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Document E2004C0015

2004/15/: EFTA Surveillance Authority Decision No 15/04/COL of 18 February 2004 amending for the forty-first time the Procedural and Substantive Rules in the Field of State Aid by introducing a new chapter 9C: Professional secrecy in State aid decisions

OJ L 154, 08/06/2006, p. 27–33 (ES, CS, DA, DE, ET, EL, EN, FR, IT, LV, LT, HU, NL, PL, PT, SK, SL, FI, SV)
OJ L 118M, 08/05/2007, p. 848–854 (MT)

Legal status of the document In force

ELI: http://data.europa.eu/eli/dec/2004/15(3)/oj

8.6.2006   

EN

Official Journal of the European Union

L 154/27


EFTA SURVEILLANCE AUTHORITY DECISION

No 15/04/COL

of 18 February 2004

amending for the forty-first time the Procedural and Substantive Rules in the Field of State Aid by introducing a new chapter 9C: Professional secrecy in State aid decisions

THE EFTA SURVEILLANCE AUTHORITY,

Having regard to the Agreement on the European Economic Area (1), in particular to Articles 61 to 63 and Protocol 26 thereof,

Having regard to the Agreement between the EFTA States on the establishment of a Surveillance Authority and a Court of Justice (2), in particular to Article 24, Article 5(2)(b) and Article 1 in Part I of Protocol 3 thereof (3),

Whereas under Article 24 of the Surveillance and Court Agreement, the EFTA Surveillance Authority shall give effect to the provisions of the EEA Agreement concerning State aid,

Whereas under Article 5(2)(b) of the Surveillance and Court Agreement, the EFTA Surveillance Authority shall issue notices or guidelines on matters dealt with in the EEA Agreement, if that Agreement or the Surveillance and Court Agreement expressly so provides or if the EFTA Surveillance Authority considers it necessary,

Recalling the Procedural and Substantive Rules in the Field of State Aid (4) adopted on 19 January 1994 by the EFTA Surveillance Authority,

Whereas the European Commission issued a new communication C(2003) 4582 on professional secrecy in State aid decisions on 1 December 2003  (5),

Whereas this communication is also of relevance for the European Economic Area,

Whereas a uniform application of the EEA State aid rules is to be ensured throughout the European Economic Area,

Whereas, according to point II under the heading ‘GENERAL’ at the end of Annex XV to the EEA Agreement, the EFTA Surveillance Authority is to adopt, after consultation with the Commission, acts corresponding to those adopted by the European Commission,

Having consulted the European Commission,

Recalling that the EFTA Surveillance Authority has consulted the EFTA States in a multilateral meeting on 3 February 2004 on the subject,

HAS ADOPTED THIS DECISION:

1.

The State Aid Guidelines shall be amended by adding a new Chapter 9C with the title ‘Professional secrecy in State aid decisions’.

2.

The new Chapter 9C to the State Aid Guidelines can be found in the Annex to this Decision.

3.

The EFTA States shall be informed by means of a letter, including a copy of this Decision and including the Annex.

4.

The European Commission shall be informed, in accordance with point (d) of Protocol 27 of the EEA Agreement, by means of a copy of this Decision, including the Annex.

5.

The Decision, including the Annex, shall be published in the EEA Section of and in the EEA Supplement to the Official Journal of the European Union.

6.

The Decision shall be authentic in the English language.

Done at Brussels, 18 February 2004.

For the EFTA Surveillance Authority

Hannes HAFSTEIN

President

Bernd HAMMERMANN

College Member


(1)  Hereinafter referred to as the EEA Agreement.

(2)  Hereinafter referred to as the Surveillance and Court Agreement.

(3)  It has to be noted that the amendments to Protocol 3 to the Surveillance and Court Agreement, following an agreement between EFTA States of 10.12.2001, amending Protocol 3 to the Agreement between the EFTA States on the Establishment of a Surveillance Authority and a Court of Justice, entered into force on 28.8.2003. These amendments incorporated ‘Council Regulation (EC) No 659/1999 of 22.3.1999, laying down detailed rules for the application of [ex] Article 93 of the EC Treaty’ into Protocol 3.

(4)  Guidelines on the application and interpretation of Articles 61 and 62 of the EEA Agreement and Article 1 of Protocol 3 to the Surveillance and Court Agreement, adopted and issued by the EFTA Surveillance Authority on 19.1.1994, OJ No L 231 of 3.9.1994, EEA Supplement No 32, last amended by the Authority's Decision No 198/03/COL of 5.11.2003, not yet published. Hereinafter referred to as the State Aid Guidelines.

(5)  Commission communication C(2003) 4582 of 1 December 2003 on professional secrecy in State aid decisions, published in OJ No C 297 of 9 December 2003, page 6.


ANNEX

9C.   PROFESSIONAL SECRECY IN STATE AID DECISIONS

9C.1.   Introduction

1.

This Communication sets out how the EFTA Surveillance Authority intends to deal with requests by EFTA States, as addressees of State Aid decisions, to consider parts of such decisions as covered by the obligation of professional secrecy and thus not to be disclosed when the decision is published.

2.

This involves two aspects, namely:

(a)

the identification of the information which might be covered by the obligation of professional secrecy; and

(b)

the procedure to be followed for dealing with such requests.

9C.2.   Legal framework

1.

Article 122 of the EEA Agreement, which corresponds in the wording to Article 287 of the EC Treaty, states that: ‘The representatives, delegates and experts of the Contracting Parties, as well as officials and other servants acting under this Agreement shall be required, even after their duties have ceased, not to disclose information of the kind covered by the obligation on professional secrecy, in particular information about undertakings, their business relations or their cost components’.

2.

This is also reflected in Articles 24 and 25 of Part II to Protocol 3 to the Surveillance and Court Agreement on the Functions and Powers of the EFTA Surveillance Authority in the field of State Aid (1).

3.

Article 16 of the Surveillance and Court Agreement states: ‘Decisions of the EFTA Surveillance Authority shall state the reasons on which they are based’.

4.

Article 6(1), first sentence of Protocol 3 to the Surveillance and Court Agreement further stipulates with regard to decisions to initiate the formal investigation procedures: ‘The decision to initiate the formal investigation procedure shall summarise the relevant issues of fact and law, shall include a preliminary assessment of the EFTA Surveillance Authority as to the aid character of the proposed measure and shall set out the doubts as to its compatibility with the common market […]’.

9C.3.   Identification of information which can be covered by professional secrecy

1.

The EC Court of Justice has established that although Article 287 of the EC Treaty primarily refers to information gathered from undertakings, the expression ‘in particular’ shows that the principle in question is a general one which applies also to other confidential information (2).

2.

It follows that professional secrecy covers both business secrets and other confidential information.

3.

There is no reason why the notions of business secret and other confidential information should be interpreted differently from the meaning given to these terms in the context of antitrust and merger procedures. The fact that in antitrust and merger procedures the addressees of the Authority decision are undertakings, while in State Aid procedures the addressees are EFTA States, does not constitute an obstacle to a uniform approach as to the identification of what can constitute business secrets or other confidential information.

9C.3.1.   Business secrets

1.

Business secrets can only concern information relating to a business which has actual or potential economic value, the disclosure or use of which could result in economic benefits for other companies. Typical examples are methods of assessing manufacturing and distribution costs, production secrets (that is to say, a secret, commercially valuable plan, formula, process or device that is used for the making, preparing, compounding, or processing of trade commodities and that can be said to be the end product of either innovation or substantial effort) and processes, supply sources, quantities produced and sold, market shares, customer and distributor lists, marketing plans, cost price structure, sales policy, and information on the internal organisation of the undertaking.

2.

It would appear that in principle business secrets can only relate to the beneficiary of the aid (or other third party) and can only concern information submitted by the EFTA State (or third party). Hence, statements from the Authority itself (for example, expressing doubts about feasibility of a restructuring plan) cannot be covered by the obligation of professional secrecy.

3.

The simple fact that disclosure of information might cause harm to the company is not of itself sufficient grounds to consider that such information should be considered as business secret. For example, a decision of the Authority to initiate the formal investigation procedure in the case of a restructuring aid may cast doubt on certain aspects of the restructuring plan in the light of information the Authority has received. Such a decision could (further) affect the credit-position of that company. However, that would not necessarily lead to the conclusion that the information on which that decision was based must be considered as business secrets.

4.

In general, the Authority will apply the following non-exhaustive list of criteria to determine whether information can be deemed to constitute business secrets:

(a)

the extent to which the information is known outside the company;

(b)

the extent to which measures have been taken to protect the information within the company, for example, through non-compete clauses or non-disclosure agreements imposed on employees or agents, etc;

(c)

the value of the information for the company and its competitors;

(d)

the effort or investment which the undertaking had to undertake to acquire the information;

(e)

the effort which others would need to undertake to acquire or copy the information;

(f)

the degree of protection offered to such information under the legislation of the EFTA State concerned.

5.

In principle, the Authority considers that the following information would not normally be covered by the obligation of professional secrecy:

(a)

information which is publicly available, including information available only upon payment through specialised information services or information which is common knowledge among specialists in the field (for example common knowledge among engineers or medical doctors). Likewise, turnover is not normally considered as a business secret, as it is a figure published in the annual accounts or otherwise known to the market. Reasons must be given for requests for confidentiality concerning turnover figures which are not in the public domain and the requests must be evaluated on a case-by-case basis. The fact that information is not publicly available does not necessarily mean that the information can be regarded as a business secret;

(b)

historical information, in particular information at least five years old;

(c)

statistical or aggregate information;

(d)

names of aid recipients, sector of activity, purpose and amount of the aid, etc.

6.

Detailed reasons must be given for any request to derogate from these principles in exceptional cases.

9C.3.2.   Other confidential information

1.

In antitrust and merger cases, confidential information includes certain types of information communicated to the Authority on condition that confidentiality is observed (for example a market study commissioned by an undertaking which is party to the procedure and forming part of its property). It seems that a similar approach could be retained for State Aid decisions.

2.

In the field of State Aid, there may, however, be some forms of confidential information, which would not necessarily be present in antitrust and merger procedures, referring specifically to secrets of the State or other confidential information relating to its organisational activity. Generally, in view of the Authority's obligation to state the reasons for its decisions and the transparency requirement, such information can only in very exceptional circumstances be covered by the obligation of professional secrecy. For example, information regarding the organisation and costs of public services will not normally be considered ‘other confidential information’ (although it may constitute a business secret, if the criteria laid down in section 9C. 3.1 are met).

9C.4.   Applicable procedure

9C.4.1.   General principles

1.

The Authority's main task is to reconcile two opposing obligations, namely the requirement to state the reasons for its decisions under Article 16 of the Surveillance and Court Agreement and therefore ensure that its decisions contain all the essential elements on which they are based, and that of safeguarding the obligation of professional secrecy.

2.

Besides the basic obligation to state the reasons for its decisions, the Authority has to take into account the need for effective application of the State Aid rules (inter alia, by giving EFTA States, beneficiaries and interested parties the possibility to comment on or challenge its decisions) and for transparency of its policy. There is therefore an overriding interest in making public the full substance of its decisions. As a general principle, requests for confidential treatment can only be granted where strictly necessary to protect business secrets or other confidential information meriting similar protection.

3.

Business secrets and other confidential information do not enjoy an absolute protection: this means for example that they could be divulged when they are essential for the Authority's statement of the reasons for its decisions. This means that information necessary for the identification of an aid measure and its beneficiary cannot normally be covered by the obligation of professional secrecy. Similarly, information necessary to demonstrate that the conditions of Article 61 of the EEA Agreement are met, cannot normally be covered by the obligation of professional secrecy. However, the Authority will have to consider carefully whether the need for publication is more important, given the specific circumstances of a case, than the prejudice that might be generated for that EFTA State or undertaking involved.

4.

The public version of a Authority decision can only feature deletions from the adopted version for reasons of professional secrecy. Paragraphs cannot be moved, and no sentence can be added or altered. Where the Authority considers that certain information cannot be disclosed, a footnote may be added, paraphrasing the non-disclosed information or indicating a range of magnitude or size, if useful to assure the comprehensibility and coherence of the decision.

5.

Requests not to disclose the full text of a decision or substantial parts of it which would undermine the understanding of the Authority's statement of reasons cannot be accepted.

6.

If there is a complainant involved, the Authority will take into account the complainant's interest in ascertaining the reasons why the Authority adopted a certain decision, without the need to have recourse to Court proceedings (3). Hence, requests by EFTA States for parts of the decision which address concerns of complainants to be covered by the obligation of professional secrecy will need to be particularly well reasoned and persuasive. On the other hand, the Authority will not normally be inclined to disclose information alleged to be of the kind covered by the obligation of professional secrecy where there is a suspicion that the complaint has been lodged primarily to obtain access to the information.

7.

EFTA States cannot invoke professional secrecy to refuse to provide information to the Authority which the Authority considers necessary for the examination of aid measures. In this respect, reference is made to the procedure set out in Protocol 3 to the Surveillance and Court Agreement (in particular Articles 2(2), 5, 10 and 16 in Part II of Protocol 3).

9C.4.2.   Procedure

1.

The Authority currently notifies its decisions to the EFTA State concerned without delay and gives the latter the opportunity to indicate, normally within a time period of 15 working days, which information it considers to be covered by the obligation of professional secrecy. This time period may be extended by agreement between the Authority and the EFTA State concerned.

2.

Where the EFTA State concerned does not indicate which information it considers to be covered by the obligation of professional secrecy within the period prescribed by the Authority, the decision will normally be disclosed in full.

3.

Where the EFTA State concerned wishes certain information to be covered by the obligation of professional secrecy, it must indicate the parts it considers to be covered and provide a justification in respect of each part for which non-disclosure is requested.

4.

The Authority will then examine the request from the EFTA State without delay. If the Authority does not accept that certain parts of the decision are covered by the obligation of professional secrecy, it will state the reasons why in its view those parts cannot be left out of the public version of the decision. In the absence of an acceptable justification by the EFTA State for its request (i.e. reasoning which is not manifestly irrelevant or manifestly wrong), the Authority need not further specify the reasons why those parts cannot be left out of the public version of the decision other than by referring to the absence of justification.

5.

If the Authority decides to accept that certain parts are covered by the obligation of professional secrecy without agreeing in full with the EFTA State's request, it will notify its decision with a new draft to the EFTA State indicating the parts which have been omitted. If the Authority accepts that the parts indicated by the EFTA State are covered by the obligation of professional secrecy, the text of the decision will be published pursuant to Article 26 in Part II of Protocol 3 to the Surveillance and Court Agreement, with the omission of the parts covered by the obligation of professional secrecy. Such omissions will be indicated in the text (4).

6.

The EFTA State will have 15 working days following receipt of the Authority's decision stating the reasons for its refusal to accept the non-disclosure of certain parts, to react and provide additional elements to justify its request.

7.

If the EFTA State concerned does not react further within the period prescribed by the Authority, the Authority will normally publish the decision as indicated in its reply to the original request made by the EFTA State.

8.

If the EFTA State concerned does submit any additional elements within the prescribed period, those elements will be examined by the Authority without delay. If the Authority accepts that the parts indicated by the EFTA State are covered by the obligation of professional secrecy, the text of the decision will be published as set out above.

9.

In the event that it is not possible to reach agreement, the Authority will proceed with the publication of its decision to initiate the formal investigation procedure forthwith. Such decisions must summarise the relevant issues of fact and law, include a preliminary assessment of the aid character of the proposed measure and set out the doubts as to its compatibility with the common market. Clearly certain essential information must be included in order to enable third parties and the other EFTA States to comment usefully. The duty of the Authority to provide such essential information will normally prevail over any claim to the protection of business secrets or other confidential information. Furthermore, it is in the interest of the beneficiary as well as interested parties to have access to such a decision as quickly as possible. Permitting any delay in this respect would jeopardise the process of State Aid control.

10.

In the event that it is not possible to reach agreement on requests for certain information in decisions not to raise objections and decisions to close the formal investigation procedure to be covered by the obligation of professional secrecy, the Authority will notify its final decision to the EFTA State together with the text it intends to publish, giving the EFTA State another 15 working days to react. In the absence of an answer which the Authority considers pertinent, the Authority will normally proceed with the publication of the text.

11.

The Authority is currently reviewing its State Aid notification forms. In order to avoid unnecessary correspondence with EFTA States and delay in the publication of decisions, it intends, in the future, to include in the form a question asking whether the notification contains information which should not be published, and the reasons for non-publication. Only if that question is answered in the affirmative will the Authority enter into correspondence with the EFTA State in respect of specific cases. Similarly, if additional information is required by the Authority, the EFTA State will have to indicate at the moment it provides the information requested whether such information should not be published, and the reasons for non-publication. If the Authority uses the information thus identified by the EFTA State in its decision, it will communicate the adopted decision to the EFTA State, stating the reasons why in its view these parts cannot be left out from the public version of the decision as laid down above.

12.

Once the Authority has decided what text it will publish and notified the EFTA State of its final decision, it is for the EFTA State to decide whether or not to make use of any judicial procedures available to it, including any interim measures, within the time-limits provided for in Article 36 of the Surveillance and Court Agreement.

9C.4.3.   Third parties

1.

Where third parties other than the EFTA State concerned (for example, complainants, other EFTA States or the beneficiary) submit information in the context of State Aid procedures, these guidelines will be applied mutatis mutandis.

9C.4.4.   Application in time

1.

These guidelines cannot establish binding legal rules and do not purport to do so. They merely set out in advance, in the interests of sound administration, the manner in which the Authority intends to address the issue of confidentiality in State Aid procedures. As a rule, if agreement cannot be reached, the Authority's decision to publish may be the subject of specific judicial review proceedings. As these guidelines merely pertain to procedural matters (and to a large extent set out existing practice), they will be applied with immediate effect, including for decisions not to raise objections (5) adopted before the entry into force of the amendments (6) to Protocol 3 to the Surveillance and Court Agreement to which third parties seek access.

(1)  It has to be noted that the amendments to Protocol 3 to the Surveillance and Court Agreement, following an agreement between EFTA States of 10.12.2001, amending Protocol 3 to the Agreement between the EFTA States on the Establishment of a Surveillance Authority and a Court of Justice, entered into force on 28.8.2003. These amendments incorporated ‘Council Regulation (EC) No 659/1999 of 22.3.1999, laying down detailed rules for the application of [ex] Article 93 of the EC Treaty’ into Protocol 3.

(2)  Case 145/83 Adams v Commission [1985] ECR 3539, para. 34, and Case T-353/94 Postbank v Commission [1996] ECR II-921, para. 86.

(3)  Case C-367/95 P Commission v Sytraval [ECR] 1998, I-1719, para. 64.

(4)  Using square brackets […] and indicating in a footnote ‘covered by the obligation of professional secrecy’.

(5)  Decisions to initiate the formal investigation procedure and final decisions adopted before that date were already published in the Official Journal of the European Communities (from the entry into force of the Nice Treaty renamed as Official Journal of the European Union), EEA Section. Prior to publication, EFTA States could indicate whether any information was covered by the obligation of professional secrecy.

(6)  See footnote 1.


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