Legislation – Energy Act 2023

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Introduction

Part 1
Licensing of carbon dioxide transport and storage

Chapter 1 Licensing of activities

General functions

1 Principal objectives and general duties of Secretary of State and economic regulator

Licensable activities

2 Prohibition on unlicensed activities

3 Consultation on proposals for additional activities to become licensable

4 Territorial scope of prohibition

5 Exemption from prohibition

6 Revocation or withdrawal of exemption

Grant and conditions of licences

7 Power to grant licences

8 Power to create licence types

9 Procedure for licence applications

10 Competitive tenders for licences

11 Conditions of licences: general

12 Standard conditions of licences

13 Modification of conditions of licences

14 Modification of conditions under section 13: supplementary

15 Modification by order under other enactments

Interim power of Secretary of State to grant licences

16 Interim power of Secretary of State to grant licences

Termination of licence

17 Termination of licence

Transfer of licences

18 Transfer of licences

19 Consenting to transfer

Appeal from decisions of the economic regulator

20 Appeal to the CMA

21 Procedure on appeal to CMA

22 Determination by CMA of appeal

23 CMA’s powers on allowing appeal

24 Time limits for CMA to determine an appeal

25 Determination of appeal by CMA: supplementary

Information

26 Provision of information to or by the economic regulator

27 Power of Secretary of State to require information

Other functions of the economic regulator

28 Monitoring, information gathering etc

29 Power to require information for purposes of monitoring

30 Duty to carry out impact assessment

31 Reasons for decisions

Enforcement

32 Enforcement of obligations of licence holders

False statements

33 Making of false statements etc

Criminal liability and procedure

34 Liability of officers of entities

35 Criminal proceedings

Chapter 2 Functions with respect to competition

36 Functions under the Enterprise Act 2002

37 Functions under the Competition Act 1998

38 Sections 36 and 37: supplementary

Chapter 3 Reporting requirements

39 Forward work programmes

40 Information in relation to CCUS strategy and policy statement

41 Annual report on transport and storage licensing functions

Chapter 4 Special administration regime

Transport and storage administration orders

42 Transport and storage administration orders

43 Objective of a transport and storage administration

Application and amendment of the Energy Act 2004

44 Application of certain provisions of the Energy Act 2004

45 Conduct of administration, transfer schemes etc

Licence modifications

46 Modification of conditions of licences

Powers to modify enactments

47 Modification under the Enterprise Act 2002

48 Power to make further modifications of insolvency legislation

Interpretation

49 Interpretation of Chapter 4

Chapter 5 Transfer schemes

50 Transfer schemes

51 Consultation in relation to transfers

52 Conduct of transfer schemes

Chapter 6 Miscellaneous and general

53 Cooperation of storage licensing authority with economic regulator

54 Amendments related to Part 1

55 Interpretation of Part 1

Part 2
Carbon dioxide capture, storage etc and hydrogen production, transport and storage

Chapter 1 Revenue support contracts

Key definitions

56 Chapter 1: interpretation

Provision of revenue support under certain contracts

57 Revenue support contracts

Duties of revenue support counterparty

58 Duties of revenue support counterparty

Carbon dioxide capture, storage etc and hydrogen production, transport and storage

59 Designation of carbon dioxide transport and storage counterparty

60 Direction to offer to contract with licence holder

Hydrogen transport

61 Designation of hydrogen transport counterparty

62 Direction to offer to contract with eligible hydrogen transport provider

Hydrogen storage

63 Designation of hydrogen storage counterparty

64 Direction to offer to contract with eligible hydrogen storage provider

Hydrogen production

65 Designation of hydrogen production counterparty

66 Direction to offer to contract with eligible low carbon hydrogen producer

Carbon capture

67 Designation of carbon capture counterparty

68 Direction to offer to contract with eligible carbon capture entity

Hydrogen levy

69 Appointment of hydrogen levy administrator

70 Obligations of relevant market participants

71 Payments to relevant market participants

72 Functions of hydrogen levy administrator

Allocation of contracts

73 Power to appoint allocation bodies

74 Standard terms of revenue support contracts

75 Allocation notifications

76 Allocation of contracts

77 Duty to offer to contract following allocation

78 Modification of standard terms

79 Sections 75 to 78: supplementary

80 Licence conditions regarding functions of certain allocation bodies

General provision about counterparties

81 Further provision about designations

82 Application of sums held by a revenue support counterparty

Information and advice

83 Information and advice

Enforcement

84 Enforcement

Consultation

85 Consultation

Transfer schemes

86 Transfer schemes

87 Modification of transfer schemes

General

88 Shadow directors, etc

89 Modifications of licences etc for purposes related to levy obligations

90 Electricity system operator and gas system planner licences: modifications

91 Sections 89 and 90: supplementary

Chapter 2 Decommissioning of carbon storage installations

Financing of costs of decommissioning etc

92 Financing of costs of decommissioning etc

93 Section 92: supplementary

94 Regulations under section 92(1): procedure with devolved authorities

Abandonment of carbon storage installations etc

95 Provisions relating to Part 4 of the Petroleum Act 1998

Change of use relief

96 Change of use relief: installations

97 Change of use relief: carbon storage network pipelines

98 Change of use relief: supplementary

Chapter 3 Strategy and policy statement

99 Designation of strategy and policy statement

100 Duties with regard to considerations in the statement

101 Review

102 Procedural requirements

Chapter 4 Carbon dioxide storage licences

103 Specified provisions in carbon dioxide storage licences

104 Content of storage permits under carbon dioxide storage licences

105 Offences relating to carbon dioxide storage licences

106 Power of OGA to require information about change in control of licence holder

Chapter 5 Carbon storage information and samples

Introductory

107 Chapter 5: key definitions

Requirements relating to information and samples

108 Retention of information and samples

109 Preparation and agreement of information and samples plans

110 Information and samples plans: supplementary

111 Information and samples coordinators

112 Power of OGA to require information and samples

113 Prohibition on disclosure of information or samples by OGA

114 Power of Secretary of State to require information and samples

Enforcement of sanctionable requirements

115 Power of OGA to give sanction notices

116 Enforcement notices

117 Financial penalty notices

118 Revocation notices

119 Operator removal notices

120 Duty of OGA to give sanction warning notices

121 Publication of details of sanctions

122 Subsequent sanction notices

123 Withdrawal of sanction notices

124 Sanctions: information powers

General

125 Appeals

126 Procedure for enforcement decisions

127 Interpretation of Chapter 5

Chapter 6 General

128 Access to infrastructure

129 Financial assistance

Part 3
Licensing of hydrogen pipeline projects

130 Key definitions for Part 3

131 Designation

132 Designation: procedure

133 Revocation of designation

134 Grant, extension or restriction of gas transporter licence by Secretary of State

135 Applications for grant etc of gas transporter licence

136 Modification of gas transporter licence by Secretary of State

137 Scope of modification powers under section 136

138 Procedure etc relating to modifications under section 136

139 Information and advice

140 Conditions of gas transporter licences for conveyance of hydrogen

141 Secretary of State directions to the GEMA

142 Repeal of Part 3

Part 4
New technology

Chapter 1 Low-carbon heat schemes

143 Low-carbon heat schemes

144 Application of scheme

145 Setting of targets etc

146 Further provision about scheme regulations

147 Administration of scheme

148 Enforcement, penalties and offences

149 Application of sums paid by virtue of section 146(4) or 148(3)

150 Appeals

151 Scheme regulations: procedure etc

152 Interpretation of Chapter 1

Chapter 2 Hydrogen grid conversion trials

153 Modifications of the gas code

154 Regulations for protection of consumers

Chapter 3 Miscellaneous

Hydrogen

155 Power to modify Gas Act 1986 in relation to hydrogen

Fusion energy

156 Fusion energy facilities: nuclear site licence not required

Renewable and sustainable fuel

157 Treatment of recycled carbon fuel and nuclear-derived fuel as renewable transport fuel

158 Revenue certainty scheme for sustainable aviation fuel producers: consultation and report

159 Renewable liquid heating fuel obligations

Removals of greenhouse gases

160 Climate Change Act 2008: meaning of “UK removals”

Part 5
Independent System Operator and Planner

161 The Independent System Operator and Planner (“the ISOP”)

162 Designation etc

163 Duty to promote particular objectives

164 Duty to have regard to particular matters

165 Duty to have regard to strategy and policy statement

166 Licensing of electricity system operator activity

167 Direction for transmission licence to have effect as electricity system operator licence

168 Licensing of gas system planning activity

169 Modification of licences etc

170 Procedure relating to modifications under section 169

171 Provision of advice, analysis or information

172 Power to require information from regulated persons etc

173 Duty to keep developments in energy sector under review

174 Transfers

175 Pension arrangements

176 Financial assistance for the ISOP

177 Cross-sectoral funding

178 Principal objective and general duties of Secretary of State and GEMA under Part 5

179 Minor and consequential amendments

180 Interpretation of Part 5

181 Regulations under Part 5

Part 6
Governance of gas and electricity industry codes

182 Designation of codes etc

183 Meaning of “code manager” and “code manager licence”

184 Designation of central systems

185 Licence under Gas Act 1986 for performance of code management function

186 Licence under Electricity Act 1989 for performance of code management function

187 Selection of code manager

188 Selection on a non-competitive basis

189 Selection on a competitive basis

190 Strategic direction statement

191 Transfer of functions under section 190 to Independent System Operator and Planner

192 Modification of designated documents by GEMA

193 Modification under section 192

194 Directions relating to designated central systems

195 Directions under section 194

196 Principal objective and general duties of Secretary of State and GEMA under Part 6

197 GEMA’s annual report to cover matters relating to designated documents

198 Regulations under Part 6

199 Interpretation of Part 6

200 Transitional provision and pension arrangements

201 Minor and consequential amendments

Part 7
Market reform and consumer protection

202 Principal objectives of Secretary of State and GEMA

203 Competitive tenders for electricity projects

204 Mergers of energy network enterprises

205 Licence required for operation of multi-purpose interconnector

206 Standard conditions for MPI licences

207 Operation of multi-purpose interconnectors: independence

208 Grant of MPI licences to existing operators

209 Power to make consequential etc provision

210 Consequential amendments relating to multi-purpose interconnectors

211 Electricity support payments for energy-intensive industries

212 Levy to fund electricity support payments

213 Electricity storage

214 Payment as alternative to complying with certain energy company obligations

215 Smart meters: extension of time for exercise of powers

Part 8
Heat networks

Chapter 1 Regulation of heat networks

216 Relevant heat network

217 The Regulator

218 Alternative dispute resolution for consumer disputes

219 Heat networks regulations

220 Regulations made by Secretary of State: consultation with devolved authorities

221 Heat networks regulations: other provision about procedure

222 Recovery of costs by GEMA and NIAUR

223 Heat networks: licensing authority in Scotland

224 Heat networks: enforcement in Scotland

225 Interpretation of Chapter 1

Chapter 2 Heat network zones

Zones regulations

226 Regulations about heat network zones

Heat Network Zones Authority and zone coordinators

227 Heat Network Zones Authority

228 Zone coordinators

Identification, designation and review of zones

229 Identification, designation and review of zones

230 Zoning methodology

231 Requests for information in connection with section 229 or 230

Heat networks within zones

232 Heat networks within zones

233 Delivery of district heat networks within zones

Enforcement

234 Enforcement of heat network zone requirements

235 Penalties

Records, information and reporting

236 Records, information and reporting

Interpretation

237 Interpretation of Chapter 2

Part 9
Energy smart appliances and load control

Chapter 1 Introductory

238 Energy smart appliances and load control

Chapter 2 Energy smart appliances

239 Energy smart regulations

240 Prohibitions and requirements: supplemental

241 Enforcement

242 Sanctions, offences and recovery of costs

243 Appeals against enforcement action

244 Regulations: procedure and supplemental

Chapter 3 Licensing of load control

245 Power to amend licence conditions etc: load control

246 Power to amend licence conditions etc: procedure

247 Load control: supplemental

248 Application of general duties to functions relating to load control

249 Licensing of activities relating to load control

Part 10
Energy performance of premises

250 Power to make energy performance regulations

251 Energy performance regulations relating to new premises

252 Sanctions

253 Regulations under Part 10

Part 11
Energy Savings Opportunity Schemes

254 Energy savings opportunity schemes

255 Application of energy savings opportunity schemes

256 Requirement for assessment of energy consumption

257 Assessors

258 ESOS action plans

259 Action to achieve energy savings or emissions reductions

260 Scheme administration

261 Enforcement, penalties and offences

262 Appeals

263 ESOS regulations: procedure etc

264 Directions to scheme administrators

265 Financial assistance to scheme administrators and participants

266 Interpretation of Part 11

Part 12
Core fuel sector resilience

Chapter 1 Introduction

267 General objective

268 “Core fuel sector activity” and other key concepts

Chapter 2 Powers for resilience purposes

Directions

269 Directions to particular core fuel sector participants

270 Procedure for giving directions

271 Offence of failure to comply with a direction

Corresponding powers to make regulations

272 Corresponding powers to make regulations

Information

273 Power to require information

274 Duty to report incidents

275 Contravention of requirement under section 273 or 274

276 Provision of information at specified intervals

277 Disclosure of information held by the Secretary of State

278 Disclosure of information by HMRC

Appeal against notice or direction

279 Appeal against notice or direction

Chapter 3 Enforcement

Offences

280 False statements etc

281 Offences under regulations

282 Proceedings for offences

283 Liability of officers of entities

Enforcement undertakings

284 Enforcement undertakings

Guidance

285 Guidance: criminal and civil sanctions

286 Guidance: Parliamentary scrutiny

Chapter 4 General

Financial assistance

287 Financial assistance for resilience and continuity purposes

Power to amend thresholds

288 Power to amend thresholds

Interpretation of Part 12

289 Interpretation of Part 12

Part 13
Offshore wind electricity generation, oil and gas

Chapter 1 Offshore wind electricity generation

290 Meaning of “relevant offshore wind activity”

291 Strategic compensation for adverse environmental effects

292 Marine recovery fund

293 Assessment of environmental effects etc

294 Regulations under section 293: consultation and procedure

295 Interpretation of Chapter 1

Chapter 2 Oil and Gas

Environmental protection

296 Arrangements for responding to marine oil pollution

297 Habitats: reducing effects of offshore oil or gas activities etc

298 Regulations under sections 296 and 297: procedure with devolved authorities

Decommissioning: charging

299 Charges in connection with abandonment of offshore installations

Change in control of licensee

300 Model clauses of petroleum licences

301 Power of OGA to require information about change in control of licensee

Part 14
Civil nuclear sector

Chapter 1 Civil nuclear sites

302 Application to the territorial sea of requirement for nuclear site licence

303 Decommissioning of nuclear sites etc

304 Excluded disposal sites

305 Accession to Convention on Supplementary Compensation for Nuclear Damage

306 Power to implement Convention on Supplementary Compensation for Nuclear Damage

Chapter 2 Civil Nuclear Constabulary

307 Provision of additional police services

308 Provision of assistance to other forces

309 Cross-border enforcement powers

310 Publication of three-year strategy plan

Chapter 3 Relevant nuclear pension schemes

311 Civil nuclear industry: amendment of relevant nuclear pension schemes

312 Meaning of “relevant nuclear pension scheme”

313 Information

314 Further definitions

315 Application of relevant pensions legislation

316 Procedure for regulations under Chapter 3

Chapter 4 Great British Nuclear

Great British Nuclear: designation, status and objects

317 Great British Nuclear

318 Crown status

319 Great British Nuclear’s objects

Financial assistance and directions etc

320 Financial assistance

321 Secretary of State directions and guidance

Annual report and accounts

322 Annual report

323 Annual accounts

Transfers and pension arrangements etc

324 Transfer schemes

325 Transfer schemes: compensation

326 Transfer schemes: taxation

327 Transfer schemes: provision of information or assistance

328 Reimbursement and compensation in connection with designation

329 Pension arrangements in connection with Great British Nuclear

Part 15
General

330 Power to make consequential provision

331 Regulations

332 General definitions

333 Extent

334 Commencement

335 Short title

SCHEDULES

Schedule 1 Interim power of Secretary of State to grant licences

Schedule 2 Procedure for appeals under section 20

Schedule 3 Enforcement of obligations of licence holders

Schedule 4 Transfer schemes

Schedule 5 Amendments related to Part 1

Schedule 6 Carbon dioxide storage licences: licence provisions

Schedule 7 Permitted disclosures of material obtained by OGA

Schedule 8 Carbon storage information and samples: appeals

Schedule 9 Independent System Operator and Planner: transfers

Schedule 10 Independent System Operator and Planner: pensions

Schedule 11 Minor and consequential amendments relating to Part 5

Schedule 12 Governance of gas and electricity industry codes: transitional provision

Schedule 13 Governance of gas and electricity industry codes: pensions

Schedule 14 Minor and consequential amendments relating to Part 6

Schedule 15 Competitive tenders for electricity projects

Schedule 16 Mergers of energy network enterprises

Schedule 17 Multi-purpose interconnectors: consequential amendments

Schedule 18 Heat networks regulation

Schedule 19 Licensing of activities relating to load control

Schedule 20 Enforcement undertakings

Schedule 21 Petroleum licences: amendments to model clauses

Schedule 22 Accession to Convention on Supplementary Compensation for Nuclear Damage

Schedules

Schedule 2Procedure for appeals under section 20

Application for permission to bring appeal

1

(1)

An application for permission to bring an appeal may be made—

(a)

only by sending a notice to the CMA requesting the permission, and

(b)

only by a person entitled under section 20 to bring the appeal if permission is granted.

(2)

Where the economic regulator publishes a decision to modify the conditions of any licence under section 13(8), any application for permission to appeal is not to be made after the end of 20 working days beginning with the first working day after the day on which the decision is published.

(3)

An application for permission to appeal must be accompanied by all such information as may be required by appeal rules.

(4)

Appeal rules may require information contained in an application for permission to appeal to be verified by a statement of truth.

(5)

A person who applies for permission to bring an appeal in accordance with this paragraph is referred to in this Schedule as the appellant.

(6)

The appellant must send the economic regulator—

(a)

a copy of the application for permission to appeal at the same time as it is sent to the CMA, and

(b)

such other information as may be required by appeal rules.

(7)

The CMA’s decision whether to grant permission to appeal is to be taken by an authorised member of the CMA.

(8)

Before the authorised member decides whether to grant permission under this paragraph, the economic regulator must be given an opportunity to make representations or observations, in accordance with paragraph 3(2).

(9)

The CMA’s decision on an application for permission must be made—

(a)

where the economic regulator makes representations or observations in accordance with paragraph 3(2), before the end of 10 working days beginning with the first working day after the day on which those representations or observations are received;

(b)

in any other case, before the end of 14 working days beginning with the first working day after the day on which the application for permission is received.

(10)

The grant of permission may be made subject to conditions, which may include—

(a)

conditions which limit the matters that are to be considered on the appeal in question,

(b)

conditions for the purpose of expediting the determination of the appeal, and

(c)

conditions requiring that appeal to be considered together with other appeals (including appeals relating to different matters or decisions and appeals brought by different persons).

(11)

Where a decision is made to grant or to refuse an application for permission, an authorised member of the CMA must notify the decision, giving reasons—

(a)

to the appellant, and

(b)

to the economic regulator.

(12)

A decision of the CMA under this paragraph must be published, in such manner as an authorised member of the CMA considers appropriate, as soon as reasonably practicable after it is made.

(13)

Section 25(2) applies to the publication of a decision under sub-paragraph (12) as it does to the publication of a decision under section 25.

Suspension of decision

2

(1)

The CMA may direct that, pending the determination of an appeal against a decision of the economic regulator—

(a)

the decision is not to have effect, or

(b)

the decision is not to have effect to such extent as may be specified in the direction.

(2)

The power to give a direction under this paragraph is exercisable only where—

(a)

an application for its exercise has been made by the appellant at the same time that the appellant made an application (in accordance with paragraph 1) for permission to bring an appeal against a decision of the economic regulator;

(b)

the economic regulator has been given an opportunity of making representations or observations, in accordance with paragraph 3(2);

(c)

a person bringing the appeal who falls within section 20(2)(a) or (b) would incur significant costs if the decision were to have effect before the determination of the appeal, and

(d)

the balance of convenience does not otherwise require effect to be given to the decision pending that determination.

(3)

The CMA’s decision on an application for a direction under this paragraph must be made—

(a)

where the economic regulator makes representations or observations in accordance with paragraph 3(2) before the end of 10 working days beginning with the first working day after the day on which those representations or observations are received;

(b)

in any other case, before the end of 14 working days beginning with the first working day following the day on which the application under sub-paragraph (2)(a) is received.

(4)

The appellant must send the economic regulator a copy of the application for a direction under this paragraph at the same time as it is sent to the CMA.

(5)

The CMA’s decision whether to give a direction is to be taken by an authorised member of the CMA.

(6)

A direction under this paragraph must be—

(a)

given by an authorised member of the CMA, and

(b)

published, in such manner as an authorised member of the CMA considers appropriate, as soon as reasonably practicable after it is given.

(7)

Section 25(2) applies to the publication of a direction under sub-paragraph (6) as it does to the publication of a decision under section 25.

Time limit for representations and observations by the economic regulator

3

(1)

Sub-paragraph (2) applies where the economic regulator wishes to make representations or observations to the CMA in relation to—

(a)

an application for permission to bring an appeal under paragraph 1;

(b)

an application for a direction under paragraph 2.

(2)

The economic regulator must make the representations or observations in writing before the end of 10 working days beginning with the first working day after the day on which it received a copy of the application under paragraph 1(6) or 2(4) as the case may be.

(3)

Sub-paragraph (4) applies where an application for permission to bring an appeal has been granted and the economic regulator wishes to make representations or observations to the CMA in relation to—

(a)

the economic regulator’s reasons for the decision in relation to which the appeal is being brought, or

(b)

any grounds on which that appeal is being brought against that decision.

(4)

The economic regulator must make the representations or observations in writing before the end of 15 working days beginning with the first working day after the day on which permission to bring the appeal was granted.

(5)

The economic regulator must send a copy of the representations and observations it makes under this paragraph to the appellant.

Determination of matter on appeal

4

(1)

A group constituted by the chair of the CMA under Schedule 4 to the Enterprise and Regulatory Reform Act 2013 for the purpose of carrying out functions of the CMA with respect to an appeal under section 20 must consist of three members of the CMA panel.

(2)

A decision of the group is effective if, and only if—

(a)

all the members of the group are present when it is made, and

(b)

at least two members of the group are in favour of the decision.

Matters to be considered on appeal

5

(1)

The CMA, if it thinks it necessary to do so for the purpose of securing the determination of an appeal within the period provided for by section 24, may disregard—

(a)

any or all matters raised by an appellant that were not raised by that appellant at the time of the relevant application, and

(b)

any or all matters raised by the economic regulator that were not contained in representations or observations made for the purposes of the appeal in accordance with paragraph 3.

(2)

In this paragraph “relevant application” means an application under paragraph 1 or 2.

Production of documents

6

(1)

For the purposes of this Schedule, the CMA may by notice require—

(a)

a person to produce to the CMA the documents specified or otherwise identified in the notice;

(b)

any person who carries on a business to supply to the CMA such estimates, forecasts, returns or other information as may be specified or described in the notice in relation to that business.

(2)

The power to require the production of a document, or the supply of any estimate, forecast, return or other information, is a power to require its production or, as the case may be, supply—

(a)

at the time and place specified in the notice, and

(b)

in a legible form.

(3)

No person is to be compelled under this paragraph to produce a document or supply an estimate, forecast, return or other information that the person could not be compelled to produce in civil proceedings in the High Court or Court of Session.

(4)

An authorised member of the CMA may, for the purpose of the exercise of the functions of the CMA, make arrangements for copies to be taken of a document produced or an estimate, forecast, return or other information supplied under this paragraph.

(5)

A notice for the purposes of this paragraph—

(a)

may be issued on the CMA’s behalf by an authorised member of the CMA;

(b)

must include information about the possible consequences of not complying with the notice (as set out in paragraph 10).

Oral hearings

7

(1)

For the purposes of this Schedule an oral hearing may be held, and evidence may be taken on oath—

(a)

by a person considering an application for permission to bring an appeal under paragraph 1,

(b)

by a person considering an application for a direction under paragraph 2, or

(c)

by a group with the function of determining an appeal;

and, for that purpose, such a person or group may administer oaths.

(2)

The CMA may by notice require a person—

(a)

to attend at a time and place specified in the notice, and

(b)

at that time and place, to give evidence to a person or group mentioned in sub-paragraph (1).

(3)

At any oral hearing the person or group conducting the hearing may require—

(a)

the appellant, or the economic regulator, if present at the hearing to give evidence or to make representations or observations, or

(b)

a person attending the hearing as a representative of the appellant or of the economic regulator to make representations or observations.

(4)

A person who gives oral evidence at the hearing may be cross-examined by or on behalf of any party to the appeal.

(5)

If the appellant, the economic regulator, or the economic regulator’s representative is not present at a hearing—

(a)

there is no requirement to give notice to that person under sub-paragraph (2), and

(b)

the person or group conducting the hearing may determine the application or appeal without hearing that person’s evidence, representations or observations.

(6)

No person is to be compelled under this paragraph to give evidence which that person could not be compelled to give in civil proceedings in the High Court or Court of Session.

(7)

Where a person is required under this paragraph to attend at a place more than 10 miles from that person’s place of residence, an authorised member of the CMA must arrange for that person to be paid the necessary expenses of attendance.

(8)

A notice for the purposes of this paragraph may be issued on the CMA’s behalf by an authorised member of the CMA.

Written statements

8

(1)

The CMA may by notice require a person to produce a written statement with respect to a matter specified in the notice to—

(a)

a person who is considering, or is to consider, an application for a direction under paragraph 2, or

(b)

a group with the function of determining an appeal.

(2)

The power to require the production of a written statement includes power—

(a)

to specify the time and place at which it is to be produced, and

(b)

to require it to be verified by a statement of truth, and a statement required to be so verified must be disregarded unless it is so verified.

(3)

No person is to be compelled under this paragraph to produce a written statement with respect to any matter about which that person could not be compelled to give evidence in civil proceedings in the High Court or Court of Session.

(4)

A notice for the purposes of this paragraph may be issued on the CMA’s behalf by an authorised member of the CMA.

Expert advice

9

Where permission to bring an appeal is granted under paragraph 1 the CMA may commission expert advice with respect to any matter raised by a party to that appeal.

Defaults in relation to evidence

10

(1)

If a person (“the defaulter”)—

(a)

fails to comply with a notice issued or other requirement imposed under paragraph 6, 7 or 8,

(b)

in complying with a notice under paragraph 8, makes a statement that is false in any material particular, or

(c)

in providing information verified in accordance with a statement of truth required by appeal rules, provides information that is false in a material particular,

an authorised member of the CMA may certify the failure, or the fact that such a false statement has been made or such false information has been given, to the High Court or the Court of Session.

(2)

The High Court or Court of Session may inquire into a matter certified to it under this paragraph, and if, after having heard—

(a)

any witness against or on behalf of the defaulter, and

(b)

any statement in that defaulter’s defence,

it is satisfied that the defaulter did, without reasonable excuse, fail to comply with the notice or other requirement, or made the false statement, or gave the false information, that court may punish that defaulter as if the person had been guilty of contempt of court.

(3)

Where the High Court or Court of Session has power under this paragraph to punish a body corporate for contempt of court, it may so punish any director or other officer of that body (either instead of or as well as punishing the body).

(4)

A person who wilfully alters, suppresses or destroys a document which that person has been required to produce under paragraph 6 is guilty of an offence and is to be liable—

(a)

on summary conviction in England and Wales, to imprisonment for a term not exceeding the general limit in a magistrates’ court or a fine (or both);

(b)

on summary conviction in Scotland, to imprisonment for a term not exceeding 12 months or a fine not exceeding the statutory maximum (or both);

(c)

on summary conviction in Northern Ireland, to imprisonment for a term not exceeding 6 months or a fine not exceeding the statutory maximum (or both);

(d)

on conviction on indictment, to imprisonment for a term not exceeding 2 years or a fine (or both).

Costs or expenses

11

(1)

A group that determines an appeal must make an order requiring the payment to the CMA of the costs or expenses incurred by the CMA in connection with the appeal.

(2)

An order under sub-paragraph (1) must require those costs or expenses to be paid—

(a)

where the appeal is allowed in full, by the economic regulator;

(b)

where the appeal is dismissed in full, by the appellant;

(c)

where the appeal is partially allowed, by one or more parties in such proportions as the CMA considers appropriate in all the circumstances.

(3)

The group that determines an appeal may also make such order as it thinks fit for requiring a party to the appeal to make payments to another party in respect of costs or expenses reasonably incurred by that other party in connection with the appeal.

(4)

A person who is required by an order under this paragraph to pay a sum to another person must comply with the order before the end of 28 days beginning with the day after the making of the order.

(5)

Sums required to be paid by an order under this paragraph but not paid within the period mentioned in sub-paragraph (4) are to bear interest at such rate as may be determined in accordance with provision contained in the order.

(6)

Any costs or expenses payable by virtue of an order under this paragraph and any interest that has not been paid may be recovered as a civil debt by the person in whose favour that order is made.

Appeal rules

12

(1)

The CMA Board may make rules of procedure regulating the conduct and disposal of appeals under section 20.

(2)

Those rules may include provision supplementing the provisions of this Schedule in relation to any application, notice, hearing, power or requirement for which this Schedule provides, and that provision may, in particular, impose time limits or other restrictions on—

(a)

the taking of evidence at an oral hearing, or

(b)

the making of representations or observations at such a hearing.

(3)

The CMA Board must publish rules made under this paragraph in such manner as it considers appropriate for the purpose of bringing them to the attention of those likely to be affected by them.

(4)

Before making rules under this paragraph, the CMA Board must consult such persons as it considers appropriate.

(5)

Rules under this paragraph may make different provision for different cases.

Interpretation of Schedule

13

(1)

In this Schedule—

appeal” means an appeal under section 20;

appeal rules” means rules of procedure under paragraph 12;

authorised member of the CMA”—

(a)

in relation to a power exercisable in connection with an appeal in respect of which a group has been constituted by the chair of the CMA under Schedule 4 to the Enterprise and Regulatory Reform Act 2013, means a member of that group who has been authorised by the chair of the CMA to exercise that power;

(b)

in relation to a power exercisable in connection with an application for permission to bring an appeal, or otherwise in connection with an appeal in respect of which a group has not been so constituted by the chair of the CMA, means—

  1. (i)

    any member of the CMA Board who is also a member of the CMA panel, or

  2. (ii)

    any member of the CMA panel authorised by the Secretary of State (whether generally or specifically) to exercise the power in question;

CMA Board” and “CMA panel” have the same meaning as in Schedule 4 to the Enterprise and Regulatory Reform Act 2013;

statement of truth”, in relation to the production of a statement or provision of information by a person, means a statement that the person believes the facts stated in the statement or information to be true;

working day” means any day other than—

(a)

Saturday or Sunday;

(b)

Christmas Day or Good Friday;

(c)

a day which is a bank holiday in England and Wales or Scotland under the Banking and Financial Dealings Act 1971.

(2)

References in this Schedule to a party to an appeal are references to—

(a)

the appellant, or

(b)

the economic regulator.