Environment Act 2021
- (b) after that subsection insert—
(2) Subsection (1) does not apply to information obtained by virtue of section 37A (disclosure of Revenue and Customs information).
- (5) In section 72(1) (interpretation), at the appropriate places insert—
- “enactment” includes an enactment comprised in subordinate legislation within the meaning of the Interpretation Act 1978;
;
- “English drainage board” means a drainage board for an English internal drainage district;
;
- “English internal drainage district” means an internal drainage district which is wholly or mainly in England;
;
- “Welsh drainage board” means a drainage board for a Welsh internal drainage district;
;
- “Welsh internal drainage district” means an internal drainage district which is wholly or mainly in Wales.
.
PART 6 — Nature and biodiversity
Biodiversity gain in planning
Biodiversity gain as condition of planning permission
98
Schedule 14 makes provision for biodiversity gain to be a condition of planning permission in England.
Biodiversity gain in nationally significant infrastructure projects
99
Schedule 15 makes provision about biodiversity gain in relation to development consent for nationally significant infrastructure projects.
Biodiversity gain site register
100
- (1) The Secretary of State may by regulations make provision for and in relation to a register of biodiversity gain sites (“the biodiversity gain site register”).
- (2) A biodiversity gain site is land where—
- (a) a person is required under a conservation covenant or planning obligation to carry out works for the purpose of habitat enhancement,
- (b) that or another person is required to maintain the enhancement for at least 30 years after the completion of those works, and
- (c) for the purposes of Schedule 7A to the Town and Country Planning Act 1990 the enhancement is made available to be allocated (conditionally or unconditionally, and whether for consideration or otherwise) in accordance with the terms of the covenant or obligation to one or more developments for which planning permission is granted.
- (3) Regulations under this section must provide for the information in the register to be accessible to members of the public.
- (4) Regulations under this section may in particular make provision about—
- (a) the person who is to establish and maintain the biodiversity gain site register (who may be the Secretary of State, Natural England or another person);
- (b) circumstances in which land is or is not eligible to be registered;
- (c) applications to register land in the register;
- (d) the information to be recorded in relation to any land that is registered;
- (e) amendments to the register;
- (f) removal of land from the register;
- (g) fees payable in respect of any application under the regulations.
- (5) Provision under subsection (4)(c) may in particular include provision about—
- (a) who is entitled to apply to register land in the biodiversity gain site register;
- (b) the procedure to be followed in making an application;
- (c) the information to be provided in respect of an application;
- (d) how an application is to be determined;
- (e) appeals against the rejection of an application;
- (f) financial penalties for the supply of false or misleading information in connection with an application.
- (6) Provision under subsection (4)(d) may in particular require the recording of the following in relation to any land registered in the biodiversity gain site register—
- (a) the location and area of the land;
- (b) the works to be carried out on the land and the habitat enhancement to be achieved by them;
- (c) information about the habitat of the land before the commencement of those works;
- (d) the person who applied to register the land and (if different) the person by whom the requirement to carry out the works or maintain the habitat enhancement is enforceable;
- (e) any development to which any of the habitat enhancement has been allocated;
- (f) the biodiversity value (for the purposes of Schedule 7A to the Town and Country Planning Act 1990 or Schedule 2A to the Planning Act 2008) of any such habitat enhancement in relation to any such development.
- (7) Regulations under this section may amend subsection (2)(b) so as to substitute for the period for the time being specified there a different period of at least 30 years.
- (8) Regulations under this section making provision under subsection (4)(g) or (5)(f) are subject to the affirmative procedure.
- (9) Other regulations under this section are subject to the negative procedure.
- (10) The Secretary of State must keep under review—
- (a) the supply of land for registration in the biodiversity gain site register;
- (b) whether the period specified in subsection (2)(b) or in paragraph 9(3) of Schedule 7A to the Town and Country Planning Act 1990 can be increased under subsection (7) or paragraph 9(4) of that Schedule without adversely affecting that supply.
- (11) In this section “development”, “habitat enhancement”, “planning obligation” and “planning permission” have the same meanings as in Schedule 7A to the Town and Country Planning Act 1990.
Biodiversity credits
101
- (1) The Secretary of State may make arrangements under which a person who is entitled to carry out the development of any land may purchase a credit from the Secretary of State for the purpose of meeting the biodiversity gain objective referred to in Schedule 7A to the Town and Country Planning Act 1990 or Schedule 2A to the Planning Act 2008.
- (2) A credit is to be regarded for the purposes of that Schedule as having such biodiversity value as is determined under the arrangements.
- (3) The arrangements may in particular include arrangements relating to—
- (a) applications to purchase credits;
- (b) the amount payable in respect of a credit of a given value;
- (c) proof of purchase;
- (d) reimbursement for credits purchased for development which is not carried out.
- (4) In determining the amount payable under the arrangements for a credit of a given value the Secretary of State must have regard to the need to determine an amount which does not discourage the registration of land in the biodiversity gain sites register.
- (5) The Secretary of State must publish information about the arrangements, including in particular the amount payable for credits.
- (6) The Secretary of State may use payments received under arrangements under this section for the following purposes (only)—
- (a) carrying out works, or securing the carrying out of works, for the purpose of habitat enhancement (within the meaning of Part 7A of the Town and Country Planning Act 1990) on land in England;
- (b) purchasing interests in land in England with a view to carrying out works, or securing the carrying out of works, for that purpose;
- (c) operating or administering the arrangements.
- (7) The references to works in subsection (6) do not include works which the Secretary of State is required to carry out apart from this section by virtue of any enactment.
- (8) The Secretary of State must publish reports relating to the discharge of the Secretary of State’s functions under subsections (1) and (6).
- (9) A report must relate to a period not exceeding a year which—
- (a) in the case of the first report, begins on the date on which Schedule 7A to the Town and Country Planning Act 1990 comes into force in relation to any development (within the meaning of Part 3 of that Act), and
- (b) in the case of any subsequent report, begins on the day after the last day of the period to which the previous report related.
- (10) A report must set out—
- (a) the total payments received under arrangements under this section in the period to which the report relates,
- (b) how those payments have been used, and
- (c) where those payments have been used for the purpose of carrying out or securing the carrying out of works for the purpose of habitat enhancement, the projected biodiversity value of the habitat enhancement at such time or times after completion of the works as the Secretary of State considers it appropriate to specify.
Biodiversity objective and reporting
General duty to conserve and enhance biodiversity
102
- (1) Section 40 of the Natural Environment and Rural Communities Act 2006 (duty to conserve biodiversity) is amended in accordance with subsections (2) to (7).
- (2) In the heading, after “conserve” insert “and enhance”.
- (3) For subsections (A1) and (1) substitute—
(A1) For the purposes of this section “the general biodiversity objective” is the conservation and enhancement of biodiversity in England through the exercise of functions in relation to England. (1) A public authority which has any functions exercisable in relation to England must from time to time consider what action the authority can properly take, consistently with the proper exercise of its functions, to further the general biodiversity objective. (1A) After that consideration the authority must (unless it concludes there is no new action it can properly take)— (a) determine such policies and specific objectives as it considers appropriate for taking action to further the general biodiversity objective, and (b) take such action as it considers appropriate, in the light of those policies and objectives, to further that objective. (1B) The requirements of subsection (1A)(a) may be satisfied (to any extent) by revising any existing policies and specific objectives for taking action to further the general biodiversity objective. (1C) The first consideration required by subsection (1) must be completed by the authority within the period of one year beginning with the day on which section 102 of the Environment Act 2021 comes into force. (1D) Any subsequent consideration required by subsection (1) must be completed no more than five years after the completion of the authority’s previous consideration. (1E) A determination required by subsection (1A)(a) must be made as soon as practicable after the completion of the consideration to which it relates. (1F) Nothing in this section prevents the authority from— (a) determining or revising policies and specific objectives at any time, or (b) taking action to further the general biodiversity objective at any time.
- (4) In subsection (2) for “subsection (1)” substitute “subsections (1) and (1A)”.
- (5) After subsection (2) insert—
(2A) In complying with subsections (1) and (1A) the authority must in particular have regard to— (a) any relevant local nature recovery strategy, and (b) any relevant species conservation strategy or protected site strategy prepared by Natural England. (2B) The Secretary of State must issue guidance to local planning authorities as to how they are to comply with their duty under subsection (2A)(a) when complying with subsections (1) and (1A) in their capacity as such authorities. (2C) Guidance under subsection (2B) must be— (a) published by the Secretary of State in such manner as the Secretary of State thinks fit, (b) kept under review, and (c) revised where the Secretary of State considers it appropriate. (2D) The first guidance under subsection (2B) must be published by the Secretary of State within the period of two years beginning with the day on which section 102 of the Environment Act 2021 comes into force.
- (6) For subsection (3) substitute—
(3) The action which may be taken by the authority to further the general biodiversity objective includes, in particular, action taken for the purpose of— (a) conserving, restoring or otherwise enhancing a population of a particular species, and (b) conserving, restoring or otherwise enhancing a particular type of habitat.
- (7) After subsection (5) insert—
(6) This section has effect in relation to Her Majesty’s Revenue and Customs with the following modifications— (a) the omission from subsection (A1) of the words “in England” and “in relation to England”; (b) the omission from subsection (1) of the words from “which” to “England”. (7) In this section references to England include the territorial sea adjacent to England.
- (8) In section 41 of that Act (biodiversity lists and action (England))—
- (a) in subsection (1), after “conserving” insert “or enhancing”;
- (b) in subsection (3) for “and (2)” substitute “and (1A)”.
Biodiversity reports
103
- (1) After section 40 of the Natural Environment and Rural Communities Act 2006 insert—
(40A) (1) This section applies to— (a) a local authority in England other than a parish council, (b) a local planning authority in England, and (c) a designated authority (see subsection (8)(a)). (2) A public authority to which this section applies (“the authority”) must publish biodiversity reports in accordance with this section. (3) A biodiversity report so published must contain— (a) a summary of the action which the authority has taken over the period covered by the report for the purpose of complying with its duties under section 40(1) and (1A), (b) a summary of the authority’s plans for complying with those duties over the period of five years following the period covered by the report, (c) any quantitative data required to be included in the report by regulations under subsection (8)(b), and (d) any other information that the authority considers it appropriate to include in the report. (4) If the authority is a local planning authority, its biodiversity report must also contain— (a) a summary of the action taken by the authority in carrying out its functions under Schedule 7A to the Town and Country Planning Act 1990 (biodiversity gain as condition of planning permission) over the period covered by the report, (b) information about any biodiversity gains resulting or expected to result from biodiversity gain plans approved by the authority during that period, and (c) a summary of the authority’s plans for carrying out those functions over the five year period following the period covered by the report. (5) A biodiversity report— (a) must specify the period covered by the report, and (b) must be published within the period of 12 weeks following the last day of that period. (6) The authority’s first biodiversity report must cover a period chosen by the authority which— (a) is no longer than three years, and (b) begins with the day on which the authority first becomes subject to the duty under subsection (2). (7) A subsequent biodiversity report made by the authority must cover a period chosen by the authority which— (a) is no longer than five years, and (b) begins with the day after the last day of the period covered by its most recent biodiversity report. (8) The Secretary of State may by regulations— (a) provide for specified public authorities, or public authorities of a specified description, to be designated authorities for the purposes of this section; (b) require biodiversity reports to include specified quantitative data relating to biodiversity in any area of land in England in relation to which the authority exercises any functions. In this subsection “specified” means specified in the regulations. (9) Public authorities with no functions exercisable in relation to England may not be designated under subsection (8)(a). (10) The power to make regulations under subsection (8) is exercisable by statutory instrument. (11) A statutory instrument containing regulations under subsection (8) is subject to annulment in pursuance of a resolution of either House of Parliament. (12) Terms used in this section and section 40 have the same meaning as in that section.
Local nature recovery strategies
Local nature recovery strategies for England
104
- (1) There are to be local nature recovery strategies for areas in England.
- (2) Together the local nature recovery strategies are to cover the whole of England.
- (3) The Secretary of State is to determine the areas within England to which individual local nature recovery strategies are to relate.
- (4) The area of a local authority, other than a county council, may not be split between local nature recovery strategies.
- (5) Section 40(2A) of the Natural Environment and Rural Communities Act 2006 (duty to conserve biodiversity) makes provision about the duties of public authorities in relation to local nature recovery strategies.
Preparation of local nature recovery strategies
105
- (1) A local nature recovery strategy for an area (“the strategy area”) is to be prepared and published by the responsible authority.
- (2) The responsible authority for a local nature recovery strategy is such one of the following authorities as is appointed by the Secretary of State—
- (a) a local authority whose area is, or is within, the strategy area;
- (b) the Mayor of London;
- (c) the mayor for the area of a combined authority established under section 103 of the Local Democracy, Economic Development and Construction Act 2009;
- (d) a National Park authority in England;
- (e) the Broads Authority;
- (f) Natural England.
- (3) A local nature recovery strategy is to be reviewed and republished from time to time by the responsible authority.
- (4) The Secretary of State may by regulations make provision about the procedure to be followed in the preparation and publication, and review and republication, of local nature recovery strategies.
- (5) Regulations under this section may, for example, include provision—
- (a) requiring the provision of information by a local authority whose area is, or is within, the strategy area but which is not the responsible authority;
- (b) for a local nature recovery strategy to be agreed by all of the local authorities whose areas are within the strategy area;
- (c) for the procedure for reaching such agreement and for the resolution of disagreements (including resolution by the Secretary of State or by a public inquiry);
- (d) for consultation, including consultation of members of the public;
- (e) for the times at or after which a local nature recovery strategy is to be reviewed and republished.
- (6) Regulations under this section are subject to the negative procedure.
Content of local nature recovery strategies
106
- (1) A local nature recovery strategy relating to an area (“the strategy area”) is to include—
- (a) a statement of biodiversity priorities for the strategy area, and
- (b) a local habitat map for the whole strategy area or two or more local habitat maps which together cover the whole strategy area.
- (2) The statement of biodiversity priorities referred to in subsection (1)(a) is to include—
- (a) a description of the strategy area and its biodiversity,
- (b) a description of the opportunities for recovering or enhancing biodiversity, in terms of habitats and species, in the strategy area,
- (c) the priorities, in terms of habitats and species, for recovering or enhancing biodiversity (taking into account the contribution that recovering or enhancing biodiversity can also make to other environmental benefits), and
- (d) proposals as to potential measures relating to those priorities.
- (3) A local habitat map referred to in subsection (1)(b) is a map identifying—
- (a) national conservation sites in the strategy area,
- (b) any nature reserves in the strategy area provided under section 21 of the National Parks and Access to the Countryside Act 1949, and
- (c) other areas in the strategy area which in the opinion of the responsible authority—
- (i) are, or could become, of particular importance for biodiversity, or
- (ii) are areas where the recovery or enhancement of biodiversity could make a particular contribution to other environmental benefits.
- (4) A local habitat map which does not relate to the whole of the strategy area must relate to the area of one or more local authorities within the strategy area.
- (5) The Secretary of State may issue guidance as to—
- (a) information to be included in a local nature recovery strategy pursuant to the requirements in subsections (1) to (3), and
- (b) any other matters to be included in a local nature recovery strategy.
- (6) A responsible authority must have regard to the guidance when preparing a local nature recovery strategy.
- (7) The Secretary of State must lay before Parliament, and publish, the guidance.
Information to be provided by the Secretary of State
107
- (1) For the purpose of assisting responsible authorities in their preparation of local nature recovery strategies, the Secretary of State must prepare and publish a national habitat map for England.
- (2) The national habitat map must in particular identify—
- (a) national conservation sites, and
- (b) other areas that in the opinion of the Secretary of State are of particular importance for biodiversity.
- (3) The Secretary of State may from time to time review and republish the national habitat map.
- (4) The Secretary of State must inform a responsible authority of any area in the authority’s strategy area which falls within subsection (5).
- (5) An area falls within this subsection if in the Secretary of State’s opinion—
- (a) the area could be of greater importance for biodiversity, or is an area where the recovery or enhancement of biodiversity could make a contribution to other environmental benefits, and
- (b) the area could contribute to the establishment of a network of areas across England for the recovery and enhancement of biodiversity in England as a whole.
- (6) The Secretary of State must provide a responsible authority with any other information—
- (a) that is held by the Secretary of State, and
- (b) that the Secretary of State considers might assist the authority in preparing a local nature recovery strategy.
Interpretation
108
- (1) This section has effect for the purposes of sections 104 to 107.
- (2) “Local authority” means—
- (a) a county or district council in England;
- (b) a London borough council;
- (c) the Common Council of the City of London;
- (d) the Council of the Isles of Scilly.
- (3) “National conservation site” means—
- (a) a site of special scientific interest, within the meaning of Part 2 of the Wildlife and Countryside Act 1981;
- (b) a national nature reserve declared in accordance with section 35 of that Act;
- (c) a Ramsar site, within the meaning of section 37A of that Act;
- (d) a marine conservation zone designated under section 116 of the Marine and Coastal Access Act 2009;
- (e) a European site, within the meaning of regulation 8 of the Conservation of Habitats and Species Regulations 2017 (S.I. 2017/1012).
Conservation
Species conservation strategies
109
- (1) Natural England may prepare and publish a strategy for improving the conservation status of any species of fauna or flora.
- (2) A strategy under subsection (1) is called a “species conservation strategy”.
- (3) A species conservation strategy must relate to an area (the “strategy area”) consisting of—
- (a) England, or
- (b) any part of England.
- (4) A species conservation strategy for a species may in particular—
- (a) identify areas or features in the strategy area which are of importance to the conservation of the species,
- (b) identify priorities in relation to the creation or enhancement of habitat for the purpose of improving the conservation status of the species in the strategy area,
- (c) set out how Natural England proposes to exercise its functions in relation to the species across the whole of the strategy area or in any part of it for the purpose of improving the conservation status of the species in the strategy area,
- (d) include Natural England’s opinion on the giving by any other public authority of consents or approvals which might affect the conservation status of the species in the strategy area, and
- (e) include Natural England’s opinion on measures that it would be appropriate to take to avoid, mitigate or compensate for any adverse impact on the conservation status of the species in the strategy area that may arise from a plan, project or other activity.
- (5) Natural England may, from time to time, amend a species conservation strategy.
- (6) A local planning authority in England and any prescribed authority must co-operate with Natural England in the preparation and implementation of a species conservation strategy so far as relevant to the authority’s functions.
- (7) The Secretary of State may give guidance to local planning authorities in England and to prescribed authorities as to how to discharge the duty in subsection (6).
- (8) The Secretary of State must lay before Parliament, and publish, the guidance.
- (9) A local planning authority in England and any prescribed authority must in the exercise of its functions have regard to a species conservation strategy so far as relevant to its functions.
- (10) In this section—
- “England” includes the territorial sea adjacent to England, which for this purpose does not include—any part of the territorial sea adjacent to Wales for the general or residual purposes of the Government of Wales Act 2006 (see section 158 of that Act), orany part of the territorial sea adjacent to Scotland for the general or residual purposes of the Scotland Act 1998 (see section 126 of that Act);
- “local planning authority” means a person who is a local planning authority for the purposes of any provision of Part 3 of the Town and Country Planning Act 1990;
- “prescribed authority” means an authority exercising functions of a public nature in England which is specified for the purposes of this section by regulations made by the Secretary of State.
- (11) Regulations under subsection (10) are subject to the negative procedure.
Protected site strategies
110
- (1) Natural England may prepare and publish a strategy for—
- (a) improving the conservation and management of a protected site, and
- (b) managing the impact of plans, projects or other activities (wherever undertaken) on the conservation and management of the protected site.
- (2) A strategy under subsection (1) is called a “protected site strategy”.
- (3) A “protected site” means—
- (a) a European site,
- (b) a site of special scientific interest, or
- (c) a marine conservation zone,
to the extent the site or zone is within England.
- (4) A protected site strategy for a protected site may in particular—
- (a) include an assessment of the impact that any plan, project or other activity may have on the conservation or management of the protected site (whether assessed individually or cumulatively with other activities),
- (b) include Natural England’s opinion on measures that it would be appropriate to take to avoid, mitigate or compensate for any adverse impact on the conservation or management of the protected site that may arise from a plan, project or other activity,
- (c) identify any plan, project or other activity that Natural England considers is necessary for the purposes of the conservation or management of the protected site, and
- (d) cover any other matter which Natural England considers is relevant to the conservation or management of the protected site.
- (5) In preparing a protected site strategy for a protected site, Natural England must consult—
- (a) any local planning authority in England which exercises functions in respect of an area—
- (i) within which any part of the protected site is located, or
- (ii) within which a plan, project or other activity that Natural England considers may have an adverse impact on the conservation or management of the protected site is being, or is proposed to be, undertaken,
- (b) any public authority in England—
- (i) that is undertaking, or proposing to undertake, a plan, project or other activity that Natural England considers may have an adverse impact on the conservation or management of the protected site,
- (ii) the consent or approval of which is required in respect of a plan, project or other activity that Natural England considers may have an adverse impact on the conservation or management of the protected site, or
- (iii) that Natural England considers may otherwise be affected by the strategy,
- (c) any IFC authority in England which exercises functions in respect of an area—
- (i) the conservation or management of which Natural England considers may be affected by the strategy, or
- (ii) the sea fisheries resources of which Natural England considers may be affected by the strategy,
- (d) the Marine Management Organisation, where—
- (i) any part of the protected site is within the MMO’s area, or
- (ii) Natural England considers any part of the MMO’s area may otherwise be affected by the strategy,
- (e) the Environment Agency,
- (f) the Secretary of State, and
- (g) any other person that Natural England considers should be consulted in respect of the strategy, including the general public or any section of it.
- (6) In subsections (4) and (5), a reference to an adverse impact on the conservation or management of a protected site includes—
- (a) in relation to a European site, anything which adversely affects the integrity of the site,
- (b) in relation to a site of special scientific interest, anything which is likely to adversely affect the flora, fauna or geological or physiographical features by reason of which the site is of special interest,
- (c) in relation to a marine conservation zone, anything which hinders the conservation objectives stated for the zone pursuant to section 117(2) of the Marine and Coastal Access Act 2009, and
- (d) any other thing which causes deterioration of natural habitats and the habitats of species as well as disturbance of the species in the protected site, in so far as such disturbance could be significant in relation to the conservation or management of the protected site.
- (7) A person whom Natural England consults under subsection (5)(a) to (e) must co-operate with Natural England in the preparation of a protected site strategy so far as relevant to the person’s functions.
- (8) The Secretary of State may give guidance as to how to discharge the duty in subsection (7).
- (9) The Secretary of State must lay before Parliament, and publish, the guidance.
- (10) A person must have regard to a protected site strategy so far as relevant to any duty which the person has under—
- (a) the Conservation of Habitats and Species Regulations 2017 (S.I. 2017/1012),
- (b) sections 28G to 28I of the Wildlife and Countryside Act 1981, or
- (c) sections 125 to 128 of the Marine and Coastal Access Act 2009.
- (11) Natural England may, from time to time, amend a protected site strategy.
- (12) The duty to consult a person under subsection (5) also applies when Natural England amends a protected site strategy under subsection (11) so far as the amendment is relevant to the person’s functions.
- (13) In this section—
- “England” has the meaning given in section 109;
- “European site” has the meaning given in regulation 8 of the Conservation of Habitats and Species Regulations 2017;
- “IFC authority” means an inshore fisheries and conservation authority created under section 150 of the Marine and Coastal Access Act 2009;
- “local planning authority” has the meaning given in section 109;
- “marine conservation zone” means an area designated as a marine conservation zone under section 116(1) of the Marine and Coastal Access Act 2009;
- “MMO’s area” has the meaning given in section 2(12) of the Marine and Coastal Access Act 2009;
- “public authority” has the meaning given in section 40(4) of the Natural Environment and Rural Communities Act 2006;
- “sea fisheries resources” has the meaning given in section 153(10) of the Marine and Coastal Access Act 2009;
- “site of special scientific interest” means an area notified under section 28(1) of the Wildlife and Countryside Act 1981.
Wildlife conservation: licences
111
- (1) In section 10 of the Wildlife and Countryside Act 1981 (exceptions to section 9 of that Act), in subsection (1)—
- (a) in paragraph (a), omit the final “or”;
- (b) at the end insert
or (c) anything done in relation to an animal of any species pursuant to a licence granted by Natural England under regulation 55 of the Conservation of Habitats and Species Regulations 2017 (S.I. 2017/1012) in respect of an animal or animals of that species
.
- (2) In section 16 of that Act (power to grant licences), in subsection (3)—
- (a) in paragraph (h), omit the final “or”;
- (b) at the end insert
or (j) in England, for reasons of overriding public interest
.
- (3) In that section, after subsection (3A) insert—
(3B) In England, the appropriate authority shall not grant a licence under subsection (3) unless it is satisfied— (a) that there is no other satisfactory solution, and (b) that the grant of the licence is not detrimental to the survival of any population of the species of animal or plant to which the licence relates.
- (4) In that section, in subsections (5A)(c) and (6)(b), after “two years,” insert “or in the case of a licence granted by Natural England five years,”.
- (5) In that section, in subsection (9)(c), after “to (e)” insert “or (j)”.
- (6) In the Conservation of Habitats and Species Regulations 2017 (S.I. 2017/1012), in regulation 55(10), for “two years” substitute—
(a) five years, in the case of a licence granted by Natural England, or (b) two years, in any other case.
Habitats Regulations
Habitats Regulations: power to amend general duties
112
- (1) The Secretary of State may by regulations amend the Conservation of Habitats and Species Regulations 2017 (S.I. 2017/1012) (the “Habitats Regulations”), as they apply in relation to England, for the purposes in subsection (2).
- (2) The purposes are—
- (a) to require persons within regulation 9(1) of the Habitats Regulations to exercise functions to which that regulation applies—
- (i) to comply with requirements imposed by regulations under this section, or
- (ii) to further objectives specified in regulations under this section,
instead of exercising them to secure compliance with the requirements of the Directives;
- (b) to require persons within regulation 9(3) of the Habitats Regulations, when exercising functions to which that regulation applies, to have regard to matters specified by regulations under this section instead of the requirements of the Directives.
- (3) The regulations may impose requirements, or specify objectives or matters, relating to—
- (a) targets in respect of biodiversity set by regulations under section 1 or 3;
- (b) improvements to the natural environment which relate to biodiversity and are set out in an environmental improvement plan.
- (4) The regulations may impose any other requirements, or specify any other objectives or matters, relating to the conservation or enhancement of biodiversity that the Secretary of State considers appropriate.
- (5) Regulations under this section may also, in connection with provision made for the purposes in subsection (2), amend other provisions of the Habitats Regulations, as they apply in relation to England, which refer to requirements, objectives or provisions of the Directives.
- (6) In making regulations under this section the Secretary of State must have regard to the particular importance of furthering the conservation and enhancement of biodiversity.
- (7) The Secretary of State may make regulations under this section only if satisfied that the regulations do not reduce the level of environmental protection provided by the Habitats Regulations.
- (8) Before making regulations under this section the Secretary of State must lay before Parliament, and publish, a statement explaining why the Secretary of State is satisfied as mentioned in subsection (7).
- (9) Before making regulations under this section the Secretary of State must consult such persons as the Secretary of State considers appropriate.
- (10) Regulations under this section may not come into force before 1 February 2023.
- (11) In this section—
- “the Directives” has the same meaning as in the Habitats Regulations (see regulation 3(1));
- “England” includes the territorial sea adjacent to England, which for this purpose does not include— any part of the territorial sea adjacent to Wales for the general or residual purposes of the Government of Wales Act 2006 (see section 158 of that Act), or any part of the territorial sea adjacent to Scotland for the general or residual purposes of the Scotland Act 1998 (see section 126 of that Act);
- “environmental improvement plan” has the same meaning as in Part 1.
- (12) Regulations under this section are subject to the affirmative procedure.
Habitats Regulations: power to amend Part 6
113
- (1) The Secretary of State may by regulations amend Part 6 of the Conservation of Habitats and Species Regulations 2017 (S.I. 2017/1012) (the “Habitats Regulations”) (assessment of plans and projects) as they apply in relation to England.
- (2) In making regulations under this section the Secretary of State must have regard to the particular importance of furthering the conservation and enhancement of biodiversity.
- (3) The Secretary of State may make regulations under this section only if satisfied that the regulations do not reduce the level of environmental protection provided by the Habitats Regulations.
- (4) Before making regulations under this section the Secretary of State must lay before Parliament, and publish, a statement explaining why the Secretary of State is satisfied as mentioned in subsection (3).
- (5) Before making regulations under this section the Secretary of State must consult such persons as the Secretary of State considers appropriate.
- (6) In this section “England” has the same meaning as in section 112.
- (7) Regulations under this section are subject to the affirmative procedure.
Tree felling and planting
Defences to breach of obligation
114
Schedule 16 makes amendments to Part 2 of the Forestry Act 1967 in relation to the enforcement of the power to control the felling of trees in England.
Local highway authorities in England to consult before felling street trees
115
After section 96 of the Highways Act 1980 insert—
(96A) (1) A local highway authority in England must consult members of the public before felling a tree on an urban road (a “street tree”). (2) A local highway authority must have regard to any guidance given by the Secretary of State to local highway authorities about how to discharge the duty under subsection (1). (3) The duty under subsection (1) does not apply in a case where— (a) the street tree has a diameter not exceeding 8 centimetres (measured over the bark, at a point 1.3 metres above ground level), (b) the authority considers that the street tree is dead, (c) the authority considers that the street tree is required to be felled— (i) by virtue of an order under the Plant Health Act 1967, or (ii) under any enactment on the basis that the tree is dangerous, (d) the authority considers that the street tree is required to be felled in order to comply with— (i) a duty to make reasonable adjustments in the Equality Act 2010 because the tree is causing an obstruction (see section 20 of that Act), or (ii) a duty in section 29 of that Act (prohibitions on discrimination etc in the provision of services) because the tree is causing an obstruction, or (e) the felling of the street tree is required for the purpose of carrying out development authorised by— (i) planning permission granted under section 70, 73, 76D, 77 or 79 of the Town and Country Planning Act 1990, or (ii) outline planning permission granted under section 92 of that Act. (4) In subsection (1) “urban road” means a highway, other than a trunk road or classified road, which— (a) is a restricted road for the purposes of section 81 of the Road Traffic Regulation Act 1984 (30 miles per hour speed limit), (b) is subject to an order made by virtue of section 84(1)(a) of that Act imposing a speed limit not exceeding 40 miles per hour, or (c) is otherwise a street in an urban area.
Use of forest risk commodities in commercial activity
Use of forest risk commodities in commercial activity
116
- (1) In Schedule 17—
- (a) Part 1 makes provision about the use of forest risk commodities in commercial activity,
- (b) Part 2 makes provision about enforcement, and
- (c) Part 3 contains general provisions.
- (2) Regulations under the following provisions of Schedule 17 are subject to the affirmative procedure—
- (a) paragraph 1;
- (b) paragraph 2(4)(c);
- (d) paragraph 7;
- (e) Part 2.
- (3) Regulations under the following provisions of Schedule 17 are subject to the negative procedure—
- (a) paragraph 3;
- (b) paragraph 4;
PART 7 — Conservation covenants
Creation of conservation covenant
Conservation covenant agreements
117
- (1) For the purposes of this Part, a “conservation covenant agreement” is an agreement between a landowner and a responsible body where—
- (a) the agreement contains provision which—
- (i) is of a qualifying kind,
- (ii) has a conservation purpose, and
- (iii) is intended by the parties to be for the public good,
- (b) it appears from the agreement that the parties intend to create a conservation covenant, and
- (c) the agreement is executed as a deed by the parties.
- (2) The reference in subsection (1)(a) to provision of a qualifying kind is to provision—
- (a) requiring the landowner—
- (i) to do, or not to do, something on land in England specified in the provision in relation to which the landowner holds a qualifying estate specified in the agreement for the purposes of the provision, or
- (ii) to allow the responsible body to do something on such land, or
- (b) requiring the responsible body to do something on such land.
- (3) For the purposes of subsection (1)(a)(ii), provision has a conservation purpose if its purpose is—
- (a) to conserve the natural environment of land or the natural resources of land,
- (b) to conserve land as a place of archaeological, architectural, artistic, cultural or historic interest, or
- (c) to conserve the setting of land with a natural environment or natural resources or which is a place of archaeological, architectural, artistic, cultural or historic interest.
- (4) In this Part—
- a reference to conserving something includes a reference to protecting, restoring or enhancing it;
- “qualifying estate” means— an estate in fee simple absolute in possession, or a term of years absolute granted for a term of more than seven years from the date of the grant and in the case of which some part of the period for which the term of years was granted remains unexpired;
- a reference to “the qualifying estate”, in relation to an obligation under a conservation covenant, is to the estate in land by virtue of which the condition in subsection (1)(a)(i) was met in relation to— if the obligation is not an ancillary obligation, the provision giving rise to the obligation, or if the obligation is an ancillary obligation, the provision giving rise to the obligation to which it was ancillary; (and for this purpose “ancillary obligation” means an obligation under provision falling within section 118(2)(b));
- “natural environment”, in relation to land, includes— its plants, animals and other living organisms; their habitats; its geological features.
Conservation covenants
118
- (1) A conservation covenant is so much of a conservation covenant agreement as is given statutory effect by this section.
- (2) The following provisions of a conservation covenant agreement have statutory effect as a conservation covenant—
- (a) provisions in respect of which the conditions in section 117(1)(a) are met, and
- (b) provisions ancillary to any provision falling within paragraph (a).
- (3) If the agreement includes provision for public access to land to which other provision of the agreement (being provision which meets the conditions in section 117(1)(a)) relates, the provision for public access is to be treated as ancillary to that other provision.
- (4) In this Part—
- (a) references to an obligation under a conservation covenant are to an obligation of the landowner or the responsible body given statutory effect by this section as part of the conservation covenant, and
- (b) references to the land to which an obligation under a conservation covenant relates are, in the case of an obligation given statutory effect by this section by virtue of being ancillary to another provision, to the land to which the obligation under the other provision relates.
Responsible bodies
119
- (1) The following are responsible bodies for the purposes of this Part—
- (a) the Secretary of State;
- (b) bodies which are designated under this section (referred to in this Part as “designated bodies”).
- (2) The Secretary of State may, on the application of a local authority or other body, designate it as a responsible body for the purposes of this Part.
- (3) The Secretary of State may only designate a local authority if satisfied that it is suitable to be a responsible body.
- (4) The Secretary of State may only designate a body that is not a local authority if satisfied that it—
- (a) meets the condition in subsection (5), and
- (b) is suitable to be a responsible body.
- (5) The condition is that—
- (a) in the case of a public body or a charity, at least some of its main purposes or functions relate to conservation, or
- (b) in any other case, at least some of the body’s main activities relate to conservation.
- (6) The Secretary of State may revoke a designation by notice to the body concerned if—
- (a) the body has applied to the Secretary of State for its designation to be revoked,
- (b) the Secretary of State is satisfied that the body is not suitable to remain as a responsible body, or
- (c) in the case of a body other than a local authority, the Secretary of State is satisfied that the body does not meet the condition in subsection (5).
- (7) The Secretary of State may determine the criteria to be applied in deciding whether a body is suitable to be or to remain a responsible body (which may include criteria relating to the body’s connection with the United Kingdom).
- (8) The Secretary of State must publish (and keep up to date)—
- (a) a document setting out the criteria applicable for the purposes mentioned in subsection (7), and
- (b) a list of the bodies who are designated under this section.
- (9) In this section—
- “charity” means a charity registered under the Charities Act 2011 or an exempt charity (within the meaning of that Act);
- “conservation” means conservation of— the natural environment or natural resources of land, places of archaeological, architectural, artistic, cultural or historic interest, or the setting of land with a natural environment or natural resources or which is a place of archaeological, architectural, artistic, cultural or historic interest;
- “local authority” means— a county or district council in England; a London borough council; the Common Council of the City of London; the Council of the Isles of Scilly.
Effect of conservation covenant
Local land charge
120
- (1) A conservation covenant is a local land charge.
- (2) For the purposes of the Local Land Charges Act 1975 the originating authority, as respects a conservation covenant, is the person by whom an obligation of the landowner under the covenant is enforceable.
- (3) In section 2 of the Local Land Charges Act 1975 (matters which are not local land charges), the references in paragraphs (a) and (b) to a covenant or agreement made between a lessor and a lessee do not include a conservation covenant.
- (4) In its application to a conservation covenant, section 10(1) of the Local Land Charges Act 1975 (compensation for non-registration or defective official search certificate) has effect as if—
- (a) in the words preceding paragraph (a), the words from the beginning to “but” were omitted,
- (b) paragraph (a) (non-registration) were omitted, and
- (c) in paragraph (b), for the words from “in existence” to the end there were substituted the words “registered in that register at the time of the search but was not shown by the official search certificate as so registered”.
Duration of obligation under conservation covenant
121
- (1) An obligation under a conservation covenant has effect for the default period, unless the covenant provides for a shorter period.
- (2) The default period for the purposes of subsection (1) is—
- (a) if the qualifying estate in relation to the obligation is an estate in fee simple absolute in possession, a period of indefinite duration, and
- (b) if the qualifying estate in relation to the obligation is a term of years absolute, a period corresponding in length to the remainder of the period for which the term of years was granted.
Benefit and burden of obligation of landowner
122
- (1) An obligation of the landowner under a conservation covenant is owed to the responsible body under the covenant.
- (2) Subject to the following provisions, an obligation of the landowner under a conservation covenant binds—
- (a) the landowner under the covenant, and
- (b) any person who becomes a successor of the landowner under the covenant.
- (3) In subsection (2)(b) “successor” (in relation to the landowner under the covenant) means a person who holds, in respect of any of the land to which the obligation relates—
- (a) the qualifying estate, or
- (b) an estate in land derived (whether immediately or otherwise) from the qualifying estate after the creation of the covenant.
- (4) An obligation of the landowner under a conservation covenant ceases to bind the landowner under the covenant, or a person who becomes a successor of that landowner, in respect of—
- (a) land which ceases to be land to which the obligation relates,
- (b) in the case of the landowner under the covenant, land in relation to which the landowner ceases to be the holder of the qualifying estate, or
- (c) in the case of a successor, land in relation to which the successor ceases to be the holder of the qualifying estate or of the estate derived from the qualifying estate, as the case may be.
- (5) Subsection (2)(b) does not apply if—
- (a) the obligation is positive and the person becomes a successor by virtue of holding a term of years absolute granted for a term of seven years or less from the date of the grant,
- (b) the conservation covenant was not registered in the local land charges register at the time when the successor acquired the estate in land concerned, or
- (c) the successor’s immediate predecessor was not bound by the obligation in respect of the land to which the successor’s interest relates.
- (6) In the case of a conservation covenant relating to land in an area in relation to which section 3 of the Local Land Charges Act 1975 (as substituted by paragraph 3 of Schedule 5 to the Infrastructure Act 2015) does not yet have effect, the reference in subsection (5)(b) to the local land charges register is to the appropriate local land charges register.
- (7) The reference in subsection (5)(b) to the time when the successor acquired the estate in land concerned is, if the successor acquired that interest under a disposition which took effect at law only when registered in the register of title kept under the Land Registration Act 2002, to be read as a reference to the time when the disposition was made.
- (8) In subsection (5)(c) the successor’s “immediate predecessor” is, unless subsection (9) applies, the successor’s immediate predecessor in title.
- (9) If the successor is the first holder of an estate in land which is derived from another estate in land (whether the other estate is the qualifying estate or an estate derived, immediately or otherwise, from it) the successor’s immediate predecessor is the holder of that other estate when the derived estate was created.
Benefit of obligation of responsible body
123
- (1) Subject to the following provisions, an obligation of the responsible body under a conservation covenant is owed—
- (a) to the landowner under the covenant, and
- (b) to any person who becomes a successor of the landowner under the covenant.
- (2) In this section “successor” (in relation to the landowner under the covenant) means a person who holds, in respect of any of the land to which the obligation relates—
- (a) the qualifying estate, or
- (b) an estate in land derived (whether immediately or otherwise) from the qualifying estate after the creation of the covenant.
- (3) An obligation of the responsible body under a conservation covenant ceases to be owed to the landowner under the covenant, or to a person who becomes a successor of that landowner, in respect of—
- (a) land which ceases to be land to which the obligation relates,
- (b) in the case of the landowner under the covenant, land in relation to which the landowner ceases to be the holder of the qualifying estate, or
- (c) in the case of a successor, land in relation to which the successor ceases to be the holder of the qualifying estate or of the estate derived from the qualifying estate, as the case may be.
- (4) Subsection (1)(b) does not apply if the obligation is ancillary to an obligation of the landowner under the covenant which does not bind the successor.
Breach and enforcement
Breach of obligation
124
- (1) A person bound by a negative obligation under a conservation covenant breaches the obligation by—
- (a) doing something which it prohibits, or
- (b) permitting or suffering another person to do such a thing.
- (2) A person bound by a positive obligation under a conservation covenant breaches the obligation if it is not performed.
Enforcement of obligation
125
- (1) In proceedings for the enforcement of an obligation under a conservation covenant, the available remedies are—
- (a) specific performance,
- (b) injunction,
- (c) damages, and
- (d) order for payment of an amount due under the obligation.
- (2) On an application for a remedy under subsection (1)(a) or (b), a court must, in considering what remedy is appropriate, take into account any public interest in the performance of the obligation concerned.
- (3) Subject to subsection (4), contract principles apply to damages for breach of an obligation under a conservation covenant.
- (4) In the case of breach of an obligation of the landowner under a conservation covenant, a court may award exemplary damages in such circumstances as it thinks fit.
- (5) For the purposes of the Limitation Act 1980, an action founded on an obligation under a conservation covenant is to be treated as founded on simple contract.
Defences to breach of obligation
126
- (1) In proceedings for breach of an obligation under a conservation covenant it is a defence to show—
- (a) that the breach occurred as a result of a matter beyond the defendant’s control,
- (b) that the breach occurred as a result of doing, or not doing, something in an emergency in circumstances where it was necessary for that to be done, or not done, in order to prevent loss of life or injury to any person, or
- (c) that at the time of the breach—
- (i) the land to which the obligation relates was, or was within an area, designated for a public purpose, and
- (ii) compliance with the obligation would have involved a breach of any statutory control applying as a result of the designation.
- (2) If the only reason for the application of subsection (1)(c) was failure to obtain authorisation, the defendant must also show that all reasonable steps to obtain authorisation had been taken.
- (3) The defence under subsection (1)(c) does not apply if the designation was in force when the conservation covenant was created.
- (4) The defence of statutory authority (which applies in relation to the infringement of rights such as easements by a person acting under statutory authority) applies in relation to breach of an obligation under a conservation covenant.
- (5) In this section—
- “authorisation” means any approval, confirmation, consent, licence, permission or other authorisation (however described), whether special or general;
- “statutory control” means control imposed by provision contained in, or having effect under, an Act.
Discharge and modification
Discharge of obligation of landowner by agreement
127
- (1) The responsible body under a conservation covenant and a person who holds the qualifying estate in respect of any of the land to which an obligation of the landowner under the covenant relates may, by agreement, discharge from the obligation any of the land in respect of which the person holds that estate.
- (2) Subsection (3) applies to—
- (a) the responsible body under a conservation covenant, and
- (b) a person who is a successor of the landowner under the covenant by virtue of holding an estate in land which—
- (i) is an estate in respect of any of the land to which an obligation of the landowner under the covenant relates, and
- (ii) is derived (whether immediately or otherwise) from the qualifying estate.
- (3) Those persons may, by agreement, discharge the estate in land mentioned in subsection (2)(b) from the obligation in respect of any of the land to which the obligation relates.
- (4) Any power under this section is exercisable by agreement executed as a deed by the parties which specifies—
- (a) the obligation to which the discharge relates,
- (b) the land to which the discharge relates, and
- (c) the estate in land by virtue of which the power is exercisable.
Discharge of obligation of responsible body by agreement
128
- (1) A person to whom an obligation of the responsible body under a conservation covenant is owed by virtue of the person holding an estate in land may, by agreement with the responsible body, discharge the obligation, so far as owed in relation to that estate, in respect of any of the land in respect of which the person is entitled to the benefit of the obligation.
- (2) The power under this section is exercisable by agreement executed as a deed by the parties which specifies—
- (a) the obligation to which the discharge relates,
- (b) the land to which the discharge relates, and
- (c) the estate in land by virtue of which the power is exercisable.
Modification of obligation by agreement
129
- (1) A person bound by, or entitled to the benefit of, an obligation under a conservation covenant may, by agreement with the responsible body under the covenant, modify the obligation in its application to any of the land in respect of which the person is bound by, or entitled to the benefit of, it.
- (2) The power under subsection (1) does not include power to make a change which, had it been included in the original agreement, would have prevented the provision of the agreement that gave rise to the obligation being provision in relation to which the conditions in section 117(1) were met.
- (3) The power under this section is exercisable by agreement executed as a deed by the parties which specifies—
- (a) the obligation to which the modification relates,
- (b) the land to which the modification relates, and
- (c) the estate in land by virtue of which the power is exercisable.
- (4) If an obligation under a conservation covenant is modified by an agreement under this section, the modification binds—
- (a) the parties to the agreement, and
- (b) any person who, as respects any of the land to which the modification relates, becomes a successor of a person bound by the modification.
- (5) In subsection (4)(b) “successor of a person bound by the modification”, means a person who holds, in respect of any of the land to which the modification relates—
- (a) the estate held by the person bound by the modification when the modification was agreed, or
- (b) an estate in land derived (whether immediately or otherwise) from that estate after the modification is agreed.
Discharge or modification of obligation by Upper Tribunal
130
- (1) Schedule 18 makes provision about the discharge or modification of an obligation under a conservation covenant on application to the Upper Tribunal.
- (2) Where any proceedings by action or otherwise are taken to enforce an obligation under a conservation covenant, any person against whom the proceedings are taken may in such proceedings apply to the High Court or the county court for an order giving leave to apply to the Upper Tribunal under Schedule 18 and staying the proceedings in the meantime.
- (3) No application under section 84(1) of the Law of Property Act 1925 (which enables the Upper Tribunal on application to discharge or modify a restriction arising under covenant or otherwise) may be made in relation to an obligation under a conservation covenant.
Replacement etc of responsible body
Power of responsible body to appoint replacement
131
- (1) The responsible body under a conservation covenant may appoint another responsible body to be the responsible body under the covenant, unless the covenant otherwise provides.
- (2) The power under subsection (1) is exercisable by agreement executed as a deed by the appointor and appointee.
- (3) In the case of a conservation covenant registered in the local land charges register, an appointment under subsection (1) only has effect if the appointor supplies to the Chief Land Registrar the information necessary to enable the Registrar to amend the registration.
- (4) In the case of a conservation covenant relating to land in an area in relation to which section 3 of the Local Land Charges Act 1975 (as substituted by paragraph 3 of Schedule 5 to the Infrastructure Act 2015) does not yet have effect—
- (a) the references in subsection (3) to the local land charges register and the Chief Land Registrar are to the appropriate local land charges register and the authority responsible for that register, but
- (b) subsection (3) does not apply to an appointment by that authority.
- (5) Appointment under subsection (1) has effect to transfer to the appointee—
- (a) the benefit of every obligation of the landowner under the conservation covenant, and
- (b) the burden of every obligation of the responsible body under the covenant.
- (6) Appointment under subsection (1) does not have effect to transfer any right or liability in respect of an existing breach of obligation.
- (7) A body appointed under subsection (1) as the responsible body under a conservation covenant must notify its appointment to every person who is bound by an obligation of the landowner under the covenant.
Body ceasing to be a responsible body
132
- (1) Subsections (2) and (3) apply if a body which is the responsible body under a conservation covenant ceases to be a designated body.
- (2) The body ceases to be the responsible body under the conservation covenant.
- (3) The following transfer to the Secretary of State—
- (a) the benefit of every obligation of the landowner under the covenant, and
- (b) the burden of every obligation of the responsible body under the covenant.
- (4) Subsection (3) does not have effect to transfer any right or liability in respect of an existing breach of obligation.
- (5) If subsection (3) has effect in relation to a conservation covenant, the Secretary of State becomes custodian of the covenant until—
- (a) an appointment under section 131(1) by the Secretary of State has effect in relation to the covenant, or
- (b) the Secretary of State makes an election under subsection (6) in relation to the covenant.
- (6) If custodian of a conservation covenant, the Secretary of State may elect to be the responsible body under the covenant by giving written notice of election to every person who is bound by an obligation of the landowner under the covenant.
- (7) The Secretary of State may, as custodian of a conservation covenant—
- (a) enforce any obligation of the landowner under the covenant, and
- (b) exercise in relation to the covenant any power conferred by this Part on the responsible body under the covenant.
- (8) In relation to any period as custodian of a conservation covenant, the Secretary of State has no liability with respect to performance of any obligation of the responsible body under the covenant.
Miscellaneous
Effect of acquisition or disposal of affected land by responsible body
133
If the responsible body under a conservation covenant acquires an estate in land to which an obligation under the covenant relates (whether an obligation of the landowner or of the responsible body under the covenant)—
- (a) the acquisition does not have effect to extinguish the obligation,
- (b) section 122(2)(b) applies to the body as it would apply to any other person acquiring the estate in land in the same circumstances, and
- (c) any obligation of the responsible body under the covenant continues to bind the body in accordance with this Part.
Effect of deemed surrender and re-grant of qualifying estate
134
- (1) Subsection (2) applies if a term of years absolute which is the qualifying estate in relation to an obligation under a conservation covenant is deemed to be surrendered and re-granted by operation of law.
- (2) In the application of sections 122, 123 and 127 to the period after the deemed surrender, references to the qualifying estate are to be read as including a reference to the term of years deemed to be granted.
Declarations about obligations under conservation covenants
135
- (1) The court or Upper Tribunal may on the application of any person interested declare—
- (a) whether anything purporting to be a conservation covenant is a conservation covenant,
- (b) whether any land is land to which an obligation under a conservation covenant relates,
- (c) whether any person is bound by, or entitled to the benefit of, an obligation under a conservation covenant and, if so, in respect of what land,
- (d) what, upon the true construction of any instrument by means of which an obligation under a conservation covenant is created or modified, is the nature of the obligation.
- (2) No application under section 84(2) of the Law of Property Act 1925 (which enables the court on application to make declarations about restrictions under instruments) may be made in relation to an obligation under a conservation covenant.
- (3) In this section “the court” means the High Court or the county court.
Duty of responsible bodies to make annual return
136
- (1) A designated body must make an annual return to the Secretary of State stating whether, during the period to which the return relates, there were any conservation covenants under which an obligation was owed to it as the responsible body.
- (2) If there were any such conservation covenants, the annual return must—
- (a) state the number of conservation covenants;
- (b) state, for each conservation covenant, the area of the land in relation to which the body was owed any obligation as the responsible body.
- (3) The annual return must also give any information that is prescribed under subsection (4).
- (4) The Secretary of State may by regulations make provision about annual returns to be made by a designated body.
- (5) The provision which may be made under subsection (4) includes, in particular, provision—
- (a) prescribing information to be included in an annual return (but see subsection (10)), and
- (b) provision as to the period to which an annual return is to relate and the date by which an annual return is to be made.
- (6) Subject to any provision made as mentioned in subsection (5)(b)—
- (a) the period to which an annual return is to relate, and
- (b) the date by which an annual return is to be made,
are such period and date as the Secretary of State may direct.
- (7) On giving a direction under subsection (6) the Secretary of State must take all reasonable steps to draw the direction to the attention of each responsible body affected by it.
- (8) A direction under subsection (6) may be varied or revoked by a further such direction.
- (a) provision of general application, or
- (b) provision applicable only to one or more particular responsible bodies or to responsible bodies of a particular description.
- (10) Any information prescribed for inclusion in an annual return made by a designated body must be information about or connected with—
- (a) the designated body;
- (b) its activities over the period to which the return relates;
- (c) any conservation covenant under which an obligation was owed to it as the responsible body during that period;
- (d) the land in relation to which it was owed such an obligation.
- (11) Regulations under this section are subject to the negative procedure.
Supplementary
Crown application
137
Schedule 19 makes provision about the application of this Part to Crown land.
Index of defined terms in Part 7
138
The following Table sets out expressions defined or explained in this Part for general purposes.
| Expression | Provision |
|---|---|
| conservation covenant | section 118(1) |
| conservation covenant agreement | section 117(1) |
| conservation purpose | section 117(3) |
| conserving (something) | section 117(4) |
| designated body | section 119(1)(b) |
| natural environment (in relation to land) | section 117(4) |
| qualifying estate (generally) | section 117(4) |
| the qualifying estate (in relation to an obligation under a conservation covenant) | section 117(4) |
| responsible body | section 119 |
Consequential amendments relating to Part 7
139
Schedule 20 makes consequential amendments relating to this Part.
PART 8 — Miscellaneous and general provisions
Regulation of chemicals
Amendment of REACH legislation
140
Schedule 21 confers powers to amend the REACH Regulation and the REACH Enforcement Regulations 2008.
Concurrent functions in Wales
Amendments of Schedule 7B to the Government of Wales Act 2006
141
- (1) Schedule 7B to the Government of Wales Act 2006 (general restrictions on legislative competence of Senedd Cymru) is amended as follows.
- (2) In paragraph 9(8)(b) (exceptions to restrictions relating to reserved authorities)—
- (a) omit the “or” at the end of paragraph (v);
- (b) after paragraph (vi) insert
; or (vii) the Environment Act 2021.
- (3) In paragraph 11(6)(b) (exceptions to restrictions relating to Ministers of the Crown)—
- (a) omit the “or” at the end of paragraph (v);
- (b) after paragraph (vi) insert
; or (vii) the Environment Act 2021.
General provisions
Consequential provision
142
- (1) The Secretary of State may by regulations make provision that is consequential on this Act or regulations under this Act.
- (2) The Welsh Ministers may by regulations make provision that is consequential on—
- (a) a provision within section 147(4) (provisions to be commenced by Welsh Ministers), or
- (b) regulations under this Act made by the Welsh Ministers.
- (3) The Scottish Ministers may by regulations make provision that is consequential on—
- (a) a provision within section 147(5) (provisions to be commenced by Scottish Ministers), or
- (b) regulations under this Act made by the Scottish Ministers.
- (4) The Department of Agriculture, Environment and Rural Affairs in Northern Ireland may by regulations make provision that is consequential on—
- (a) a provision within section 147(6) (provisions to be commenced by the Department), or
- (b) regulations under this Act made by that Department.
- (5) The Department for the Economy in Northern Ireland may by regulations make provision that is consequential on regulations under this Act made by that Department.
- (6) Regulations under this section may amend or repeal provision made by or under any legislation (whenever passed or made).
- (7) Regulations under this section are subject to the affirmative procedure if they amend or repeal any provision of—
- (a) an Act of Parliament,
- (b) a Measure or Act of Senedd Cymru,
- (c) an Act of the Scottish Parliament, or
- (d) Northern Ireland legislation, ...
- (e) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
- (8) Regulations under this section to which subsection (7) does not apply are subject to the negative procedure.
- (9) Regulations under this section—
- (a) made by the Welsh Ministers, may contain only provision which, if contained in an Act of Senedd Cymru, would be within the legislative competence of the Senedd;
- (b) made by the Scottish Ministers, may contain only provision which, if contained in an Act of the Scottish Parliament, would be within the legislative competence of the Parliament;
- (c) made by a Northern Ireland department, may contain only provision which, if contained in an Act of the Northern Ireland Assembly, would be within the legislative competence of the Assembly and would not require the Secretary of State’s consent.
- (10) Regulations under this section made by the Secretary of State may not contain provision that could be contained in regulations under this section—
- (a) made by the Welsh Ministers, unless the Welsh Ministers consent;
- (b) made by the Scottish Ministers, unless the Scottish Ministers consent;
- (c) made by a Northern Ireland department, unless the department consents.
Regulations
143
- (1) A power to make regulations under any provision of this Act includes power to make—
- (a) supplementary, incidental, transitional or saving provision;
- (b) different provision for different purposes or areas.
- (2) Subsection (1) does not apply to regulations under section 147 or 148.
- (3) Regulations under this Act made by—
- (a) the Secretary of State, or
- (b) the Welsh Ministers,
are to be made by statutory instrument.
- (4) A power of a Northern Ireland department to make regulations under this Act is exercisable by statutory rule for the purposes of the Statutory Rules (Northern Ireland) Order 1979 (S.I. 1979/1573 (N.I. 12)).
- (5) Where regulations under this Act made or to be made by the Secretary of State—
- (a) are subject to the negative procedure, the statutory instrument containing them is subject to annulment in pursuance of a resolution of either House of Parliament;
- (b) are subject to the affirmative procedure, they may not be made unless a draft of the statutory instrument containing them has been laid before, and approved by a resolution of, each House of Parliament.
- (6) Where regulations under this Act made or to be made by the Welsh Ministers—
Reading this document does not replace reading the official text published on legislation.gov.uk. Contains public sector information licensed under the Open Government Licence v3.0. We assume no responsibility for any inaccuracies arising from the conversion of the original CLML XML to this format.
This text is published under legislation.gov.uk's own terms of reuse, not a Legalize or public-domain licence.
legislation.gov.uk
Open Government Licence v3.0 (attribution required)
© Crown and database right. Derived from content available under the Open Government Licence v3.0 from legislation.gov.uk.