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Energy Act 2023

Current text a fecha 2024-10-01

Part 1 — Licensing of carbon dioxide transport and storage

Chapter 1 — Licensing of activities

General functions

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

1

Licensable activities

Prohibition on unlicensed activities

2

which falls within subsection (4).

Consultation on proposals for additional activities to become licensable

3

and must consider any representations or objections duly made and not withdrawn.

Territorial scope of prohibition

4

Section 2(1) applies to activities in, above or below—

as it applies to activities in the United Kingdom.

Exemption from prohibition

5

and must consider any representations which are duly made in respect of the proposals and not withdrawn.

Revocation or withdrawal of exemption

6

Grant and conditions of licences

Power to grant licences

7

Power to create licence types

8

and must consider any representations duly made and not withdrawn.

and “the relevant devolved competence”, in relation to a relevant devolved authority, is to be construed accordingly.

and references to provision being within devolved competence are to provision that is within Scottish, Welsh or Northern Ireland devolved competence.

Procedure for licence applications

9

and the Secretary of State must consider any representations or objections which are duly made and not withdrawn.

and must consider any representations or objections which are duly made and not withdrawn.

Competitive tenders for licences

10

and must consider any representations duly made and not withdrawn.

Conditions of licences: general

11

Standard conditions of licences

12

and must consider any representations or objections which are duly made and not withdrawn.

Modification of conditions of licences

13

Modification of conditions under section 13: supplementary

14

Modification by order under other enactments

15

to such extent as may appear to the relevant authority to be necessary or expedient for the purpose of giving effect to, or taking account of, any provision made by the order.

Interim power of Secretary of State to grant licences

Interim power of Secretary of State to grant licences

16

Schedule 1 makes provision about the power of the Secretary of State to grant licences during an interim period.

Termination of licence

Termination of licence

17

Transfer of licences

Transfer of licences

18

Consenting to transfer

19

and must be published in such manner as the economic regulator considers appropriate for bringing it to the attention of persons likely to be affected by the transfer.

Appeal from decisions of the economic regulator

Appeal to the CMA

20

Procedure on appeal to CMA

21

Determination by CMA of appeal

22

CMA’s powers on allowing appeal

23

Time limits for CMA to determine an appeal

24

Determination of appeal by CMA: supplementary

25

Information

Provision of information to or by the economic regulator

26

Power of Secretary of State to require information

27

Other functions of the economic regulator

Monitoring, information gathering etc

28

Power to require information for purposes of monitoring

29

Duty to carry out impact assessment

30

but this section does not apply if it appears to the economic regulator that the urgency of the matter makes it impracticable or inappropriate for the economic regulator to comply with the requirements of this section.

the requirements of this section are in addition to, but may be performed contemporaneously with, the other requirements.

Reasons for decisions

31

Enforcement

Enforcement of obligations of licence holders

32

Schedule 3makes provision for the enforcement of conditions of licences and of other requirements imposed on licence holders by or under this Part.

False statements

Making of false statements etc

33

Criminal liability and procedure

Liability of officers of entities

34

that officer (as well as the body corporate) commits the offence and is liable to be proceeded against and dealt with accordingly.

Criminal proceedings

35

Chapter 2 — Functions with respect to competition

Functions under the Enterprise Act 2002

36

(1) Where the Gas and Electricity Markets Authority— (a) is proposing to carry out its functions under section 28(1) or (2) of the Energy Act 2023 in relation to a matter for the purposes mentioned in subsection (2), and (b) considers that the matter is one in respect of which it would be appropriate for the Gas and Electricity Markets Authority to exercise its powers under section 174 (investigation) in connection with deciding whether to make a reference under section 131, the Gas and Electricity Markets Authority must publish a notice under this section (referred to in this Part as a “market study notice”).

, and

and the group must, for the purposes of carrying out any such investigation, take into account any information given to them for that purpose under this subsection.

Functions under the Competition Act 1998

37

which relate to the carrying on of relevant transport and storage activities.

Sections 36 and 37: supplementary

38

by or in relation to the economic regulator on the ground that it should have been done by or in relation to the CMA.

Chapter 3 — Reporting requirements

Forward work programmes

39

and must consider any representations or objections which are duly made and not withdrawn.

Information in relation to CCUS strategy and policy statement

40

Annual report on transport and storage licensing functions

41

Chapter 4 — Special administration regime

Transport and storage administration orders

Transport and storage administration orders

42

Objective of a transport and storage administration

43

of so much of that undertaking as it is appropriate to transfer for the purpose of achieving the objective of the transport and storage administration.

Application and amendment of the Energy Act 2004

Application of certain provisions of the Energy Act 2004

44

— (a) GEMA, (b) the Health and Safety Executive, (c) the Oil and Gas Authority, (d) the appropriate devolved authorities (if any), and (e) such other persons as the Secretary of State considers appropriate.

;

(5) This paragraph also applies in relation to any licence or permit that the relevant licence mentioned in sub-paragraph (1) requires its holder to hold as it applies in relation to the relevant licence.

;

(14) For the purposes of paragraphs 3(8)(e) and 9(6)(e) the “appropriate devolved authorities” are— (a) the Welsh Ministers, if provision making the scheme or (as the case may be) modification would be within the legislative competence of Senedd Cymru if it were contained in an Act of the Senedd (ignoring any requirement for the consent of a Minister of the Crown imposed under Schedule 7B to the Government of Wales Act 2006); (b) the Scottish Ministers, if provision making the scheme or (as the case may be) modification would be within the legislative competence of the Scottish Parliament if it were contained in an Act of that Parliament.

  • objective of the transport and storage administration” is to be construed in accordance with section 43 of the Energy Act 2023;

;

  • relevant controlled place” has the meaning given by section 42(5) of the Energy Act 2023;

;

  • T&S company” has the meaning given by section 42(2) of the Energy Act 2023;

;

  • transport and storage administration order” has the meaning given by section 42(1) of the Energy Act 2023;

;

  • transport and storage administration rules” means the rules made under section 411 of the 1986 Act by virtue of section 159(3) of this Act, for the purpose of giving effect to this Chapter as applied by section 44 of the Energy Act 2023;

;

  • T&S administrator” has the meaning given by section 49 of the Energy Act 2023;

;

  • relevant licence” means a licence under section 7 of the Energy Act 2023.

Conduct of administration, transfer schemes etc

45

In section 159(3) of the Energy Act 2004 (conduct of administration, transfer schemes, etc under Chapter 3 of Part 3 of that Act), for “or section 33 of the Nuclear Energy (Financing) Act 2022” substitute “, section 33 of the Nuclear Energy (Financing) Act 2022 or section 44 of the Energy Act 2023”.

Licence modifications

Modification of conditions of licences

46

Powers to modify enactments

Modification under the Enterprise Act 2002

47

Power to make further modifications of insolvency legislation

48

Interpretation

Interpretation of Chapter 4

49

Chapter 5 — Transfer schemes

Transfer schemes

50

Consultation in relation to transfers

51

Conduct of transfer schemes

52

Schedule 4 contains further provision about transfer schemes under section 50.

Chapter 6 — Miscellaneous and general

Cooperation of storage licensing authority with economic regulator

53

(34A) (1) This section applies where a licence holder also holds a relevant licence. (2) The licensing authority who granted the licence to the licence holder must provide such assistance as the economic regulator may reasonably require in carrying out its functions in relation to the relevant licence. (3) The licensing authority must, in particular, inform the economic regulator if it becomes aware of— (a) circumstances that have arisen, or are likely to arise, in relation to the activities authorised by the licence which, in the opinion of the licensing authority, could affect the carrying on of activities authorised by the relevant licence; (b) circumstances that have arisen, or are likely to arise, in which the licence or a storage permit granted under the licence may be terminated. (4) In this section— - “economic regulator” has the same meaning as in Part 1 of the Energy Act 2023 (see section 55 of that Act); - “relevant licence” means a licence under section 7 of the Energy Act 2023; - “storage permit” means a storage permit within the meaning of— regulation 1(3) of the Storage of Carbon Dioxide (Licensing etc) Regulations 2010 (S.I. 2010/2221), or regulation 1(3) of the Storage of Carbon Dioxide (Licensing etc) (Scotland) Regulations 2011 (S.S.I. 2011/24). (34B) (1) A licensing authority may provide information relating to a licence or a storage permit granted under a licence to the economic regulator for the purpose of enabling or facilitating the exercise of the economic regulator’s functions in relation to a relevant licence. (2) Except as provided by subsection (3), the disclosure of information under this section does not breach— (a) any obligation of confidence owed by the person making the disclosure, or (b) any other restriction on the disclosure of information (however imposed). (3) This section does not authorise or require a disclosure of information if the disclosure would contravene the data protection legislation (but in determining whether a disclosure would do so, the power conferred by subsection (1) is to be taken into account). (4) In this section— - “the data protection legislation” has the same meaning as in the Data Protection Act 2018 (see section 3 of that Act); - “economic regulator”, “relevant licence” and “storage permit” have the same meaning as in section 34A; - “information” includes advice.

Amendments related to Part 1

54

Schedule 5 contains amendments related to this Part.

Interpretation of Part 1

55

In this Part—

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

Chapter 1 — Revenue support contracts

Key definitions

Revenue support contracts

56

Provision of revenue support under certain contracts

Revenue support contracts

57

Duties of revenue support counterparty

Duties of revenue support counterparty

58

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

Designation of carbon dioxide transport and storage counterparty

59

Direction to offer to contract with licence holder

60

Hydrogen transport

Designation of hydrogen transport counterparty

61

Direction to offer to contract with eligible hydrogen transport provider

62

Hydrogen storage

Designation of hydrogen storage counterparty

63

Direction to offer to contract with eligible hydrogen storage provider

64

Hydrogen production

Designation of hydrogen production counterparty

65

Direction to offer to contract with eligible low carbon hydrogen producer

66

Carbon capture

Designation of carbon capture counterparty

67

Direction to offer to contract with eligible carbon capture entity

68

Hydrogen levy

Appointment of hydrogen levy administrator

69

Obligations of relevant market participants

70

Payments to relevant market participants

71

Functions of hydrogen levy administrator

72

as may be specified in the regulations.

may be recovered from the relevant market participant by the hydrogen levy administrator as a civil debt due to it.

Allocation of contracts

Power to appoint allocation bodies

73

Standard terms of revenue support contracts

74

Allocation notifications

75

Allocation of contracts

76

Duty to offer to contract following allocation

77

Modification of standard terms

78

Sections 75 to 78: supplementary

79

Provision made by regulations by virtue of any of sections 75 to 78 may include provision for—

Licence conditions regarding functions of certain allocation bodies

80

(5ZA) Without prejudice to the generality of paragraph (a) of subsection (4), conditions for or in connection with the purpose set out in subsection (5ZB) may be included in a licence under section 7AA by virtue of that paragraph. (5ZB) The purpose is to facilitate or ensure the effective performance (whether in relation to Northern Ireland or any other part of the United Kingdom), at relevant times, of functions of a hydrogen production allocation body under Chapter 1 of Part 2 of the Energy Act 2023. (5ZC) In subsection (5ZB)relevant times” means times when the hydrogen production allocation body holds a licence under section 7AA.

section 23 of that Act has effect as if the persons listed in subsection (4)(b) of that section included the Department for the Economy in Northern Ireland.

General provision about counterparties

Further provision about designations

81

Application of sums held by a revenue support counterparty

82

in circumstances where the revenue support counterparty is unable to fully meet its liabilities under a revenue support contract.

Information and advice

Information and advice

83

to provide information to it;

does not apply to a disclosure required by virtue of this section.

Enforcement

Enforcement

84

Consultation

Consultation

85

and the Secretary of State must consider any representations duly made by persons consulted under this subsection and not withdrawn.

Transfer schemes

Transfer schemes

86

Modification of transfer schemes

87

General

Shadow directors, etc

88

Modifications of licences etc for purposes related to levy obligations

89

Electricity system operator and gas system planner licences: modifications

90

Sections 89 and 90: supplementary

91

Chapter 2 — Decommissioning of carbon storage installations

Financing of costs of decommissioning etc

Financing of costs of decommissioning etc

92

Section 92: supplementary

93

that the Secretary of State considers appropriate in consequence of, or of provision made under, section 92 or this section.

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

94

and must consider any representations duly made and not withdrawn.

and “the relevant devolved competence”, in relation to a relevant devolved authority, is to be construed accordingly.

and references to provision being within devolved competence are to provision that is within Scottish, Welsh or Northern Ireland devolved competence.

Abandonment of carbon storage installations etc

Provisions relating to Part 4 of the Petroleum Act 1998

95

(1AA) Part 4 of the 1998 Act, in its application in relation to carbon storage installations, has effect with the modifications set out in subsection (1AB). (1AB) The modifications are as follows— (a) in section 30 of the 1998 Act, for subsections (5) and (6) substitute— (5) This subsection applies to a person in relation to a carbon storage installation if— (a) the person has the right— (i) to use a controlled place for the storage of carbon dioxide (with a view to its permanent disposal, or as an interim measure prior to its permanent disposal), (ii) to convert any natural feature in a controlled place for the purpose of storing carbon dioxide (with a view to its permanent disposal, or as an interim measure prior to its permanent disposal), or (iii) to explore a controlled place with a view to, or in connection with, the carrying on of the activities within sub-paragraph (i) or (ii), and (b) either— (i) any activity mentioned in subsection (6) is carried on from, by means of or on the installation, or (ii) the person intends to carry on an activity mentioned in that subsection from, by means of or on the installation, or if the person had such a right when any such activity was last so carried on. (6) The activities referred to in subsection (5) are— (a) the use of a controlled place for the storage of carbon dioxide (with a view to its permanent disposal, or as an interim measure prior to its permanent disposal) in the exercise of the right mentioned in subsection (5)(a); (b) the conversion of any natural feature in a controlled place for the purpose of storing carbon dioxide (with a view to its permanent disposal, or as an interim measure prior to its permanent disposal) in the exercise of the right mentioned in subsection (5)(a); (c) the exploration of a controlled place in the exercise of the right mentioned in subsection (5)(a) with a view to, or in connection with, the carrying on of activities within paragraph (a) or (b) of this subsection; (d) the conveyance in the controlled place mentioned in subsection (5)(a)of carbon dioxide by means of a pipe or system of pipes, in the exercise of the right mentioned in subsection (5)(a); and (e) the provision of accommodation for persons who work on or from an installation which is or has been maintained, or is intended to be established, for the carrying on of an activity falling within any of paragraphs (a) to (d) of this subsection. (b) in section 30(7) of that Act, in the words before paragraph (a), for “(c)” substitute “(e)”; (c) in section 31 of that Act, for subsection (B1) substitute— (B1) This subsection applies to an activity if— (a) where the activity is within paragraph (a), (b) or (c) of section 30(6), the controlled place mentioned in that paragraph is one for which the installation is, or is to be, established or maintained; (b) where the activity is within paragraph (d) of section 30(6), the conveyance of the carbon dioxide relates to a controlled place for which the installation is, or is to be, established; (c) where the activity is within paragraph (e) of section 30(6), the installation is in a controlled place in respect of which P has a licence under section 18 of the Energy Act 2008. (d) in section 31 of that Act, omit subsection (C1); (e) in section 45 of that Act, in the appropriate place insert— - “controlled place” has the same meaning as in section 17 of the Energy Act 2008;

(4B) The powers in subsections (2)(b) and (4) include power to amend or repeal subsections (1AA) and (1AB).

Change of use relief

Change of use relief: installations

96

(3A) The Secretary of State must consult the Oil and Gas Authority before deciding— (a) whether to designate an installation under subsection (1); (b) whether to make a certification under subsection (5)(b).

(4) An eligible CCS installation qualifies for change of use relief if— (a) the Secretary of State has given a CCS-related abandonment programme notice to a person in relation to the abandonment of the installation, and (b) the trigger event has occurred in relation to the installation. (4A) In subsection (4) “CCS-related abandonment programme notice” means an abandonment programme notice given under section 29 of the 1998 Act in that section’s application in relation to carbon storage installations (by virtue of section 30 of this Act).

(5) The trigger event occurs in relation to an eligible CCS installation when— (a) a decommissioning fund (as defined in section 92(7) of the Energy Act 2023) has been established for providing security for the discharge of liabilities in respect of decommissioning costs in relation to the installation, and (b) the Secretary of State certifies by notice in writing (an “approval notice”) that one or more relevant persons have paid into the fund an amount or amounts the total of which is not less than the required amount. (5A) In subsection (5)— (a) “relevant person” means a person of a description specified in regulations made by the Secretary of State; (b) “the required amount” means an amount determined by the Secretary of State in accordance with regulations made by the Secretary of State. (5B) Where the Secretary of State gives an approval notice in relation to an eligible CCS installation the Secretary of State must— (a) give a copy of the approval notice to every person to whom a notice has been given under section 29(1) of the 1998 Act in relation to the installation, and (b) publish a notice that— (i) specifies the installation, and (ii) states that the Secretary of State has given an approval notice under subsection (5)(b) in relation to it.

(11A) The Secretary of State must publish a notice given under subsection (1).

  • decommissioning costs” has the meaning given by section 92 of the Energy Act 2023;

;

  • “relevant person” means a person to whom a notice may be given under section 29(1) of the 1998 Act in relation to an offshore installation (within the meaning given by section 44 of the 1998 Act);

.

Change of use relief: carbon storage network pipelines

97

(1A) The Secretary of State must consult the Oil and Gas Authority before deciding— (a) whether to designate a pipeline under subsection (1); (b) whether to make a certification under subsection (3)(b).

(2) An eligible carbon storage network pipeline qualifies for change of use relief if— (a) the Secretary of State has given a CCS-related abandonment programme notice to a person in relation to the abandonment of the pipeline, and (b) the trigger event has occurred in relation to the pipeline. (2A) In subsection (2)CCS-related abandonment programme notice” means an abandonment programme notice under section 29 of the 1998 Act given at a time when the pipeline is used, or is to be used wholly or mainly— (a) for the purpose of disposing of carbon dioxide by way of geological storage, or (b) as a licensable means of transportation.

(3) The trigger event occurs in relation to an eligible carbon storage network pipeline when— (a) a decommissioning fund (as defined in section 92(7) of the Energy Act 2023) has been established for providing security for the discharge of liabilities in respect of decommissioning costs in relation to the pipeline, and (b) the Secretary of State certifies by notice in writing (an “approval notice”) that one or more relevant persons have paid into the fund an amount or amounts the total of which is not less than the required amount. (3A) In subsection (3)— (a) “relevant person” means a person of a description specified in regulations made by the Secretary of State; (b) “the required amount” means an amount determined by the Secretary of State in accordance with regulations made by the Secretary of State. (3B) Where the Secretary of State gives an approval notice in relation to an eligible carbon storage network pipeline, the Secretary of State must— (a) give a copy of the approval notice to every person to whom a notice has been given under section 29(1) of the 1998 Act in relation to the pipeline, and (b) publish a notice that— (i) specifies the pipeline, and (ii) states that the Secretary of State has given an approval notice under subsection (3)(b) in relation to it.

(6A) The Secretary of State must publish a notice given under subsection (1).

  • decommissioning costs” has the meaning given by section 92 of the Energy Act 2023;

;

  • “geological storage”, in relation to carbon dioxide, has the same meaning as in Part 1 of the Energy Act 2023 (see section 55 of that Act);

;

  • “licensable means of transportation” has the meaning given by section 2(3) of the Energy Act 2023;

;

  • “relevant person” means a person to whom a notice may be given under section 29(1) of the 1998 Act in relation to a submarine pipeline;

.

Change of use relief: supplementary

98

(30C) (1) The Secretary of State may by regulations make provision about the obtaining of information required, and sharing of information held, for the purposes of functions of the Secretary of State under sections 30A and 30B, including provision— (a) for the Secretary of State to require the holder of a licence under section 7 of the Energy Act 2023, or a person who qualifies for change of use relief under section 30A or 30B, to provide information to the Secretary of State; (b) authorising His Majesty’s Revenue and Customs (or anyone acting on their behalf) to disclose to the Secretary of State information held as mentioned in section 18(1) of the Commissioners for Revenue and Customs Act 2005; (c) for the enforcement of any requirement imposed by virtue of the regulations. (2) For the purposes of subsection (1), a person “qualifies for change of use relief” if— (a) but for section 30A(6) they would be a person to whom a notice may be given under section 29(1) of the Petroleum Act 1998 in relation to a carbon storage installation, or (b) but for section 30B(4) they would be a person to whom a proposal may be made under section 29(1) of the Petroleum Act 1998 in relation to a submarine pipeline. (3) In this section— - “carbon storage installation” has the same meaning as in section 30 of the Energy Act 2008; - “submarine pipeline” has the same meaning as in Part 4 of the 1998 Act (see section 45 of that Act).

Chapter 3 — Strategy and policy statement

Designation of strategy and policy statement

99

Duties with regard to considerations in the statement

100

Review

101

and the Secretary of State must consider any representations which are duly made and not withdrawn.

Procedural requirements

102

Chapter 4 — Carbon dioxide storage licences

Specified provisions in carbon dioxide storage licences

103

Content of storage permits under carbon dioxide storage licences

104

(1A) If the operator is a company, a storage permit must also include the provisions contained in paragraph 6(2) to (11) of Schedule 1, read as if— (a) any reference to a company were to the operator, (b) the reference in paragraph 6(8)(b) to the licence were to the storage permit, and (c) paragraph 6(10)(c) were omitted.

;

Offences relating to carbon dioxide storage licences

105

In section 23 of the Energy Act 2008 (offences relating to carbon dioxide storage licences), after subsection (1) insert—

(1A) But a licence holder does not commit an offence under subsection (1)(a) or (b) if— (a) the licence holder is a company, or, where there are joint licence holders, any of them is a company, and (b) the thing mentioned in subsection (1)(a) or (b) is a change in the control of the company.

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

106

After section 29 of the Energy Act 2008 insert—

(29A) (1) This section applies in relation to a licence granted (or having effect as if granted) by the OGA which includes provisions prohibiting a change in control of a licence holder which is a company without the OGA’s consent. (2) The OGA may by notice in writing require a person within subsection (3) to provide the OGA with any information that it requires for the purpose of exercising its functions in relation to a change or potential change in control of a licence holder which is a company. (3) The persons within this subsection are— (a) the company; (b) the person who (if consent were granted) would take control of the company; (c) if the company is a joint licence holder with another person or other persons, that other person or those other persons; (d) any person not within any of paragraphs (a) to (c) who appears to the OGA to have information that it requires as mentioned in subsection (2). (4) The power conferred by this section does not include power to require the provision of any information that would be protected from disclosure or production in legal proceedings on grounds of legal professional privilege or, in Scotland, confidentiality of communications. (5) Nothing in this section limits any power of the OGA to require information under— (a) regulations under this Chapter, (b) the terms of a licence, or (c) the terms of a permit granted under a licence.

Chapter 5 — Carbon storage information and samples

Introductory

Chapter 5: key definitions

107

Requirements relating to information and samples

Retention of information and samples

108

Preparation and agreement of information and samples plans

109

the plan has effect as if it had been prepared by the responsible person and agreed with the OGA.

Information and samples plans: supplementary

110

the reference to the responsible person in subsection (1) does not include that company.

Information and samples coordinators

111

Power of OGA to require information and samples

112

Prohibition on disclosure of information or samples by OGA

113

except in accordance with section 114 or Schedule 7.

Power of Secretary of State to require information and samples

114

except in accordance with this section.

Enforcement of sanctionable requirements

Power of OGA to give sanction notices

115

but it may not give separate sanction notices to each of them in respect of the failure.

Enforcement notices

116

before the end of the period specified in the notice.

Financial penalty notices

117

Revocation notices

118

on the date specified in the notice (“the revocation date”).

Operator removal notices

119

Duty of OGA to give sanction warning notices

120

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

121

the OGA must publish details of the cancellation or withdrawal.

Subsequent sanction notices

122

Withdrawal of sanction notices

123

Sanctions: information powers

124

General

Appeals

125

In Schedule 8

Procedure for enforcement decisions

126

Interpretation of Chapter 5

127

In this Chapter—

Chapter 6 — General

Access to infrastructure

128

and must consider any representations duly made and not withdrawn.

and any associated installations, apparatus or works.

Financial assistance

129

Part 3 — Licensing of hydrogen pipeline projects

Introductory

Key definitions for Part 3

130

Designation in relation to hydrogen pipeline projects

Designation

131

Designation: procedure

132

Revocation of designation

133

Grant etc of gas transporter licence

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

134

Applications for grant etc of gas transporter licence

135

Modification of gas transporter licence

Modification of gas transporter licence by Secretary of State

136

In paragraph (b), “gas” has the same meaning as in Part 1 of the Gas Act 1986 (see section 48(1) of that Act).

Scope of modification powers under section 136

137

Procedure etc relating to modifications under section 136

138

Information

Information and advice

139

Conditions of gas transporter licences

Conditions of gas transporter licences for conveyance of hydrogen

140

Other

Secretary of State directions to the GEMA

141

Repeal of Part 3

142

Part 4 — New technology

Chapter 1 — Low-carbon heat schemes

Low-carbon heat schemes

143

Application of scheme

144

Section 145 contains further provision about the setting of targets.

Setting of targets etc

145

Greenhouse gas emissions” means emissions of any greenhouse gas within the meaning of section 92(1) of the Climate Change Act 2008.

Further provision about scheme regulations

146

Administration of scheme

147

Enforcement, penalties and offences

148

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

149

Appeals

150

Scheme regulations: procedure etc

151

and must consider any representations duly made and not withdrawn.

Interpretation of Chapter 1

152

In this Chapter—

Chapter 2 — Hydrogen grid conversion trials

Modifications of the gas code

153

Regulations for protection of consumers

154

Chapter 3 — Miscellaneous

Hydrogen

Power to modify Gas Act 1986 in relation to hydrogen

155

in relation to the production, transportation, storage or use of hydrogen.

Fusion energy

Fusion energy facilities: nuclear site licence not required

156

(2A) Subsection (1) does not apply to a fusion energy facility. (2B) In subsection (2A), “fusion energy facility” means a site that is— (a) used for the purpose of installing or operating any plant designed or adapted for the production of electrical energy or heat by fusion, and (b) not also used for the purpose of installing or operating a nuclear reactor.

Renewable and sustainable fuel

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

157

After section 131C of the Energy Act 2004 insert—

(131D) (1) An RTF order may— (a) designate as recycled carbon fuel a description of liquid or gaseous fuel which is produced wholly from waste derived from a fossil source of energy; (b) designate as nuclear-derived fuel a description of liquid or gaseous fuel which is produced wholly using, or by a process powered wholly by, nuclear fuel. (2) Where a designation under subsection (1) is in force, the recycled carbon fuel or nuclear-derived fuel is to be treated for the purposes of this Chapter and any RTF order as renewable transport fuel.

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

158

Renewable liquid heating fuel obligations

159

and “biofuel”, “blended biofuel”, “fossil fuel” and “renewable source” have the meanings given in section 132 of the Energy Act 2004.

Removals of greenhouse gases

Climate Change Act 2008: meaning of “UK removals”

160

In section 29(1)(b) of the Climate Change Act 2008 (UK emissions and removals of greenhouse gases), for “land use, land-use change or forestry” substitute “processes, mechanisms or”.

Part 5 — Independent System Operator and Planner

Independent System Operator and Planner: functions and designation

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

161

Designation etc

162

General duties

Duty to promote particular objectives

163

Duty to have regard to particular matters

164

in relation to the carrying out of other relevant activities.

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

165
  • Independent System Operator and Planner” means the person for the time being designated under section 162(1) of the Energy Act 2023;

.

(ba) the Independent System Operator and Planner has given notice to the Secretary of State under section 165(2) of the Energy Act 2023 since the relevant time,

.

(5A) The Secretary of State may also review the strategy and policy statement at any other time if the Secretary of State considers it appropriate to do so in preparation for or in connection with the designation of a person under section 162(1) of the Energy Act 2023 (Independent System Operator and Planner).

(aa) the Independent System Operator and Planner,

.

(aa) the Independent System Operator and Planner,

.

Licences

Licensing of electricity system operator activity

166

(ca) co-ordinates and directs the flow of electricity onto and over transmission systems by means of which the transmission of electricity takes place;

.

(da) subject to subsections (1ZB) and (2ZA), a licence authorising a person to co-ordinate and direct the flow of electricity onto and over transmission systems by means of which the transmission of electricity takes place (“an electricity system operator licence”);

.

(1ZA) Subject to subsection (2ZA), the Secretary of State may grant an electricity system operator licence. (1ZB) The first electricity system operator licence may only be granted by the Secretary of State. (1ZC) For the purposes of this section, references to the grant of an electricity system operator licence include the giving of a direction under section 167 of the Energy Act 2023 in respect of a transmission licence.

(2ZA) A person may not be granted an electricity system operator licence unless the same person— (a) already holds a licence granted under section 7AA of the Gas Act 1986, or (b) is granted such a licence at the same time as the person is granted an electricity system operator licence.

(8A) If a person who holds an electricity system operator licence ceases at any time to hold a licence under section 7AA of the Gas Act 1986, the person is to be treated as ceasing to hold the electricity system operator licence at the same time.

(11ZA) An electricity system operator licence may not be transferred to a person unless a licence granted under section 7AA of the Gas Act 1986 is also transferred to the same person at the same time.

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

167

Licensing of gas system planning activity

168

(ca) carries out planning and forecasting functions of the Independent System Operator and Planner;

;

(10A) In subsection (5)(1)(ca), “planning and forecasting functions of the Independent System Operator and Planner” means functions that— (a) are conferred by or by virtue of an enactment on a person who is designated under section 162(1) of the Energy Act 2023, and (b) relate to strategic planning and forecasting in connection with the development of pipe-line systems operated by gas transporters for the conveyance of gas.

(7AA) (1) Subject to subsections (3) and (4), the Authority may grant a licence authorising a person to carry out planning and forecasting functions of the Independent System Operator and Planner (“a gas system planner licence”). (2) Subject to subsection (4), the Secretary of State may grant a gas system planner licence. (3) The first gas system planner licence may only be granted by the Secretary of State. (4) A person may not be granted a gas system planner licence unless either of the following paragraphs applies to the person— (a) the person— (i) already holds an electricity system operator licence, or (ii) is treated as holding such a licence by virtue of a direction under section 167 of the Energy Act 2023; (b) the person is granted an electricity system operator licence, or is treated by virtue of a direction under section 167 of the Energy Act 2023 as having been granted such a licence, at the same time as the person is granted a gas system planner licence. (5) In this section— - “electricity system operator licence” means a licence under section 6(1)(da) of the Electricity Act 1989; - “planning and forecasting functions of the Independent System Operator and Planner” has the meaning given by section 5(10A).

(3A) If a person who holds a gas system planner licence ceases at any time to hold a licence under section 6(1)(da) of the Electricity Act 1989, the person is to be treated as ceasing to hold the gas system planner licence at the same time.

(11ZA) A gas system planner licence may not be transferred to a person unless a licence granted under section 6(1)(da) of the Electricity Act 1989 is also transferred to the same person at the same time.

Modification of licences etc

169

Procedure relating to modifications under section 169

170

Advice, analysis and information

Provision of advice, analysis or information

171

Power to require information from regulated persons etc

172

In determining whether a disclosure would do so, the duty imposed by subsection (3) is to be taken into account.

Duty to keep developments in energy sector under review

173

The ISOP must keep under review developments relating to the energy sector that may be relevant to the carrying out of any of the ISOP’s functions.

Transfers, pensions and financial assistance

Transfers

174

Schedule 9 contains—

Pension arrangements

175

Schedule 10 contains provision about pension arrangements in connection with the ISOP.

Financial assistance for the ISOP

176

Competitive tenders for electricity projects

177

(2B) The conditions of a licence held by a person to which a duty imposed by subsection (1) or (2) applies may include a condition requiring the person, in performing the duty, to have regard to the interests of existing and future consumers in relation to gas conveyed through pipes (within the meaning of the Gas Act 1986).

(2A) The conditions of a licence held by a gas transporter may include a condition requiring the gas transporter, in performing a duty under subsection (1), (1A) or (2), to have regard to the interests of existing and future consumers in relation to electricity conveyed by distribution systems or transmission systems (within the meaning of the Electricity Act 1989).

Other

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

178

Minor and consequential amendments

179

Schedule 11 contains further amendments to the Electricity Act 1989 and the Gas Act 1986.

Interpretation of Part 5

180

Regulations under Part 5

181

Part 6 — Governance of gas and electricity industry codes

Key definitions for Part 6

Designation of codes etc

182

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

183

Designation of central systems

184

Licensing and selection of code manager

Licence under Gas Act 1986 for performance of code management function

185

; or (e) performs the function of code manager in relation to a designated gas licence document (see further subsections (11A) and (11B)),

.

(11A) A reference in this Part to a person (“P”) performing the function of code manager in relation to a designated gas licence document is a reference to making arrangements, with the persons to whom subsection (11B) applies, under which P is responsible for the governance of the document. (11B) This subsection applies to the holder of a licence for the purposes of section 5 where a condition of the licence— (a) requires the holder to comply with, or to enter into arrangements that conform with, the designated gas licence document in question, or (b) imposes obligations on the holder that do not apply to the holder where the holder complies with that document.

  • designated gas licence document” means a document that is— maintained in accordance with the conditions of a licence for the purposes of section 5, and designated under section 182 of the Energy Act 2023;

.

(7AC) (1) The Authority may grant a licence (“a code manager licence”) authorising a person to perform the function of code manager in respect of a designated gas licence document. (2) Where a designated gas licence document is also a designated electricity licence document, a person may not be granted a code manager licence in respect of the document unless the same person is at the same time granted a licence under section 6(1)(g) of the Electricity Act 1989. (3) In this section— - “designated electricity licence document” has the same meaning as in section 4 of the Electricity Act 1989; - “designated gas licence document” has the same meaning as in section 5.

(5FA) In subsections (5B) to (5E), “the relevant authority” means— (a) in relation to a smart meter communication licence, the Secretary of State or the Authority; (b) in relation to a code manager licence, the Authority.

(11B) Where the holder of a code manager licence is also the holder of a licence under section 6(1)(g) of the Electricity Act 1989, the code manager licence may not be transferred to a person unless the licence under section 6(1)(g) of that Act is transferred to the same person at the same time.

Licence under Electricity Act 1989 for performance of code management function

186

or (f) performs the function of code manager in relation to a designated electricity licence document (see further subsections (3H) and (3I)),

.

(3H) A reference in this Part to a person (“P”) performing the function of code manager in relation to a designated electricity licence document is a reference to making arrangements, with the persons to whom subsection (3I) applies, under which P is responsible for the governance of the document. (3I) This subsection applies to the holder of a licence for the purposes of section 4 where a condition of the licence requires the holder to comply with the designated electricity licence document in question.

  • designated electricity licence document” means a document that is— maintained in accordance with the conditions of a licence for the purposes of section 4, and designated under section 182 of the Energy Act 2023;

.

, or (g) a licence authorising a person to perform the function of code manager in relation to a designated electricity licence document (“a code manager licence”).

(2C) Where a designated electricity licence document is also a designated gas licence document, a person may not be granted a code manager licence in relation to the document unless the same person is at the same time granted a licence under section 7AC of the Gas Act 1986.

(10) In this section— - “designated electricity licence document” has the same meaning as in section 4; - “designated gas licence document” has the same meaning as in section 5 of the Gas Act 1986; - “premises” has the same meaning as in section 4.

(3GA) In subsections (3C) to (3F), “the relevant authority” means— (a) in relation to a smart meter communication licence, the Secretary of State or the Authority; (b) in relation to a code manager licence, the Authority.

(11B) Where the holder of a code manager licence is also the holder of a licence under section 7AC of the Gas Act 1986, the code manager licence may not be transferred to a person unless the licence under section 7AC of that Act is transferred to the same person at the same time.

Selection of code manager

187

Selection on a non-competitive basis

188

Selection on a competitive basis

189

Strategic direction statement for designated documents

Strategic direction statement

190

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

191

Modifications and directions

Modification of designated documents by GEMA

192

Modification under section 192

193

Directions relating to designated central systems

194

Directions under section 194

195

General objectives and reports

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

196

Sections 4AA to 4B of the Gas Act 1986 and sections 3A to 3D of the Electricity Act 1989 (principal objective and general duties) apply in relation to the functions under this Part of the Secretary of State and of the GEMA as they apply in relation to functions of the Secretary of State and of the GEMA under Part 1 of that Act.

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

197

(3A) The annual report for each year must also include an overview of— (a) developments relating to documents designated for the purposes of Part 6 of the Energy Act 2023 (governance of gas and electricity industry codes); (b) decisions made by the Authority during the year in relation to such documents, including details of any modifications made under section 192 of the Energy Act 2023.

Other

Regulations under Part 6

198

Interpretation of Part 6

199

In this Part—

Transitional provision and pension arrangements

200

Minor and consequential amendments

201

Schedule 14 contains minor and consequential amendments in connection with this Part.

Part 7 — Market reform and consumer protection

Principal objectives of Secretary of State and GEMA

Principal objectives of Secretary of State and GEMA

202

Competition

Competitive tenders for electricity projects

203

Mergers of energy network enterprises

204

Multi-purpose interconnectors

Licence required for operation of multi-purpose interconnector

205

(da) participates in the operation of a multi-purpose interconnector; or

.

(3CA) A reference in this Part to participating in the operation of a multi-purpose interconnector is a reference to— (a) co-ordinating and directing the flow of electricity into or through a multi-purpose interconnector; or (b) making a multi-purpose interconnector available for use for the conveyance of electricity, and a person is not to be regarded as participating in the operation of an interconnector or as participating in the transmission of electricity by reason only of activities constituting participation in the operation of a multi-purpose interconnector.

(3EA) In this Part “multi-purpose interconnector” means so much of an electric line or other electrical plant as— (a) is situated at a place within the jurisdiction of Great Britain; and (b) subsists for both— (i) the conveyance of electricity (whether in both directions or in only one) between Great Britain and a place within the jurisdiction of another country or territory, and (ii) the conveyance of electricity generated in offshore waters (whether in both directions or in only one) between a generating station and a substation or another generating station, or between two or more substations.

(ea) a licence authorising a person to participate in the operation of a multi-purpose interconnector (“an MPI licence”); or

.

(2AA) The same person may not be the holder of an MPI licence and the holder of a licence falling within any of paragraphs (a) to (e) of subsection (1).

(6E) An MPI licence authorising participation in the operation of a multi-purpose connector— (a) must specify the multi-purpose interconnector or multi-purpose interconnectors in relation to which participation is authorised; (b) may limit the forms of participation in the operation of a multi-purpose interconnector which are authorised by the licence.

  • multi-purpose interconnector” has the meaning given by section 4(3EA);

.

Standard conditions for MPI licences

206

(1C) Subject to subsection (2), each condition which by virtue of section 206 of the Energy Act 2023 is a standard condition for the purposes of MPI licences is incorporated, by reference, in each MPI licence granted on or after the day on which subsection (6) of that section comes into force.

Operation of multi-purpose interconnectors: independence

207

(10NA) (1) A person who, for any qualifying period, holds an MPI licence and participates in the operation of a multi-purpose interconnector must ensure that the person is certified by the Authority under section 10D throughout that period. (2) Sections 10B to 10N apply for the purposes of subsection (1) as they apply for the purposes of section 10A(3), but as if— (a) references to an electricity interconnector were references to a multi-purpose interconnector; (b) references to an interconnector licence (or to a licence under section 6(1)(e)) were to an MPI licence (or to a licence under section 6(1)(ea)). (3) In this section, “qualifying period” means a period beginning on or after the day on which section 207 of the Energy Act 2023 comes into force.

Grant of MPI licences to existing operators

208

Power to make consequential etc provision

209

Consequential amendments relating to multi-purpose interconnectors

210

Schedule 17 contains minor and consequential amendments.

Support for energy-intensive industries

Electricity support payments for energy-intensive industries

211

the regulations may provide for the requirement to be enforceable by the GEMA as if it were a relevant requirement imposed on the person for the purposes of section 25 of that Act.

to be recoverable from the person as a civil debt due to the Secretary of State or to the support payment administrator (as the case may be).

“Property” in this subsection includes interests of any description.

Levy to fund electricity support payments

212

the regulations may provide for the requirement to be enforceable by the GEMA as if it were a relevant requirement imposed on the person for the purposes of section 25 of that Act.

to be recoverable from the person as a civil debt due to the Secretary of State or to the levy administrator (as the case may be).

“Property” in this subsection includes interests of any description.

Electricity storage

Electricity storage

213

In section 4 of the Electricity Act 1989 (prohibition on unlicensed generation etc of electricity), after subsection (3) insert—

(3ZA) In subsection (1)(a), the reference to a person who generates electricity includes a reference to a person who generates electricity from stored energy. (3ZB) In subsection (3ZA), “stored energy” means energy that— (a) was converted from electricity, and (b) is stored for the purpose of its future reconversion into electricity.

Reduction targets: carbon emissions and home-heating costs

Payment as alternative to complying with certain energy company obligations

214

(7C) The order may make provision as to circumstances in which a transporter or supplier may meet the whole or any part of a carbon emissions reduction target by making a buy-out payment. (7D) In this section, “buy-out payment” means a payment— (a) of an amount (“the buy-out price”) determined by the Secretary of State, (b) to a person approved by the Administrator (an “approved person”), (c) for a purpose approved by the Administrator (an “approved purpose”). (7E) Provision made by virtue of subsection (7C) may include provision about the determination by the Secretary of State of the buy-out price, including provision— (a) enabling the Secretary of State to set different buy-out prices— (i) for different parts of the period to which the order relates; (ii) for different cases (including different buy-out prices for different transporters or suppliers); (b) requiring the Secretary of State to publish the buy-out price. (7F) If the order makes provision by virtue of subsection (7C), the order may also make provision— (a) as to the procedure to be followed by the Administrator in approving a person as an approved person or a purpose as an approved purpose; (b) specifying criteria by reference to which the Administrator is to determine whether to approve a person or purpose. (7G) Provision made by virtue of subsection (7C) may include further provision about buy-out payments, including in particular provision— (a) as to the procedure to be followed by a transporter or supplier who proposes to make a buy-out payment, including provision— (i) requiring a transporter or supplier to notify the Administrator of specified matters by a specified time; (ii) as to circumstances in which a transporter or supplier must make the buy-out payment to which notification given to the Administrator relates; (iii) about the process for seeking approval of a person as an approved person, or of a purpose as an approved purpose; (b) preventing a transporter or supplier from treating a buy-out payment as a payment pursuant to any other obligation (whether statutory or contractual), or vice versa; (c) setting out circumstances in which a requirement imposed on a transporter or supplier by provision made by virtue of subsection (5)(ba) or (bb) may be— (i) met, in whole or in part, by the making of a buy-out payment; (ii) varied as a result of a buy-out payment; (d) about the effect of provision included in the order by virtue of subsection (7)(c) to (e) on a person’s ability to meet the whole or any part of a carbon emissions reduction target by making a buy-out payment. (7H) Where an order includes provision for the making of a buy-out payment, the references in subsections (5)(be) and (7)(b) to action include a reference to the making of a buy-out payment.

(ca) in subsection (7F), for “order makes” is substituted “Secretary of State has made”; (cb) in subsection (7G), for “(7C)” is substituted “(7F)”; (cc) in subsection (7H), for “an order includes” is substituted “the Secretary of State has made”;

;

(da) in section 33BC(7F) as applied by subsection (4), for “order makes” is substituted “Secretary of State has made”; (db) in section 33BC(7G) as applied by subsection (4), for “(7C)” is substituted “(7F)”; (dc) in section 33BC(7H) as applied by subsection (4), for “an order includes” is substituted “the Secretary of State has made”;

;

(7C) The order may make provision as to circumstances in which a distributor or supplier may meet the whole or any part of a carbon emissions reduction target by making a buy-out payment. (7D) In this section, “buy-out payment” means a payment— (a) of an amount (“the buy-out price”) determined by the Secretary of State, (b) to a person approved by the Administrator (an “approved person”), (c) for a purpose approved by the Administrator (an “approved purpose”). (7E) Provision made by virtue of subsection (7C) may include provision about the determination by the Secretary of State of the buy-out price, including provision— (a) enabling the Secretary of State to set different buy-out prices— (i) for different parts of the period to which the order relates; (ii) for different cases (including different buy-out prices for different distributors or suppliers); (b) requiring the Secretary of State to publish the buy-out price. (7F) If the order makes provision by virtue of subsection (7C), the order may also make provision— (a) as to the procedure to be followed by the Administrator in approving a person as an approved person or a purpose as an approved purpose; (b) specifying criteria by reference to which the Administrator is to determine whether to approve a person or purpose. (7G) Provision made by virtue of subsection (7C) may include further provision about buy-out payments, including in particular provision— (a) as to the procedure to be followed by a distributor or supplier who proposes to make a buy-out payment, including provision— (i) requiring a distributor or supplier to notify the Administrator of specified matters by a specified time; (ii) as to circumstances in which a distributor or supplier must make the buy-out payment to which notification given to the Administrator relates; (iii) about the process for seeking approval of a person as an approved person, or of a purpose as an approved purpose; (b) preventing a distributor or supplier from treating a buy-out payment as a payment pursuant to any other obligation (whether statutory or contractual), or vice versa; (c) setting out circumstances in which a requirement imposed on a distributor or supplier by provision made by virtue of subsection (5)(ba) or (bb) may be— (i) met, in whole or in part, by the making of a buy-out payment; (ii) varied as a result of a buy-out payment; (d) about the effect of provision included in the order by virtue of subsection (7)(c) to (e) on a person’s ability to meet the whole or any part of a carbon emissions reduction target by making a buy-out payment. (7H) Where an order includes provision for the making of a buy-out payment, the references in subsections (5)(be) and (7)(b) to action include a reference to the making of a buy-out payment.

(ca) in subsection (7F), for “order makes” is substituted “Secretary of State has made”; (cb) in subsection (7G), for “(7C)” is substituted “(7F)”; (cc) in subsection (7H), for “an order includes” is substituted “the Secretary of State has made”;

;

(da) in section 41A(7F) as applied by subsection (4), for “order makes” is substituted “Secretary of State has made”; (db) in section 41A(7G) as applied by subsection (4), for “(7C)” is substituted “(7F)”; (dc) in section 41A(7H) as applied by subsection (4), for “an order includes” is substituted “the Secretary of State has made”;

;

Smart meters

Smart meters: extension of time for exercise of powers

215

in calculating that 40-day period no account is to be taken of the period beginning with 2 November 2023 and ending immediately before the day on which this section comes into force.

Part 8 — Heat networks

Chapter 1 — Regulation of heat networks

Interpretation of Chapter 2

216

The Regulator

217

Alternative dispute resolution for consumer disputes

218

Heat networks regulations

219

Regulations made by Secretary of State: consultation with devolved authorities

220

and must consider any representations duly made and not withdrawn.

Heat networks regulations: other provision about procedure

221

Recovery of costs by GEMA and NIAUR

222

Heat networks: licensing authority in Scotland

223

(2) Subsection (1) is subject to subsection (3). (3) If the Secretary of State designates the Gas and Electricity Markets Authority as the licensing authority for the purposes of this Act by regulations under section 223(1) of the Energy Act 2023, references in this Act to the licensing authority are references to the Gas and Electricity Markets Authority.

Heat networks: enforcement in Scotland

224

Interpretation of Chapter 1

225

In this Chapter—

Chapter 2 — Heat network zones

Zones regulations

Regulations about heat network zones

226

Heat Network Zones Authority and zone coordinators

Heat Network Zones Authority

227

Zone coordinators

228

Identification, designation and review of zones

Identification, designation and review of zones

229

Zoning methodology

230

Requests for information in connection with section 229 or 230

231

Heat networks within zones

Heat networks within zones

232

Delivery of district heat networks within zones

233

Enforcement

Enforcement of heat network zone requirements

234

Penalties

235

Records, information and reporting

Records, information and reporting

236

Interpretation

Interpretation of Chapter 2

237

In this Chapter—

Part 9 — Energy smart appliances and load control

Chapter 1 — Introductory

Energy smart appliances and load control

238

Chapter 2 — Energy smart appliances

Energy smart regulations

239

Prohibitions and requirements: supplemental

240

Enforcement

241

for the purpose of preventing or mitigating non-compliance with energy smart regulations;

Sanctions, offences and recovery of costs

242

Appeals against enforcement action

243

Regulations: procedure and supplemental

244

Chapter 3 — Licensing of load control

Power to amend licence conditions etc: load control

245

Power to amend licence conditions etc: procedure

246

Load control: supplemental

247

Application of general duties to functions relating to load control

248

or, (k) under sections 245 to 247 of the Energy Act 2023.

Licensing of activities relating to load control

249

Schedule 19, which amends the Electricity Act 1989, provides for the licensing of load control.

Part 10 — Energy performance of premises

Power to make energy performance regulations

250

Energy performance regulations relating to new premises

251

Sanctions

252

Regulations under Part 10

253

Part 11 — Energy Savings Opportunity Schemes

Establishment and application of schemes

Energy savings opportunity schemes

254

Application of energy savings opportunity schemes

255

and includes the places above those areas and the bed and subsoil of the sea within those areas.

Assessments, energy savings and emissions reductions

Requirement for assessment of energy consumption

256

Such an assessment is referred to as an “ESOS assessment”.

Assessors

257

ESOS action plans

258

Action to achieve energy savings or emissions reductions

259

Administration, enforcement and appeals

Scheme administration

260

as the authority requests.

Enforcement, penalties and offences

261

Appeals

262

Procedure etc for regulations

ESOS regulations: procedure etc

263

and must consider any representations duly made and not withdrawn.

and subsection (2) applies to consultation under paragraph (b) as it applies to consultation under subsection (1).

Directions and financial assistance

Directions to scheme administrators

264

Financial assistance to scheme administrators and participants

265

Interpretation

Interpretation of Part 11

266

Part 12 — Core fuel sector resilience

Chapter 1 — Introduction

General objective

267

The functions of the Secretary of State under this Part must be exercised with a view to—

“Core fuel sector activity” and other key concepts

268

disruptions to core fuel sector activities.

Chapter 2 — Powers for resilience purposes

Directions

Directions to particular core fuel sector participants

269

Procedure for giving directions

270

Offence of failure to comply with a direction

271

Any person who, without reasonable excuse, fails to comply with a direction given to the person under section 269 commits an offence and is liable—

Corresponding powers to make regulations

Corresponding powers to make regulations

272

Information

Power to require information

273

Duty to report incidents

274

that person must notify the Secretary of State of the incident as soon as possible.

the continuity of supply of core fuels.

Contravention of requirement under section 273 or 274

275

Provision of information at specified intervals

276

Disclosure of information held by the Secretary of State

277

In determining whether a disclosure would fall within paragraph (a) or (b), the powers conferred by this section are to be taken into account.

Disclosure of information by HMRC

278

except with the consent of the Commissioners for His Majesty’s Revenue and Customs (which may be general or specific).

section 19 of the Commissioners for Revenue and Customs Act 2005 (offence of wrongful disclosure) applies in relation to that disclosure as it applies in relation to a disclosure of information in contravention of section 20(9) of that Act.

In determining whether a disclosure would fall within paragraph (a) or (b), the powers conferred by this section are to be taken into account.

Appeal against notice or direction

Appeal against notice or direction

279

Chapter 3 — Enforcement

Offences

False statements etc

280

Offences under regulations

281

Proceedings for offences

282

Proceedings for an offence under this Part (including an offence created by regulations under section 272 or 276)—

Liability of officers of entities

283

that officer (as well as the body corporate) commits the offence and is liable to be proceeded against and dealt with accordingly.

Enforcement undertakings

Enforcement undertakings

284

Guidance

Guidance: criminal and civil sanctions

285

Guidance: Parliamentary scrutiny

286

Chapter 4 — General

Financial assistance

Financial assistance for resilience and continuity purposes

287

Power to amend thresholds

Power to amend thresholds

288

Interpretation of Part 12

Interpretation of Part 12

289

Part 13 — Offshore wind electricity generation, oil and gas

Chapter 1 — Offshore wind electricity generation

Meaning of “relevant offshore wind activity”

290

Strategic compensation for adverse environmental effects

291

are to count towards discharging the environmental compensation obligation or obligations to which the authority is subject.

Marine recovery fund

292

Assessment of environmental effects etc

293

but may (subject to paragraphs (a) and (b)) modify such a function.

Regulations under section 293: consultation and procedure

294

Interpretation of Chapter 1

295

Chapter 2 — Oil and Gas

Environmental protection

Provision of additional police services

296

Habitats: reducing effects of offshore oil or gas activities etc

297

Regulations under sections 296 and 297: procedure with devolved authorities

298

Regulations under section 296 1 Before making regulations under section 296 that contain provision within devolved competence, the Secretary of State must give notice to each relevant devolved authority— a stating that the Secretary of State proposes to make regulations under that section, b setting out or describing the provision that is within the relevant devolved competence, and c specifying the period (of not less than 28 days from the date on which the notice is given) within which representations may be made with respect to that provision, and must consider any representations duly made and not withdrawn. 2 The Secretary of State need not wait until the end of the period specified under subsection (1)(c) before making regulations if, before the end of that period, each relevant devolved authority to which the notice was given has confirmed that it has made any representations it intends to make with respect to the provision referred to in subsection (1)(b). 3 The Secretary of State must, if requested to do so by a relevant devolved authority, give the authority a statement setting out whether and how representations made by the authority with respect to the provision referred to in subsection (1)(b) have been taken into account in the regulations. 4 In subsections (1) to (3), “relevant devolved authority”, in relation to regulations, means— a the Scottish Ministers, if the regulations contain provision within Scottish devolved competence; b the Welsh Ministers, if the regulations contain provision within Welsh devolved competence; c the Department of Agriculture, Environment and Rural Affairs in Northern Ireland, if the regulations contain provision within Northern Ireland devolved competence; and “the relevant devolved competence”, in relation to a relevant devolved authority, is to be construed accordingly.

Regulations under section 297 5 The Secretary of State may not make regulations under section 297 containing provision within Scottish devolved competence unless the Scottish Ministers have consented to that provision. 6 The Secretary of State may not make regulations under section 297 containing provision within Welsh devolved competence unless the Welsh Ministers have consented to that provision.

Devolved competence 7 For the purposes of this section, provision— a is within Scottish devolved competence if it would be within the legislative competence of the Scottish Parliament if it were contained in an Act of that Parliament; b is within Welsh devolved competence if it would be within the legislative competence of Senedd Cymru if it were contained in an Act of the Senedd (ignoring any requirement for the consent of a Minister of the Crown imposed under Schedule 7B to the Government of Wales Act 2006); c is within Northern Ireland devolved competence if it— i would be within the legislative competence of the Northern Ireland Assembly if it were contained in an Act of that Assembly, and ii would not, if it were contained in a Bill in the Northern Ireland Assembly, result in the Bill requiring the consent of the Secretary of State under section 8 of the Northern Ireland Act 1998; and references to provision being within devolved competence are to provision that is within Scottish, Welsh or Northern Ireland devolved competence.

Decommissioning: charging

Charges in connection with abandonment of offshore installations

299

(38C) (1) The Secretary of State may by regulations made by statutory instrument provide for payment to the Secretary of State of charges for or in connection with the carrying out by the Secretary of State of the Secretary of State’s functions under this Part. (2) Regulations under this section may provide that a charge is to be of an amount— (a) specified in the regulations, or (b) determined by the Secretary of State in accordance with the regulations. (3) Regulations under this section may specify matters to which the Secretary of State must have regard when determining the amount of a charge. (4) Regulations under this section may specify— (a) how a charge is to be paid; (b) when a charge is to be paid; (c) the person by whom a charge is to be paid. (5) Provision made by virtue of subsection (4)(c) may confer a discretion on the Secretary of State. (6) Regulations under this section may— (a) include incidental, supplementary or consequential provision; (b) include transitory or transitional provision or savings; (c) make different provision for different purposes. (7) Before making regulations under this section, the Secretary of State must consult organisations in the United Kingdom that appear to the Secretary of State to be representative of persons who are likely to be affected by the regulations. (8) The Secretary of State must not make regulations under this section without the consent of the Treasury. (9) A statutory instrument containing regulations under this section is subject to annulment in pursuance of a resolution of either House of Parliament.

Change in control of licensee

Model clauses of petroleum licences

300

the licence has effect with the amendments provided for by that paragraph.

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

301

After section 5C of the Petroleum Act 1998 insert—

(5D) (1) This section applies in relation to a licence granted (or having effect as if granted) by the OGA under this Part which includes provisions prohibiting a change in control of a licensee which is a company without the OGA’s consent. (2) The OGA may by notice in writing require a person within subsection (3) to provide the OGA with any information that it requires for the purpose of exercising its functions in relation to a change or potential change in control of a licensee which is a company. (3) The persons within this subsection are— (a) the company; (b) the person who (if consent were granted) would take control of the company; (c) if the company and another person or persons are the licensee, that other person or those other persons; (d) any person not within any of paragraphs (a) to (c) who appears to the OGA to have information that it requires as mentioned in subsection (2). (4) The power conferred by this section does not include power to require the provision of any information that would be protected from disclosure or production in legal proceedings on grounds of legal professional privilege or, in Scotland, confidentiality of communications. (5) Nothing in this section limits any power of the OGA to require information under— (a) regulations under this Part, or (b) the terms of a licence under this Part.

Part 14 — Civil nuclear sector

Chapter 1 — Civil nuclear sites

Application to the territorial sea of requirement for nuclear site licence

302

(12) In this section, “site” includes a site situated wholly or partly in or under the territorial sea adjacent to the United Kingdom.

(4) In the definition of “relevant nuclear installation” in subsection (3), the reference to a site in England, Wales or Scotland includes a site situated wholly or partly in or under the territorial sea adjacent to them.

Decommissioning of nuclear sites etc

303

(13) The reference in subsection (1) to operating a nuclear reactor or an installation of a prescribed kind includes a reference to decommissioning a nuclear reactor or such an installation.

(12A) The appropriate national authority must consult the Health and Safety Executive before varying a nuclear site licence under subsection (12).

(3A) (1) This section sets out the applicable condition or conditions for excluding any part of a licensed site (“the relevant part”) from a nuclear site licence. (2) Where a prescribed disposal installation is or has at any time been situated within the relevant part, the applicable condition is that there is no danger from ionising radiations from anything on the relevant part. (3) Where any nuclear installation, other than a prescribed disposal installation, is or has at any time been situated within the relevant part, the applicable conditions (subject to subsection (5)) are that— (a) the use of any such installation within the relevant part has permanently ceased, (b) appropriate measures for the containment and control of any remaining radioactivity are in place, (c) the relevant part meets the radioactivity exclusion criteria and the dose exclusion criteria, and (d) it is no longer necessary or desirable in the interests of safety for a nuclear site licence to be in force in respect of the relevant part. (4) In any other case, the applicable conditions (subject to subsection (5)) are that— (a) the relevant part meets the dose exclusion criteria, and (b) it is no longer necessary or desirable in the interests of safety for a nuclear site licence to be in force in respect of the relevant part. (5) In a case to which, but for this subsection, subsection (3) or (4) would apply, the licensee may elect that the condition set out in subsection (2) is to apply to the relevant part (instead of the conditions in subsection (3) or (4)). (6) In this section— - “2014 Decision” means the Decision and Recommendation of the Steering Committee Concerning the Application of the Paris Convention to Nuclear Installations in the Process of Being Decommissioned, published on 30 October 2014 by the Steering Committee for Nuclear Energy of the Nuclear Energy Agency of the Organisation for Economic Co-operation and Development; - “dose exclusion criteria” means the criteria described in paragraph 3(b) of the Appendix to the 2014 Decision; - “prescribed disposal installation” means an installation— designed or adapted for the disposal of nuclear matter, and of a kind prescribed under section 1(1)(b) at any time after section 303 of the Energy Act 2023 comes into force; - “radioactivity exclusion criteria” means the criteria described in paragraph 3(a) of the Appendix to the 2014 Decision; - “safety”, in relation to the relevant part of a site, is to be construed in accordance with section 4(2).

— (i) as respects the licensee’s period of responsibility for the licensed site, that in the authority’s opinion each part of the site meets the condition or conditions set out in section 5A that apply in relation to that part of the site, or (ii) as respects the licensee’s period of responsibility for any part of the site, that in the authority’s opinion the part in question meets the condition or conditions set out in section 5A that apply in relation to that part.

;

(ba) the date when a person (whether the licensee or some other person) becomes the operator of a relevant disposal site comprising the site in question or, as the case may be, that part of it; (bb) the date when the site or, as the case may be, the part of it in question becomes an excluded disposal site;

.

(5A) (1) This section sets out the applicable condition or conditions for determining when a licensee’s period of responsibility for a part of a licensed site (“the relevant part”) ends under section 5(15)(a)(i) or (ii). (2) Where a prescribed disposal installation or a licensed disposal site is or has at any time been situated within the relevant part, the applicable condition is that there is no danger from ionising radiations from anything on the relevant part. (3) Where any nuclear installation, other than a prescribed disposal installation, is or has at any time been situated within the relevant part, the applicable conditions (subject to subsection (5)) are that— (a) the use of any such installation within the relevant part has permanently ceased, (b) appropriate measures for the containment and control of any remaining radioactivity are in place, and (c) the relevant part meets the radioactivity exclusion criteria and the dose exclusion criteria. (4) In any other case, the applicable condition (subject to subsection (5)) is that the relevant part meets the dose exclusion criteria. (5) In a case to which, but for this subsection, subsection (3) or (4) would apply, the licensee may elect that the condition set out in subsection (2) is to apply to the relevant part (instead of the conditions in subsection (3) or (4)). (6) In this section— - “2014 Decision” means the Decision and Recommendation of the Steering Committee Concerning the Application of the Paris Convention to Nuclear Installations in the Process of Being Decommissioned, published on 30 October 2014 by the Steering Committee for Nuclear Energy of the Nuclear Energy Agency of the Organisation for Economic Co-operation and Development; - “dose exclusion criteria” means the criteria described in paragraph 3(b) of the Appendix to the 2014 Decision; - “licensed disposal site” means a site that would be, or would at any time have been, a relevant disposal site but for section 7B(5)(a) (nuclear site licence granted in respect of site); - “prescribed disposal installation” means an installation— designed or adapted for the disposal of nuclear matter, and of a kind prescribed under section 1(1)(b) at any time after section 303 of the Energy Act 2023 comes into force; - “radioactivity exclusion criteria” means the criteria described in paragraph 3(a) of the Appendix to the 2014 Decision.

(2A) The operator of a site that would be a relevant disposal site but for subsection (5)(a) is to be treated for the purposes of subsection (2)(a)(ii) as becoming the operator of the site on the date when— (a) the nuclear site licence in question is varied under section 3(12) to exclude the site from it, or (b) the nuclear site licence in question is revoked under section 5(1).

;

(5A) Subsection (5)(a) does not apply where a licence has ceased to be in force in respect of the site as a result of section 3(12) (exclusion of part of site from licence) or section 5(1) (revocation of licence).

(aa) a reference to the Health and Safety Executive is to be construed as a reference to the Health and Safety Executive for Northern Ireland.

Excluded disposal sites

304

(2B) The operator of a site that would be a relevant disposal site but for subsection (7A) is to be treated for the purposes of subsection (2)(a)(ii) as becoming the operator of the site on the date when the site ceases to be an excluded disposal site.

;

(e) the date when the Secretary of State gives notice under section 7C(1)(b) that the site is an excluded disposal site.

;

(3A) Where a site to which subsection (2B) applies was a relevant disposal site before it became an excluded disposal site, subsection (2) has effect in respect of— (a) the period beginning by virtue of subsection (2)(a), and (b) any further period beginning by virtue of subsection (2B).

;

(7A) A site is not a relevant disposal site if it is an excluded disposal site.

;

(aa) in relation to a site in Scotland, a permit under regulations made under section 18 of the Regulatory Reform (Scotland) Act 2014 (2014 asp 3) authorising a person to use the site for the disposal of radioactive waste;

;

(7C) (1) A site that is used or intended to be used for the operation of an installation for the disposal of nuclear matter is an excluded disposal site if— (a) the Secretary of State is satisfied, on an application by the operator of the site, that the site meets— (i) the permit condition, (ii) the site history condition, and (iii) such other conditions as may be prescribed, and (b) the Secretary of State gives the operator notice in writing to that effect. (2) In this section, “disqualifying matter” means nuclear matter that exceeds the radioactivity concentration limits set out in paragraph 3(a) of the Appendix to the 2016 Decision. (3) The permit condition is that— (a) an appropriate permit is in force in respect of the site, and (b) that permit includes a condition preventing the site from receiving disqualifying matter. (4) The site history condition is that— (a) disqualifying matter has not at any time been accepted for disposal at the site, or (b) any disqualifying matter previously accepted for disposal at the site has been removed from the site. (5) An application under subsection (1)(a) must be accompanied by such documents as may be prescribed. (6) Regulations made under subsection (5) may— (a) specify requirements relating to the preparation, approval or review of a prescribed document; (b) require an operator to provide a copy of a prescribed document to a person other than the Secretary of State; (c) make different provision for different purposes. (7) A site ceases to be an excluded disposal site if the site no longer meets the permit condition or any condition prescribed under subsection (1)(a)(iii). (8) Where the appropriate permit in force in respect of an excluded disposal site is transferred to a new operator, the site ceases to be an excluded disposal site at the end of the period of one month beginning with the date on which the permit is transferred unless, before the end of that period— (a) the new operator notifies the Secretary of State of the transfer, and (b) the Secretary of State gives the new operator notice in writing that the Secretary of State consents to the site continuing to be an excluded disposal site. (9) The Secretary of State must notify the Scottish Ministers of any notification given under subsection (1)(b) in relation to a site in Scotland. (10) In this section— - “2016 Decision” means the Decision and Recommendation Concerning the Application of the Paris Convention on Third Party Liability in the Field of Nuclear Energy to Nuclear Installations for the Disposal of Certain Types of Low-level Radioactive Waste published on 16 January 2017 by the Steering Committee for Nuclear Energy of the Nuclear Energy Agency of the Organisation for Economic Co-operation and Development; - “appropriate permit” has the meaning given in section 7B(9). (7D) (1) This section applies where disqualifying matter is accepted at an excluded disposal site; and for the purposes of this section the acceptance of such matter is referred to as “the breach”. (2) The operator of the site must notify the Secretary of State of the breach before the end of the notification period. (3) “The notification period” means the period of 21 days beginning with the day on which the operator becomes aware of the breach. (4) The site ceases to be an excluded disposal site at the end of the notification period unless the operator complies with the duty under subsection (2). (5) An operator who has complied with the duty under subsection (2) must remove the disqualifying waste from the site before the end of the removal period. (6) “The removal period” means— (a) the period of 90 days beginning with the day on which the operator notifies the Secretary of State of the breach, or (b) such longer period as the Secretary of State may specify before the end of the period mentioned in paragraph (a) if satisfied that the operator is taking all reasonable steps to remove the disqualifying matter from the site. (7) The site ceases to be an excluded disposal site at the end of the removal period unless before the end of that period— (a) the Secretary of State is satisfied that the disqualifying waste has been removed from the site, and (b) the Secretary of State gives the operator notice in writing to that effect. (8) In this section, “disqualifying matter” has the meaning given by section 7C.

(5A) Subsection (4) does not apply where the operator of a relevant disposal site makes an application to the Secretary of State under section 7C(1)(a) (application for site to be excluded disposal site).

  • excluded disposal site” has the meaning given by section 7C;

.

Accession to Convention on Supplementary Compensation for Nuclear Damage

305

Schedule 22 contains amendments to the Nuclear Installations Act 1965 to implement the Convention on Supplementary Compensation for Nuclear Damage.

Power to implement Convention on Supplementary Compensation for Nuclear Damage

306

Chapter 2 — Civil Nuclear Constabulary

Provision of additional police services

307

(55A) (1) The Constabulary may, with the consent of the Secretary of State, provide additional police services to any person. (2) In this Chapter, “additional police services” means services relating to the protection of places, persons or materials. (3) In subsection (2), “place” includes— (a) premises, facilities or equipment at a place; (b) any vehicle, vessel, aircraft or hovercraft. (4) The Secretary of State must not give consent for the purposes of subsection (1) unless satisfied, on an application made by the Police Authority, that— (a) the provision of the additional police services in question is in the interests of national security, (b) the provision by the Constabulary of those services will not prejudice the carrying out of its primary function under section 52(2), and (c) it is reasonable in all the circumstances for the Constabulary to provide those services. (5) Before giving consent for the purposes of subsection (1), the Secretary of State must consult the chief constable. (6) The chief constable must ensure that the provision by the Constabulary of additional police services does not prejudice the carrying out of its primary function under section 52(2). (7) Consent given for the purposes of subsection (1)— (a) must specify the period of time (not exceeding 5 years) for which it has effect; (b) may, subject to subsections (8) and (9), be withdrawn at any time if the Secretary of State is no longer satisfied of the matters mentioned in subsection (4). (8) Where the Secretary of State proposes to withdraw consent given for the purposes of subsection (1), the Secretary of State must consult the Police Authority. (9) If, following consultation under subsection (8), the Secretary of State decides to withdraw consent given for the purposes of subsection (1), the Secretary of State must give such notice to the Police Authority as is reasonably practicable of the date on which the consent will cease to have effect. (10) The Police Authority may enter into an agreement with any person for the provision of additional police services by the Constabulary under this section. (11) The Police Authority must publish, as soon as is reasonably practicable and in such manner as the Authority considers appropriate— (a) the name of any person or persons to whom additional police services are to be provided under this section, and (b) (subject to subsections (12) and (13)) such information about the place or places at which those services are to be provided as the Police Authority considers may be published without prejudicing the interests of national security. (12) The Police Authority must consult the Secretary of State before publishing the information referred to in subsection (11)(b). (13) The Secretary of State may direct the Police Authority not to publish information about the place or places at which additional police services are to be provided where the Secretary of State considers that publication of the information would prejudice the interests of national security. (14) The Police Authority must comply with a direction given by the Secretary of State under subsection (13).

(3A) A member of the Constabulary has the powers and privileges of a constable at every place where additional police services are being provided under section 55A.

  • additional police services” has the meaning given in section 55A(2);

.

(aa) the services of the Civil Nuclear Constabulary provided under section 55A of the Energy Act 2004, or

;

(aa) the services of the Civil Nuclear Constabulary provided under section 55A of the Energy Act 2004, or

.

Provision of assistance to other forces

308

(55B) (1) The chief constable may, on the application of the chief officer of a relevant force, provide members of the Constabulary or other assistance for the purpose of enabling that force to meet any special demand on its resources. (2) The policing body maintaining a relevant force for which assistance is provided under this section must pay to the Police Authority such charges— (a) as may be agreed between the policing body and the Police Authority, or (b) in the absence of any such agreement, as may be determined by the Secretary of State. (3) The chief constable must ensure that the provision of assistance under this section does not prejudice the carrying out of the primary function of the Constabulary under section 52(2). (4) In this section— - “chief officer” means— a chief officer of police of a police force for a police area in England and Wales; the chief constable of the Police Service of Scotland; the chief constable of the British Transport Police Force; or the chief constable of the Ministry of Defence Police; - “policing body” means— in relation to a police force for a police area in England and Wales, the relevant local policing body in the meaning of section 101(1) of the Police Act 1996; in relation to the Police Service of Scotland, the Scottish Police Authority; in relation to the British Transport Police Force, the British Transport Police Authority; in relation to the Ministry of Defence Police, the Secretary of State; - “relevant force” means— a police force for a police area in England and Wales; the Police Service of Scotland; the British Transport Police Force; or the Ministry of Defence Police.

(3A) For the purposes of this section, a member of the Constabulary who is provided for the assistance of a relevant force under section 55B is to be treated as serving with that force under arrangements of the kind mentioned in subsection (1).

Cross-border enforcement powers

309

Publication of three-year strategy plan

310

(5) In sub-paragraph (1), “three-year period” means— (a) the period of three successive financial years beginning with 1 April 2024, and (b) each subsequent period of three successive financial years.

Chapter 3 — Relevant nuclear pension schemes

Civil nuclear industry: amendment of relevant nuclear pension schemes

311

as are considered appropriate by the designated person (acting on actuarial advice) to ensure that the average contribution rate for members of the scheme in respect of defined benefits is as close as reasonably practicable to 8.2%.

Meaning of “relevant nuclear pension scheme”

312

Information

313

Further definitions

314

Application of relevant pensions legislation

315

as the Secretary of State considers appropriate for the purposes of or in connection with the amendment of a relevant nuclear pension scheme in pursuance of regulations under section 311.

Procedure for regulations under Chapter 3

316

Chapter 4 — Great British Nuclear

Great British Nuclear: designation, status and objects

Great British Nuclear

317

Crown status

318

Great British Nuclear’s objects

319

Great British Nuclear’s objects are to facilitate the design, construction, commissioning and operation of nuclear energy generation projects for the purpose of furthering any policies published by His Majesty's government.

Financial assistance and directions etc

Financial assistance

320

Secretary of State directions and guidance

321

Annual report and accounts

Annual report

322

Annual accounts

323

Transfers and pension arrangements etc

Transfer schemes

324

Transfer schemes: compensation

325

Transfer schemes: taxation

326

Transfer schemes: provision of information or assistance

327

Reimbursement and compensation in connection with designation

328

The Secretary of State may reimburse a person in respect of expenditure reasonably incurred by the person in preparation for or in connection with the designation of a company under section 317 (other than any expenditure incurred in connection with the making of a scheme under section 324).

Pension arrangements in connection with Great British Nuclear

329

Part 15 — General

Power to make consequential provision

330

Regulations

331

General definitions

332

In this Act—

Extent

333

Commencement

334

and in this paragraph “hydrogen production revenue support contract” and “hydrogen production counterparty” have the same meaning as in that Chapter;

Short title

335

This Act may be cited as the Energy Act 2023.

Schedule 1

1
2

In section 7 (power to grant licences)—

(3) As soon as practicable after granting a licence, the Secretary of State must send a copy of the licence to the economic regulator.

`

3

In section 9 (procedure for licence applications)—

(5) A notice under subsection (4) must be given by— (a) sending a copy of the notice to the economic regulator and any appropriate devolved authority, and (b) publishing the notice in such manner as the Secretary of State considers appropriate for bringing it to the attention of persons likely to be affected by the grant of the licence.

(10A) For the purposes of subsection (5), the “appropriate devolved authorities” are— (a) the Scottish Ministers, if provision granting the licence in question would be within the legislative competence of the Scottish Parliament if it were contained in an Act of that Parliament; (b) the Welsh Ministers, if provision granting the licence in question would be within the legislative competence of Senedd Cymru if it were contained in an Act of the Senedd (ignoring any requirement for the consent of a Minister of the Crown imposed under Schedule 7B to the Government of Wales Act 2006); (c) the Department for the Economy in Northern Ireland, if provision granting the licence in question— (i) would be within the legislative competence of the Northern Ireland Assembly if it were contained in an Act of that Assembly, and (ii) would not, if it were contained in a Bill in the Northern Ireland Assembly, result in the Bill requiring the consent of the Secretary of State under section 8 of the Northern Ireland Act 1998.

4

In section 12 (standard conditions of licences)—

Schedule 2

Application for permission to bring appeal

1

Suspension of decision

2

Time limit for representations and observations by the economic regulator

3

Other

4

Matters to be considered on appeal

5

Production of documents

6

Oral hearings

7

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

Written statements

8

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

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.

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.

Costs or expenses

11

Appeal rules

12

Interpretation of Schedule

13

Schedule 3

Orders for securing compliance with certain provisions

1

the economic regulator must (instead of taking steps towards the making of a final order) make an order (a “provisional order”) containing such provision as appears to the economic regulator to be necessary for the purpose of securing compliance with that condition or requirement.

Procedural requirements

2

and must consider any representations or objections which are duly made and not withdrawn.

and must consider any representations or objections which are duly made and not withdrawn.

Validity and effect of orders

3

Penalties

4

and must consider any representations or objections which are duly made and not withdrawn.

and must consider any representations or objections which are duly made and not withdrawn.

Statement of policy with respect to penalties

5

Time limits on the imposition of penalties

6

Interest and payment of instalments

7

Appeals against penalties

8

the licence holder may make an application to the court under this paragraph.

Recovery of penalties

9

Where a penalty imposed under paragraph 4(1), or any portion of it, has not been paid by the date on which it is required to be paid and—

the economic regulator may recover from the licence holder, as a civil debt due to it, any of the penalty and any interest which has not been paid.

Maximum amount of penalty

10

Schedule 4

Application and commencement of scheme

1

Property, rights and liabilities that may be transferred

2

as there would be, in the case of a transaction apart from this Act, by reason of a provision falling within sub-paragraph (3).

to the extent only that the scheme provides for it to be so enforceable.

Dividing and modifying transferor’s property, rights and liabilities

3

Obligation to effect transfers etc. under a scheme

4

as may be specified or described in the scheme.

Transfer of licences and permits

5

Powers and duties under statutory provisions

6

Effect of scheme

7

to be effected by or under an agreement or instrument entered into or executed in pursuance of an obligation imposed by virtue of paragraph 4(1).

Supplementary provisions of schemes

8

Modification of scheme

9

Compensation for third parties

10

the third party is entitled to compensation in respect of the extinguishment of the third party’s entitlement.

Provision relating to foreign property etc

11

the transferor and the transferee must each take all requisite steps to secure that the vesting of the foreign property, right or liability in the transferee is effective under the relevant foreign law.

the property, right or liability acquired or incurred immediately becomes the property, right or liability of the transferee.

Provision of information to Secretary of State

12

to provide the Secretary of State with such information as the Secretary of State considers necessary to enable the Secretary of State to make the scheme.

to provide the Secretary of State with such information as the Secretary of State considers necessary to enable the Secretary of State to modify the scheme.

Interpretation

13

Schedule 5

Utilities Act 2000

1

The Utilities Act 2000 is amended as follows.

2

In section 4 (forward work programmes), at the end insert—

(7) In this section— (a) references to functions do not include functions under Part 1 of the Energy Act 2023, and (b) references to projects do not include projects with regard to the exercise of such functions.

3

In section 5 (annual and other reports of Authority), after subsection (10) insert—

(11) In this section— (a) references to functions of the Authority do not include functions under Part 1 of the Energy Act 2023; (b) references to activities of the Authority do not include activities in the exercise of such functions; (c) the reference in subsection (1) to “references made by the Authority” does not include references made by virtue of section 36(1) of the Energy Act 2023.

4

In section 5XA (laying of accounts before Scottish Parliament and Welsh Assembly)—

(2A) The Authority must send to the Department for the Economy in Northern Ireland, in respect of each of its accounting years, a copy of the certified accounts and report of the Authority no later than 31 January of the financial year following that to which the accounts relate.

;

(3B) The Department for the Economy in Northern Ireland must lay a copy of whatever is sent to it under subsection (2A) before the Northern Ireland Assembly.

;

(4) In subsections (1) to (3) “certified accounts and report” means those accounts certified under sections 5 and 7 of the Government Resources and Accounts Act 2000, and the report issued by the Comptroller and Auditor General under section 6(3)(a) of that Act.

5

In section 105 (general restrictions on disclosure of information)—

(azd) it is made for the purpose of facilitating the performance of any functions of the Authority under or by virtue of Part 1 of the Energy Act 2023;

;

(z1) Part 1 of the Energy Act 2023.

Enterprise Act 2002

6

The Enterprise Act 2002 is amended as follows.

7

In section 136 (investigations and reports on market investigation references), in subsection (7)(b), for the words from “or” to the end substitute “, section 43 of the Electricity Act 1989 or (as the case may be) section 36 of the Energy Act 2023;”.

8

; or (r) modifying the conditions of a licence granted under section 7 of the Energy Act 2023.

, and (t) in relation to a licence granted under section 7 of the Energy Act 2023, the objectives and duties of the Gas and Electricity Markets Authority under section 1 of that Act.

Enterprise and Regulatory Reform Act 2013

9

In Schedule 4 to the Enterprise and Regulatory Reform Act 2013, in paragraph 35(3) (membership of CMA panel), in the definition of “specialist utility functions”, after paragraph (b) insert—

(ba) an appeal under section 20 of the Energy Act 2023;

.

Schedule 6

In the Storage of Carbon Dioxide (Licensing etc.) Regulations 2010 (S.I. 2010/2221), in Schedule 1 (provisions to be included in a licence), after paragraph 5 insert—

Schedule 7

Disclosure by OGA to specified persons

1
Column 1 Column 2
A Minister of the Crown Section 112 or 124
His Majesty’s Revenue and Customs Section 112 or 124
The Competition and Markets Authority Section 112 or 124
The Scottish Ministers Section 112
The Welsh Ministers Section 112
A Northern Ireland Department Section 112
The Office for Budget Responsibility Section 112
An enforcing authority Section 112 or 124
The Statistics Board Section 112 or 124
The GEMA Section 112 or 124
The Crown Estate Section 112
A manager of the Crown Estate in Scotland Section 112

Disclosure required for returns and reports prepared by OGA

2

Disclosure in exercise of certain OGA powers

3

Section 113 does not prohibit a disclosure of protected material if it is made in the exercise of the OGA’s powers under section 121 (publication of details of sanctions).

Disclosure after specified period

4

by the OGA or a subsequent holder at such time as may be specified in regulations made by the Secretary of State.

Disclosure with appropriate consent

5

Disclosure required by legislation

6

Section 113 does not prohibit a disclosure of protected material required by virtue of an obligation imposed by or under this or any other Act.

Disclosure for purpose of proceedings

7

Schedule 8

Part 1 — Appeals against decisions relating to information and samples

Appeals in relation to information and samples plans

1

Appeals against notices requiring provision of information or samples

2

Part 2 — Appeals relating to enforcement of sanctionable requirements

Appeals in relation to sanction notices

3

the Tribunal, or the Upper Tribunal, may further suspend the effect of the notice pending a decision which disposes of proceedings on such an appeal.

Appeals against finding of failure to comply

4

Appeals against sanction imposed

5

and confirm, vary or cancel the enforcement notice accordingly.

and confirm, vary or cancel the financial penalty notice accordingly.

and confirm, vary or cancel the sanction notice in question accordingly.

Appeals against information requirements

6

Schedule 9

Part 1 — Transfer schemes

Power to make a transfer scheme

1

Consultation

2

Transfer of property, rights and liabilities

3
4
5
6
7

A transfer scheme may—

Compensation

8

Taxation

9

Power to amend transfer scheme

10

National Security and Investment Act 2021

11

The making of a transfer scheme is not a trigger event for the purposes of the National Security and Investment Act 2021.

Part 2 — Other provision about transfers and designation

Provision of information or assistance

12

Co-operation

13

Reimbursement and compensation: further provision

14

Schedule 10

Introductory

1

Participation in qualifying pension schemes and transfer of assets and rights

2

Amendment of qualifying pension schemes

3

Protection against adverse treatment

4

Information and assistance

5

as the Secretary of State may reasonably require in preparation for or in connection with the exercise of a power conferred on the Secretary of State by this Schedule.

Consultation

6

Any requirement imposed by this Schedule to carry out consultation may be satisfied by consultation before the passing of this Act (as well as by consultation after that time).

National Security and Investment Act 2021

7

The exercise by the Secretary of State of a power conferred on the Secretary of State by any provision of this Schedule is not a trigger event for the purposes of the National Security and Investment Act 2021.

Schedule 11

Gas Act 1986

1

The Gas Act 1986 is amended as follows.

2

In section 6A (exemptions from prohibition), in subsection (1), after “(c)” insert “, (ca)”.

Electricity Act 1989

3

The Electricity Act 1989 is amended as follows.

4

In section 4 (prohibition on unlicensed supply, transmission etc of electricity), in subsection (3A)—

5

In section 5 (exemptions from prohibition), in subsection (1), after “(c),” insert “(ca),”.

6

In section 10 (powers etc of licence holders), in subsection (1)(a), after “licence” insert “or of an electricity system operator licence”.

7

In section 49 (keeping of register), in subsection (2)(c), after “under” insert “or in respect of”.

Utilities Act 2000

8

(bb) for the purpose of facilitating the performance by the Independent System Operator and Planner of any of its functions;

.

  • the Independent System Operator and Planner” means the person for the time being designated under section 162(1) of the Energy Act 2023;

.

Schedule 12

Meaning of “qualifying document”, “qualifying contract” and “qualifying central system”

1

Purposes for which powers under this Schedule may be exercised

2

Expiry of powers under this Schedule

3

The powers conferred on the GEMA by paragraphs 4, 6, 7, 8 and 11 in relation to a particular qualifying document expire—

Modification of qualifying documents and relevant licences

4
5

Amendment or termination of qualifying contracts

6

Arrangements in connection with code consolidation

7

Transfer schemes

8
9
10

Information

11

to provide the information to the GEMA.

Compensation

12

Other

13

Any requirement imposed by this Schedule to carry out consultation may be satisfied by consultation before the passing of this Act (as well as by consultation after that time).

Schedule 13

Introductory

1

Participation in qualifying pension schemes and transfer of assets and rights

2

Amendment of qualifying pension schemes

3

Protection against adverse treatment

4

Information

5

Schedule 14

Gas Act 1986

1

The Gas Act 1986 is amended as follows.

2

In section 6A(1) (power to grant exemptions from prohibition), for “or (d)” substitute “, (d) or (e)”.

3

(g) a responsible body for a central system;

.

(8A) In paragraph (g) of the definition of “regulated person” in subsection (8), the reference to a responsible body for a central system is a reference to a person for the time being specified in a notice under section 184(1) of the Energy Act 2023 in relation to a designated central system (within the meaning of Part 6 of that Act).

4

In Schedule 4B (provisions imposing obligations enforceable as relevant requirements), after paragraph 9A insert—

(9B) (1) Section 194(3) of the Energy Act 2023 is a relevant provision in relation to a responsible body for a central system. (2) The reference in sub-paragraph (1) to a responsible body for a central system is a reference to a person for the time being specified in a notice under section 184(1) of the Energy Act 2023 in relation to a designated central system (within the meaning of Part 6 of that Act).

Electricity Act 1989

5

The Electricity Act 1989 is amended as follows.

6

In section 5(1) (power to grant exemptions from prohibition), for “or (e)” substitute “, (e) or (f)”.

7

(da) a responsible body for a central system;

;

(8A) In paragraph (da) of the definition of “regulated person” in subsection (8), the reference to a responsible body for a central system is a reference to a person for the time being specified in a notice under section 184(1) of the Energy Act 2023 in relation to a designated central system (within the meaning of Part 6 of that Act).

8

In Schedule 6A (provisions imposing obligations enforceable as relevant requirements), after paragraph 9 insert—

(9ZA) (1) Section 194(3) of the Energy Act 2023 is a relevant provision in relation to a responsible body for a central system. (2) The reference in sub-paragraph (1) to a responsible body for a central system is a reference to a person for the time being specified in a notice under section 184(1) of the Energy Act 2023 in relation to a designated central system (within the meaning of Part 6 of that Act).

Energy Act 2004

9

The Energy Act 2004 is amended as follows.

10

In section 173 (appeals to the Competition and Markets Authority), after subsection (2B) insert—

(2C) This section also applies to a decision by GEMA to modify a designated document (within the meaning of Part 6 of the Energy Act 2023) under section 192 of that Act.

11

(1A) “The relevant period” means— (a) 15 working days following the day of the making of the application for permission to bring the appeal, or (b) such longer period following that day as an authorised member of the CMA may allow.

;

Energy Act 2023

12

In section 89

Schedule 15

Part 1 — Amendments of Electricity Act 1989

1

The Electricity Act 1989 is amended as follows.

2

After section 6B insert—

(6BA) (1) In this Part, “relevant electricity project” means a project— (a) that relates to the total system, an electricity interconnector or a multi-purpose interconnector, and (b) in relation to which criteria specified in regulations made by the Secretary of State are satisfied. (2) In subsection (1)(a), “the total system” means all transmission systems and distribution systems in Great Britain and offshore waters. (3) In this Part, “relevant licence” means— (a) a transmission licence that does not authorise the licence holder to co-ordinate and direct the flow of electricity as described in section 4(3A)(a); (b) a generation licence, a distribution licence, an interconnector licence or an MPI licence. (4) In this Part, “relevant contract” means a contract, entered into by a person with the holder of a transmission licence, a system operator electricity licence or a distribution licence (referred to in this Part as a “contract counterparty”), for the carrying out of a relevant electricity project. (5) Regulations under this section may make different provision for different purposes. (6) Before making regulations under this section, the Secretary of State must consult— (a) the Authority, (b) such holders of relevant licences as the Secretary of State considers appropriate, and (c) such other persons as the Secretary of State considers appropriate. (6BB) (1) The Secretary of State may by regulations designate a person for the purposes of this section; and a person so designated is referred to in this Part as a “delivery body”. (2) The designation of a person for the purposes of this section has effect subject to any conditions imposed by the Secretary of State in the regulations designating the person. (3) More than one person may be designated for the purposes of this section at the same time. (4) Regulations under this section may designate different persons for different purposes. (5) The Secretary of State may by regulations revoke a person’s designation if the person ceases to meet any condition subject to which the designation has effect. (6) The Secretary of State may make indemnity payments to a delivery body (subject to subsection (9)). (7) An indemnity payment is a payment in respect of costs or expenses incurred by a delivery body in connection with judicial review proceedings in relation to anything done, or omitted to be done, in the exercise (or purported exercise) of functions conferred on the body by regulations under section 6C. (8) An indemnity payment may be made subject to such conditions as may be determined by the Secretary of State. (9) Subsection (6) does not authorise the making of a payment to the Authority (where it is designated under subsection (1)).

3

For sections 6C and 6D substitute—

(6C) (1) The Authority may by regulations (“tender regulations”) make such provision as appears to it to be appropriate for facilitating the making by a delivery body of— (a) a decision whether to hold a tender exercise in relation to a relevant electricity project; (b) in prescribed circumstances, a determination on a competitive basis of any of the matters listed in subsection (2). (2) Those matters are— (a) the person by whom a relevant electricity project is to be carried out; (b) the person to whom a relevant licence is to be granted (whether for the purposes of a relevant electricity project or otherwise); (c) the person to whom a relevant contract is to be awarded. (3) The provision mentioned in subsection (1) includes— (a) provision for the Authority to determine, in prescribed cases, whether a tender exercise should be held, or continued, in relation to a relevant electricity project; (b) provision for the publication, in prescribed cases, of a proposal for a relevant licence to be granted or for a relevant contract to be awarded; (c) provision for the inclusion in such a proposal of an invitation to apply for such a licence or to bid for such a contract; (d) provision restricting applications and bids and imposing requirements as to the period within which they must be made; (e) provision for regulating the manner in which applications and bids are considered and determined. (4) The provision mentioned in subsection (1) also includes— (a) provision conferring functions on a delivery body; (b) provision authorising the Authority to conduct a review of the exercise by a delivery body of functions conferred on it by the regulations; (c) provision authorising the Authority to appoint another person to conduct such a review on the Authority’s behalf. (5) The provision that may be made by virtue of subsection (4)(a) includes provision requiring a delivery body, in prescribed circumstances, to provide information about prescribed matters to the Authority. (6) Tender regulations— (a) may make provision by reference to a determination by the Authority or by a delivery body, or to the opinion of the Authority or of a delivery body, as to any matter; (b) may dispense with or supplement provision made in relation to applications for relevant licences by or under section 6A or 6B. (7) The approval of the Secretary of State is required for the making of tender regulations. (8) The making of a determination by virtue of subsection (2)(b) or (c) that a person is to be granted a relevant licence or awarded a relevant contract does not of itself require— (a) the Authority to exercise its power to grant a relevant licence to the person, or (b) a contract counterparty to award a relevant contract to the person, (as the case may be). (6CA) (1) Tender regulations may include provision authorising a person to whom subsection (2) applies (“P”), by notice given to another person (an “information notice”), to require the other person to provide relevant information to P. (2) This subsection applies to— (a) the Authority; (b) a delivery body; (c) a contract counterparty. (3) “Relevant information” means information that P reasonably requires for the purposes of or in connection with the exercise of P’s functions. (4) References in this section to the Authority include a person appointed by the Authority by virtue of section 6C(4)(c), where the information sought relates to a function conferred by virtue of section 6C(4)(b) (review of activities of delivery body). (5) Provision made by virtue of subsection (1) must require an information notice— (a) to specify or describe the information sought, and (b) to specify the time by which the information must be provided. (6) Provision made by virtue of subsection (1) may include provision— (a) for an information notice and information obtained in pursuance of it to be shared with the Authority, where the notice is given by a person other than the Authority; (b) for the classification and protection of confidential or sensitive information; (c) for the enforcement by the Authority of a requirement to provide information in pursuance of an information notice; (d) for the amount of any financial penalty imposed on a person by virtue of paragraph (c) to be determined by the Authority in accordance with tender regulations. (7) Where by virtue of subsection (6)(c)tender regulations provide for the imposition of a financial penalty, they must also include provision for a right of appeal against the imposition of the penalty. (6CB) (1) Tender regulations may include provision requiring— (a) the payment to the Authority or a delivery body, in prescribed circumstances, of amounts in respect of— (i) tender costs of the Authority, or of the delivery body, in relation to a tender exercise; (ii) such amounts in respect of the Authority’s tender costs as the Authority considers appropriate, where those costs are not attributable to a particular tender exercise; (iii) such amounts in respect of the delivery body’s tender costs as the Authority considers appropriate, where those costs are not attributable to a particular tender exercise. (b) the provision to the Authority or to a delivery body, in prescribed circumstances, of a deposit of a prescribed amount in respect of a liability which a person has, or may in future have, by virtue of paragraph (a) in relation to a relevant licence or relevant contract; (c) the provision to the Authority or to a delivery body, in prescribed circumstances, of security in a form approved by it in respect of such a liability. (2) The provision that may be made by virtue of subsection (1)(a) includes provision requiring the payment of cost assessment costs incurred by— (a) the Authority, or (b) the delivery body, after the Authority or delivery body (as the case may be) has taken the steps required by virtue of subsections (7) to (9) in relation to the tender exercise. (3) The regulations may require the payments to be made, or the deposit or security to be provided, by one or more of the following— (a) any person who has made a connection request for the purposes of which the tender exercise has been, is being, or is to be, held; (b) any person who made a connection request for the purposes of which any previous tender exercise relating to the same transmission system, or a transmission system consisting of some or all of the same lines or plant or connecting any of the same generating stations or substations, was held; (c) any person who made a connection request for the purposes of which any previous tender exercise relating to the same distribution system, or a distribution system consisting of some or all of the same lines or plant or connecting any of same premises or other distribution systems, was held; (d) any person who operates a generating station which is connected to the transmission or distribution system to which the tender exercise relates; (e) any person who submits an application for the relevant licence or bids for the award of a relevant contract to which the tender exercise relates; (f) any person who is the holder of a transmission licence, a distribution licence, an interconnector licence or an MPI licence. (4) The regulations may make provision about how— (a) payments are to be made, and (b) deposits or other forms of security are to be provided, including provision for them to be made or provided by a person approved by the Authority or by a delivery body. (5) The regulations may include provision about— (a) the times at which payments are to be made, or deposits or other forms of security are to be provided, under the regulations; (b) the circumstances in which a payment made in accordance with regulations made by virtue of subsection (1)(a) is to be repaid (wholly or in part); (c) the circumstances in which such a repayment is to include an amount representing interest accrued on the whole or part of the payment; (d) the circumstances in which a deposit (including any interest accrued on it) or other security provided in accordance with the regulations is to be released or forfeited (wholly or in part); (e) the effect on a person’s participation in the tender exercise of a failure to comply with a requirement imposed by virtue of this section, and the circumstances in which the tender exercise is to stop as a result of such a failure. (6) The regulations may include provision for— (a) the review by the Authority, or by a person appointed by the Authority, of any tender costs determined by a delivery body; (b) the amendment by a delivery body of its tender costs following such a review. (7) The regulations must ensure that, as soon as reasonably practicable after a tender exercise or series of tender exercises is finished— (a) where the Authority is the delivery body, steps are taken by the Authority, in accordance with the regulations, to ensure that the aggregate of the amounts in subsection (9) does not exceed the Authority’s tender costs in respect of the exercise or series of exercises; (b) in any other case, steps are taken by the delivery body, in accordance with the regulations, to ensure that the aggregate of the amounts in subsection (9) does not exceed the aggregate of— (i) the Authority’s tender costs, and (ii) the delivery body’s tender costs, in respect of the exercise or series of exercises. (8) The regulations must also ensure that, in a case within subsection (7)(b), the aggregate of the amounts within subsection (9) so far as relating to any particular tender exercise does not include any amount that falls within paragraph (a) of the definition of tender costs in section 6CD(4) in relation to a different tender exercise. (9) The amounts are— (a) any fees under section 6A(2) in respect of applications for relevant licences, (b) any payments made or deposits provided in accordance with regulations made by virtue of subsection (1)(a) or (b) and not repaid, and (c) the value of any security provided in accordance with regulations made by virtue of subsection (1)(c) and forfeited in accordance with regulations made by virtue of subsection (5)(d), so far as relating to the tender exercise or series of tender exercises in question. (6CC) (1) For the purposes of section 6CB(3), a person makes a connection request when the person makes an application to— (a) the holder of a co-ordination licence (in accordance with any provision made by the licence) for an offer of connection to and use of a transmission system, or (b) an electricity distributor (whether in accordance with any provision made by the distributor’s licence or otherwise) for an offer of connection to and use of the distributor’s distribution system. (2) A person (“P”) is to be treated for those purposes as having made a connection request if— (a) P would have made the connection request, but for the fact that another person had already made an application within subsection (1)(a) or (b), and (b) the benefit of that application, or any agreement resulting from it, is vested in P. (3) Where tender regulations— (a) restrict the making of applications for relevant licences or bids for relevant contracts in relation to a relevant electricity project, or (b) operate so as to prevent an application or bid from being considered or further considered, if the applicant does not meet one or more prescribed requirements, the regulations may make provision enabling a person to apply to a relevant body for a decision as to the effect of any such restriction or requirement if the person were to make such an application or bid. (4) Regulations made by virtue of subsection (3) may enable a relevant body to charge a person who makes such an application or bid a prescribed fee for any decision given in response to it. (5) Where the successful bidder, in relation to a tender exercise, already holds a relevant licence (“the existing licence”)— (a) the Authority may make such modifications of the existing licence as are necessary for the purpose of giving effect to the determination resulting from the tender exercise, and (b) references in this Part to the grant of a relevant licence are to be read accordingly. (6) Before making any modifications under subsection (5)(a), the Authority must give notice— (a) stating that it proposes to make the modifications and setting out their effect, and (b) specifying the time (not being less than 28 days from the date of publication of the notice) within which representations or objections with respect to the proposed modifications may be made, and must consider any representations or objections that are duly made and not withdrawn. (7) Any sums received by the Authority under tender regulations are to be paid into the Consolidated Fund. (8) In section 6CB and this section— - “co-ordination licence” means a transmission licence which authorises a person to co-ordinate and direct the flow of electricity onto and over a transmission system— by means of which the transmission of electricity takes place, and the whole or a part of which is at a relevant place (within the meaning of section 4(5)); - “functions” includes powers and duties; - “relevant body” means the Authority, a delivery body or a contract counterparty. (6CD) (1) This section defines expressions that are used in sections 6C to 6CC (as well as in this section). (2) “Prescribed” means prescribed in or determined under tender regulations. (3) “Tender exercise” means the steps taken in accordance with tender regulations with a view to determining one or more of the following— (a) the person by whom a relevant electricity project is to be carried out; (b) the person to whom a relevant licence is to be granted; (c) the person to whom a relevant contract is to be awarded. (4) “Tender costs” means— (a) costs (including any cost assessment costs) incurred or likely to be incurred by the Authority for the purposes of a particular tender exercise or prospective tender exercise; (b) costs (including any cost assessment costs) incurred or likely to be incurred by a delivery body for the purposes of a particular tender exercise or prospective tender exercise; (c) such proportion as the Authority considers appropriate of the costs that— (i) have been, or are likely to be, incurred by the Authority or by a delivery body under regulations under section 6C, and (ii) are not directly attributable to a particular tender exercise. (5) “Cost assessment costs”, in relation to a tender exercise, means costs incurred or likely to be incurred by the Authority or by a delivery body in connection with any assessment of— (a) costs that have been or are to be incurred in connection with any property, rights or liabilities necessary or expedient for the performance by a person of functions under a relevant licence granted or a relevant contract awarded to the person as a result of the tender exercise; (b) costs incurred in connection with any property, rights or liabilities that would have been necessary or expedient for the performance of functions under a relevant licence or a relevant contract if such a licence or contract had been granted or awarded to a person as a result of the tender exercise. (6) “Successful bidder”, in relation to a tender exercise, is the person in respect of whom (as a result of the exercise) any of the following applies— (a) a delivery body determines that a relevant electricity project is to be carried out by the person; (b) a relevant licence has been or is to be granted to the person; (c) a relevant contract has been or is to be awarded to the person. (7) Section 6C(8) applies for the purposes of subsections (3)(b) and (c) and (6)(b) and (c) as it applies for the purposes of section 6C(2)(b) and (c).

4

In section 6E (property schemes)—

5

(4A) In relation to a transmission system other than an offshore transmission system, the third condition is that— (a) either— (i) a tender exercise for the granting of a relevant licence in respect of the system has been or is being held, or (ii) a delivery body has determined to hold a tender exercise for the granting of a relevant licence in respect of the system, and (b) the system, or anything forming part of it, has not been transferred to the successful bidder.

  • offshore transmission” means the transmission within an area of offshore waters of electricity generated by a generating station in such an area;
  • offshore transmission licence” means a transmission licence authorising anything that forms part of a transmission system to be used for purposes connected with offshore transmission;
  • offshore transmission tender regulations” means tender regulations that provide for the determination on a competitive basis of the person to whom an offshore transmission licence is to be granted;

;

  • tender exercise” has the meaning given by section 6CD(3);

;

  • tender regulations” has the meaning given by section 6C(1).
6

(6) In this section— - “co-ordination licence” means a transmission licence which authorises a person to co-ordinate and direct the flow of electricity onto and over a transmission system by means of which the transmission of electricity takes place and the whole or part of which is at a place in Great Britain, in the territorial sea adjacent to Great Britain or in a Renewable Energy Zone; - “relevant co-ordination licence holder” means the holder of a co-ordination licence to whom a person has applied (in accordance with any provision made by that licence) for an offer of connection to and use of a transmission system for the purposes of which the tender exercise is held.

7

(2) The Authority may make a modification under subsection (1) only if it considers it necessary or desirable for the purpose of— (a) implementing, or facilitating the implementation of, a determination made in accordance with regulations under section 6C, or (b) implementing or facilitating the operation of section 6F or 6G.

(4) Before making a modification under subsection (1) the Authority must— (a) consult such persons as the Authority considers appropriate, and (b) publish a notice— (i) stating that it proposes to make the modification and its reasons for proposing to make it, (ii) setting out the proposed modification and its effect, and (iii) specifying the time within which representations may be made (which must not be less than the period of 28 days beginning with the day on which the notice is published).

8

In section 11A (modification of conditions of licences), after subsection (9) insert—

(9A) This section does not apply to the modification of a licence in exercise of the power under section 6CC(5)(a) (modification of licence to give effect to determination on a tender exercise).

9

In section 64(1) (interpretation etc of Part 1), at the appropriate places insert—

  • contract counterparty” has the meaning given by section 6BA;

;

  • delivery body” has the meaning given by section 6BB;

;

  • offshore transmission” and “offshore transmission licence” have the meaning given by section 6F(8);

;

  • offshore waters” means— waters in or adjacent to Great Britain which are between the mean low water mark and the seaward limits of the territorial sea, and waters within an area designated under section 1(7) of the Continental Shelf Act 1964;

;

  • relevant contract” and “relevant licence” have the meaning given by section 6BA;

;

  • relevant electricity project” has the meaning given by section 6BA;

;

  • relevant licence” has the meaning given by section 6BA;

.

10

Schedule 2A (property schemes) is amended in accordance with paragraphs 11 to 24.

11

For paragraph 1 substitute—

(1) (1) This paragraph applies where a tender exercise is held in relation to a relevant electricity project, a relevant licence or a relevant contract. (2) The Authority may, on an application under paragraph 3, make a scheme (“a property scheme”) providing for— (a) the transfer to the successful bidder of, or (b) the creation in favour of the successful bidder of rights in relation to, any property, rights or liabilities necessary or expedient for construction, commissioning or operational purposes.

12

In paragraph 2, at the end insert—

(5) A property scheme may not contain provision for the transfer of, or creation of rights in relation to, property, rights or liabilities that the Authority considers it appropriate for the successful bidder to acquire by other means.

13

Omit paragraph 5.

14

In paragraph 12, for “operational purposes” substitute “construction, commissioning or operational purposes” in each of the following places—

15

For paragraph 13 substitute—

(13) On an application for a property scheme, no scheme may be made until either a relevant licence has been granted or a relevant contract has been awarded to the successful bidder.

16

In paragraph 14—

(aa) a delivery body, (ab) a contract counterparty,

.

17

In paragraph 15(2), for “operational purposes” substitute “construction, commissioning or operational purposes”.

18

Omit paragraph 16(1)(d).

19

In paragraph 25(2), for “operational purposes” substitute “construction, commissioning or operational purposes”.

20

In paragraph 30, for “operational purposes” substitute “construction, commissioning or operational purposes”.

21

(2A) Where a tender exercise is held, as soon as a contract counterparty is satisfied that it will enter into a relevant contract with a particular person if certain matters are resolved to the counterparty’s satisfaction, it must publish a notice to that effect.

(4A) A contract counterparty may withdraw a notice given by it under sub-paragraph (2A) by publishing a notice to that effect.

22

In paragraph 36—

(2) Where as a result of a tender exercise the Authority determines to grant a relevant licence to a person, it must publish a notice to that effect. (2A) Where as a result of a tender exercise a person is awarded a relevant contract, the contract counterparty with which the contract is to be entered into must publish a notice to that effect.

.

23

After paragraph 36 insert—

(36A) (1) Before directing the holder of a transmission licence to act as a transmission owner of last resort pursuant to the conditions of the licence, the Authority may publish a notice— (a) stating that it proposes to give the direction, and (b) identifying the licence holder to whom it proposes to give the direction. (2) Where a notice is published under sub-paragraph (1), this Schedule has effect as if— (a) the licence holder is the preferred bidder in relation to a tender exercise, and (b) the notice is one published under paragraph 35(2), identifying the licence holder as the preferred bidder. (3) Paragraph 35(4) applies in relation to a notice published under sub-paragraph (1) of this paragraph as it applies to a notice published under paragraph 35(2). (4) Where the Authority directs the holder of a transmission licence to act as a transmission owner of last resort pursuant to the conditions of the licence, this Schedule has effect as if— (a) the licence holder is the holder of a transmission licence granted as a result of a tender exercise in which the licence holder was the successful bidder, and (b) a notice has been published under paragraph 36 identifying the licence holder as the successful bidder in relation to the tender exercise. (36B) (1) Before directing the holder of a distribution licence to act as a distribution network owner of last resort pursuant to the conditions of the licence, the Authority may publish a notice— (a) stating that it proposes to give the direction, and (b) identifying the licence holder to whom it proposes to give the direction. (2) Where a notice is published under sub-paragraph (1), this Schedule has effect as if— (a) the licence holder is the preferred bidder in relation to a tender exercise, and (b) the notice is one published under paragraph 35(2), identifying the licence holder as the preferred bidder. (3) Paragraph 35(4) applies in relation to a notice published under sub-paragraph (1) of this paragraph as it applies to a notice published under paragraph 35(2). (4) Where the Authority directs the holder of a distribution licence to act as a distribution network owner of last resort pursuant to the conditions of the licence, this Schedule has effect as if— (a) the licence holder is the holder of a distribution licence granted as a result of a tender exercise in which the licence holder was the successful bidder, and (b) a notice has been published under paragraph 36 identifying the licence holder as the successful bidder in relation to the tender exercise.

24

In paragraph 38(1)—

  • construction, commissioning or operational purposes” means the purposes of performing any functions which the successful bidder has, or may in future have under or by virtue of— a relevant licence which has been, or is to be, granted as a result of the tender exercise, a relevant contract which has been, or is to be, awarded as a result of the tender exercise, or any enactment, in the successful bidder’s capacity as holder of the relevant licence or party to the relevant contract;

;

  • successful bidder”, in relation to a tender exercise, has the meaning given by section 6CD(6);

;

  • tender exercise” has the meaning given by section 6CD(3);

.

25

(7A) A necessary wayleave granted to a licence holder under this paragraph may be transferred to another licence holder.

Part 2 — Other amendments

Utilities Act 2000

26

(ad) it is made for the purpose of facilitating any functions of the Authority, a delivery body or a contract counterparty (within the meaning of Part 1 of the 1989 Act) under regulations under section 6C of that Act;

.

Schedule 16

Part 1 — Further duties of Competition and Markets Authority to make references

1

Part 3 of the Enterprise Act 2002 (mergers) is amended as follows.

2

After section 68 insert—

(68A) (1) For the purposes of this Part, a relevant merger situation involves an energy network merger if two or more of the enterprises that cease to be distinct are energy network enterprises of the same type. (2) For the purposes of this Part, the types of “energy network enterprise” are— (a) an enterprise holding a licence under section 7 of the Gas Act 1986 (gas transporter); (b) an enterprise holding a licence under section 6(1)(b) of the Electricity Act 1989 (transmission of electricity), except as mentioned in subsection (3); (c) an enterprise holding a licence under section 6(1)(c) of the Electricity Act 1989 (distribution of electricity), except as mentioned in subsection (3). (3) An enterprise holding a licence under section 6(1)(b) or (c) of the Electricity Act 1989 is not an energy network enterprise if— (a) the licence was granted following a tender exercise, and (b) either— (i) the enterprise does not hold any other licence of a type mentioned in subsection (2), or (ii) the enterprise holds one or more other licences under section 6(1)(b) or (c) of the Electricity Act 1989 and each of those other licences was granted following a tender exercise. (4) The Secretary of State may by regulations amend this section by— (a) adding to subsection (2) an enterprise holding a licence under the Gas Act 1986 or the Electricity Act 1989 of a type that is not specified in that subsection; (b) creating an exception in relation to a type of enterprise specified in subsection (2); (c) amending or removing an exception that applies in relation to a type of enterprise specified in subsection (2). (5) Before making regulations under subsection (4), the Secretary of State must consult— (a) the Gas and Electricity Markets Authority, and (b) the CMA. (6) In this section, “tender exercise” has the same meaning as in section 6CD of the Electricity Act 1989. (68B) (1) The CMA must make a reference to its chair for the constitution of a group under Schedule 4 to the Enterprise and Regulatory Reform Act 2013 if the CMA believes that it is or may be the case that— (a) a relevant merger situation involving an energy network merger has been created, and (b) the creation of that situation has caused, or may be expected to cause, substantial prejudice to the ability of the Gas and Electricity Markets Authority, in carrying out its functions under Part 1 of the Gas Act 1986 or Part 1 of the Electricity Act 1989, to make comparisons between energy network enterprises of the type involved in the energy network merger; but this is subject to subsections (2) and (3). (2) The CMA may decide not to make a reference under this section if it believes that any relevant customer benefits in relation to the creation of the relevant merger situation outweigh the prejudice mentioned in subsection (1)(b). (3) The CMA must not make a reference under this section in any circumstances described in section 22(3). (4) A reference under this section must, in particular, specify— (a) the enactment under which it is made, and (b) the date on which it is made. (68C) (1) The CMA must make a reference to its chair for the constitution of a group under Schedule 4 to the Enterprise and Regulatory Reform Act 2013 if the CMA believes that it is or may be the case that— (a) arrangements are in progress or in contemplation which, if carried into effect, will result in the creation of a relevant merger situation involving an energy network merger, and (b) the creation of that situation may be expected to cause substantial prejudice to the ability of the Gas and Electricity Markets Authority, in carrying out its functions under Part 1 of the Gas Act 1986 or Part 1 of the Electricity Act 1989, to make comparisons between energy network enterprises of the type involved in the energy network merger, but this is subject to subsections (2) and (3). (2) The CMA may decide not to make a reference under this section if it believes that— (a) the arrangements concerned are not sufficiently far advanced, or are not sufficiently likely to proceed, to justify the making of a reference, or (b) any relevant customer benefits in relation to the creation of the relevant merger situation concerned outweigh the prejudice mentioned in subsection (1)(b). (3) The CMA must not make a reference under this section in any circumstances described in section 33(3). (4) A reference under this section must, in particular, specify— (a) the enactment under which it is made, and (b) the date on which it is made. (68D) (1) Before forming a view for the purposes of section 68B(1)(b) or (2) or 68C(1)(b) or (2)(b), the CMA must— (a) ask the Gas and Electricity Markets Authority to give an opinion, and (b) consider that opinion. (2) Where the CMA makes a request under this section, the Gas and Electricity Markets Authority must give its opinion on— (a) whether and to what extent the creation of the relevant merger situation has prejudiced, or may be expected to prejudice, the Authority’s ability, in carrying out its functions under Part 1 of the Gas Act 1986 or Part 1 of the Electricity Act 1989, to make comparisons between energy network enterprises of the type involved in the relevant merger situation, and (b) whether any prejudice is outweighed by any relevant customer benefits in relation to the creation of the relevant merger situation. (3) The Gas and Electricity Markets Authority must prepare and publish a statement of the methods it considers should be applied in forming an opinion on the matters mentioned in subsection (2). (4) The statement must, in particular, set out— (a) the criteria to be used for assessing the effect of any particular energy network enterprises ceasing to be distinct enterprises on the Gas and Electricity Market Authority’s ability to make comparisons between such enterprises, and (b) the relative weight to be given to the criteria. (5) Before preparing or altering the statement, the Gas and Electricity Markets Authority must consult— (a) the Secretary of State, (b) the Scottish Ministers, (c) the Welsh Ministers, (d) the CMA, and (e) each energy network enterprise. (6) The Gas and Electricity Markets Authority must from time to time— (a) review the statement, and (b) where appropriate, change the statement and publish the new version. (7) In forming its opinion under this section, the Gas and Electricity Markets Authority must apply the methods set out in its latest statement. (68E) (1) In respect of a relevant merger situation involving an energy network merger, the CMA may— (a) make a reference under both section 22 and section 68B, or (b) make a reference under both section 33 and section 68C. (2) If the CMA does so— (a) the references may be decided by the same group constituted under Schedule 4 to the Enterprise and Regulatory Reform Act 2013; (b) the functions of the CMA referred to in section 34C(1) and (2) may be carried out on behalf of the CMA by the same group in relation to both references; and (c) the group’s duties under section 38 to prepare and publish a report on each reference may be satisfied by preparing and publishing a single report on both references. (68F) (1) In relation to— (a) a reference, or possible reference, under section 68B, and (b) a reference, or possible reference, under section 68C, Chapter 1 of this Part applies with the modifications set out in Schedule 5A. (2) In Chapters 2 to 5 of this Part, references to a provision of Chapter 1 include that provision as applied by subsection (1) and Schedule 5A.

3

After Schedule 5 insert—

Schedule 5A (1) (1) Chapter 1 (other than sections 22 and 33) has effect as if— (a) references to a reference or possible reference under section 22 were references to a reference or possible reference under section 68B, and (b) references to a reference or possible reference under section 33 were references to a reference or possible reference under section 68C. (2) The references in sub-paragraph (1) to a reference under a section include a reference treated as made under that section. (2) Section 23 (relevant merger situations) has effect as if— (a) in subsection (1), for paragraph (b) there were substituted— (b) the value of the turnover in Great Britain of the enterprise being taken over exceeds £70 million. (b) subsections (2) to (8) were omitted. (3) Section 28 (turnover test) has effect as if— (a) references to the United Kingdom were to Great Britain; (b) in subsection (5), for “The CMA shall” there were substituted “The CMA and the Gas and Electricity Markets Authority shall each”; (c) the reference in subsection (6) to section 23(1)(b) included a reference to that provision as modified by paragraph 2 of this Schedule. (4) Section 30 (relevant customer benefits) has effect as if— (a) in subsection (1)(a)(i), for “lessening of competition concerned” there were substituted “prejudice to the Gas and Electricity Markets Authority”; (b) in subsections (2)(b) and (3)(b), for “a similar lessening of competition” there were substituted “a similar prejudice to the Gas and Electricity Markets Authority”. (5) Section 34ZA(1)(a) (time-limits for decisions about references) has effect as if— (a) the reference to section 22(2) were to section 68B(2); (b) the reference to section 22(3) were to— (i) that provision as applied by section 68B(4), and (ii) section 68B(3); (c) the reference to section 33(2) were to section 68C(2); (d) the reference to section 33(3) were to— (i) that provision as applied by section 68C(4), and (ii) section 68C(3). (6) Section 35 (questions to be decided in relation to completed mergers) has effect as if— (a) in subsection (1)(a), after “situation” there were inserted “involving an energy network merger”; (b) in subsection (1)(b), for the words from “has resulted” to the end there were substituted “has caused, or may be expected to cause, substantial prejudice to the ability of the Gas and Electricity Markets Authority to make comparisons between energy network enterprises of the type involved in the energy network merger”; (c) for subsection (2) there were substituted— (2) For the purposes of this section there is a prejudicial outcome if there is a situation described in subsection (1)(a) which has, or may be expected to have, the effect described in subsection (1)(b). (d) in subsection (3), for “an anti-competitive outcome (within the meaning given by subsection (2)(a))” there were substituted “a prejudicial outcome”; (e) in subsections (3)(a) and (b) and (4), for “lessening of competition” (in each place it appears) there were substituted “prejudice”. (7) Section 36 (questions to be decided in relation to anticipated mergers) has effect as if— (a) in subsection (1)(a), after “situation” there were inserted “involving an energy network merger”; (b) in subsection (1)(b), for the words from “result” to the end there were substituted “cause substantial prejudice to the ability of the Gas and Electricity Markets Authority to make comparisons between energy network enterprises of the type involved in the energy network merger”; (c) after subsection (1) there were inserted— (1A) For the purposes of this section there is a prejudicial outcome if there are arrangements described in subsection (1)(a) which may be expected to have the effect described in subsection (1)(b). (d) in subsection (2), for “an anti-competitive outcome (within the meaning given by section 35(2)(b))” there were substituted “a prejudicial outcome”; (e) in subsections (2)(a) and (b) and (3), for “lessening of competition” (in each place it appears) there were substituted “prejudice”. (8) Section 41 (duty to remedy effects of completed or anticipated mergers) has effect as if— (a) in subsection (1), for “an anti-competitive outcome” there were substituted “a prejudicial outcome (within the meaning of section 35(2) or 36(1A))”; (b) in subsection (2)(a) and (b), for “lessening of competition” there were substituted “prejudice”; (c) in subsection (4), for “lessening of competition” there were substituted “prejudice”.

Part 2 — Consequential amendments of Part 3 of Enterprise Act 2002

4

Part 3 of the Enterprise Act 2002 is amended as follows.

5

. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

6

. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .

7
8

In section 56(2) (competition cases where intervention on public interest grounds ceases), for “or 33” (in both places it occurs) substitute “, 33, 68B or 68C”.

9

In section 57(1) (duties of CMA and OFCOM to inform Secretary of State), for “section 22 or 33” substitute “section 22, 33, 68B or 68C”.

10

In the italic heading at the beginning of Chapter 4, for “section 22 or 33” substitute “section 22, 33, 68B or 68C”.

11
12

(3A) Subsection (3B) applies if the CMA considers that it is under a duty to make a reference under section 68B or 68C; and for the purposes of this subsection it must— (a) disregard the operation of section 22(3)(b) or 33(3)(b) (as applied by section 68B or 68C), but (b) take account of its power under section 68B(2) or 68C(2) to decide not to make such a reference. (3B) The CMA may, instead of making such a reference and for the purpose of remedying, mitigating or preventing the prejudice to the ability of the Gas and Electricity Markets Authority described in section 68B(1) or 68C(1), accept from such of the parties concerned as it considers appropriate undertakings to take such action as it considers appropriate. (3C) In proceeding under subsection (3B), the CMA must, in particular, have regard to the need to achieve as comprehensive a solution as is reasonable and practicable to the prejudice. (3D) Before proceeding under subsection (3B), the CMA must— (a) ask the Gas and Electricity Markets Authority to give its opinion on the effect of the undertakings offered, and (b) consider the Authority’s opinion.

13
14
15

In section 77(1)(a) (restrictions on certain dealings: completed mergers), after “22” insert “or 68B”.

16

In section 78(1)(a) (restrictions on certain share dealings: anticipated mergers), after “33” insert “or 68C”.

17

In section 79(1) and (2) (sections 77 and 78: further interpretation provisions), for “or 33” substitute “, 33, 68B or 68C”.

18

In section 80(1), (7) and (8) (interim undertakings), for “or 33” substitute “, 33, 68B or 68C”.

19

In section 81(1), (7) and (8) (interim orders), for “or 33” substitute “, 33, 68B or 68C”.

20

In section 82(3) and (4) (final undertakings), for “or 33” substitute “, 33, 68B or 68C”.

21

In section 84(5) (final orders), for “or 33” substitute “, 33, 68B or 68C”.

22
23

In section 104(6) (certain duties of relevant authorities to consult), in the definition of “relevant decision”, in paragraph (a)(i), for “or 33” substitute “, 33, 68B or 68C”.

24

In section 105(1) (general information duties of CMA), for “or 33” substitute “, 33, 68B or 68C”.

25
26
27

In section 109(A1)(a) (attendance of witnesses and production of documents etc), for “or 33” substitute “, 33, 68B or 68C”.

28

In section 110A(5) and (6) (restriction on powers to impose penalties under section 110), for “or 33” substitute “, 33, 68B or 68C”.

29

In section 110B(1) and (2) (restriction on powers to impose penalties under section 110), for “or 33” substitute “, 33, 68B or 68C”.

30

In section 121(3)(a) (fees), for “or 33” substitute “, 33, 68B or 68C”.

31

In section 124(5) (orders and regulations), at the beginning insert “Regulations made by the Secretary of State under section 68A or”.

32

In section 127(3) (associated person), for “or 62” substitute “, 62, 68B or 68C”.

33
Energy network enterprise Section 68A
Energy network merger Section 68A

.

34

Part 3 — Consequential amendments of other enactments

Utilities Act 2000

35

In section 105(3) of the Utilities Act 2000 (general restrictions on disclosure of information), in paragraph (azb), after “under” insert “Part 3 of the Enterprise Act 2002 or under”.

Enterprise and Regulatory Reform Act 2013

36
  1. a reference under section 68B or 68C of the Enterprise Act 2002;

.

(2A) Sub-paragraph (2B) applies where a decision of a CMA group under section 35(1) or 36(1) of that Act (as applied by section 68F of, and Schedule 5A to, that Act) that there is, or is likely to be, prejudice of the kind described in section 68B(1)(b) or 68C(1)(b) of that Act is not a qualifying majority decision. (2B) The decision of the CMA group is to be treated as a decision under section 35(1) or, as the case may be, section 36(1) of that Act (as applied by section 68F of, and Schedule 5A to, that Act) that there is not, or is not likely to be, prejudice of that kind.

Schedule 17

The Electricity Act 1989

1

The Electricity Act 1989 is amended as follows.

2

In section 3A (principal objective and general duties of Secretary of State and Gas and Electricity Markets Authority)—

3

In section 3F(2) (Gas and Electricity Markets Authority to cooperate with Northern Ireland Authority), after “interconnection” insert “and multi-purpose interconnection”.

4

In section 7 (conditions of licences: general)—

5

In section 29 (regulations relating to supply and safety)—

6

In section 30 (electrical inspectors), in subsection (2)(a), after “interconnectors” insert “or multi-purpose interconnectors”.

7

In section 43 (functions with respect to competition)—

8

In subsection 44B (meaning of “section 44B dispute”), in subsection (1)(a), after sub-paragraph (iii) insert—

(iiia) made against the holder of an MPI licence,

.

9

In section 56A(4) (scope of power to alter activities requiring licence), after “electricity” insert “, with the operation of a multi-purpose interconnector”.

10

In section 58(2) (direction restricting the use of certain information), after “interconnectors” insert “or multi-purpose interconnectors”.

11

In section 98(1) (provision of statistical information), after “interconnectors” insert “or multi-purpose interconnectors”.

Scotland Act 1998

12

In section 90B of the Scotland Act 1998 (the Crown Estate), in subsection (12)(d), after “interconnectors” insert “or multi-purpose interconnectors (within the meaning of Part 1 of the Electricity Act 1989)”.

Utilities Act 2000

13

In section 5A of the Utilities Act 2000 (duty of Authority to carry out impact assessment), in subsection (2)—

Energy Act 2004

14

Section 172 of the Energy Act 2004 (annual report on security of energy supplies) is amended as follows—

Civil Contingencies Act 2004

15

, and (d) an MPI licence.

, and (d) an MPI licence.

Consumers, Estate Agents and Redress Act 2007

16

In section 42 of the Consumers, Estate Agents and Redress Act 2007 (interpretation of Part 2), in subsection (4), in paragraph (c) of the definition of “electricity licensee”—

Energy Act 2013

17

In section 59 of the Energy Act 2013 (suspension etc of emissions limit in exceptional circumstances), in subsection (4)(a), after “interconnector” insert “or multi-purpose interconnector”.

Regulation (EU) 2019/943 of the European Parliament and of the Council of 5th June 2019 on the internal market for electricity (recast)

18

In Article 63 of Regulation (EU) 2019/943 of the European Parliament and of the Council of 5th June 2019 on the internal market for electricity (recast), in paragraph 4A, for “granted under section 6(1)(e) of the Electricity Act 1989” substitute “or an MPI licence granted under section 6(1)(e) or (ea) respectively of the Electricity Act 1989”.

United Kingdom Internal Market Act 2020

19

In Part 2 of Schedule 2 to the United Kingdom Internal Market Act 2020 (services to which non-discrimination provisions do not apply), in the entry relating to services connected with the supply or production of electricity, after “interconnector” insert “or multi-purpose interconnector”.

Schedule 18

Part 1 — Interpretation

1

In this Schedule—

Part 2 — General provision as to the Regulator

Objectives

2

General duties

3
4

which are affected by the carrying out of that function.

Delegation of functions

5

Monitoring, records and information

6
7
8
9
10

Other general provision

11

Part 3 — Heat network authorisations

Prohibition from carrying on regulated activity

12

Heat network authorisations

13
14

Conditions about technical standards: further provision

15

The technical standards for which regulations made by virtue of paragraph 14(4)(e) may make provision include technical standards relating to—

Conditions about continuity of supply: further provision

16

Conditions of the sort referred to in paragraph 14(4)(f) may, in particular, require the holder of a heat network authorisation to enter into and maintain contractual arrangements under which, in circumstances of a description specified in the conditions, one or more other persons are under an obligation to secure the continuity of the supply of heating, cooling or hot water.

17

Conditions of the sort referred to in paragraph 14(4)(f) may, in particular, require the holder of a heat network authorisation, when directed to do so by the Regulator in circumstances of a description specified in the conditions, to carry on a regulated activity in relation to a relevant heat network in the place of another person (see paragraph 44).

Modification of heat network authorisations

18

Review and revocation of heat network authorisations

19

The regulations may provide for the conditions of, or the activities carried out by virtue of, a heat network authorisation to be reviewed by the Regulator at any time while it is in force.

20

Initial period

21

Part 4 — Code governance

Designated documents

22

Prohibition on performing the function of a code manager

23

Licensed code managers

24
25
26
27

The regulations may provide for the Regulator to make payments to licensed code managers in respect of their costs.

28

Review and revocation of code manager licences

29

The regulations may provide for a code manager licence, or the activities carried out by virtue of a code manager licence, to be reviewed by the Regulator at any time while it is in force.

30

Part 5 — Installation and maintenance licences

Installation and maintenance licences

31

Rights that may be conferred

32

subject to such requirements as to notification, manner of working and compensation as may be specified in the regulations;

subject to such requirements as to notification, compensation, arbitration and alteration of the works and apparatus as may be specified in the regulations;

Further provision about installation and maintenance licences

33
34

Review and revocation of installation and maintenance licences

35

The regulations may provide for the conditions of, or the activities carried out by virtue of, an installation and maintenance licence to be reviewed by the Regulator at any time while it is in force.

36

Part 6 — Enforcement of conditions and requirements

Methods of enforcement

37

to be excluded if the Regulator considers that it would be more appropriate to proceed under the Competition Act 1998 (see paragraph 41).

Final and provisional orders

38

Penalties

39

Consumer redress orders

40

Functions under Part 1 of the Competition Act 1998 and Part 4 of the Enterprise Act 2002

41

Part 7 — Investigation

Investigation of charges

42

Powers to require information etc

43

Part 8 — Step-in arrangements

44

The regulations may make provision for, or in connection with, securing that the holder of a heat network authorisation (“the new entity”) is able effectively to carry on a regulated activity in relation to a relevant heat network in the place of another person (“the old entity”) when directed to do so by the Regulator under a power conferred by a condition in its heat network authorisation (see paragraph 17).

45
46

Part 9 — Special administration regime

47

The regulations may make provision for, or in connection with, a special administration regime for companies that are holders of heat network authorisations.

48
49
50
51

In this Part

Part 10 — Supply to premises

52
53

The regulations may—

54

The regulations may—

55

The regulations may—

56

The regulations may—

57

The regulations may revoke or amend the Heat Network (Metering and Billing) Regulations 2014 (S.I. 2014/3120).

Part 11 — Consumer protection

Standards of performance

58

as in the Regulator’s opinion ought to be achieved as regards those persons.

59
60

Consumer advocacy bodies

61

Complaints handling and redress schemes

62

The regulations may provide for Part 2 of the Consumers, Estate Agents and Redress Act 2007 (complaints handling and redress schemes)—

Consumer complaints and dispute resolution arrangements: Northern Ireland

63
64

The regulations may, in relation to Northern Ireland, make provision about the resolution of disputes involving a heat network consumer or potential heat network consumer (including by providing for a scheme under which complaints may be made to, and investigated and determined by, an independent person or may be referred to arbitration).

Documents for Citizens Advice, Consumer Scotland and the General Consumer Council for Northern Ireland

65

The regulations may make provision requiring the Regulator, where the Regulator publishes a document of a description specified in the regulations, to send a copy of the document to—

Part 12 — Financial arrangements

66
67

provision requiring the payment of sums relating to the costs incurred by a person or body in providing, or arranging for the provision of, consumer advocacy and advice in relation to heat network consumers.

68

The regulations may make provision for the Regulator to pay into the Consolidated Fund or the Consolidated Fund of Northern Ireland sums received in consequence of—

Part 13 — Miscellaneous and general

Consultation and cooperation

69

The regulations may—

70

The regulations may require the Regulator to assist a public authority that carries out, in relation to Wales or Scotland, functions as regards limiting targeted greenhouse gases in relation to heat networks (including by providing information).

Objectives of the Secretary of State and the Department

71

Offences

72
73

Crown application

74

Schedule 19

1

The Electricity Act 1989 is amended as follows.

2

After section 56FB insert—

(56FBA) (1) The Secretary of State may by regulations amend this Part so as— (a) to provide for one or more activities within subsection (2) to be added to the activities which are licensable activities, or (b) where regulations have previously been made under paragraph (a) in relation to an activity— (i) to amend the definition of the activity, or (ii) to provide for the activity to cease to be a licensable activity. (2) The activities within this subsection are activities connected with— (a) the carrying on or facilitating of load control; (b) the provision of services or facilities related to load control; but not the activities mentioned in subsection (3). (3) The activities within this subsection are— (a) the provision of relevant electronic communications networks; (b) the making, selling, importing or distributing of energy smart appliances; (c) things done by end-users of energy smart appliances (in their capacity as such). (4) Regulations under subsection (1)(a) may define activities which are to become licensable activities in any manner the Secretary of State considers appropriate, including— (a) by reference to the purpose for which an activity is carried out; and (b) by reference to the position of an activity in a sequence of activities necessary to secure a particular outcome. (5) Regulations under this section may make consequential, transitional, incidental or supplementary provision, including— (a) amendments (or repeals) of any provision of this Act or any other enactment, including any enactment comprised in, or an instrument made under, an Act of the Scottish Parliament; (b) in the case of regulations under subsection (1)(a), provision determining the conditions which are to be standard conditions for the purposes of licences authorising the undertaking of the activities; (c) provision modifying any standard conditions of licences. (6) Transitional provision under subsection (5) may in particular include provision about persons already undertaking activities that are to become licensable activities by virtue of subsection (1)(a), such as provision— (a) about the application to such persons of section 4(1); (b) about the granting of licences to such persons. (7) Regulations under this section may, in particular, also make provision— (a) for licences to authorise the holder to carry out the licensable activities in any area, or only in an area specified in the licence; (b) enabling the terms of the licence to be modified so as to extend or restrict the area in which the licence holder may carry on the licensable activities; (c) specifying that a licence, and any modification of a licence, must be in writing; (d) for a licence, if not previously revoked, to continue in force for such period as may be specified in or determined by or under the licence; (e) conferring functions on the Secretary of State or the Authority. (8) In this section, “energy smart appliance”, “load control” and “relevant electronic communications network” have the same meaning as in Part 8 of the Energy Act 2023. (56FBB) (1) Before making regulations under section 56FBA, the Secretary of State must consult— (a) the Authority, and (b) such other persons as the Secretary of State thinks appropriate. (2) Subsection (1) may be satisfied by consultation before, as well as by consultation after, the passing of this Act. (3) The power to make such regulations may not be exercised after the end of a period of seven years beginning with the day on which the first such regulations come into force (for any purpose). (4) Regulations under section 56FBA may not be made unless a draft of the statutory instrument containing them has been laid before, and approved by resolution of, each House of Parliament.

3

At the end of section 56FC(2) (competitive tenders: definition of “new licensable activities”), insert “or regulations under section 56FBA(1)(a)”.

4

In section 106(2)(a) (regulations and orders), after “State” insert “(other than regulations under section 56FBA)”.

Schedule 20

Procedure

1

Variation of terms

2

The terms of an enforcement undertaking (including, in particular, the action specified under it and the period so specified within which the action must be taken) may be varied if both parties agree in writing.

Compliance certificates

3

Inaccurate, incomplete or misleading information

4

Where the Secretary of State is satisfied that a person who has given an enforcement undertaking has provided inaccurate, misleading or incomplete information in relation to the undertaking, the Secretary of State may treat the person as having failed to comply with the undertaking (and, if the Secretary of State decides so to treat the person, must by notice revoke any compliance certificate given to the person in respect of the enforcement undertaking).

Appeal against decision under paragraph 3 or 4

5

Schedule 21

Part 1 — Petroleum (Production) (Landward Areas) Regulations 1995

1

In the Petroleum (Production) (Landward Areas) Regulations 1995 (S.I. 1995/1436), Schedule 3 (model clauses for petroleum exploration and development licences in landward areas) is amended as follows.

2

After clause 37 insert—

(37A) (1) This clause applies if— (a) the Licensee is a company, or (b) where two or more persons are the Licensee, any of those persons is a company, and references in this clause to a company are to such a company. (2) A change in control of a company is not permitted without the consent of the Oil and Gas Authority (“the OGA”). (3) There is a “change in control” of a company if a person takes control of the company, not having previously been a person who controlled the company. (4) If a change in control of a company is contemplated, the company must apply in writing to the OGA for consent at least three months before the date on which it is proposed that the change would occur (if consent were given). (5) The OGA may— (a) consent to the change in control unconditionally, (b) consent to the change in control subject to conditions, or (c) refuse consent to the change in control. (6) If the OGA proposes to grant consent subject to any condition or to refuse consent, the OGA must, before making a final decision— (a) give the company an opportunity to make representations, and (b) consider any representations that are made. (7) The general rule is that the OGA must decide an application within three months of receiving it, but the OGA may delay its decision by notifying the interested parties in writing. (8) Conditions as mentioned in paragraph (5)(b) may be imposed on the person taking control of the company (as well as on the company), and may include— (a) conditions relating to the arrangements for the change in control, including the date by which it must occur, (b) conditions relating to the performance of activities permitted by this licence, and (c) financial conditions. (9) The OGA’s decision on the application, and any conditions as mentioned in paragraph (5)(b), must be notified in writing to the interested parties. (10) In this clause “the interested parties” means— (a) the company, (b) the person who (if consent were granted) would take control of the company, and (c) if the company and another person or persons are the Licensee, that other person or those other persons. (11) For the purposes of this clause, the question of whether a person has control of a company is to be determined in accordance with the test set out in clause 37(4).

3

(j) if the Licensee is a company, any breach of a condition subject to which the Oil and Gas Authority gave its consent to a change in control of the Licensee (see clause 37A); (k) if the Licensee is a company, any failure to provide full and accurate information in response to a notice given by the Oil and Gas Authority to that company under section 5D of the Petroleum Act 1998;

;

4

(1) This clause applies in a case where two or more persons are the Licensee and— (a) an event mentioned in clause 38(2)(c), (d), (e) or (g) occurs in relation to one of those persons; (b) an event mentioned in clause 38(2)(b) occurs which consists of a breach of clause 37A(2) or (4) in relation to a change in control of one of those persons; (c) an event mentioned in clause 38(2)(j) occurs in relation to a change in control of one of those persons (see clause 37A); or (d) an event mentioned in clause 38(2)(k) occurs which consists of a failure by one of those persons as mentioned in that provision.

Part 2 — Petroleum (Current Model Clauses) Order 1999

Introduction

5

The Petroleum (Current Model Clauses) Order 1999 (S.I. 1999/160) is amended in accordance with this Part of this Schedule.

Part 2 of Schedule 2

6

Part 2 of Schedule 2 (current model clauses for controlled waters or seaward production licences deriving from Schedule 2 to the 1964 Regulations and Schedule 4 to the 1966 Regulations) is amended in accordance with paragraphs 7 to 9.

7

After clause 38 insert—

(38A) (1) This clause applies if— (a) the Licensee is a company, or (b) where two or more persons are the Licensee, any of those persons is a company, and references in this clause to a company are to such a company. (2) A change in control of a company is not permitted without the consent of the Oil and Gas Authority (“the OGA”). (3) There is a “change in control” of a company if a person takes control of the company, not having previously been a person who controlled the company. (4) If a change in control of a company is contemplated, the company must apply in writing to the OGA for consent at least three months before the date on which it is proposed that the change would occur (if consent were given). (5) The OGA may— (a) consent to the change in control unconditionally, (b) consent to the change in control subject to conditions, or (c) refuse consent to the change in control. (6) If the OGA proposes to grant consent subject to any condition or to refuse consent, the OGA must, before making a final decision— (a) give the company an opportunity to make representations, and (b) consider any representations that are made. (7) The general rule is that the OGA must decide an application within three months of receiving it, but the OGA may delay its decision by notifying the interested parties in writing. (8) Conditions as mentioned in paragraph (5)(b) may be imposed on the person taking control of the company (as well as on the company), and may include— (a) conditions relating to the arrangements for the change in control, including the date by which it must occur, (b) conditions relating to the performance of activities permitted by this licence, and (c) financial conditions. (9) The OGA’s decision on the application, and any conditions as mentioned in paragraph (5)(b), must be notified in writing to the interested parties. (10) In this clause “the interested parties” means— (a) the company, (b) the person who (if consent were granted) would take control of the company, and (c) if the company and another person or persons are the Licensee, that other person or those other persons. (11) For the purposes of this clause, the question of whether a person has control of a company is to be determined in accordance with the test set out in clause 38(4).

8

(j) if the Licensee is a company, any breach of a condition subject to which the Oil and Gas Authority gave its consent to a change in control of the Licensee (see clause 38A); (k) if the Licensee is a company, any failure to provide full and accurate information in response to a notice given by the Oil and Gas Authority to that company under section 5D of the Act of 1998;

;

9

(1) This clause applies in a case where two or more persons are the Licensee and— (a) an event mentioned in clause 39(2)(c), (d), (e) or (g) occurs in relation to one of those persons; (b) an event mentioned in clause 39(2)(b) occurs which consists of a breach of clause 38A(2) or (4) in relation to a change in control of one of those persons; (c) an event mentioned in clause 39(2)(j) occurs in relation to a change in control of one of those persons (see clause 38A); or (d) an event mentioned in clause 39(2)(k) occurs which consists of a failure by one of those persons as mentioned in that provision.

Part 2 of Schedule 3

10

Part 2 of Schedule 3 (current model clauses for landward production licences deriving from Schedule 3 to the 1966 regulations) is amended in accordance with paragraphs 11 to 13.

11

After clause 36 insert—

(36A) (1) This clause applies if— (a) the Licensee is a company, or (b) where two or more persons are the Licensee, any of those persons is a company, and references in this clause to a company are to such a company. (2) A change in control of a company is not permitted without the consent of the Oil and Gas Authority (“the OGA”). (3) There is a “change in control” of a company if a person takes control of the company, not having previously been a person who controlled the company. (4) If a change in control of a company is contemplated, the company must apply in writing to the OGA for consent at least three months before the date on which it is proposed that the change would occur (if consent were given). (5) The OGA may— (a) consent to the change in control unconditionally, (b) consent to the change in control subject to conditions, or (c) refuse consent to the change in control. (6) If the OGA proposes to grant consent subject to any condition or to refuse consent, the OGA must, before making a final decision— (a) give the company an opportunity to make representations, and (b) consider any representations that are made. (7) The general rule is that the OGA must decide an application within three months of receiving it, but the OGA may delay its decision by notifying the interested parties in writing. (8) Conditions as mentioned in paragraph (5)(b) may be imposed on the person taking control of the company (as well as on the company), and may include— (a) conditions relating to the arrangements for the change in control, including the date by which it must occur, (b) conditions relating to the performance of activities permitted by this licence, and (c) financial conditions. (9) The OGA’s decision on the application, and any conditions as mentioned in paragraph (5)(b), must be notified in writing to the interested parties. (10) In this clause “the interested parties” means— (a) the company, (b) the person who (if consent were granted) would take control of the company, and (c) if the company and another person or persons are the Licensee, that other person or those other persons. (11) For the purposes of this clause, the question of whether a person has control of a company is to be determined in accordance with the test set out in clause 36(3).

12

(j) if the Licensee is a company, any breach of a condition subject to which the Oil and Gas Authority gave its consent to a change in control of the Licensee (see clause 36A); (k) if the Licensee is a company, any failure to provide full and accurate information in response to a notice given by the Oil and Gas Authority to that company under section 5D of the Act of 1998;

;

13

(1) This clause applies in a case where two or more persons are the Licensee and— (a) an event mentioned in clause 37(2)(c), (d), (e) or (g) occurs in relation to one of those persons; (b) an event mentioned in clause 37(2)(b) occurs which consists of a breach of clause 36A(2) or (4) in relation to a change in control of one of those persons; (c) an event mentioned in clause 37(2)(j) occurs in relation to a change in control of one of those persons (see clause 36A); or (d) an event mentioned in clause 37(2)(k) occurs which consists of a failure by one of those persons as mentioned in that provision.

Part 2 of Schedule 4

14

Part 2 of Schedule 4 (current model clauses for landward production licences deriving from Schedule 4 to the 1976 Regulations or Schedule 4 to the 1982 Regulations) is amended in accordance with paragraphs 15 to 17.

15

After clause 37 insert—

(37A) (1) This clause applies if— (a) the Licensee is a company, or (b) where two or more persons are the Licensee, any of those persons is a company, and references in this clause to a company are to such a company. (2) A change in control of a company is not permitted without the consent of the Oil and Gas Authority (“the OGA”). (3) There is a “change in control” of a company if a person takes control of the company, not having previously been a person who controlled the company. (4) If a change in control of a company is contemplated, the company must apply in writing to the OGA for consent at least three months before the date on which it is proposed that the change would occur (if consent were given). (5) The OGA may— (a) consent to the change in control unconditionally, (b) consent to the change in control subject to conditions, or (c) refuse consent to the change in control. (6) If the OGA proposes to grant consent subject to any condition or to refuse consent, the OGA must, before making a final decision— (a) give the company an opportunity to make representations, and (b) consider any representations that are made. (7) The general rule is that the OGA must decide an application within three months of receiving it, but the OGA may delay its decision by notifying the interested parties in writing. (8) Conditions as mentioned in paragraph (5)(b) may be imposed on the person taking control of the company (as well as on the company), and may include— (a) conditions relating to the arrangements for the change in control, including the date by which it must occur, (b) conditions relating to the performance of activities permitted by this licence, and (c) financial conditions. (9) The OGA’s decision on the application, and any conditions as mentioned in paragraph (5)(b), must be notified in writing to the interested parties. (10) In this clause “the interested parties” means— (a) the company, (b) the person who (if consent were granted) would take control of the company, and (c) if the company and another person or persons are the Licensee, that other person or those other persons. (11) For the purposes of this clause, the question of whether a person has control of a company is to be determined in accordance with the test set out in clause 37(3).

16

(j) if the Licensee is a company, any breach of a condition subject to which the Oil and Gas Authority gave its consent to a change in control of the Licensee (see clause 37A); (k) if the Licensee is a company, any failure to provide full and accurate information in response to a notice given by the Oil and Gas Authority to that company under section 5D of the Act of 1998;

;

17

(1) This clause applies in a case where two or more persons are the Licensee and— (a) an event mentioned in clause 38(2)(c), (d), (e) or (g) occurs in relation to one of those persons; (b) an event mentioned in clause 38(2)(b) occurs which consists of a breach of clause 37A(2) or (4) in relation to a change in control of one of those persons; (c) an event mentioned in clause 38(2)(j) occurs in relation to a change in control of one of those persons (see clause 37A); or (d) an event mentioned in clause 38(2)(k) occurs which consists of a failure by one of those persons as mentioned in that provision.

Part 2 of Schedule 5

18

Part 2 of Schedule 5 (current model clauses for seaward production licences deriving from Schedule 5 to the 1976 Regulations) is amended in accordance with paragraphs 19 to 21.

19

After clause 39 insert—

(39A) (1) This clause applies if— (a) the Licensee is a company, or (b) where two or more persons are the Licensee, any of those persons is a company, and references in this clause to a company are to such a company. (2) A change in control of a company is not permitted without the consent of the Oil and Gas Authority (“the OGA”). (3) There is a “change in control” of a company if a person takes control of the company, not having previously been a person who controlled the company. (4) If a change in control of a company is contemplated, the company must apply in writing to the OGA for consent at least three months before the date on which it is proposed that the change would occur (if consent were given). (5) The OGA may— (a) consent to the change in control unconditionally, (b) consent to the change in control subject to conditions, or (c) refuse consent to the change in control. (6) If the OGA proposes to grant consent subject to any condition or to refuse consent, the OGA must, before making a final decision— (a) give the company an opportunity to make representations, and (b) consider any representations that are made. (7) The general rule is that the OGA must decide an application within three months of receiving it, but the OGA may delay its decision by notifying the interested parties in writing. (8) Conditions as mentioned in paragraph (5)(b) may be imposed on the person taking control of the company (as well as on the company), and may include— (a) conditions relating to the arrangements for the change in control, including the date by which it must occur, (b) conditions relating to the performance of activities permitted by this licence, and (c) financial conditions. (9) The OGA’s decision on the application, and any conditions as mentioned in paragraph (5)(b), must be notified in writing to the interested parties. (10) In this clause “the interested parties” means— (a) the company, (b) the person who (if consent were granted) would take control of the company, and (c) if the company and another person or persons are the Licensee, that other person or those other persons. (11) For the purposes of this clause, the question of whether a person has control of a company is to be determined in accordance with the test set out in clause 39(4).

20

(j) if the Licensee is a company, any breach of a condition subject to which the Oil and Gas Authority gave its consent to a change in control of the Licensee (see clause 39A); (k) if the Licensee is a company, any failure to provide full and accurate information in response to a notice given by the Oil and Gas Authority to that company under section 5D of the Act of 1998;

;

21

(1) This clause applies in a case where two or more persons are the Licensee and— (a) an event mentioned in clause 40(2)(c), (d), (e) or (g) occurs in relation to one of those persons; (b) an event mentioned in clause 40(2)(b) occurs which consists of a breach of clause 39A(2) or (4) in relation to a change in control of one of those persons; (c) an event mentioned in clause 40(2)(j) occurs in relation to a change in control of one of those persons (see clause 39A); or (d) an event mentioned in clause 40(2)(k) occurs which consists of a failure by one of those persons as mentioned in that provision.

Part 2 of Schedule 6

22

Part 2 of Schedule 6 (current model clauses for seaward production licences deriving from Schedule 5 to the 1982 Regulations) is amended in accordance with paragraphs 23 to 25.

23

After clause 38 insert—

(38A) (1) This clause applies if— (a) the Licensee is a company, or (b) where two or more persons are the Licensee, any of those persons is a company, and references in this clause to a company are to such a company. (2) A change in control of a company is not permitted without the consent of the Oil and Gas Authority (“the OGA”). (3) There is a “change in control” of a company if a person takes control of the company, not having previously been a person who controlled the company. (4) If a change in control of a company is contemplated, the company must apply in writing to the OGA for consent at least three months before the date on which it is proposed that the change would occur (if consent were given). (5) The OGA may— (a) consent to the change in control unconditionally, (b) consent to the change in control subject to conditions, or (c) refuse consent to the change in control. (6) If the OGA proposes to grant consent subject to any condition or to refuse consent, the OGA must, before making a final decision— (a) give the company an opportunity to make representations, and (b) consider any representations that are made. (7) The general rule is that the OGA must decide an application within three months of receiving it, but the OGA may delay its decision by notifying the interested parties in writing. (8) Conditions as mentioned in paragraph (5)(b) may be imposed on the person taking control of the company (as well as on the company), and may include— (a) conditions relating to the arrangements for the change in control, including the date by which it must occur, (b) conditions relating to the performance of activities permitted by this licence, and (c) financial conditions. (9) The OGA’s decision on the application, and any conditions as mentioned in paragraph (5)(b), must be notified in writing to the interested parties. (10) In this clause “the interested parties” means— (a) the company, (b) the person who (if consent were granted) would take control of the company, and (c) if the company and another person or persons are the Licensee, that other person or those other persons. (11) For the purposes of this clause, the question of whether a person has control of a company is to be determined in accordance with the test set out in clause 38(4).

24

(j) if the Licensee is a company, any breach of a condition subject to which the Oil and Gas Authority gave its consent to a change in control of the Licensee (see clause 38A); (k) if the Licensee is a company, any failure to provide full and accurate information in response to a notice given by the Oil and Gas Authority to that company under section 5D of the Act of 1998;

;

25

(1) This clause applies in a case where two or more persons are the Licensee and— (a) an event mentioned in clause 39(2)(c), (d), (e) or (g) occurs in relation to one of those persons; (b) an event mentioned in clause 39(2)(b) occurs which consists of a breach of clause 38A(2) or (4) in relation to a change in control of one of those persons; (c) an event mentioned in clause 39(2)(j) occurs in relation to a change in control of one of those persons (see clause 38A); or (d) an event mentioned in clause 39(2)(k) occurs which consists of a failure by one of those persons as mentioned in that provision.

Part 2 of Schedule 8

26

Part 2 of Schedule 8 (current model clauses for landward development licences deriving from Schedule 5 to the 1984 Regulations) is amended in accordance with paragraphs 27 to 29.

27

After clause 35 insert—

(35A) (1) This clause applies if— (a) the Licensee is a company, or (b) where two or more persons are the Licensee, any of those persons is a company, and references in this clause to a company are to such a company. (2) A change in control of a company is not permitted without the consent of the Oil and Gas Authority (“the OGA”). (3) There is a “change in control” of a company if a person takes control of the company, not having previously been a person who controlled the company. (4) If a change in control of a company is contemplated, the company must apply in writing to the OGA for consent at least three months before the date on which it is proposed that the change would occur (if consent were given). (5) The OGA may— (a) consent to the change in control unconditionally, (b) consent to the change in control subject to conditions, or (c) refuse consent to the change in control. (6) If the OGA proposes to grant consent subject to any condition or to refuse consent, the OGA must, before making a final decision— (a) give the company an opportunity to make representations, and (b) consider any representations that are made. (7) The general rule is that the OGA must decide an application within three months of receiving it, but the OGA may delay its decision by notifying the interested parties in writing. (8) Conditions as mentioned in paragraph (5)(b) may be imposed on the person taking control of the company (as well as on the company), and may include— (a) conditions relating to the arrangements for the change in control, including the date by which it must occur, (b) conditions relating to the performance of activities permitted by this licence, and (c) financial conditions. (9) The OGA’s decision on the application, and any conditions as mentioned in paragraph (5)(b), must be notified in writing to the interested parties. (10) In this clause “the interested parties” means— (a) the company, (b) the person who (if consent were granted) would take control of the company, and (c) if the company and another person or persons are the Licensee, that other person or those other persons. (11) For the purposes of this clause, the question of whether a person has control of a company is to be determined in accordance with the test set out in clause 35(3).

28

(j) if the Licensee is a company, any breach of a condition subject to which the Oil and Gas Authority gave its consent to a change in control of the Licensee (see clause 35A); (k) if the Licensee is a company, any failure to provide full and accurate information in response to a notice given by the Oil and Gas Authority to that company under section 5D of the Act of 1998;

;

29

(1) This clause applies in a case where two or more persons are the Licensee and— (a) an event mentioned in clause 36(2)(c), (d), (e) or (g) occurs in relation to one of those persons; (b) an event mentioned in clause 36(2)(b) occurs which consists of a breach of clause 35A(2) or (4) in relation to a change in control of one of those persons; (c) an event mentioned in clause 36(2)(j) occurs in relation to a change in control of one of those persons (see clause 35A); or (d) an event mentioned in clause 36(2)(k) occurs which consists of a failure by one of those persons as mentioned in that provision.

Part 2 of Schedule 9

30

Part 2 of Schedule 9 (current model clauses for seaward production licences deriving from Schedule 4 to the 1988 Regulations as they had effect before 16 December 1996) is amended in accordance with paragraphs 31 to 33.

31

After clause 41 insert—

(41A) (1) This clause applies if— (a) the Licensee is a company, or (b) where two or more persons are the Licensee, any of those persons is a company, and references in this clause to a company are to such a company. (2) A change in control of a company is not permitted without the consent of the Oil and Gas Authority (“the OGA”). (3) There is a “change in control” of a company if a person takes control of the company, not having previously been a person who controlled the company. (4) If a change in control of a company is contemplated, the company must apply in writing to the OGA for consent at least three months before the date on which it is proposed that the change would occur (if consent were given). (5) The OGA may— (a) consent to the change in control unconditionally, (b) consent to the change in control subject to conditions, or (c) refuse consent to the change in control. (6) If the OGA proposes to grant consent subject to any condition or to refuse consent, the OGA must, before making a final decision— (a) give the company an opportunity to make representations, and (b) consider any representations that are made. (7) The general rule is that the OGA must decide an application within three months of receiving it, but the OGA may delay its decision by notifying the interested parties in writing. (8) Conditions as mentioned in paragraph (5)(b) may be imposed on the person taking control of the company (as well as on the company), and may include— (a) conditions relating to the arrangements for the change in control, including the date by which it must occur, (b) conditions relating to the performance of activities permitted by this licence, and (c) financial conditions. (9) The OGA’s decision on the application, and any conditions as mentioned in paragraph (5)(b), must be notified in writing to the interested parties. (10) In this clause “the interested parties” means— (a) the company, (b) the person who (if consent were granted) would take control of the company, and (c) if the company and another person or persons are the Licensee, that other person or those other persons. (11) For the purposes of this clause, the question of whether a person has control of a company is to be determined in accordance with the test set out in clause 41(4).

32

(j) if the Licensee is a company, any breach of a condition subject to which the Oil and Gas Authority gave its consent to a change in control of the Licensee (see clause 41A); (k) if the Licensee is a company, any failure to provide full and accurate information in response to a notice given by the Oil and Gas Authority to that company under section 5D of the Act of 1998;

;

33

(1) This clause applies in a case where two or more persons are the Licensee and— (a) an event mentioned in clause 42(2)(c), (d), (e) or (g) occurs in relation to one of those persons; (b) an event mentioned in clause 42(2)(b) occurs which consists of a breach of clause 41A(2) or (4) in relation to a change in control of one of those persons; (c) an event mentioned in clause 42(2)(j) occurs in relation to a change in control of one of those persons (see clause 41A); or (d) an event mentioned in clause 42(2)(k) occurs which consists of a failure by one of those persons as mentioned in that provision.

Part 2 of Schedule 10

34

Part 2 of Schedule 10 (current model clauses for seaward production licences deriving from Schedule 4 to the 1988 Regulations as they had effect on and after 16 December 1996) is amended in accordance with paragraphs 35 to 37.

35

After clause 41 insert—

(41A) (1) This clause applies if— (a) the Licensee is a company, or (b) where two or more persons are the Licensee, any of those persons is a company, and references in this clause to a company are to such a company. (2) A change in control of a company is not permitted without the consent of the Oil and Gas Authority (“the OGA”). (3) There is a “change in control” of a company if a person takes control of the company, not having previously been a person who controlled the company. (4) If a change in control of a company is contemplated, the company must apply in writing to the OGA for consent at least three months before the date on which it is proposed that the change would occur (if consent were given). (5) The OGA may— (a) consent to the change in control unconditionally, (b) consent to the change in control subject to conditions, or (c) refuse consent to the change in control. (6) If the OGA proposes to grant consent subject to any condition or to refuse consent, the OGA must, before making a final decision— (a) give the company an opportunity to make representations, and (b) consider any representations that are made. (7) The general rule is that the OGA must decide an application within three months of receiving it, but the OGA may delay its decision by notifying the interested parties in writing. (8) Conditions as mentioned in paragraph (5)(b) may be imposed on the person taking control of the company (as well as on the company), and may include— (a) conditions relating to the arrangements for the change in control, including the date by which it must occur, (b) conditions relating to the performance of activities permitted by this licence, and (c) financial conditions. (9) The OGA’s decision on the application, and any conditions as mentioned in paragraph (5)(b), must be notified in writing to the interested parties. (10) In this clause “the interested parties” means— (a) the company, (b) the person who (if consent were granted) would take control of the company, and (c) if the company and another person or persons are the Licensee, that other person or those other persons. (11) For the purposes of this clause, the question of whether a person has control of a company is to be determined in accordance with the test set out in clause 41(4).

36

(j) if the Licensee is a company, any breach of a condition subject to which the Oil and Gas Authority gave its consent to a change in control of the Licensee (see clause 41A); (k) if the Licensee is a company, any failure to provide full and accurate information in response to a notice given by the Oil and Gas Authority to that company under section 5D of the Act of 1998;

;

37

(1) This clause applies in a case where two or more persons are the Licensee and— (a) an event mentioned in clause 42(2)(c), (d), (e) or (g) occurs in relation to one of those persons; (b) an event mentioned in clause 42(2)(b) occurs which consists of a breach of clause 41A(2) or (4) in relation to a change in control of one of those persons; (c) an event mentioned in clause 42(2)(j) occurs in relation to a change in control of one of those persons (see clause 41A); or (d) an event mentioned in clause 42(2)(k) occurs which consists of a failure by one of those persons as mentioned in that provision.

Part 2 of Schedule 13

38

Part 2 of Schedule 13 (current model clauses for landward appraisal licences deriving from Schedule 5 to the 1991 Regulations) is amended in accordance with paragraphs 39 to 41.

39

After clause 32 insert—

(32A) (1) This clause applies if— (a) the Licensee is a company, or (b) where two or more persons are the Licensee, any of those persons is a company, and references in this clause to a company are to such a company. (2) A change in control of a company is not permitted without the consent of the Oil and Gas Authority (“the OGA”). (3) There is a “change in control” of a company if a person takes control of the company, not having previously been a person who controlled the company. (4) If a change in control of a company is contemplated, the company must apply in writing to the OGA for consent at least three months before the date on which it is proposed that the change would occur (if consent were given). (5) The OGA may— (a) consent to the change in control unconditionally, (b) consent to the change in control subject to conditions, or (c) refuse consent to the change in control. (6) If the OGA proposes to grant consent subject to any condition or to refuse consent, the OGA must, before making a final decision— (a) give the company an opportunity to make representations, and (b) consider any representations that are made. (7) The general rule is that the OGA must decide an application within three months of receiving it, but the OGA may delay its decision by notifying the interested parties in writing. (8) Conditions as mentioned in paragraph (5)(b) may be imposed on the person taking control of the company (as well as on the company), and may include— (a) conditions relating to the arrangements for the change in control, including the date by which it must occur, (b) conditions relating to the performance of activities permitted by this licence, and (c) financial conditions. (9) The OGA’s decision on the application, and any conditions as mentioned in paragraph (5)(b), must be notified in writing to the interested parties. (10) In this clause “the interested parties” means— (a) the company, (b) the person who (if consent were granted) would take control of the company, and (c) if the company and another person or persons are the Licensee, that other person or those other persons. (11) For the purposes of this clause, the question of whether a person has control of a company is to be determined in accordance with the test set out in clause 32(3).

40

(i) if the Licensee is a company, any breach of a condition subject to which the Oil and Gas Authority gave its consent to a change in control of the Licensee (see clause 32A); (j) if the Licensee is a company, any failure to provide full and accurate information in response to a notice given by the Oil and Gas Authority to that company under section 5D of the Petroleum Act 1998;

;

41

(1) This clause applies in a case where two or more persons are the Licensee and— (a) an event mentioned in clause 33(2)(c), (d), (e) or (f) occurs in relation to one of those persons; (b) an event mentioned in clause 33(2)(b) occurs which consists of a breach of clause 32A(2) or (4) in relation to a change in control of one of those persons; (c) an event mentioned in clause 33(2)(i) occurs in relation to a change in control of one of those persons (see clause 32A); or (d) an event mentioned in clause 33(2)(j) occurs which consists of a failure by one of those persons as mentioned in that provision.

Part 2 of Schedule 14

42

Part 2 of Schedule 14 (current model clauses for landward development licences deriving from Schedule 6 to the 1991 Regulations) is amended in accordance with paragraphs 43 to 45.

43

After clause 34 insert—

(34A) (1) This clause applies if— (a) the Licensee is a company, or (b) where two or more persons are the Licensee, any of those persons is a company, and references in this clause to a company are to such a company. (2) A change in control of a company is not permitted without the consent of the Oil and Gas Authority (“the OGA”). (3) There is a “change in control” of a company if a person takes control of the company, not having previously been a person who controlled the company. (4) If a change in control of a company is contemplated, the company must apply in writing to the OGA for consent at least three months before the date on which it is proposed that the change would occur (if consent were given). (5) The OGA may— (a) consent to the change in control unconditionally, (b) consent to the change in control subject to conditions, or (c) refuse consent to the change in control. (6) If the OGA proposes to grant consent subject to any condition or to refuse consent, the OGA must, before making a final decision— (a) give the company an opportunity to make representations, and (b) consider any representations that are made. (7) The general rule is that the OGA must decide an application within three months of receiving it, but the OGA may delay its decision by notifying the interested parties in writing. (8) Conditions as mentioned in paragraph (5)(b) may be imposed on the person taking control of the company (as well as on the company), and may include— (a) conditions relating to the arrangements for the change in control, including the date by which it must occur, (b) conditions relating to the performance of activities permitted by this licence, and (c) financial conditions. (9) The OGA’s decision on the application, and any conditions as mentioned in paragraph (5)(b), must be notified in writing to the interested parties. (10) In this clause “the interested parties” means— (a) the company, (b) the person who (if consent were granted) would take control of the company, and (c) if the company and another person or persons are the Licensee, that other person or those other persons. (11) For the purposes of this clause, the question of whether a person has control of a company is to be determined in accordance with the test set out in clause 34(3).

44

(j) if the Licensee is a company, any breach of a condition subject to which the Oil and Gas Authority gave its consent to a change in control of the Licensee (see clause 34A); (k) if the Licensee is a company, any failure to provide full and accurate information in response to a notice given by the Oil and Gas Authority to that company under section 5D of the Act of 1998;

;

45

(1) This clause applies in a case where two or more persons are the Licensee and— (a) an event mentioned in clause 35(2)(c), (d), (e) or (g) occurs in relation to one of those persons; (b) an event mentioned in clause 35(2)(b) occurs which consists of a breach of clause 34A(2) or (4) in relation to a change in control of one of those persons; (c) an event mentioned in clause 35(2)(j) occurs in relation to a change in control of one of those persons (see clause 34A); or (d) an event mentioned in clause 35(2)(k) occurs which consists of a failure by one of those persons as mentioned in that provision.

Part 3 — Petroleum Licensing (Exploration and Production) (Seaward and Landward Areas) Regulations 2004

Introduction

46

The Petroleum Licensing (Exploration and Production) (Seaward and Landward Areas) Regulations 2004 (S.I. 2004/352) are amended in accordance with this Part of this Schedule.

Schedule 2

47

Schedule 2 (model clauses for production licences relating to frontier areas — no break clause) is amended in accordance with paragraphs 48 to 50.

48

After clause 37 insert—

(37A) (1) This clause applies if— (a) the Licensee is a company, or (b) where two or more persons are the Licensee, any of those persons is a company, and references in this clause to a company are to such a company. (2) A change in control of a company is not permitted without the consent of the Oil and Gas Authority (“the OGA”). (3) There is a “change in control” of a company if a person takes control of the company, not having previously been a person who controlled the company. (4) If a change in control of a company is contemplated, the company must apply in writing to the OGA for consent at least three months before the date on which it is proposed that the change would occur (if consent were given). (5) The OGA may— (a) consent to the change in control unconditionally, (b) consent to the change in control subject to conditions, or (c) refuse consent to the change in control. (6) If the OGA proposes to grant consent subject to any condition or to refuse consent, the OGA must, before making a final decision— (a) give the company an opportunity to make representations, and (b) consider any representations that are made. (7) The general rule is that the OGA must decide an application within three months of receiving it, but the OGA may delay its decision by notifying the interested parties in writing. (8) Conditions as mentioned in paragraph (5)(b) may be imposed on the person taking control of the company (as well as on the company), and may include— (a) conditions relating to the arrangements for the change in control, including the date by which it must occur, (b) conditions relating to the performance of activities permitted by this licence, and (c) financial conditions. (9) The OGA’s decision on the application, and any conditions as mentioned in paragraph (5)(b), must be notified in writing to the interested parties. (10) In this clause “the interested parties” means— (a) the company, (b) the person who (if consent were granted) would take control of the company, and (c) if the company and another person or persons are the Licensee, that other person or those other persons. (11) For the purposes of this clause, the question of whether a person has control of a company is to be determined in accordance with the test set out in clause 37(4).

49

(j) if the Licensee is a company, any breach of a condition subject to which the Oil and Gas Authority gave its consent to a change in control of the Licensee (see clause 37A); (k) if the Licensee is a company, any failure to provide full and accurate information in response to a notice given by the Oil and Gas Authority to that company under section 5D of the Act;

;

50

(1) This clause applies in a case where two or more persons are the Licensee and— (a) an event mentioned in clause 38(2)(c), (d), (e), (ee) or (g) occurs in relation to one of those persons; (b) an event mentioned in clause 38(2)(b) occurs which consists of a breach of clause 37A(2) or (4) in relation to a change in control of one of those persons; (c) an event mentioned in clause 38(2)(j) occurs in relation to a change in control of one of those persons (see clause 37A); or (d) an event mentioned in clause 38(2)(k) occurs which consists of a failure by one of those persons as mentioned in that provision.

Schedule 3

51

Schedule 3 (model clauses for production licences relating to frontier areas — including break clause) is amended in accordance with paragraphs 52 to 54.

52

After clause 38 insert—

(38A) (1) This clause applies if— (a) the Licensee is a company, or (b) where two or more persons are the Licensee, any of those persons is a company, and references in this clause to a company are to such a company. (2) A change in control of a company is not permitted without the consent of the Oil and Gas Authority (“the OGA”). (3) There is a “change in control” of a company if a person takes control of the company, not having previously been a person who controlled the company. (4) If a change in control of a company is contemplated, the company must apply in writing to the OGA for consent at least three months before the date on which it is proposed that the change would occur (if consent were given). (5) The OGA may— (a) consent to the change in control unconditionally, (b) consent to the change in control subject to conditions, or (c) refuse consent to the change in control. (6) If the OGA proposes to grant consent subject to any condition or to refuse consent, the OGA must, before making a final decision— (a) give the company an opportunity to make representations, and (b) consider any representations that are made. (7) The general rule is that the OGA must decide an application within three months of receiving it, but the OGA may delay its decision by notifying the interested parties in writing. (8) Conditions as mentioned in paragraph (5)(b) may be imposed on the person taking control of the company (as well as on the company), and may include— (a) conditions relating to the arrangements for the change in control, including the date by which it must occur, (b) conditions relating to the performance of activities permitted by this licence, and (c) financial conditions. (9) The OGA’s decision on the application, and any conditions as mentioned in paragraph (5)(b), must be notified in writing to the interested parties. (10) In this clause “the interested parties” means— (a) the company, (b) the person who (if consent were granted) would take control of the company, and (c) if the company and another person or persons are the Licensee, that other person or those other persons. (11) For the purposes of this clause, the question of whether a person has control of a company is to be determined in accordance with the test set out in clause 38(4).

53

(j) if the Licensee is a company, any breach of a condition subject to which the Oil and Gas Authority gave its consent to a change in control of the Licensee (see clause 38A); (k) if the Licensee is a company, any failure to provide full and accurate information in response to a notice given by the Oil and Gas Authority to that company under section 5D of the Act;

;

54

(1) This clause applies in a case where two or more persons are the Licensee and— (a) an event mentioned in clause 39(2)(c), (d), (e), (ee) or (g) occurs in relation to one of those persons; (b) an event mentioned in clause 39(2)(b) occurs which consists of a breach of clause 38A(2) or (4) in relation to a change in control of one of those persons; (c) an event mentioned in clause 39(2)(j) occurs in relation to a change in control of one of those persons (see clause 38A); or (d) an event mentioned in clause 39(2)(k) occurs which consists of a failure by one of those persons as mentioned in that provision.

Schedule 4

55

Schedule 4 (model clauses for standard production licences) is amended in accordance with paragraphs 56 to 58.

56

After clause 36 insert—

(36A) (1) This clause applies if— (a) the Licensee is a company, or (b) where two or more persons are the Licensee, any of those persons is a company, and references in this clause to a company are to such a company. (2) A change in control of a company is not permitted without the consent of the Oil and Gas Authority (“the OGA”). (3) There is a “change in control” of a company if a person takes control of the company, not having previously been a person who controlled the company. (4) If a change in control of a company is contemplated, the company must apply in writing to the OGA for consent at least three months before the date on which it is proposed that the change would occur (if consent were given). (5) The OGA may— (a) consent to the change in control unconditionally, (b) consent to the change in control subject to conditions, or (c) refuse consent to the change in control. (6) If the OGA proposes to grant consent subject to any condition or to refuse consent, the OGA must, before making a final decision— (a) give the company an opportunity to make representations, and (b) consider any representations that are made. (7) The general rule is that the OGA must decide an application within three months of receiving it, but the OGA may delay its decision by notifying the interested parties in writing. (8) Conditions as mentioned in paragraph (5)(b) may be imposed on the person taking control of the company (as well as on the company), and may include— (a) conditions relating to the arrangements for the change in control, including the date by which it must occur, (b) conditions relating to the performance of activities permitted by this licence, and (c) financial conditions. (9) The OGA’s decision on the application, and any conditions as mentioned in paragraph (5)(b), must be notified in writing to the interested parties. (10) In this clause “the interested parties” means— (a) the company, (b) the person who (if consent were granted) would take control of the company, and (c) if the company and another person or persons are the Licensee, that other person or those other persons. (11) For the purposes of this clause, the question of whether a person has control of a company is to be determined in accordance with the test set out in clause 36(4).

57

(j) if the Licensee is a company, any breach of a condition subject to which the Oil and Gas Authority gave its consent to a change in control of the Licensee (see clause 36A); (k) if the Licensee is a company, any failure to provide full and accurate information in response to a notice given by the Oil and Gas Authority to that company under section 5D of the Act;

;

58

(1) This clause applies in a case where two or more persons are the Licensee and— (a) an event mentioned in clause 37(2)(c), (d), (e), (ee) or (g) occurs in relation to one of those persons; (b) an event mentioned in clause 37(2)(b) occurs which consists of a breach of clause 36A(2) or (4) in relation to a change in control of one of those persons; (c) an event mentioned in clause 37(2)(j) occurs in relation to a change in control of one of those persons (see clause 36A); or (d) an event mentioned in clause 37(2)(k) occurs which consists of a failure by one of those persons as mentioned in that provision.

Schedule 6

59

Schedule 6 (model clauses for petroleum exploration and development licences) is amended in accordance with paragraphs 60 to 62.

60

After clause 35 insert—

(35A) (1) This clause applies if— (a) the Licensee is a company, or (b) where two or more persons are the Licensee, any of those persons is a company, and references in this clause to a company are to such a company. (2) A change in control of a company is not permitted without the consent of the Oil and Gas Authority (“the OGA”). (3) There is a “change in control” of a company if a person takes control of the company, not having previously been a person who controlled the company. (4) If a change in control of a company is contemplated, the company must apply in writing to the OGA for consent at least three months before the date on which it is proposed that the change would occur (if consent were given). (5) The OGA may— (a) consent to the change in control unconditionally, (b) consent to the change in control subject to conditions, or (c) refuse consent to the change in control. (6) If the OGA proposes to grant consent subject to any condition or to refuse consent, the OGA must, before making a final decision— (a) give the company an opportunity to make representations, and (b) consider any representations that are made. (7) The general rule is that the OGA must decide an application within three months of receiving it, but the OGA may delay its decision by notifying the interested parties in writing. (8) Conditions as mentioned in paragraph (5)(b) may be imposed on the person taking control of the company (as well as on the company), and may include— (a) conditions relating to the arrangements for the change in control, including the date by which it must occur, (b) conditions relating to the performance of activities permitted by this licence, and (c) financial conditions. (9) The OGA’s decision on the application, and any conditions as mentioned in paragraph (5)(b), must be notified in writing to the interested parties. (10) In this clause “the interested parties” means— (a) the company, (b) the person who (if consent were granted) would take control of the company, and (c) if the company and another person or persons are the Licensee, that other person or those other persons. (11) For the purposes of this clause, the question of whether a person has control of a company is to be determined in accordance with the test set out in clause 35(4).

61

(j) if the Licensee is a company, any breach of a condition subject to which the Oil and Gas Authority gave its consent to a change in control of the Licensee (see clause 35A); (k) if the Licensee is a company, any failure to provide full and accurate information in response to a notice given by the Oil and Gas Authority to that company under section 5D of the Act;

;

62

(1) This clause applies in a case where two or more persons are the Licensee and— (a) an event mentioned in clause 36(2)(c), (d), (e), (ee) or (g) occurs in relation to one of those persons; (b) an event mentioned in clause 36(2)(b) occurs which consists of a breach of clause 35A(2) or (4) in relation to a change in control of one of those persons; (c) an event mentioned in clause 36(2)(j) occurs in relation to a change in control of one of those persons (see clause 35A); or (d) an event mentioned in clause 36(2)(k) occurs which consists of a failure by one of those persons as mentioned in that provision.

Part 4 — Petroleum Licensing (Production) (Seaward Areas) Regulations 2008

63

In the Petroleum Licensing (Production) (Seaward Areas) Regulations 2008 (S.I. 2008/225), the Schedule (model clauses for seaward area production licences) is amended as follows.

64

After clause 40 insert—

(40A) (1) This clause applies if— (a) the Licensee is a company, or (b) where two or more persons are the Licensee, any of those persons is a company, and references in this clause to a company are to such a company. (2) A change in control of a company is not permitted without the consent of the OGA. (3) There is a “change in control” of a company if a person takes control of the company, not having previously been a person who controlled the company. (4) If a change in control of a company is contemplated, the company must apply in writing to the OGA for consent at least three months before the date on which it is proposed that the change would occur (if consent were given). (5) The OGA may— (a) consent to the change in control unconditionally, (b) consent to the change in control subject to conditions, or (c) refuse consent to the change in control. (6) If the OGA proposes to grant consent subject to any condition or to refuse consent, the OGA must, before making a final decision— (a) give the company an opportunity to make representations, and (b) consider any representations that are made. (7) The general rule is that the OGA must decide an application within three months of receiving it, but the OGA may delay its decision by notifying the interested parties in writing. (8) Conditions as mentioned in paragraph (5)(b) may be imposed on the person taking control of the company (as well as on the company), and may include— (a) conditions relating to the arrangements for the change in control, including the date by which it must occur, (b) conditions relating to the performance of activities permitted by this licence, and (c) financial conditions. (9) The OGA’s decision on the application, and any conditions as mentioned in paragraph (5)(b), must be notified in writing to the interested parties. (10) In this clause “the interested parties” means— (a) the company, (b) the person who (if consent were granted) would take control of the company, and (c) if the company and another person or persons are the Licensee, that other person or those other persons. (11) For the purposes of this clause, “control” of a company is to be construed in accordance with sections 450(2) to (4) and 451(1) to (5) of the Corporation Tax Act 2010, modified as specified in clause 40(4).

65

(k) if the Licensee is a company, any breach of a condition subject to which the OGA gave its consent to a change in control of the Licensee (see clause 40A), (l) if the Licensee is a company, any failure to provide full and accurate information in response to a notice given by the OGA to that company under section 5D of the Act,

;

66

(1) This clause applies in a case where two or more persons are the Licensee and— (a) an event mentioned in clause 41(2)(c), (d), (e), (f) or (h) occurs in relation to one of those persons; (b) an event mentioned in clause 41(2)(b) occurs which consists of a breach of clause 40A(2) or (4) in relation to a change in control of one of those persons; (c) an event mentioned in clause 41(2)(k) occurs in relation to a change in control of one of those persons (see clause 40A); or (d) an event mentioned in clause 41(2)(l) occurs which consists of a failure by one of those persons as mentioned in that provision.

Part 5 — Petroleum Licensing (Exploration and Production) (Landward Areas) Regulations 2014

67

In the Petroleum Licensing (Exploration and Production) (Landward Areas) Regulations 2014 (S.I. 2014/1686), Schedule 2 (model clauses for petroleum exploration and development licences) is amended as follows.

68

After clause 40 insert—

(40A) (1) This clause applies if— (a) the Licensee is a company, or (b) where two or more persons are the Licensee, any of those persons is a company, and references in this clause to a company are to such a company. (2) A change in control of a company is not permitted without the consent of the OGA. (3) There is a “change in control” of a company if a person takes control of the company, not having previously been a person who controlled the company. (4) If a change in control of a company is contemplated, the company must apply in writing to the OGA for consent at least three months before the date on which it is proposed that the change would occur (if consent were given). (5) The OGA may— (a) consent to the change in control unconditionally, (b) consent to the change in control subject to conditions, or (c) refuse consent to the change in control. (6) If the OGA proposes to grant consent subject to any condition or to refuse consent, the OGA must, before making a final decision— (a) give the company an opportunity to make representations, and (b) consider any representations that are made. (7) The general rule is that the OGA must decide an application within three months of receiving it, but the OGA may delay its decision by notifying the interested parties in writing. (8) Conditions as mentioned in paragraph (5)(b) may be imposed on the person taking control of the company (as well as on the company), and may include— (a) conditions relating to the arrangements for the change in control, including the date by which it must occur, (b) conditions relating to the performance of activities permitted by this licence, and (c) financial conditions. (9) The OGA’s decision on the application, and any conditions as mentioned in paragraph (5)(b), must be notified in writing to the interested parties. (10) In this clause “the interested parties” means— (a) the company, (b) the person who (if consent were granted) would take control of the company, and (c) if the company and another person or persons are the Licensee, that other person or those other persons. (11) For the purposes of this clause, “control” of a company is to be construed in accordance with sections 450(2) to (4) and 451(1) to (5) of the Corporation Tax Act 2010, modified as specified in clause 40(4).

69

(k) if the Licensee is a company, any breach of a condition subject to which the OGA gave its consent to a change in control of the Licensee (see clause 40A), (l) if the Licensee is a company, any failure to provide full and accurate information in response to a notice given by the OGA to that company under section 5D of the Act,

;

70

(1) This clause applies in a case where two or more persons are the Licensee and— (a) an event mentioned in clause 41(2)(c), (d), (e), (f) or (h) occurs in relation to one of those persons; (b) an event mentioned in clause 41(2)(b) occurs which consists of a breach of clause 40A(2) or (4) in relation to a change in control of one of those persons; (c) an event mentioned in clause 41(2)(k) occurs in relation to a change in control of one of those persons (see clause 40A); or (d) an event mentioned in clause 41(2)(l) occurs which consists of a failure by one of those persons as mentioned in that provision.

Schedule 22

1

In section 13 of the Nuclear installations Act 1965 (“the 1965 Act”) (exclusion, extension or reduction of compensation in certain cases), in subsection (5A), after “(1ZA),” insert “(1ZAA),”.

2

(1ZAA) Notwithstanding subsection (1), if the amount payable by a person in respect of CSC-only claims for compensation under this Act in respect of any one occurrence or event constituting a breach of a duty imposed on that person by section 7, 7B, 8 or 9 reaches, in the aggregate and apart from interest or costs, the equivalent in sterling of 300 million special drawing rights, that person is not required to satisfy further claims for compensation.

(3BA) To the extent that further non-CSC-only claims for compensation are special relevant claims, the appropriate authority may be required to satisfy them up to the equivalent in sterling of 1,500 million euros (in the aggregate and apart from interest or costs). (3BB) To the extent that further non-CSC-only claims for compensation are CSC claims, the appropriate authority may be required to satisfy them up to the equivalent in sterling of the aggregate of 700 million euros and the value of the CSC international pooled funds (in the aggregate and apart from interest or costs). (3BC) To the extent that further non-CSC-only claims for compensation are both special relevant claims and CSC claims, the appropriate authority may be required to satisfy them up to the equivalent in sterling of the aggregate of 1,500 million euros and the value of the CSC international pooled funds (in the aggregate and apart from interest or costs). (3BD) If the amount payable in respect of CSC-only claims in respect of any one occurrence or event constituting a breach of a duty imposed on a person by section 7, 7B, 8, 9 or 10 reaches, in the aggregate and apart from interest or costs, the equivalent in sterling of the aggregate of 300 million special drawing rights and the value of the CSC international pooled funds, the appropriate authority is not required to satisfy further such claims for compensation. (3BE) If the CSC international pooled funds are (or will be) reduced by virtue of claims to which subsection (3) applies by 50%, the appropriate authority is not required to satisfy further claims for compensation if that would give rise to a further reduction of those funds except to the extent that those further claims are non-UK CSC claims.

3

In section 16A of the 1965 Act (section 16: supplementary), in subsection (7)(b) for “section 18(1A)” substitute “section 16(3BA)”.

4

After section 16A of the 1965 Act insert—

(16AA) (1) This section applies for the purposes of section 16. (2) A claim for compensation under this Act in the case of a breach of a duty imposed by section 7, 7B, 8, 9 or 10 is a CSC claim if— (a) the injury or damage for which compensation is claimed is such injury or damage as is mentioned in subsection (3), (b) the significant impairment of the environment by reference to which compensation is claimed by virtue of section 11A(1) or 11G(1) or paragraph 1 of Schedule 1A is such significant impairment of the environment as is mentioned in subsection (3), or (c) the preventive measures by reference to which compensation is claimed by virtue of section 11H(1) or (2) are preventive measures relating to such injury, damage or significant impairment of the environment as is mentioned in subsection (3). (3) The injury, damage and significant impairment of the environment referred to in subsection (2) are— (a) injury, damage or significant impairment of the environment that is incurred within the territorial limits of the United Kingdom or another CSC territory; (b) injury, damage or significant impairment of the environment that is incurred in or above the exclusive economic zone or on the continental shelf of the United Kingdom or another CSC territory in connection with the exploitation or exploration of the natural resources of that exclusive economic zone or continental shelf; (c) injury or damage that is incurred in or above the sea outside the territorial limits of any country or territory by, or by persons or property on, a ship or aircraft registered in the United Kingdom or another CSC territory; (d) injury or damage that is incurred in or above the sea outside the territorial limits of any country or territory by a national of the United Kingdom or another CSC territory; (e) injury or damage that is incurred outside the territorial limits of any country or territory by, or by persons or property on, an artificial island, installation or structure that is subject to the jurisdiction of the United Kingdom or another CSC territory. (4) A CSC claim is a CSC-only claim if— (a) the injury or damage for which compensation is claimed is such injury or damage as is mentioned in subsection (5), (b) the significant impairment of the environment by reference to which compensation is claimed by virtue of section 11A(1) or 11G(1) or paragraph 1 of Schedule 1A is such significant impairment of the environment as is mentioned in subsection (5), or (c) the preventive measures by reference to which compensation is claimed by virtue of section 11H(1) or (2) are preventive measures relating to such injury, damage or significant impairment of the environment as is mentioned in subsection (5). (5) The injury, damage and significant impairment of the environment referred to in subsection (4) are— (a) injury, damage or significant impairment of the environment that is incurred within the territorial limits of a CSC-only territory; (b) injury, damage or significant impairment of the environment that is incurred in or above the exclusive economic zone or on the continental shelf of a CSC-only territory in connection with the exploitation or exploration of the natural resources of that exclusive economic zone or continental shelf; (c) injury or damage that is incurred in or above the sea outside the territorial limits of any country or territory by, or by persons or property on, a ship or aircraft registered in a CSC-only territory; (d) injury or damage that is incurred in or above the sea outside the territorial limits of any country or territory by a national of a CSC-only territory; (e) injury or damage that is incurred outside the territorial limits of any country or territory by, or by persons or property on, an artificial island, installation or structure that is subject to the jurisdiction of a CSC-only territory. (6) A CSC-only territory is a CSC territory that is not— (a) the United Kingdom, (b) any other CSC territory that is a relevant territory in relation to a relevant international agreement other than the CSC, (c) a country mentioned in section 26(1B)(b), (d) an overseas territory mentioned in section 26(1B)(c) or (d), or (e) a relevant reciprocating territory. (7) A CSC claim is a non-UK CSC claim if— (a) the injury or damage for which compensation is claimed is such injury or damage as is mentioned in subsection (8), (b) the significant impairment of the environment by reference to which compensation is claimed by virtue of section 11A(1) or 11G(1) or paragraph 1 of Schedule 1A is such significant impairment of the environment as is mentioned in subsection (8), or (c) the preventive measures by reference to which compensation is claimed by virtue of section 11H(1) or (2) are preventive measures relating to such injury, damage or significant impairment of the environment as is mentioned in subsection (8). (8) The injury, damage and significant impairment of the environment referred to in subsection (7) are— (a) injury, damage or significant impairment of the environment that is incurred within the territorial limits of a CSC territory other than the United Kingdom; (b) injury, damage or significant impairment of the environment that is incurred in or above the exclusive economic zone or on the continental shelf of a CSC territory other than the United Kingdom in connection with the exploitation or exploration of the natural resources of that exclusive economic zone or continental shelf; (c) injury or damage that is incurred in or above the sea outside the territorial limits of any country or territory by, or by persons or property on, a ship or aircraft registered in the United Kingdom or another CSC territory; (d) injury or damage that is incurred in or above the sea outside the territorial limits of any country or territory by a national of the United Kingdom or another CSC territory; (e) injury or damage that is incurred outside the territorial limits of any country or territory by, or by persons or property on, an artificial island, installation or structure that is subject to the jurisdiction of the United Kingdom or another CSC territory. (9) In this section— - “CSC territory” means—a country that is a party to the CSC, oran overseas territory of such a country, if the CSC applies to the overseas territory, - “national”, in relation to a CSC territory, includes—that CSC territory and any part of it,a public or private body established in the CSC territory or part of it, whether a body corporate or not,a partnership established in the CSC territory or part of it, anda trust the validity of which is governed by the law of the CSC territory, and - “the CSC” means the Convention on Supplementary Compensation for Nuclear Damage (as amended or supplemented from time to time). (10) A reference in this section to a national of the United Kingdom is to be construed in accordance with section 16A(8).

5

In section 17 of 1965 Act (jurisdiction, shared liability and foreign judgments), in subsection (3B)(a) and (b) after “section 16(1ZA)” insert “, (1ZAA)”.

6
7

After section 25B of the 1965 Act (amounts in euros) insert—

(25C) (1) In this Act “special drawing rights” means special drawing rights as defined by the international Monetary Fund; and for the purpose of determining the equivalent in sterling on any day of a sum expressed in special drawing rights, one special drawing right is to be treated as equal to such a sum in sterling as the international Monetary Fund have fixed as being the equivalent of one special drawing right— (a) for that day, or (b) if no sum has been so fixed for that day, for the last day before that day for which a sum has been so fixed. (2) A certificate given by or on behalf of the Treasury stating— (a) that a particular sum in sterling has been so fixed for a particular day, or (b) that no sum has been so fixed for a particular day and that a particular sum in sterling has been so fixed for a day which is the last day for which a sum has been so fixed before the particular day, is to be conclusive evidence of those matters for the purposes of subsection (1) of this section; and a document purporting to be such a certificate is in any proceedings to be received in evidence and, unless the contrary is proved, to be deemed to be such a certificate. (3) The Treasury may charge a reasonable fee for any certificate given in pursuance of subsection (2) of this section. (4) Any fee received by the Treasury by virtue of subsection (3) is to be paid into the Consolidated Fund.

8
  • CSC claim” has the meaning given by section 16AA;
  • CSC international pooled funds” means the funds referred to by Article III.1(b) of the Convention on Supplementary Compensation for Nuclear Damage;
  • CSC-only claim” has the meaning given by section 16AA;

;

  • non-UK CSC claim” has the meaning given by section 16AA;

;

  • the Paris Convention” means the Convention on Third Party Liability in the Field of Nuclear Energy of 29 July 1960, as amended by the Additional Protocol of 28 January 1964, by the Protocol of 16 November 1982 and by the Protocol of 12 February 2004;

.

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

Prohibition on unlicensed activities

Consultation on proposals for additional activities to become licensable

Territorial scope of prohibition

Exemption from prohibition

Revocation or withdrawal of exemption

Power to grant licences

Power to create licence types

Procedure for licence applications

Competitive tenders for licences

Conditions of licences: general

Standard conditions of licences

Modification of conditions of licences

Modification of conditions under section 13: supplementary

Modification by order under other enactments

Interim power of Secretary of State to grant licences

Termination of licence

Transfer of licences

Consenting to transfer

Appeal to the CMA

Procedure on appeal to CMA

Determination by CMA of appeal

CMA’s powers on allowing appeal

Time limits for CMA to determine an appeal

Determination of appeal by CMA: supplementary

Provision of information to or by the economic regulator

Power of Secretary of State to require information

Monitoring, information gathering etc

Power to require information for purposes of monitoring

Duty to carry out impact assessment

Reasons for decisions

Enforcement of obligations of licence holders

Making of false statements etc

Liability of officers of entities

Criminal proceedings

Functions under the Enterprise Act 2002

Functions under the Competition Act 1998

Sections 36 and 37: supplementary

Forward work programmes

Information in relation to CCUS strategy and policy statement

Annual report on transport and storage licensing functions

Transport and storage administration orders

Objective of a transport and storage administration

Application of certain provisions of the Energy Act 2004

Conduct of administration, transfer schemes etc

Modification of conditions of licences

Transfer schemes

Power to make further modifications of insolvency legislation

Interpretation of Chapter 4

Transfer schemes

Consultation in relation to transfers

Conduct of transfer schemes

Cooperation of storage licensing authority with economic regulator

Amendments related to Part 1

Interpretation of Part 1

Chapter 1: interpretation

Duties of revenue support counterparty

Designation of carbon dioxide transport and storage counterparty

Direction to offer to contract with licence holder

Designation of hydrogen transport counterparty

Direction to offer to contract with eligible hydrogen transport provider

Designation of hydrogen storage counterparty

Direction to offer to contract with eligible hydrogen storage provider

Designation of hydrogen production counterparty

Direction to offer to contract with eligible low carbon hydrogen producer

Designation of carbon capture counterparty

Direction to offer to contract with eligible carbon capture entity

Appointment of hydrogen levy administrator

Obligations of relevant market participants

Payments to relevant market participants

Functions of hydrogen levy administrator

Power to appoint allocation bodies

Standard terms of revenue support contracts

Allocation notifications

Allocation of contracts

Duty to offer to contract following allocation

Modification of standard terms

Sections 75 to 78: supplementary

Licence conditions regarding functions of certain allocation bodies

Modification of transfer schemes

Application of sums held by a revenue support counterparty

Information and advice

Enforcement

Consultation

Transfer schemes

Modification of transfer schemes

Shadow directors, etc

Modifications of licences etc for purposes related to levy obligations

Electricity system operator and gas system planner licences: modifications

Sections 89 and 90: supplementary

Financing of costs of decommissioning etc

Section 92: supplementary

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

Provisions relating to Part 4 of the Petroleum Act 1998

Designation of strategy and policy statement

Change of use relief: carbon storage network pipelines

Change of use relief: supplementary

Designation of strategy and policy statement

Duties with regard to considerations in the statement

Review

Procedural requirements

Specified provisions in carbon dioxide storage licences

Information and samples coordinators

Offences relating to carbon dioxide storage licences

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

Chapter 5: key definitions

Retention of information and samples

Preparation and agreement of information and samples plans

Information and samples plans: supplementary

Information and samples coordinators

Power of OGA to require information and samples

Prohibition on disclosure of information or samples by OGA

Power of Secretary of State to require information and samples

Power of OGA to give sanction notices

Enforcement notices

Financial penalty notices

Revocation notices

Operator removal notices

Duty of OGA to give sanction warning notices

Publication of details of sanctions

Subsequent sanction notices

Withdrawal of sanction notices

Sanctions: information powers

Appeals

Procedure for enforcement decisions

Interpretation of Chapter 5

Access to infrastructure

Financial assistance

Key definitions for Part 3

Designation

Designation: procedure

Revocation of designation

Applications for grant etc of gas transporter licence

Modification of gas transporter licence by Secretary of State

Scope of modification powers under section 136

Procedure etc relating to modifications under section 136

Information and advice

Conditions of gas transporter licences for conveyance of hydrogen

Secretary of State directions to the GEMA

Repeal of Part 3

Low-carbon heat schemes

Application of scheme

Setting of targets etc

Further provision about scheme regulations

Administration of scheme

Enforcement, penalties and offences

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

Appeals

Scheme regulations: procedure etc

Interpretation of Chapter 1

Modifications of the gas code

Regulations for protection of consumers

Power to modify Gas Act 1986 in relation to hydrogen

Fusion energy facilities: nuclear site licence not required

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

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

Renewable liquid heating fuel obligations

Climate Change Act 2008: meaning of “UK removals”

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

Designation etc

Duty to promote particular objectives

Duty to have regard to particular matters

Duty to have regard to strategy and policy statement

Licensing of electricity system operator activity

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

Licensing of gas system planning activity

Modification of licences etc

Procedure relating to modifications under section 169

Provision of advice, analysis or information

Power to require information from regulated persons etc

Duty to keep developments in energy sector under review

Transfers

Pension arrangements

Financial assistance for the ISOP

Cross-sectoral funding

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

Minor and consequential amendments

Interpretation of Part 5

Regulations under Part 5

Designation of codes etc

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

Designation of central systems

Licence under Gas Act 1986 for performance of code management function

Licence under Electricity Act 1989 for performance of code management function

Selection of code manager

Selection on a non-competitive basis

Selection on a competitive basis

Strategic direction statement

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

Modification of designated documents by GEMA

Modification under section 192

Directions relating to designated central systems

Directions under section 194

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

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

Regulations under Part 6

Interpretation of Part 6

Transitional provision and pension arrangements

Minor and consequential amendments

Principal objectives of Secretary of State and GEMA

Mergers of energy network enterprises

Licence required for operation of multi-purpose interconnector

Standard conditions for MPI licences

Operation of multi-purpose interconnectors: independence

Grant of MPI licences to existing operators

Power to make consequential etc provision

Consequential amendments relating to multi-purpose interconnectors

Electricity support payments for energy-intensive industries

Levy to fund electricity support payments

Electricity storage

Payment as alternative to complying with certain energy company obligations

Smart meters: extension of time for exercise of powers

Relevant heat network

The Regulator

Alternative dispute resolution for consumer disputes

Heat networks regulations

Regulations made by Secretary of State: consultation with devolved authorities

Heat networks regulations: other provision about procedure

Recovery of costs by GEMA and NIAUR

Heat networks: licensing authority in Scotland

Heat networks: enforcement in Scotland

Interpretation of Chapter 1

Regulations about heat network zones

Heat Network Zones Authority

Energy smart appliances and load control

Identification, designation and review of zones

Zoning methodology

Requests for information in connection with section 229 or 230

Heat networks within zones

Delivery of district heat networks within zones

Enforcement of heat network zone requirements

Penalties

Records, information and reporting

Energy smart appliances and load control

Energy smart regulations

Prohibitions and requirements: supplemental

Enforcement

Sanctions, offences and recovery of costs

Appeals against enforcement action

Regulations: procedure and supplemental

Power to amend licence conditions etc: load control

Power to amend licence conditions etc: procedure

Load control: supplemental

Application of general duties to functions relating to load control

Licensing of activities relating to load control

Power to make energy performance regulations

Energy performance regulations relating to new premises

Sanctions

Regulations under Part 10

Energy savings opportunity schemes

Application of energy savings opportunity schemes

Requirement for assessment of energy consumption

Assessors

ESOS action plans

Action to achieve energy savings or emissions reductions

Scheme administration

Enforcement, penalties and offences

Appeals

ESOS regulations: procedure etc

Directions to scheme administrators

Financial assistance to scheme administrators and participants

Disclosure of information by HMRC

General objective

“Core fuel sector activity” and other key concepts

Directions to particular core fuel sector participants

Procedure for giving directions

Offence of failure to comply with a direction

Corresponding powers to make regulations

Power to require information

Duty to report incidents

Contravention of requirement under section 273 or 274

Provision of information at specified intervals

Disclosure of information held by the Secretary of State

Disclosure of information by HMRC

Appeal against notice or direction

False statements etc

Offences under regulations

Proceedings for offences

Liability of officers of entities

Enforcement undertakings

Guidance: criminal and civil sanctions

Guidance: Parliamentary scrutiny

Financial assistance for resilience and continuity purposes

Power to amend thresholds

Interpretation of Part 12

Meaning of “relevant offshore wind activity”

Strategic compensation for adverse environmental effects

Marine recovery fund

Assessment of environmental effects etc

Regulations under section 293: consultation and procedure

Interpretation of Chapter 1

Arrangements for responding to marine oil pollution

Habitats: reducing effects of offshore oil or gas activities etc

Regulations under sections 296 and 297: procedure with devolved authorities

Charges in connection with abandonment of offshore installations

Model clauses of petroleum licences

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

Application to the territorial sea of requirement for nuclear site licence

Decommissioning of nuclear sites etc

Excluded disposal sites

Accession to Convention on Supplementary Compensation for Nuclear Damage

Power to implement Convention on Supplementary Compensation for Nuclear Damage

Provision of assistance to other forces

Cross-border enforcement powers

Publication of three-year strategy plan

Civil nuclear industry: amendment of relevant nuclear pension schemes

Meaning of “relevant nuclear pension scheme”

Information

Further definitions

Application of relevant pensions legislation

Procedure for regulations under Chapter 3

Great British Nuclear

Crown status

Great British Nuclear’s objects

Financial assistance

Secretary of State directions and guidance

Annual report

Annual accounts

Transfer schemes

Transfer schemes: compensation

Transfer schemes: taxation

Transfer schemes: provision of information or assistance

Reimbursement and compensation in connection with designation

Pension arrangements in connection with Great British Nuclear

Power to make consequential provision

Regulations

General definitions

Extent

Commencement

Short title

Suspension of decision

Procedural requirements

Application and commencement of scheme

Property, rights and liabilities that may be transferred

Dividing and modifying transferor’s property, rights and liabilities

Obligation to effect transfers etc. under a scheme

Transfer of licences and permits

Powers and duties under statutory provisions

Effect of scheme

Supplementary provisions of schemes

Modification of scheme

Gas Act 1986

Provision relating to foreign property etc

Provision of information to Secretary of State

Interpretation

Utilities Act 2000

In the Storage of Carbon Dioxide (Licensing etc.) Regulations 2010 (S.I. 2010/2221), in Schedule 1 (provisions to be included in a licence), after paragraph 5 insert—

Disclosure by OGA to specified persons

Disclosure required for returns and reports prepared by OGA

Disclosure in exercise of certain OGA powers

Disclosure after specified period

Disclosure with appropriate consent

Disclosure required by legislation

Disclosure for purpose of proceedings

Appeals in relation to information and samples plans

Appeals against notices requiring provision of information or samples

Appeals in relation to sanction notices

Appeals against finding of failure to comply

Appeals against sanction imposed

Appeals against information requirements

Power to make a transfer scheme

Introductory

Gas Act 1986

Electricity Act 1989

Utilities Act 2000

Meaning of “qualifying document”, “qualifying contract” and “qualifying central system”

Purposes for which powers under this Schedule may be exercised

Modification of qualifying documents and relevant licences

Modification of qualifying documents and relevant licences

Amendment or termination of qualifying contracts

Arrangements in connection with code consolidation

Transfer schemes

Information

Compensation

Introductory

Participation in qualifying pension schemes and transfer of assets and rights

Amendment of qualifying pension schemes

Protection against adverse treatment

Information

Gas Act 1986

Electricity Act 1989

Energy Act 2004

Energy Act 2023

Utilities Act 2000

Utilities Act 2000

Enterprise and Regulatory Reform Act 2013

The Electricity Act 1989

Scotland Act 1998

Energy Act 2004

Civil Contingencies Act 2004

Civil Contingencies Act 2004

Energy Act 2013

Energy Act 2013

Regulation (EU) 2019/943 of the European Parliament and of the Council of 5th June 2019 on the internal market for electricity (recast)

United Kingdom Internal Market Act 2020

Objectives

Procedure

Variation of terms

Compliance certificates

Inaccurate, incomplete or misleading information

Appeal against decision under paragraph 3 or 4

Introduction

Part 2 of Schedule 2

Part 2 of Schedule 3

Part 2 of Schedule 4

Part 2 of Schedule 5

Part 2 of Schedule 6

Part 2 of Schedule 8

Part 2 of Schedule 9

Part 2 of Schedule 10

Part 2 of Schedule 13

Part 2 of Schedule 14

Introduction

Schedule 2

Schedule 3

Schedule 4

Schedule 6

Editorial notes

[^key-00deb52af86d399e49d01906773b5f00]: Sch. 13 para. 4 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(ix)

[^key-0201c0dfe6ddab2fdb09a87ac6163a0e]: Sch. 21 para. 36 not in force at Royal Assent, see s. 334(1)

[^key-020aa9ee72cf3e8fa7488fe6e107326b]: Sch. 19 para. 3 not in force at Royal Assent, see s. 334(1)

[^key-02114f199070303c79019a5a4e8c3a4a]: S. 71 in force at 26.12.2023, see s. 334(3)(b)

[^key-02717b782c7b790f80de51f607e54188]: S. 55 in force at 26.12.2023, see s. 334(3)(a)

[^key-02b81b19921677c76a59601c856ab9af]: S. 103 in force at 11.1.2024 by S.I. 2024/32, reg. 2(a)(i)

[^key-02d91612b18bd4b6cd20d8f8d629c1a8]: S. 280 in force at 11.1.2024 by S.I. 2024/32, reg. 2(c)(vi)

[^key-031f27302377092a7ed91b3397823306]: Sch. 16 para. 8 in force at Royal Assent, see s. 334(2)(j)

[^key-034416341fd9fae750ae0c43599c5fb4]: Sch. 18 para. 20 in force at Royal Assent, see s. 334(2)(l)

[^key-03a97467d1803638120d36e156b4cdc1]: Sch. 11 para. 2 not in force at Royal Assent, see s. 334(1)

[^key-03b1238029af8b0ff0c4aedb3f3e033d]: S. 289 not in force at Royal Assent, see s. 334(1)

[^key-03b81d510cadcd28b353307bd63fdd68]: Sch. 21 para. 20 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-040feb429868a2c3281d33206e52c046]: S. 150 in force at Royal Assent, see s. 334(2)(c)

[^key-049075ea7c768f3c7b4008c67aa0eea1]: Sch. 21 para. 59 not in force at Royal Assent, see s. 334(1)

[^key-05150c017737b9f6324b27c51a4f5cbe]: S. 61 in force at 26.12.2023, see s. 334(3)(b)

[^key-05180878bdd12b52d7c1609311c1c726]: Sch. 21 para. 56 not in force at Royal Assent, see s. 334(1)

[^key-052d47203864f96b950d6f8a371dfc75]: S. 43 in force at 26.12.2023, see s. 334(3)(a)

[^key-05601857fb6079f35f1789d0117c2c82]: S. 34 in force at 26.12.2023, see s. 334(3)(a)

[^key-058f40f368efd9b9d26906ec811940bb]: Sch. 4 para. 7 in force at 26.12.2023, see s. 334(3)(a)

[^key-05ae81f1926d2ba8da8c03070223a80b]: Sch. 21 para. 53 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-05f710ab4cae3a4db39cb1c97294331c]: Sch. 14 para. 7 not in force at Royal Assent, see s. 334(1)

[^key-061d1d5dba7b19a8626d24e74b9f3c6f]: Sch. 19 para. 4 in force at 11.1.2024 by S.I. 2024/32, reg. 2(b)(iii)

[^key-0667ae959d0876811bdff7841a99dc27]: Sch. 18 para. 23 in force at Royal Assent, see s. 334(2)(l)

[^key-0734d8bd3bb77cc5cffb959ac65c79f1]: Sch. 9 para. 6 in force at Royal Assent, see s. 334(2)(h)(ii)

[^key-08344a8e232b43c7eec55808604ba9ce]: S. 192 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(vi)

[^key-088927026ca6ebb5cf4c8fae8b7bab2f]: S. 258 in force at Royal Assent, see s. 334(2)(m)

[^key-08b3c59359637d7d5727b757ef144f24]: S. 148 in force at Royal Assent, see s. 334(2)(c)

[^key-08ebf38d44fd083a25e49f1a6df141c7]: Sch. 16 para. 21 in force at Royal Assent, see s. 334(2)(j)

[^key-0914e381af18cae3addec32e4bf74305]: Sch. 18 para. 27 in force at Royal Assent, see s. 334(2)(l)

[^key-091b693cbd0a1b765a836727e8013d76]: Sch. 4 para. 13 in force at 26.12.2023, see s. 334(3)(a)

[^key-096996d4213f18e9584c6bab51abf2d2]: S. 332 in force at Royal Assent, see s. 334(2)(p)

[^key-09d016c02a8cf56e810be794422dd8f2]: S. 265 in force at 26.12.2023, see s. 334(3)(i)

[^key-0a038975ca5ef8c72e73ea050f834509]: S. 242 in force at 11.1.2024 by S.I. 2024/32, reg. 2(b)(ii)

[^key-0a321f4fb3a3a7ed147943fd90f70f1e]: S. 184 not in force at Royal Assent, see s. 334(1)

[^key-0a60a59b5e76811a5c6b0ad16a4e93be]: Sch. 21 para. 17 not in force at Royal Assent, see s. 334(1)

[^key-0acc46b2ce44c1628cb5108ffcf2ca6a]: S. 81(1)-(3) in force at Royal Assent for specified purposes, see s. 334(2)(a)(iv)

[^key-0bde576873c050eef9204a1d18d6f455]: S. 163 not in force at Royal Assent, see s. 334(1)

[^key-0c5e856653c3a7fd1cd0ecb1c12899a4]: S. 186 not in force at Royal Assent, see s. 334(1)

[^key-0ce7399cd7c9b2e5602af510c3e3ed04]: Sch. 22 para. 2 in force at 1.1.2026 (the date on which the Convention on Supplementary Compensation for Nuclear Damage comes into force for the United Kingdom following the deposit of an instrument of accession on 3.10.2025) in accordance with s. 334(4)

[^key-0e430a83603d0cb3622853eb4ec0d6f2]: S. 279 not in force at Royal Assent, see s. 334(1)

[^key-0e759b5938c5a9511e9a021f54d4cf7c]: Sch. 21 para. 42 not in force at Royal Assent, see s. 334(1)

[^key-0e90f53c2e770368408ac484da7cef89]: Sch. 21 para. 68 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-0e9ef9ed54da62ee385e3d7cff10c4cd]: S. 69 in force at 26.12.2023, see s. 334(3)(b)

[^key-0f2c78bb7680caadb1fc42b5cf8bdb95]: S. 233 in force at Royal Assent, see s. 334(2)(l)

[^key-0f57aa5c3901607de2bec25d98a097d2]: S. 107 in force at 26.12.2023, see s. 334(3)(b)

[^key-0f7d8c4b8a665b9391f80585599d2b10]: S. 247 in force at 11.1.2024 by S.I. 2024/32, reg. 2(b)(iii)

[^key-0fb0060fe145a062b751e72ad96648b8]: S. 147 in force at Royal Assent, see s. 334(2)(c)

[^key-1041ab4e4cbdb701c3404ec64c073055]: Sch. 21 para. 69 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-1054925a88953be17d497332a80997db]: Sch. 21 para. 41 not in force at Royal Assent, see s. 334(1)

[^key-10b089dd07a8f3c1a603137d813f19b7]: Sch. 16 para. 12 in force at Royal Assent, see s. 334(2)(j)

[^key-117c637c1c56411dbc51ca113a4e8a7a]: Sch. 2 para. 4 in force at 26.12.2023, see s. 334(3)(a)

[^key-11e3e26bf28a365242fe4fb967f5d4e2]: S. 257 in force at Royal Assent, see s. 334(2)(m)

[^key-1220ecfee3829c314543a56e86ade40d]: Sch. 17 para. 18 not in force at Royal Assent, see s. 334(1)

[^key-1221e4a04b831a4b57aa132080c877b7]: S. 303 not in force at Royal Assent, see s. 334(1)

[^key-12229ebfa0f401e9e0ca793bf6865785]: Sch. 15 para. 10 in force at Royal Assent, see s. 334(2)(i)

[^key-124768749f57c69588caf4548177a625]: Sch. 21 para. 67 not in force at Royal Assent, see s. 334(1)

[^key-12741a21b5a5081150738cb8530ce9ec]: S. 287 not in force at Royal Assent, see s. 334(1)

[^key-1284bd5fdaae39889d8b527c388cc9bc]: Sch. 16 para. 25 in force at Royal Assent, see s. 334(2)(j)

[^key-128d0b1df205ddcd3b3bd3acfa223296]: S. 57 in force at 26.12.2023 in so far as not already in force, see s. 334(3)(b)

[^key-12e0540d24c16607cb8cdd6c7cfcffd0]: Sch. 19 para. 2 in force at 11.1.2024 by S.I. 2024/32, reg. 2(b)(iii)

[^key-1308e8de80cd3a81a96c76380d4e3dc1]: S. 98 in force at 26.12.2023, see s. 334(3)(b)

[^key-136794b49a4319beb470353b9a97dc71]: S. 178(1) in force at 31.1.2024 by S.I. 2024/32, reg. 3(a)(viii)

[^key-138d9d79ca83ca3d55d894d87c028cd6]: Sch. 21 para. 7 not in force at Royal Assent, see s. 334(1)

[^key-1395be8a6b376a725ee3c137fe9e5211]: Sch. 18 para. 60 in force at Royal Assent, see s. 334(2)(l)

[^key-13cefa92c7b25cdd4bac28bc9ff00941]: Sch. 22 para. 1 in force at 1.1.2026 (the date on which the Convention on Supplementary Compensation for Nuclear Damage comes into force for the United Kingdom following the deposit of an instrument of accession on 3.10.2025) in accordance with s. 334(4)

[^key-140924b43f55b473625b716be4a6d278]: Sch. 21 para. 61 not in force at Royal Assent, see s. 334(1)

[^key-1417d4e1f8fa462411cfabeff8767a48]: Sch. 18 para. 3 in force at Royal Assent, see s. 334(2)(l)

[^key-144249f16d8dfada977440380633bf77]: Sch. 18 para. 53 in force at Royal Assent, see s. 334(2)(l)

[^key-14aab415f8660b6d8b6b9de0971723c3]: S. 267 in force at 11.1.2024 by S.I. 2024/32, reg. 2(c)(i)

[^key-14faa9331a78a2f8085de7dec4cc94e8]: S. 240 not in force at Royal Assent, see s. 334(1)

[^key-15a50fb80f65c9be19f9d0d7b6883ea3]: Sch. 2 para. 13 in force at 26.12.2023, see s. 334(3)(a)

[^key-15b3d15ed81a6ce6e42bfade2d14e73a]: Sch. 18 para. 4 in force at Royal Assent, see s. 334(2)(l)

[^key-16231b668926c093ccf6a09a439b5b21]: S. 172 not in force at Royal Assent, see s. 334(1)

[^key-16669ed4cb84e916ddc5bd2a1dcde9b3]: Sch. 14 para. 11 not in force at Royal Assent, see s. 334(1)

[^key-16e035dbd72d7a3279599f8cc37ed5d8]: Sch. 9 para. 10 in force at Royal Assent, see s. 334(2)(h)(ii)

[^key-171ead68a0c4f204da2df295ae176d95]: Sch. 16 para. 24 in force at Royal Assent, see s. 334(2)(j)

[^key-17204e2b9971c3782c9f08dc57088614]: Sch. 2 para. 12 in force at 26.12.2023, see s. 334(3)(a)

[^key-1755568fef82d742399eb642c1fe4740]: Sch. 15 para. 4 in force at Royal Assent, see s. 334(2)(i)

[^key-175bda6985b249a0614ff97941388bf8]: Sch. 21 para. 69 not in force at Royal Assent, see s. 334(1)

[^key-176ad385fe2d338001f5b7a1bd3ae503]: S. 56 in force at Royal Assent, see s. 334(2)(a)(i)

[^key-18488dfb2b4c3da180340e9be6f8e366]: Sch. 9 para. 14 in force at Royal Assent, see s. 334(2)(h)(ii)

[^key-186dbbaa987f064800d99510ddc2bf9d]: S. 241 in force at 11.1.2024 by S.I. 2024/32, reg. 2(b)(ii)

[^key-187a3c45716faf33fb0024e3a8ad773d]: Sch. 21 para. 18 not in force at Royal Assent, see s. 334(1)

[^key-18b1b18f80606d39d47222f2f93b033d]: S. 124 in force at 26.12.2023, see s. 334(3)(b)

[^key-18f596488a7fb1d1c475dadb4f3304a5]: S. 269 in force at 11.1.2024 by S.I. 2024/32, reg. 2(c)(ii)

[^key-19986a3152a75efb2258f680c6b50d55]: Sch. 21 para. 66 not in force at Royal Assent, see s. 334(1)

[^key-19b4239b889a299e65a5bbdf47b2d40b]: S. 309 in force at Royal Assent, see s. 334(2)(n)

[^key-1a17241557fc1550c0b18a3a52c7bd3b]: S. 156 not in force at Royal Assent, see s. 334(1)

[^key-1a1bad618ea74b2d876ea12cd209a1a4]: S. 36 in force at 26.12.2023, see s. 334(3)(a)

[^key-1afe6a2b87b00c7f45278134781782fe]: Sch. 21 para. 16 not in force at Royal Assent, see s. 334(1)

[^key-1b1649f5e576d82c5ec9b9189c6ee65d]: Sch. 13 para. 3 not in force at Royal Assent, see s. 334(1)

[^key-1b4fc3ab88a18d94f0636d37e1a2dc6d]: S. 204 in force at Royal Assent, see s. 334(2)(j)

[^key-1b611abf7ae7ebc6aca76ae772ed4478]: S. 128 in force at 26.12.2023, see s. 334(3)(b)

[^key-1b7f164d4b1bf6f1a33b68cdc4f1a39c]: Sch. 18 para. 74 in force at Royal Assent, see s. 334(2)(l)

[^key-1ba762e108fc98b467cd0ae268736290]: Sch. 7 para. 5 in force at 26.12.2023, see s. 334(3)(b)

[^key-1bc34ec721ff2efa4fd79859f833f52f]: Sch. 9 para. 2 in force at Royal Assent, see s. 334(2)(h)(ii)

[^key-1c139497d775f5ddde4a8119b3a00df6]: Sch. 17 para. 17 not in force at Royal Assent, see s. 334(1)

[^key-1c434e5220e5ce63bf035d536e178d48]: S. 151 in force at Royal Assent, see s. 334(2)(c)

[^key-1c7c612b599edebe8049f8618d07307c]: S. 200 not in force at Royal Assent, see s. 334(1)

[^key-1cb2c118fd34fae0f0d666f218b9eea8]: S. 187 not in force at Royal Assent, see s. 334(1)

[^key-1cdc5bc7b6623a13117123ed95c4db9e]: Sch. 18 para. 21 in force at Royal Assent, see s. 334(2)(l)

[^key-1d1f0af9302694c32ec947503f4df222]: Sch. 21 para. 25 not in force at Royal Assent, see s. 334(1)

[^key-1d4115e8173ba0bb7a818cd03c34d072]: Sch. 12 para. 5 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(ix)

[^key-1dbd3b9384e3df01ec0ddd15e1bb50dd]: Sch. 21 para. 22 not in force at Royal Assent, see s. 334(1)

[^key-1dbe581e100b17b3f55c3496098e3c89]: S. 220 in force at Royal Assent, see s. 334(2)(l)

[^key-1eca18a8b86ad62a68b5ad8b6f0c9293]: Sch. 21 para. 14 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-1f1fc45e570295310821e1d9079e1bee]: Sch. 21 para. 60 not in force at Royal Assent, see s. 334(1)

[^key-1f54b8a13f7385edb5b0eb991859f7f8]: S. 297 not in force at Royal Assent, see s. 334(1)

[^key-1fc2213f5e66bb41bc2e06ccec66fccf]: S. 185 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(ii)

[^key-200050bec76f24b4dec53f82437aec19]: S. 285 in force at 11.1.2024 by S.I. 2024/32, reg. 2(c)(viii)

[^key-2021fb121c21ceae0ad87e49e29cf6ad]: S. 182 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(i)

[^key-2032fc06ee44e1f8891b3f69b331b513]: Sch. 3 para. 8 in force at 26.12.2023, see s. 334(3)(a)

[^key-205a9b1e9fcd21873db5410d0d2df0dc]: Sch. 21 para. 56 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-20ec47e7a765b81b93f210465d4722d4]: Sch. 21 para. 26 not in force at Royal Assent, see s. 334(1)

[^key-20f621a88458265bfaa5b1f3ed243c71]: S. 278 in force at 11.1.2024 by S.I. 2024/32, reg. 2(c)(iv)

[^key-210d9eb468174bde06a1232c07712823]: S. 67 in force at 26.12.2023, see s. 334(3)(b)

[^key-2126b4966e7cdf97f060b3fefa2ee7ed]: Sch. 18 para. 36 in force at Royal Assent, see s. 334(2)(l)

[^key-212b2e67703d1723be9c43ace38a4ccd]: Sch. 11 para. 1 not in force at Royal Assent, see s. 334(1)

[^key-219613307a667d841bba0c94eb01a10c]: S. 74 in force at 26.12.2023, see s. 334(3)(b)

[^key-2235cdf2536f56dffb2a1cb3b65e39f8]: Sch. 3 para. 6 in force at 26.12.2023, see s. 334(3)(a)

[^key-2244b0ab22b58744c7b6b648d702a339]: S. 198 not in force at Royal Assent, see s. 334(1)

[^key-225c909ee0d885513206f088aca3ef89]: S. 251 in force at 26.12.2023, see s. 334(3)(h)

[^key-22b286a014d9bd2831472c1479571cfa]: S. 38 in force at 26.12.2023, see s. 334(3)(a)

[^key-22b65f0f85e349b2f0cee0ae0c090e63]: Sch. 13 para. 1 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(ix)

[^key-231e8af4b89c40eb3fe9f3d1d89b03d9]: S. 165 in force at 31.1.2024 by S.I. 2024/32, reg. 3(a)(ii)

[^key-236188f402e803db441806e9781da469]: Sch. 21 para. 21 not in force at Royal Assent, see s. 334(1)

[^key-248c64aa02a9da37cf28a06a40222ab1]: Sch. 18 para. 5 in force at Royal Assent, see s. 334(2)(l)

[^key-249f5c4e9014957fd32d22ca77dffd44]: Sch. 18 para. 49 in force at Royal Assent, see s. 334(2)(l)

[^key-253090dd1eda767aedca66cebfde0dae]: Sch. 12 para. 7 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(ix)

[^key-2583476ebf4e5d7c473e9840642ef5c7]: Sch. 21 para. 25 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-25ab5d72b19203f3b739f10ad9cb76ff]: S. 167 not in force at Royal Assent, see s. 334(1)

[^key-25ecaceaa0c6221ac4295945aa20bd88]: Sch. 18 para. 41 in force at Royal Assent, see s. 334(2)(l)

[^key-26133e261a72c740c6fef6fa340d2f5d]: Sch. 13 para. 2 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(ix)

[^key-26182400693f9e122d39a15f80d5622a]: Sch. 21 para. 54 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-269e7db805491b1ba62c88f34147f225]: Sch. 7 para. 3 in force at 26.12.2023, see s. 334(3)(b)

[^key-26dfa66f83afbe5ea02f3c0334591a7a]: Sch. 6 not in force at Royal Assent, see s. 334(1)

[^key-2705bf241daaba9041b8e90a0c2e489a]: S. 26 in force at 26.12.2023, see s. 334(3)(a)

[^key-276b01f0908bb5637da7f57d06ac8d7e]: S. 324 in force at Royal Assent, see s. 334(2)(o)

[^key-2771e97bcbbb692e031333802a8619d7]: S. 277 not in force at Royal Assent, see s. 334(1)

[^key-27b8a62424f74ac2b3280c4a1efcb7e4]: Sch. 12 para. 11 not in force at Royal Assent, see s. 334(1)

[^key-27febb3f9848dca18a6189117b970471]: Sch. 21 para. 40 not in force at Royal Assent, see s. 334(1)

[^key-282fa6f6e9ce5c711192cf9da5bb4b5f]: Sch. 15 para. 21 in force at Royal Assent, see s. 334(2)(i)

[^key-2864e1f4d5c6b49dc846f7b0818048b5]: Sch. 21 para. 30 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-28b51bc137e9b898c48255875685ea74]: Sch. 19 para. 2 not in force at Royal Assent, see s. 334(1)

[^key-28dd1b0e854741a95d20f45953f53f9e]: Sch. 2 para. 7 in force at 26.12.2023, see s. 334(3)(a)

[^key-29d2b9044dc86e7174baec9eb821b3ad]: Sch. 18 para. 35 in force at Royal Assent, see s. 334(2)(l)

[^key-2acd01646f44144ccee35ed9471b0d39]: S. 109 in force at 26.12.2023, see s. 334(3)(b)

[^key-2b2e7e61285e4c1ba62d3a24209ef949]: S. 164 in force at 31.1.2024 by S.I. 2024/32, reg. 3(a)(ii)

[^key-2b4abddb58e4201261bf4072a0464924]: Sch. 13 para. 4 not in force at Royal Assent, see s. 334(1)

[^key-2b626718efba8d9734059445f04ea010]: S. 167 in force at 31.1.2024 by S.I. 2024/32, reg. 3(a)(iv)

[^key-2b6d1c6399714dab97cdc69e872ed08f]: S. 207 not in force at Royal Assent, see s. 334(1)

[^key-2be1b0895076bd0bddaf822f52d5c0bf]: S. 288 in force at 11.1.2024 by S.I. 2024/32, reg. 2(c)(x)

[^key-2be4d6dbc1600370319dc4ef146027e2]: S. 146 in force at Royal Assent, see s. 334(2)(c)

[^key-2ca77f5f0a0dcd13a36bc0568c027634]: Sch. 21 para. 15 not in force at Royal Assent, see s. 334(1)

[^key-2cbcc8eca2dfb0435e7613afc2621649]: S. 139 in force at 26.12.2023, see s. 334(3)(c)

[^key-2dce9ed101bdeba2a5f8a6b08cefe5f2]: Sch. 14 para. 7 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(x)

[^key-2dfcf3e980541a01bda5b0a614ab671c]: S. 188 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(iv)

[^key-2e113fcc84fd644c76a6c05ea47786d9]: Sch. 12 para. 13 not in force at Royal Assent, see s. 334(1)

[^key-2e8d732a447799e661627080feacfe0c]: S. 8 in force at 26.12.2023, see s. 334(3)(a)

[^key-2f7d6edc51635893cb7899c70c073be6]: S. 108 in force at 26.12.2023, see s. 334(3)(b)

[^key-2fa6152e9e882bda3aaf4821fcb743ed]: S. 45 in force at 26.12.2023, see s. 334(3)(a)

[^key-2fabebd951a255dd6d077546aa6d5ed2]: Sch. 16 para. 7 in force at Royal Assent, see s. 334(2)(j)

[^key-3055bcbd06b454d02f99db0634ede7f0]: Sch. 4 para. 8 in force at 26.12.2023, see s. 334(3)(a)

[^key-30a7e4a51fd204072ba97ad9a485b4ce]: S. 72 in force at 26.12.2023, see s. 334(3)(b)

[^key-30d0090354266da8dc159acfdd5bc70f]: Sch. 7 para. 1 in force at 26.12.2023, see s. 334(3)(b)

[^key-30f52bc5675ceb68425070dc347eb588]: Sch. 20 para. 3 not in force at Royal Assent, see s. 334(1)

[^key-3152411c80a1856baf3a6f63bbd2e9ac]: Sch. 12 para. 12 not in force at Royal Assent, see s. 334(1)

[^key-31d53318a2c5122c7ddc7b1cd07e4359]: S. 272 not in force at Royal Assent, see s. 334(1)

[^key-32980f5a30bb733b7b5d842c438e6429]: Sch. 20 para. 3 in force at 11.1.2024 by S.I. 2024/32, reg. 2(c)(vii)

[^key-32a786cb3107a8dc743e1a578e2fc0da]: Sch. 21 para. 38 not in force at Royal Assent, see s. 334(1)

[^key-330878f032b46b549f1eded6cf054074]: S. 183 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(i)

[^key-3422e19746f6971821eae985b2391fcf]: S. 171 not in force at Royal Assent, see s. 334(1)

[^key-342e982447259a75243aba80ed68920d]: S. 328 in force at Royal Assent, see s. 334(2)(o)

[^key-34dbe303e92605bbd267633d1b7bd16f]: Sch. 15 para. 19 in force at Royal Assent, see s. 334(2)(i)

[^key-3564dc47d612ca024bd05481ea3439f0]: Sch. 15 para. 20 in force at Royal Assent, see s. 334(2)(i)

[^key-35a364271c790fff025a9cfb8bc511c3]: S. 101 in force at 26.12.2023, see s. 334(3)(b)

[^key-3648664a06cfe713a5278b8b2113ed8d]: S. 65 in force at Royal Assent, see s. 334(3)(a)(iii)

[^key-36656c9f413657e6bbca1e4eb81f77b9]: S. 209 not in force at Royal Assent, see s. 334(1)

[^key-36ba619f51f8607e924ea34c3ca2194d]: Sch. 21 para. 30 not in force at Royal Assent, see s. 334(1)

[^key-36e745d0dee1ee502a349c09098f4b9e]: Sch. 21 para. 29 not in force at Royal Assent, see s. 334(1)

[^key-36eb28ce1b24fa45e8129630fdbe99bd]: S. 279 in force at 11.1.2024 by S.I. 2024/32, reg. 2(c)(v)

[^key-370eaaa96256eb201ba951f99904e05e]: S. 23 in force at 26.12.2023, see s. 334(3)(a)

[^key-376ef1e5d8f360be552659f42cc2bdde]: Sch. 21 para. 20 not in force at Royal Assent, see s. 334(1)

[^key-37da30ce2c4a7725ed1fdb5d1f7c5d89]: Sch. 14 para. 2 not in force at Royal Assent, see s. 334(1)

[^key-38b7399b2740d636aa2a912dff8a2375]: S. 83 in force at Royal Assent for specified purposes, see s. 334(2)(a)(v)

[^key-38d70e134ec7538cd66b7ac00d404304]: S. 275 in force at 11.1.2024 by S.I. 2024/32, reg. 2(c)(iv)

[^key-39b8a1fc9e74cd3413ea8f7f4b7b9c18]: S. 176 not in force at Royal Assent, see s. 334(1)

[^key-39d62cde71e27b83a3a086fa5fd0bea5]: Sch. 12 para. 2 not in force at Royal Assent, see s. 334(1)

[^key-3a1f5a286cfa31df42256550a5fd93a8]: S. 22 in force at 26.12.2023, see s. 334(3)(a)

[^key-3aa2d26b00a1393700878b820f0ac9db]: S. 271 not in force at Royal Assent, see s. 334(1)

[^key-3b79e52ed69b9aab37944afa22d557f6]: S. 314 in force at Royal Assent, see s. 334(2)(o)

[^key-3b96d78c70b443acde736d36cd5b6811]: Sch. 21 para. 28 not in force at Royal Assent, see s. 334(1)

[^key-3bd68dda50b42cf39b5adf94f2453e55]: S. 278 not in force at Royal Assent, see s. 334(1)

[^key-3bdb21f138339d84890c964edcea27e0]: Sch. 18 para. 19 in force at Royal Assent, see s. 334(2)(l)

[^key-3c369bc45c8efa5d4679f16d676e8dd2]: S. 272 in force at 11.1.2024 by S.I. 2024/32, reg. 2(c)(iii)

[^key-3ca96e615b702a364bdbdde85c54192f]: S. 180 in force at Royal Assent, see s. 334(2)(h)(iv)

[^key-3ce2ce449b97236c754ac1be3e5ff2d9]: Sch. 20 para. 1 in force at 11.1.2024 by S.I. 2024/32, reg. 2(c)(vii)

[^key-3d105588ee00e617012db9d82dc0708b]: S. 122 in force at 26.12.2023, see s. 334(3)(b)

[^key-3d9974de2c7001e49cb8669fc7d97db9]: S. 79 in force at 26.12.2023, see s. 334(3)(b)

[^key-3db183cfca27327a021d2f0b01a2dddd]: Sch. 18 para. 16 in force at Royal Assent, see s. 334(2)(l)

[^key-3de61bc3b79aa8843152296756f7a502]: Sch. 18 para. 11 in force at Royal Assent, see s. 334(2)(l)

[^key-3e73755fe6a5ae28e426272460fe1354]: Sch. 15 para. 3 in force at Royal Assent, see s. 334(2)(i)

[^key-3e9d6f651661f4cbbac7ecb4b862109e]: Sch. 18 para. 43 in force at Royal Assent, see s. 334(2)(l)

[^key-3ea838433788afadaaedc29382426912]: Sch. 9 para. 12 in force at Royal Assent, see s. 334(2)(h)(ii)

[^key-3f0c342e183e1825b1f3132fc681f05f]: Sch. 12 para. 11 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(ix)

[^key-3f4e2bc80498306623ea806519e5bcde]: S. 173 not in force at Royal Assent, see s. 334(1)

[^key-3f5a32ba893dd060b04a9650d606dbaa]: Sch. 8 para. 1 in force at 26.12.2023, see s. 334(3)(b)

[^key-3fa8f3644cb624523d3adab600301a00]: Sch. 17 para. 12 not in force at Royal Assent, see s. 334(1)

[^key-3feaebad583cf55955afe15def1455a0]: S. 134 in force at 26.12.2023, see s. 334(3)(c)

[^key-3ff4f026d56dcc7f5a29d22eebefd73c]: Sch. 16 para. 34 in force at Royal Assent, see s. 334(2)(j)

[^key-3ffcdb5b77076dfd427809a2df18f81d]: S. 282 in force at 11.1.2024 by S.I. 2024/32, reg. 2(c)(vi)

[^key-40384646f563cd6208c9ec38996e7917]: Sch. 22 para. 4 in force at 1.1.2026 (the date on which the Convention on Supplementary Compensation for Nuclear Damage comes into force for the United Kingdom following the deposit of an instrument of accession on 3.10.2025) in accordance with s. 334(4)

[^key-40462819d7b97c7e42c40c288bfd4aea]: Sch. 16 para. 27 in force at Royal Assent, see s. 334(2)(j)

[^key-408b52ab7f581a0f60ae6555570ad95e]: Sch. 9 para. 3 in force at Royal Assent, see s. 334(2)(h)(ii)

[^key-40ea7a8017803929b363832ab47d24b9]: Sch. 10 para. 3 in force at Royal Assent, see s. 334(2)(h)(ii)

[^key-412c32b3d12d41ddfd493d1ced8e3b5c]: Sch. 21 para. 34 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-4130fd2182940b38b5cc6727ee98a2b9]: Sch. 21 para. 61 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-415b6f23b028d0497419135aeaef74fb]: Sch. 18 para. 32 in force at Royal Assent, see s. 334(2)(l)

[^key-417add52c02d3e17df6099b4755d1a77]: Sch. 18 para. 44 in force at Royal Assent, see s. 334(2)(l)

[^key-41fa1c35993b284eccc5137d8db926f9]: Sch. 21 para. 57 not in force at Royal Assent, see s. 334(1)

[^key-4251505df288f2c0cb296dd539bff7b4]: S. 246 in force at 11.1.2024 by S.I. 2024/32, reg. 2(b)(iii)

[^key-427a1ba98fca6e3f1f442eeee534ad43]: S. 203 in force at Royal Assent, see s. 334(2)(i)

[^key-429531efd59a6bed55d1357b934344b9]: Sch. 18 para. 73 in force at Royal Assent, see s. 334(2)(l)

[^key-42b9b51473c366f76a59909fdbc2e828]: S. 39 in force at 26.12.2023, see s. 334(3)(a)

[^key-42e88226d4d70a68dbaf6c26bcc77ac2]: S. 199 not in force at Royal Assent, see s. 334(1)

[^key-43006ce74c21872eebc6745872d9e631]: Sch. 10 para. 6 in force at Royal Assent, see s. 334(2)(h)(ii)

[^key-4306eb696669d94f1d49952535b34433]: Sch. 18 para. 56 in force at Royal Assent, see s. 334(2)(l)

[^key-435df70e493236ec889515c20865127f]: Sch. 21 para. 6 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-436ce5d8dfa014adc4c7210cc5168988]: S. 17 in force at 26.12.2023, see s. 334(3)(a)

[^key-43a6c469be78426af0791d7c2d758e51]: Sch. 21 para. 49 not in force at Royal Assent, see s. 334(1)

[^key-43f924d5e6658154ff106c6289758e2d]: S. 1 in force at 26.12.2023, see s. 334(3)(a)

[^key-43f9feef568d65103eb12c61d83c6146]: Sch. 16 para. 13 in force at Royal Assent, see s. 334(2)(j)

[^key-440adc411335a83ad50b160c047966b0]: S. 4 in force at 26.12.2023, see s. 334(3)(a)

[^key-44d11040e7119bdd0c3741f0dd293685]: Sch. 21 para. 37 not in force at Royal Assent, see s. 334(1)

[^key-4595868616a2aca1cbf1918a94ca0310]: Sch. 16 para. 26 in force at Royal Assent, see s. 334(2)(j)

[^key-4613f372fe36276e4522461356ee8345]: Sch. 21 para. 7 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-4626ab4c85f34cd17dfd23daaa97046a]: S. 115 in force at 26.12.2023, see s. 334(3)(b)

[^key-4649ce97effaeff65d4f75978e092c32]: S. 145 in force at Royal Assent, see s. 334(2)(c)

[^key-465fb76b36f7b561c6e7fbd05e7636b1]: Sch. 18 para. 46 in force at Royal Assent, see s. 334(2)(l)

[^key-46725e1ae1d1ebc8aa238eeba13be2e2]: Sch. 21 para. 45 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-468c0cb76dcf819b27a53c2b3dac6f49]: S. 52 in force at 26.12.2023, see s. 334(3)(a)

[^key-469d0becf938c21d2e25b4b21722de48]: Sch. 21 para. 8 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-46dfc3caf61e3d81ca491d8ad56364b8]: Sch. 21 para. 16 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-46f01571f190288649ac338eaa221c35]: Sch. 21 para. 28 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-4773c82d7de4a056aa07f1475d34bb28]: S. 136 in force at 26.12.2023, see s. 334(3)(c)

[^key-47800e50316ba8ac86549f6408e8edc7]: S. 182 not in force at Royal Assent, see s. 334(1)

[^key-4786e1354ed228cf5ea4f249a3792739]: S. 280 not in force at Royal Assent, see s. 334(1)

[^key-47c80ce53824232e18c4be6532e6985b]: S. 156 in force at 10.9.2024 by S.I. 2024/890, reg. 2(a)

[^key-47e7469b141065d929dcc35faf01f2ff]: Sch. 11 para. 5 not in force at Royal Assent, see s. 334(1)

[^key-480a75206d328abaaf1640a25b019c28]: S. 188 not in force at Royal Assent, see s. 334(1)

[^key-489aaa728bf683f6aa3227031f92ee30]: S. 91 in force at 26.12.2023, see s. 334(3)(b)

[^key-48e8c7079d898dacefe94a6f46808088]: Sch. 11 para. 4 not in force at Royal Assent, see s. 334(1)

[^key-490dcd280cb9c4f64958b0cf72be02c3]: S. 187 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(iv)

[^key-4928aa2076a40ecd8907d566facddeb1]: Sch. 4 para. 1 in force at 26.12.2023, see s. 334(3)(a)

[^key-49681b59bf15ceb990f7f3e14d9ff326]: Sch. 21 para. 13 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-498ddf8e66c7e02bb4e896c2045038dc]: Sch. 3 para. 7 in force at 26.12.2023, see s. 334(3)(a)

[^key-4a43e58f75411d4c39cbf4efbbd5d64b]: S. 197 not in force at Royal Assent, see s. 334(1)

[^key-4abd18d7e86645a0fbb54c2324a88aa0]: Sch. 2 para. 11 in force at 26.12.2023, see s. 334(3)(a)

[^key-4b4e4c8c9ae71482049f4a85312a79eb]: Sch. 21 para. 44 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-4b92bc84e2fd305eb4bf882f5ba77d8e]: S. 51 in force at 26.12.2023, see s. 334(3)(a)

[^key-4bd3b02737ae1721ed2e5a436f9043b2]: S. 157 in force at Royal Assent, see s. 334(2)(e)

[^key-4bf122889085eaf95bb14875a7a62b18]: S. 219 in force at Royal Assent, see s. 334(2)(l)

[^key-4bf4435585179981b518315b1457a03c]: S. 131 in force at 26.12.2023, see s. 334(3)(c)

[^key-4c824dd7f0a26d83b954737a27b1fea7]: Sch. 15 para. 24 in force at Royal Assent, see s. 334(2)(i)

[^key-4cb06c36e592dc4a31772efe92249580]: S. 85 in force at Royal Assent for specified purposes, see s. 334(2)(a)(vi)

[^key-4cc8d367e1a9a2a7d5b4288dbeb1d82a]: Sch. 3 para. 2 in force at 26.12.2023, see s. 334(3)(a)

[^key-4d4ab3a62d0e9b7764d3964c9cc4417e]: Sch. 21 para. 57 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-4deaf548fef1c98b7a59b7918c4e677c]: Sch. 21 para. 15 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-4e320bf5ec82463eb1dc5a60d1dabed0]: Sch. 15 para. 2 in force at Royal Assent, see s. 334(2)(i)

[^key-4e7fc2e53c86e73462d97a79f73db533]: S. 173 in force at 31.1.2024 by S.I. 2024/32, reg. 3(a)(vi)

[^key-4e8d05669b23fd6a63735bf043f4564d]: Sch. 4 para. 5 in force at 26.12.2023, see s. 334(3)(a)

[^key-4ec7586bf0366466bb6fd087b5fa071d]: Sch. 3 para. 4 in force at 26.12.2023, see s. 334(3)(a)

[^key-4ed8d47cdce059eae479dad805525f4f]: Sch. 21 para. 10 not in force at Royal Assent, see s. 334(1)

[^key-4fe13baafb1cb076ace160b4d9494edb]: Sch. 15 para. 9 in force at Royal Assent, see s. 334(2)(i)

[^key-5001ecd33a43ed42ec542a8db186ea0c]: S. 177 in force at 31.1.2024 by S.I. 2024/32, reg. 3(a)(vii)

[^key-50a96c49971e528654e6bca2d2e7b017]: S. 33 in force at 26.12.2023, see s. 334(3)(a)

[^key-50f8e2fbef93257639cab3ab67312a44]: Sch. 4 para. 10 in force at 26.12.2023, see s. 334(3)(a)

[^key-5102790189cefef70553a1d40bf58160]: Sch. 21 para. 8 not in force at Royal Assent, see s. 334(1)

[^key-513bbcce5094f34bd407fe220583642f]: Sch. 15 para. 15 in force at Royal Assent, see s. 334(2)(i)

[^key-518eccfdc3ef17234a137c3f35cd1360]: Sch. 21 para. 40 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-52223e437057114bbdd8729cefc6b7fa]: Sch. 21 para. 50 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-5306ccc3ca807da0e1d55b8a84f04507]: S. 263 in force at Royal Assent, see s. 334(2)(m)

[^key-530b15db1df09fd33b1e0d5b21248829]: S. 281 not in force at Royal Assent, see s. 334(1)

[^key-5333dd46e0e46268750b93ea7cc5d975]: Sch. 5 para. 9 in force at 26.12.2023, see s. 334(3)(a)

[^key-536f01a165d787a1702eb83e5c9dff8f]: S. 88 in force at 26.12.2023 in so far as not already in force, see s. 334(3)(b)

[^key-537c922c5c6ce3ea0339485dddf36996]: Sch. 12 para. 6 not in force at Royal Assent, see s. 334(1)

[^key-540d62eeb06596ea26a1437a9234bf47]: S. 178(2)(3) in force at Royal Assent for specified purposes, see s. 334(2)(h)(iii)

[^key-542801cf0e45c2be95fd6551e461f3f6]: S. 12 in force at 26.12.2023, see s. 334(3)(a)

[^key-543b09ff10d7252f68f77570b1d2e80f]: Sch. 21 para. 55 not in force at Royal Assent, see s. 334(1)

[^key-544e2d0b452087f9eace2d3308340f2c]: Sch. 18 para. 14 in force at Royal Assent, see s. 334(2)(l)

[^key-544f7db36eccf95319c2ccde198d2911]: S. 92 in force at 26.12.2023, see s. 334(3)(b)

[^key-54b2fc9085de17351cd2c575454564be]: S. 18 in force at 26.12.2023, see s. 334(3)(a)

[^key-550862f993545a41ddc34a3fbf84a9cb]: Sch. 1 para. 4 in force at 26.12.2023, see s. 334(3)(a)

[^key-559b5df22a5740796d75d9ea3d5f9a26]: Sch. 21 para. 65 not in force at Royal Assent, see s. 334(1)

[^key-55e647528c94daa3700fb90071035cbd]: S. 105 not in force at Royal Assent, see s. 334(1)

[^key-56297c139dddd9fa9f2fceab35fbf0f9]: S. 270 in force at 11.1.2024 by S.I. 2024/32, reg. 2(c)(ii)

[^key-569dbed868cb1c1559b47b4e8118f4fb]: S. 335 in force at Royal Assent, see s. 334(2)(p)

[^key-56cb3dd0d77149f457620895d0057294]: S. 206 not in force at Royal Assent, see s. 334(1)

[^key-56f1331ee99f891172f11acdd4b25b58]: Sch. 14 para. 4 not in force at Royal Assent, see s. 334(1)

[^key-56f85fa2d5f7588f3324bc6659f727bd]: Sch. 17 para. 19 not in force at Royal Assent, see s. 334(1)

[^key-5716f6e1e1d4674e1df54543a40c2c83]: Sch. 19 para. 1 in force at 11.1.2024 by S.I. 2024/32, reg. 2(b)(iii)

[^key-574d9801fec927f8c086ede5b3d2ac2b]: Sch. 16 para. 14 in force at Royal Assent, see s. 334(2)(j)

[^key-57b808e95a545b21b3193a603c7a519b]: Sch. 15 para. 12 in force at Royal Assent, see s. 334(2)(i)

[^key-57fd5c3bc7b775398e3b9e8f445d0a6b]: Sch. 21 para. 50 not in force at Royal Assent, see s. 334(1)

[^key-58363104b3805f99b4492478966a6b0d]: S. 179 not in force at Royal Assent, see s. 334(1)

[^key-585e078b6f14f46193f9a493dd798149]: S. 57 in force at Royal Assent for specified purposes, see s. 334(2)(a)(ii)

[^key-58a06f9f15d7259311dc179bc179fc6f]: Sch. 18 para. 54 in force at Royal Assent, see s. 334(2)(l)

[^key-59720e9f1dea582ad512e20c2875d3f5]: S. 126 in force at 26.12.2023, see s. 334(3)(b)

[^key-59ba4da8c9b20832fe1b280f1489a92e]: Sch. 21 para. 39 not in force at Royal Assent, see s. 334(1)

[^key-59c9284bcb00073b9f0f3e03b0315a43]: Sch. 17 para. 4 not in force at Royal Assent, see s. 334(1)

[^key-5a81feafc58271e3e4d3e831c1d7e98c]: S. 132 in force at 26.12.2023, see s. 334(3)(c)

[^key-5acae1e3b1ab077e568834767c1f1661]: Sch. 15 para. 16 in force at Royal Assent, see s. 334(2)(i)

[^key-5ca3dd200a69c82f818bcbe1dd3088e6]: S. 89 in force at 26.12.2023, see s. 334(3)(b)

[^key-5cc398629f2fb5c40a84418ef237003e]: S. 179 in force at 31.1.2024 by S.I. 2024/32, reg. 3(a)(ix)

[^key-5d4d385192f64742e8b7250d6cd7a41c]: Sch. 2 para. 1 in force at 26.12.2023, see s. 334(3)(a)

[^key-5d70c68d24c4c4000a8358502d64677e]: S. 210 not in force at Royal Assent, see s. 334(1)

[^key-5db4237958ff2865bc99fe54be24549a]: Sch. 12 para. 3 not in force at Royal Assent, see s. 334(1)

[^key-5dd29901487641bc552fa959b6ce039f]: S. 53 in force at 26.12.2023, see s. 334(3)(a)

[^key-5e4fc1c89ff4da6e13433c26b817f00b]: S. 70 in force at 26.12.2023, see s. 334(3)(b)

[^key-5e77f4c2d24be3fe120514bd4e94feba]: Sch. 3 para. 10 in force at 26.12.2023, see s. 334(3)(a)

[^key-5e7f7b77171b285d427844974c3bd11a]: S. 320 in force at Royal Assent, see s. 334(2)(o)

[^key-5e8c046e9a258ff69d94ded8c3862647]: S. 225 in force at Royal Assent, see s. 334(2)(l)

[^key-5ea0ae7e0dcc1c4566feea51ca8eb0b1]: S. 235 in force at Royal Assent, see s. 334(2)(l)

[^key-5ef83a5eb1dfaf79ae284eb2b29eef25]: Sch. 9 para. 11 in force at Royal Assent, see s. 334(2)(h)(ii)

[^key-600ab53baebfe209ed180c2876db6588]: S. 286 in force at 11.1.2024 by S.I. 2024/32, reg. 2(c)(viii)

[^key-60c14de264e5ec435449ecb4ce183521]: Sch. 21 para. 37 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-610246a5080422a11458cdb08f492b15]: S. 211 in force at 26.12.2023, see s. 334(3)(g)

[^key-610e232336f41217bc563f1ef4ba379d]: S. 306 in force at 26.12.2023, see s. 334(3)(k)

[^key-61252e507fb2a416165691025152b1f3]: Sch. 18 para. 40 in force at Royal Assent, see s. 334(2)(l)

[^key-614847c82a731f17de94de82103e675c]: Sch. 8 para. 2 in force at 26.12.2023, see s. 334(3)(b)

[^key-6182618a77c19de713195574a9adfc5e]: Sch. 17 para. 5 not in force at Royal Assent, see s. 334(1)

[^key-6195682d59c4ee45af0328618289b933]: Sch. 4 para. 3 in force at 26.12.2023, see s. 334(3)(a)

[^key-62071c9ba3aa309c4d7c2723efd459f0]: Sch. 18 para. 67 in force at Royal Assent, see s. 334(2)(l)

[^key-620ee3c922257aa375147c36b5be3628]: Sch. 5 para. 1 in force at 26.12.2023, see s. 334(3)(a)

[^key-62673b6e9c40559ccd99314b28cc2a79]: S. 293 in force at 26.12.2023, see s. 334(3)(j)

[^key-62ae637cbb3a149b42412555eb7d7fc1]: Sch. 9 para. 1 in force at Royal Assent, see s. 334(2)(h)(ii)

[^key-630402797c70d3cf43fc779f7b2dffb6]: Sch. 21 para. 38 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-630f5164da7fdd1b086886f89fb46d44]: S. 245 in force at 11.1.2024 by S.I. 2024/32, reg. 2(b)(iii)

[^key-63445937765d8ceedb07b7289bc37cf9]: Sch. 12 para. 6 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(ix)

[^key-6370204fb9b7d192108334858624d3a0]: Sch. 21 para. 70 not in force at Royal Assent, see s. 334(1)

[^key-637083e95daf8245bb9d48ebb6f18a94]: Sch. 21 para. 66 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-638b36dfc907da8d2fed0aeba9ff9f4e]: Sch. 21 para. 48 not in force at Royal Assent, see s. 334(1)

[^key-63a26957197f943ed68f65695bbefd66]: Sch. 12 para. 1 not in force at Royal Assent, see s. 334(1)

[^key-63ac8598008241fb0bd67d50ebba99bf]: Sch. 16 para. 35 in force at Royal Assent, see s. 334(2)(j)

[^key-63bd9f9e8dc7542a5f03d902360c2b1b]: Sch. 18 para. 61 in force at Royal Assent, see s. 334(2)(l)

[^key-63cd3c1158ba4dba3104867628150905]: S. 123 in force at 26.12.2023, see s. 334(3)(b)

[^key-645fd5faf5d0be5a309949ace19d2966]: S. 174 in force at Royal Assent, see s. 334(2)(h)(ii)

[^key-64a563ac4cbc21fbd85545bbd1c9e5a4]: S. 312 in force at Royal Assent, see s. 334(2)(o)

[^key-659352715a0705acbdd75bc06de4734b]: Sch. 10 para. 5 in force at Royal Assent, see s. 334(2)(h)(ii)

[^key-65a5c9cea13969e0a450230e2984b1e7]: Sch. 2 para. 5 in force at 26.12.2023, see s. 334(3)(a)

[^key-66113246f7d9272ca9be8cd4f49ad651]: S. 209 in force at 10.9.2024 by S.I. 2024/890, reg. 2(c)

[^key-6618970907eee9d01e5eccce1b2416ed]: Sch. 21 para. 24 not in force at Royal Assent, see s. 334(1)

[^key-6619ad488a2701e69b3c1405f31ec1b0]: Sch. 15 para. 8 in force at Royal Assent, see s. 334(2)(i)

[^key-668a18a8a5c831f54b936a764f082778]: Sch. 21 para. 45 not in force at Royal Assent, see s. 334(1)

[^key-66a66c06758777e4f01ca1f6c6b5bd75]: S. 243 in force at 11.1.2024 by S.I. 2024/32, reg. 2(b)(ii)

[^key-66f7ea6c24fa5030d5d7f4e4fc3b88d9]: S. 200 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(ix)

[^key-67040ac93addda5bacb6d9fc4c9f4b33]: Sch. 14 para. 8 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(x)

[^key-6774358c49684e21aa2991263140a86a]: Sch. 11 para. 8 not in force at Royal Assent, see s. 334(1)

[^key-67dc30e8ce181151d5f2751c781b68c7]: S. 133 in force at 26.12.2023, see s. 334(3)(c)

[^key-68136b5ee10147105a53962f2a539f42]: S. 77 in force at 26.12.2023, see s. 334(3)(b)

[^key-68abad8beb7f22538c83837f9ff53885]: S. 160 in force at 26.12.2023, see s. 334(3)(f)

[^key-68b11d8b4354239590110b41982166c7]: Sch. 16 para. 14(2) omitted (24.7.2024) by virtue of Digital Markets, Competition and Consumers Act 2024 (c. 13), s. 339(3), Sch. 6 para. 13(3)

[^key-68b3f5f1d59c64f578ca6fdbbb2ca54a]: S. 153 in force at 26.12.2023, see s. 334(3)(d)

[^key-68dbe8671656e8ad15d489706a6a45d1]: S. 331 in force at Royal Assent, see s. 334(2)(p)

[^key-6997302913df4f507f0008f1c51d34f2]: S. 20 in force at 26.12.2023, see s. 334(3)(a)

[^key-69a989e034cc54a85ea7dd31c14218e5]: Sch. 18 para. 51 in force at Royal Assent, see s. 334(2)(l)

[^key-69d18f9234a367d286d1eee5776f0963]: Sch. 5 para. 6 in force at 26.12.2023, see s. 334(3)(a)

[^key-6a4a4028b1e8ee5982e5f0224a56d7db]: S. 330 in force at Royal Assent, see s. 334(2)(p)

[^key-6a8cb4e8892649b60b05b981d53db6ce]: S. 190 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(v)

[^key-6acf46f3204ccb3bd8edc2563ca67636]: S. 27 in force at 26.12.2023, see s. 334(3)(a)

[^key-6be4ac99a73ca41efe3e6e39902f67aa]: S. 223 in force at Royal Assent, see s. 334(2)(l)

[^key-6c5572d9e9cffadb24a74ee42d656e11]: Sch. 5 para. 3 in force at 26.12.2023, see s. 334(3)(a)

[^key-6c80d05d00a1d8ab47cc17c4e229dc15]: S. 299 not in force at Royal Assent, see s. 334(1)

[^key-6ce5ac3af4a35fa0daa85f0f5f57df67]: Sch. 18 para. 37 in force at Royal Assent, see s. 334(2)(l)

[^key-6dafb1068075bd230fda1d1ab667b5a4]: Sch. 16 para. 15 in force at Royal Assent, see s. 334(2)(j)

[^key-6db5ce3ed0e4fb8ff9975530f9bb47b9]: Sch. 21 para. 41 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-6deeaf74ee1747a20c0a18234875be62]: Sch. 17 para. 9 not in force at Royal Assent, see s. 334(1)

[^key-6df7c7cf3d73ac7ca985b215111e0375]: S. 166(1)(3)-(10) in force at 31.1.2024 by S.I. 2024/32, reg. 3(a)(iii)

[^key-6df9a97613529e7b010ca4705feabc44]: Sch. 9 para. 7 in force at Royal Assent, see s. 334(2)(h)(ii)

[^key-6ea2b95eb207457ddfe12fad2350c648]: Sch. 21 para. 52 not in force at Royal Assent, see s. 334(1)

[^key-6ee9c9d70ad8a3f879a716e098264a83]: Sch. 14 para. 4 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(x)

[^key-6f3d074a5a137b7f9efb03efdcc3eb02]: S. 201 not in force at Royal Assent, see s. 334(1)

[^key-6fe2b260d0f45f9e101e9a1ef54ae156]: Sch. 11 para. 7 in force at 31.1.2024 by S.I. 2024/32, reg. 3(a)(ix)

[^key-703b077d09af6a3fbf4d170daabb4b2a]: S. 193 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(vi)

[^key-708b787a945ff9c4759b4d579867023f]: S. 10 in force at 26.12.2023, see s. 334(3)(a)

[^key-708d77d07d6084f47697338efbfdd86e]: S. 238 not in force at Royal Assent, see s. 334(1)

[^key-70c5f845fc26b7a331dd5b4333e0e1cb]: S. 302 in force at 10.9.2024 by S.I. 2024/890, reg. 2(d)

[^key-70cc73f7604ea57985a12cee83477f25]: Sch. 21 para. 47 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-70f1647335e9d453a5e6fab49df2196f]: S. 129 in force at Royal Assent, see s. 334(2)(b)

[^key-71188d6c58354c4f0cc449a6532e2ff5]: S. 261 in force at Royal Assent, see s. 334(2)(m)

[^key-71a21b4d521d7d5ee574f4f775cd8b36]: Sch. 21 para. 13 not in force at Royal Assent, see s. 334(1)

[^key-71ea29e9caac9a3cbdb678ee1ec26417]: Sch. 13 para. 5 not in force at Royal Assent, see s. 334(1)

[^key-72c41834b5d002ab7af083079e1d0c36]: Sch. 21 para. 12 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-72c50db1c11c9115c3467438fcd9d537]: S. 301 not in force at Royal Assent, see s. 334(1)

[^key-730bc39889386f94a336a9834b38f781]: Sch. 21 para. 1 not in force at Royal Assent, see s. 334(1)

[^key-73bb0d482e86e8132ddd3c258e164b26]: Sch. 18 para. 38 in force at Royal Assent, see s. 334(2)(l)

[^key-745c6cc86dfd614941cef3fbd5bc325b]: Sch. 21 para. 68 not in force at Royal Assent, see s. 334(1)

[^key-747b7ff4749fed3cb52198ffbda4fc1d]: Sch. 18 para. 34 in force at Royal Assent, see s. 334(2)(l)

[^key-74c103abdd0ad46ce49b6bdb57bd759e]: Sch. 21 para. 47 not in force at Royal Assent, see s. 334(1)

[^key-752c355f865d612ac5cf0d5ea7c6f663]: S. 63 in force at 26.12.2023, see s. 334(3)(b)

[^key-7573a85d494e69151a046a9bf4a8cda0]: Sch. 5 para. 2 in force at 26.12.2023, see s. 334(3)(a)

[^key-758ef237278536f9a4e00a16c01112fd]: S. 300 not in force at Royal Assent, see s. 334(1)

[^key-75e855594b7cb1c538abc207ad28d3fa]: Sch. 18 para. 39 in force at Royal Assent, see s. 334(2)(l)

[^key-75f8cdb5b54e0382d2d9f0f2dffc87a8]: Sch. 21 para. 10 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-75fc92379d9a26cf04b135f2117b7317]: S. 175 in force at Royal Assent, see s. 334(2)(h)(ii)

[^key-76f41cb72e0c43b362c024e70cb06429]: Sch. 18 para. 31 in force at Royal Assent, see s. 334(2)(l)

[^key-7709333a89a694a3f067a0fd2a96f779]: S. 110 in force at 26.12.2023, see s. 334(3)(b)

[^key-774cf49e91b5ebbc2728693be6e20cc1]: Sch. 13 para. 2 not in force at Royal Assent, see s. 334(1)

[^key-778e4e354634f3a645ef82ce5327ae23]: S. 162 not in force at Royal Assent, see s. 334(1)

[^key-7798990257d2f058a1ac2a10131dd812]: S. 308 in force at Royal Assent, see s. 334(2)(n)

[^key-7800053109c972e0517aac66fbea2107]: Sch. 16 para. 9 in force at Royal Assent, see s. 334(2)(j)

[^key-780148cd6761618b11b7be55a1c4b33b]: S. 144 in force at Royal Assent, see s. 334(2)(c)

[^key-78318beeb9ace030acacb4baf2a95045]: Sch. 21 para. 12 not in force at Royal Assent, see s. 334(1)

[^key-785416adeb760af2774af6f2dec5a1ba]: Sch. 16 para. 19 in force at Royal Assent, see s. 334(2)(j)

[^key-787a766287341b6b9d49f6d8c9531cc1]: Sch. 7 para. 7 in force at 26.12.2023, see s. 334(3)(b)

[^key-7884d9c035208922be1de913ac746ea5]: Sch. 12 para. 10 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(ix)

[^key-78a29e702d25d2a557ed3f7cb7fa2512]: S. 6 in force at 26.12.2023, see s. 334(3)(a)

[^key-78d15e6e37d1abe7fe12be916fab5e1d]: S. 163 in force at 31.1.2024 by S.I. 2024/32, reg. 3(a)(ii)

[^key-78d92182a36792f790b59513c0d5216b]: S. 208 not in force at Royal Assent, see s. 334(1)

[^key-7904e70d12cccd282c81a74ce27e8fef]: S. 97 in force at 26.12.2023, see s. 334(3)(b)

[^key-7928aec47355121d9ffc37a403ef3a1d]: S. 121 in force at 26.12.2023, see s. 334(3)(b)

[^key-794bcf6e627476d2d4f2cfde139ee386]: Sch. 16 para. 3 in force at Royal Assent, see s. 334(2)(j)

[^key-79602f8026374f6e346cf30c6dbaef60]: Sch. 22 para. 3 in force at 1.1.2026 (the date on which the Convention on Supplementary Compensation for Nuclear Damage comes into force for the United Kingdom following the deposit of an instrument of accession on 3.10.2025) in accordance with s. 334(4)

[^key-79867dd71f3a3dade8d239f42f0d34d2]: S. 168(1)(3)-(5) in force at 31.1.2024 by S.I. 2024/32, reg. 3(a)(v)

[^key-7a56d6ea4d97852745f5aba5103ec99d]: Sch. 21 para. 3 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-7a662f09d63d144fc5015672c042e621]: S. 295 in force at 26.12.2023, see s. 334(3)(j)

[^key-7afe70432d5cd5d233a8b9b9b0da77cc]: Sch. 12 para. 9 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(ix)

[^key-7b3af8b8b189083b00ef72687481c366]: S. 321 in force at Royal Assent, see s. 334(2)(o)

[^key-7b7272e0d1a6ef5bebdbf2882fc6cd0a]: Sch. 21 para. 1 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-7c213c6f65ec8fdee447a2f4a0a71ea3]: S. 170 in force at Royal Assent, see s. 334(2)(h)(i)

[^key-7cccf147589bec5dd88779ae0f57bfc7]: Sch. 21 para. 49 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-7cdfea289f3777a7c5267ab227700497]: Sch. 20 para. 4 not in force at Royal Assent, see s. 334(1)

[^key-7d933cde35ba8e66c5514fab2432a368]: Sch. 18 para. 57 in force at Royal Assent, see s. 334(2)(l)

[^key-7e2f05ef8f1647937eb2bdadb76ca3bd]: S. 298 not in force at Royal Assent, see s. 334(1)

[^key-7e44ac78888ea03897c2d66bad9825f7]: Sch. 20 para. 5 in force at 11.1.2024 by S.I. 2024/32, reg. 2(c)(vii)

[^key-7e70d22bc59c92c7eabd0124653bdf08]: S. 117 in force at 26.12.2023, see s. 334(3)(b)

[^key-7ed159ab57020654ded87b196f630d03]: S. 191 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(v)

[^key-7f41c01ff67132e84ec385763e725ccf]: Sch. 21 para. 2 not in force at Royal Assent, see s. 334(1)

[^key-80797cea1a9a74b1430acf81893ffbd5]: S. 171 in force at 31.1.2024 by S.I. 2024/32, reg. 3(a)(vi)

[^key-80db014c9bc1e29b71edc15d85dcb3fc]: Sch. 21 para. 62 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-80e1d49e5a7911dd0a4e07bfc7a8d76a]: Sch. 7 para. 2 in force at 26.12.2023, see s. 334(3)(b)

[^key-80ed531f2b371d2040168ed3fd42e62f]: S. 299(1)(2) in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(ii)

[^key-80ef71b4e6ddca6af8e25b2a31b9551b]: S. 205 not in force at Royal Assent, see s. 334(1)

[^key-8112f80a4de638c7784986d928177330]: Sch. 18 para. 42 in force at Royal Assent, see s. 334(2)(l)

[^key-81cc34aaf4bcba83a1d85fd157505ceb]: Sch. 14 para. 1 not in force at Royal Assent, see s. 334(1)

[^key-8205de557dc7a32ef642a5160bc77466]: S. 142 in force at 26.12.2023, see s. 334(3)(c)

[^key-8233e913ad355514920ff199d087d6e4]: S. 84 in force at 26.12.2023, see s. 334(3)(b)

[^key-8299eb1620dacbcb037f788f771d3297]: S. 130 in force at 26.12.2023, see s. 334(3)(c)

[^key-82d3ddf75ef8aa3b87d698a844f3792b]: Sch. 18 para. 8 in force at Royal Assent, see s. 334(2)(l)

[^key-830fc10e2b1560cae82403fef7dbecf0]: Sch. 9 para. 13 in force at Royal Assent, see s. 334(2)(h)(ii)

[^key-83610594fd7263272f8edddb98532a23]: Sch. 14 para. 9 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(x)

[^key-838204e1f4a6ecfa0a42291aeca5a293]: Sch. 16 para. 30 in force at Royal Assent, see s. 334(2)(j)

[^key-83d84f211b2b9d3ac82b24e96414f886]: Sch. 19 para. 3 in force at 11.1.2024 by S.I. 2024/32, reg. 2(b)(iii)

[^key-83f704993fd87f098b9dbf9897f66c94]: Sch. 12 para. 4 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(ix)

[^key-846687fcefe02c5cd6529325bf171028]: Sch. 4 para. 6 in force at 26.12.2023, see s. 334(3)(a)

[^key-846a58b7396818811cd99ae0dbade7f4]: Sch. 12 para. 7 not in force at Royal Assent, see s. 334(1)

[^key-84efa2ab975b4a26f587ce94b6d20a4b]: Sch. 1 para. 2 in force at 26.12.2023, see s. 334(3)(a)

[^key-850a44cb8a84ca4b4f298a673515e2a5]: Sch. 21 para. 18 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-855e7f5c8c14d41ffcce86ef5265a7be]: Sch. 9 para. 5 in force at Royal Assent, see s. 334(2)(h)(ii)

[^key-856234384699d13a975b0d5ea7131a84]: Sch. 21 para. 4 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-857de1cd8588572461458bba4d5f7e18]: Sch. 8 para. 6 in force at 26.12.2023, see s. 334(3)(b)

[^key-859acafb212250e836dc8201ff32899a]: Sch. 15 para. 26 in force at Royal Assent, see s. 334(2)(i)

[^key-86839d740b6cd8af6ee53446d64641e3]: S. 252 in force at 26.12.2023, see s. 334(3)(h)

[^key-86858faf7c308f776173ac5950640a81]: S. 86 in force at 26.12.2023, see s. 334(3)(b)

[^key-86b9f5c6406ca07adf9b733d6bbe6444]: Sch. 4 para. 11 in force at 26.12.2023, see s. 334(3)(a)

[^key-8721507c744cba9f55c1548d94ffe33a]: S. 186 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(iii)

[^key-87943f8d46d03b060674350a4677d41d]: S. 16 in force at 26.12.2023, see s. 334(3)(a)

[^key-87e605fe91571175873764a497250396]: Sch. 17 para. 10 not in force at Royal Assent, see s. 334(1)

[^key-87f28d235a9851b81ff353c89df3d1e4]: Sch. 22 para. 7 in force at 1.1.2026 (the date on which the Convention on Supplementary Compensation for Nuclear Damage comes into force for the United Kingdom following the deposit of an instrument of accession on 3.10.2025) in accordance with s. 334(4)

[^key-8812e40c0beeb4ac8fe4b709638704e5]: S. 178(2)(3) in force at 31.1.2024 in so far as not already in force by S.I. 2024/32, reg. 3(a)(viii)

[^key-883dc6478d0cb292a9e9dc286d4d0707]: S. 218 in force at Royal Assent, see s. 334(2)(l)

[^key-8936f5b9eaa8ea973efb5a2091f2ff77]: Sch. 15 para. 7 in force at Royal Assent, see s. 334(2)(i)

[^key-896c28f1a2d754b9dcca10d82ee53940]: Sch. 16 para. 16 in force at Royal Assent, see s. 334(2)(j)

[^key-89e8d19e1594cfbba7e8839d96db2000]: Sch. 21 para. 62 not in force at Royal Assent, see s. 334(1)

[^key-8a3a040fa1d97d83651f08b1f46c5834]: S. 212 in force at 26.12.2023, see s. 334(3)(g)

[^key-8a5a560dabb386ae515fc91285f981b3]: Sch. 21 para. 23 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-8ab1813887ee5e0806cc21aef720b6eb]: Sch. 21 para. 64 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-8adbc98e1ba8314d27656b0343f4ec75]: S. 238 in force at 11.1.2024 by S.I. 2024/32, reg. 2(b)(i)

[^key-8b0ea7299223cafeb221b40fef019f38]: Sch. 4 para. 12 in force at 26.12.2023, see s. 334(3)(a)

[^key-8b270189deba08f7e66a98e329e8ecbd]: S. 317 in force at Royal Assent, see s. 334(2)(o)

[^key-8b4c9a1dd081370aeb9473dc9fce23df]: Sch. 15 para. 23 in force at Royal Assent, see s. 334(2)(i)

[^key-8baf33058a03c1564fa890bb6b37c7b3]: Sch. 11 para. 3 in force at 31.1.2024 by S.I. 2024/32, reg. 3(a)(ix)

[^key-8c09cf5cd4973fca3a4cd12eb88cc47b]: S. 269 not in force at Royal Assent, see s. 334(1)

[^key-8c26654015323eedd18f5f8b9779f35b]: S. 260 in force at Royal Assent, see s. 334(2)(m)

[^key-8c3da7c9f9da5d5ccc5b187f82f02b27]: S. 5 in force at 26.12.2023, see s. 334(3)(a)

[^key-8cfc634886fbc74c68a41135061d945e]: S. 62 in force at 26.12.2023, see s. 334(3)(b)

[^key-8d35bb52ae0ec7ce7346b1a4b564abf6]: S. 81(1)-(3) in force at 26.12.2023 in so far as not already in force, see s. 334(3)(b)

[^key-8db2d8c9902d23257eb0ffb358ac5dd2]: Sch. 16 para. 28 in force at Royal Assent, see s. 334(2)(j)

[^key-8e6d1523340ff77e475f3a06c787157c]: Sch. 14 para. 6 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(x)

[^key-8e8d337a4652cbec29a755436cd0c00b]: S. 256 in force at Royal Assent, see s. 334(2)(m)

[^key-8f9f819b29b509a28c2359901b21b26d]: S. 11 in force at 26.12.2023, see s. 334(3)(a)

[^key-8ffedb3f6bcc7348248b5a620dc1db9c]: Sch. 21 para. 5 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-906d100b4be6d4889fd97ed258a25691]: Sch. 18 para. 15 in force at Royal Assent, see s. 334(2)(l)

[^key-90a8392d2618839c897911528403562a]: S. 64 in force at 26.12.2023, see s. 334(3)(b)

[^key-90ba627dc0bba8fc0e6930406789c452]: S. 118 in force at 26.12.2023, see s. 334(3)(b)

[^key-90c7e7becd8bd46c4c064b5b11e98222]: S. 103 not in force at Royal Assent, see s. 334(1)

[^key-90d747120e1fea957b66249203b9e0fa]: Sch. 22 para. 5 in force at 1.1.2026 (the date on which the Convention on Supplementary Compensation for Nuclear Damage comes into force for the United Kingdom following the deposit of an instrument of accession on 3.10.2025) in accordance with s. 334(4)

[^key-91df26f935b8009ee7c058e489655ae0]: Sch. 16 para. 5 omitted (24.7.2024) by virtue of Digital Markets, Competition and Consumers Act 2024 (c. 13), s. 339(3), Sch. 6 para. 13(2)

[^key-920aa17e2b07391735b25c881be88e05]: Sch. 21 para. 27 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-9215daa8df1177e1466fac1db11c0f6e]: S. 9 in force at 26.12.2023, see s. 334(3)(a)

[^key-92b2a40ea39e728bb6175b238b04163a]: Sch. 14 para. 5 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(x)

[^key-92b39a986735b5fc18a0fe86c576554b]: S. 239 in force at 11.1.2024 by S.I. 2024/32, reg. 2(b)(ii)

[^key-92dd2eaa5f62ea6230c2fa310ebe61eb]: Sch. 21 para. 19 not in force at Royal Assent, see s. 334(1)

[^key-92df6ebf08297cad47d1e58b33fe9746]: Sch. 12 para. 13 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(ix)

[^key-93903fd77648bdadae57be444e720ad6]: Sch. 14 para. 10 not in force at Royal Assent, see s. 334(1)

[^key-94d9f5dcd2c487db60315d3b15a8dc5f]: S. 194 not in force at Royal Assent, see s. 334(1)

[^key-94dc0786fd80cbfd6c1dfca7b70d13e2]: Sch. 21 para. 21 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-95cd5320913138b2e5ebd5e103258d17]: S. 199 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(viii)

[^key-962d6602a1de9784ef7bc9277c8402ce]: Sch. 1 para. 3 in force at 26.12.2023, see s. 334(3)(a)

[^key-9671a654637980bae4767e9e6b12e7f2]: S. 327 in force at Royal Assent, see s. 334(2)(o)

[^key-969b468ecdd3d990df2842d0c3180e15]: Sch. 9 para. 4 in force at Royal Assent, see s. 334(2)(h)(ii)

[^key-96aab23e0a3da2d3fd50dd73e8bb95e7]: Sch. 10 para. 4 in force at Royal Assent, see s. 334(2)(h)(ii)

[^key-96c467fee01cc4ed75b2805ddd5a5216]: Sch. 16 para. 32 in force at Royal Assent, see s. 334(2)(j)

[^key-96ca424650272d113434667f011d6687]: S. 226 in force at Royal Assent, see s. 334(2)(l)

[^key-97772a14e811316c3a75b9bc017fb647]: S. 58 in force at Royal Assent for specified purposes, see s. 334(2)(a)(ii)

[^key-978818c3b5a7d94726ab2dd1f2429b6c]: Sch. 21 para. 54 not in force at Royal Assent, see s. 334(1)

[^key-978d2da8e85ee403899f026a231472eb]: S. 255 in force at Royal Assent, see s. 334(2)(m)

[^key-97a43b1b153ffb9a96e413f0bd6f4644]: S. 19 in force at 26.12.2023, see s. 334(3)(a)

[^key-97b7997000919ea8baaa9dbecf3b154f]: S. 311 in force at Royal Assent, see s. 334(2)(o)

[^key-97f47cbc7c97378ff6a634bcb1b9e3df]: Sch. 4 para. 9 in force at 26.12.2023, see s. 334(3)(a)

[^key-97f585aa06b96b34ee8c3cabe6ff6e2a]: S. 284 not in force at Royal Assent, see s. 334(1)

[^key-985834b98f72154657a7d033c8772e9e]: Sch. 21 para. 6 not in force at Royal Assent, see s. 334(1)

[^key-985bac7bdcff7c5c38d7c313649ef960]: S. 248 in force at 11.1.2024 by S.I. 2024/32, reg. 2(b)(iii)

[^key-98712f1583373709316b962b18e5e24e]: S. 249 not in force at Royal Assent, see s. 334(1)

[^key-9872a71f23ec0d21a770b1abbbc0b618]: S. 247 not in force at Royal Assent, see s. 334(1)

[^key-98ab93c064ae391e3524cdae85bd309d]: S. 290 in force at 26.12.2023, see s. 334(3)(j)

[^key-98d2d5fac54ab4bcc78604ca77da1460]: S. 127 in force at 26.12.2023, see s. 334(3)(b)

[^key-98dcdef63fac4e66aa264d8ebfb0273f]: S. 87 in force at 26.12.2023, see s. 334(3)(b)

[^key-98e927e49af30a06f30cd4b18ef14ab3]: S. 276 not in force at Royal Assent, see s. 334(1)

[^key-98ee30cc0d9d8af56d07c02ee3422952]: Sch. 18 para. 24 in force at Royal Assent, see s. 334(2)(l)

[^key-98f1f71d7ee9b3695d13b3f4e6db358c]: S. 248 not in force at Royal Assent, see s. 334(1)

[^key-9935d260b560d10e5ea18258ec16d6a2]: Sch. 12 para. 8 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(ix)

[^key-99a22e30d722481b777c1cc916edb0ae]: Sch. 19 para. 1 not in force at Royal Assent, see s. 334(1)

[^key-9a068e67ae23617700b79b13cfd83105]: S. 172 in force at 31.1.2024 by S.I. 2024/32, reg. 3(a)(vi)

[^key-9a3572b2dc6e2534478b5a8bacdeccaa]: Sch. 18 para. 6 in force at Royal Assent, see s. 334(2)(l)

[^key-9a4e05fb114a47e5440640db67ce6438]: S. 113 in force at 26.12.2023, see s. 334(3)(b)

[^key-9a53f93b889f855f8a1062d8bfe1e099]: S. 193 not in force at Royal Assent, see s. 334(1)

[^key-9a677788ee8e3c8d9334bca4a3948b8c]: Sch. 21 para. 19 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-9abbaf64b7ba15ad5ff9802e0542ea1f]: Sch. 21 para. 43 not in force at Royal Assent, see s. 334(1)

[^key-9b3cb103a8b9b9682e4fc689989d745d]: Sch. 14 para. 3 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(x)

[^key-9b3f00dfbd7026146f99e542b3230ab7]: Sch. 2 para. 2 in force at 26.12.2023, see s. 334(3)(a)

[^key-9c28e12fc03c4f8fac849faa83f7d4d0]: Sch. 21 para. 60 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-9ccc4a2cc2dc1ef533e0f14d320cb1a1]: Sch. 18 para. 48 in force at Royal Assent, see s. 334(2)(l)

[^key-9db2c382b81c9e003704d67e5ca6813f]: S. 81(4) in force at 26.12.2023, see s. 334(3)(b)

[^key-9dc349538de5c8857c4722f04e6d95e5]: Sch. 12 para. 4 not in force at Royal Assent, see s. 334(1)

[^key-9e1ee21055b07a8c6110e209c79fe22a]: Sch. 3 para. 9 in force at 26.12.2023, see s. 334(3)(a)

[^key-9e6d8a0c13bfa98767449aac855e5692]: Sch. 18 para. 68 in force at Royal Assent, see s. 334(2)(l)

[^key-9e9aa49214b7ec947a11bc5eb9a682ad]: S. 155 in force at 26.12.2023, see s. 334(3)(e)

[^key-9ed89f1ffb9d5d7fc7256e3cab3eb8f9]: S. 315 in force at Royal Assent, see s. 334(2)(o)

[^key-9f1ca76f0d7e0398fbe2844cfdd254aa]: S. 289 in force at 11.1.2024 by S.I. 2024/32, reg. 2(c)(xi)

[^key-9f2f8edde5d73a282fa58e501b9ce6b8]: S. 304 not in force at Royal Assent, see s. 334(1)

[^key-9f4c34cc150b1ffe82e4926e775780c7]: S. 296 not in force at Royal Assent, see s. 334(1)

[^key-9f4e17ede09d881a06fe44f7205925cb]: S. 114 in force at 26.12.2023, see s. 334(3)(b)

[^key-9f680e42d8d20e53b5763707945fbeb8]: Sch. 18 para. 62 in force at Royal Assent, see s. 334(2)(l)

[^key-9ff8ff3c3d562eaeda84ceadc263f2a1]: S. 162 in force at 31.1.2024 by S.I. 2024/32, reg. 3(a)(i)

[^key-a1374c17bc6d69287e97f2217364656e]: Sch. 16 para. 1 in force at Royal Assent, see s. 334(2)(j)

[^key-a13b2245e3996d44b966e0de11e51bb5]: Sch. 22 para. 8 in force at 1.1.2026 (the date on which the Convention on Supplementary Compensation for Nuclear Damage comes into force for the United Kingdom following the deposit of an instrument of accession on 3.10.2025) in accordance with s. 334(4)

[^key-a1dc1257ad54be4829bc9266404faf86]: S. 15 in force at 26.12.2023, see s. 334(3)(a)

[^key-a20d62ecb4d549baddc911429fac84d2]: S. 95 in force at 26.12.2023, see s. 334(3)(b)

[^key-a332ef61f4b9c890ca7d5e26f152051e]: Sch. 21 para. 24 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-a34ee9838920fd245049530f7ca5906a]: Sch. 21 para. 32 not in force at Royal Assent, see s. 334(1)

[^key-a39f8645ef053a455e09eb8e8ca8db05]: S. 316 in force at Royal Assent, see s. 334(2)(o)

[^key-a3e2ed666124cb0afb513cb41ee2db37]: Sch. 21 para. 9 not in force at Royal Assent, see s. 334(1)

[^key-a3e5e37a43cfecdcbdbb3f1a675539df]: S. 222 in force at Royal Assent, see s. 334(2)(l)

[^key-a410521c467d4576feaf3526c3c2569d]: Sch. 1 para. 1 in force at 26.12.2023, see s. 334(3)(a)

[^key-a41c605764eab12c7cdcf880f117950e]: Sch. 18 para. 29 in force at Royal Assent, see s. 334(2)(l)

[^key-a5a0bda5e02d35ccb702329eee548890]: Sch. 21 para. 51 not in force at Royal Assent, see s. 334(1)

[^key-a5cc326810dbca004c50ee49291de4f9]: S. 40 in force at 26.12.2023, see s. 334(3)(a)

[^key-a5eaf0a2763ef511baa25a00f356fa48]: Sch. 14 para. 12 not in force at Royal Assent, see s. 334(1)

[^key-a607ae58b0192922c9d0056d1c11c842]: S. 216 in force at Royal Assent, see s. 334(2)(l)

[^key-a621b34ed6576b332cea695a49234255]: S. 111 in force at 26.12.2023, see s. 334(3)(b)

[^key-a63b1acb3f1e3bd7e54d0add75c5c88b]: S. 152 in force at Royal Assent, see s. 334(2)(c)

[^key-a6ee830b1dd332dcb1ed69c011b5ba12]: Sch. 18 para. 2 in force at Royal Assent, see s. 334(2)(l)

[^key-a7503ec8dfeb1afddbe1ba6872742f4f]: Sch. 11 para. 8 in force at 31.1.2024 by S.I. 2024/32, reg. 3(a)(ix)

[^key-a7e434b0ebabdcf1d2a04fa526a0e577]: S. 93 in force at 26.12.2023, see s. 334(3)(b)

[^key-a7f9d1eaff216049bccc5df9b5374876]: Sch. 21 para. 9 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-a82f8ba9f5d223937c38e0ee83f30127]: S. 177 not in force at Royal Assent, see s. 334(1)

[^key-a8ab5f483b534e23a279b70f87480302]: S. 161 in force at 31.1.2024 by S.I. 2024/32, reg. 3(a)(i)

[^key-a919f0c1dd76a2c3244308c9a0042569]: S. 169 in force at Royal Assent, see s. 334(2)(h)(i)

[^key-a91a9b86e968bb96b3c00e492a1634e4]: S. 185 not in force at Royal Assent, see s. 334(1)

[^key-a95c1eb12e134a9a66eea0282e17318e]: Sch. 19 para. 4 not in force at Royal Assent, see s. 334(1)

[^key-a97708287024e73b6846302eafbeeeb9]: S. 85 in force at 26.12.2023 in so far as not already in force, see s. 334(3)(b)

[^key-a9bf7e3e9024d40f50c429730e0f1801]: S. 120 in force at 26.12.2023, see s. 334(3)(b)

[^key-a9f01f6b52bd306038400451948d3d7e]: Sch. 15 para. 13 in force at Royal Assent, see s. 334(2)(i)

[^key-aa728d0b2a191fb3e482155483c3a582]: Sch. 21 para. 59 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-aa78e374b12316b0b51c4a2155d5f99d]: S. 31 in force at 26.12.2023, see s. 334(3)(a)

[^key-ab13ca64dd3813d867e48d41c2c33b9b]: S. 224 in force at Royal Assent, see s. 334(2)(l)

[^key-ab177b747db946f3b165e12d09ff1354]: Sch. 14 para. 10 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(x)

[^key-ab64251e99ccf2836ac6fa1a342407a8]: S. 242 not in force at Royal Assent, see s. 334(1)

[^key-ab67d86b4893a162569448cb39155255]: S. 283 not in force at Royal Assent, see s. 334(1)

[^key-ab940c45291b34a268b5506ee676fad5]: Sch. 16 para. 22 in force at Royal Assent, see s. 334(2)(j)

[^key-ab998b2fde9f4860bceab0454a2c3599]: Sch. 17 para. 6 not in force at Royal Assent, see s. 334(1)

[^key-abaa09e1e10132637d904c6838526258]: S. 168 not in force at Royal Assent, see s. 334(1)

[^key-abaadd1e4a21e8be50f1d5b39a81b0fc]: Sch. 5 para. 7 in force at 26.12.2023, see s. 334(3)(a)

[^key-abec7b52c32f0d5a915bef111d536b15]: Sch. 21 para. 4 not in force at Royal Assent, see s. 334(1)

[^key-ac160a23dac8f4446bec50d38b06f532]: Sch. 12 para. 5 not in force at Royal Assent, see s. 334(1)

[^key-ac280822211cacc759f3c86af925546e]: S. 284 in force at 11.1.2024 by S.I. 2024/32, reg. 2(c)(vii)

[^key-ac78baf7ea73cf6e5968b124563d8635]: Sch. 14 para. 6 not in force at Royal Assent, see s. 334(1)

[^key-ac8d4b30621fed97c48afd447c9e557d]: Sch. 21 para. 32 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-ad086af17aff317cd69b889dec6727eb]: S. 214 in force at 26.12.2023, see s. 334(3)(g)

[^key-ad21199b9455ac9b69539b42cb80c5e3]: S. 119 in force at 26.12.2023, see s. 334(3)(b)

[^key-adaf5c64e104b989836aa7a43d7a6811]: S. 236 in force at Royal Assent, see s. 334(2)(l)

[^key-aea21d9b7eed5201f3f2bb5ea71c1ba8]: Sch. 11 para. 7 not in force at Royal Assent, see s. 334(1)

[^key-af65d086529637fafc38bb827ae6c23a]: S. 106 not in force at Royal Assent, see s. 334(1)

[^key-af8af81521d67fb1645c85de91652133]: S. 202 in force at 26.12.2023, see s. 334(3)

[^key-b01575e4ec7c6b98978b8beccfa062b3]: Sch. 3 para. 5 in force at 26.12.2023 see s. 334(3)(a)

[^key-b05d73a1c2bcb8c26777640b51a4123b]: S. 161 not in force at Royal Assent, see s. 334(1)

[^key-b12c8a88bd538ab28987b9309a4b7b1b]: Sch. 18 para. 72 in force at Royal Assent, see s. 334(2)(l)

[^key-b149dc2c0d63131845d4f463638bddb5]: S. 239 not in force at Royal Assent, see s. 334(1)

[^key-b18ea48779635d578b2a43d0b823ae39]: S. 333 in force at Royal Assent, see s. 334(2)(p)

[^key-b19f52ac711ae4b1dbcf68f5746ecb86]: Sch. 17 para. 2 not in force at Royal Assent, see s. 334(1)

[^key-b1ed340c964867fc1ba9b37d1aa1ea26]: Sch. 8 para. 5 in force at 26.12.2023, see s. 334(3)(b)

[^key-b2151845e56b369aaac2e792f6a4c6ba]: Sch. 21 para. 46 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-b2a14739632f6493507aa063dfddb35f]: Sch. 15 para. 25 in force at Royal Assent, see s. 334(2)(i)

[^key-b30f293fbc91b2f7d6932e5a87116266]: Sch. 18 para. 7 in force at Royal Assent, see s. 334(2)(l)

[^key-b33aff9cf013215588b07b0652903aad]: Sch. 16 para. 31 in force at Royal Assent, see s. 334(2)(j)

[^key-b371cf15806146cfa2c8236cc3184b3c]: Sch. 2 para. 6 in force at 26.12.2023, see s. 334(3)(a)

[^key-b41f373144f519081dd993851284a34c]: S. 298 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(i)

[^key-b460480fb9132d1cad85414a2e3802e8]: S. 281 in force at 11.1.2024 by S.I. 2024/32, reg. 2(c)(vi)

[^key-b4a8931c1f9db375fbabf977e4b1d4ec]: S. 29 in force at 26.12.2023, see s. 334(3)(a)

[^key-b4e621f4033787b6ff28850c30cab706]: Sch. 8 para. 4 in force at 26.12.2023, see s. 334(3)(b)

[^key-b52f85ed9c34645db8f529d9fa63c81a]: S. 291 in force at 26.12.2023, see s. 334(3)(j)

[^key-b59bdd368bea5d4e2d00b82c9564d319]: Sch. 15 para. 6 in force at Royal Assent, see s. 334(2)(i)

[^key-b5a33ea9c47f83c03fab57f91596108c]: S. 267 not in force at Royal Assent, see s. 334(1)

[^key-b5ee1553f9d94fa0340a7670e4f298b1]: S. 195 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(vi)

[^key-b5f0984befef3c4adb01636aadfa5e3c]: Sch. 6 in force at 11.1.2024 by S.I. 2024/32, reg. 2(a)(i)

[^key-b5ff3e68aee2d7cdf81562d98ece7e91]: S. 254 in force at Royal Assent, see s. 334(2)(m)

[^key-b6539dedd4b7fab5d66d31d3834d7492]: Sch. 21 para. 63 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-b70201188bfbf15f28dab2dce588a688]: S. 253 in force at 26.12.2023, see s. 334(3)(h)

[^key-b74de7080d863632b03102c3e24e244d]: Sch. 21 para. 53 not in force at Royal Assent, see s. 334(1)

[^key-b77bbde903e8fe7ec51a023b0456f127]: Sch. 17 para. 14 not in force at Royal Assent, see s. 334(1)

[^key-b7c5ebe4518ed11bd228d7284ef31873]: Sch. 17 para. 3 not in force at Royal Assent, see s. 334(1)

[^key-b8792daa3dea0bf27cb498e94528e120]: Sch. 18 para. 12 in force at Royal Assent, see s. 334(2)(l)

[^key-b89c830d829d1ca86da017ed50255731]: S. 294 in force at 26.12.2023, see s. 334(3)(j)

[^key-b96af23dc32657cef64f2b414246cda6]: S. 46 in force at 26.12.2023, see s. 334(3)(a)

[^key-ba1c9af576cda7479fc8f94d71ba28e3]: Sch. 14 para. 11 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(x)

[^key-ba48b5ecd61acba651b52a5a14f2b346]: Sch. 18 para. 66 in force at Royal Assent, see s. 334(2)(l)

[^key-ba5c590695aced45c1a10e2dc9100c69]: Sch. 20 para. 2 not in force at Royal Assent, see s. 334(1)

[^key-ba67f2a22d37c69b80fa427b47fb8f31]: Sch. 11 para. 6 in force at 31.1.2024 by S.I. 2024/32, reg. 3(a)(ix)

[^key-bb45fcfa3cf287a36cec736025b6f4a3]: S. 191 not in force at Royal Assent, see s. 334(1)

[^key-bb8b5efd59f472080f59f0f876d21c42]: Sch. 21 para. 64 not in force at Royal Assent, see s. 334(1)

[^key-bbff6e89c7986779e2acf38b543a7ae6]: S. 310 in force at 31.1.2024 by S.I. 2024/32, reg. 3(c)

[^key-bc10cb618a972e3b4bdbc0e70273418f]: Sch. 16 para. 33 in force at Royal Assent, see s. 334(2)(j)

[^key-bc138277d2e4a4aa0bbca6023564283e]: S. 323 in force at Royal Assent, see s. 334(2)(o)

[^key-bc69942ec0eeccc69954be0cce84b487]: S. 94 in force at 26.12.2023, see s. 334(3)(b)

[^key-bc7cba29ae24c475ec7e162c7cfd5ce4]: S. 243 not in force at Royal Assent, see s. 334(1)

[^key-bcffa77b01001334cd2dd809f95acc98]: Sch. 10 para. 7 in force at Royal Assent, see s. 334(2)(h)(ii)

[^key-bd6ff70f1b4166a0d64753d0d57bbb21]: Sch. 12 para. 2 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(ix)

[^key-be58b6424e9c5042ae4b472956c055cb]: Sch. 18 para. 50 in force at Royal Assent, see s. 334(2)(l)

[^key-bee99b7ee4a1978d72793bf4e7dad72b]: S. 7 in force at 26.12.2023, see s. 334(3)(a)

[^key-bf18665275c16bd0603dc627dc801164]: S. 285 not in force at Royal Assent, see s. 334(1)

[^key-bf7b2852c3f389cb528409b24fd7b5f5]: S. 73 in force at 26.12.2023, see s. 334(3)(b)

[^key-bf7d78ac601ecd0506a6b538f72d9341]: S. 240 in force at 11.1.2024 by S.I. 2024/32, reg. 2(b)(ii)

[^key-bf8faefa98dd87ba6ca5794935484859]: S. 159 in force at Royal Assent, see s. 334(2)(g)

[^key-bf916bbf40b259704739b11bf9682287]: S. 292 in force at 26.12.2023, see s. 334(3)(j)

[^key-bfa84b2cb8f8d39ac489822ad8067f5e]: S. 137 in force at 26.12.2023, see s. 334(3)(c)

[^key-bfe270bd0be4b9c03ec6636e9686dd2b]: Sch. 10 para. 1 in force at Royal Assent, see s. 334(2)(h)(ii)

[^key-bff80bda9ba56565fb9f49ee63400319]: S. 305 in force at 1.1.2026 (the date on which the Convention on Supplementary Compensation for Nuclear Damage comes into force for the United Kingdom following the deposit of an instrument of accession on 3.10.2025) in accordance with s. 334(4)

[^key-c000d371e90f4c591ce156a197d4070b]: S. 106 in force at 11.1.2024 by S.I. 2024/32, reg. 2(a)(iv)

[^key-c06743be8c26807d963b86a820d26307]: S. 80 in force at 26.12.2023, see s. 334(3)(b)

[^key-c06f10c7cca6fd8a5edb2850af1dca51]: Sch. 21 para. 29 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-c076e33447f61260a2ba9ef5725921a0]: S. 262 in force at Royal Assent, see s. 334(2)(m)

[^key-c07bee6687b4b1f1dcabb35740fdb878]: S. 221 in force at Royal Assent, see s. 334(2)(l)

[^key-c08440210c66d3fca340a7276a971cf4]: Sch. 18 para. 26 in force at Royal Assent, see s. 334(2)(l)

[^key-c0bc995bdab86b1ca8137e3e1f6b73d1]: S. 112 in force at 26.12.2023, see s. 334(3)(b)

[^key-c175ac958f02c2d9e08f33cb5263e15d]: Sch. 18 para. 71 in force at Royal Assent, see s. 334(2)(l)

[^key-c1787537ed7b95a36db69b8e336fdef4]: S. 322 in force at Royal Assent, see s. 334(2)(o)

[^key-c17f5970750a9ea2339c3be74b09b383]: S. 237 in force at Royal Assent, see s. 334(2)(l)

[^key-c1ccfe87116674853c42b540508355fc]: Sch. 16 para. 6 omitted (24.7.2024) by virtue of Digital Markets, Competition and Consumers Act 2024 (c. 13), s. 339(3), Sch. 6 para. 13(2)

[^key-c1f0c8d033b1d7a894d31c8610c9e5f0]: S. 241 not in force at Royal Assent, see s. 334(1)

[^key-c237f975fae12d252ff5cd8d84c07435]: S. 194 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(vi)

[^key-c23bf55da6164651f795c76b1e392ac2]: Sch. 14 para. 5 not in force at Royal Assent, see s. 334(1)

[^key-c31fb73f3f2782a02d49634e669869fa]: S. 334 in force at Royal Assent, see s. 334(2)(p)

[^key-c3a505aa06e0becadc6d1655fe157f54]: S. 217 in force at Royal Assent, see s. 334(2)(l)

[^key-c413a7ed2742ffebbd3db92837ee4666]: S. 325 in force at Royal Assent, see s. 334(2)(o)

[^key-c45b859a70061d210f0ff708bf79add7]: Sch. 14 para. 3 not in force at Royal Assent, see s. 334(1)

[^key-c4a69564177b93e44e2cbdc1733905be]: Sch. 18 para. 25 in force at Royal Assent, see s. 334(2)(l)

[^key-c4b2b97d9e3c9c713664e1403dc42bd4]: Sch. 18 para. 18 in force at Royal Assent, see s. 334(2)(l)

[^key-c4d27475b6411d06977f4b766b4b94dd]: Sch. 21 para. 14 not in force at Royal Assent, see s. 334(1)

[^key-c55c7fc3a604fd42fce96e23d8e340f1]: Sch. 21 para. 35 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-c6023bc5e87f0b199965bbaefc1b0025]: Sch. 5 para. 8 in force at 26.12.2023, see s. 334(3)(a)

[^key-c625f81851925e49357e1f6ceee22e1a]: Sch. 16 para. 18 in force at Royal Assent, see s. 334(2)(j)

[^key-c6522fc1e9080e90decdd00743373bcb]: S. 184 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(i)

[^key-c67a61bedf7456baddd2d6221dba04e8]: S. 135 in force at 26.12.2023, see s. 334(3)(c)

[^key-c6b69b9a0f6325c078258788f3c5c8fa]: S. 44 in force at 26.12.2023, see s. 334(3)(a)

[^key-c6cb6a525067aa576de961ec7eefba32]: S. 234 in force at Royal Assent, see s. 334(2)(l)

[^key-c6cb824a652175feaf3bfe8595638add]: Sch. 21 para. 34 not in force at Royal Assent, see s. 334(1)

[^key-c7a3bbeab7496a88e85d217a365d53bb]: Sch. 9 para. 8 in force at Royal Assent, see s. 334(2)(h)(ii)

[^key-c7ea5121e5675906089babdddc305fc6]: S. 301 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iv)

[^key-c7f654603bdf654bf5a486e60c7e3508]: Sch. 20 para. 4 in force at 11.1.2024 by S.I. 2024/32, reg. 2(c)(vii)

[^key-c8464e5b1bb8b8c740a55c3891af7b76]: S. 213 in force at 26.12.2023, see s. 334(3)(g)

[^key-c86834aecdaef1fec18cf201db7925c2]: S. 245 not in force at Royal Assent, see s. 334(1)

[^key-c86c99d60bab6fc24a6e373098b2eb2c]: S. 230 in force at Royal Assent, see s. 334(2)(l)

[^key-c8eebe8e0c76c61629f16f8dc163cc3c]: S. 304(3) in force at 11.1.2024 for specified purposes by S.I. 2024/32, reg. 2(e)

[^key-c98234fb2e97136951e2ef522083ffdf]: Sch. 20 para. 5 not in force at Royal Assent, see s. 334(1)

[^key-c9ce27af536247ec7fe8584cb76a05ef]: S. 229 in force at Royal Assent, see s. 334(2)(l)

[^key-c9d1357c6b1da6616efa9b6051e04dda]: S. 307 in force at Royal Assent, see s. 334(2)(n)

[^key-ca007a23eda6d3e75b862ce74746f9de]: Sch. 11 para. 6 not in force at Royal Assent, see s. 334(1)

[^key-ca2313948b8d078b22259cfdf1b38b25]: Sch. 5 para. 5 in force at 26.12.2023, see s. 334(3)(a)

[^key-cace6722862b2885cda0d3047ce9242f]: Sch. 16 para. 29 in force at Royal Assent, see s. 334(2)(j)

[^key-cb191189f4a4a7531692f3b40f2b1a08]: Sch. 13 para. 5 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(ix)

[^key-cb44ed26077928c711a3a0c04f5b5d92]: S. 282 not in force at Royal Assent, see s. 334(1)

[^key-cb5c9c0eb9083802ba15dd66f64f5af1]: Sch. 21 para. 43 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-cb6291dbca4776accd3563099b22c871]: S. 32 in force at 26.12.2023, see s. 334(3)(a)

[^key-cbeed0aa00cc1177262e53d82419c4fd]: Sch. 20 para. 1 not in force at Royal Assent, see s. 334(1)

[^key-cc62670c109c84221a39954b9b1b931a]: S. 227 in force at Royal Assent, see s. 334(2)(l)

[^key-ccac661c22e7e4a15724b28422d15b07]: Sch. 10 para. 2 in force at Royal Assent, see s. 334(2)(h)(ii)

[^key-ccbf62c9dcc5021dc81de7d38f1e1fb8]: S. 274 not in force at Royal Assent, see s. 334(1)

[^key-cccacf3de012a4f96b6aba43f8f7d276]: S. 166 not in force at Royal Assent, see s. 334(1)

[^key-ccf0b04056fc17ec0caa1ef4a2ec4264]: Sch. 21 para. 65 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-ccf0dc5a1716e39027b743c1062932c2]: Sch. 16 para. 17 in force at Royal Assent, see s. 334(2)(j)

[^key-cd4145d350d5c2d78616b96b481ef214]: S. 42 in force at 26.12.2023, see s. 334(3)(a)

[^key-cd5720446eec2617cf296e491c1ae799]: Sch. 21 para. 58 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-cd74659333ba8de3cb2ec6b1fae1bd23]: S. 165 not in force at Royal Assent, see s. 334(1)

[^key-ce0f5b1114027700c2387743723ec916]: S. 197 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(vii)

[^key-ce6ef6a30dc8fe6a455e696f522e422a]: Sch. 21 para. 17 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-ce9ae1dfb1353780fdb07fcd301263aa]: S. 286 not in force at Royal Assent, see s. 334(1)

[^key-ceabf959523c8f88bebf27491cf238dc]: Sch. 12 para. 3 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(ix)

[^key-cebcd69d57a31c98b6e71bcbce96940f]: Sch. 21 para. 42 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-cec268cbc91b323dd06b4e3f6dad2a6d]: S. 82 in force at 26.12.2023, see s. 334(3)(b)

[^key-cf1fce1f84c0fd5eb7d1facddd410b62]: Sch. 16 para. 36 in force at Royal Assent, see s. 334(2)(j)

[^key-cf29c059267c38372a36468c18874692]: Sch. 21 para. 39 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-cf3065ac50046c1b4d14a764719ada4d]: S. 90 in force at 26.12.2023, see s. 334(3)(b)

[^key-cf4c5d4ebc2bba642719799ee91f80cd]: S. 35 in force at 26.12.2023, see s. 334(3)(a)

[^key-cf98a7a8dc4c3082e2d24af419795c0b]: S. 48 in force at 26.12.2023, see s. 334(3)(a)

[^key-d08af457c8d1e473be08036c605b84cf]: S. 231 in force at Royal Assent, see s. 334(2)(l)

[^key-d09a36fc7b359f1645da19267bdbc2b3]: Sch. 9 para. 9 in force at Royal Assent, see s. 334(2)(h)(ii)

[^key-d0dedb54b6a045eb8f77f7091aea6da3]: S. 176 in force at 31.1.2024 by S.I. 2024/32, reg. 3(a)(vii)

[^key-d0fab571c0319141fe949ebba34fa56e]: Sch. 18 para. 45 in force at Royal Assent, see s. 334(2)(l)

[^key-d121d9cb1234b25e677b758b466a33db]: Sch. 17 para. 7 not in force at Royal Assent, see s. 334(1)

[^key-d141c7b49650f637a9b89b061287004d]: S. 196 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(vii)

[^key-d193de6a02633896df1804752cbe3095]: Sch. 21 para. 58 not in force at Royal Assent, see s. 334(1)

[^key-d1bd3aa55d86a019416e7cf3a1f4dee4]: S. 154 in force at Royal Assent, see s. 334(2)(d)

[^key-d225d061f5763fe30f000c13b05f28c0]: Sch. 18 para. 47 in force at Royal Assent, see s. 334(2)(l)

[^key-d2ca9203a5bc61c5cd4c3af52952218f]: S. 271 in force at 11.1.2024 by S.I. 2024/32, reg. 2(c)(ii)

[^key-d383d52be72e0cd11cec39964324d8b4]: Sch. 7 para. 4 in force at 26.12.2023, see s. 334(3)(b)

[^key-d38ee1b3f75b8e5c04e2480268051b86]: S. 3 in force at 26.12.2023, see s. 334(3)(a)

[^key-d3ad330078a884a3a44e757c15be3f67]: S. 68 in force at 26.12.2023, see s. 334(3)(b)

[^key-d3ec12d2f25a1d9cfba5bbc57114724b]: S. 273 not in force at Royal Assent, see s. 334(1)

[^key-d3f98e1be213db1b70a44327e889b0b3]: S. 158 in force at Royal Assent, see s. 334(2)(f)

[^key-d40002665320c042b13aa1d1e6f1cedb]: S. 104 not in force at Royal Assent, see s. 334(1)

[^key-d43838dc9db9fee2d14874311cb61af9]: Sch. 21 para. 26 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-d4429d92371c049dfd57aeee265b9281]: Sch. 16 para. 4 in force at Royal Assent, see s. 334(2)(j)

[^key-d486ae29999c4c51c172847d1ccc34e3]: Sch. 18 para. 65 in force at Royal Assent, see s. 334(2)(l)

[^key-d4bfb26a0093637a5749ca41077aa882]: Sch. 17 para. 13 not in force at Royal Assent, see s. 334(1)

[^key-d5462bdc601446901bddbee97f34cd75]: Sch. 17 para. 8 not in force at Royal Assent, see s. 334(1)

[^key-d562b6d0dda4274858e0b633f34179c3]: S. 244 not in force at Royal Assent, see s. 334(1)

[^key-d5b3d0785da14571d68571900ee2b821]: S. 138 in force at 26.12.2023, see s. 334(3)(c)

[^key-d5bd62c3b33f5826f0be381cd5e1fd35]: Sch. 8 para. 3 in force at 26.12.2023, see s. 334(3)(b)

[^key-d5da6edd43753fd71d1a1688d618bc7b]: S. 266 in force at Royal Assent, see s. 334(2)(m)

[^key-d64aa1491d0dfb025f7269d4ed9d5fd3]: Sch. 12 para. 12 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(ix)

[^key-d65c402d91d0fcebcd5ba50bedce00f1]: Sch. 18 para. 63 in force at Royal Assent, see s. 334(2)(l)

[^key-d6620c38637f726a18e3893edfdbbbad]: Sch. 7 para. 6 in force at 26.12.2023, see s. 334(3)(b)

[^key-d683fd6a97abc98a4b56569eede2e5d7]: S. 104 in force at 11.1.2024 by S.I. 2024/32, reg. 2(a)(ii)

[^key-d7290eceb1dabe7715c0323b76f546ed]: Sch. 18 para. 17 in force at Royal Assent, see s. 334(2)(l)

[^key-d73bb1d93b71a6b75e90455f76a17e63]: S. 37 in force at 26.12.2023, see s. 334(3)(a)

[^key-d7787e0c14233ecb2c0b4d24c41cffce]: S. 287 in force at 11.1.2024 by S.I. 2024/32, reg. 2(c)(ix)

[^key-d7bf08d580ced552e654da4f32f2cf58]: S. 318 in force at Royal Assent, see s. 334(2)(o)

[^key-d8021df68f5cfd34d3b44fd6764c946d]: Sch. 18 para. 1 in force at Royal Assent, see s. 334(2)(l)

[^key-d816bb6165cb5ad74ded7923fed08189]: S. 88 in force at Royal Assent for specified purposes, see s. 334(3)(a)(vi)

[^key-d89fd602de2a41c26c49d786db9b2066]: Sch. 15 para. 11 in force at Royal Assent, see s. 334(2)(i)

[^key-da25643626c39bc94e93be2d35258344]: S. 288 not in force at Royal Assent, see s. 334(1)

[^key-da587ba7d9c670241cc91ba74def831a]: S. 201 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(x)

[^key-db1df5a172a377f70d840981c1cc57ce]: S. 275 not in force at Royal Assent, see s. 334(1)

[^key-db39c68d3af4d4a0576645def20f6f21]: Sch. 21 para. 2 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-db7b0d4094e6cf38a66f127ed4adb4a9]: Sch. 17 para. 1 not in force at Royal Assent, see s. 334(1)

[^key-dc2365a5adaa8bf2205d953a31009cd6]: Sch. 18 para. 69 in force at Royal Assent, see s. 334(2)(l)

[^key-dc810dfc51de20edf1359014d9ee31b8]: Sch. 12 para. 1 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(ix)

[^key-dce07fc7cc65391fbd8239a149339dd2]: Sch. 22 para. 6 in force at 1.1.2026 (the date on which the Convention on Supplementary Compensation for Nuclear Damage comes into force for the United Kingdom following the deposit of an instrument of accession on 3.10.2025) in accordance with s. 334(4)

[^key-dcf28ee5739e888dd309f484bb4e7094]: Sch. 14 para. 1 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(x)

[^key-dd3aec3c3eb81df4b22c89b9be981b2f]: Sch. 18 para. 28 in force at Royal Assent, see s. 334(2)(l)

[^key-dd3d57254162d279929b35e6c7b8cc66]: S. 102 in force at 26.12.2023, see s. 334(3)(b)

[^key-dd8fa81dc40969c07ca948716398a15a]: Sch. 2 para. 3 in force at 26.12.2023, see s. 334(3)(a)

[^key-ddbe34a04183dd46ffe9bd348f5d96e6]: S. 259 in force at Royal Assent, see s. 334(2)(m)

[^key-ddd71865c8be46db49de6bb24331b03b]: S. 116 in force at 26.12.2023, see s. 334(3)(b)

[^key-dddc45c62acdbfe9c1f8174ce61f6f93]: Sch. 21 para. 11 not in force at Royal Assent, see s. 334(1)

[^key-de2e62f319b13c7f46599e9110d75231]: S. 76 in force at 26.12.2023, see s. 334(3)(b)

[^key-de4a02a99bf5c739181769fba7832427]: S. 83 in force at 26.12.2023 in so far as not already in force, see s. 334(3)(b)

[^key-dece9899f7ce4b175b3aa548cc56c805]: Sch. 16 para. 23 in force at Royal Assent, see s. 334(2)(j)

[^key-df3fa031600f803ac6fa72f4fa1eaf18]: S. 319 in force at Royal Assent, see s. 334(2)(o)

[^key-df836c52fd8e3fabea8332b00616dc2a]: S. 96 in force at 26.12.2023, see s. 334(3)(b)

[^key-df9bc6047c06186de52e87c844d682a8]: S. 2 in force at 26.12.2023, see s. 334(3)(a)

[^key-dff3800ae46124b6d3e6038b9c333c6c]: Sch. 14 para. 8 not in force at Royal Assent, see s. 334(1)

[^key-e03661ed0d925ea5494c4e256b4aa711]: Sch. 21 para. 44 not in force at Royal Assent, see s. 334(1)

[^key-e05e6768ae462b077cfab04daf207524]: S. 78 in force at 26.12.2023, see s. 334(3)(b)

[^key-e09aec6a2e3c6ce1bb93b832a8553ac4]: Sch. 13 para. 3 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(ix)

[^key-e0a2a8fdb63199389a79edfb75f045d2]: S. 228 in force at Royal Assent, see s. 334(2)(l)

[^key-e0d581eb5d11e5bc788e09dc122894d5]: S. 125 in force at 26.12.2023, see s. 334(3)(b)

[^key-e0ee4696ae49a2b9fdb7244749a24d6a]: S. 270 not in force at Royal Assent, see s. 334(1)

[^key-e214f783697b5e0cd686d4636c8e4ca1]: Sch. 18 para. 30 in force at Royal Assent, see s. 334(2)(l)

[^key-e215e5f66ce9d193d67c386fc1ef21c1]: S. 59 in force at 26.12.2023, see s. 334(3)(b)

[^key-e2381593219e40160cbaf202715dee49]: S. 249 in force at 11.1.2024 by S.I. 2024/32, reg. 2(b)(iii)

[^key-e2383abdaba74d29001b4180161a8c37]: S. 326 in force at Royal Assent, see s. 334(2)(o)

[^key-e24594ff15f9d4e8d6d4382f4e3e70b1]: Sch. 14 para. 12 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(x)

[^key-e29286fc2c282a325c01b22be4424ef2]: Sch. 12 para. 10 not in force at Royal Assent, see s. 334(1)

[^key-e2cd43299bd786cedad28eb826f0fbf1]: S. 60 in force at 26.12.2023, see s. 334(3)(b)

[^key-e2f27e7ca409cb11fa7ad5a938e5c70d]: Sch. 21 para. 55 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-e31398d4517232be35c4d7d99e460600]: S. 264 in force at 26.12.2023, see s. 334(3)(i)

[^key-e348ed329a300cc385275ef361ace3c5]: Sch. 14 para. 9 not in force at Royal Assent, see s. 334(1)

[^key-e362e5cf00b99ac20a7c5150b308f0f4]: S. 75 in force at 26.12.2023, see s. 334(3)(b)

[^key-e39f84948b63f0b19913f3ecfac93342]: S. 164 not in force at Royal Assent, see s. 334(1)

[^key-e3ab24e2ad0d57adb571581e24d79eb4]: Sch. 12 para. 8 not in force at Royal Assent, see s. 334(1)

[^key-e3eb865d6b1306fd46f275720e697445]: S. 277 in force at 11.1.2024 by S.I. 2024/32, reg. 2(c)(iv)

[^key-e3f06a7641bc185ff5166959ad551728]: Sch. 16 para. 11 in force at Royal Assent, see s. 334(2)(j)

[^key-e42987d39f92cf39b8cc12f7f50253d1]: Sch. 4 para. 2 in force at 26.12.2023, see s. 334(3)(a)

[^key-e43f26edc2a3aa5517231bdc95c8c55d]: Sch. 21 para. 33 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-e4de8ee25e6a82e5c1530ebeba887ce8]: S. 300 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-e4f7a537e3e37840267b8cc4cf50b16c]: Sch. 4 para. 4 in force at 26.12.2023, see s. 334(3)(a)

[^key-e507360ed2abcf708db625b0ce6bd902]: S. 58 in force at 26.12.2023 in so far as not already in force, see s. 334(3)(b)

[^key-e56c6688aa41915e3a198f29626f5f61]: Sch. 2 para. 8 in force at 26.12.2023, see s. 334(3)(a)

[^key-e575dd3ef1616d0d1d536177546225b4]: S. 14 in force at 26.12.2023, see s. 334(3)(a)

[^key-e5ba333840857c35213ee8744a41dac2]: S. 54 in force at 26.12.2023, see s. 334(3)(a)

[^key-e5db939d5eddb16f1467fa66dcbffc03]: S. 181 in force at Royal Assent, see s. 334(2)(h)(iv)

[^key-e6165cac483e630fd399721a53d81fc4]: Sch. 21 para. 23 not in force at Royal Assent, see s. 334(1)

[^key-e657235b4c4056aa463fea050e41d614]: Sch. 21 para. 67 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-e68518f4e94269945a8c2f12213d1093]: S. 13 in force at 26.12.2023, see s. 334(3)(a)

[^key-e6bd897b182f5f693358de9a3113238b]: S. 21 in force at 26.12.2023, see s. 334(3)(a)

[^key-e6cbad93d8100f70785405b5d28e9ebc]: S. 192 not in force at Royal Assent, see s. 334(1)

[^key-e6e3350d34b299107e55b571d4aecfcf]: S. 28 in force at 26.12.2023, see s. 334(3)(a)

[^key-e704f6dd3d8f7af5e9e435c2f549df3b]: S. 41 in force at 26.12.2023, see s. 334(3)(a)

[^key-e7bbe24b2d58c8e59f945eef04dc6e24]: Sch. 21 para. 31 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-e910adbbf79c0944d16055d35a75ce51]: S. 143 in force at Royal Assent, see s. 334(2)(c)

[^key-e9462d3ca035a0f424cefcc9127fe61e]: S. 25 in force at 26.12.2023, see s. 334(3)(a)

[^key-e95e6fbdc00aed739b238e58b491d645]: Sch. 3 para. 3 in force at 26.12.2023, see s. 334(3)(a)

[^key-e99aed2141780769ba7b78da18604acf]: Sch. 18 para. 10 in force at Royal Assent, see s. 334(2)(l)

[^key-e9aca1e30416e57268537864e3b20d75]: Sch. 18 para. 33 in force at Royal Assent, see s. 334(2)(l)

[^key-ea037ab58cc9316425d6ac310a0b3a04]: Sch. 21 para. 48 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-ea0e24897ec587a98cff73d8603c4d5d]: Sch. 13 para. 1 not in force at Royal Assent, see s. 334(1)

[^key-eab6db606cdd1eef6a84b78438af44e9]: S. 296 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(i)

[^key-eabed21879ec306e530f81b052b46302]: Sch. 18 para. 59 in force at Royal Assent, see s. 334(2)(l)

[^key-ead549869ebdb92a568acc8d6343226a]: S. 24 in force at 26.12.2023, see s. 334(3)(a)

[^key-eae3ce00e368f3c5c599a5fec1c021d6]: Sch. 21 para. 33 not in force at Royal Assent, see s. 334(1)

[^key-eae55b73dad8df27f0596ff44c19515e]: S. 141 in force at 26.12.2023, see s. 334(3)(c)

[^key-eb1ec13b57a180db940cf213235a0775]: Sch. 21 para. 46 not in force at Royal Assent, see s. 334(1)

[^key-eb4a687c5641c021d836e1071b7771ad]: Sch. 15 para. 18 in force at Royal Assent, see s. 334(2)(i)

[^key-eb59bff198fe984d97638e4fa5fa3627]: S. 215 in force at Royal Assent, see s. 334(2)(k)

[^key-eb86a0b48956d21a27072bd09ab643f8]: Sch. 18 para. 70 in force at Royal Assent, see s. 334(2)(l)

[^key-ebd6cbdae62e7afa242d528fb81507d4]: Sch. 5 para. 4 in force at 26.12.2023, see s. 334(3)(a)

[^key-ec2781e26279098972290f803135c169]: Sch. 21 para. 51 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-ecb9c0344d252817a700f53277c671cf]: Sch. 14 para. 2 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(x)

[^key-ed1053c281aa6cb848df28f84e2a0ebe]: Sch. 3 para. 1 in force at 26.12.2023, see s. 334(3)(a)

[^key-ed157ba0d7e5f2d89ae4b34a4ffe04e7]: Sch. 21 para. 36 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-ee0c4db76caefe5fdf696d8909a1c2fa]: S. 30 in force at 26.12.2023, see s. 334(3)(a)

[^key-ee2a41fbe4ec8c960508b446cd009446]: S. 100 in force at 26.12.2023, see s. 334(3)(b)

[^key-ee794cbecdc9f778a120c23d4d75a087]: Sch. 15 para. 5 in force at Royal Assent, see s. 334(2)(i)

[^key-eeb1917385872832a72c78ee2eef2c3d]: S. 196 not in force at Royal Assent, see s. 334(1)

[^key-eedb009a5cf69296da844ce5268ba418]: Sch. 2 para. 9 in force at 26.12.2023, see s. 334(3)(a)

[^key-eef214aea8799de803d4fdcafd2ba219]: Sch. 21 para. 27 not in force at Royal Assent, see s. 334(1)

[^key-ef207b8d75947fa5f99257ebbbe62d4a]: S. 274 in force at 11.1.2024 by S.I. 2024/32, reg. 2(c)(iv)

[^key-ef2ee05465f2a386db9ca132fd413ab6]: Sch. 18 para. 9 in force at Royal Assent, see s. 334(2)(l)

[^key-f035c6aa3988b0215efba30f94d03ce6]: S. 276 in force at 11.1.2024 by S.I. 2024/32, reg. 2(c)(iv)

[^key-f03dcd3356e522bb040af063a0666fed]: Sch. 20 para. 2 in force at 11.1.2024 by S.I. 2024/32, reg. 2(c)(vii)

[^key-f068ed2bed2afd65357a2c0b24a001db]: S. 310 not in force at Royal Assent, see s. 334(1)

[^key-f08ec46d111405ba2afab37e98b960cd]: Sch. 21 para. 31 not in force at Royal Assent, see s. 334(1)

[^key-f0907ac3992e2933ce1be1f5502e9171]: Sch. 18 para. 13 in force at Royal Assent, see s. 334(2)(l)

[^key-f090ab67a59d64cf3e74a3951a2f4592]: Sch. 18 para. 64 in force at Royal Assent, see s. 334(2)(l)

[^key-f09d153708334930fccf128925036c4f]: S. 183 not in force at Royal Assent, see s. 334(1)

[^key-f13dc835c98254642f2cacee126f868b]: Sch. 16 para. 2 in force at Royal Assent, see s. 334(2)(j)

[^key-f178a8f5875d7456f054cda43dc0e05d]: Sch. 21 para. 5 not in force at Royal Assent, see s. 334(1)

[^key-f259ecfd41a779b6f452a5873c8cfb18]: S. 149 in force at Royal Assent, see s. 334(2)(c)

[^key-f2b8af03a8fa693a8d084ede0fe9d510]: Sch. 18 para. 52 in force at Royal Assent, see s. 334(2)(l)

[^key-f36a76f6277eb62bfff95c4c57cb3f5d]: S. 50 in force at 26.12.2023, see s. 334(3)(a)

[^key-f3cd46268a0958f445f7f516708d2764]: S. 250 in force at 26.12.2023, see s. 334(3)(h)

[^key-f44503a65f1f6a0848255c73733b989e]: S. 66 in force at Royal Assent, see s. 334(3)(a)(iii)

[^key-f456ff6684bf013b81e45ba574c54c15]: Sch. 15 para. 22 in force at Royal Assent, see s. 334(2)(i)

[^key-f4dd4ed2e86cae1cce2afa2bf4fee5b9]: S. 189 not in force at Royal Assent, see s. 334(1)

[^key-f506ad991a80d8b0847f10549a17e436]: S. 47 in force at 26.12.2023, see s. 334(3)(a)

[^key-f52a03447874b6b1385b9e315e1511bf]: Sch. 21 para. 63 not in force at Royal Assent, see s. 334(1)

[^key-f55b4c87d4e38d64024d69f41bf8aa6a]: Sch. 21 para. 3 not in force at Royal Assent, see s. 334(1)

[^key-f568311785cec7325a85f0df7459c939]: S. 195 not in force at Royal Assent, see s. 334(1)

[^key-f5851bbd6112a0f3acedb1e8a6ecccf0]: S. 283 in force at 11.1.2024 by S.I. 2024/32, reg. 2(c)(vi)

[^key-f58a9184cf1c844fcebd5f0356941e8b]: Sch. 21 para. 11 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-f5e2b6fdcf4e70769be2c3c6a1a2d263]: S. 268 in force at 11.1.2024 by S.I. 2024/32, reg. 2(c)(i)

[^key-f5ebd13424b0cd86d6601faca90c4cc2]: Sch. 18 para. 55 in force at Royal Assent, see s. 334(2)(l)

[^key-f685680a17ddb4fbc4f735ff70f8b04e]: S. 329 in force at Royal Assent, see s. 334(2)(o)

[^key-f693b57b7fced5800026968ea1785e6c]: S. 190 not in force at Royal Assent, see s. 334(1)

[^key-f720e9ded6b3ad87edeac9e98b3125df]: Sch. 21 para. 35 not in force at Royal Assent, see s. 334(1)

[^key-f731a1f8bd76c1c42214a475007e57fc]: Sch. 18 para. 58 in force at Royal Assent, see s. 334(2)(l)

[^key-f75663a1a93455cf020c90d8abd5bb3b]: S. 302 not in force at Royal Assent, see s. 334(1)

[^key-f778c5dae1f9298c21c6ee5b76389ab3]: S. 297 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(i)

[^key-f79fdca025ab8de045862da98a5bc4c3]: Sch. 21 para. 70 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-f82ddec2eee7a46b535aa7680f4e0841]: Sch. 11 para. 3 not in force at Royal Assent, see s. 334(1)

[^key-f85afd49c3a5a106f77470df5e40a14d]: S. 105 in force at 11.1.2024 by S.I. 2024/32, reg. 2(a)(iii)

[^key-f8d5b3ca7b0ff84b29e4f2b8d969bb88]: S. 140 in force at 26.12.2023, see s. 334(3)(c)

[^key-f901be29bd877e46c0c1de55990d7196]: S. 268 not in force at Royal Assent, see s. 334(1)

[^key-f92aeaa284455534e021713068d363e3]: Sch. 2 para. 10 in force at 26.12.2023, see s. 334(3)(a)

[^key-f94b4782b1a38e86036452c3b9d8d37f]: S. 246 not in force at Royal Assent, see s. 334(1)

[^key-f9979e3f79c06ad2c1501b4cf57c5af4]: Sch. 15 para. 14 in force at Royal Assent, see s. 334(2)(i)

[^key-fa3dac01ab0fcec4cffa83f2cde3d0f7]: Sch. 16 para. 10 in force at Royal Assent, see s. 334(2)(j)

[^key-fa8d1b9c9f68de51e37cfdce70ff1272]: Sch. 15 para. 17 in force at Royal Assent, see s. 334(2)(i)

[^key-fb2c367c19c90e2508491adeb4c8a039]: S. 189 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(iv)

[^key-fb95cc9d8dc3b3408a0cb1cb9e8bbde0]: S. 273 in force at 11.1.2024 by S.I. 2024/32, reg. 2(c)(iv)

[^key-fbb13c6a41df4018e0a8a1fe7af24a48]: S. 99 in force at 26.12.2023, see s. 334(3)(b)

[^key-fc325b4eec2ec2859186073658f8dbe8]: S. 198 in force at 10.9.2024 by S.I. 2024/890, reg. 2(b)(viii)

[^key-fc7a88c7b84f69166cc49cbac65a1d1d]: Sch. 21 para. 52 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-fcd69a0afe53e27c8183a2593563f5d3]: Sch. 21 para. 22 in force at 11.1.2024 by S.I. 2024/32, reg. 2(d)(iii)

[^key-fce5219c852289b73e2282cb624bb6b2]: Sch. 12 para. 9 not in force at Royal Assent, see s. 334(1)

[^key-fd2873f8292185ad6ab02a9c189149bd]: Sch. 17 para. 16 not in force at Royal Assent, see s. 334(1)

[^key-fdf72fb177b6d6fb0e3671691299435b]: S. 244 in force at 11.1.2024 by S.I. 2024/32, reg. 2(b)(ii)

[^key-fdffd419d1412ab326385da476483d0b]: Sch. 16 para. 20 in force at Royal Assent, see s. 334(2)(j)

[^key-fe9838357cb986563f90156582c583b0]: S. 232 in force at Royal Assent, see s. 334(2)(l)

[^key-fea538585ec24eb4cace432244235d3c]: S. 49 in force at 26.12.2023, see s. 334(3)(a)

[^key-feceef4b3c0d5c949c125c2ac301cbaa]: Sch. 17 para. 11 not in force at Royal Assent, see s. 334(1)

[^key-fef91ec7f553131cd7d7c352584b1f10]: Sch. 15 para. 1 in force at Royal Assent, see s. 334(2)(i)

[^key-ff031757f942f0a4853e44f3f8b80352]: Sch. 18 para. 22 in force at Royal Assent, see s. 334(2)(l)

[^key-ff7bb62c34de17f8e9e6b02d5d23bdb3]: Sch. 17 para. 15 not in force at Royal Assent, see s. 334(1)

[^key-ff8f862b78c31078ac238b3444c61e6d]: S. 313 in force at Royal Assent, see s. 334(2)(o)

[^M_F_019b7d7b-9daa-480d-8a6a-4d9595eb7395]: Words in s. 89(1)(c) inserted (10.9.2024) by Energy Act 2023 (c. 52), s. 334(1), Sch. 14 para. 12(b); S.I. 2024/890, reg. 2(b)(x)

[^M_F_bb97aeb5-9f6b-4023-b317-a4baec087251]: Words in s. 89(1)(a) inserted (10.9.2024) by Energy Act 2023 (c. 52), s. 334(1), Sch. 14 para. 12(a)(i); S.I. 2024/890, reg. 2(b)(x)

[^M_F_c2abf13a-8db8-43da-bfb3-76169972af2a]: Words in s. 89(1)(a) inserted (10.9.2024) by Energy Act 2023 (c. 52), s. 334(1), Sch. 14 para. 12(a)(ii); S.I. 2024/890, reg. 2(b)(x)

[^key-2e06c2feff0d66b4c34a30022bd77f92]: S. 168(2) in force at 1.10.2024 by S.I. 2024/957, reg. 2(b)

[^key-83a8ccb8d5ddc91e7793b58b9dbc756e]: Sch. 11 para. 2 in force at 1.10.2024 by S.I. 2024/957, reg. 2(c)

[^key-43ab68a4647b8d8b35279da0417b8021]: S. 166(2) in force at 1.10.2024 by S.I. 2024/957, reg. 2(a)

[^key-5c4de090f55b4b1e08e440f2ce81648c]: Sch. 11 para. 1 in force at 1.10.2024 by S.I. 2024/957, reg. 2(c)

[^M_I_e7ca2182-3bef-4e96-eaa1-5f164939e4c0]: Sch. 11 para. 4 in force at 1.10.2024 by S.I. 2024/957, reg. 2(c)

[^M_I_817840b6-5aef-49a2-9708-2f40f5d203b9]: Sch. 11 para. 5 in force at 1.10.2024 by S.I. 2024/957, reg. 2(c)

Application and commencement of scheme

Utilities Act 2000

In the Storage of Carbon Dioxide (Licensing etc.) Regulations 2010 (S.I. 2010/2221), in Schedule 1 (provisions to be included in a licence), after paragraph 5 insert—

Disclosure by OGA to specified persons

Disclosure required for returns and reports prepared by OGA

Disclosure in exercise of certain OGA powers

Disclosure after specified period

Disclosure with appropriate consent

Disclosure required by legislation

Disclosure for purpose of proceedings

Appeals in relation to information and samples plans

Appeals against notices requiring provision of information or samples

Appeals in relation to sanction notices

Appeals against finding of failure to comply

Appeals against sanction imposed

Appeals against information requirements

Power to make a transfer scheme

Introductory

Gas Act 1986

Electricity Act 1989

Utilities Act 2000

Meaning of “qualifying document”, “qualifying contract” and “qualifying central system”

Purposes for which powers under this Schedule may be exercised

Expiry of powers under this Schedule

Amendment or termination of qualifying contracts

Arrangements in connection with code consolidation

Transfer schemes

Information

Compensation

Other

Introductory

Participation in qualifying pension schemes and transfer of assets and rights

Amendment of qualifying pension schemes

Protection against adverse treatment

Information

Gas Act 1986

Electricity Act 1989

Energy Act 2004

Energy Act 2023

Utilities Act 2000

Utilities Act 2000

Enterprise and Regulatory Reform Act 2013

The Electricity Act 1989

Scotland Act 1998

Utilities Act 2000

Consumers, Estate Agents and Redress Act 2007

Regulation (EU) 2019/943 of the European Parliament and of the Council of 5th June 2019 on the internal market for electricity (recast)

United Kingdom Internal Market Act 2020

General duties

Procedure

Variation of terms

Compliance certificates

Inaccurate, incomplete or misleading information

Appeal against decision under paragraph 3 or 4

Part 2 of Schedule 2

Utilities Act 2000

Enterprise and Regulatory Reform Act 2013

The Electricity Act 1989

Scotland Act 1998

Utilities Act 2000

Energy Act 2004

Civil Contingencies Act 2004

Consumers, Estate Agents and Redress Act 2007

Energy Act 2013

Regulation (EU) 2019/943 of the European Parliament and of the Council of 5th June 2019 on the internal market for electricity (recast)

United Kingdom Internal Market Act 2020

Objectives

Procedure

Variation of terms

Compliance certificates

Inaccurate, incomplete or misleading information

Appeal against decision under paragraph 3 or 4

Introduction

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

Prohibition on unlicensed activities

Consultation on proposals for additional activities to become licensable

Territorial scope of prohibition

Exemption from prohibition

Revocation or withdrawal of exemption

Power to grant licences

Power to create licence types

Procedure for licence applications

Competitive tenders for licences

Conditions of licences: general

Standard conditions of licences

Modification of conditions of licences

Modification of conditions under section 13: supplementary

Modification by order under other enactments

Interim power of Secretary of State to grant licences

Termination of licence

Transfer of licences

Consenting to transfer

Appeal to the CMA

Procedure on appeal to CMA

Determination by CMA of appeal

CMA’s powers on allowing appeal

Time limits for CMA to determine an appeal

Determination of appeal by CMA: supplementary

Provision of information to or by the economic regulator

Power of Secretary of State to require information

Monitoring, information gathering etc

Power to require information for purposes of monitoring

Duty to carry out impact assessment

Reasons for decisions

Enforcement of obligations of licence holders

Making of false statements etc

Liability of officers of entities

Criminal proceedings

Functions under the Enterprise Act 2002

Functions under the Competition Act 1998

Sections 36 and 37: supplementary

Forward work programmes

Information in relation to CCUS strategy and policy statement

Annual report on transport and storage licensing functions

Transport and storage administration orders

Objective of a transport and storage administration

Application of certain provisions of the Energy Act 2004

Conduct of administration, transfer schemes etc

Modification of conditions of licences

Modification under the Enterprise Act 2002

Power to make further modifications of insolvency legislation

Interpretation of Chapter 4

Consultation in relation to transfers

Conduct of transfer schemes

Cooperation of storage licensing authority with economic regulator

Amendments related to Part 1

Interpretation of Part 1

Chapter 1: interpretation

Revenue support contracts

Duties of revenue support counterparty

Designation of carbon dioxide transport and storage counterparty

Direction to offer to contract with licence holder

Designation of hydrogen transport counterparty

Direction to offer to contract with eligible hydrogen transport provider

Designation of hydrogen storage counterparty

Direction to offer to contract with eligible hydrogen storage provider

Direction to offer to contract with eligible low carbon hydrogen producer

Designation of carbon capture counterparty

Direction to offer to contract with eligible carbon capture entity

Appointment of hydrogen levy administrator

Obligations of relevant market participants

Payments to relevant market participants

Functions of hydrogen levy administrator

Power to appoint allocation bodies

Standard terms of revenue support contracts

Allocation notifications

Allocation of contracts

Duty to offer to contract following allocation

Modification of standard terms

Sections 75 to 78: supplementary

Licence conditions regarding functions of certain allocation bodies

Application of sums held by a revenue support counterparty

Information and advice

Enforcement

Consultation

Transfer schemes

Modifications of licences etc for purposes related to levy obligations

Sections 89 and 90: supplementary

Financing of costs of decommissioning etc

Section 92: supplementary

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

Provisions relating to Part 4 of the Petroleum Act 1998

Change of use relief: installations

Change of use relief: carbon storage network pipelines

Change of use relief: supplementary

Duties with regard to considerations in the statement

Review

Procedural requirements

Specified provisions in carbon dioxide storage licences

Content of storage permits under carbon dioxide storage licences

Offences relating to carbon dioxide storage licences

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

Chapter 5: key definitions

Retention of information and samples

Preparation and agreement of information and samples plans

Information and samples plans: supplementary

Power of OGA to require information and samples

Prohibition on disclosure of information or samples by OGA

Power of Secretary of State to require information and samples

Power of OGA to give sanction notices

Enforcement notices

Financial penalty notices

Revocation notices

Operator removal notices

Duty of OGA to give sanction warning notices

Publication of details of sanctions

Subsequent sanction notices

Withdrawal of sanction notices

Sanctions: information powers

Appeals

Procedure for enforcement decisions

Interpretation of Chapter 5

Access to infrastructure

Financial assistance

Key definitions for Part 3

Designation

Designation: procedure

Revocation of designation

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

Applications for grant etc of gas transporter licence

Modification of gas transporter licence by Secretary of State

Scope of modification powers under section 136

Procedure etc relating to modifications under section 136

Information and advice

Conditions of gas transporter licences for conveyance of hydrogen

Secretary of State directions to the GEMA

Repeal of Part 3

Low-carbon heat schemes

Application of scheme

Setting of targets etc

Further provision about scheme regulations

Administration of scheme

Enforcement, penalties and offences

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

Appeals

Scheme regulations: procedure etc

Interpretation of Chapter 1

Modifications of the gas code

Regulations for protection of consumers

Power to modify Gas Act 1986 in relation to hydrogen

Fusion energy facilities: nuclear site licence not required

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

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

Renewable liquid heating fuel obligations

Climate Change Act 2008: meaning of “UK removals”

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

Designation etc

Duty to have regard to particular matters

Licensing of electricity system operator activity

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

Licensing of gas system planning activity

Procedure relating to modifications under section 169

Provision of advice, analysis or information

Power to require information from regulated persons etc

Duty to keep developments in energy sector under review

Pension arrangements

Cross-sectoral funding

Minor and consequential amendments

Regulations under Part 5

Designation of codes etc

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

Designation of central systems

Licence under Gas Act 1986 for performance of code management function

Licence under Electricity Act 1989 for performance of code management function

Selection of code manager

Selection on a non-competitive basis

Selection on a competitive basis

Strategic direction statement

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

Modification of designated documents by GEMA

Modification under section 192

Directions relating to designated central systems

Directions under section 194

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

Regulations under Part 6

Interpretation of Part 6

Transitional provision and pension arrangements

Minor and consequential amendments

Principal objectives of Secretary of State and GEMA

Competitive tenders for electricity projects

Mergers of energy network enterprises

Licence required for operation of multi-purpose interconnector

Standard conditions for MPI licences

Operation of multi-purpose interconnectors: independence

Grant of MPI licences to existing operators

Power to make consequential etc provision

Consequential amendments relating to multi-purpose interconnectors

Electricity support payments for energy-intensive industries

Levy to fund electricity support payments

Electricity storage

Payment as alternative to complying with certain energy company obligations

Smart meters: extension of time for exercise of powers

Relevant heat network

The Regulator

Alternative dispute resolution for consumer disputes

Heat networks regulations

Regulations made by Secretary of State: consultation with devolved authorities

Heat networks regulations: other provision about procedure

Recovery of costs by GEMA and NIAUR

Heat networks: licensing authority in Scotland

Heat networks: enforcement in Scotland

Interpretation of Chapter 1

Regulations about heat network zones

Heat Network Zones Authority

Zone coordinators

Identification, designation and review of zones

Zoning methodology

Requests for information in connection with section 229 or 230

Heat networks within zones

Delivery of district heat networks within zones

Enforcement of heat network zone requirements

Penalties

Records, information and reporting

Interpretation of Chapter 2

Energy smart regulations

Prohibitions and requirements: supplemental

Enforcement

Sanctions, offences and recovery of costs

Appeals against enforcement action

Regulations: procedure and supplemental

Power to amend licence conditions etc: load control

Power to amend licence conditions etc: procedure

Load control: supplemental

Application of general duties to functions relating to load control

Licensing of activities relating to load control

Power to make energy performance regulations

Energy performance regulations relating to new premises

Sanctions

Regulations under Part 10

Energy savings opportunity schemes

Application of energy savings opportunity schemes

Requirement for assessment of energy consumption

Assessors

ESOS action plans

Action to achieve energy savings or emissions reductions

Scheme administration

Enforcement, penalties and offences

Appeals

ESOS regulations: procedure etc

Directions to scheme administrators

Financial assistance to scheme administrators and participants

Interpretation of Part 11

General objective

“Core fuel sector activity” and other key concepts

Directions to particular core fuel sector participants

Procedure for giving directions

Offence of failure to comply with a direction

Corresponding powers to make regulations

Power to require information

Duty to report incidents

Contravention of requirement under section 273 or 274

Provision of information at specified intervals

Disclosure of information held by the Secretary of State

Appeal against notice or direction

False statements etc

Offences under regulations

Proceedings for offences

Liability of officers of entities

Enforcement undertakings

Guidance: criminal and civil sanctions

Guidance: Parliamentary scrutiny

Financial assistance for resilience and continuity purposes

Power to amend thresholds

Interpretation of Part 12

Meaning of “relevant offshore wind activity”

Strategic compensation for adverse environmental effects

Marine recovery fund

Assessment of environmental effects etc

Regulations under section 293: consultation and procedure

Interpretation of Chapter 1

Arrangements for responding to marine oil pollution

Habitats: reducing effects of offshore oil or gas activities etc

Regulations under sections 296 and 297: procedure with devolved authorities

Charges in connection with abandonment of offshore installations

Model clauses of petroleum licences

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

Application to the territorial sea of requirement for nuclear site licence

Decommissioning of nuclear sites etc

Excluded disposal sites

Accession to Convention on Supplementary Compensation for Nuclear Damage

Power to implement Convention on Supplementary Compensation for Nuclear Damage

Provision of additional police services

Provision of assistance to other forces

Cross-border enforcement powers

Publication of three-year strategy plan

Civil nuclear industry: amendment of relevant nuclear pension schemes

Meaning of “relevant nuclear pension scheme”

Information

Further definitions

Application of relevant pensions legislation

Procedure for regulations under Chapter 3

Great British Nuclear

Crown status

Great British Nuclear’s objects

Financial assistance

Secretary of State directions and guidance

Annual report

Annual accounts

Transfer schemes

Transfer schemes: compensation

Transfer schemes: taxation

Transfer schemes: provision of information or assistance

Reimbursement and compensation in connection with designation

Pension arrangements in connection with Great British Nuclear

Power to make consequential provision

Regulations

General definitions

Extent

Commencement

Short title

Suspension of decision

In the Storage of Carbon Dioxide (Licensing etc.) Regulations 2010 (S.I. 2010/2221), in Schedule 1 (provisions to be included in a licence), after paragraph 5 insert—

Disclosure by OGA to specified persons

Disclosure required for returns and reports prepared by OGA

Disclosure in exercise of certain OGA powers

Disclosure after specified period

Disclosure with appropriate consent

Disclosure required by legislation

Disclosure for purpose of proceedings

Appeals in relation to information and samples plans

Appeals against notices requiring provision of information or samples

Appeals in relation to sanction notices

Appeals against finding of failure to comply

Appeals against sanction imposed

Appeals against information requirements

Consultation

Introductory

Electricity Act 1989

Utilities Act 2000

Meaning of “qualifying document”, “qualifying contract” and “qualifying central system”

Introductory

Participation in qualifying pension schemes and transfer of assets and rights

Amendment of qualifying pension schemes

Protection against adverse treatment

Information

Utilities Act 2000

Utilities Act 2000

Enterprise and Regulatory Reform Act 2013

The Electricity Act 1989

Scotland Act 1998

Utilities Act 2000

Energy Act 2004

Civil Contingencies Act 2004

Consumers, Estate Agents and Redress Act 2007

Energy Act 2013

Regulation (EU) 2019/943 of the European Parliament and of the Council of 5th June 2019 on the internal market for electricity (recast)

United Kingdom Internal Market Act 2020

Objectives

Procedure

Introduction

Compliance certificates

Inaccurate, incomplete or misleading information

Appeal against decision under paragraph 3 or 4

Introduction

Participation in qualifying pension schemes and transfer of assets and rights

Amendment of qualifying pension schemes

Protection against adverse treatment

Information

Gas Act 1986

Utilities Act 2000

Utilities Act 2000

Enterprise and Regulatory Reform Act 2013

The Electricity Act 1989

Scotland Act 1998

Utilities Act 2000

Energy Act 2004

Civil Contingencies Act 2004

Consumers, Estate Agents and Redress Act 2007

Energy Act 2013

Regulation (EU) 2019/943 of the European Parliament and of the Council of 5th June 2019 on the internal market for electricity (recast)

United Kingdom Internal Market Act 2020

Objectives

Procedure

Variation of terms

Compliance certificates

Inaccurate, incomplete or misleading information

Appeal against decision under paragraph 3 or 4