CITE
15 USC Sec. 78dd-1 01/08/2008
EXPCITE
TITLE 15 - COMMERCE AND TRADE
CHAPTER 2B - SECURITIES EXCHANGES
HEAD
Sec. 78dd-1. Prohibited foreign trade practices by issuers
STATUTE
(a) Prohibition
It shall be unlawful for any issuer which has a class of
securities registered pursuant to section 78l of this title or
which is required to file reports under section 78o(d) of this
title, or for any officer, director, employee, or agent of such
issuer or any stockholder thereof acting on behalf of such issuer,
to make use of the mails or any means or instrumentality of
interstate commerce corruptly in furtherance of an offer, payment,
promise to pay, or authorization of the payment of any money, or
offer, gift, promise to give, or authorization of the giving of
anything of value to -
(1) any foreign official for purposes of -
(A)(i) influencing any act or decision of such foreign
official in his official capacity, (ii) inducing such foreign
official to do or omit to do any act in violation of the lawful
duty of such official, or (iii) securing any improper
advantage; or
(B) inducing such foreign official to use his influence with
a foreign government or instrumentality thereof to affect or
influence any act or decision of such government or
instrumentality,
in order to assist such issuer in obtaining or retaining business
for or with, or directing business to, any person;
(2) any foreign political party or official thereof or any
candidate for foreign political office for purposes of -
(A)(i) influencing any act or decision of such party,
official, or candidate in its or his official capacity, (ii)
inducing such party, official, or candidate to do or omit to do
an act in violation of the lawful duty of such party, official,
or candidate, or (iii) securing any improper advantage; or
(B) inducing such party, official, or candidate to use its or
his influence with a foreign government or instrumentality
thereof to affect or influence any act or decision of such
government or instrumentality,
in order to assist such issuer in obtaining or retaining business
for or with, or directing business to, any person; or
(3) any person, while knowing that all or a portion of such
money or thing of value will be offered, given, or promised,
directly or indirectly, to any foreign official, to any foreign
political party or official thereof, or to any candidate for
foreign political office, for purposes of -
(A)(i) influencing any act or decision of such foreign
official, political party, party official, or candidate in his
or its official capacity, (ii) inducing such foreign official,
political party, party official, or candidate to do or omit to
do any act in violation of the lawful duty of such foreign
official, political party, party official, or candidate, or
(iii) securing any improper advantage; or
(B) inducing such foreign official, political party, party
official, or candidate to use his or its influence with a
foreign government or instrumentality thereof to affect or
influence any act or decision of such government or
instrumentality,
in order to assist such issuer in obtaining or retaining business
for or with, or directing business to, any person.
(b) Exception for routine governmental action
Subsections (a) and (g) of this section shall not apply to any
facilitating or expediting payment to a foreign official, political
party, or party official the purpose of which is to expedite or to
secure the performance of a routine governmental action by a
foreign official, political party, or party official.
(c) Affirmative defenses
It shall be an affirmative defense to actions under subsection
(a) or (g) of this section that -
(1) the payment, gift, offer, or promise of anything of value
that was made, was lawful under the written laws and regulations
of the foreign official's, political party's, party official's,
or candidate's country; or
(2) the payment, gift, offer, or promise of anything of value
that was made, was a reasonable and bona fide expenditure, such
as travel and lodging expenses, incurred by or on behalf of a
foreign official, party, party official, or candidate and was
directly related to -
(A) the promotion, demonstration, or explanation of products
or services; or
(B) the execution or performance of a contract with a foreign
government or agency thereof.
(d) Guidelines by Attorney General
Not later than one year after August 23, 1988, the Attorney
General, after consultation with the Commission, the Secretary of
Commerce, the United States Trade Representative, the Secretary of
State, and the Secretary of the Treasury, and after obtaining the
views of all interested persons through public notice and comment
procedures, shall determine to what extent compliance with this
section would be enhanced and the business community would be
assisted by further clarification of the preceding provisions of
this section and may, based on such determination and to the extent
necessary and appropriate, issue -
(1) guidelines describing specific types of conduct, associated
with common types of export sales arrangements and business
contracts, which for purposes of the Department of Justice's
present enforcement policy, the Attorney General determines would
be in conformance with the preceding provisions of this section;
and
(2) general precautionary procedures which issuers may use on a
voluntary basis to conform their conduct to the Department of
Justice's present enforcement policy regarding the preceding
provisions of this section.
The Attorney General shall issue the guidelines and procedures
referred to in the preceding sentence in accordance with the
provisions of subchapter II of chapter 5 of title 5 and those
guidelines and procedures shall be subject to the provisions of
chapter 7 of that title.
(e) Opinions of Attorney General
(1) The Attorney General, after consultation with appropriate
departments and agencies of the United States and after obtaining
the views of all interested persons through public notice and
comment procedures, shall establish a procedure to provide
responses to specific inquiries by issuers concerning conformance
of their conduct with the Department of Justice's present
enforcement policy regarding the preceding provisions of this
section. The Attorney General shall, within 30 days after receiving
such a request, issue an opinion in response to that request. The
opinion shall state whether or not certain specified prospective
conduct would, for purposes of the Department of Justice's present
enforcement policy, violate the preceding provisions of this
section. Additional requests for opinions may be filed with the
Attorney General regarding other specified prospective conduct that
is beyond the scope of conduct specified in previous requests. In
any action brought under the applicable provisions of this section,
there shall be a rebuttable presumption that conduct, which is
specified in a request by an issuer and for which the Attorney
General has issued an opinion that such conduct is in conformity
with the Department of Justice's present enforcement policy, is in
compliance with the preceding provisions of this section. Such a
presumption may be rebutted by a preponderance of the evidence. In
considering the presumption for purposes of this paragraph, a court
shall weigh all relevant factors, including but not limited to
whether the information submitted to the Attorney General was
accurate and complete and whether it was within the scope of the
conduct specified in any request received by the Attorney General.
The Attorney General shall establish the procedure required by this
paragraph in accordance with the provisions of subchapter II of
chapter 5 of title 5 and that procedure shall be subject to the
provisions of chapter 7 of that title.
(2) Any document or other material which is provided to, received
by, or prepared in the Department of Justice or any other
department or agency of the United States in connection with a
request by an issuer under the procedure established under
paragraph (1), shall be exempt from disclosure under section 552 of
title 5 and shall not, except with the consent of the issuer, be
made publicly available, regardless of whether the Attorney General
responds to such a request or the issuer withdraws such request
before receiving a response.
(3) Any issuer who has made a request to the Attorney General
under paragraph (1) may withdraw such request prior to the time the
Attorney General issues an opinion in response to such request. Any
request so withdrawn shall have no force or effect.
(4) The Attorney General shall, to the maximum extent
practicable, provide timely guidance concerning the Department of
Justice's present enforcement policy with respect to the preceding
provisions of this section to potential exporters and small
businesses that are unable to obtain specialized counsel on issues
pertaining to such provisions. Such guidance shall be limited to
responses to requests under paragraph (1) concerning conformity of
specified prospective conduct with the Department of Justice's
present enforcement policy regarding the preceding provisions of
this section and general explanations of compliance
responsibilities and of potential liabilities under the preceding
provisions of this section.
(f) Definitions
For purposes of this section:
(1)(A) The term "foreign official" means any officer or
employee of a foreign government or any department, agency, or
instrumentality thereof, or of a public international
organization, or any person acting in an official capacity for or
on behalf of any such government or department, agency, or
instrumentality, or for or on behalf of any such public
international organization.
(B) For purposes of subparagraph (A), the term "public
international organization" means -
(i) an organization that is designated by Executive order
pursuant to section 288 of title 22; or
(ii) any other international organization that is designated
by the President by Executive order for the purposes of this
section, effective as of the date of publication of such order
in the Federal Register.
(2)(A) A person's state of mind is "knowing" with respect to
conduct, a circumstance, or a result if -
(i) such person is aware that such person is engaging in such
conduct, that such circumstance exists, or that such result is
substantially certain to occur; or
(ii) such person has a firm belief that such circumstance
exists or that such result is substantially certain to occur.
(B) When knowledge of the existence of a particular
circumstance is required for an offense, such knowledge is
established if a person is aware of a high probability of the
existence of such circumstance, unless the person actually
believes that such circumstance does not exist.
(3)(A) The term "routine governmental action" means only an
action which is ordinarily and commonly performed by a foreign
official in -
(i) obtaining permits, licenses, or other official documents
to qualify a person to do business in a foreign country;
(ii) processing governmental papers, such as visas and work
orders;
(iii) providing police protection, mail pick-up and delivery,
or scheduling inspections associated with contract performance
or inspections related to transit of goods across country;
(iv) providing phone service, power and water supply, loading
and unloading cargo, or protecting perishable products or
commodities from deterioration; or
(v) actions of a similar nature.
(B) The term "routine governmental action" does not include any
decision by a foreign official whether, or on what terms, to
award new business to or to continue business with a particular
party, or any action taken by a foreign official involved in the
decisionmaking process to encourage a decision to award new
business to or continue business with a particular party.
(g) Alternative jurisdiction
(1) It shall also be unlawful for any issuer organized under the
laws of the United States, or a State, territory, possession, or
commonwealth of the United States or a political subdivision
thereof and which has a class of securities registered pursuant to
section 78l of this title or which is required to file reports
under section 78o(d) of this title, or for any United States person
that is an officer, director, employee, or agent of such issuer or
a stockholder thereof acting on behalf of such issuer, to corruptly
do any act outside the United States in furtherance of an offer,
payment, promise to pay, or authorization of the payment of any
money, or offer, gift, promise to give, or authorization of the
giving of anything of value to any of the persons or entities set
forth in paragraphs (1), (2), and (3) of subsection (a) of this
section for the purposes set forth therein, irrespective of whether
such issuer or such officer, director, employee, agent, or
stockholder makes use of the mails or any means or instrumentality
of interstate commerce in furtherance of such offer, gift, payment,
promise, or authorization.
(2) As used in this subsection, the term "United States person"
means a national of the United States (as defined in section 1101
of title 8) or any corporation, partnership, association, joint-
stock company, business trust, unincorporated organization, or
sole proprietorship organized under the laws of the United States
or any State, territory, possession, or commonwealth of the United
States, or any political subdivision thereof.
SOURCE
(June 6, 1934, ch. 404, title I, Sec. 30A, as added Pub. L. 95-213,
title I, Sec. 103(a), Dec. 19, 1977, 91 Stat. 1495; amended Pub. L.
100-418, title V, Sec. 5003(a), Aug. 23, 1988, 102 Stat. 1415; Pub.
L. 105-366, Sec. 2(a)-(c), Nov. 10, 1998, 112 Stat. 3302, 3303.)
AMENDMENTS
1998 - Subsec. (a)(1)(A). Pub. L. 105-366, Sec. 2(a)(1), amended
subpar. (A) generally. Prior to amendment, subpar. (A) read as
follows:
"(A)(i) influencing any act or decision of such foreign official
in his official capacity, or (ii) inducing such foreign official to
do or omit to do any act in violation of the lawful duty of such
official, or".
Subsec. (a)(2)(A). Pub. L. 105-366, Sec. 2(a)(2), amended subpar.
(A) generally. Prior to amendment, subpar. (A) read as follows:
"(A)(i) influencing any act or decision of such party, official,
or candidate in its or his official capacity, or (ii) inducing such
party, official, or candidate to do or omit to do an act in
violation of the lawful duty of such party, official, or
candidate,".
Subsec. (a)(3)(A). Pub. L. 105-366, Sec. 2(a)(3), amended subpar.
(A) generally. Prior to amendment, subpar. (A) read as follows:
"(A)(i) influencing any act or decision of such foreign official,
political party, party official, or candidate in his or its
official capacity, or (ii) inducing such foreign official,
political party, party official, or candidate to do or omit to do
any act in violation of the lawful duty of such foreign official,
political party, party official, or candidate, or".
Subsec. (b). Pub. L. 105-366, Sec. 2(c)(2), substituted
"Subsections (a) and (g)" for "Subsection (a)".
Subsec. (c). Pub. L. 105-366, Sec. 2(c)(3), substituted
"subsection (a) or (g)" for "subsection (a)".
Subsec. (f)(1). Pub. L. 105-366, Sec. 2(b), amended par. (1)
generally. Prior to amendment, par. (1) read as follows: "The term
'foreign official' means any officer or employee of a foreign
government or any department, agency, or instrumentality thereof,
or any person acting in an official capacity for or on behalf of
any such government or department, agency, or instrumentality."
Subsec. (g). Pub. L. 105-366, Sec. 2(c)(1), added subsec. (g).
1988 - Pub. L. 100-418 substituted "Prohibited foreign trade" for
"Foreign corrupt" in section catchline and amended text generally,
revising and restating provisions of subsec. (a) relating to
prohibitions, adding subsecs. (b) to (e), and redesignating
provisions of subsec. (b) relating to definitions as subsec. (f)
and amending those provisions generally.
TREATMENT OF INTERNATIONAL ORGANIZATIONS PROVIDING COMMERCIAL
COMMUNICATIONS SERVICES
Pub. L. 105-366, Sec. 5, Nov. 10, 1998, 112 Stat. 3309, provided
that:
"(a) Definition. - For purposes of this section:
"(1) International organization providing commercial
communications services. - The term 'international organization
providing commercial communications services' means -
"(A) the International Telecommunications Satellite
Organization established pursuant to the Agreement Relating to
the International Telecommunications Satellite Organization;
and
"(B) the International Mobile Satellite Organization
established pursuant to the Convention on the International
Maritime Satellite Organization.
"(2) Pro-competitive privatization. - The term 'pro-competitive
privatization' means a privatization that the President
determines to be consistent with the United States policy of
obtaining full and open competition to such organizations (or
their successors), and nondiscriminatory market access, in the
provision of satellite services.
"(b) Treatment as Public International Organizations. -
"(1) Treatment. - An international organization providing
commercial communications services shall be treated as a public
international organization for purposes of section 30A of the
Securities Exchange Act of 1934 (15 U.S.C. 78dd-1) and sections
104 and 104A of the Foreign Corrupt Practices Act of 1977 (15
U.S.C. 78dd-2 [and 78dd-3]) until such time as the President
certifies to the Committee on Commerce [now Committee on Energy
and Commerce] of the House of Representatives and the Committees
on Banking, Housing and Urban Affairs and Commerce, Science, and
Transportation that such international organization providing
commercial communications services has achieved a pro-competitive
privatization.
"(2) Limitation on effect of treatment. - The requirement for a
certification under paragraph (1), and any certification made
under such paragraph, shall not be construed to affect the
administration by the Federal Communications Commission of the
Communications Act of 1934 [47 U.S.C. 151 et seq.] in authorizing
the provision of services to, from, or within the United States
over space segment of the international satellite organizations,
or the privatized affiliates or successors thereof.
"(c) Extension of Legal Process. -
"(1) In general. - Except as required by international
agreements to which the United States is a party, an
international organization providing commercial communications
services, its officials and employees, and its records shall not
be accorded immunity from suit or legal process for any act or
omission taken in connection with such organization's capacity as
a provider, directly or indirectly, of commercial
telecommunications services to, from, or within the United
States.
"(2) No effect on personal liability. - Paragraph (1) shall not
affect any immunity from personal liability of any individual who
is an official or employee of an international organization
providing commercial communications services.
"(3) Effective date. - This subsection shall take effect on May
1, 1999.
"(d) Elimination or Limitation of Exceptions. -
"(1) Action required. - The President shall, in a manner that
is consistent with requirements in international agreements to
which the United States is a party, expeditiously take all
appropriate actions necessary to eliminate or to reduce
substantially all privileges and immunities that are accorded to
an international organization described in subparagraph (A) or
(B) of subsection (a)(1), its officials, its employees, or its
records, and that are not eliminated pursuant to subsection (c).
"(2) Designation of agreements. - The President shall designate
which agreements constitute international agreements to which the
United States is a party for purposes of this section.
"(e) Preservation of Law Enforcement and Intelligence Functions. -
Nothing in subsection (c) or (d) of this section shall affect any
immunity from suit or legal process of an international
organization providing commercial communications services, or the
privatized affiliates or successors thereof, for acts or omissions -
"(1) under chapter 119, 121, 206, or 601 of title 18, United
States Code, the Foreign Intelligence Surveillance Act of 1978
(50 U.S.C. 1801 et seq.), section 514 of the Comprehensive Drug
Abuse Prevention and Control Act of 1970 (21 U.S.C. 884), or Rule
104, 501, or 608 of the Federal Rules of Evidence [28 U.S.C.
App.];
"(2) under similar State laws providing protection to service
providers cooperating with law enforcement agencies pursuant to
State electronic surveillance or evidence laws, rules,
regulations, or procedures; or
"(3) pursuant to a court order.
"(f) Rules of Construction. -
"(1) Negotiations. - Nothing in this section shall affect the
President's existing constitutional authority regarding the time,
scope, and objectives of international negotiations.
"(2) Privatization. - Nothing in this section shall be
construed as legislative authorization for the privatization of
INTELSAT or Inmarsat, nor to increase the President's authority
with respect to negotiations concerning such privatization."
[Memorandum of President of the United States, Nov. 16, 1998, 63
F.R. 65997, delegated to Secretary of State functions and
authorities vested in the President by section 5(d)(2) of Pub. L.
105-366, set out above.]
ENFORCEMENT AND MONITORING
Pub. L. 105-366, Sec. 6, Nov. 10, 1998, 112 Stat. 3311, provided
that:
"(a) Reports Required. - Not later than July 1 of 1999 and each
of the 5 succeeding years, the Secretary of Commerce shall submit
to the House of Representatives and the Senate a report that
contains the following information with respect to implementation
of the Convention:
"(1) Ratification. - A list of the countries that have ratified
the Convention, the dates of ratification by such countries, and
the entry into force for each such country.
"(2) Domestic legislation. - A description of domestic laws
enacted by each party to the Convention that implement
commitments under the Convention, and assessment of the
compatibility of such laws with the Convention.
"(3) Enforcement. - As assessment of the measures taken by each
party to the Convention during the previous year to fulfill its
obligations under the Convention and achieve its object and
purpose including -
"(A) an assessment of the enforcement of the domestic laws
described in paragraph (2);
"(B) an assessment of the efforts by each such party to
promote public awareness of such domestic laws and the
achievement of such object and purpose; and
"(C) an assessment of the effectiveness, transparency, and
viability of the monitoring process for the Convention,
including its inclusion of input from the private sector and
nongovernmental organizations.
"(4) Laws prohibiting tax deduction of bribes. - An explanation
of the domestic laws enacted by each party to the Convention that
would prohibit the deduction of bribes in the computation of
domestic taxes.
"(5) New signatories. - A description of efforts to expand
international participation in the Convention by adding new
signatories to the Convention and by assuring that all countries
which are or become members of the Organization for Economic
Cooperation and Development are also parties to the Convention.
"(6) Subsequent efforts. - An assessment of the status of
efforts to strengthen the Convention by extending the
prohibitions contained in the Convention to cover bribes to
political parties, party officials, and candidates for political
office.
"(7) Advantages. - Advantages, in terms of immunities, market
access, or otherwise, in the countries or regions served by the
organizations described in section 5(a) [set out as a note
above], the reason for such advantages, and an assessment of
progress toward fulfilling the policy described in that section.
"(8) Bribery and transparency. - An assessment of anti-bribery
programs and transparency with respect to each of the
international organizations covered by this Act [enacting section
78dd-3 of this title, amending this section and sections 78dd-2
and 78ff of this title, and enacting provisions set out as notes
under this section].
"(9) Private sector review. - A description of the steps taken
to ensure full involvement of United States private sector
participants and representatives of nongovernmental organizations
in the monitoring and implementation of the Convention.
"(10) Additional information. - In consultation with the
private sector participants and representatives of
nongovernmental organizations described in paragraph (9), a list
of additional means for enlarging the scope of the Convention and
otherwise increasing its effectiveness. Such additional means
shall include, but not be limited to, improved recordkeeping
provisions and the desirability of expanding the applicability of
the Convention to additional individuals and organizations and
the impact on United States business of section 30A of the
Securities Exchange Act of 1934 [15 U.S.C. 78dd-1] and sections
104 and 104A of the Foreign Corrupt Practices Act of 1977 [15
U.S.C. 78dd-2, 78dd-3].
"(b) Definition. - For purposes of this section, the term
'Convention' means the Convention on Combating Bribery of Foreign
Public Officials in International Business Transactions adopted on
November 21, 1997, and signed on December 17, 1997, by the United
States and 32 other nations."
INTERNATIONAL AGREEMENTS CONCERNING ACTS PROHIBITED WITH RESPECT TO
ISSUERS AND DOMESTIC CONCERNS; REPORT TO CONGRESS
Section 5003(d) of Pub. L. 100-418 provided that:
"(1) Negotiations. - It is the sense of the Congress that the
President should pursue the negotiation of an international
agreement, among the members of the Organization of Economic
Cooperation and Development, to govern persons from those countries
concerning acts prohibited with respect to issuers and domestic
concerns by the amendments made by this section [amending sections
78dd-1, 78dd-2, and 78ff of this title]. Such international
agreement should include a process by which problems and conflicts
associated with such acts could be resolved.
"(2) Report to congress. - (A) Within 1 year after the date of
the enactment of this Act [Aug. 23, 1988], the President shall
submit to the Congress a report on -
"(i) the progress of the negotiations referred to in paragraph
(1),[;]
"(ii) those steps which the executive branch and the Congress
should consider taking in the event that these negotiations do
not successfully eliminate any competitive disadvantage of United
States businesses that results when persons from other countries
commit the acts described in paragraph (1); and
"(iii) possible actions that could be taken to promote
cooperation by other countries in international efforts to
prevent bribery of foreign officials, candidates, or parties in
third countries.
"(B) The President shall include in the report submitted under
subparagraph (A) -
"(i) any legislative recommendations necessary to give the
President the authority to take appropriate action to carry out
clauses (ii) and (iii) of subparagraph (A);
"(ii) an analysis of the potential effect on the interests of
the United States, including United States national security,
when persons from other countries commit the acts described in
paragraph (1); and
"(iii) an assessment of the current and future role of private
initiatives in curtailing such acts."
[For delegation of functions of the President under section
5003(d)(1) of Pub. L. 100-418 to the Secretary of State, see
section 3-101 of Ex. Ord. No. 12661, Dec. 27, 1988, 54 F.R. 779,
set out as a note under section 2901 of Title 19, Customs Duties.]
EXECUTIVE ORDER
EX. ORD. NO. 13259. DESIGNATION OF PUBLIC INTERNATIONAL
ORGANIZATIONS FOR PURPOSES OF THE SECURITIES EXCHANGE ACT OF 1934
AND THE FOREIGN CORRUPT PRACTICES ACT OF 1977
Ex. Ord. No. 13259, Mar. 19, 2002, 67 F.R. 13239, provided:
By the authority vested in me as President by the Constitution
and the laws of the United States of America, including section
30A(f)(1)(B)(ii) of the Securities Exchange Act of 1934 (15 U.S.C.
78dd-1(f)(1)(B)(ii)) and sections 104(h)(2)(B)(ii) and
104A(f)(2)(B)(ii) of the Foreign Corrupt Practices Act of 1977 (15
U.S.C. 78dd-2(h)(2)(B)(ii), 78dd-3(f)(2)(B)(ii)), I hereby
designate as "public international organizations" for the purposes
of application of section 30A of the Securities Exchange Act of
1934 and sections 104 and 104A of the Foreign Corrupt Practices Act
of 1977:
(a) The European Union, including: the European Communities (the
European Community, the European Coal & Steel Community, and the
European Atomic Energy Community); institutions of the European
Union, such as the European Commission, the Council of the European
Union, the European Parliament, the European Court of Justice, the
European Court of Auditors, the Economic and Social Committee, the
Committee of the Regions, the European Central Bank, and the
European Investment Bank; and any departments, agencies, and
instrumentalities thereof; and
(b) The European Police Office (Europol), including any
departments, agencies, and instrumentalities thereof.
Designation in this Executive Order is intended solely to further
the purposes of the statutes mentioned above and is not
determinative of whether an entity is a public international
organization for the purpose of other statutes or regulations.
George W. Bush.