Final decision.
    
        (a) APO Sanctions Board. Upon request of a party, the initial 
    decision will be reviewed by the members of the APO Sanctions Board. 
    The Board consists of the Under Secretary for International Trade, who 
    shall serve as Chairperson, the Under Secretary for Economic Affairs, 
    and the General Counsel.
        (b) Comments on initial decision. Within 30 days after issuance of 
    the initial decision, a party may submit written comments to the APO 
    Sanctions Board on the initial decision, which the Board will consider 
    when reviewing the initial decision. The parties have no right to an 
    oral presentation, although the Board may allow oral argument in its 
    discretion.
        (c) Final decision by the APO Sanctions Board. Within 60 days but 
    not sooner than 30 days after issuance of an initial decision, the APO 
    Sanctions Board may issue a final decision which adopts the initial 
    decision in its entirety; differs in whole or in part from the initial 
    decision, including the imposition of lesser included sanctions; or 
    remands the matter to the administrative law judge or the Deputy Under 
    Secretary for further consideration. The only sanctions that the Board 
    can impose are those sanctions proposed in the charging letter or 
    lesser included sanctions.
        (d) Content's of final decision. If the final decision of the APO 
    Sanctions Board does not remand the matter and differs from the initial 
    decision, it will state findings and conclusions which differ from the 
    initial decision, if any, the basis for those findings and conclusions, 
    and the sanctions which are to be imposed, to the extent they differ 
    from the sanctions in the initial decision.
        (e) Public notice of sanctions. If the final decision is that there 
    has been a violation of a protective order or a disclosure undertaking 
    and that sanctions are to be imposed, notice of the decision will be 
    published in the Federal Register and forwarded to the United States 
    section of the Secretariat. Such publication will be no sooner than 30 
    days after issuance of a final decision or after a motion to reconsider 
    has been denied, if such a motion was filed. If the final decision is 
    made in a proceeding based upon a request to charge by an authorized 
    agency of an FTA country, the decision will be forwarded to the 
    Secretariat of the involved FTA country for transmittal to the 
    authorized agency of the FTA country for publication in the official 
    publication or other appropriate action. The Deputy Under Secretary 
    will also provide such information to the ethics panel or other 
    disciplinary body of the appropriate bar associations or other 
    professional associations whenever the Deputy Under Secretary subjects 
    a charged or affected party to a sanction under Sec. 356.12(a)(2) and 
    to any Federal agency likely to have an interest in the matter and will 
    cooperate in any disciplinary actions by any association or agency.
    
    
    Sec. 356.28  Reconsideration.
    
        Any party may file a motion for reconsideration with the APO 
    Sanctions Board. The party must state with particularity the grounds 
    for the motion, including any facts or points of law which the party 
    claims the APO Sanctions Board has overlooked or misapplied. The party 
    may file the motion within 30 days of the issuance of the final 
    decision or the adoption of the initial decision as the final decision, 
    except that if the motion is based on the discovery of new and material 
    evidence which was not known, and could not reasonably have been 
    discovered through due diligence prior to the close of the record, the 
    party shall file the motion within 15 days of the discovery of the new 
    and material evidence. The party shall provide a copy of the motion to 
    all other parties. Opposing parties may file a response within 30 days 
    of the date of service of the motion. The response shall be considered 
    as part of the record. The parties have no right to an oral 
    presentation on a motion for reconsideration, but the Board may permit 
    oral argument at its discretion. If the motion to reconsider is 
    granted, the Board will review the record and affirm, modify, or 
    reverse the original decision or remand the matter for further 
    consideration to an administrative law judge or the Deputy Under 
    Secretary, as warranted.
    
    
    Sec. 356.29  Confidentiality.
    
        (a) All proceedings involving allegations of a violation of a 
    protective order or a disclosure undertaking shall be kept confidential 
    until such time as the Department makes a final decision under these 
    regulations, which is no longer subject to reconsideration, imposing a 
    sanction.
        (b) The charged party or counsel for the charged party will be, to 
    the extent possible, granted access to proprietary information in these 
    proceedings, as necessary, under administrative protective order, 
    consistent with the provisions of Sec. 356.10.
    
    
    Sec. 356.30  Sanctions for violations of a protective order for 
    privileged information.
    
        The provisions of this subpart shall apply to persons who are 
    alleged to have violated a Protective Order for Privileged Information.
    
        Dated: December 28, 1993.
    Jeffrey E. Garten,
    Under Secretary for International Trade.
    [FR Doc. 93-32063 Filed 12-30-93; 8:45 am]
    BILLING CODE 3510-DS-P
    
    
    

Document Information

Effective Date:
1/1/1994
Published:
01/03/1994
Department:
International Trade Administration
Entry Type:
Rule
Action:
Interim-final rule and request for comments.
Document Number:
93-32063
Dates:
These regulations take effect on January 1, 1994, or on the date that the Agreement enters into force if that date is subsequent to January 1, 1994. The International Trade Administration will publish a document giving notice of the effective date of these regulations if the effective date is not January 1, 1994.
Pages:
228-240 (13 pages)
Docket Numbers:
Federal Register: January 3, 1994
CFR: (31)
19 CFR 353.31(g)
19 CFR 356.1
19 CFR 356.2
19 CFR 356.3
19 CFR 356.4
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